PLSRX
Aristotle Strategic Income Fund
Aristotle Fund Series Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
477
Top-10 weight
14.53%
Effective holdings ?
152
Crowding ?
141.8

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TRS ADVISORSHARES PURE US CANNABIS ETF 200,000,000 $200.00M 4.76%
2 MONEYMKT FGTXX 195,362,505 $195.36M 4.65%
3 PROOFPOINT TERM 1LN 08/31/2028 PFPT 43,625,000 $42.30M 1.01%
4 Ultimate Software Group, Inc., First Lien Term Loan ULTI 35,668,846 $34.13M 0.81%
5 GOLDMAN SACHS GP 35,000,000 $33.83M 0.80%
6 TransDigm, Inc. 33,025,000 $32.88M 0.78%
7 ALLIANT HOLDINGS INTERMEDIATE SR SECURED 144A 04/28 6.75 ALIANT 31,450,000 $31.64M 0.75%
8 RPLDCI 6.581 05/30/49 144A RPLDCI 30,250,000 $31.13M 0.74%
9 BROPAR TL B4 1L USD BROPAR 30,024,764 $29.34M 0.70%
10 JBS/FOODS/FOOD 28,100,000 $29.20M 0.69%
11 Acrisure LLC / Acrisure Finance Inc. 28,475,000 $28.63M 0.68%
12 Imperial Dade Term Loan B 325 2030-12-01 IMPPAP 28,221,913 $27.85M 0.66%
13 CORELOGIC INC TL 1ST LIEN (TSFR3M+361.448) (FLR 0.5) 7.28640% 06-02-28 CLGX 28,756,188 $27.57M 0.66%
14 APLD COMPUTECO LLC SR SECURED 144A 12/30 9.25 APLD 26,500,000 $27.33M 0.65%
15 Jane Street Group / JSG Finance Inc. 26,850,000 $27.26M 0.65%
16 FISERV INC 27,575,000 $26.80M 0.64%
17 MORGAN STANLEY 31,100,000 $26.77M 0.64%
18 ARDONAGH GRP. FIN. 8.875% ARDGRP 26,775,000 $26.26M 0.62%
19 MAJORDRIVE HOLDINGS IV L SR UNSECURED 144A 06/29 6.375 CLUCAR 35,000,000 $26.02M 0.62%
20 LPL HOLDINGS INC 25,349,000 $25.17M 0.60%
21 US TREASURY N/B 25,000,000 $24.94M 0.59%
22 US TREASURY N/B 25,000,000 $24.91M 0.59%
23 SONOCO PRODUCTS 25,000,000 $24.47M 0.58%
24 US TREASURY N/B 22,500,000 $23.31M 0.55%
25 Citigroup Inc. 23,725,000 $23.19M 0.55%
26 MPLX LP 22,750,000 $22.99M 0.55%
27 UNIVERSAL HLTH S 24,000,000 $22.93M 0.55%
28 TIHLLC 7 1/8 06/01/31 TIHLLC 22,600,000 $22.69M 0.54%
29 HYPINS TL B 1L USD HYPINS 23,075,000 $22.56M 0.54%
30 GLOBAL PAY INC 23,175,000 $22.34M 0.53%
31 AES CORP/THE 21,876,000 $22.01M 0.52%
32 ELLUCIAN HOLDINGS INC SR SECURED 144A 12/29 6.5 DAEL 22,000,000 $21.54M 0.51%
33 BOEING CO 23,975,000 $21.47M 0.51%
34 BURLN 7.5 07/15/33 144A BURLN 25,650,000 $21.39M 0.51%
35 REGAL REXNORD 19,925,000 $21.07M 0.50%
36 BARCLAYS PLC REGD V/R /PERP/ 7.62500000 BACR 20,700,000 $20.91M 0.50%
37 BNP PARIBAS 19,800,000 $20.47M 0.49%
38 CHTR 4.75 03/01/30 144A CHTR 21,075,000 $20.01M 0.48%
39 Venture Global LNG, Inc. 18,225,000 $19.58M 0.47%
40 GRATHO TL B 1L USD GRATHO 20,701,697 $19.38M 0.46%
41 Maple Parent Holdings Corp. 18,950,000 $18.84M 0.45%
42 US TREASURY N/B 19,250,000 $18.40M 0.44%
43 CoreWeave, Inc. 19,300,000 $18.39M 0.44%
44 Rocket Cos., Inc. 18,200,000 $18.38M 0.44%
45 WELLS FARGO CO 18,050,000 $18.33M 0.44%
46 US BANK MMDA - USBGFS 9 18,273,082 $18.27M 0.43%
47 Vistra Operations Co. LLC 16,650,000 $18.13M 0.43%
48 US TREASURY N/B 18,350,000 $18.06M 0.43%
49 HOWDEN UK REFINANCE / US REGD 144A P/P 8.12500000 HWDGRP 19,050,000 $17.87M 0.42%
50 US TREASURY N/B 18,075,000 $17.63M 0.42%
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