ETF constituents for HYGW

Below, a list of constituents for HYGW (iShares High Yield Corporate Bond BuyWrite Strategy ETF) is shown. In total, HYGW consists of 1279 securities.

Note: The data shown here is as of date Jan 31, 2025 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

Name Sector Asset Class Market Value Weight (%) Duration Maturity Coupon (%)
ISHARES IBOXX $ HIGH YIELD CORPORA Corporates Fixed Income 208,859,056.38 99.40 3.05 nan 0.00
BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 1,870,000.00 0.89 0.11 nan 4.34
USD CASH Cash and/or Derivatives Cash 934,912.41 0.44 0.00 nan 0.00
FEB25 HYG US C @ 79 Cash and/or Derivatives Other Derivatives -1,554,628.09 -0.74 155.52 Feb 21, 2025 0.00
iShares High Yield Corporate Bond BuyWrite Strategy ETF nan nan nan nan nan nan nan
Fund Holdings as of nan nan nan nan nan nan nan
Inception Date nan nan nan nan nan nan nan
Shares Outstanding nan nan nan nan nan nan nan
Stock nan nan nan nan nan nan nan
Bond nan nan nan nan nan nan nan
Cash nan nan nan nan nan nan nan
Other nan nan nan nan nan nan nan
Name Asset Class Market Value Weight (%) Notional Value FX Rate Mod. Duration Yield to Call (%)
BLK CSH FND TREASURY SL AGENCY Money Market 3,996,853.54 1.90 3,996,853.54 1.00 0.12 nan
ECHOSTAR CORP Fixed Income 1,164,055.06 0.55 1,164,055.06 1.00 3.69 nan
MEDLINE BORROWER LP 144A Fixed Income 838,610.88 0.40 838,610.88 1.00 3.71 nan
CLOUD SOFTWARE GROUP INC 144A Fixed Income 799,178.29 0.38 799,178.29 1.00 3.65 nan
CLOUD SOFTWARE GROUP INC 144A Fixed Income 789,257.49 0.38 789,257.49 1.00 3.50 nan
DIRECTV FINANCING LLC 144A Fixed Income 721,336.52 0.34 721,336.52 1.00 2.25 nan
DISH NETWORK CORP 144A Fixed Income 719,770.08 0.34 719,770.08 1.00 2.30 nan
HUB INTERNATIONAL LTD 144A Fixed Income 678,645.73 0.32 678,645.73 1.00 4.37 nan
VENTURE GLOBAL LNG INC 144A Fixed Income 651,744.69 0.31 651,744.69 1.00 3.35 nan
TEVA PHARMACEUTICAL FINANCE NETHER Fixed Income 639,171.37 0.30 639,171.37 1.00 1.57 nan
CCO HOLDINGS LLC 144A Fixed Income 629,605.63 0.30 629,605.63 1.00 2.06 nan
UNITI GROUP LP 144A Fixed Income 626,263.88 0.30 626,263.88 1.00 2.49 nan
NFE FINANCING LLC MTN 144A Fixed Income 621,877.84 0.30 621,877.84 1.00 3.53 nan
PANTHER ESCROW ISSUER LLC 144A Fixed Income 618,452.55 0.29 618,452.55 1.00 5.00 nan
AADVANTAGE LOYALTY IP LTD 144A Fixed Income 596,731.21 0.28 596,731.21 1.00 2.58 nan
MAUSER PACKAGING SOLUTIONS HOLDING 144A Fixed Income 572,858.62 0.27 572,858.62 1.00 1.92 nan
EMRLD BORROWER LP 144A Fixed Income 558,071.40 0.27 558,071.40 1.00 4.77 nan
INTELSAT JACKSON HOLDINGS SA 144A Fixed Income 554,395.48 0.26 554,395.48 1.00 4.09 nan
TRANSDIGM INC 144A Fixed Income 550,197.41 0.26 550,197.41 1.00 3.46 nan
CCO HOLDINGS LLC 144A Fixed Income 549,779.69 0.26 549,779.69 1.00 4.31 nan
1011778 BC UNLIMITED LIABILITY CO 144A Fixed Income 529,729.22 0.25 529,729.22 1.00 4.90 nan
CCO HOLDINGS LLC 144A Fixed Income 528,893.79 0.25 528,893.79 1.00 5.13 nan
TRANSDIGM INC Fixed Income 522,753.33 0.25 522,753.33 1.00 2.51 nan
DISH DBS CORP 144A Fixed Income 512,122.41 0.24 512,122.41 1.00 1.67 nan
DAVITA INC 144A Fixed Income 510,012.93 0.24 510,012.93 1.00 4.58 nan
CCO HOLDINGS LLC 144A Fixed Income 509,093.95 0.24 509,093.95 1.00 4.66 nan
UKG INC 144A Fixed Income 503,935.13 0.24 503,935.13 1.00 4.86 nan
CCO HOLDINGS LLC Fixed Income 499,277.57 0.24 499,277.57 1.00 5.89 nan
ALLIED UNIVERSAL HOLDCO LLC 144A Fixed Income 486,411.86 0.23 486,411.86 1.00 4.59 nan
MEDLINE BORROWER LP 144A Fixed Income 484,908.07 0.23 484,908.07 1.00 3.99 nan
CCO HOLDINGS LLC 144A Fixed Income 483,466.94 0.23 483,466.94 1.00 2.73 nan
STAPLES INC 144A Fixed Income 483,111.88 0.23 483,111.88 1.00 3.36 nan
VENTURE GLOBAL LNG INC 144A Fixed Income 483,070.11 0.23 483,070.11 1.00 4.83 nan
TENET HEALTHCARE CORP Fixed Income 474,987.27 0.23 474,987.27 1.00 3.17 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 471,353.12 0.22 471,353.12 1.00 4.60 nan
NEPTUNE BIDCO US INC 144A Fixed Income 471,353.12 0.22 471,353.12 1.00 3.21 nan
TRANSDIGM INC 144A Fixed Income 463,562.68 0.22 463,562.68 1.00 5.45 nan
VENTURE GLOBAL LNG INC 144A Fixed Income 460,158.27 0.22 460,158.27 1.00 2.86 nan
ATHENAHEALTH GROUP INC 144A Fixed Income 453,955.16 0.22 453,955.16 1.00 4.08 nan
BOOST NEWCO BORROWER LLC 144A Fixed Income 452,179.86 0.22 452,179.86 1.00 4.76 nan
WINDSTREAM SERVICES LLC 144A Fixed Income 451,574.17 0.21 451,574.17 1.00 4.96 nan
TRANSDIGM INC 144A Fixed Income 445,329.28 0.21 445,329.28 1.00 3.01 nan
RAKUTEN GROUP INC 144A Fixed Income 441,569.82 0.21 441,569.82 1.00 3.37 nan
CARVANA CO 144A Fixed Income 439,042.62 0.21 439,042.62 1.00 4.60 nan
VENTURE GLOBAL LNG INC 144A Fixed Income 436,160.37 0.21 436,160.37 1.00 5.10 nan
DISH DBS CORP 144A Fixed Income 435,847.08 0.21 435,847.08 1.00 3.26 nan
JETBLUE AIRWAYS CORPORATION 144A Fixed Income 433,069.25 0.21 433,069.25 1.00 4.83 nan
ECHOSTAR CORP Fixed Income 431,273.07 0.21 431,273.07 1.00 4.60 nan
VODAFONE GROUP PLC Fixed Income 425,257.92 0.20 425,257.92 1.00 3.36 nan
CARNIVAL HOLDINGS (BERMUDA) LTD 144A Fixed Income 424,714.89 0.20 424,714.89 1.00 2.68 nan
WESTERN DIGITAL CORPORATION Fixed Income 419,347.21 0.20 419,347.21 1.00 0.97 nan
CAESARS ENTERTAINMENT INC 144A Fixed Income 414,898.52 0.20 414,898.52 1.00 4.08 nan
CSC HOLDINGS LLC 144A Fixed Income 409,593.50 0.19 409,593.50 1.00 3.10 nan
BLOCK INC 144A Fixed Income 407,692.88 0.19 407,692.88 1.00 5.68 nan
CLARIOS GLOBAL LP 144A Fixed Income 399,985.98 0.19 399,985.98 1.00 2.01 nan
MCAFEE CORP 144A Fixed Income 399,317.63 0.19 399,317.63 1.00 3.98 nan
ORGANON & CO 144A Fixed Income 399,025.23 0.19 399,025.23 1.00 2.94 nan
ALTICE FRANCE SA (FRANCE) 144A Fixed Income 398,335.99 0.19 398,335.99 1.00 3.69 nan
TENET HEALTHCARE CORP Fixed Income 398,127.13 0.19 398,127.13 1.00 4.48 nan
UNITED AIRLINES INC 144A Fixed Income 393,386.03 0.19 393,386.03 1.00 1.14 nan
HUB INTERNATIONAL LTD 144A Fixed Income 391,777.82 0.19 391,777.82 1.00 5.42 nan
RAKUTEN GROUP INC 144A Fixed Income 391,151.24 0.19 391,151.24 1.00 1.74 nan
UNITED AIRLINES INC 144A Fixed Income 391,025.93 0.19 391,025.93 1.00 3.70 nan
IMOLA MERGER CORP 144A Fixed Income 375,591.24 0.18 375,591.24 1.00 3.76 nan
CVS HEALTH CORP NC5.25 Fixed Income 373,419.11 0.18 373,419.11 1.00 4.05 nan
CLOUD SOFTWARE GROUP INC 144A Fixed Income 371,957.09 0.18 371,957.09 1.00 5.48 nan
SS&C TECHNOLOGIES INC 144A Fixed Income 369,262.81 0.18 369,262.81 1.00 2.40 nan
TENNECO INC 144A Fixed Income 366,735.62 0.17 366,735.62 1.00 3.05 nan
OLYMPUS WATER US HOLDING CORP 144A Fixed Income 361,367.94 0.17 361,367.94 1.00 3.05 nan
CONNECT FINCO SARL 144A Fixed Income 360,720.48 0.17 360,720.48 1.00 3.48 nan
QUIKRETE HOLDINGS INC 144A Fixed Income 360,448.96 0.17 360,448.96 1.00 5.64 nan
SIRIUS XM RADIO INC 144A Fixed Income 355,958.49 0.17 355,958.49 1.00 3.14 nan
ORGANON & CO 144A Fixed Income 355,102.17 0.17 355,102.17 1.00 5.11 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 350,402.84 0.17 350,402.84 1.00 1.91 nan
LEVEL 3 FINANCING INC 144A Fixed Income 348,564.88 0.17 348,564.88 1.00 3.69 nan
DISH DBS CORP Fixed Income 347,228.18 0.17 347,228.18 1.00 1.24 nan
SAKS GLOBAL ENTERPRISES LLC 144A Fixed Income 338,101.04 0.16 338,101.04 1.00 3.60 nan
WEATHERFORD INTERNATIONAL LTD 144A Fixed Income 337,871.30 0.16 337,871.30 1.00 4.12 nan
ELECTRICITE DE FRANCE SA 144A Fixed Income 334,842.84 0.16 334,842.84 1.00 6.04 nan
CARVANA CO 144A Fixed Income 332,002.36 0.16 332,002.36 1.00 4.03 nan
NEXSTAR MEDIA INC 144A Fixed Income 330,937.17 0.16 330,937.17 1.00 2.24 nan
CCO HOLDINGS LLC 144A Fixed Income 329,830.22 0.16 329,830.22 1.00 7.09 nan
ALTICE FINANCING SA 144A Fixed Income 328,785.93 0.16 328,785.93 1.00 3.62 nan
LIGHTNING POWER LLC 144A Fixed Income 322,269.52 0.15 322,269.52 1.00 5.59 nan
ALTICE FRANCE SA (FRANCE) 144A Fixed Income 315,377.18 0.15 315,377.18 1.00 3.83 nan
DIRECTV FINANCING LLC 144A Fixed Income 314,834.14 0.15 314,834.14 1.00 4.49 nan
TK ELEVATOR US NEWCO INC 144A Fixed Income 313,915.16 0.15 313,915.16 1.00 2.26 nan
ZAYO GROUP HOLDINGS INC 144A Fixed Income 313,205.04 0.15 313,205.04 1.00 1.91 nan
CITGO PETROLEUM CORPORATION 144A Fixed Income 311,763.91 0.15 311,763.91 1.00 3.32 nan
NOVELIS CORP 144A Fixed Income 311,283.54 0.15 311,283.54 1.00 4.34 nan
VISTRA OPERATIONS COMPANY LLC 144A Fixed Income 310,615.19 0.15 310,615.19 1.00 5.11 nan
UNITED RENTALS (NORTH AMERICA) INC Fixed Income 309,299.38 0.15 309,299.38 1.00 2.70 nan
CAESARS ENTERTAINMENT INC 144A Fixed Income 308,944.32 0.15 308,944.32 1.00 5.43 nan
ENTEGRIS ESCROW CORP 144A Fixed Income 306,855.73 0.15 306,855.73 1.00 3.69 nan
ONEMAIN FINANCE CORP Fixed Income 306,124.72 0.15 306,124.72 1.00 1.04 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 303,576.64 0.14 303,576.64 1.00 2.79 nan
BAUSCH + LOMB CORP 144A Fixed Income 303,075.38 0.14 303,075.38 1.00 3.05 nan
CHART INDUSTRIES INC 144A Fixed Income 302,887.40 0.14 302,887.40 1.00 4.06 nan
NCR ATLEOS CORP 144A Fixed Income 301,989.31 0.14 301,989.31 1.00 3.35 nan
PG&E CORPORATION Fixed Income 301,237.42 0.14 301,237.42 1.00 3.98 nan
PRIME HEALTHCARE SERVICES INC 144A Fixed Income 300,485.52 0.14 300,485.52 1.00 3.46 nan
TRANSDIGM INC 144A Fixed Income 300,360.21 0.14 300,360.21 1.00 6.09 nan
NOBLE FINANCE II LLC 144A Fixed Income 300,046.92 0.14 300,046.92 1.00 4.11 nan
AADVANTAGE LOYALTY IP LTD 144A Fixed Income 299,608.32 0.14 299,608.32 1.00 1.16 nan
CSC HOLDINGS LLC 144A Fixed Income 299,545.66 0.14 299,545.66 1.00 3.35 nan
MEDLINE BORROWER LP 144A Fixed Income 298,981.74 0.14 298,981.74 1.00 3.55 nan
CCO HOLDINGS LLC 144A Fixed Income 296,433.66 0.14 296,433.66 1.00 6.61 nan
UNIVISION COMMUNICATIONS INC 144A Fixed Income 296,015.94 0.14 296,015.94 1.00 2.10 nan
SBA COMMUNICATIONS CORP Fixed Income 294,908.99 0.14 294,908.99 1.00 1.89 nan
TRANSDIGM INC 144A Fixed Income 294,679.24 0.14 294,679.24 1.00 4.74 nan
UNIVISION COMMUNICATIONS INC 144A Fixed Income 294,219.75 0.14 294,219.75 1.00 2.93 nan
CCO HOLDINGS LLC 144A Fixed Income 293,154.57 0.14 293,154.57 1.00 3.82 nan
1011778 BC UNLIMITED LIABILITY CO 144A Fixed Income 292,653.31 0.14 292,653.31 1.00 2.69 nan
AVANTOR FUNDING INC 144A Fixed Income 289,353.34 0.14 289,353.34 1.00 3.13 nan
UNICREDIT SPA MTN 144A Fixed Income 289,269.79 0.14 289,269.79 1.00 4.55 nan
ALLIANT HOLDINGS INTERMEDIATE LLC 144A Fixed Income 288,956.50 0.14 288,956.50 1.00 4.80 nan
JAZZ SECURITIES DAC 144A Fixed Income 288,893.85 0.14 288,893.85 1.00 3.55 nan
ALTICE FRANCE SA (FRANCE) 144A Fixed Income 288,601.44 0.14 288,601.44 1.00 1.71 nan
SIRIUS XM RADIO INC 144A Fixed Income 286,408.42 0.14 286,408.42 1.00 2.31 nan
CIVITAS RESOURCES INC 144A Fixed Income 286,032.48 0.14 286,032.48 1.00 4.86 nan
TENET HEALTHCARE CORP Fixed Income 285,969.82 0.14 285,969.82 1.00 2.49 nan
CIVITAS RESOURCES INC 144A Fixed Income 285,134.38 0.14 285,134.38 1.00 2.93 nan
VENTURE GLOBAL LNG INC 144A Fixed Income 284,507.81 0.14 284,507.81 1.00 4.13 nan
BRAND INDUSTRIAL SERVICES INC 144A Fixed Income 284,194.52 0.14 284,194.52 1.00 4.13 nan
VIRGIN MEDIA SECURED FINANCE PLC 144A Fixed Income 283,275.54 0.13 283,275.54 1.00 3.69 nan
CCO HOLDINGS LLC 144A Fixed Income 282,231.24 0.13 282,231.24 1.00 3.75 nan
STANDARD BUILDING SOLUTIONS INC 144A Fixed Income 282,189.47 0.13 282,189.47 1.00 4.73 nan
CITGO PETROLEUM CORPORATION 144A Fixed Income 280,831.89 0.13 280,831.89 1.00 0.35 nan
WALGREENS BOOTS ALLIANCE INC Fixed Income 280,769.23 0.13 280,769.23 1.00 1.27 nan
FMG RESOURCES (AUGUST 2006) PTY LT 144A Fixed Income 280,581.26 0.13 280,581.26 1.00 5.18 nan
TENET HEALTHCARE CORP Fixed Income 279,766.71 0.13 279,766.71 1.00 1.85 nan
JANE STREET GROUP LLC 144A Fixed Income 278,409.12 0.13 278,409.12 1.00 4.92 nan
TENET HEALTHCARE CORP Fixed Income 278,367.35 0.13 278,367.35 1.00 5.00 nan
CLEVELAND-CLIFFS INC 144A Fixed Income 277,824.32 0.13 277,824.32 1.00 5.38 nan
PRIME SECURITY SERVICES BORROWER L 144A Fixed Income 276,445.85 0.13 276,445.85 1.00 1.12 nan
SPIRIT AEROSYSTEMS INC 144A Fixed Income 275,631.30 0.13 275,631.30 1.00 4.38 nan
HERTZ CORPORATION (THE) 144A Fixed Income 271,746.52 0.13 271,746.52 1.00 3.38 nan
WESCO DISTRIBUTION INC 144A Fixed Income 270,848.42 0.13 270,848.42 1.00 2.93 nan
ICAHN ENTERPRISES LP Fixed Income 270,472.48 0.13 270,472.48 1.00 2.09 nan
VZ SECURED FINANCING BV 144A Fixed Income 269,532.61 0.13 269,532.61 1.00 5.67 nan
HILTON DOMESTIC OPERATING COMPANY 144A Fixed Income 268,906.04 0.13 268,906.04 1.00 5.92 nan
NGL ENERGY OPERATING LLC 144A Fixed Income 268,154.14 0.13 268,154.14 1.00 5.21 nan
UNICREDIT SPA 144A Fixed Income 267,193.39 0.13 267,193.39 1.00 3.45 nan
FRONTIER COMMUNICATIONS HOLDINGS L 144A Fixed Income 267,088.96 0.13 267,088.96 1.00 2.92 nan
GRAY TELEVISION INC 144A Fixed Income 266,880.10 0.13 266,880.10 1.00 3.51 nan
ALBERTSONS COMPANIES INC 144A Fixed Income 266,316.18 0.13 266,316.18 1.00 1.83 nan
SIRIUS XM RADIO INC 144A Fixed Income 266,086.44 0.13 266,086.44 1.00 5.51 nan
TENET HEALTHCARE CORP Fixed Income 265,543.40 0.13 265,543.40 1.00 4.35 nan
SIRIUS XM RADIO INC 144A Fixed Income 264,770.63 0.13 264,770.63 1.00 4.70 nan
BRIGHTLINE EAST LLC 144A Fixed Income 264,561.77 0.13 264,561.77 1.00 3.69 nan
VISTRA OPERATIONS COMPANY LLC 144A Fixed Income 264,227.59 0.13 264,227.59 1.00 1.85 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 263,580.13 0.13 263,580.13 1.00 4.37 nan
FRONTIER COMMUNICATIONS HOLDINGS L 144A Fixed Income 263,559.24 0.13 263,559.24 1.00 4.14 nan
NEWELL BRANDS INC Fixed Income 262,702.92 0.13 262,702.92 1.00 1.09 nan
RAVEN ACQUISITION HOLDINGS LLC 144A Fixed Income 261,783.94 0.12 261,783.94 1.00 5.27 nan
ALBERTSONS COMPANIES INC 144A Fixed Income 261,199.14 0.12 261,199.14 1.00 3.69 nan
PRIME SECURITY SERVICES BORROWER L 144A Fixed Income 261,115.59 0.12 261,115.59 1.00 2.65 nan
LIFEPOINT HEALTH INC 144A Fixed Income 260,008.64 0.12 260,008.64 1.00 4.15 nan
WAND NEWCO 3 INC 144A Fixed Income 259,966.87 0.12 259,966.87 1.00 5.38 nan
CQP HOLDCO LP 144A Fixed Income 259,925.10 0.12 259,925.10 1.00 5.23 nan
DAVITA INC 144A Fixed Income 259,570.04 0.12 259,570.04 1.00 5.14 nan
MAUSER PACKAGING SOLUTIONS HOLDING 144A Fixed Income 259,319.40 0.12 259,319.40 1.00 1.91 nan
WYNN MACAU LTD 144A Fixed Income 258,839.03 0.12 258,839.03 1.00 3.09 nan
SBA COMMUNICATIONS CORP Fixed Income 258,797.26 0.12 258,797.26 1.00 3.67 nan
ALLIANT HOLDINGS INTERMEDIATE LLC 144A Fixed Income 258,504.85 0.12 258,504.85 1.00 2.38 nan
CSC HOLDINGS LLC 144A Fixed Income 258,170.68 0.12 258,170.68 1.00 4.42 nan
CALPINE CORP 144A Fixed Income 258,108.02 0.12 258,108.02 1.00 2.78 nan
TALEN ENERGY SUPPLY LLC 144A Fixed Income 258,045.36 0.12 258,045.36 1.00 4.21 nan
CSC HOLDINGS LLC 144A Fixed Income 255,163.11 0.12 255,163.11 1.00 3.77 nan
EG GLOBAL FINANCE PLC 144A Fixed Income 254,223.24 0.12 254,223.24 1.00 3.04 nan
POST HOLDINGS INC 144A Fixed Income 254,181.47 0.12 254,181.47 1.00 4.45 nan
CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Fixed Income 252,385.28 0.12 252,385.28 1.00 2.28 nan
TENET HEALTHCARE CORP Fixed Income 252,176.42 0.12 252,176.42 1.00 3.85 nan
UNIVISION COMMUNICATIONS INC 144A Fixed Income 251,236.56 0.12 251,236.56 1.00 4.91 nan
POST HOLDINGS INC 144A Fixed Income 248,354.30 0.12 248,354.30 1.00 4.17 nan
ALLIANT HOLDINGS INTERMEDIATE LLC 144A Fixed Income 248,333.42 0.12 248,333.42 1.00 2.79 nan
VMED O2 UK FINANCING I PLC 144A Fixed Income 247,184.69 0.12 247,184.69 1.00 5.36 nan
FRONTIER COMMUNICATIONS HOLDINGS L 144A Fixed Income 247,163.81 0.12 247,163.81 1.00 2.42 nan
CSC HOLDINGS LLC 144A Fixed Income 246,871.40 0.12 246,871.40 1.00 1.97 nan
CALPINE CORP 144A Fixed Income 246,558.12 0.12 246,558.12 1.00 2.73 nan
HERC HOLDINGS INC 144A Fixed Income 246,495.46 0.12 246,495.46 1.00 2.25 nan
LIVE NATION ENTERTAINMENT INC 144A Fixed Income 246,223.94 0.12 246,223.94 1.00 2.07 nan
EQUIPMENTSHARECOM INC 144A Fixed Income 245,451.16 0.12 245,451.16 1.00 2.78 nan
EMERA INCORPORATED Fixed Income 245,388.51 0.12 245,388.51 1.00 1.02 nan
ALLIED UNIVERSAL HOLDCO LLC 144A Fixed Income 245,367.62 0.12 245,367.62 1.00 2.13 nan
VISTRA OPERATIONS COMPANY LLC 144A Fixed Income 245,242.30 0.12 245,242.30 1.00 2.31 nan
CHURCHILL DOWNS INCORPORATED 144A Fixed Income 244,720.16 0.12 244,720.16 1.00 4.31 nan
TEVA PHARMACEUTICAL FINANCE NETHER Fixed Income 244,114.47 0.12 244,114.47 1.00 2.68 nan
MPT OPERATING PARTNERSHIP LP / MPT Fixed Income 242,736.00 0.12 242,736.00 1.00 2.40 nan
IRON MOUNTAIN INC 144A Fixed Income 241,608.16 0.11 241,608.16 1.00 4.64 nan
FREEDOM MORTGAGE HOLDINGS LLC 144A Fixed Income 241,106.89 0.11 241,106.89 1.00 3.31 nan
1011778 BC UNLIMITED LIABILITY CO 144A Fixed Income 240,501.20 0.11 240,501.20 1.00 3.76 nan
ROCKET MORTGAGE LLC 144A Fixed Income 237,243.00 0.11 237,243.00 1.00 1.61 nan
SMYRNA READY MIX CONCRETE LLC 144A Fixed Income 236,595.54 0.11 236,595.54 1.00 5.01 nan
ARAMARK SERVICES INC 144A Fixed Income 236,491.11 0.11 236,491.11 1.00 2.74 nan
IRON MOUNTAIN INC 144A Fixed Income 235,718.33 0.11 235,718.33 1.00 6.17 nan
GLOBAL AIRCRAFT LEASING CO LTD 144A Fixed Income 235,697.45 0.11 235,697.45 1.00 2.20 nan
BUILDERS FIRSTSOURCE INC 144A Fixed Income 235,342.38 0.11 235,342.38 1.00 5.88 nan
VALARIS LTD 144A Fixed Income 235,049.98 0.11 235,049.98 1.00 4.12 nan
VENTURE GLOBAL CALCASIEU PASS LLC 144A Fixed Income 234,256.32 0.11 234,256.32 1.00 5.46 nan
ROCKET MORTGAGE LLC 144A Fixed Income 233,379.11 0.11 233,379.11 1.00 5.16 nan
SHIFT4 PAYMENTS LLC 144A Fixed Income 233,379.11 0.11 233,379.11 1.00 5.68 nan
DELEK LOGISTICS PARTNERS LP 144A Fixed Income 233,274.68 0.11 233,274.68 1.00 3.34 nan
SIRIUS XM RADIO INC 144A Fixed Income 233,107.59 0.11 233,107.59 1.00 3.83 nan
POST HOLDINGS INC 144A Fixed Income 232,648.10 0.11 232,648.10 1.00 6.04 nan
COMSTOCK RESOURCES INC 144A Fixed Income 231,917.10 0.11 231,917.10 1.00 3.40 nan
VENTURE GLOBAL CALCASIEU PASS LLC 144A Fixed Income 231,770.89 0.11 231,770.89 1.00 3.99 nan
FERTITTA ENTERTAINMENT LLC (NEVADA 144A Fixed Income 231,374.06 0.11 231,374.06 1.00 4.08 nan
SUNRISE FINCO I BV 144A Fixed Income 231,311.40 0.11 231,311.40 1.00 5.38 nan
AIR CANADA 144A Fixed Income 230,872.80 0.11 230,872.80 1.00 1.43 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 230,455.08 0.11 230,455.08 1.00 2.88 nan
PETSMART LLC 144A Fixed Income 230,120.91 0.11 230,120.91 1.00 3.28 nan
RYAN SPECIALTY LLC 144A Fixed Income 229,849.39 0.11 229,849.39 1.00 5.98 nan
BELRON UK FINANCE PLC 144A Fixed Income 229,515.22 0.11 229,515.22 1.00 3.99 nan
H&E EQUIPMENT SERVICES INC 144A Fixed Income 229,264.59 0.11 229,264.59 1.00 3.54 nan
ACRISURE LLC 144A Fixed Income 228,596.24 0.11 228,596.24 1.00 4.57 nan
ITT HOLDINGS LLC 144A Fixed Income 228,554.47 0.11 228,554.47 1.00 3.79 nan
VMED O2 UK FINANCING I PLC 144A Fixed Income 228,450.04 0.11 228,450.04 1.00 5.10 nan
VISTRA OPERATIONS COMPANY LLC 144A Fixed Income 227,343.08 0.11 227,343.08 1.00 3.76 nan
ENDO FINANCE HOLDINGS INC 144A Fixed Income 227,176.00 0.11 227,176.00 1.00 4.71 nan
CRESCENT ENERGY FINANCE LLC 144A Fixed Income 226,946.25 0.11 226,946.25 1.00 5.31 nan
MINERAL RESOURCES LTD 144A Fixed Income 225,233.61 0.11 225,233.61 1.00 3.00 nan
STAR PARENT INC 144A Fixed Income 224,941.20 0.11 224,941.20 1.00 4.29 nan
MOHEGAN GAMING & ENTERTAINMENT 144A Fixed Income 224,920.32 0.11 224,920.32 1.00 0.94 nan
PETSMART LLC 144A Fixed Income 224,022.22 0.11 224,022.22 1.00 2.70 nan
CAESARS ENTERTAINMENT INC 144A Fixed Income 223,374.76 0.11 223,374.76 1.00 4.08 nan
UNITED RENTALS (NORTH AMERICA) INC 144A Fixed Income 223,019.70 0.11 223,019.70 1.00 6.75 nan
HUSKY IMS CANADIAN ESCROW CO-ISSUE 144A Fixed Income 222,977.93 0.11 222,977.93 1.00 3.22 nan
CSC HOLDINGS LLC 144A Fixed Income 222,706.41 0.11 222,706.41 1.00 5.41 nan
IQVIA INC 144A Fixed Income 222,685.53 0.11 222,685.53 1.00 2.10 nan
STANDARD BUILDING SOLUTIONS INC 144A Fixed Income 222,581.10 0.11 222,581.10 1.00 5.71 nan
PACTIV EVERGREEN GROUP ISSUER LLC 144A Fixed Income 222,163.38 0.11 222,163.38 1.00 2.51 nan
SMYRNA READY MIX CONCRETE LLC 144A Fixed Income 221,996.29 0.11 221,996.29 1.00 3.25 nan
KEHE DISTRIBUTORS LLC 144A Fixed Income 221,829.20 0.11 221,829.20 1.00 3.22 nan
W R GRACE HOLDINGS LLC 144A Fixed Income 221,703.89 0.11 221,703.89 1.00 3.79 nan
VENTURE GLOBAL CALCASIEU PASS LLC 144A Fixed Income 221,098.20 0.11 221,098.20 1.00 7.08 nan
STAGWELL GLOBAL LLC 144A Fixed Income 219,886.81 0.10 219,886.81 1.00 3.82 nan
LEVEL 3 FINANCING INC 144A Fixed Income 219,761.50 0.10 219,761.50 1.00 3.99 nan
CAESARS ENTERTAINMENT INC 144A Fixed Income 219,427.32 0.10 219,427.32 1.00 5.95 nan
CLYDESDALE ACQUISITION HOLDINGS IN 144A Fixed Income 218,863.41 0.10 218,863.41 1.00 4.02 nan
WYNN RESORTS FINANCE LLC 144A Fixed Income 218,675.43 0.10 218,675.43 1.00 4.73 nan
ARDAGH PACKAGING FINANCE PLC 144A Fixed Income 218,445.69 0.10 218,445.69 1.00 1.39 nan
ALLIED UNIVERSAL HOLDCO LLC 144A Fixed Income 218,195.06 0.10 218,195.06 1.00 3.00 nan
BALL CORPORATION Fixed Income 216,607.73 0.10 216,607.73 1.00 4.90 nan
ZAYO GROUP HOLDINGS INC 144A Fixed Income 216,482.41 0.10 216,482.41 1.00 2.62 nan
AETHON UNITED BR LP 144A Fixed Income 216,294.44 0.10 216,294.44 1.00 3.80 nan
CIVITAS RESOURCES INC 144A Fixed Income 216,022.92 0.10 216,022.92 1.00 4.43 nan
EQM MIDSTREAM PARTNERS LP 144A Fixed Income 215,667.86 0.10 215,667.86 1.00 5.07 nan
TRANSDIGM INC Fixed Income 214,832.43 0.10 214,832.43 1.00 3.53 nan
RR DONNELLEY & SONS CO 144A Fixed Income 214,707.11 0.10 214,707.11 1.00 3.61 nan
TRANSOCEAN INC 144A Fixed Income 213,683.70 0.10 213,683.70 1.00 2.76 nan
SCIH SALT HOLDINGS INC 144A Fixed Income 213,537.50 0.10 213,537.50 1.00 2.91 nan
USA COMPRESSION PARTNERS LP 144A Fixed Income 213,453.96 0.10 213,453.96 1.00 3.44 nan
NOVA CHEMICALS CORP 144A Fixed Income 212,848.26 0.10 212,848.26 1.00 2.14 nan
MELCO RESORTS FINANCE LTD 144A Fixed Income 212,785.61 0.10 212,785.61 1.00 4.10 nan
LCPR SENIOR SECURED FINANCING DAC 144A Fixed Income 212,702.06 0.10 212,702.06 1.00 2.33 nan
JANE STREET GROUP LLC 144A Fixed Income 212,451.43 0.10 212,451.43 1.00 5.98 nan
UNICREDIT SPA MTN 144A Fixed Income 211,950.17 0.10 211,950.17 1.00 2.12 nan
TRIVIUM PACKAGING FINANCE BV 144A Fixed Income 211,908.40 0.10 211,908.40 1.00 1.41 nan
NCL CORPORATION LTD 144A Fixed Income 211,240.05 0.10 211,240.05 1.00 1.84 nan
IQVIA INC 144A Fixed Income 211,031.19 0.10 211,031.19 1.00 1.58 nan
CCO HOLDINGS LLC 144A Fixed Income 209,569.18 0.10 209,569.18 1.00 4.71 nan
US ACUTE CARE SOLUTIONS LLC 144A Fixed Income 209,214.12 0.10 209,214.12 1.00 3.38 nan
AMERICAN AIRLINES INC 144A Fixed Income 208,942.60 0.10 208,942.60 1.00 3.51 nan
UNITI GROUP LP 144A Fixed Income 208,921.71 0.10 208,921.71 1.00 3.32 nan
PERFORMANCE FOOD GROUP INC 144A Fixed Income 208,524.88 0.10 208,524.88 1.00 2.44 nan
BALL CORPORATION Fixed Income 208,441.34 0.10 208,441.34 1.00 3.78 nan
HOWDEN UK REFINANCE PLC 144A Fixed Income 208,274.25 0.10 208,274.25 1.00 4.68 nan
IRON MOUNTAIN INC 144A Fixed Income 208,044.51 0.10 208,044.51 1.00 3.37 nan
BUILDERS FIRSTSOURCE INC 144A Fixed Income 207,940.08 0.10 207,940.08 1.00 6.64 nan
HILTON DOMESTIC OPERATING COMPANY 144A Fixed Income 207,919.19 0.10 207,919.19 1.00 5.34 nan
GARDA WORLD SECURITY CORP 144A Fixed Income 207,668.56 0.10 207,668.56 1.00 5.57 nan
ASTON MARTIN CAPITAL HOLDINGS LTD 144A Fixed Income 207,501.47 0.10 207,501.47 1.00 3.24 nan
FRONTIER COMMUNICATIONS HOLDINGS L 144A Fixed Income 207,292.61 0.10 207,292.61 1.00 3.58 nan
PERFORMANCE FOOD GROUP INC 144A Fixed Income 206,624.26 0.10 206,624.26 1.00 5.88 nan
ALPHA GENERATION LLC 144A Fixed Income 206,498.95 0.10 206,498.95 1.00 5.81 nan
SERVICE PROPERTIES TRUST 144A Fixed Income 206,206.55 0.10 206,206.55 1.00 5.05 nan
AMENTUM HOLDINGS INC 144A Fixed Income 205,935.03 0.10 205,935.03 1.00 5.72 nan
CRESCENT ENERGY FINANCE LLC 144A Fixed Income 205,183.14 0.10 205,183.14 1.00 2.52 nan
DAVITA INC 144A Fixed Income 204,995.16 0.10 204,995.16 1.00 5.67 nan
YUM! BRANDS INC. Fixed Income 204,932.51 0.10 204,932.51 1.00 5.75 nan
HILTON DOMESTIC OPERATING COMPANY 144A Fixed Income 204,368.59 0.10 204,368.59 1.00 6.23 nan
PERMIAN RESOURCES OPERATING LLC 144A Fixed Income 204,076.18 0.10 204,076.18 1.00 5.44 nan
ARDONAGH GROUP FINANCE LTD 144A Fixed Income 203,742.01 0.10 203,742.01 1.00 5.18 nan
TRANSDIGM INC 144A Fixed Income 203,491.38 0.10 203,491.38 1.00 5.31 nan
IRON MOUNTAIN INC 144A Fixed Income 203,386.95 0.10 203,386.95 1.00 2.37 nan
ALBERTSONS COMPANIES INC 144A Fixed Income 203,282.52 0.10 203,282.52 1.00 4.28 nan
VITAL ENERGY INC 144A Fixed Income 203,031.89 0.10 203,031.89 1.00 5.27 nan
MIDCAP FINANCIAL ISSUER TRUST 144A Fixed Income 202,990.12 0.10 202,990.12 1.00 2.83 nan
RHP HOTEL PROPERTIES LP 144A Fixed Income 202,175.57 0.10 202,175.57 1.00 5.54 nan
UNITED RENTALS (NORTH AMERICA) INC Fixed Income 202,092.02 0.10 202,092.02 1.00 5.15 nan
IRON MOUNTAIN INC 144A Fixed Income 201,716.08 0.10 201,716.08 1.00 5.04 nan
DISH DBS CORP Fixed Income 201,632.53 0.10 201,632.53 1.00 3.49 nan
AMC NETWORKS INC 144A Fixed Income 201,381.90 0.10 201,381.90 1.00 3.22 nan
DARLING INGREDIENTS INC 144A Fixed Income 201,026.84 0.10 201,026.84 1.00 4.49 nan
CCO HOLDINGS LLC 144A Fixed Income 200,943.30 0.10 200,943.30 1.00 5.76 nan
ALLIANT HOLDINGS INTERMEDIATE LLC 144A Fixed Income 200,838.87 0.10 200,838.87 1.00 5.21 nan
STUDIO CITY FINANCE LTD 144A Fixed Income 200,776.21 0.10 200,776.21 1.00 3.47 nan
POST HOLDINGS INC 144A Fixed Income 200,734.44 0.10 200,734.44 1.00 5.46 nan
ALTICE FINANCING SA 144A Fixed Income 200,671.78 0.10 200,671.78 1.00 2.58 nan
PILGRIMS PRIDE CORP Fixed Income 200,504.69 0.10 200,504.69 1.00 6.47 nan
DT MIDSTREAM INC 144A Fixed Income 200,295.84 0.10 200,295.84 1.00 3.90 nan
UNIVISION COMMUNICATIONS INC 144A Fixed Income 199,794.57 0.10 199,794.57 1.00 3.71 nan
PARAMOUNT GLOBAL Fixed Income 199,418.63 0.09 199,418.63 1.00 1.72 nan
NATIONSTAR MORTGAGE HOLDINGS INC 144A Fixed Income 199,355.97 0.09 199,355.97 1.00 5.46 nan
KINETIK HOLDINGS LP 144A Fixed Income 198,771.16 0.09 198,771.16 1.00 4.50 nan
TEGNA INC Fixed Income 198,729.39 0.09 198,729.39 1.00 3.95 nan
CRESCENT ENERGY FINANCE LLC 144A Fixed Income 198,666.73 0.09 198,666.73 1.00 5.90 nan
VISTRA OPERATIONS COMPANY LLC 144A Fixed Income 197,810.41 0.09 197,810.41 1.00 5.53 nan
FOCUS FINANCIAL PARTNERS LLC 144A Fixed Income 197,747.75 0.09 197,747.75 1.00 5.14 nan
CSC HOLDINGS LLC 144A Fixed Income 197,350.92 0.09 197,350.92 1.00 2.61 nan
PERMIAN RESOURCES OPERATING LLC 144A Fixed Income 196,619.92 0.09 196,619.92 1.00 6.21 nan
SENSATA TECHNOLOGIES BV 144A Fixed Income 196,118.65 0.09 196,118.65 1.00 3.73 nan
VENTURE GLOBAL CALCASIEU PASS LLC 144A Fixed Income 196,118.65 0.09 196,118.65 1.00 4.20 nan
PILGRIMS PRIDE CORP Fixed Income 195,805.37 0.09 195,805.37 1.00 5.26 nan
NEXSTAR MEDIA INC 144A Fixed Income 194,677.53 0.09 194,677.53 1.00 3.31 nan
STANDARD BUILDING SOLUTIONS INC 144A Fixed Income 194,510.44 0.09 194,510.44 1.00 2.70 nan
CARVANA CO 144A Fixed Income 193,173.74 0.09 193,173.74 1.00 3.11 nan
CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Fixed Income 191,816.16 0.09 191,816.16 1.00 2.67 nan
COMPASS GROUP DIVERSIFIED HOLDINGS 144A Fixed Income 191,586.41 0.09 191,586.41 1.00 3.64 nan
FREEDOM MORTGAGE CORP 144A Fixed Income 191,273.12 0.09 191,273.12 1.00 2.86 nan
ILIAD HOLDING SAS 144A Fixed Income 191,273.12 0.09 191,273.12 1.00 4.71 nan
HILCORP ENERGY I LP 144A Fixed Income 191,064.26 0.09 191,064.26 1.00 6.83 nan
BOYD GAMING CORPORATION Fixed Income 190,959.84 0.09 190,959.84 1.00 2.59 nan
PRIME SECURITY SERVICES BORROWER L 144A Fixed Income 190,938.95 0.09 190,938.95 1.00 2.41 nan
ADT SECURITY CORP 144A Fixed Income 190,771.86 0.09 190,771.86 1.00 4.01 nan
NRG ENERGY INC 144A Fixed Income 190,771.86 0.09 190,771.86 1.00 7.07 nan
GFL ENVIRONMENTAL INC 144A Fixed Income 190,667.43 0.09 190,667.43 1.00 4.85 nan
SPIRIT AEROSYSTEMS INC 144A Fixed Income 190,667.43 0.09 190,667.43 1.00 3.82 nan
JEFFERIES FINANCE LLC 144A Fixed Income 190,521.23 0.09 190,521.23 1.00 3.09 nan
TRONOX INC 144A Fixed Income 190,521.23 0.09 190,521.23 1.00 3.57 nan
MADISON IAQ LLC 144A Fixed Income 190,500.35 0.09 190,500.35 1.00 3.79 nan
CALIFORNIA RESOURCES CORP 144A Fixed Income 189,999.08 0.09 189,999.08 1.00 3.59 nan
LCM INVESTMENTS HOLDINGS II LLC 144A Fixed Income 189,518.71 0.09 189,518.71 1.00 3.71 nan
STANDARD BUILDING SOLUTIONS INC 144A Fixed Income 188,683.27 0.09 188,683.27 1.00 5.23 nan
HILTON GRAND VACATIONS BORROWER LL 144A Fixed Income 188,662.39 0.09 188,662.39 1.00 5.50 nan
IRON MOUNTAIN INC 144A Fixed Income 188,599.73 0.09 188,599.73 1.00 3.98 nan
NCL CORPORATION LTD 144A Fixed Income 188,182.01 0.09 188,182.01 1.00 3.35 nan
COMMSCOPE LLC 144A Fixed Income 187,952.26 0.09 187,952.26 1.00 1.78 nan
ROBLOX CORP 144A Fixed Income 187,931.38 0.09 187,931.38 1.00 4.58 nan
RADIATE HOLDCO LLC 144A Fixed Income 187,618.09 0.09 187,618.09 1.00 1.44 nan
CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Fixed Income 186,866.20 0.09 186,866.20 1.00 3.49 nan
FAIR ISAAC CORP 144A Fixed Income 186,761.77 0.09 186,761.77 1.00 3.07 nan
EQM MIDSTREAM PARTNERS LP 144A Fixed Income 186,448.48 0.09 186,448.48 1.00 2.20 nan
YUM! BRANDS INC. Fixed Income 186,406.71 0.09 186,406.71 1.00 5.27 nan
PG&E CORPORATION Fixed Income 186,260.51 0.09 186,260.51 1.00 4.58 nan
LIVE NATION ENTERTAINMENT INC 144A Fixed Income 185,968.10 0.09 185,968.10 1.00 2.46 nan
ZIGGO BV 144A Fixed Income 185,968.10 0.09 185,968.10 1.00 4.23 nan
GEN DIGITAL INC 144A Fixed Income 185,821.90 0.09 185,821.90 1.00 2.35 nan
ACRISURE LLC 144A Fixed Income 185,654.82 0.09 185,654.82 1.00 3.37 nan
RESORTS WORLD LAS VEGAS LLC 144A Fixed Income 185,278.87 0.09 185,278.87 1.00 3.65 nan
ONEMAIN FINANCE CORP Fixed Income 184,652.29 0.09 184,652.29 1.00 3.30 nan
ARDAGH METAL PACKAGING FINANCE USA 144A Fixed Income 184,276.35 0.09 184,276.35 1.00 4.01 nan
TEVA PHARMACEUTICAL FINANCE NETHER Fixed Income 184,130.14 0.09 184,130.14 1.00 2.09 nan
PERFORMANCE FOOD GROUP INC 144A Fixed Income 184,109.26 0.09 184,109.26 1.00 4.01 nan
AES CORPORATION (THE) Fixed Income 183,983.94 0.09 183,983.94 1.00 4.00 nan
TEVA PHARMACEUTICAL FINANCE NETHER Fixed Income 183,649.77 0.09 183,649.77 1.00 3.73 nan
NGL ENERGY OPERATING LLC 144A Fixed Income 183,420.02 0.09 183,420.02 1.00 3.37 nan
COINBASE GLOBAL INC 144A Fixed Income 183,127.62 0.09 183,127.62 1.00 3.32 nan
ALTICE FRANCE SA (FRANCE) 144A Fixed Income 182,939.65 0.09 182,939.65 1.00 2.51 nan
LABL INC 144A Fixed Income 182,751.67 0.09 182,751.67 1.00 4.71 nan
ENTEGRIS ESCROW CORP 144A Fixed Income 182,647.24 0.09 182,647.24 1.00 4.50 nan
CLEVELAND-CLIFFS INC 144A Fixed Income 182,501.04 0.09 182,501.04 1.00 5.96 nan
ILIAD HOLDING SAS 144A Fixed Income 182,396.61 0.09 182,396.61 1.00 3.16 nan
HILTON DOMESTIC OPERATING COMPANY Fixed Income 182,250.41 0.09 182,250.41 1.00 4.31 nan
ONEMAIN FINANCE CORP Fixed Income 182,083.33 0.09 182,083.33 1.00 3.63 nan
POST HOLDINGS INC 144A Fixed Income 180,934.60 0.09 180,934.60 1.00 5.46 nan
TEGNA INC Fixed Income 180,830.17 0.09 180,830.17 1.00 2.79 nan
ICAHN ENTERPRISES LP Fixed Income 180,746.63 0.09 180,746.63 1.00 1.20 nan
LAMB WESTON HOLDINGS INC 144A Fixed Income 180,600.43 0.09 180,600.43 1.00 4.41 nan
TRANSOCEAN INC 144A Fixed Income 180,558.65 0.09 180,558.65 1.00 3.49 nan
YUM! BRANDS INC. Fixed Income 180,454.22 0.09 180,454.22 1.00 5.74 nan
CLEVELAND-CLIFFS INC 144A Fixed Income 180,412.45 0.09 180,412.45 1.00 3.92 nan
BLOCK INC Fixed Income 180,349.80 0.09 180,349.80 1.00 5.49 nan
SIRIUS XM RADIO INC 144A Fixed Income 179,785.88 0.09 179,785.88 1.00 1.49 nan
FWD GROUP HOLDINGS LTD MTN 144A Fixed Income 179,368.16 0.09 179,368.16 1.00 3.41 nan
DT MIDSTREAM INC 144A Fixed Income 179,326.39 0.09 179,326.39 1.00 5.40 nan
PG&E CORPORATION Fixed Income 178,804.24 0.09 178,804.24 1.00 3.06 nan
FORTRESS TRANSPORTATION AND INFRAS 144A Fixed Income 178,637.15 0.09 178,637.15 1.00 2.88 nan
TELENET FINANCE LUXEMBOURG NOTES S 144A Fixed Income 178,323.86 0.08 178,323.86 1.00 2.77 nan
RITCHIE BROS HOLDINGS INC 144A Fixed Income 178,261.20 0.08 178,261.20 1.00 4.72 nan
WYNN MACAU LTD 144A Fixed Income 177,947.92 0.08 177,947.92 1.00 4.17 nan
WESCO DISTRIBUTION INC 144A Fixed Income 177,697.29 0.08 177,697.29 1.00 3.50 nan
TALLGRASS ENERGY PARTNERS LP 144A Fixed Income 177,530.20 0.08 177,530.20 1.00 3.34 nan
HLF FINANCING SARL LLC 144A Fixed Income 177,425.77 0.08 177,425.77 1.00 3.14 nan
NRG ENERGY INC 144A Fixed Income 177,154.25 0.08 177,154.25 1.00 6.24 nan
ALLISON TRANSMISSION INC 144A Fixed Income 177,112.48 0.08 177,112.48 1.00 5.22 nan
COMSTOCK RESOURCES INC 144A Fixed Income 177,070.71 0.08 177,070.71 1.00 4.19 nan
CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Fixed Income 177,028.94 0.08 177,028.94 1.00 2.97 nan
MATADOR RESOURCES CO 144A Fixed Income 176,861.85 0.08 176,861.85 1.00 5.57 nan
LCM INVESTMENTS HOLDINGS II LLC 144A Fixed Income 176,611.22 0.08 176,611.22 1.00 5.00 nan
FERTITTA ENTERTAINMENT LLC (NEVADA 144A Fixed Income 176,151.73 0.08 176,151.73 1.00 3.52 nan
CSC HOLDINGS LLC 144A Fixed Income 176,026.41 0.08 176,026.41 1.00 2.65 nan
UNIVISION COMMUNICATIONS INC 144A Fixed Income 174,647.94 0.08 174,647.94 1.00 4.35 nan
TRANSOCEAN INC 144A Fixed Income 174,627.06 0.08 174,627.06 1.00 4.71 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 174,522.63 0.08 174,522.63 1.00 3.21 nan
NRG ENERGY INC 144A Fixed Income 174,000.48 0.08 174,000.48 1.00 5.17 nan
ALBERTSONS COMPANIES INC 144A Fixed Income 173,708.08 0.08 173,708.08 1.00 2.64 nan
VISTAJET MALTA FINANCE PLC 144A Fixed Income 173,206.82 0.08 173,206.82 1.00 4.14 nan
HARVEST MIDSTREAM I LP 144A Fixed Income 172,392.27 0.08 172,392.27 1.00 3.01 nan
HOLOGIC INC 144A Fixed Income 172,225.18 0.08 172,225.18 1.00 3.64 nan
BROOKFIELD PROPERTIES RETAIL HOLDI 144A Fixed Income 171,891.00 0.08 171,891.00 1.00 1.20 nan
BLOCK INC Fixed Income 171,828.35 0.08 171,828.35 1.00 1.28 nan
WESCO DISTRIBUTION INC 144A Fixed Income 171,682.14 0.08 171,682.14 1.00 5.49 nan
LIFEPOINT HEALTH INC 144A Fixed Income 171,410.63 0.08 171,410.63 1.00 4.08 nan
MPT OPERATING PARTNERSHIP LP Fixed Income 171,118.22 0.08 171,118.22 1.00 5.02 nan
FRONTIER COMMUNICATIONS HOLDINGS L 144A Fixed Income 171,055.57 0.08 171,055.57 1.00 4.22 nan
HANESBRANDS INC 144A Fixed Income 170,804.94 0.08 170,804.94 1.00 1.21 nan
SIX FLAGS ENTERTAINMENT CORP 144A Fixed Income 170,742.28 0.08 170,742.28 1.00 5.61 nan
CLEARWAY ENERGY OPERATING LLC 144A Fixed Income 170,345.45 0.08 170,345.45 1.00 5.15 nan
WYNN RESORTS FINANCE LLC 144A Fixed Income 170,053.04 0.08 170,053.04 1.00 6.13 nan
GOODYEAR TIRE & RUBBER COMPANY (TH Fixed Income 170,032.16 0.08 170,032.16 1.00 1.25 nan
RAKUTEN GROUP INC 144A Fixed Income 170,032.16 0.08 170,032.16 1.00 4.82 nan
CLEARWAY ENERGY OPERATING LLC 144A Fixed Income 169,781.53 0.08 169,781.53 1.00 2.79 nan
KINETIK HOLDINGS LP 144A Fixed Income 169,718.87 0.08 169,718.87 1.00 3.35 nan
NCL CORPORATION LTD 144A Fixed Income 169,697.98 0.08 169,697.98 1.00 5.51 nan
CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Fixed Income 169,489.12 0.08 169,489.12 1.00 4.10 nan
ALLIED UNIVERSAL HOLDCO LLC 144A Fixed Income 169,447.35 0.08 169,447.35 1.00 3.66 nan
SEAGATE HDD CAYMAN Fixed Income 169,280.27 0.08 169,280.27 1.00 5.54 nan
VIKING CRUISES LTD 144A Fixed Income 169,259.38 0.08 169,259.38 1.00 4.88 nan
VIRGIN MEDIA SECURED FINANCE PLC 144A Fixed Income 169,196.72 0.08 169,196.72 1.00 4.64 nan
OPEN TEXT CORP 144A Fixed Income 169,029.63 0.08 169,029.63 1.00 2.75 nan
ILIAD HOLDING SAS 144A Fixed Income 168,737.23 0.08 168,737.23 1.00 5.53 nan
US FOODS INC 144A Fixed Income 168,632.80 0.08 168,632.80 1.00 3.53 nan
MGM RESORTS INTERNATIONAL Fixed Income 168,235.97 0.08 168,235.97 1.00 3.88 nan
ARCHES BUYER INC 144A Fixed Income 168,006.22 0.08 168,006.22 1.00 3.01 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 167,421.42 0.08 167,421.42 1.00 4.86 nan
HILTON GRAND VACATIONS BORROWER LL 144A Fixed Income 167,358.76 0.08 167,358.76 1.00 3.78 nan
VODAFONE GROUP PLC Fixed Income 167,296.10 0.08 167,296.10 1.00 5.30 nan
BAYTEX ENERGY CORP 144A Fixed Income 167,024.59 0.08 167,024.59 1.00 4.10 nan
NRG ENERGY INC 144A Fixed Income 166,961.93 0.08 166,961.93 1.00 3.85 nan
CLARIVATE SCIENCE HOLDINGS CORP 144A Fixed Income 166,794.84 0.08 166,794.84 1.00 3.86 nan
FORTRESS TRANSPORTATION AND INFRAS 144A Fixed Income 166,753.07 0.08 166,753.07 1.00 5.65 nan
AMC ENTERTAINMENT HOLDINGS INC 144A Fixed Income 166,753.07 0.08 166,753.07 1.00 3.16 nan
CHOBANI HOLDCO II LLC 144A Fixed Income 166,606.87 0.08 166,606.87 1.00 3.89 nan
SABRE GLBL INC 144A Fixed Income 166,460.67 0.08 166,460.67 1.00 3.63 nan
BOYD GAMING CORPORATION 144A Fixed Income 166,398.01 0.08 166,398.01 1.00 5.27 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 166,356.24 0.08 166,356.24 1.00 1.80 nan
MCGRAW-HILL EDUCATION INC 144A Fixed Income 166,293.58 0.08 166,293.58 1.00 3.11 nan
B&G FOODS INC 144A Fixed Income 166,189.15 0.08 166,189.15 1.00 3.02 nan
ARCHROCK PARTNERS LP 144A Fixed Income 166,126.49 0.08 166,126.49 1.00 2.77 nan
MICHAELS COMPANIES INC 144A Fixed Income 166,042.95 0.08 166,042.95 1.00 3.06 nan
ENCINO ACQUISITION PARTNERS HOLDIN 144A Fixed Income 165,562.57 0.08 165,562.57 1.00 2.74 nan
FMG RESOURCES (AUGUST 2006) PTY LT 144A Fixed Income 165,353.71 0.08 165,353.71 1.00 5.64 nan
VMED O2 UK FINANCING I PLC 144A Fixed Income 164,915.11 0.08 164,915.11 1.00 5.33 nan
CSC HOLDINGS LLC 144A Fixed Income 164,580.94 0.08 164,580.94 1.00 4.84 nan
WALGREENS BOOTS ALLIANCE INC Fixed Income 164,288.53 0.08 164,288.53 1.00 3.60 nan
HERC HOLDINGS INC 144A Fixed Income 164,142.33 0.08 164,142.33 1.00 3.72 nan
BATH & BODY WORKS INC 144A Fixed Income 163,870.82 0.08 163,870.82 1.00 4.58 nan
BOMBARDIER INC 144A Fixed Income 163,829.04 0.08 163,829.04 1.00 4.46 nan
ION TRADING TECHNOLOGIES SARL 144A Fixed Income 163,661.96 0.08 163,661.96 1.00 3.46 nan
SIX FLAGS ENTERTAINMENT CORP 144A Fixed Income 163,536.64 0.08 163,536.64 1.00 4.93 nan
VIKING CRUISES LTD 144A Fixed Income 163,411.33 0.08 163,411.33 1.00 2.34 nan
VIRGIN MEDIA FINANCE PLC 144A Fixed Income 163,118.92 0.08 163,118.92 1.00 4.59 nan
NATIONSTAR MORTGAGE HOLDINGS INC 144A Fixed Income 163,014.49 0.08 163,014.49 1.00 3.08 nan
ENERGY TRANSFER LP Fixed Income 162,993.61 0.08 162,993.61 1.00 3.46 nan
SERVICE CORPORATION INTERNATIONAL Fixed Income 162,910.06 0.08 162,910.06 1.00 5.99 nan
FERRELLGAS LP 144A Fixed Income 162,241.71 0.08 162,241.71 1.00 3.53 nan
OPEN TEXT HOLDINGS INC 144A Fixed Income 161,886.65 0.08 161,886.65 1.00 4.35 nan
LIFEPOINT HEALTH INC 144A Fixed Income 161,844.88 0.08 161,844.88 1.00 4.97 nan
AMC NETWORKS INC Fixed Income 161,803.11 0.08 161,803.11 1.00 3.43 nan
STANDARD BUILDING SOLUTIONS INC 144A Fixed Income 161,510.71 0.08 161,510.71 1.00 1.86 nan
BALL CORPORATION Fixed Income 161,468.94 0.08 161,468.94 1.00 2.76 nan
TREASURE ESCROW CORP 144A Fixed Income 161,364.51 0.08 161,364.51 1.00 5.16 nan
SUNOCO LP 144A Fixed Income 161,051.22 0.08 161,051.22 1.00 3.58 nan
YUM! BRANDS INC. 144A Fixed Income 160,821.47 0.08 160,821.47 1.00 4.33 nan
ROCKET SOFTWARE INC 144A Fixed Income 160,696.16 0.08 160,696.16 1.00 3.13 nan
SUNOCO LP 144A Fixed Income 160,654.39 0.08 160,654.39 1.00 5.52 nan
USA COMPRESSION PARTNERS LP Fixed Income 160,445.53 0.08 160,445.53 1.00 2.27 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 160,424.64 0.08 160,424.64 1.00 3.86 nan
MELCO RESORTS FINANCE LTD 144A Fixed Income 159,944.27 0.08 159,944.27 1.00 3.07 nan
ALCOA NEDERLAND HOLDING BV 144A Fixed Income 159,923.38 0.08 159,923.38 1.00 4.80 nan
FRONTIER COMMUNICATIONS HOLDINGS L 144A Fixed Income 159,735.41 0.08 159,735.41 1.00 4.61 nan
ONEMAIN FINANCE CORP Fixed Income 159,610.09 0.08 159,610.09 1.00 2.64 nan
AVIS BUDGET CAR RENTAL LLC 144A Fixed Income 159,443.00 0.08 159,443.00 1.00 4.01 nan
TEREX CORPORATION 144A Fixed Income 159,296.80 0.08 159,296.80 1.00 5.91 nan
MCGRAW-HILL EDUCATION INC 144A Fixed Income 159,108.83 0.08 159,108.83 1.00 3.73 nan
ARETEC ESCROW ISSUER 2 INC 144A Fixed Income 159,087.94 0.08 159,087.94 1.00 4.10 nan
CLARIOS GLOBAL LP 144A Fixed Income 158,544.91 0.08 158,544.91 1.00 2.87 nan
CINEMARK USA INC 144A Fixed Income 158,294.28 0.08 158,294.28 1.00 3.10 nan
WYNN RESORTS FINANCE LLC 144A Fixed Income 158,294.28 0.08 158,294.28 1.00 4.00 nan
ENERGEAN ISRAEL FINANCE LTD Fixed Income 158,189.85 0.08 158,189.85 1.00 5.93 nan
ONEMAIN FINANCE CORP Fixed Income 157,772.13 0.08 157,772.13 1.00 4.81 nan
BOMBARDIER INC 144A Fixed Income 157,375.30 0.07 157,375.30 1.00 2.66 nan
MERCER INTERNATIONAL INC. Fixed Income 157,270.87 0.07 157,270.87 1.00 3.49 nan
INTERNATIONAL GAME TECHNOLOGY PLC 144A Fixed Income 157,229.10 0.07 157,229.10 1.00 1.81 nan
ARCHROCK PARTNERS LP 144A Fixed Income 157,062.01 0.07 157,062.01 1.00 5.73 nan
OLYMPUS WATER US HOLDING CORP 144A Fixed Income 157,020.24 0.07 157,020.24 1.00 4.92 nan
OLYMPUS WATER US HOLDING CORP 144A Fixed Income 156,999.35 0.07 156,999.35 1.00 3.27 nan
CVS HEALTH CORP NC10 Fixed Income 156,414.55 0.07 156,414.55 1.00 7.10 nan
WYNN MACAU LTD 144A Fixed Income 156,372.78 0.07 156,372.78 1.00 2.39 nan
ADIENT GLOBAL HOLDINGS LTD 144A Fixed Income 156,331.00 0.07 156,331.00 1.00 1.43 nan
PBF HOLDING COMPANY LLC Fixed Income 156,268.35 0.07 156,268.35 1.00 2.64 nan
SS&C TECHNOLOGIES INC 144A Fixed Income 156,205.69 0.07 156,205.69 1.00 5.72 nan
SERVICE CORPORATION INTERNATIONAL Fixed Income 156,143.03 0.07 156,143.03 1.00 3.79 nan
MELCO RESORTS FINANCE LTD 144A Fixed Income 155,975.94 0.07 155,975.94 1.00 5.34 nan
DISH DBS CORP Fixed Income 155,871.51 0.07 155,871.51 1.00 2.74 nan
CALIFORNIA BUYER LTD 144A Fixed Income 155,704.43 0.07 155,704.43 1.00 5.50 nan
ONEMAIN FINANCE CORP Fixed Income 155,600.00 0.07 155,600.00 1.00 5.26 nan
PERRIGO FINANCE UNLIMITED CO Fixed Income 155,412.02 0.07 155,412.02 1.00 5.88 nan
INTERNATIONAL GAME TECHNOLOGY PLC 144A Fixed Income 154,973.42 0.07 154,973.42 1.00 3.51 nan
IRON MOUNTAIN INC 144A Fixed Income 154,868.99 0.07 154,868.99 1.00 2.77 nan
RADIATE HOLDCO LLC / RADIATE FINAN 144A Fixed Income 154,701.90 0.07 154,701.90 1.00 2.80 nan
ONEMAIN FINANCE CORP Fixed Income 154,367.73 0.07 154,367.73 1.00 4.90 nan
ALBERTSONS COMPANIES INC 144A Fixed Income 153,762.04 0.07 153,762.04 1.00 1.07 nan
SYNCHRONY FINANCIAL Fixed Income 153,699.38 0.07 153,699.38 1.00 6.06 nan
ZF NORTH AMERICA CAPITAL INC 144A Fixed Income 153,594.95 0.07 153,594.95 1.00 4.24 nan
GOODYEAR TIRE & RUBBER COMPANY (TH Fixed Income 153,511.41 0.07 153,511.41 1.00 3.88 nan
PARKLAND CORP 144A Fixed Income 153,281.66 0.07 153,281.66 1.00 4.05 nan
SEALED AIR CORPORATION 144A Fixed Income 153,177.23 0.07 153,177.23 1.00 2.70 nan
MOLINA HEALTHCARE INC 144A Fixed Income 153,051.92 0.07 153,051.92 1.00 6.11 nan
GO DADDY OPERATING COMPANY LLC 144A Fixed Income 152,780.40 0.07 152,780.40 1.00 3.66 nan
LITHIA MOTORS INC 144A Fixed Income 152,467.11 0.07 152,467.11 1.00 3.87 nan
RAKUTEN GROUP INC 144A Fixed Income 152,216.48 0.07 152,216.48 1.00 0.87 nan
NEWELL BRANDS INC Fixed Income 152,153.82 0.07 152,153.82 1.00 4.38 nan
ASBURY AUTOMOTIVE GROUP INC. 144A Fixed Income 152,112.05 0.07 152,112.05 1.00 4.17 nan
NABORS INDUSTRIES INC 144A Fixed Income 151,840.53 0.07 151,840.53 1.00 2.04 nan
COMMSCOPE LLC 144A Fixed Income 151,652.56 0.07 151,652.56 1.00 3.89 nan
JONES DESLAURIERS INSURANCE MANAGE 144A Fixed Income 151,652.56 0.07 151,652.56 1.00 4.02 nan
FREEDOM MORTGAGE HOLDINGS LLC 144A Fixed Income 151,569.02 0.07 151,569.02 1.00 4.65 nan
NEXTERA ENERGY OPERATING PARTNERS 144A Fixed Income 151,255.73 0.07 151,255.73 1.00 3.37 nan
CLARIVATE SCIENCE HOLDINGS CORP 144A Fixed Income 151,234.84 0.07 151,234.84 1.00 3.12 nan
OPEN TEXT CORP 144A Fixed Income 150,900.67 0.07 150,900.67 1.00 4.27 nan
BOMBARDIER INC 144A Fixed Income 150,817.12 0.07 150,817.12 1.00 5.61 nan
LEVEL 3 FINANCING INC 144A Fixed Income 150,712.70 0.07 150,712.70 1.00 3.29 nan
CONSOLIDATED COMMUNICATIONS INC 144A Fixed Income 150,315.86 0.07 150,315.86 1.00 3.13 nan
PILGRIMS PRIDE CORP Fixed Income 150,232.32 0.07 150,232.32 1.00 5.98 nan
UNITED WHOLESALE MORTGAGE LLC 144A Fixed Income 150,211.43 0.07 150,211.43 1.00 3.62 nan
COTY INC 144A Fixed Income 150,169.66 0.07 150,169.66 1.00 4.52 nan
BUILDERS FIRSTSOURCE INC 144A Fixed Income 150,127.89 0.07 150,127.89 1.00 5.77 nan
GEO GROUP INC Fixed Income 150,086.12 0.07 150,086.12 1.00 4.50 nan
ICAHN ENTERPRISES LP / ICAHN ENTER Fixed Income 150,086.12 0.07 150,086.12 1.00 4.12 nan
MGM RESORTS INTERNATIONAL Fixed Income 149,939.92 0.07 149,939.92 1.00 5.57 nan
SM ENERGY CO 144A Fixed Income 149,584.86 0.07 149,584.86 1.00 3.82 nan
SERVICE CORPORATION INTERNATIONAL Fixed Income 149,584.86 0.07 149,584.86 1.00 4.83 nan
GAP INC 144A Fixed Income 149,543.08 0.07 149,543.08 1.00 4.13 nan
GLOBAL ATLANTIC (FIN) CO 144A Fixed Income 149,480.43 0.07 149,480.43 1.00 1.39 nan
NAVIENT CORP Fixed Income 149,438.65 0.07 149,438.65 1.00 3.53 nan
SUNOCO LP / SUNOCO FINANCE CORP Fixed Income 149,229.80 0.07 149,229.80 1.00 3.79 nan
PARKLAND CORP 144A Fixed Income 149,167.14 0.07 149,167.14 1.00 4.49 nan
SUNOCO LP Fixed Income 149,146.25 0.07 149,146.25 1.00 4.52 nan
ARDONAGH FINCO LTD 144A Fixed Income 149,104.48 0.07 149,104.48 1.00 4.76 nan
HELIOS SOFTWARE HOLDINGS INC 144A Fixed Income 149,041.82 0.07 149,041.82 1.00 3.44 nan
CSC HOLDINGS LLC 144A Fixed Income 148,749.42 0.07 148,749.42 1.00 2.47 nan
AMERIGAS PARTNERS LP/AMERIGAS FINA Fixed Income 148,331.70 0.07 148,331.70 1.00 1.42 nan
ENERGIZER HOLDINGS INC 144A Fixed Income 148,331.70 0.07 148,331.70 1.00 3.66 nan
ALBERTSONS COMPANIES INC MTN 144A Fixed Income 148,310.82 0.07 148,310.82 1.00 2.67 nan
TALLGRASS ENERGY PARTNERS LP 144A Fixed Income 148,269.04 0.07 148,269.04 1.00 2.67 nan
MINERAL RESOURCES LTD 144A Fixed Income 148,060.19 0.07 148,060.19 1.00 1.98 nan
CENTRAL PARENT LLC 144A Fixed Income 147,872.21 0.07 147,872.21 1.00 3.56 nan
SM ENERGY CO 144A Fixed Income 147,788.67 0.07 147,788.67 1.00 5.75 nan
BOMBARDIER INC 144A Fixed Income 147,726.01 0.07 147,726.01 1.00 5.05 nan
AMWINS GROUP INC 144A Fixed Income 147,642.47 0.07 147,642.47 1.00 3.41 nan
ROCKET MORTGAGE LLC 144A Fixed Income 147,496.27 0.07 147,496.27 1.00 3.64 nan
NRG ENERGY INC Fixed Income 147,329.18 0.07 147,329.18 1.00 2.67 nan
CALPINE CORP 144A Fixed Income 147,162.09 0.07 147,162.09 1.00 5.08 nan
MATADOR RESOURCES CO 144A Fixed Income 147,141.21 0.07 147,141.21 1.00 6.18 nan
ANTERO MIDSTREAM PARTNERS LP 144A Fixed Income 146,911.46 0.07 146,911.46 1.00 3.80 nan
HERTZ CORPORATION (THE) 144A Fixed Income 146,890.57 0.07 146,890.57 1.00 3.93 nan
ICAHN ENTERPRISES LP Fixed Income 146,827.92 0.07 146,827.92 1.00 3.22 nan
BOMBARDIER INC 144A Fixed Income 146,264.00 0.07 146,264.00 1.00 1.94 nan
GRAY TELEVISION INC 144A Fixed Income 146,180.45 0.07 146,180.45 1.00 4.91 nan
ARSENAL AIC PARENT LLC 144A Fixed Income 146,076.02 0.07 146,076.02 1.00 4.41 nan
MGM RESORTS INTERNATIONAL Fixed Income 145,992.48 0.07 145,992.48 1.00 3.29 nan
CHEMOURS COMPANY 144A Fixed Income 145,929.82 0.07 145,929.82 1.00 3.31 nan
ROCKET MORTGAGE LLC 144A Fixed Income 145,888.05 0.07 145,888.05 1.00 6.97 nan
CALPINE CORP 144A Fixed Income 145,867.16 0.07 145,867.16 1.00 5.21 nan
AMWINS GROUP INC 144A Fixed Income 145,825.39 0.07 145,825.39 1.00 3.87 nan
NORTHERN OIL AND GAS INC 144A Fixed Income 145,783.62 0.07 145,783.62 1.00 2.60 nan
VOC ESCROW LTD 144A Fixed Income 145,637.42 0.07 145,637.42 1.00 2.70 nan
AVANTOR FUNDING INC 144A Fixed Income 145,616.53 0.07 145,616.53 1.00 4.19 nan
CSC HOLDINGS LLC 144A Fixed Income 145,532.99 0.07 145,532.99 1.00 5.04 nan
REWORLD HOLDING CORP 144A Fixed Income 145,365.90 0.07 145,365.90 1.00 4.17 nan
NATIONSTAR MORTGAGE HOLDINGS INC 144A Fixed Income 145,324.13 0.07 145,324.13 1.00 3.85 nan
HILTON DOMESTIC OPERATING COMPANY 144A Fixed Income 145,094.39 0.07 145,094.39 1.00 3.81 nan
EDGEWELL PERSONAL CARE CO 144A Fixed Income 144,864.64 0.07 144,864.64 1.00 2.97 nan
LBM ACQUISITION LLC 144A Fixed Income 144,739.33 0.07 144,739.33 1.00 3.38 nan
PENNYMAC FINANCIAL SERVICES INC 144A Fixed Income 144,634.90 0.07 144,634.90 1.00 3.98 nan
STENA INTERNATIONAL SA 144A Fixed Income 144,530.47 0.07 144,530.47 1.00 4.77 nan
ROGERS COMMUNICATIONS INC 144A Fixed Income 144,321.61 0.07 144,321.61 1.00 1.69 nan
BOMBARDIER INC 144A Fixed Income 144,279.84 0.07 144,279.84 1.00 3.42 nan
ENCOMPASS HEALTH CORP Fixed Income 144,175.41 0.07 144,175.41 1.00 4.37 nan
MGM CHINA HOLDINGS LTD 144A Fixed Income 144,008.32 0.07 144,008.32 1.00 1.20 nan
GEO GROUP INC Fixed Income 143,653.26 0.07 143,653.26 1.00 3.42 nan
FOXTROT ESCROW ISSUER LLC 144A Fixed Income 143,590.60 0.07 143,590.60 1.00 1.50 nan
TEMPUR SEALY INTERNATIONAL INC 144A Fixed Income 143,486.17 0.07 143,486.17 1.00 3.74 nan
SERVICE PROPERTIES TRUST Fixed Income 143,319.08 0.07 143,319.08 1.00 3.54 nan
HESS MIDSTREAM OPERATIONS LP 144A Fixed Income 143,110.23 0.07 143,110.23 1.00 4.34 nan
LABL INC 144A Fixed Income 143,047.57 0.07 143,047.57 1.00 2.09 nan
ONEMAIN FINANCE CORP Fixed Income 143,047.57 0.07 143,047.57 1.00 4.07 nan
NAVIENT CORP Fixed Income 142,462.76 0.07 142,462.76 1.00 1.94 nan
W R GRACE HOLDINGS LLC 144A Fixed Income 142,420.99 0.07 142,420.99 1.00 2.18 nan
NCL CORPORATION LTD 144A Fixed Income 142,337.45 0.07 142,337.45 1.00 3.34 nan
GENESIS ENERGY LP Fixed Income 142,149.47 0.07 142,149.47 1.00 5.37 nan
ZF NORTH AMERICA CAPITAL INC 144A Fixed Income 142,065.93 0.07 142,065.93 1.00 5.45 nan
TRIVIUM PACKAGING FINANCE BV 144A Fixed Income 141,752.64 0.07 141,752.64 1.00 2.15 nan
SOTHEBYS 144A Fixed Income 141,627.33 0.07 141,627.33 1.00 2.37 nan
PARK INTERMEDIATE HOLDINGS LLC 144A Fixed Income 141,606.44 0.07 141,606.44 1.00 3.75 nan
MITER BRANDS ACQUISITION HOLDCO IN 144A Fixed Income 141,376.70 0.07 141,376.70 1.00 5.49 nan
ENCOMPASS HEALTH CORP Fixed Income 141,355.81 0.07 141,355.81 1.00 2.76 nan
GROUP 1 AUTOMOTIVE INC 144A Fixed Income 141,355.81 0.07 141,355.81 1.00 3.17 nan
MOLINA HEALTHCARE INC 144A Fixed Income 141,209.61 0.07 141,209.61 1.00 3.06 nan
AVIENT CORP 144A Fixed Income 140,958.98 0.07 140,958.98 1.00 4.51 nan
TKC HOLDINGS 144A Fixed Income 140,917.21 0.07 140,917.21 1.00 3.33 nan
CLEVELAND-CLIFFS INC 144A Fixed Income 140,666.57 0.07 140,666.57 1.00 4.23 nan
FRONTIER COMMUNICATIONS HOLDINGS L Fixed Income 140,666.57 0.07 140,666.57 1.00 4.03 nan
DIRECTV FINANCING LLC 144A Fixed Income 140,645.69 0.07 140,645.69 1.00 3.95 nan
PERRIGO FINANCE UNLIMITED CO Fixed Income 140,541.26 0.07 140,541.26 1.00 4.59 nan
NOVELIS CORP 144A Fixed Income 140,457.72 0.07 140,457.72 1.00 1.69 nan
HANESBRANDS INC 144A Fixed Income 140,353.29 0.07 140,353.29 1.00 4.47 nan
ALLIANT HOLDINGS INTERMEDIATE LLC 144A Fixed Income 139,998.23 0.07 139,998.23 1.00 5.65 nan
BALL CORPORATION Fixed Income 139,789.37 0.07 139,789.37 1.00 5.72 nan
CORNERSTONE BUILDING BRANDS INC 144A Fixed Income 139,768.48 0.07 139,768.48 1.00 2.93 nan
INEOS FINANCE PLC 144A Fixed Income 139,643.17 0.07 139,643.17 1.00 3.49 nan
NOVA CHEMICALS CORP 144A Fixed Income 139,476.08 0.07 139,476.08 1.00 3.90 nan
TRANSDIGM INC Fixed Income 139,204.56 0.07 139,204.56 1.00 3.71 nan
EQM MIDSTREAM PARTNERS LP 144A Fixed Income 139,100.13 0.07 139,100.13 1.00 3.55 nan
FORTRESS TRANSPORTATION AND INFRAS 144A Fixed Income 139,100.13 0.07 139,100.13 1.00 4.92 nan
CROWN AMERICAS LLC Fixed Income 138,891.27 0.07 138,891.27 1.00 0.96 nan
TRAVEL + LEISURE CO 144A Fixed Income 138,849.50 0.07 138,849.50 1.00 1.41 nan
HOWARD HUGHES CORP 144A Fixed Income 138,828.61 0.07 138,828.61 1.00 3.13 nan
LIFEPOINT HEALTH INC 144A Fixed Income 138,765.96 0.07 138,765.96 1.00 5.24 nan
SOUTH BOW CNDIAN INFRA (NC10.25) 144A Fixed Income 138,536.21 0.07 138,536.21 1.00 6.94 nan
KFC HOLDING CO/PIZZA HUT HOLDINGS 144A Fixed Income 138,452.67 0.07 138,452.67 1.00 2.15 nan
METHANEX CORPORATION Fixed Income 138,410.90 0.07 138,410.90 1.00 4.20 nan
GFL ENVIRONMENTAL INC 144A Fixed Income 138,390.01 0.07 138,390.01 1.00 3.85 nan
ATLAS LUXCO 4 SARL 144A Fixed Income 138,243.81 0.07 138,243.81 1.00 3.00 nan
CHURCHILL DOWNS INCORPORATED 144A Fixed Income 138,118.49 0.07 138,118.49 1.00 2.70 nan
NABORS INDUSTRIES INC 144A Fixed Income 137,846.98 0.07 137,846.98 1.00 3.97 nan
AVIENT CORP 144A Fixed Income 137,784.32 0.07 137,784.32 1.00 5.31 nan
BROOKFIELD PROPERTIES RETAIL HOLDI 144A Fixed Income 137,763.43 0.07 137,763.43 1.00 1.98 nan
LEVEL 3 FINANCING INC 144A Fixed Income 137,450.15 0.07 137,450.15 1.00 4.32 nan
RHP HOTEL PROPERTIES LP Fixed Income 137,324.83 0.07 137,324.83 1.00 2.46 nan
IHEARTCOMMUNICATIONS INC 144A Fixed Income 137,283.06 0.07 137,283.06 1.00 3.30 nan
TERRAFORM POWER OPERATING LLC 144A Fixed Income 137,178.63 0.07 137,178.63 1.00 4.29 nan
CENTRAL PARENT INC 144A Fixed Income 137,011.54 0.07 137,011.54 1.00 3.61 nan
GGAM FINANCE LIMITED 144A Fixed Income 136,865.34 0.07 136,865.34 1.00 1.98 nan
ALCOA NEDERLAND HOLDING BV 144A Fixed Income 136,844.45 0.07 136,844.45 1.00 2.60 nan
BURFORD CAPITAL GLOBAL FINANCE LLC 144A Fixed Income 136,677.37 0.07 136,677.37 1.00 4.81 nan
MCGRAW-HILL EDUCATION INC 144A Fixed Income 136,468.51 0.06 136,468.51 1.00 5.01 nan
SERVICE CORPORATION INTERNATIONAL Fixed Income 136,405.85 0.06 136,405.85 1.00 5.36 nan
ALLIANT HOLDINGS INTERMEDIATE LLC 144A Fixed Income 136,343.19 0.06 136,343.19 1.00 2.47 nan
TALLGRASS ENERGY PARTNERS LP 144A Fixed Income 136,343.19 0.06 136,343.19 1.00 4.85 nan
CITGO PETROLEUM CORPORATION 144A Fixed Income 136,196.99 0.06 136,196.99 1.00 1.28 nan
ONEMAIN FINANCE CORP Fixed Income 136,176.10 0.06 136,176.10 1.00 1.85 nan
ACRISURE LLC 144A Fixed Income 135,883.70 0.06 135,883.70 1.00 3.56 nan
MINERAL RESOURCES LTD 144A Fixed Income 135,695.73 0.06 135,695.73 1.00 4.11 nan
TALOS PRODUCTION INC 144A Fixed Income 135,674.84 0.06 135,674.84 1.00 3.32 nan
PIKE CORP 144A Fixed Income 135,528.64 0.06 135,528.64 1.00 3.12 nan
MGM RESORTS INTERNATIONAL Fixed Income 135,507.76 0.06 135,507.76 1.00 2.01 nan
SPIRIT AEROSYSTEMS INC Fixed Income 135,507.76 0.06 135,507.76 1.00 3.04 nan
MICHAELS COMPANIES INC 144A Fixed Income 135,361.55 0.06 135,361.55 1.00 2.73 nan
LAMB WESTON HOLDINGS INC 144A Fixed Income 135,173.58 0.06 135,173.58 1.00 5.86 nan
ARDAGH METAL PACKAGING FINANCE USA 144A Fixed Income 135,069.15 0.06 135,069.15 1.00 2.16 nan
UNITED RENTALS (NORTH AMERICA) INC Fixed Income 134,943.84 0.06 134,943.84 1.00 2.57 nan
ONEMAIN FINANCE CORP Fixed Income 134,651.43 0.06 134,651.43 1.00 4.10 nan
MGM CHINA HOLDINGS LTD 144A Fixed Income 134,630.55 0.06 134,630.55 1.00 1.87 nan
1011778 BC UNLIMITED LIABILITY CO 144A Fixed Income 134,526.12 0.06 134,526.12 1.00 2.69 nan
UNITED RENTALS (NORTH AMERICA) INC Fixed Income 134,421.69 0.06 134,421.69 1.00 4.78 nan
INTESA SANPAOLO SPA 144A Fixed Income 134,379.92 0.06 134,379.92 1.00 5.36 nan
GFL ENVIRONMENTAL INC 144A Fixed Income 134,212.83 0.06 134,212.83 1.00 3.25 nan
CUSHMAN & WAKEFIELD US BORROWER LL 144A Fixed Income 134,108.40 0.06 134,108.40 1.00 2.87 nan
HOWARD MIDSTREAM ENERGY PARTNERS L 144A Fixed Income 134,024.86 0.06 134,024.86 1.00 5.69 nan
PARK INTERMEDIATE HOLDINGS LLC 144A Fixed Income 133,962.20 0.06 133,962.20 1.00 3.18 nan
GAP INC 144A Fixed Income 133,732.45 0.06 133,732.45 1.00 5.61 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 133,252.08 0.06 133,252.08 1.00 2.49 nan
GOEASY LTD 144A Fixed Income 133,168.53 0.06 133,168.53 1.00 3.17 nan
VF CORPORATION Fixed Income 133,126.76 0.06 133,126.76 1.00 4.66 nan
NOVELIS CORP 144A Fixed Income 133,001.45 0.06 133,001.45 1.00 5.48 nan
SCIH SALT HOLDINGS INC 144A Fixed Income 132,876.13 0.06 132,876.13 1.00 3.56 nan
LIGHT AND WONDER INTERNATIONAL INC 144A Fixed Income 132,709.04 0.06 132,709.04 1.00 2.85 nan
FMG RESOURCES (AUGUST 2006) PTY LT 144A Fixed Income 132,562.84 0.06 132,562.84 1.00 2.39 nan
SONIC AUTOMOTIVE INC 144A Fixed Income 132,500.19 0.06 132,500.19 1.00 4.16 nan
COMMSCOPE TECHNOLOGIES LLC 144A Fixed Income 132,416.64 0.06 132,416.64 1.00 1.89 nan
CREDIT ACCEPTANCE CORPORATION 144A Fixed Income 132,416.64 0.06 132,416.64 1.00 3.20 nan
EQM MIDSTREAM PARTNERS LP 144A Fixed Income 132,353.98 0.06 132,353.98 1.00 4.35 nan
NRG ENERGY INC 144A Fixed Income 132,312.21 0.06 132,312.21 1.00 3.81 nan
METHANEX US OPERATIONS INC 144A Fixed Income 132,249.55 0.06 132,249.55 1.00 5.60 nan
SABRE GLBL INC 144A Fixed Income 132,186.90 0.06 132,186.90 1.00 2.00 nan
COMMSCOPE LLC 144A Fixed Income 132,061.58 0.06 132,061.58 1.00 2.90 nan
IRON MOUNTAIN INFORMATION MANAGEME 144A Fixed Income 132,040.70 0.06 132,040.70 1.00 6.00 nan
GENESIS ENERGY LP Fixed Income 131,894.49 0.06 131,894.49 1.00 2.63 nan
MPT OPERATING PARTNERSHIP LP Fixed Income 131,685.64 0.06 131,685.64 1.00 3.82 nan
GOODYEAR TIRE & RUBBER COMPANY (TH Fixed Income 131,497.66 0.06 131,497.66 1.00 1.94 nan
PERMIAN RESOURCES OPERATING LLC 144A Fixed Income 131,435.00 0.06 131,435.00 1.00 3.81 nan
BUCKEYE PARTNERS LP 144A Fixed Income 131,393.23 0.06 131,393.23 1.00 3.74 nan
ASSUREDPARTNERS INC 144A Fixed Income 131,142.60 0.06 131,142.60 1.00 3.50 nan
OUTFRONT MEDIA CAPITAL LLC 144A Fixed Income 131,017.29 0.06 131,017.29 1.00 2.29 nan
CHURCHILL DOWNS INCORPORATED 144A Fixed Income 130,996.40 0.06 130,996.40 1.00 4.96 nan
ARCOSA INC 144A Fixed Income 130,808.43 0.06 130,808.43 1.00 5.67 nan
TEMPUR SEALY INTERNATIONAL INC 144A Fixed Income 130,766.66 0.06 130,766.66 1.00 5.66 nan
FERRELLGAS LP 144A Fixed Income 130,683.11 0.06 130,683.11 1.00 1.09 nan
AMERICAN AIRLINES INC 144A Fixed Income 130,662.23 0.06 130,662.23 1.00 2.61 nan
LCPR SENIOR SECURED FINANCING DAC 144A Fixed Income 130,599.57 0.06 130,599.57 1.00 3.76 nan
RADIOLOGY PARTNERS INC 144A Fixed Income 130,181.85 0.06 130,181.85 1.00 3.34 nan
EQUIPMENTSHARECOM INC 144A Fixed Income 129,952.10 0.06 129,952.10 1.00 5.33 nan
NATIONSTAR MORTGAGE HOLDINGS INC 144A Fixed Income 129,889.45 0.06 129,889.45 1.00 1.81 nan
CCO HOLDINGS LLC 144A Fixed Income 129,785.02 0.06 129,785.02 1.00 1.17 nan
UNITED RENTALS (NORTH AMERICA) INC Fixed Income 129,785.02 0.06 129,785.02 1.00 4.29 nan
PACTIV EVERGREEN GROUP ISSUER INC 144A Fixed Income 129,638.82 0.06 129,638.82 1.00 3.34 nan
TEVA PHARMACEUTICAL FINANCE NETHER Fixed Income 129,471.73 0.06 129,471.73 1.00 3.77 nan
PENNYMAC FINANCIAL SERVICES INC 144A Fixed Income 129,450.84 0.06 129,450.84 1.00 4.62 nan
SENSATA TECHNOLOGIES INC 144A Fixed Income 129,450.84 0.06 129,450.84 1.00 5.14 nan
OLIN CORP Fixed Income 129,304.64 0.06 129,304.64 1.00 3.90 nan
MOLINA HEALTHCARE INC 144A Fixed Income 129,054.01 0.06 129,054.01 1.00 6.11 nan
STARWOOD PROPERTY TRUST INC 144A Fixed Income 129,033.13 0.06 129,033.13 1.00 3.48 nan
ZF NORTH AMERICA CAPITAL INC 144A Fixed Income 128,991.35 0.06 128,991.35 1.00 4.19 nan
FMG RESOURCES (AUGUST 2006) PTY LT 144A Fixed Income 128,657.18 0.06 128,657.18 1.00 4.34 nan
GOEASY LTD 144A Fixed Income 128,636.29 0.06 128,636.29 1.00 3.68 nan
GEN DIGITAL INC 144A Fixed Income 128,594.52 0.06 128,594.52 1.00 4.51 nan
STATION CASINOS LLC 144A Fixed Income 128,218.57 0.06 128,218.57 1.00 2.72 nan
ANTERO MIDSTREAM PARTNERS LP 144A Fixed Income 127,926.17 0.06 127,926.17 1.00 2.67 nan
LIGHT AND WONDER INTERNATIONAL INC 144A Fixed Income 127,612.88 0.06 127,612.88 1.00 5.01 nan
TERRAFORM POWER OPERATING LLC 144A Fixed Income 127,383.14 0.06 127,383.14 1.00 2.72 nan
BUCKEYE PARTNERS LP Fixed Income 126,860.99 0.06 126,860.99 1.00 1.72 nan
TRAVEL + LEISURE CO 144A Fixed Income 126,735.68 0.06 126,735.68 1.00 4.22 nan
1011778 BC UNLIMITED LIABILITY CO 144A Fixed Income 126,631.25 0.06 126,631.25 1.00 3.62 nan
TALOS PRODUCTION INC 144A Fixed Income 126,589.47 0.06 126,589.47 1.00 4.55 nan
HILCORP ENERGY I LP 144A Fixed Income 126,464.16 0.06 126,464.16 1.00 6.06 nan
COINBASE GLOBAL INC 144A Fixed Income 126,443.27 0.06 126,443.27 1.00 5.65 nan
CNX RESOURCES CORP 144A Fixed Income 126,422.39 0.06 126,422.39 1.00 5.32 nan
EQM MIDSTREAM PARTNERS LP 144A Fixed Income 126,317.96 0.06 126,317.96 1.00 3.54 nan
UNITED RENTALS (NORTH AMERICA) INC Fixed Income 126,234.41 0.06 126,234.41 1.00 5.94 nan
GGAM FINANCE LIMITED 144A Fixed Income 125,712.27 0.06 125,712.27 1.00 2.91 nan
XEROX HOLDINGS CORP 144A Fixed Income 125,503.41 0.06 125,503.41 1.00 2.97 nan
CHURCHILL DOWNS INCORPORATED 144A Fixed Income 125,106.57 0.06 125,106.57 1.00 1.97 nan
SUMMIT MATERIALS LLC 144A Fixed Income 124,981.26 0.06 124,981.26 1.00 4.83 nan
OWENS-BROCKWAY GLASS CONTAINER INC 144A Fixed Income 124,939.49 0.06 124,939.49 1.00 4.86 nan
RADIOLOGY PARTNERS INC 144A Fixed Income 124,897.72 0.06 124,897.72 1.00 3.83 nan
METHANEX CORPORATION Fixed Income 124,647.08 0.06 124,647.08 1.00 2.45 nan
GFL ENVIRONMENTAL INC 144A Fixed Income 124,542.66 0.06 124,542.66 1.00 3.23 nan
HESS MIDSTREAM OPERATIONS LP 144A Fixed Income 124,292.02 0.06 124,292.02 1.00 3.70 nan
ASCENT RESOURCES UTICA HOLDINGS LL 144A Fixed Income 124,062.28 0.06 124,062.28 1.00 5.85 nan
STAPLES INC 144A Fixed Income 123,707.22 0.06 123,707.22 1.00 3.28 nan
GENESIS ENERGY LP Fixed Income 123,540.13 0.06 123,540.13 1.00 5.92 nan
NCR VOYIX CORP 144A Fixed Income 123,393.93 0.06 123,393.93 1.00 3.23 nan
UNITI GROUP LP 144A Fixed Income 123,268.62 0.06 123,268.62 1.00 4.10 nan
GLOBAL ATLANTIC (FIN) CO 144A Fixed Income 122,725.58 0.06 122,725.58 1.00 3.38 nan
HUGHES SATELLITE SYSTEMS CORP Fixed Income 122,474.95 0.06 122,474.95 1.00 1.36 nan
ARSENAL AIC PARENT LLC 144A Fixed Income 122,349.64 0.06 122,349.64 1.00 4.57 nan
TEREX CORPORATION 144A Fixed Income 122,203.43 0.06 122,203.43 1.00 3.75 nan
INTERNATIONAL GAME TECHNOLOGY PLC 144A Fixed Income 121,576.86 0.06 121,576.86 1.00 1.14 nan
SUBURBAN PROPANE PARTNERS L.P/SUBU 144A Fixed Income 121,514.20 0.06 121,514.20 1.00 5.22 nan
PARAMOUNT GLOBAL Fixed Income 121,472.43 0.06 121,472.43 1.00 10.84 nan
BEACON ROOFING SUPPLY INC 144A Fixed Income 120,824.96 0.06 120,824.96 1.00 4.59 nan
PRA GROUP INC 144A Fixed Income 120,804.08 0.06 120,804.08 1.00 4.00 nan
MINERAL RESOURCES LTD 144A Fixed Income 120,281.93 0.06 120,281.93 1.00 2.39 nan
TEVA PHARMACEUTICAL FINANCE NETHER Fixed Income 120,114.84 0.06 120,114.84 1.00 5.04 nan
AXALTA COATING SYSTEMS LLC 144A Fixed Income 120,052.19 0.06 120,052.19 1.00 3.63 nan
XPO INC 144A Fixed Income 120,052.19 0.06 120,052.19 1.00 5.47 nan
CVR ENERGY INC 144A Fixed Income 119,989.53 0.06 119,989.53 1.00 3.14 nan
LIFEPOINT HEALTH INC 144A Fixed Income 119,467.38 0.06 119,467.38 1.00 1.89 nan
ANTERO MIDSTREAM PARTNERS LP / ANT 144A Fixed Income 119,446.49 0.06 119,446.49 1.00 1.89 nan
MOLINA HEALTHCARE INC 144A Fixed Income 119,446.49 0.06 119,446.49 1.00 5.01 nan
HOWARD HUGHES CORP 144A Fixed Income 119,237.64 0.06 119,237.64 1.00 3.59 nan
MADISON IAQ LLC 144A Fixed Income 118,631.94 0.06 118,631.94 1.00 3.11 nan
ICAHN ENTERPRISES LP Fixed Income 118,506.63 0.06 118,506.63 1.00 3.53 nan
ARDAGH PACKAGING FINANCE PLC 144A Fixed Income 118,360.43 0.06 118,360.43 1.00 1.98 nan
FREEDOM MORTGAGE CORP 144A Fixed Income 118,193.34 0.06 118,193.34 1.00 3.99 nan
LADDER CAPITAL FINANCE HOLDINGS LL 144A Fixed Income 117,942.71 0.06 117,942.71 1.00 1.88 nan
KENNEDY-WILSON INC Fixed Income 117,712.96 0.06 117,712.96 1.00 4.22 nan
AMERICAN BUILDERS & CONTRACTORS SU 144A Fixed Income 117,462.33 0.06 117,462.33 1.00 2.73 nan
UNITI GROUP LP 144A Fixed Income 117,399.68 0.06 117,399.68 1.00 2.86 nan
TENET HEALTHCARE CORP Fixed Income 117,002.84 0.06 117,002.84 1.00 3.05 nan
NATIONSTAR MORTGAGE HOLDINGS INC 144A Fixed Income 116,981.96 0.06 116,981.96 1.00 4.93 nan
GO DADDY OPERATING COMPANY LLC 144A Fixed Income 116,856.64 0.06 116,856.64 1.00 2.57 nan
ASBURY AUTOMOTIVE GROUP INC. 144A Fixed Income 116,835.76 0.06 116,835.76 1.00 5.72 nan
ENERGEAN ISRAEL FINANCE LTD Fixed Income 116,731.33 0.06 116,731.33 1.00 2.79 nan
ARDAGH METAL PACKAGING FINANCE USA 144A Fixed Income 116,668.67 0.06 116,668.67 1.00 3.26 nan
CAESARS ENTERTAINMENT INC 144A Fixed Income 116,585.13 0.06 116,585.13 1.00 2.14 nan
NAVIENT CORP Fixed Income 116,376.27 0.06 116,376.27 1.00 4.30 nan
ANYWHERE REAL ESTATE GROUP LLC 144A Fixed Income 116,376.27 0.06 116,376.27 1.00 4.12 nan
CHART INDUSTRIES INC 144A Fixed Income 116,355.38 0.06 116,355.38 1.00 4.50 nan
GLOBAL AUTO HOLDINGS PLC 144A Fixed Income 116,062.98 0.06 116,062.98 1.00 3.41 nan
QVC INC 144A Fixed Income 115,916.78 0.06 115,916.78 1.00 3.35 nan
ALBERTSONS COS LLC/SAFEWAY INC/NEW 144A Fixed Income 115,854.12 0.06 115,854.12 1.00 1.03 nan
GENESIS ENERGY LP Fixed Income 115,457.29 0.05 115,457.29 1.00 3.32 nan
ANTERO MIDSTREAM PARTNERS LP 144A Fixed Income 115,394.63 0.05 115,394.63 1.00 5.55 nan
NAVIENT CORP Fixed Income 115,248.43 0.05 115,248.43 1.00 4.29 nan
NEWELL BRANDS INC Fixed Income 114,684.51 0.05 114,684.51 1.00 5.64 nan
NUSTAR LOGISTICS LP Fixed Income 114,684.51 0.05 114,684.51 1.00 2.05 nan
LEVEL 3 FINANCING INC 144A Fixed Income 114,642.74 0.05 114,642.74 1.00 4.38 nan
PENNYMAC FINANCIAL SERVICES INC 144A Fixed Income 114,642.74 0.05 114,642.74 1.00 3.55 nan
HOWARD HUGHES CORP 144A Fixed Income 114,600.96 0.05 114,600.96 1.00 5.11 nan
BRITISH TELECOMMUNICATIONS PLC NC5 144A Fixed Income 114,496.53 0.05 114,496.53 1.00 1.68 nan
OPEN TEXT HOLDINGS INC 144A Fixed Income 114,225.02 0.05 114,225.02 1.00 5.74 nan
NUSTAR LOGISTICS LP Fixed Income 114,141.47 0.05 114,141.47 1.00 5.35 nan
ENERGEAN ISRAEL FINANCE LTD Fixed Income 114,099.70 0.05 114,099.70 1.00 1.09 nan
BROOKFIELD RESIDENTIAL PROPERTIES 144A Fixed Income 114,078.82 0.05 114,078.82 1.00 2.32 nan
EUSHI FINANCE INC Fixed Income 114,016.16 0.05 114,016.16 1.00 2.17 nan
LEVIATHAN BOND LTD Fixed Income 113,744.64 0.05 113,744.64 1.00 2.18 nan
HILCORP ENERGY I LP/HILCORP FINANC 144A Fixed Income 113,702.87 0.05 113,702.87 1.00 3.24 nan
POST HOLDINGS INC 144A Fixed Income 113,598.44 0.05 113,598.44 1.00 7.01 nan
LADDER CAPITAL FINANCE HOLDINGS LL 144A Fixed Income 113,452.24 0.05 113,452.24 1.00 3.84 nan
VIASAT INC 144A Fixed Income 113,410.47 0.05 113,410.47 1.00 1.99 nan
IHEARTCOMMUNICATIONS INC 144A Fixed Income 113,159.84 0.05 113,159.84 1.00 4.17 nan
NORTHERN OIL AND GAS INC 144A Fixed Income 112,971.86 0.05 112,971.86 1.00 4.81 nan
MATTAMY GROUP CORP 144A Fixed Income 112,930.09 0.05 112,930.09 1.00 4.33 nan
ALBION FINANCING 1 SARL 144A Fixed Income 112,554.15 0.05 112,554.15 1.00 1.57 nan
RITCHIE BROS HOLDINGS INC 144A Fixed Income 112,554.15 0.05 112,554.15 1.00 2.72 nan
SUMMIT MATERIALS LLC 144A Fixed Income 112,533.26 0.05 112,533.26 1.00 3.53 nan
NATIONSTAR MORTGAGE HOLDINGS INC 144A Fixed Income 112,303.51 0.05 112,303.51 1.00 5.44 nan
ROCKIES EXPRESS PIPELINE LLC 144A Fixed Income 112,115.54 0.05 112,115.54 1.00 3.91 nan
CHEMOURS COMPANY 144A Fixed Income 112,094.66 0.05 112,094.66 1.00 4.11 nan
HOWDEN UK REFINANCE 2 PLC 144A Fixed Income 111,927.57 0.05 111,927.57 1.00 5.13 nan
BRINKS CO 144A Fixed Income 111,781.37 0.05 111,781.37 1.00 2.46 nan
PARK INTERMEDIATE HOLDINGS LLC 144A Fixed Income 111,718.71 0.05 111,718.71 1.00 4.17 nan
ENERGEAN ISRAEL FINANCE LTD Fixed Income 111,593.39 0.05 111,593.39 1.00 4.91 nan
ASP UNIFRAX HOLDINGS INC 144A Fixed Income 111,509.85 0.05 111,509.85 1.00 3.61 nan
CALPINE CORP 144A Fixed Income 111,133.90 0.05 111,133.90 1.00 3.58 nan
KENNEDY-WILSON INC Fixed Income 110,966.82 0.05 110,966.82 1.00 3.54 nan
GRAY TELEVISION INC 144A Fixed Income 110,862.39 0.05 110,862.39 1.00 2.04 nan
AVIS BUDGET CAR RENTAL LLC 144A Fixed Income 110,695.30 0.05 110,695.30 1.00 3.50 nan
BAYTEX ENERGY CORP 144A Fixed Income 110,695.30 0.05 110,695.30 1.00 5.29 nan
WILLIAMS SCOTSMAN INC 144A Fixed Income 110,674.41 0.05 110,674.41 1.00 5.12 nan
OPTICS BIDCO SPA 144A Fixed Income 110,423.78 0.05 110,423.78 1.00 8.28 nan
AMERICAN AXLE & MANUFACTURING INC Fixed Income 110,340.24 0.05 110,340.24 1.00 3.96 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 110,110.49 0.05 110,110.49 1.00 3.39 nan
TELEFLEX INCORPORATED 144A Fixed Income 109,943.41 0.05 109,943.41 1.00 3.03 nan
HILLENBRAND INC Fixed Income 109,818.09 0.05 109,818.09 1.00 3.43 nan
CLEVELAND-CLIFFS INC Fixed Income 109,797.21 0.05 109,797.21 1.00 2.13 nan
GOODYEAR TIRE & RUBBER COMPANY (TH Fixed Income 109,797.21 0.05 109,797.21 1.00 5.29 nan
NABORS INDUSTRIES INC 144A Fixed Income 109,692.78 0.05 109,692.78 1.00 4.58 nan
NOVA CHEMICALS CORP 144A Fixed Income 109,692.78 0.05 109,692.78 1.00 3.81 nan
IQVIA INC 144A Fixed Income 109,609.23 0.05 109,609.23 1.00 4.37 nan
BAUSCH HEALTH AMERICAS INC 144A Fixed Income 109,588.35 0.05 109,588.35 1.00 1.03 nan
UNITED WHOLESALE MORTGAGE LLC 144A Fixed Income 109,316.83 0.05 109,316.83 1.00 2.16 nan
TEGNA INC 144A Fixed Income 109,212.40 0.05 109,212.40 1.00 1.05 nan
MELCO RESORTS FINANCE LTD 144A Fixed Income 109,149.74 0.05 109,149.74 1.00 2.25 nan
HILTON DOMESTIC OPERATING COMPANY 144A Fixed Income 109,107.97 0.05 109,107.97 1.00 3.58 nan
ZF NORTH AMERICA CAPITAL INC 144A Fixed Income 109,087.09 0.05 109,087.09 1.00 2.77 nan
PREMIER ENTERTAINMENT SUB LLC 144A Fixed Income 109,024.43 0.05 109,024.43 1.00 3.64 nan
SUNOCO LP Fixed Income 108,899.11 0.05 108,899.11 1.00 2.00 nan
OWENS-BROCKWAY GLASS CONTAINER INC 144A Fixed Income 108,752.91 0.05 108,752.91 1.00 2.06 nan
CORNERSTONE BUILDING BRANDS INC 144A Fixed Income 108,732.02 0.05 108,732.02 1.00 3.44 nan
LAMAR MEDIA CORP Fixed Income 108,564.94 0.05 108,564.94 1.00 2.81 nan
MGM CHINA HOLDINGS LTD 144A Fixed Income 108,397.85 0.05 108,397.85 1.00 5.06 nan
IRON MOUNTAIN INC 144A Fixed Income 108,376.96 0.05 108,376.96 1.00 5.96 nan
ENCINO ACQUISITION PARTNERS HOLDIN 144A Fixed Income 108,105.45 0.05 108,105.45 1.00 4.71 nan
SILGAN HOLDINGS INC Fixed Income 107,875.70 0.05 107,875.70 1.00 2.73 nan
CLEVELAND-CLIFFS INC 144A Fixed Income 107,813.04 0.05 107,813.04 1.00 5.15 nan
NCL FINANCE LTD 144A Fixed Income 107,792.16 0.05 107,792.16 1.00 2.74 nan
ENERGIZER HOLDINGS INC 144A Fixed Income 107,625.07 0.05 107,625.07 1.00 3.03 nan
GRAPHIC PACKAGING INTERNATIONAL LL 144A Fixed Income 107,478.87 0.05 107,478.87 1.00 5.85 nan
MATADOR RESOURCES CO 144A Fixed Income 107,478.87 0.05 107,478.87 1.00 2.79 nan
CREDIT ACCEPTANCE CORPORATION Fixed Income 107,437.10 0.05 107,437.10 1.00 1.03 nan
NEWELL BRANDS INC Fixed Income 107,437.10 0.05 107,437.10 1.00 2.33 nan
BLUE RACER MIDSTREAM LLC 144A Fixed Income 107,395.33 0.05 107,395.33 1.00 3.78 nan
FIRSTCASH INC 144A Fixed Income 107,290.90 0.05 107,290.90 1.00 5.39 nan
AG ISSUER LLC 144A Fixed Income 107,144.70 0.05 107,144.70 1.00 2.69 nan
GROUP 1 AUTOMOTIVE INC 144A Fixed Income 107,019.38 0.05 107,019.38 1.00 4.19 nan
US FOODS INC 144A Fixed Income 107,019.38 0.05 107,019.38 1.00 6.31 nan
HARVEST MIDSTREAM I LP 144A Fixed Income 106,998.49 0.05 106,998.49 1.00 5.50 nan
KENNEDY-WILSON INC Fixed Income 106,831.41 0.05 106,831.41 1.00 4.95 nan
BAUSCH HEALTH AMERICAS INC 144A Fixed Income 106,831.41 0.05 106,831.41 1.00 1.71 nan
SIX FLAGS ENTERTAINMENT CORP Fixed Income 106,810.52 0.05 106,810.52 1.00 2.01 nan
RHP HOTEL PROPERTIES LP 144A Fixed Income 106,810.52 0.05 106,810.52 1.00 3.54 nan
HESS MIDSTREAM OPERATIONS LP 144A Fixed Income 106,747.86 0.05 106,747.86 1.00 3.03 nan
ORGANON & CO 144A Fixed Income 106,622.55 0.05 106,622.55 1.00 6.42 nan
PRESTIGE BRANDS INC 144A Fixed Income 106,497.23 0.05 106,497.23 1.00 5.29 nan
GARDA WORLD SECURITY CORP 144A Fixed Income 106,392.80 0.05 106,392.80 1.00 5.54 nan
PILGRIMS PRIDE CORP Fixed Income 106,392.80 0.05 106,392.80 1.00 6.80 nan
FORTRESS TRANSPORTATION AND INFRAS 144A Fixed Income 106,330.15 0.05 106,330.15 1.00 6.25 nan
SUNOCO LP 144A Fixed Income 106,309.26 0.05 106,309.26 1.00 3.09 nan
VISTAJET MALTA FINANCE PLC 144A Fixed Income 106,267.49 0.05 106,267.49 1.00 2.77 nan
GARDA WORLD SECURITY CORP 144A Fixed Income 105,995.97 0.05 105,995.97 1.00 1.87 nan
GLOBAL PARTNERS LP 144A Fixed Income 105,933.31 0.05 105,933.31 1.00 5.24 nan
JAGUAR LAND ROVER AUTOMOTIVE PLC 144A Fixed Income 105,599.14 0.05 105,599.14 1.00 2.66 nan
HILCORP ENERGY I LP 144A Fixed Income 105,306.74 0.05 105,306.74 1.00 4.92 nan
VIASAT INC 144A Fixed Income 105,244.08 0.05 105,244.08 1.00 4.47 nan
EQUIPMENTSHARECOM INC 144A Fixed Income 105,223.19 0.05 105,223.19 1.00 5.77 nan
LEVIATHAN BOND LTD Fixed Income 104,951.68 0.05 104,951.68 1.00 4.42 nan
VIRGIN MEDIA VENDOR FINANCING NOTE 144A Fixed Income 104,847.25 0.05 104,847.25 1.00 3.10 nan
LAMAR MEDIA CORP Fixed Income 104,805.47 0.05 104,805.47 1.00 5.15 nan
OWENS & MINOR INC 144A Fixed Income 104,784.59 0.05 104,784.59 1.00 4.16 nan
RAKUTEN GROUP INC 144A Fixed Income 104,387.76 0.05 104,387.76 1.00 3.80 nan
FREEDOM MORTGAGE CORP 144A Fixed Income 104,325.10 0.05 104,325.10 1.00 1.80 nan
LEVEL 3 FINANCING INC 144A Fixed Income 104,137.13 0.05 104,137.13 1.00 3.70 nan
HILCORP ENERGY I LP 144A Fixed Income 104,116.24 0.05 104,116.24 1.00 3.50 nan
PARKLAND CORP 144A Fixed Income 103,970.04 0.05 103,970.04 1.00 5.68 nan
ALLY FINANCIAL INC Fixed Income 103,886.49 0.05 103,886.49 1.00 5.98 nan
SIX FLAGS ENTERTAINMENT CORP Fixed Income 103,886.49 0.05 103,886.49 1.00 3.89 nan
KAISER ALUMINUM CORPORATION 144A Fixed Income 103,802.95 0.05 103,802.95 1.00 5.30 nan
RLJ LODGING TRUST LP 144A Fixed Income 103,802.95 0.05 103,802.95 1.00 4.05 nan
SM ENERGY CO Fixed Income 103,802.95 0.05 103,802.95 1.00 1.80 nan
NOVELIS CORP 144A Fixed Income 103,782.07 0.05 103,782.07 1.00 4.17 nan
CINEMARK USA INC 144A Fixed Income 103,677.64 0.05 103,677.64 1.00 5.79 nan
CHOBANI LLC 144A Fixed Income 103,510.55 0.05 103,510.55 1.00 3.70 nan
KRONOS ACQUISITION HOLDINGS INC 144A Fixed Income 103,406.12 0.05 103,406.12 1.00 4.80 nan
WYNN MACAU LTD 144A Fixed Income 103,322.58 0.05 103,322.58 1.00 0.91 nan
ENCORE CAPITAL GROUP INC. 144A Fixed Income 103,239.03 0.05 103,239.03 1.00 3.35 nan
BLUE RACER MIDSTREAM LLC 144A Fixed Income 103,134.60 0.05 103,134.60 1.00 5.72 nan
NAVIENT CORP Fixed Income 102,967.51 0.05 102,967.51 1.00 1.28 nan
FIRSTCASH INC 144A Fixed Income 102,946.63 0.05 102,946.63 1.00 4.20 nan
OPTICS BIDCO SPA 144A Fixed Income 102,883.97 0.05 102,883.97 1.00 6.54 nan
DARLING INGREDIENTS INC 144A Fixed Income 102,821.31 0.05 102,821.31 1.00 2.02 nan
LAMAR MEDIA CORP Fixed Income 102,716.88 0.05 102,716.88 1.00 4.43 nan
B&G FOODS INC Fixed Income 102,696.00 0.05 102,696.00 1.00 2.34 nan
ORGANON & CO 144A Fixed Income 102,591.57 0.05 102,591.57 1.00 6.72 nan
HUGHES SATELLITE SYSTEMS CORP Fixed Income 102,528.91 0.05 102,528.91 1.00 1.22 nan
KAISER ALUMINUM CORPORATION 144A Fixed Income 102,508.02 0.05 102,508.02 1.00 2.76 nan
TRANSOCEAN INC 144A Fixed Income 102,340.94 0.05 102,340.94 1.00 1.81 nan
JANE STREET GROUP LLC 144A Fixed Income 102,257.39 0.05 102,257.39 1.00 4.17 nan
CROWN AMERICAS LLC Fixed Income 102,215.62 0.05 102,215.62 1.00 4.37 nan
AES CORPORATION (THE) Fixed Income 102,111.19 0.05 102,111.19 1.00 4.36 nan
CLEAN HARBORS INC 144A Fixed Income 102,048.53 0.05 102,048.53 1.00 2.27 nan
EMRLD BORROWER LP 144A Fixed Income 101,964.99 0.05 101,964.99 1.00 5.16 nan
GENESIS ENERGY LP Fixed Income 101,944.11 0.05 101,944.11 1.00 4.03 nan
SENSATA TECHNOLOGIES INC 144A Fixed Income 101,818.79 0.05 101,818.79 1.00 5.79 nan
IHO VERWALTUNGS GMBH 144A Fixed Income 101,651.70 0.05 101,651.70 1.00 4.49 nan
TALLGRASS ENERGY PARTNERS LP 144A Fixed Income 101,547.27 0.05 101,547.27 1.00 1.88 nan
GLOBAL AUTO HOLDINGS PLC 144A Fixed Income 101,401.07 0.05 101,401.07 1.00 3.24 nan
OPTICS BIDCO SPA 144A Fixed Income 101,380.19 0.05 101,380.19 1.00 7.73 nan
NEXTERA ENERGY OPERATING PARTNERS 144A Fixed Income 101,213.10 0.05 101,213.10 1.00 2.37 nan
CQP HOLDCO LP 144A Fixed Income 101,171.33 0.05 101,171.33 1.00 6.43 nan
VIKING CRUISES LTD 144A Fixed Income 101,129.56 0.05 101,129.56 1.00 3.36 nan
TAYLOR MORRISON COMMUNITIES INC 144A Fixed Income 100,795.38 0.05 100,795.38 1.00 4.70 nan
BUCKEYE PARTNERS LP 144A Fixed Income 100,753.61 0.05 100,753.61 1.00 2.77 nan
PREMIER ENTERTAINMENT SUB LLC 144A Fixed Income 100,732.72 0.05 100,732.72 1.00 4.76 nan
NEWELL BRANDS INC Fixed Income 100,670.07 0.05 100,670.07 1.00 3.85 nan
CLEAN HARBORS INC 144A Fixed Income 100,586.52 0.05 100,586.52 1.00 4.93 nan
ONEMAIN FINANCE CORP Fixed Income 100,565.64 0.05 100,565.64 1.00 3.25 nan
US FOODS INC 144A Fixed Income 100,565.64 0.05 100,565.64 1.00 3.09 nan
CNX RESOURCES CORP 144A Fixed Income 100,210.58 0.05 100,210.58 1.00 3.45 nan
HILTON DOMESTIC OPERATING COMPANY Fixed Income 100,210.58 0.05 100,210.58 1.00 1.99 nan
RANGE RESOURCES CORPORATION 144A Fixed Income 100,189.69 0.05 100,189.69 1.00 4.29 nan
STATION CASINOS LLC 144A Fixed Income 100,168.80 0.05 100,168.80 1.00 5.47 nan
ROCKET SOFTWARE INC 144A Fixed Income 100,106.15 0.05 100,106.15 1.00 3.35 nan
OUTFRONT MEDIA CAPITAL LLC 144A Fixed Income 100,001.72 0.05 100,001.72 1.00 4.37 nan
ADAPTHEALTH LLC 144A Fixed Income 99,939.06 0.05 99,939.06 1.00 4.26 nan
SINCLAIR TELEVISION GROUP INC 144A Fixed Income 99,855.51 0.05 99,855.51 1.00 4.76 nan
HILCORP ENERGY I LP 144A Fixed Income 99,771.97 0.05 99,771.97 1.00 6.61 nan
FIRSTCASH INC 144A Fixed Income 99,730.20 0.05 99,730.20 1.00 3.17 nan
HOWARD MIDSTREAM ENERGY PARTNERS L 144A Fixed Income 99,625.77 0.05 99,625.77 1.00 2.94 nan
JONES DESLAURIERS INSURANCE MANAGE 144A Fixed Income 99,563.11 0.05 99,563.11 1.00 4.34 nan
WILLIAMS SCOTSMAN INC 144A Fixed Income 99,542.23 0.05 99,542.23 1.00 3.73 nan
ALLY FINANCIAL INC Fixed Income 99,396.02 0.05 99,396.02 1.00 7.18 nan
GRAY TELEVISION INC 144A Fixed Income 99,187.17 0.05 99,187.17 1.00 4.38 nan
LIGHT AND WONDER INTERNATIONAL INC 144A Fixed Income 99,187.17 0.05 99,187.17 1.00 3.95 nan
LAMB WESTON HOLDINGS INC 144A Fixed Income 99,166.28 0.05 99,166.28 1.00 2.96 nan
JEFFERIES FINANCE LLC 144A Fixed Income 99,145.39 0.05 99,145.39 1.00 5.25 nan
ENCORE CAPITAL GROUP INC. 144A Fixed Income 99,103.62 0.05 99,103.62 1.00 4.17 nan
TWILIO INC Fixed Income 99,103.62 0.05 99,103.62 1.00 3.69 nan
STARWOOD PROPERTY TRUST INC 144A Fixed Income 99,061.85 0.05 99,061.85 1.00 4.48 nan
FREEDOM MORTGAGE CORP 144A Fixed Income 99,020.08 0.05 99,020.08 1.00 1.15 nan
SERVICE CORPORATION INTERNATIONAL Fixed Income 98,915.65 0.05 98,915.65 1.00 2.63 nan
ODEON FINCO PLC 144A Fixed Income 98,873.88 0.05 98,873.88 1.00 2.23 nan
NUSTAR LOGISTICS LP Fixed Income 98,811.22 0.05 98,811.22 1.00 1.25 nan
CHS/COMMUNITY HEALTH SYSTEMS INC 144A Fixed Income 98,644.13 0.05 98,644.13 1.00 2.50 nan
MURPHY OIL USA INC Fixed Income 98,539.70 0.05 98,539.70 1.00 3.99 nan
MPT OPERATING PARTNERSHIP LP / MPT Fixed Income 98,414.39 0.05 98,414.39 1.00 1.42 nan
NEXTERA ENERGY OPERATING PARTNERS 144A Fixed Income 98,330.84 0.05 98,330.84 1.00 1.59 nan
LIBERTY MUTUAL GROUP INC 144A Fixed Income 98,309.96 0.05 98,309.96 1.00 13.86 nan
PENNYMAC FINANCIAL SERVICES INC 144A Fixed Income 98,080.21 0.05 98,080.21 1.00 5.26 nan
SIX FLAGS ENTERTAINMENT CORP 144A Fixed Income 97,996.67 0.05 97,996.67 1.00 2.01 nan
LITHIA MOTORS INC 144A Fixed Income 97,766.92 0.05 97,766.92 1.00 5.10 nan
ACRISURE LLC 144A Fixed Income 97,725.15 0.05 97,725.15 1.00 3.59 nan
GFL ENVIRONMENTAL INC 144A Fixed Income 97,453.64 0.05 97,453.64 1.00 3.95 nan
CHARLES RIVER LABORATORIES INTERNA 144A Fixed Income 97,349.21 0.05 97,349.21 1.00 5.19 nan
SEAGATE HDD CAYMAN 144A Fixed Income 97,265.66 0.05 97,265.66 1.00 4.95 nan
US FOODS INC 144A Fixed Income 97,244.78 0.05 97,244.78 1.00 5.41 nan
ALLISON TRANSMISSION INC 144A Fixed Income 97,119.46 0.05 97,119.46 1.00 3.74 nan
BUILDERS FIRSTSOURCE INC 144A Fixed Income 97,119.46 0.05 97,119.46 1.00 4.30 nan
ADIENT GLOBAL HOLDINGS LTD 144A Fixed Income 97,098.58 0.05 97,098.58 1.00 2.78 nan
LADDER CAPITAL FINANCE HOLDINGS LL 144A Fixed Income 97,077.69 0.05 97,077.69 1.00 5.13 nan
AMERIGAS PARTNERS LP/AMERIGAS FINA Fixed Income 96,722.63 0.05 96,722.63 1.00 2.07 nan
ICAHN ENTERPRISES LP 144A Fixed Income 96,659.97 0.05 96,659.97 1.00 3.68 nan
CNX RESOURCES CORP 144A Fixed Income 96,618.20 0.05 96,618.20 1.00 4.75 nan
CHARLES RIVER LABORATORIES INTERNA 144A Fixed Income 96,618.20 0.05 96,618.20 1.00 3.67 nan
MATCH GROUP HOLDINGS II LLC 144A Fixed Income 96,597.31 0.05 96,597.31 1.00 3.00 nan
AMERICAN AXLE & MANUFACTURING INC Fixed Income 96,430.23 0.05 96,430.23 1.00 1.95 nan
ACRISURE LLC 144A Fixed Income 96,242.25 0.05 96,242.25 1.00 3.86 nan
XEROX HOLDINGS CORP 144A Fixed Income 96,242.25 0.05 96,242.25 1.00 3.66 nan
WRANGLER HOLDCO CORP 144A Fixed Income 96,221.37 0.05 96,221.37 1.00 5.54 nan
PBF HOLDING COMPANY LLC 144A Fixed Income 96,179.60 0.05 96,179.60 1.00 4.33 nan
AVIS BUDGET CAR RENTAL LLC 144A Fixed Income 96,158.71 0.05 96,158.71 1.00 4.67 nan
MATCH GROUP HOLDINGS II LLC 144A Fixed Income 96,137.82 0.05 96,137.82 1.00 4.79 nan
RR DONNELLEY & SONS CO 144A Fixed Income 96,116.94 0.05 96,116.94 1.00 3.50 nan
PARKLAND CORP 144A Fixed Income 96,075.17 0.05 96,075.17 1.00 2.24 nan
HILTON DOMESTIC OPERATING COMPANY 144A Fixed Income 96,012.51 0.05 96,012.51 1.00 5.62 nan
US FOODS INC 144A Fixed Income 95,970.74 0.05 95,970.74 1.00 4.59 nan
NEWFOLD DIGITAL HOLDINGS GROUP INC 144A Fixed Income 95,949.85 0.05 95,949.85 1.00 2.64 nan
TAYLOR MORRISON COMMUNITIES INC 144A Fixed Income 95,740.99 0.05 95,740.99 1.00 2.17 nan
CHEMOURS COMPANY Fixed Income 95,594.79 0.05 95,594.79 1.00 2.09 nan
IRON MOUNTAIN INC 144A Fixed Income 95,469.47 0.05 95,469.47 1.00 3.11 nan
OPTICS BIDCO SPA 144A Fixed Income 95,469.47 0.05 95,469.47 1.00 7.02 nan
JAGUAR LAND ROVER AUTOMOTIVE PLC 144A Fixed Income 95,448.59 0.05 95,448.59 1.00 2.42 nan
ADIENT GLOBAL HOLDINGS LTD 144A Fixed Income 95,323.27 0.05 95,323.27 1.00 4.70 nan
TWILIO INC Fixed Income 95,281.50 0.05 95,281.50 1.00 5.23 nan
CIVITAS RESOURCES INC 144A Fixed Income 95,239.73 0.05 95,239.73 1.00 1.58 nan
PRESTIGE BRANDS INC 144A Fixed Income 95,177.07 0.05 95,177.07 1.00 2.69 nan
TKC HOLDINGS 144A Fixed Income 95,072.64 0.05 95,072.64 1.00 2.85 nan
CHARLES RIVER LABORATORIES INTERNA 144A Fixed Income 94,842.90 0.05 94,842.90 1.00 2.94 nan
ALTICE FRANCE HOLDING SA 144A Fixed Income 94,822.01 0.05 94,822.01 1.00 1.26 nan
CLYDESDALE ACQUISITION HOLDINGS IN 144A Fixed Income 94,780.24 0.05 94,780.24 1.00 3.55 nan
MELCO RESORTS FINANCE LTD 144A Fixed Income 94,738.47 0.05 94,738.47 1.00 1.16 nan
STARWOOD PROPERTY TRUST INC 144A Fixed Income 94,675.81 0.05 94,675.81 1.00 1.83 nan
ALBION FINANCING 2 SARL 144A Fixed Income 94,634.04 0.05 94,634.04 1.00 1.95 nan
VF CORPORATION Fixed Income 94,634.04 0.05 94,634.04 1.00 2.09 nan
VISTRA OPERATIONS COMPANY LLC 144A Fixed Income 94,571.38 0.05 94,571.38 1.00 1.46 nan
SEAGATE HDD CAYMAN Fixed Income 94,529.61 0.04 94,529.61 1.00 3.86 nan
FXI HOLDINGS INC 144A Fixed Income 94,425.18 0.04 94,425.18 1.00 1.50 nan
HILCORP ENERGY I LP 144A Fixed Income 94,278.98 0.04 94,278.98 1.00 5.55 nan
MPH ACQUISITION HOLDINGS LLC 144A Fixed Income 94,278.98 0.04 94,278.98 1.00 4.64 nan
INTESA SANPAOLO SPA MTN 144A Fixed Income 94,258.09 0.04 94,258.09 1.00 0.91 nan
MATTAMY GROUP CORP 144A Fixed Income 94,111.89 0.04 94,111.89 1.00 2.60 nan
OUTFRONT MEDIA CAPITAL LLC 144A Fixed Income 94,111.89 0.04 94,111.89 1.00 4.78 nan
TELEFLEX INCORPORATED Fixed Income 94,091.00 0.04 94,091.00 1.00 2.55 nan
ADAPTHEALTH LLC 144A Fixed Income 94,049.23 0.04 94,049.23 1.00 3.95 nan
OLIN CORP Fixed Income 93,882.15 0.04 93,882.15 1.00 4.32 nan
NAVIENT CORP Fixed Income 93,798.60 0.04 93,798.60 1.00 2.78 nan
EDISON INTERNATIONAL Fixed Income 93,715.06 0.04 93,715.06 1.00 3.46 nan
OLIN CORP Fixed Income 93,652.40 0.04 93,652.40 1.00 2.37 nan
1011778 BC UNLIMITED LIABILITY CO 144A Fixed Income 93,652.40 0.04 93,652.40 1.00 3.93 nan
CONSTELLIUM SE 144A Fixed Income 93,568.86 0.04 93,568.86 1.00 3.75 nan
BATH & BODY WORKS INC Fixed Income 93,547.97 0.04 93,547.97 1.00 3.66 nan
SENSATA TECHNOLOGIES BV 144A Fixed Income 93,506.20 0.04 93,506.20 1.00 4.57 nan
FORTRESS TRANSPORTATION AND INFRAS 144A Fixed Income 93,318.23 0.04 93,318.23 1.00 4.59 nan
GLOBAL AUTO HOLDINGS PLC 144A Fixed Income 93,297.34 0.04 93,297.34 1.00 4.92 nan
LIVE NATION ENTERTAINMENT INC 144A Fixed Income 92,900.51 0.04 92,900.51 1.00 2.74 nan
SERVICE PROPERTIES TRUST Fixed Income 92,900.51 0.04 92,900.51 1.00 5.20 nan
NORDSTROM INC Fixed Income 92,816.96 0.04 92,816.96 1.00 4.43 nan
BROOKFIELD RESIDENTIAL PROPERTIES 144A Fixed Income 92,628.99 0.04 92,628.99 1.00 4.24 nan
EDISON INTERNATIONAL Fixed Income 92,587.22 0.04 92,587.22 1.00 2.70 nan
GOODYEAR TIRE & RUBBER COMPANY (TH Fixed Income 92,566.33 0.04 92,566.33 1.00 5.09 nan
RLJ LODGING TRUST LP 144A Fixed Income 92,524.56 0.04 92,524.56 1.00 1.35 nan
AXALTA COATING SYSTEMS LLC 144A Fixed Income 92,482.79 0.04 92,482.79 1.00 2.19 nan
CMG MEDIA CORP 144A Fixed Income 91,981.53 0.04 91,981.53 1.00 3.33 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 91,939.76 0.04 91,939.76 1.00 3.02 nan
TRANSOCEAN TITAN FINANCING LTD 144A Fixed Income 91,647.35 0.04 91,647.35 1.00 1.82 nan
COTY INC/HFC PRESTIGE PRODUCTS INC 144A Fixed Income 91,605.58 0.04 91,605.58 1.00 3.53 nan
OUTFRONT MEDIA CAPITAL LLC 144A Fixed Income 91,563.81 0.04 91,563.81 1.00 3.55 nan
ARDAGH PACKAGING FINANCE PLC 144A Fixed Income 91,542.92 0.04 91,542.92 1.00 1.98 nan
PERMIAN RESOURCES OPERATING LLC 144A Fixed Income 91,501.15 0.04 91,501.15 1.00 1.95 nan
VODAFONE GROUP PLC Fixed Income 91,501.15 0.04 91,501.15 1.00 1.29 nan
SONIC AUTOMOTIVE INC 144A Fixed Income 91,459.38 0.04 91,459.38 1.00 5.56 nan
CENTURY COMMUNITIES INC 144A Fixed Income 91,334.07 0.04 91,334.07 1.00 3.97 nan
MAGNERA CORP 144A Fixed Income 91,250.52 0.04 91,250.52 1.00 4.11 nan
ASCENT RESOURCES UTICA HOLDINGS LL 144A Fixed Income 91,125.21 0.04 91,125.21 1.00 3.30 nan
ALCOA NEDERLAND HOLDING BV 144A Fixed Income 91,104.32 0.04 91,104.32 1.00 3.69 nan
PERMIAN RESOURCES OPERATING LLC 144A Fixed Income 90,937.23 0.04 90,937.23 1.00 4.79 nan
GARDA WORLD SECURITY CORP 144A Fixed Income 90,623.94 0.04 90,623.94 1.00 3.69 nan
SERVICE PROPERTIES TRUST Fixed Income 90,561.29 0.04 90,561.29 1.00 1.54 nan
LUMEN TECHNOLOGIES INC 144A Fixed Income 90,477.74 0.04 90,477.74 1.00 5.10 nan
NRG ENERGY INC 144A Fixed Income 90,310.66 0.04 90,310.66 1.00 3.62 nan
STATION CASINOS LLC 144A Fixed Income 90,310.66 0.04 90,310.66 1.00 5.65 nan
SOUTH BOW CNDIAN INFRA (NC5.25) 144A Fixed Income 90,206.23 0.04 90,206.23 1.00 3.97 nan
AVIS BUDGET CAR RENTAL LLC 144A Fixed Income 90,143.57 0.04 90,143.57 1.00 2.82 nan
COGENT COMMUNICATIONS GROUP INC 144A Fixed Income 90,101.80 0.04 90,101.80 1.00 2.13 nan
IHEARTCOMMUNICATIONS INC 144A Fixed Income 90,080.91 0.04 90,080.91 1.00 3.37 nan
GLOBAL PARTNERS LP Fixed Income 90,060.03 0.04 90,060.03 1.00 2.25 nan
LGI HOMES INC 144A Fixed Income 90,060.03 0.04 90,060.03 1.00 3.23 nan
ARCHES BUYER INC 144A Fixed Income 89,913.82 0.04 89,913.82 1.00 3.26 nan
CENTURY COMMUNITIES INC Fixed Income 89,872.05 0.04 89,872.05 1.00 2.10 nan
CLYDESDALE ACQUISITION HOLDINGS IN 144A Fixed Income 89,830.28 0.04 89,830.28 1.00 4.13 nan
MIWD HOLDCO II LLC 144A Fixed Income 89,725.85 0.04 89,725.85 1.00 4.27 nan
AG TTMT ESCROW ISSUER LLC 144A Fixed Income 89,600.54 0.04 89,600.54 1.00 2.29 nan
TAYLOR MORRISON COMMUNITIES INC 144A Fixed Income 89,391.68 0.04 89,391.68 1.00 2.67 nan
HILTON GRAND VACATIONS BORROWER ES 144A Fixed Income 89,349.90 0.04 89,349.90 1.00 5.32 nan
OWENS & MINOR INC 144A Fixed Income 89,349.90 0.04 89,349.90 1.00 3.61 nan
XPO INC 144A Fixed Income 89,245.47 0.04 89,245.47 1.00 5.00 nan
ANYWHERE REAL ESTATE GROUP LLC 144A Fixed Income 89,141.05 0.04 89,141.05 1.00 3.33 nan
HERTZ CORPORATION (THE) 144A Fixed Income 89,120.16 0.04 89,120.16 1.00 1.66 nan
LIFE TIME INC 144A Fixed Income 89,120.16 0.04 89,120.16 1.00 5.42 nan
BRANDYWINE OPERATING PARTNERSHIP L Fixed Income 89,078.39 0.04 89,078.39 1.00 3.41 nan
SHIFT4 PAYMENTS LLC 144A Fixed Income 89,057.50 0.04 89,057.50 1.00 1.63 nan
ALCOA NEDERLAND HOLDING BV 144A Fixed Income 88,932.19 0.04 88,932.19 1.00 2.90 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 88,827.76 0.04 88,827.76 1.00 2.19 nan
LUMEN TECHNOLOGIES INC 144A Fixed Income 88,806.87 0.04 88,806.87 1.00 4.44 nan
GOODYEAR TIRE & RUBBER COMPANY (TH Fixed Income 88,744.21 0.04 88,744.21 1.00 6.26 nan
VISTAJET MALTA FINANCE PLC 144A Fixed Income 88,472.70 0.04 88,472.70 1.00 1.98 nan
LABL INC 144A Fixed Income 88,430.92 0.04 88,430.92 1.00 3.18 nan
MACYS RETAIL HOLDINGS LLC 144A Fixed Income 88,389.15 0.04 88,389.15 1.00 5.49 nan
NATIONSTAR MORTGAGE HOLDINGS INC 144A Fixed Income 88,368.27 0.04 88,368.27 1.00 0.95 nan
CUSHMAN & WAKEFIELD US BORROWER LL 144A Fixed Income 88,305.61 0.04 88,305.61 1.00 4.83 nan
ATI INC Fixed Income 88,242.95 0.04 88,242.95 1.00 4.38 nan
EDGEWELL PERSONAL CARE CO 144A Fixed Income 88,013.21 0.04 88,013.21 1.00 3.69 nan
MERLIN ENTERTAINMENTS GROUP US HOL 144A Fixed Income 87,929.66 0.04 87,929.66 1.00 4.60 nan
ADVANCE AUTO PARTS INC Fixed Income 87,887.89 0.04 87,887.89 1.00 4.53 nan
AXALTA COATING SYSTEMS DUTCH HOLDI 144A Fixed Income 87,846.12 0.04 87,846.12 1.00 4.79 nan
SEAGATE HDD CAYMAN 144A Fixed Income 87,846.12 0.04 87,846.12 1.00 3.96 nan
STUDIO CITY FINANCE LTD 144A Fixed Income 87,846.12 0.04 87,846.12 1.00 2.62 nan
HUB INTERNATIONAL LTD 144A Fixed Income 87,699.92 0.04 87,699.92 1.00 4.12 nan
STARWOOD PROPERTY TRUST INC 144A Fixed Income 87,699.92 0.04 87,699.92 1.00 4.32 nan
AMERIGAS PARTNERS LP 144A Fixed Income 87,679.03 0.04 87,679.03 1.00 2.75 nan
MATCH GROUP HOLDINGS II LLC 144A Fixed Income 87,637.26 0.04 87,637.26 1.00 2.61 nan
RANGE RESOURCES CORPORATION Fixed Income 87,574.60 0.04 87,574.60 1.00 3.32 nan
TALLGRASS ENERGY PARTNERS LP 144A Fixed Income 87,574.60 0.04 87,574.60 1.00 5.19 nan
BATH & BODY WORKS INC Fixed Income 87,553.72 0.04 87,553.72 1.00 2.73 nan
STENA INTERNATIONAL SA 144A Fixed Income 87,511.94 0.04 87,511.94 1.00 4.64 nan
WILLIAMS SCOTSMAN INC 144A Fixed Income 87,282.20 0.04 87,282.20 1.00 3.14 nan
GGAM FINANCE LIMITED 144A Fixed Income 87,240.43 0.04 87,240.43 1.00 3.54 nan
BCPE ULYSSES INTERMEDIATE INC 144A Fixed Income 86,906.25 0.04 86,906.25 1.00 1.90 nan
GOEASY LTD 144A Fixed Income 86,592.96 0.04 86,592.96 1.00 4.31 nan
LIBERTY MUTUAL GROUP INC 144A Fixed Income 85,987.27 0.04 85,987.27 1.00 1.58 nan
BRITISH TELECOMMUNICATIONS PLC N10 144A Fixed Income 85,820.19 0.04 85,820.19 1.00 5.51 nan
QUIKRETE HOLDINGS INC 144A Fixed Income 85,548.67 0.04 85,548.67 1.00 6.16 nan
KRONOS ACQUISITION HOLDINGS INC 144A Fixed Income 85,381.58 0.04 85,381.58 1.00 4.78 nan
LIFEPOINT HEALTH INC 144A Fixed Income 84,942.98 0.04 84,942.98 1.00 3.42 nan
ALLIANT HOLDINGS INTERMEDIATE LLC 144A Fixed Income 84,462.60 0.04 84,462.60 1.00 4.00 nan
HILCORP ENERGY I LP 144A Fixed Income 84,462.60 0.04 84,462.60 1.00 4.30 nan
CENTRAL GARDEN & PET COMPANY Fixed Income 84,191.09 0.04 84,191.09 1.00 4.89 nan
GGAM FINANCE LIMITED 144A Fixed Income 84,170.20 0.04 84,170.20 1.00 1.20 nan
GRAPHIC PACKAGING INTERNATIONAL LL 144A Fixed Income 84,170.20 0.04 84,170.20 1.00 2.85 nan
6MO LOCKUP NEW FORTRESS ENERGY INC Equity 84,086.66 0.04 84,086.66 1.00 0.00 nan
MURPHY OIL USA INC 144A Fixed Income 84,003.11 0.04 84,003.11 1.00 5.15 nan
LABL INC 144A Fixed Income 83,982.23 0.04 83,982.23 1.00 3.63 nan
HUDSON PACIFIC PROPERTIES LP Fixed Income 83,898.68 0.04 83,898.68 1.00 3.52 nan
IHO VERWALTUNGS GMBH 144A Fixed Income 83,794.25 0.04 83,794.25 1.00 5.58 nan
ARCOSA INC 144A Fixed Income 83,689.82 0.04 83,689.82 1.00 3.71 nan
ION TRADING TECHNOLOGIES SARL 144A Fixed Income 83,606.28 0.04 83,606.28 1.00 2.88 nan
SERVICE PROPERTIES TRUST Fixed Income 83,585.39 0.04 83,585.39 1.00 2.58 nan
SEALED AIR CORPORATION 144A Fixed Income 83,355.65 0.04 83,355.65 1.00 2.61 nan
AVIS BUDGET CAR RENTAL LLC 144A Fixed Income 83,230.33 0.04 83,230.33 1.00 2.24 nan
MERCER INTERNATIONAL INC. 144A Fixed Income 83,188.56 0.04 83,188.56 1.00 2.80 nan
RESORTS WORLD LAS VEGAS LLC 144A Fixed Income 82,979.70 0.04 82,979.70 1.00 4.35 nan
DIVERSIFIED HEALTHCARE TRUST Fixed Income 82,958.82 0.04 82,958.82 1.00 2.65 nan
WALGREENS BOOTS ALLIANCE INC Fixed Income 82,958.82 0.04 82,958.82 1.00 4.56 nan
SCOTTS MIRACLE-GRO CO/THE Fixed Income 82,687.30 0.04 82,687.30 1.00 5.23 nan
PIKE CORP 144A Fixed Income 82,582.87 0.04 82,582.87 1.00 4.67 nan
ASP UNIFRAX HOLDINGS INC 144A Fixed Income 82,561.98 0.04 82,561.98 1.00 3.62 nan
FAIR ISAAC CORP 144A Fixed Income 82,353.13 0.04 82,353.13 1.00 1.21 nan
CLARIOS GLOBAL LP 144A Fixed Income 82,332.24 0.04 82,332.24 1.00 4.22 nan
LITHIA MOTORS INC 144A Fixed Income 82,227.81 0.04 82,227.81 1.00 2.62 nan
BURFORD CAPITAL GLOBAL FINANCE LLC 144A Fixed Income 82,060.72 0.04 82,060.72 1.00 2.81 nan
LAMAR MEDIA CORP Fixed Income 82,060.72 0.04 82,060.72 1.00 3.47 nan
REWORLD HOLDING CORP Fixed Income 81,830.98 0.04 81,830.98 1.00 4.65 nan
ZIGGO BOND COMPANY BV 144A Fixed Income 81,830.98 0.04 81,830.98 1.00 4.32 nan
BUCKEYE PARTNERS LP 144A Fixed Income 81,810.09 0.04 81,810.09 1.00 4.19 nan
BRINKS CO 144A Fixed Income 81,768.32 0.04 81,768.32 1.00 3.73 nan
MACYS RETAIL HOLDINGS LLC 144A Fixed Income 81,559.46 0.04 81,559.46 1.00 4.23 nan
BRINKS CO 144A Fixed Income 81,538.58 0.04 81,538.58 1.00 5.70 nan
HILTON DOMESTIC OPERATING COMPANY 144A Fixed Income 81,204.40 0.04 81,204.40 1.00 2.88 nan
SEALED AIR CORPORATION 144A Fixed Income 81,183.52 0.04 81,183.52 1.00 5.83 nan
ALLISON TRANSMISSION INC 144A Fixed Income 80,995.54 0.04 80,995.54 1.00 2.42 nan
AMERICAN AXLE & MANUFACTURING INC Fixed Income 80,912.00 0.04 80,912.00 1.00 2.97 nan
DANA INC Fixed Income 80,891.11 0.04 80,891.11 1.00 4.78 nan
SEALED AIR CORPORATION 144A Fixed Income 80,744.91 0.04 80,744.91 1.00 4.79 nan
MATCH GROUP HOLDINGS II LLC 144A Fixed Income 80,431.62 0.04 80,431.62 1.00 5.65 nan
HESS MIDSTREAM OPERATIONS LP 144A Fixed Income 80,410.74 0.04 80,410.74 1.00 0.97 nan
DANA INC Fixed Income 80,368.96 0.04 80,368.96 1.00 3.00 nan
ASBURY AUTOMOTIVE GROUP INC. Fixed Income 80,264.54 0.04 80,264.54 1.00 4.33 nan
ENERGY TRANSFER LP Fixed Income 80,264.54 0.04 80,264.54 1.00 3.80 nan
RHP HOTEL PROPERTIES LP 144A Fixed Income 80,118.33 0.04 80,118.33 1.00 3.02 nan
APTIV PLC Fixed Income 79,846.82 0.04 79,846.82 1.00 3.97 nan
TRAVEL + LEISURE CO Fixed Income 79,784.16 0.04 79,784.16 1.00 1.97 nan
SERVICE PROPERTIES TRUST Fixed Income 79,700.62 0.04 79,700.62 1.00 3.89 nan
SEAGATE HDD CAYMAN Fixed Income 79,554.41 0.04 79,554.41 1.00 2.15 nan
NOVA CHEMICALS CORP 144A Fixed Income 79,408.21 0.04 79,408.21 1.00 5.33 nan
WOLVERINE ESCROW LLC 144A Fixed Income 79,303.78 0.04 79,303.78 1.00 0.00 nan
COGENT COMMUNICATIONS GROUP INC 144A Fixed Income 79,157.58 0.04 79,157.58 1.00 1.18 nan
SM ENERGY CO Fixed Income 79,094.92 0.04 79,094.92 1.00 3.04 nan
ATLANTICA SUSTAINABLE INFRASTRUCTU 144A Fixed Income 78,844.29 0.04 78,844.29 1.00 3.06 nan
INEOS FINANCE PLC 144A Fixed Income 78,844.29 0.04 78,844.29 1.00 2.87 nan
BRANDYWINE OPERATING PARTNERSHIP L Fixed Income 78,781.64 0.04 78,781.64 1.00 2.56 nan
DIVERSIFIED HEALTHCARE TRUST Fixed Income 78,760.75 0.04 78,760.75 1.00 4.94 nan
AMERICAN BUILDERS & CONTRACTORS SU 144A Fixed Income 78,739.86 0.04 78,739.86 1.00 4.24 nan
MPH ACQUISITION HOLDINGS LLC 144A Fixed Income 78,510.12 0.04 78,510.12 1.00 4.77 nan
LEVEL 3 FINANCING INC 144A Fixed Income 78,301.26 0.04 78,301.26 1.00 4.84 nan
DELEK LOGISTICS PARTNERS LP 144A Fixed Income 78,092.40 0.04 78,092.40 1.00 2.88 nan
ASCENT RESOURCES UTICA HOLDINGS LL 144A Fixed Income 78,071.52 0.04 78,071.52 1.00 3.73 nan
EW SCRIPPS CO 144A Fixed Income 77,967.09 0.04 77,967.09 1.00 3.39 nan
SEALED AIR CORPORATION 144A Fixed Income 77,967.09 0.04 77,967.09 1.00 3.67 nan
BUCKEYE PARTNERS LP Fixed Income 77,841.77 0.04 77,841.77 1.00 2.60 nan
CHOBANI LLC 144A Fixed Income 77,674.68 0.04 77,674.68 1.00 3.38 nan
NRG ENERGY INC 144A Fixed Income 77,465.82 0.04 77,465.82 1.00 5.85 nan
HESS MIDSTREAM OPERATIONS LP 144A Fixed Income 77,444.94 0.04 77,444.94 1.00 4.74 nan
PRA GROUP INC 144A Fixed Income 77,403.17 0.04 77,403.17 1.00 2.62 nan
BERRY GLOBAL INC 144A Fixed Income 77,131.65 0.04 77,131.65 1.00 2.25 nan
GARDA WORLD SECURITY CORP 144A Fixed Income 76,755.70 0.04 76,755.70 1.00 2.59 nan
DANA INC Fixed Income 76,672.16 0.04 76,672.16 1.00 2.52 nan
SENSATA TECHNOLOGIES INC 144A Fixed Income 76,609.50 0.04 76,609.50 1.00 4.32 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 76,567.73 0.04 76,567.73 1.00 3.81 nan
MOTION BONDCO DAC 144A Fixed Income 76,505.07 0.04 76,505.07 1.00 2.45 nan
HLF FINANCING SARL LLC 144A Fixed Income 76,170.90 0.04 76,170.90 1.00 3.53 nan
GGAM FINANCE LIMITED 144A Fixed Income 76,108.24 0.04 76,108.24 1.00 4.26 nan
GRAPHIC PACKAGING INTERNATIONAL LL 144A Fixed Income 75,982.92 0.04 75,982.92 1.00 4.45 nan
IHO VERWALTUNGS GMBH 144A Fixed Income 75,920.27 0.04 75,920.27 1.00 3.63 nan
NEWFOLD DIGITAL HOLDINGS GROUP INC 144A Fixed Income 75,774.07 0.04 75,774.07 1.00 2.94 nan
EW SCRIPPS CO 144A Fixed Income 75,774.07 0.04 75,774.07 1.00 2.13 nan
NOVA CHEMICALS CORP 144A Fixed Income 75,502.55 0.04 75,502.55 1.00 3.17 nan
SERVICE PROPERTIES TRUST Fixed Income 75,419.01 0.04 75,419.01 1.00 4.20 nan
NORDSTROM INC Fixed Income 75,189.26 0.04 75,189.26 1.00 5.50 nan
SERVICE PROPERTIES TRUST Fixed Income 75,147.49 0.04 75,147.49 1.00 1.85 nan
OLYMPUS WATER US HOLDING CORP 144A Fixed Income 75,105.72 0.04 75,105.72 1.00 3.87 nan
SCOTTS MIRACLE-GRO CO/THE Fixed Income 74,938.63 0.04 74,938.63 1.00 4.09 nan
MGM RESORTS INTERNATIONAL Fixed Income 74,855.09 0.04 74,855.09 1.00 1.47 nan
NCR VOYIX CORP 144A Fixed Income 74,416.48 0.04 74,416.48 1.00 3.64 nan
COMSTOCK RESOURCES INC 144A Fixed Income 73,873.45 0.04 73,873.45 1.00 3.40 nan
ARETEC ESCROW ISSUER INC 144A Fixed Income 73,560.16 0.04 73,560.16 1.00 3.43 nan
ENCOMPASS HEALTH CORP Fixed Income 73,309.53 0.03 73,309.53 1.00 5.16 nan
CVR ENERGY INC 144A Fixed Income 73,205.10 0.03 73,205.10 1.00 2.63 nan
LGI HOMES INC 144A Fixed Income 72,933.58 0.03 72,933.58 1.00 5.83 nan
EQM MIDSTREAM PARTNERS LP 144A Fixed Income 72,745.61 0.03 72,745.61 1.00 2.09 nan
CROWN AMERICAS LLC Fixed Income 72,515.86 0.03 72,515.86 1.00 1.55 nan
MIDCAP FINANCIAL ISSUER TRUST 144A Fixed Income 72,494.98 0.03 72,494.98 1.00 4.20 nan
ASHTON WOODS USA LLC 144A Fixed Income 72,474.09 0.03 72,474.09 1.00 4.40 nan
ASBURY AUTOMOTIVE GROUP INC. Fixed Income 72,432.32 0.03 72,432.32 1.00 2.77 nan
JAGUAR LAND ROVER AUTOMOTIVE PLC 144A Fixed Income 72,432.32 0.03 72,432.32 1.00 3.87 nan
MPH ACQUISITION HOLDINGS LLC 144A Fixed Income 72,286.12 0.03 72,286.12 1.00 4.69 nan
DPL INC Fixed Income 71,722.20 0.03 71,722.20 1.00 3.71 nan
STARWOOD PROPERTY TRUST INC 144A Fixed Income 71,534.23 0.03 71,534.23 1.00 1.38 nan
TK ELEVATOR HOLDCO GMBH 144A Fixed Income 71,534.23 0.03 71,534.23 1.00 2.98 nan
VIASAT INC 144A Fixed Income 70,865.88 0.03 70,865.88 1.00 2.93 nan
SCOTTS MIRACLE-GRO CO/THE Fixed Income 70,343.73 0.03 70,343.73 1.00 5.85 nan
HUDSON PACIFIC PROPERTIES LP Fixed Income 70,218.41 0.03 70,218.41 1.00 2.50 nan
OI EUROPEAN GROUP BV 144A Fixed Income 70,197.53 0.03 70,197.53 1.00 4.25 nan
MERLIN ENTERTAINMENTS LTD 144A Fixed Income 69,195.01 0.03 69,195.01 1.00 1.29 nan
SERVICE PROPERTIES TRUST Fixed Income 69,174.12 0.03 69,174.12 1.00 2.68 nan
ENTEGRIS INC 144A Fixed Income 69,132.35 0.03 69,132.35 1.00 2.90 nan
SUNOCO LP / SUNOCO FINANCE CORP Fixed Income 68,777.29 0.03 68,777.29 1.00 2.75 nan
CONSOLIDATED COMMUNICATIONS INC 144A Fixed Income 68,338.68 0.03 68,338.68 1.00 3.22 nan
CENTRAL GARDEN & PET COMPANY 144A Fixed Income 67,920.97 0.03 67,920.97 1.00 5.29 nan
ALTICE FRANCE SA (FRANCE) 144A Fixed Income 67,628.56 0.03 67,628.56 1.00 3.30 nan
SM ENERGY CO Fixed Income 67,545.02 0.03 67,545.02 1.00 1.47 nan
LEVEL 3 FINANCING INC 144A Fixed Income 67,273.50 0.03 67,273.50 1.00 3.86 nan
ENTEGRIS INC 144A Fixed Income 67,210.84 0.03 67,210.84 1.00 3.81 nan
ASSUREDPARTNERS INC 144A Fixed Income 67,169.07 0.03 67,169.07 1.00 5.32 nan
SINCLAIR TELEVISION GROUP INC 144A Fixed Income 66,521.61 0.03 66,521.61 1.00 4.02 nan
RYAN SPECIALTY LLC 144A Fixed Income 65,790.60 0.03 65,790.60 1.00 4.40 nan
LEVEL 3 FINANCING INC 144A Fixed Income 65,539.97 0.03 65,539.97 1.00 5.20 nan
ANYWHERE REAL ESTATE GROUP LLC 144A Fixed Income 64,077.96 0.03 64,077.96 1.00 4.19 nan
HOLOGIC INC 144A Fixed Income 62,950.12 0.03 62,950.12 1.00 2.75 nan
HUDSON PACIFIC PROPERTIES LP Fixed Income 61,467.22 0.03 61,467.22 1.00 4.30 nan
ALTICE FRANCE HOLDING SA 144A Fixed Income 61,362.79 0.03 61,362.79 1.00 1.79 nan
GENESIS ENERGY LP Fixed Income 59,566.60 0.03 59,566.60 1.00 1.78 nan
GFL ENVIRONMENTAL INC 144A Fixed Income 59,232.43 0.03 59,232.43 1.00 1.75 nan
OFFICE PROPERTIES INCOME TRUST 144A Fixed Income 57,958.39 0.03 57,958.39 1.00 1.89 nan
CLARIOS GLOBAL LP 144A Fixed Income 57,143.84 0.03 57,143.84 1.00 1.20 nan
UNITED RENTALS (NORTH AMERICA) INC Fixed Income 53,279.95 0.03 53,279.95 1.00 2.06 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 52,193.88 0.02 52,193.88 1.00 2.52 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 51,922.36 0.02 51,922.36 1.00 3.11 nan
NCL CORPORATION LTD 144A Fixed Income 50,272.37 0.02 50,272.37 1.00 1.05 nan
SINCLAIR TELEVISION GROUP INC 144A Fixed Income 50,230.60 0.02 50,230.60 1.00 5.84 nan
CSC HOLDINGS LLC 144A Fixed Income 50,167.95 0.02 50,167.95 1.00 4.87 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 46,763.54 0.02 46,763.54 1.00 4.26 nan
AMC ENTERTAINMENT HOLDINGS INC 144A Fixed Income 44,737.61 0.02 44,737.61 1.00 1.23 nan
ARCTERA GLOBAL TL B Fixed Income 36,633.88 0.02 36,633.88 1.00 0.00 nan
ADIENT GLOBAL HOLDINGS LTD 144A Fixed Income 35,735.78 0.02 35,735.78 1.00 5.96 nan
NEWS CORP 144A Fixed Income 33,104.16 0.02 33,104.16 1.00 5.65 nan
NEWS CORP 144A Fixed Income 28,989.64 0.01 28,989.64 1.00 3.83 nan
MPT OPERATING PARTNERSHIP LP 144A Fixed Income 28,530.15 0.01 28,530.15 1.00 5.25 nan
MPH ACQUISITION PLACEHOLDER A Fixed Income 27,026.36 0.01 27,026.36 1.00 0.00 nan
UWM HOLDINGS LLC 144A Fixed Income 26,650.42 0.01 26,650.42 1.00 4.16 nan
BAUSCH HEALTH COMPANIES INC 144A Fixed Income 23,601.07 0.01 23,601.07 1.00 0.80 nan
CALIFORNIA RESOURCES CORP 144A Fixed Income 18,045.42 0.01 18,045.42 1.00 0.94 nan
CLOVER SPV II/IV PIK MARGIN LOAN Fixed Income 16,666.95 0.01 16,666.95 1.00 2.17 nan
NEW FORTRESS ENERGY INC 144A Fixed Income 12,907.49 0.01 12,907.49 1.00 1.50 nan
COTY INC 144A Fixed Income 12,239.14 0.01 12,239.14 1.00 1.13 nan
COHESITY PFD SERIES G Prvt Equity 10,839.79 0.01 10,839.79 1.00 0.00 nan
OFFICE PROPERTIES INCOME TRUST 144A Fixed Income 8,041.07 0.00 8,041.07 1.00 3.46 nan
COHESITY PFD SERIES G-1 Prvt Equity 7,477.15 0.00 7,477.15 1.00 0.00 nan
LEVEL 3 FINANCING INC 144A Fixed Income 7,435.38 0.00 7,435.38 1.00 3.06 nan
CHEMOURS COMPANY 144A Fixed Income 6,767.03 0.00 6,767.03 1.00 5.70 nan
MACQUARIE AIRFINANCE HOLDINGS LTD 144A Fixed Income 5,284.13 0.00 5,284.13 1.00 3.42 nan
MACQUARIE AIRFINANCE HOLDINGS LTD 144A Fixed Income 2,088.59 0.00 2,088.59 1.00 4.93 nan
SUNRISE HOLDCO IV BV 144A Fixed Income 2,088.59 0.00 2,088.59 1.00 2.67 nan
EUR CASH Cash 626.58 0.00 626.58 nan 0.00 nan
OFFICE PROPERTIES INCOME TRUST Equity 250.63 0.00 250.63 1.00 0.00 nan
TRIUMPH GROUP INC 144A Fixed Income 167.09 0.00 167.09 1.00 2.62 nan
MACYS RETAIL HOLDINGS LLC 144A Fixed Income 20.89 0.00 20.89 1.00 3.56 nan
LUMEN TECHNOLOGIES INC 144A Fixed Income 0.00 0.00 0.00 1.00 1.70 nan
WESCO AIRCRAFT HOLDINGS INC 144A Fixed Income 0.00 0.00 0.00 1.00 0.00 nan
USD CASH Cash -523,926.33 -0.25 -523,926.33 1.00 0.00 nan
FEB25 HYG US C @ 79 Other Derivatives -1,554,628.09 -0.74 -146,047,610.65 1.00 155.52 nan
The content contained herein is owned or licensed by BlackRock and/or its third-party information providers and is protected by applicable copyrights, trademarks, service marks, and/or other intellectual property rights. Such content is solely for your personal, non-commercial use. Accordingly, you may not copy, distribute, modify, post, frame or deep link this content. You may download material displayed on this Website for your personal use provided you also retain all copyright and other proprietary notices contained on the materials. Modification or use of the materials for any other purpose violates BlackRock's intellectual property rights. Holdings subject to change. See www.iShares.com for the most recent funds holdings. The values for “price” shown herein generally represent a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The values shown herein for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of the vendor price and may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent practicable date and may not necessarily be as of the date shown above. Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures. CAREFULLY CONSIDER THE FUNDS' INVESTMENT OBJECTIVES, RISK FACTORS, AND CHARGES AND EXPENSES BEFORE INVESTING. THIS AND OTHER INFORMATION CAN BE FOUND IN THE FUNDS' PROSPECTUSES OR, IF AVAILABLE, THE SUMMARY PROSPECTUSES WHICH MAY BE OBTAINED BY VISITING WWW.ISHARES.COM OR WWW.BLACKROCK.COM. READ THE PROSPECTUS CAREFULLY BEFORE INVESTING. INVESTING INVOLVES RISK, INCLUDING POSSIBLE LOSS OF PRINCIPAL. This information should not be relied upon as research, investment advice, or a recommendation regarding any products, strategies, or any security in particular. This material is strictly for illustrative, educational, or informational purposes and is subject to change. The Funds are distributed by BlackRock Investments, LLC (together with its affiliates, “BlackRock”). The iShares Funds are not sponsored, endorsed, issued, sold or promoted by Bloomberg, BlackRock Index Services, LLC, Cboe Global Indices, LLC, Cohen & Steers, European Public Real Estate Association (“EPRA® ”), FTSE International Limited (“FTSE”), ICE Data Indices, LLC, NSE Indices Ltd, JPMorgan, JPX Group, London Stock Exchange Group (“LSEG”), MSCI Inc., Markit Indices Limited, Morningstar, Inc., Nasdaq, Inc., National Association of Real Estate Investment Trusts (“NAREIT”), Nikkei, Inc., Russell, S&P Dow Jones Indices LLC or STOXX Ltd. None of these companies make any representation regarding the advisability of investing in the Funds. With the exception of BlackRock Index Services, LLC, who is an affiliate, BlackRock Investments, LLC is not affiliated with the companies listed above. Neither FTSE, LSEG, nor NAREIT makes any warranty regarding the FTSE Nareit Equity REITS Index, FTSE Nareit All Residential Capped Index or FTSE Nareit All Mortgage Capped Index. Neither FTSE, EPRA, LSEG, nor NAREIT makes any warranty regarding the FTSE EPRA Nareit Developed ex-U.S. Index, FTSE EPRA Nareit Developed Green Target Index or FTSE EPRA Nareit Global REITs Index. “FTSE®” is a trademark of London Stock Exchange Group companies and is used by FTSE under license. ©2023 BlackRock, Inc or its affiliates. All rights reserved. iSHARES, iBONDS and BLACKROCK are trademarks of BlackRock, Inc. or its affiliates. All other trademarks are those of their respective owners. nan nan nan nan nan nan nan