Grundläggande statistik
Portföljvärde $ 86 336 758 662
Aktuella positioner 737
Senaste innehav, resultat, förvaltat kapital (från 13F, 13D)

FKINX - Franklin Income Fund Class A1 har redovisat 737 totala innehav i sina senaste SEC-arkiveringar. Det senaste portföljvärdet beräknas vara $ 86 336 758 662 USD. Faktiskt förvaltade tillgångar (AUM) är detta värde plus likvida medel (som inte redovisas). FKINX - Franklin Income Fund Class A1s största innehav är US TNOTE 3.875% DUE 08/15/2033 (US:US91282CHT18) , United States Treasury Note/Bond (US:US912810TT51) , Johnson & Johnson (US:JNJ) , Chevron Corporation (US:CVX) , and PepsiCo, Inc. (US:PEP) . FKINX - Franklin Income Fund Class A1s nya positioner inkluderar US TNOTE 3.875% DUE 08/15/2033 (US:US91282CHT18) , United States Treasury Note/Bond (US:US912810TT51) , CHS/Community Health Systems Inc (US:US12543DBN93) , Tenet Healthcare Corp (US:US88033GDK31) , and CHS/CMNTY HEALTH SYSTEMS INC 6.125% 04/01/2030 144A (US:US12543DBL38) .

FKINX - Franklin Income Fund Class A1 - Portföljvärde
Största ökningarna detta kvartal

Vi använder förändringen i portföljallokeringen eftersom det är det mest meningsfulla måttet. Förändringar kan bero på transaktioner eller förändringar i aktiekurser.

Värdepapper Aktier
(MM)
Värde
(MM$)
Portfölj % av ΔPortfölj % av
1 252,05 1,6867 1,6867
616,38 0,8303 0,8303
19,14 522,92 0,7044 0,7044
0,85 315,49 0,4250 0,4250
0,85 315,49 0,4250 0,4250
4,50 309,56 0,4170 0,4170
1,75 291,64 0,3929 0,3929
1,75 291,64 0,3929 0,3929
8,50 1 122,34 1,5119 0,3900
2,50 270,78 0,3648 0,3648
Största minskningarna detta kvartal

Vi använder förändringen i portföljallokeringen eftersom det är det mest meningsfulla måttet. Förändringar kan bero på transaktioner eller förändringar i aktiepriser.

Värdepapper Aktier
(MM)
Värde
(MM$)
Portfölj % av ΔPortfölj % av
1,00 70,75 0,0953 −0,5867
0,00 0,00 −0,5398
9,75 1 051,05 1,4159 −0,3234
1,00 279,21 0,3761 −0,2596
0,00 0,00 −0,2445
2,60 92,79 0,1250 −0,2314
1,06 390,47 0,5260 −0,2218
6,00 955,92 1,2877 −0,2192
150,42 0,2026 −0,2039
254,64 0,3430 −0,1911
13F- och fond arkiveringar

Denna blankett lämnades in den 2025-08-26 för rapporteringsperioden 2025-06-30. Klicka på länksymbolen för att se hela transaktionshistoriken.

Uppgradera för att låsa upp premiumdata och exportera till Excel.

022-07-28: Viktig notering - Vi har ändrat behandlingen av Δ Portfolio % kolumnen i denna tabell. Tidigare rapporterade vi den som den procentuella förändringen i portföljallokeringen. Vi rapporterar den nu som den råa förändringen i portföljallokeringen (fortfarande rapporterad som en procent). I formeltermer rapporterade vi det tidigare som 100 * (nuvarande allokering - tidigare allokering) / tidigare allokering. Nu rapporterar vi det som (aktuell allokering - tidigare allokering).
Värdepapper Typ Genomsnittligt aktiepris Aktier
(MM)
ΔAktier
(%)
ΔAktier
(%)
Värde
($MM)
Portfölj
(%)
ΔPortfölj
(%)
US91282CHT18 / US TNOTE 3.875% DUE 08/15/2033 1 477,62 0,49 1,9905 −0,0099
US912810TT51 / United States Treasury Note/Bond 1 340,33 −3,06 1,8056 −0,0754
U.S. Treasury Notes / DBT (US91282CNC19) 1 252,05 1,6867 1,6867
JNJ / Johnson & Johnson 8,00 0,00 1 222,00 −7,89 1,6462 −0,1587
CVX / Chevron Corporation 8,00 6,67 1 145,52 −8,70 1,5431 −0,1637
PEP / PepsiCo, Inc. 8,50 54,55 1 122,34 36,10 1,5119 0,3900
XOM / Exxon Mobil Corporation 9,75 −9,30 1 051,05 −17,79 1,4159 −0,3234
PG / The Procter & Gamble Company 6,00 −7,69 955,92 −13,70 1,2877 −0,2192
MRK / Merck & Co., Inc. 11,00 37,50 870,76 21,26 1,1730 0,1961
ABBV / AbbVie Inc. 3,89 55,41 721,16 37,68 0,9715 0,2589
UNP / Union Pacific Corporation 3,00 17,65 690,24 14,59 0,9298 0,1104
SO / The Southern Company 7,00 −6,67 642,81 −6,79 0,8659 −0,0722
CYH / Community Health Systems, Inc. 616,38 0,8303 0,8303
US12543DBN93 / CHS/Community Health Systems Inc 610,14 23,71 0,8219 0,1510
U.S. Treasury Bonds / DBT (US912810UA42) 582,94 −3,19 0,7853 −0,0338
FMCC / Federal Home Loan Mortgage Corporation 563,57 −1,78 0,7592 −0,0214
FMCC / Federal Home Loan Mortgage Corporation 563,57 −1,78 0,7592 −0,0214
Franklin BSP Real Estate Debt BDC / EC (N/A) 19,14 522,92 0,7044 0,7044
US88033GDK31 / Tenet Healthcare Corp 511,03 0,60 0,6884 −0,0026
LMT / Lockheed Martin Corporation 1,00 0,00 463,14 3,68 0,6239 0,0162
NEE / NextEra Energy, Inc. 6,50 116,68 451,25 112,18 0,6079 0,3186
US12543DBL38 / CHS/CMNTY HEALTH SYSTEMS INC 6.125% 04/01/2030 144A 444,23 23,28 0,5984 0,1082
US88033GDQ01 / CORP. NOTE 432,92 2,21 0,5832 0,0070
UPS / United Parcel Service, Inc. 4,00 32,01 403,76 21,15 0,5439 0,0905
US12543DBJ81 / CHS/CMNTY HEALTH SYSTEMS INC 6.875% 04/15/2029 144A 399,09 25,40 0,5376 0,1047
NSRGY / Nestlé S.A. - Depositary Receipt (Common Stock) 4,00 0,00 397,28 −1,83 0,5352 −0,0153
HD / The Home Depot, Inc. 1,06 −29,00 390,47 −28,97 0,5260 −0,2218
D / Dominion Energy, Inc. 6,75 −3,57 381,51 −2,80 0,5139 −0,0200
BA.PRA / The Boeing Company - Preferred Security 5,58 0,00 379,44 13,66 0,5111 0,0570
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5EW56) 362,99 −1,11 0,4890 −0,0104
COP / ConocoPhillips 4,00 0,00 358,96 −14,55 0,4836 −0,0879
APD / Air Products and Chemicals, Inc. 1,25 47,06 352,57 40,65 0,4750 0,1339
BP / BP p.l.c. - Depositary Receipt (Common Stock) 11,75 76,69 351,68 56,51 0,4738 0,1681
USB / U.S. Bancorp 7,50 0,00 339,38 7,18 0,4572 0,0264
Merrill Lynch BV into Microsoft Corp. / SN (US59027W3280) 0,72 0,00 317,62 14,35 0,4279 0,0500
Goldman Sachs Bank USA into Home Depot, Inc. (The) / SN (US38151L5066) 0,85 315,49 0,4250 0,4250
Goldman Sachs Bank USA into Home Depot, Inc. (The) / SN (US38151L5066) 0,85 315,49 0,4250 0,4250
US90269A5341 / UBSW (LUV) (conv) 4.25% 2/6/2020 4,50 309,56 0,4170 0,4170
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 1,75 0,00 305,60 10,67 0,4117 0,0360
SRE / Sempra 4,00 0,00 303,08 6,18 0,4083 0,0200
VZ / Verizon Communications Inc. 7,00 7,69 302,89 2,73 0,4080 0,0069
Venture Global LNG, Inc. / DBT (US92332YAF88) 299,73 26,23 0,4038 0,0808
US57763RAC16 / Mauser Packaging Solutions Holding Co. 298,12 −2,88 0,4016 −0,0160
XS2486134757 / Goldman Sachs International Bank into Texas Instruments, Inc. 1,67 0,00 294,16 5,54 0,3963 0,0171
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5JE04) 291,98 51,26 0,3933 0,1307
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5JE04) 291,98 51,26 0,3933 0,1307
Barclays Bank plc into Alphabet, Inc. / SN (N/A) 1,75 291,64 0,3929 0,3929
Barclays Bank plc into Alphabet, Inc. / SN (N/A) 1,75 291,64 0,3929 0,3929
US20338QAA13 / CommScope, Inc. 291,10 36,45 0,3921 0,1019
Merrill Lynch BV into Microsoft Corp / SN (US59027W2373) 0,61 0,00 283,45 19,38 0,3818 0,0588
SHEL / Shell plc - Depositary Receipt (Common Stock) 4,00 0,00 281,64 −3,92 0,3794 −0,0194
AMGN / Amgen Inc. 1,00 −33,33 279,21 −40,25 0,3761 −0,2596
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 4,10 0,00 274,90 7,65 0,3703 0,0229
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 5,00 0,00 273,25 1,43 0,3681 0,0016
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 5,00 0,00 273,25 1,43 0,3681 0,0016
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 0,74 0,00 272,04 3,21 0,3665 0,0079
US1248EPBT92 / CCO Holdings LLC / CCO Holdings Capital Corp 271,91 −11,05 0,3663 −0,0495
JPMorgan Chase Bank NA into Exxon Mobil Corp. / SN (N/A) 2,50 270,78 0,3648 0,3648
JPMorgan Chase Bank NA into Exxon Mobil Corp. / SN (N/A) 2,50 270,78 0,3648 0,3648
J.P. Morgan Structured Products BV into Home Depot, Inc. (The) / SN (N/A) 0,73 270,45 0,3643 0,3643
J.P. Morgan Structured Products BV into Home Depot, Inc. (The) / SN (N/A) 0,73 270,45 0,3643 0,3643
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 5,60 0,00 269,83 7,20 0,3635 0,0211
Barclays Bank plc into RTX Corp. / SN (N/A) 2,10 266,31 0,3587 0,3587
Barclays Bank plc into RTX Corp. / SN (N/A) 2,10 266,31 0,3587 0,3587
Royal Bank of Canada into Oracle Corp. / SN (N/A) 1,62 266,06 0,3584 0,3584
Royal Bank of Canada into Oracle Corp. / SN (N/A) 1,62 266,06 0,3584 0,3584
DUK / Duke Energy Corporation 2,25 −10,00 265,50 −12,93 0,3577 −0,0572
BNP / BNP Paribas SA - Depositary Receipt (Common Stock) 1,30 265,19 0,3572 0,3572
US12429TAD63 / Mauser Packaging Solutions Holding Co 264,59 10,06 0,3564 0,0294
FMCC / Federal Home Loan Mortgage Corporation 263,90 −4,34 0,3555 −0,0198
FMCC / Federal Home Loan Mortgage Corporation 263,90 −4,34 0,3555 −0,0198
US90269A5341 / UBSW (LUV) (conv) 4.25% 2/6/2020 1,12 0,00 263,04 14,15 0,3543 0,0409
US90269A5341 / UBSW (LUV) (conv) 4.25% 2/6/2020 1,12 0,00 263,04 14,15 0,3543 0,0409
US143658BN13 / Carnival Corp 262,31 13,90 0,3534 0,0401
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 1,50 0,00 260,48 8,25 0,3509 0,0236
FMCC / Federal Home Loan Mortgage Corporation 259,52 −2,43 0,3496 −0,0122
Mizuho Markets Cayman LP into Freeport-McMoRan, Inc. / SN (US60701E1394) 6,00 0,00 257,86 10,94 0,3474 0,0312
Mizuho Markets Cayman LP into Freeport-McMoRan, Inc. / SN (US60701E1394) 6,00 0,00 257,86 10,94 0,3474 0,0312
FMCC / Federal Home Loan Mortgage Corporation 257,01 −2,39 0,3462 −0,0120
FMCC / Federal Home Loan Mortgage Corporation 257,01 −2,39 0,3462 −0,0120
Mizuho Markets Cayman LP into Intel Corp. / SN (US6068FR8169) 11,20 0,00 255,46 −0,18 0,3441 −0,0040
AAL / American Airlines Group Inc. 254,94 31,16 0,3434 0,0790
US097023CY98 / BOEING CO 5.15 5/30 254,64 −35,14 0,3430 −0,1911
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 3,70 0,00 253,15 5,20 0,3410 0,0136
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 3,70 0,00 253,15 5,20 0,3410 0,0136
WFRD / Weatherford International plc 252,69 1,51 0,3404 0,0017
ALB / Albemarle Corporation 4,00 41,34 250,68 22,99 0,3377 0,0604
FMCC / Federal Home Loan Mortgage Corporation 250,08 −1,94 0,3369 −0,0101
FMCC / Federal Home Loan Mortgage Corporation 250,08 −1,94 0,3369 −0,0101
U.S. Treasury Bills / STIV (US912797QB69) 249,39 0,3360 0,3360
U.S. Treasury Bills / STIV (US912797QC43) 249,19 0,3357 0,3357
U.S. Treasury Bills / STIV (US912797QC43) 249,19 0,3357 0,3357
U.S. Treasury Bills / STIV (US912797QH30) 248,97 0,3354 0,3354
U.S. Treasury Bills / STIV (US912797QJ95) 248,75 0,3351 0,3351
U.S. Treasury Bills / STIV (US912797QJ95) 248,75 0,3351 0,3351
U.S. Treasury Bonds / DBT (US912803HF35) 245,85 −6,89 0,3312 −0,0280
U.S. Treasury Bonds / DBT (US912803HF35) 245,85 −6,89 0,3312 −0,0280
Wells Fargo Bank NA into Citigroup, Inc. / SN (N/A) 2,90 245,64 0,3309 0,3309
TTE / TotalEnergies SE - Depositary Receipt (Common Stock) 4,00 0,00 245,56 −5,10 0,3308 −0,0212
US03969AAN00 / Ardagh Packaging Finance PLC / Ardagh Holdings USA, Inc. 244,32 2,16 0,3291 0,0038
Mizuho Markets Cayman LP into Exxon Mobil Corp. / SN (US60701E2467) 2,23 0,00 243,35 −6,50 0,3278 −0,0263
Barclays Bank plc into Amazon.com, Inc. / SN (N/A) 1,15 243,23 0,3277 0,3277
Barclays Bank plc into Amazon.com, Inc. / SN (N/A) 1,15 243,23 0,3277 0,3277
PFE / Pfizer Inc. 10,00 0,00 242,40 −4,34 0,3265 −0,0182
Merrill Lynch BV into Comcast Corp. / SN (XS2887845407) 6,90 242,07 0,3261 0,3261
Wells Fargo Bank NA into CVS Health Corp. / SN (N/A) 3,50 241,73 0,3256 0,3256
Wells Fargo Bank NA into CVS Health Corp. / SN (N/A) 3,50 241,73 0,3256 0,3256
JPMorgan Chase Bank NA into Boeing Co. (The) / SN (N/A) 1,27 241,65 0,3255 0,3255
US90269A5341 / UBSW (LUV) (conv) 4.25% 2/6/2020 0,81 241,26 0,3250 0,3250
Mizuho Markets Cayman LP into Amgen, Inc. / SN (US60701E3523) 0,85 239,59 0,3228 0,3228
Mizuho Markets Cayman LP into Amgen, Inc. / SN (US60701E3523) 0,85 239,59 0,3228 0,3228
BNP / BNP Paribas SA - Depositary Receipt (Common Stock) 5,10 0,00 238,87 −7,18 0,3218 −0,0283
U.S. Treasury Bonds / DBT (US912810UE63) 238,32 −3,28 0,3210 −0,0142
JPMorgan Chase Bank NA into CVS Health Corp. / SN (N/A) 3,64 237,51 0,3200 0,3200
Wells Fargo Bank NA into Salesforce, Inc. / SN (N/A) 0,88 236,33 0,3184 0,3184
US90269A5341 / UBSW (LUV) (conv) 4.25% 2/6/2020 5,00 0,00 236,10 9,94 0,3181 0,0259
BNP / BNP Paribas SA - Depositary Receipt (Common Stock) 1,30 0,00 234,53 18,87 0,3159 0,0475
PNC / The PNC Financial Services Group, Inc. 1,25 0,00 233,03 6,06 0,3139 0,0150
XS1450864779 / China Government Bond - JPMorgan Chase 5,40 0,00 231,67 3,82 0,3121 0,0085
XS1450864779 / China Government Bond - JPMorgan Chase 5,40 0,00 231,67 3,82 0,3121 0,0085
TSM / Taiwan Semiconductor Manufacturing Company Limited - Depositary Receipt (Common Stock) 1,00 0,00 226,49 36,44 0,3051 0,0793
US01F0226344 / Uniform Mortgage-Backed Security, TBA 224,89 −2,57 0,3030 −0,0111
US61747YFE05 / Morgan Stanley 223,88 1,67 0,3016 0,0020
LOW / Lowe's Companies, Inc. 1,00 0,00 221,87 −4,87 0,2989 −0,0184
BNP / BNP Paribas SA - Depositary Receipt (Common Stock) 9,00 0,00 219,59 −5,01 0,2958 −0,0187
BNP / BNP Paribas SA - Depositary Receipt (Common Stock) 9,00 0,00 219,59 −5,01 0,2958 −0,0187
JPMorgan Chase Bank NA into Comcast Corp. / SN (N/A) 6,10 218,64 0,2945 0,2945
US203372AV94 / CommScope Inc 216,38 22,13 0,2915 0,0505
Goldman Sachs Bank USA into RTX Corp. / SN (US38151L3087) 1,56 0,00 212,86 4,52 0,2868 0,0097
MCHP / Microchip Technology Incorporated 3,00 −25,00 211,11 9,02 0,2844 0,0210
US23918KAS78 / DaVita Inc 210,94 −8,43 0,2842 −0,0292
BLK / BlackRock, Inc. 0,20 0,00 209,85 10,86 0,2827 0,0252
BNP / BNP Paribas SA - Depositary Receipt (Common Stock) 1,65 0,00 209,63 20,29 0,2824 0,0453
BNP / BNP Paribas SA - Depositary Receipt (Common Stock) 1,65 0,00 209,63 20,29 0,2824 0,0453
ALB.PRA / Albemarle Corporation - Preferred Stock 6,50 8,33 208,65 −2,45 0,2811 −0,0099
BMY / Bristol-Myers Squibb Company 4,50 50,00 208,31 67,19 0,2806 0,1083
FITB / Fifth Third Bancorp 5,00 25,00 205,65 31,15 0,2770 0,0637
XEL / Xcel Energy Inc. 3,00 0,00 204,30 −3,80 0,2752 −0,0137
RIO / Rio Tinto Group - Depositary Receipt (Common Stock) 3,50 0,00 204,16 −2,91 0,2750 −0,0110
FNMFO / Federal National Mortgage Association - Preferred Stock 0,00 0,00 203,52 32,41 0,2742 0,0651
Wells Fargo Bank NA into QUALCOMM, Inc. / SN (N/A) 1,25 202,41 0,2727 0,2727
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5MQ96) 202,00 0,2721 0,2721
Barclays Bank plc into Dell Technologies Inc / SN (N/A) 1,64 201,43 0,2713 0,2713
Barclays Bank plc into Dell Technologies Inc / SN (N/A) 1,64 201,43 0,2713 0,2713
U.S. Treasury Bills / STIV (US912797QA86) 199,68 0,2690 0,2690
NEE.PRT / NextEra Energy, Inc. - Debt/Equity Composite Units 4,50 0,00 199,12 −2,85 0,2682 −0,0106
Beach Acquisition Bidco LLC / DBT (US07337JAC18) 197,41 0,2659 0,2659
Merrill Lynch BV into Micron Technology, Inc. / SN (US59027W2290) 1,61 0,00 196,47 35,42 0,2647 0,0673
Wells Fargo Bank NA into Schlumberger NV / SN (N/A) 5,60 196,03 0,2641 0,2641
FMCC / Federal Home Loan Mortgage Corporation 195,99 −2,48 0,2640 −0,0094
FMCC / Federal Home Loan Mortgage Corporation 195,99 −2,48 0,2640 −0,0094
FMCC / Federal Home Loan Mortgage Corporation 194,80 −2,32 0,2624 −0,0089
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5JD21) 189,16 −0,74 0,2548 −0,0044
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5JD21) 189,16 −0,74 0,2548 −0,0044
Mizuho Markets Cayman LP into Microchip Technology, Inc. / SN (US60701E2871) 3,01 0,00 188,84 26,57 0,2544 0,0514
Mizuho Markets Cayman LP into Microchip Technology, Inc. / SN (US60701E2871) 3,01 0,00 188,84 26,57 0,2544 0,0514
US90269A5341 / UBSW (LUV) (conv) 4.25% 2/6/2020 1,90 0,00 188,58 −7,35 0,2540 −0,0228
US01F0226344 / Uniform Mortgage-Backed Security, TBA 186,86 −2,12 0,2517 −0,0080
US01F0226344 / Uniform Mortgage-Backed Security, TBA 186,86 −2,12 0,2517 −0,0080
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 0,89 0,00 184,43 14,44 0,2484 0,0292
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 0,89 0,00 184,43 14,44 0,2484 0,0292
Mizuho Markets Cayman LP into Hewlett Packard Enterprise Co. / SN (US6068FR6676) 9,50 0,00 183,86 24,68 0,2477 0,0471
Mizuho Markets Cayman LP into Hewlett Packard Enterprise Co. / SN (US6068FR6676) 9,50 0,00 183,86 24,68 0,2477 0,0471
US90932LAH06 / United Airlines Inc 181,30 40,10 0,2442 0,0682
TD.PFA / The Toronto-Dominion Bank - Preferred Security 0,48 0,00 179,50 11,22 0,2418 0,0223
Goldman Sachs International Bank into NIKE, Inc. / SN (US38151L2097) 2,45 0,00 178,35 8,13 0,2403 0,0159
Goldman Sachs International Bank into NIKE, Inc. / SN (US38151L2097) 2,45 0,00 178,35 8,13 0,2403 0,0159
Merrill Lynch BV into Morgan Stanley / SN (US59027W2118) 1,65 0,00 177,73 3,06 0,2394 0,0048
X Corp., First Lien, CME Term Loan, B1 / LON (US90184NAG34) 175,63 0,2366 0,2366
Barclays Bank plc into Target Corp. / SN (N/A) 1,70 174,41 0,2350 0,2350
CSCO / Cisco Systems, Inc. 2,50 −35,48 173,45 −27,47 0,2337 −0,0916
Mizuho Markets Cayman LP into Analog Devices, Inc. / SN (US60701E3457) 0,80 173,44 0,2336 0,2336
Mizuho Markets Cayman LP into Analog Devices, Inc. / SN (US60701E3457) 0,80 173,44 0,2336 0,2336
US131347CN48 / Calpine Corp 169,92 −28,11 0,2289 −0,0926
Wells Fargo Bank NA into Boeing Co. (The) / SN (N/A) 0,86 169,46 0,2283 0,2283
Wells Fargo Bank NA into Boeing Co. (The) / SN (N/A) 0,86 169,46 0,2283 0,2283
SLB / Schlumberger Limited 5,00 400,00 169,00 304,31 0,2277 0,1708
TD.PFA / The Toronto-Dominion Bank - Preferred Security 1,85 0,00 165,60 −2,23 0,2231 −0,0073
TD.PFA / The Toronto-Dominion Bank - Preferred Security 1,85 0,00 165,60 −2,23 0,2231 −0,0073
THC / Tenet Healthcare Corporation 165,40 1,97 0,2228 0,0021
THC / Tenet Healthcare Corporation 165,40 1,97 0,2228 0,0021
NEE.PRS / NextEra Energy, Inc. - Debt/Equity Composite Units 3,50 0,00 164,81 −1,51 0,2220 −0,0056
US1248EPBX05 / CCO Holdings LLC / CCO Holdings Capital Corp 164,29 −6,40 0,2213 −0,0175
US30251GBC06 / FMG Resources August 2006 Pty Ltd 164,11 −4,71 0,2211 −0,0132
CommScope LLC / DBT (US20338MAA09) 162,43 250,13 0,2188 0,1557
US17327CAR43 / Citigroup Inc 162,32 2,13 0,2187 0,0025
Merrill Lynch BV into UnitedHealth Group, Inc. / SN (XS2887845159) 0,52 162,03 0,2183 0,2183
TD.PFA / The Toronto-Dominion Bank - Preferred Security 1,70 0,00 158,19 −4,90 0,2131 −0,0132
US88033GDS66 / TENET HEALTHCARE CORP 158,09 5,26 0,2130 0,0087
TD.PFA / The Toronto-Dominion Bank - Preferred Security 1,61 157,86 0,2127 0,2127
TD.PFA / The Toronto-Dominion Bank - Preferred Security 1,61 157,86 0,2127 0,2127
US023771T402 / American Airlines, Inc. 157,37 10,66 0,2120 0,0185
US92332YAA91 / Venture Global LNG, Inc. 155,13 99,63 0,2090 0,1033
US345370DB39 / Ford Motor Co. 154,85 −19,05 0,2086 −0,0516
US3132DWG800 / Freddie Mac Pool 154,35 −2,06 0,2079 −0,0065
US31418ER771 / UMBS 153,56 −2,41 0,2069 −0,0072
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 6,50 0,00 152,73 −0,45 0,2057 −0,0030
US830867AB33 / Delta Air Lines Inc / SkyMiles IP Ltd 150,42 −49,67 0,2026 −0,2039
US911365BG81 / United Rentals North America Inc 149,50 1,32 0,2014 0,0007
BHC / Bausch Health Companies Inc. 148,61 19,93 0,2002 0,0316
IBM / International Business Machines Corporation 0,50 0,00 147,39 34,09 0,1986 0,0479
US203372AX50 / CommScope Inc 146,63 47,05 0,1975 0,0619
Caesars Entertainment, Inc. / DBT (US12769GAC42) 146,31 225,95 0,1971 0,1360
US03969AAR14 / Ardagh Packaging Finance PLC / Ardagh Holdings USA Inc 146,02 −5,97 0,1967 −0,0145
MBG / Mercedes-Benz Group AG 2,50 25,00 145,65 23,28 0,1962 0,0355
American Airlines Group, Inc. / DBT (US023771S826) 145,24 −1,29 0,1957 −0,0045
American Airlines Group, Inc. / DBT (US023771S826) 145,24 −1,29 0,1957 −0,0045
Calumet Specialty Products Partners LP / Calumet Finance Corp. / DBT (US131477AX99) 144,20 −0,36 0,1943 −0,0026
US131347CM64 / Calpine Corp 144,09 2,29 0,1941 0,0025
US62482BAA08 / Mozart Debt Merger Sub Inc 143,99 2,62 0,1940 0,0031
Caesars Entertainment, Inc. / DBT (US12769GAD25) 142,29 21,78 0,1917 0,0327
Caesars Entertainment, Inc. / DBT (US12769GAD25) 142,29 21,78 0,1917 0,0327
Opal LLC, First Lien, CME Term Loan, B2 / LON (XAF7000QAB77) 140,74 0,1896 0,1896
US92332YAB74 / Venture Global LNG, Inc. 140,31 25,68 0,1890 0,0371
AZN / AstraZeneca PLC - Depositary Receipt (Common Stock) 2,00 0,00 139,76 −4,93 0,1883 −0,0117
MS / Morgan Stanley 0,99 97,56 139,14 186,33 0,1874 0,1202
US06747W8495 / Barclays Bank plc into Metlife, Inc. 1,95 0,00 139,07 38,65 0,1873 0,0509
US06747W8495 / Barclays Bank plc into Metlife, Inc. 1,95 0,00 139,07 38,65 0,1873 0,0509
US15135BAT89 / CORPORATE BONDS 137,33 −13,77 0,1850 −0,0317
US18453HAC07 / Clear Channel Outdoor Holdings Inc 136,66 −11,30 0,1841 −0,0255
US983130AX35 / Wynn Las Vegas LLC / Wynn Las Vegas Capital Corp 135,19 1,14 0,1821 0,0003
BNP Paribas Issuance BV into Freeport-McMoRan, Inc. / SN (XS2817274199) 3,10 0,00 134,25 12,53 0,1808 0,0186
BNP Paribas Issuance BV into Freeport-McMoRan, Inc. / SN (XS2817274199) 3,10 0,00 134,25 12,53 0,1808 0,0186
US92840VAH50 / VISTRA OPERATIONS CO LLC 4.375% 05/01/2029 144A 133,62 2,61 0,1800 0,0029
Wells Fargo Bank NA into UnitedHealth Group, Inc. / SN (US95003R8676) 0,42 0,00 133,08 −37,96 0,1793 −0,1125
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 0,40 0,00 132,76 −36,24 0,1788 −0,1044
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 0,40 0,00 132,76 −36,24 0,1788 −0,1044
CI / The Cigna Group 0,40 0,00 132,23 0,48 0,1781 −0,0009
US37045VAP58 / General Motors Co 130,37 2,79 0,1756 0,0031
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5PK99) 126,99 0,1711 0,1711
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5PK99) 126,99 0,1711 0,1711
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5PJ27) 126,53 0,1705 0,1705
US88033GDM96 / CORP. NOTE 126,17 2,91 0,1700 0,0032
NOC / Northrop Grumman Corporation 0,25 −37,50 125,00 −29,01 0,1684 −0,0862
US131477AV34 / Calumet Specialty Products Partners LP / Calumet Finance Corp 124,35 7,64 0,1675 0,0104
CRM / Salesforce, Inc. 0,45 0,00 124,28 1,67 0,1674 0,0011
U.S. Treasury Bills / STIV (US912797QK68) 124,27 0,1674 0,1674
U.S. Treasury Bills / STIV (US912797QK68) 124,27 0,1674 0,1674
BAS / Leverage Shares Plc - Corporate Bond/Note 2,50 123,65 0,1666 0,1666
J.P. Morgan Structured Products BV into Taiwan Semiconductor Manufacturing Co. Ltd. / SN (XS2599093254) 0,61 0,00 123,62 17,56 0,1665 0,0235
J.P. Morgan Structured Products BV into Taiwan Semiconductor Manufacturing Co. Ltd. / SN (XS2599093254) 0,61 0,00 123,62 17,56 0,1665 0,0235
Calumet Specialty Products Partners LP / Calumet Finance Corp. / DBT (US131477AY72) 119,42 −47,09 0,1609 −0,1462
US404121AJ49 / HCA Inc 118,42 0,65 0,1595 −0,0005
US06051GKQ19 / Bank of America Corp 118,12 −28,12 0,1591 −0,0644
XS2066744231 / Carnival PLC 117,73 198,46 0,1586 0,1049
XS2066744231 / Carnival PLC 117,73 198,46 0,1586 0,1049
FMCC / Federal Home Loan Mortgage Corporation 115,30 −3,97 0,1553 −0,0080
FMCC / Federal Home Loan Mortgage Corporation 115,30 −3,97 0,1553 −0,0080
US90269A5341 / UBSW (LUV) (conv) 4.25% 2/6/2020 5,10 0,00 113,81 −4,27 0,1533 −0,0084
US694308JM04 / PACIFIC GAS and ELECTRIC CO 4.55% 07/01/2030 113,77 0,85 0,1533 −0,0002
US03969YAB48 / Ardagh Metal Packaging Finance USA LLC / Ardagh Metal Packaging Finance PLC 113,56 7,14 0,1530 0,0088
US78433BAA61 / CORP. NOTE 112,12 2,40 0,1510 0,0021
US36267VAK98 / GE HealthCare Technologies Inc 111,67 0,73 0,1504 −0,0004
Merrill Lynch BV into Halliburton Co. / SN (US59027W2605) 5,30 0,00 111,56 −19,67 0,1503 −0,0386
Wynn Resorts Finance LLC / Wynn Resorts Capital Corp. / DBT (US983133AD10) 110,77 13,63 0,1492 0,0166
US38141GA534 / Goldman Sachs Group, Inc. (The) 110,61 1,30 0,1490 0,0005
US15089QAP90 / Celanese US Holdings LLC 110,15 2,09 0,1484 0,0016
US03027XBZ24 / American Tower Corp 109,51 1,14 0,1475 0,0002
US92840VAA08 / Vistra Operations Co LLC 109,33 0,14 0,1473 −0,0012
US90932LAG23 / United Airlines Inc 107,12 0,93 0,1443 −0,0001
US17329T1613 / Citigroup Global Markets Holdings, Inc. into Bristol Myers Squibb Co. 2,58 106,43 0,1434 0,1434
Venture Global LNG, Inc. / DBT (US92332YAE14) 106,24 26,77 0,1431 0,0291
TransDigm, Inc. / DBT (US893647BW65) 105,64 0,1423 0,1423
TransDigm, Inc. / DBT (US893647BW65) 105,64 0,1423 0,1423
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 2,42 0,00 104,74 4,34 0,1411 0,0045
RYBD34 / Royal Bank of Canada (Brasil) S.A. - Depositary Receipt (Common Stock) 2,42 0,00 104,74 4,34 0,1411 0,0045
Hilcorp Energy I LP / Hilcorp Finance Co. / DBT (US431318BG88) 104,73 82,53 0,1411 0,0630
Hilcorp Energy I LP / Hilcorp Finance Co. / DBT (US431318BG88) 104,73 82,53 0,1411 0,0630
Vistra Operations Co. LLC / DBT (US92840VAR33) 104,61 2,55 0,1409 0,0022
Vistra Operations Co. LLC / DBT (US92840VAR33) 104,61 2,55 0,1409 0,0022
US69331CAH16 / PG&E Corp 104,57 0,10 0,1409 −0,0012
US1248EPCS01 / CCO Holdings LLC / CCO Holdings Capital Corp. 104,12 19,94 0,1403 0,0222
US06738ECA10 / Barclays PLC 103,69 1,99 0,1397 0,0014
TransDigm, Inc. / DBT (US893647BV82) 103,66 2,23 0,1396 0,0017
TransDigm, Inc. / DBT (US893647BV82) 103,66 2,23 0,1396 0,0017
US48128B5497 / JPMORGAN CHASE and CO 4.625% PERP PFD 103,53 0,91 0,1395 −0,0001
US48128B5497 / JPMORGAN CHASE and CO 4.625% PERP PFD 103,53 0,91 0,1395 −0,0001
T1SO34 / The Southern Company - Depositary Receipt (Common Stock) 103,15 −19,61 0,1390 −0,0356
T1SO34 / The Southern Company - Depositary Receipt (Common Stock) 103,15 −19,61 0,1390 −0,0356
US68389XCJ28 / Oracle Corp 102,84 1,47 0,1385 0,0007
TransDigm, Inc. / DBT (US893647BU00) 102,72 1,56 0,1384 0,0008
TransDigm, Inc. / DBT (US893647BU00) 102,72 1,56 0,1384 0,0008
US404119CQ00 / HCA Inc 102,42 2,00 0,1380 0,0014
US893647BR70 / TransDigm, Inc. 102,24 0,64 0,1377 −0,0005
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5MR79) 101,32 0,1365 0,1365
GNMA II, Single-family, 30 Year / ABS-MBS (US3618N5MR79) 101,32 0,1365 0,1365
US345370DA55 / Ford Motor Co 101,22 2,29 0,1364 0,0017
N1RG34 / NRG Energy, Inc. - Depositary Receipt (Common Stock) 100,63 2,04 0,1356 0,0014
US12769GAA85 / Caesars Entertainment Inc 100,29 98,22 0,1351 0,0663
VICI / VICI Properties Inc. 99,43 0,46 0,1339 −0,0007
US92840MAC64 / Vistra Corp 98,99 −0,08 0,1334 −0,0014
ITW / Illinois Tool Works Inc. 0,40 0,00 98,90 −0,31 0,1332 −0,0017
US12769GAB68 / Caesars Entertainment, Inc. 98,44 86,64 0,1326 0,0609
US78433BAB45 / SCIH Salt Holdings Inc 97,85 1,74 0,1318 0,0010
US46647PDY97 / JPMorgan Chase & Co 97,85 1,20 0,1318 0,0003
JetBlue Airways Corp. / JetBlue Loyalty LP / DBT (US476920AA15) 97,35 40,77 0,1311 0,0371
JetBlue Airways Corp. / JetBlue Loyalty LP / DBT (US476920AA15) 97,35 40,77 0,1311 0,0371
US013822AG68 / Alcoa Nederland Holding BV 96,87 2,80 0,1305 0,0023
MRVL / Marvell Technology, Inc. 1,25 25,00 96,75 57,14 0,1303 0,0466
US126650DU15 / CVS Health Corp. 95,67 1,96 0,1289 0,0012
US345397C924 / Ford Motor Credit Co LLC 95,11 0,62 0,1281 −0,0005
NDOI / Endo, Inc. 4,48 0,00 94,11 −12,55 0,1268 −0,0196
US95000U3F88 / Wells Fargo & Co. 92,92 1,42 0,1252 0,0005
CMCSA / Comcast Corporation 2,60 −63,38 92,79 −64,58 0,1250 −0,2314
US89788NAA81 / Truist Financial Corp. 92,74 2,23 0,1249 0,0015
CLF / Cleveland-Cliffs Inc. 91,56 376,47 0,1233 0,0972
CLF / Cleveland-Cliffs Inc. 91,56 376,47 0,1233 0,0972
US31556TAA79 / Fertitta Entertainment LLC / Fertitta Entertainment Finance Co Inc 91,05 31,70 0,1227 0,0286
US1805674066 / Clarion Partners Real Estate Income Fund, Inc., Class I 7,87 0,00 90,95 −0,69 0,1225 −0,0021
T1SO34 / The Southern Company - Depositary Receipt (Common Stock) 90,67 0,1221 0,1221
T1SO34 / The Southern Company - Depositary Receipt (Common Stock) 90,67 0,1221 0,1221
Clydesdale Acquisition Holdings, Inc., First Lien, 2025 Incremental Closing Date CME Term Loan, B / LON (US18972FAE25) 90,17 0,1215 0,1215
Bank of America Corp. / DBT (US06051GMB22) 90,01 2,10 0,1213 0,0013
US62482BAB80 / MOZART DEBT MERGER SUB INC 89,36 106,81 0,1204 0,0616
US14040HCY99 / Capital One Financial Corp. 87,72 2,36 0,1182 0,0016
US46590XAY22 / JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc. 87,43 −21,81 0,1178 −0,0343
C / Citigroup Inc. - Depositary Receipt (Common Stock) 87,33 1,73 0,1176 0,0009
C / Citigroup Inc. - Depositary Receipt (Common Stock) 87,33 1,73 0,1176 0,0009
LYB / LyondellBasell Industries N.V. 1,50 0,00 86,79 −17,81 0,1169 −0,0267
US969457BX79 / WILLIAMS COS INC 3.5% 11/15/2030 85,12 −24,12 0,1147 −0,0379
US674599ED34 / Occidental Petroleum Corp 84,64 0,66 0,1140 −0,0004
US345397C270 / Ford Motor Credit Co LLC 84,47 0,82 0,1138 −0,0002
US92840VAP76 / Vistra Operations Co. LLC 84,02 1,47 0,1132 0,0005
US92840VAQ59 / Vistra Operations Co. LLC 82,42 2,24 0,1110 0,0014
US06738EBY05 / Barclays PLC 81,61 0,50 0,1099 −0,0005
US00253XAA90 / American Airlines Inc/AAdvantage Loyalty IP Ltd 81,03 −14,53 0,1092 −0,0198
US64110LAS51 / Netflix Inc 80,98 0,65 0,1091 −0,0004
US172967PA33 / CITIGROUP INC 80,78 −10,48 0,1088 −0,0139
US983133AC37 / Wynn Resorts Finance LLC / Wynn Resorts Capital Corp 80,03 157,63 0,1078 0,0656
US1248EPCD32 / CCO Holdings LLC / CCO Holdings Capital Corp. 79,99 4,43 0,1078 0,0036
US14040HCZ64 / Capital One Financial Corp 78,74 0,94 0,1061 −0,0000
US599191AA16 / Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets Ltd 78,35 −11,38 0,1055 −0,0147
US3132DWHT36 / FEDERAL HOME LOAN MORTGAGE CORP 78,34 −2,39 0,1055 −0,0037
US3132DWJR51 / FHLG 30YR 5.5% 11/01/2053#SD8372 77,93 −2,53 0,1050 −0,0038
US11135FAS02 / BROADCOM INC 4.3% 11/15/2032 77,63 1,62 0,1046 0,0006
US49456BAX91 / Kinder Morgan, Inc. 77,40 −10,26 0,1043 −0,0131
US37045XEN21 / General Motors Financial Co Inc 77,27 1,10 0,1041 0,0001
Medline Borrower LP / Medline Co-Issuer, Inc. / DBT (US58506DAA63) 77,14 204,31 0,1039 0,0694
US03969AAP57 / Ardagh Packaging Finance PLC / Ardagh Holdings USA Inc 77,09 −3,49 0,1038 −0,0048
INFXX / Institutional Fiduciary Trust - Institutional Fiduciary Trust Money Market Portfolio 77,05 681,75 77,05 681,80 0,1038 0,0904
US17302XAM83 / CITGO Petroleum Corp 77,02 0,16 0,1038 −0,0009
NSC / Norfolk Southern Corporation 0,30 0,00 76,79 8,07 0,1034 0,0068
US06738ECL74 / Barclays PLC 76,45 1,81 0,1030 0,0008
US30251GBE61 / FMG RESOURCES AUGUST 2006 76,34 137,95 0,1028 0,0592
US34540TF236 / Ford Motor Credit Co. LLC., 6.800%, 08/20/25 76,19 0,1026 0,1026
XS2083963236 / Teva Pharmaceutical Finance Netherlands II BV 75,75 −10,98 0,1020 −0,0137
US911365BQ63 / United Rentals North America, Inc. 75,64 0,76 0,1019 −0,0002
US3132DWHG15 / Freddie Mac Pool 74,78 −2,54 0,1007 −0,0036
ACN / Accenture plc 0,25 74,72 0,1007 0,1007
US31418ET678 / Fannie Mae Pool 74,57 −2,61 0,1005 −0,0037
US693475BJ30 / PNC Financial Services Group Inc/The 74,47 1,29 0,1003 0,0003
US06738ECE32 / Barclays PLC 73,80 −11,88 0,0994 −0,0145
US131477AW17 / Calumet Specialty Products Partners LP / Calumet Finance Corp. 73,40 12,30 0,0989 0,0100
DVAI34 / DaVita Inc. - Depositary Receipt (Common Stock) 72,58 44,23 0,0978 0,0293
DVAI34 / DaVita Inc. - Depositary Receipt (Common Stock) 72,58 44,23 0,0978 0,0293
US72147KAK43 / Pilgrim's Pride Corp 6.250%, Due 07/01/33 71,98 2,14 0,0970 0,0011
NKE / NIKE, Inc. 1,00 0,00 71,04 11,91 0,0957 0,0093
KO / The Coca-Cola Company 1,00 −85,71 70,75 −85,89 0,0953 −0,5867
US37045XDS27 / General Motors Financial Co., Inc. 70,33 2,82 0,0947 0,0017
US36179X2L97 / Ginnie Mae II Pool 70,20 −3,82 0,0946 −0,0047
US31556TAC36 / Fertitta Entertainment LLC / Fertitta Entertainment Finance Co Inc 69,27 6,70 0,0933 0,0050
US61747YFB65 / Morgan Stanley 69,05 1,77 0,0930 0,0007
US345397ZR75 / Ford Motor Credit Co., LLC 68,47 −16,48 0,0922 −0,0193
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) 68,20 1,48 0,0919 0,0004
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) 68,20 1,48 0,0919 0,0004
Opal Bidco SAS / DBT (US68348BAA17) 66,38 0,0894 0,0894
US25830JAA97 / Dornoch Debt Merger Sub Inc 65,93 1,84 0,0888 0,0007
US38141GFD16 / Goldman Sachs 6.75% Notes 10/1/37 65,91 1,51 0,0888 0,0005
US744320BF81 / Prudential Financial Inc 65,91 0,84 0,0888 −0,0001
N1RG34 / NRG Energy, Inc. - Depositary Receipt (Common Stock) 65,69 3,77 0,0885 0,0024
N1RG34 / NRG Energy, Inc. - Depositary Receipt (Common Stock) 65,69 3,77 0,0885 0,0024
US95000U3H45 / Wells Fargo & Co 65,61 1,32 0,0884 0,0003
INSTITUTIONAL FIDUCIARY TRUST / STIV (N/A) 64,27 64,27 0,0866 0,0866
INSTITUTIONAL FIDUCIARY TRUST / STIV (N/A) 64,27 64,27 0,0866 0,0866
R2RX34 / Regal Rexnord Corporation - Depositary Receipt (Common Stock) 63,38 1,73 0,0854 0,0006
Mizuho Markets Cayman LP into Barrick Gold Corp. / SN (US6068FR5439) 3,23 0,00 63,02 5,69 0,0849 0,0038
Mizuho Markets Cayman LP into Barrick Gold Corp. / SN (US6068FR5439) 3,23 0,00 63,02 5,69 0,0849 0,0038
US30251GBD88 / FMG Resources August 2006 Pty. Ltd. 62,86 2,52 0,0847 0,0013
US674599EC50 / OCCIDENTAL PETROLEUM CORP 6.375% 09/01/2028 62,38 0,17 0,0840 −0,0007
N1RG34 / NRG Energy, Inc. - Depositary Receipt (Common Stock) 60,64 −4,21 0,0817 −0,0044
N1RG34 / NRG Energy, Inc. - Depositary Receipt (Common Stock) 60,64 −4,21 0,0817 −0,0044
US03938LBF04 / ArcelorMittal SA 60,49 2,13 0,0815 0,0009
US06738ECH62 / Barclays PLC 60,11 1,39 0,0810 0,0003
FNMAS / Federal National Mortgage Association - Preferred Stock 4,00 0,00 60,00 26,05 0,0808 0,0161
US629377CR16 / NRG ENERGY INC 3.625% 02/15/2031 144A 59,87 3,90 0,0806 0,0023
US22822VBC46 / Crown Castle Inc 59,79 1,90 0,0805 0,0007
US595112BV48 / Micron Technology Inc 59,46 0,74 0,0801 −0,0002
US88033GAV23 / Tenet Healthcare Corp 6 7/8% Notes 11/15/2031 59,44 4,99 0,0801 0,0031
CLF / Cleveland-Cliffs Inc. 58,40 0,0787 0,0787
US054989AB41 / BAT CAPITAL CORP 6.421000% 08/02/2033 58,13 1,76 0,0783 0,0006
Avianca Midco 2 plc / DBT (US05369YAC30) 56,92 −0,21 0,0767 −0,0009
Avianca Midco 2 plc / DBT (US05369YAC30) 56,92 −0,21 0,0767 −0,0009
US126650CY46 / CVS Health Corp 56,87 2,30 0,0766 0,0010
US30212PAR64 / Expedia Group Inc 56,62 1,20 0,0763 0,0002
US24703TAG13 / Dell International LLC / EMC Corp 56,62 1,07 0,0763 0,0001
Connect Holding II LLC / DBT (US20753PAD33) 56,40 0,0760 0,0760
Connect Holding II LLC / DBT (US20753PAD33) 56,40 0,0760 0,0760
US18453HAA41 / Clear Channel Worldwide Holdings Inc 5.125% 08/15/2027 144A 54,82 −29,54 0,0739 −0,0320
EMRLD Borrower LP, First Lien, Second Amendment Incremental CME Term Loan / LON (US26872NAD12) 54,62 0,51 0,0736 −0,0003
Claritev Corp. / DBT (US62548MAA80) 54,52 17,37 0,0734 0,0103
Rivian Holdings LLC / Rivian LLC / Rivian Automotive LLC / DBT (US76954LAD10) 54,07 0,0728 0,0728
US674599EF81 / Occidental Petroleum Corp 53,87 0,70 0,0726 −0,0002
Venture Global Plaquemines LNG LLC / DBT (US922966AA47) 53,58 0,0722 0,0722
ARES.PRB / Ares Management Corporation - Preferred Security 1,00 0,00 53,00 9,94 0,0714 0,0058
Endo Finance Holdings, Inc. / DBT (US29281RAA77) 52,99 1,54 0,0714 0,0004
Endo Finance Holdings, Inc. / DBT (US29281RAA77) 52,99 1,54 0,0714 0,0004
US48128B5497 / JPMORGAN CHASE and CO 4.625% PERP PFD 52,90 0,50 0,0713 −0,0003
US48128B5497 / JPMORGAN CHASE and CO 4.625% PERP PFD 52,90 0,50 0,0713 −0,0003
US59565JAA97 / MIDAS OPCO HOLDINGS LLC 52,67 0,44 0,0709 −0,0004
US37045XED49 / General Motors Financial Co., Inc. 52,63 2,01 0,0709 0,0007
US893647BS53 / TransDigm Inc 51,92 1,51 0,0699 0,0004
CLF / Cleveland-Cliffs Inc. 51,68 7,60 0,0696 0,0043
US49327M3F97 / KEYBANK NATIONAL ASSOCIATION 51,63 0,50 0,0696 −0,0003
US694308KJ55 / Pacific Gas and Electric Co. 51,53 0,01 0,0694 −0,0007
US37045XEH52 / General Motors Financial Co., Inc. 51,51 0,83 0,0694 −0,0001
WYNMY / Wynn Macau, Limited - Depositary Receipt (Common Stock) 51,37 2,16 0,0692 0,0008
US15135BAR24 / Centene Corp 51,24 −27,12 0,0690 −0,0266
US92840VAF94 / Vistra Operations Co LLC 51,22 −21,54 0,0690 −0,0198
US29103CAA62 / Emerald Debt Merger Sub LLC 51,17 2,17 0,0689 0,0008
US40434LAN55 / HP Inc 51,06 −28,11 0,0688 −0,0278
US842587DR51 / Southern Co/The 50,91 1,51 0,0686 0,0004
US35671DCD57 / Freeport-McMoRan Inc 50,85 0,67 0,0685 −0,0002
US694308KL02 / Pacific Gas and Electric Co 50,78 0,28 0,0684 −0,0005
US780153BG60 / Royal Caribbean Cruises Ltd 50,65 1,66 0,0682 0,0005
US14040HCT05 / CAPITAL ONE FINANCIAL CO REGD V/R 5.26800000 50,46 2,46 0,0680 0,0010
US98313RAG11 / Wynn Macau Ltd 50,05 0,72 0,0674 −0,0002
US95000U3B74 / Wells Fargo & Co 50,03 1,48 0,0674 0,0003
US914906AU68 / Univision Communications Inc 49,91 0,57 0,0672 −0,0003
US925650AD55 / VICI Properties LP 49,85 −15,19 0,0671 −0,0128
US345370CR99 / Ford Motor Comp Bond 49,67 0,84 0,0669 −0,0001
US90932LAJ61 / United Airlines 2023-1 Class A Pass Through Trust 48,89 0,62 0,0659 −0,0002
US88033GDR83 / Tenet Healthcare Corp 48,44 3,23 0,0653 0,0014
CTEV / Claritev Corporation 48,21 14,14 0,0649 0,0075
CTEV / Claritev Corporation 48,21 14,14 0,0649 0,0075
US49272YAB92 / Kevlar SpA 48,02 1,20 0,0647 0,0001
US92328MAE30 / Venture Global Calcasieu Pass LLC 47,94 88,80 0,0646 0,0300
US345397C684 / Ford Motor Credit Co. LLC 47,52 0,86 0,0640 −0,0001
US91159HJJ05 / US Bancorp 47,36 1,51 0,0638 0,0003
BAC / Bank of America Corporation 1,00 0,00 47,32 13,40 0,0637 0,0070
US842587DL81 / Southern Co. (The) 47,31 1,11 0,0637 0,0001
US579063AB46 / Condor Merger Sub Inc 47,27 6,71 0,0637 0,0034
POST / Post Holdings, Inc. 46,30 2,17 0,0624 0,0007
US89788MAN20 / Truist Financial Corp 45,61 −0,32 0,0614 −0,0008
US629377CQ33 / NRG ENERGY INC 3.375% 02/15/2029 144A 45,58 2,67 0,0614 0,0010
US548661EH62 / LOW 3 3/4 04/01/32 45,29 −22,55 0,0610 −0,0185
Beach Acquisition Bidco LLC, First Lien, CME Term Loan, B / LON (N/A) 45,28 0,0610 0,0610
Beach Acquisition Bidco LLC, First Lien, CME Term Loan, B / LON (N/A) 45,28 0,0610 0,0610
US14040HDC60 / Capital One Financial Corp 45,20 1,45 0,0609 0,0003
US257867BA88 / Rr Donnelley & Sons Bond 45,03 0,93 0,0607 −0,0000
US06738EBM66 / Barclays PLC 44,27 1,71 0,0596 0,0004
US06051GHD43 / Bank of America Corp 44,00 0,86 0,0593 −0,0001
US13323NAA00 / Camelot Return Merger Sub Inc 43,93 11,87 0,0592 0,0058
US72147KAL26 / Pilgrim's Pride Corp 43,86 1,67 0,0591 0,0004
US718172CX57 / PHILIP MORRIS INTERNATIONAL INC 43,36 1,00 0,0584 0,0000
US15135BAV36 / CENTENE CORP 3.375% 02/15/2030 43,32 1,83 0,0584 0,0005
US64110LAN64 / Netflix Inc 43,23 −42,48 0,0582 −0,0440
TFC / Truist Financial Corporation 1,00 0,00 42,99 4,47 0,0579 0,0019
Jazz Investments I Ltd. / DBT (US472145AG66) 42,60 −4,36 0,0574 −0,0032
C / Citigroup Inc. - Corporate Bond/Note 0,50 0,00 42,56 19,90 0,0573 0,0090
US808513CJ29 / Charles Schwab Corp. (The) 42,46 0,59 0,0572 −0,0002
US24703DBL47 / Dell International LLC/EMC Corp. 42,04 1,05 0,0566 0,0000
BBD.A / Bombardier Inc. 42,04 4,61 0,0566 0,0020
US595112BZ51 / Micron Technology, Inc. 41,73 0,69 0,0562 −0,0002
US969457CJ76 / Williams Cos., Inc. (The) 41,59 −26,23 0,0560 −0,0207
US91159HJM34 / US BANCORP REGD V/R 5.77500000 41,54 0,69 0,0560 −0,0002
US15089QAM69 / Celanese US Holdings LLC 41,45 1,87 0,0558 0,0005
DVAI34 / DaVita Inc. - Depositary Receipt (Common Stock) 41,33 0,0557 0,0557
DVAI34 / DaVita Inc. - Depositary Receipt (Common Stock) 41,33 0,0557 0,0557
Clydesdale Acquisition Holdings, Inc. / DBT (US18972EAD76) 41,08 1,90 0,0553 0,0005
Clydesdale Acquisition Holdings, Inc. / DBT (US18972EAD76) 41,08 1,90 0,0553 0,0005
USA Compression Partners LP / USA Compression Finance Corp. / DBT (US91740PAG37) 41,02 0,77 0,0553 −0,0001
Hilton Domestic Operating Co., Inc. / DBT (US432833AQ40) 40,99 2,02 0,0552 0,0006
LNG / Cheniere Energy, Inc. 40,99 1,25 0,0552 0,0001
US14040HCV50 / Capital One Financial Corp 40,93 1,64 0,0551 0,0004
US75079LAB71 / Rain Carbon, Inc. 40,80 0,96 0,0550 −0,0000
US90931GAA76 / United Airlines 2020-1 Class A Pass Through Trust 40,60 −6,56 0,0547 −0,0044
KMIC34 / Kinder Morgan, Inc. - Depositary Receipt (Common Stock) 40,53 1,38 0,0546 0,0002
Quikrete Holdings, Inc., First Lien, CME Term Loan, B3 / LON (US74839XAL38) 39,90 0,74 0,0537 −0,0001
Quikrete Holdings, Inc., First Lien, CME Term Loan, B3 / LON (US74839XAL38) 39,90 0,74 0,0537 −0,0001
MTDR / Matador Resources Company 39,80 1,76 0,0536 0,0004
MTDR / Matador Resources Company 39,80 1,76 0,0536 0,0004
US82088KAJ79 / Shea Homes LP / Shea Homes Funding Corp. 39,02 2,68 0,0526 0,0009
BA / The Boeing Company - Depositary Receipt (Common Stock) 38,05 1,41 0,0513 0,0002
US61747YEY77 / Morgan Stanley 38,01 1,20 0,0512 0,0001
US131347CR51 / Calpine Corp 37,98 4,00 0,0512 0,0015
US260543DG52 / Dow Chemical Co/The 37,55 0,18 0,0506 −0,0004
N1WL34 / Newell Brands Inc. - Depositary Receipt (Common Stock) 36,84 0,0496 0,0496
US91159HJN17 / US Bancorp 36,78 1,80 0,0495 0,0004
HRI / Herc Holdings Inc. 36,57 0,0493 0,0493
HRI / Herc Holdings Inc. 36,57 0,0493 0,0493
US045054AR41 / Ashtead Capital, Inc. 36,27 2,11 0,0489 0,0005
US444859BV38 / Humana Inc 36,19 1,08 0,0487 0,0000
US548661EA10 / Lowe's Cos Inc 36,10 1,76 0,0486 0,0004
US30212PAP09 / Expedia Group Inc 35,97 −35,31 0,0485 −0,0272
US05526DBR52 / BAT Capital Corp 35,78 1,25 0,0482 0,0001
N1CL34 / Norwegian Cruise Line Holdings Ltd. - Depositary Receipt (Common Stock) 35,78 3,41 0,0482 0,0011
N1CL34 / Norwegian Cruise Line Holdings Ltd. - Depositary Receipt (Common Stock) 35,78 3,41 0,0482 0,0011
US816851BR98 / Sempra Energy 35,75 1,29 0,0482 0,0001
US92556VAD82 / UPJOHN INC 2.7 6/30 35,64 2,28 0,0480 0,0006
US345397D260 / Ford Motor Credit Co LLC 35,48 −0,18 0,0478 −0,0006
US883203CC32 / TEXTRON INC 2.45% 03/15/2031 35,48 1,60 0,0478 0,0003
US38141GYN86 / Goldman Sachs Group Inc/The 35,36 −38,04 0,0476 −0,0300
MTDR / Matador Resources Company 35,04 0,94 0,0472 −0,0000
MTDR / Matador Resources Company 35,04 0,94 0,0472 −0,0000
US603051AD53 / Mineral Resources Ltd. 34,85 2,82 0,0470 0,0008
US382550BG56 / Goodyear Tire & Rubber Co/The 34,61 1,82 0,0466 0,0004
US92840VAE20 / Vistra Operations Co LLC 34,50 1,78 0,0465 0,0004
US88167AAR23 / Teva Pharmaceutical Finance Netherlands III BV 34,01 1,60 0,0458 0,0003
US817826AE03 / 7-Eleven Inc 33,89 −45,51 0,0457 −0,0390
US49327V2C76 / KeyBank NA/Cleveland OH 33,79 0,96 0,0455 −0,0000
US28470RAK86 / COLT MERGER SUB INC SR UNSECURED 144A 07/27 8.125 33,72 −0,67 0,0454 −0,0008
MDLZ / Mondelez International, Inc. 0,50 −50,00 33,72 −50,30 0,0454 −0,0469
US61747YFJ91 / Morgan Stanley 33,08 1,07 0,0446 0,0000
US629377CT71 / NRG Energy Inc 32,96 1,83 0,0444 0,0004
1261229 BC Ltd. / DBT (US68288AAA51) 32,30 0,0435 0,0435
1261229 BC Ltd. / DBT (US68288AAA51) 32,30 0,0435 0,0435
BA / The Boeing Company - Depositary Receipt (Common Stock) 32,25 0,84 0,0435 −0,0001
BA / The Boeing Company - Depositary Receipt (Common Stock) 32,25 0,84 0,0435 −0,0001
US808513CE32 / Charles Schwab Corp/The 31,88 1,69 0,0429 0,0003
US025537AW19 / American Electric Power Co Inc 31,82 1,04 0,0429 0,0000
US382550BF73 / Goodyear Tire Bond 31,77 −43,86 0,0428 −0,0342
US15089QAX25 / CORP. NOTE 31,60 1,54 0,0426 0,0002
HRI / Herc Holdings Inc. 31,45 0,0424 0,0424
US694308KM84 / Pacific Gas and Electric Co. 31,38 0,02 0,0423 −0,0004
CQP / Cheniere Energy Partners, L.P. - Limited Partnership 31,33 1,63 0,0422 0,0003
CQP / Cheniere Energy Partners, L.P. - Limited Partnership 31,33 1,63 0,0422 0,0003
US11135FBL40 / Broadcom Inc 31,28 1,48 0,0421 0,0002
US07831CAA18 / BellRing Brands Inc 31,27 0,80 0,0421 −0,0001
US33830GAA94 / Five Corners Funding Trust III 31,22 0,82 0,0421 −0,0001
US025537AX91 / American Electric Power Co Inc 31,20 1,37 0,0420 0,0002
US29273VAQ32 / Energy Transfer LP 31,15 1,43 0,0420 0,0002
US06738EAU91 / Barclays PLC 30,93 0,52 0,0417 −0,0002
Quikrete Holdings, Inc. / DBT (US74843PAA84) 30,87 2,16 0,0416 0,0005
US576485AF30 / Matador Resources Co 30,61 0,0412 0,0412
US548661EL74 / Lowe's Cos., Inc. 30,34 1,52 0,0409 0,0002
US143658BR27 / Carnival Corp 30,33 1,76 0,0409 0,0003
US045054AQ67 / Ashtead Capital Inc 30,31 20,00 0,0408 0,0068
AerCap Ireland Capital DAC / AerCap Global Aviation Trust / DBT (US00774MBH79) 30,20 −32,53 0,0407 −0,0202
US925650AC72 / VICI Properties LP 30,19 1,41 0,0407 0,0002
TransDigm, Inc. / DBT (US893647BY22) 30,10 0,0406 0,0406
TransDigm, Inc. / DBT (US893647BY22) 30,10 0,0406 0,0406
MPH Acquisition Holdings LLC, First Lien, Exchange First Out CME Term Loan / LON (US55328HAP64) 29,98 −0,82 0,0404 −0,0007
MPH Acquisition Holdings LLC, First Lien, Exchange First Out CME Term Loan / LON (US55328HAP64) 29,98 −0,82 0,0404 −0,0007
US46284VAC54 / Iron Mountain Inc 29,85 −44,64 0,0402 −0,0331
C / Citigroup Inc. - Depositary Receipt (Common Stock) 29,15 1,53 0,0393 0,0002
US911365BP80 / United Rentals North America Inc 28,50 3,98 0,0384 0,0011
US629377CP59 / NRG Energy Inc 28,48 1,20 0,0384 0,0001
US911363AM11 / United Rentals North America Inc 28,23 3,62 0,0380 0,0010
US92840VAG77 / Vistra Operations Co LLC 28,14 0,84 0,0379 −0,0001
US11135FBR10 / BROADCOM INC 27,63 1,06 0,0372 0,0000
US097023DC69 / Boeing Co/The 27,33 −39,87 0,0368 −0,0250
US88167AAS06 / Teva Pharmaceutical Finance Netherlands III BV 27,30 1,42 0,0368 0,0002
US29273VAU44 / Energy Transfer LP 27,14 1,47 0,0366 0,0002
Venture Global Plaquemines LNG LLC / DBT (US922966AB20) 27,08 0,0365 0,0365
Venture Global Plaquemines LNG LLC / DBT (US922966AB20) 27,08 0,0365 0,0365
US75513ECW93 / RTX CORP SR UNSEC 6.1% 03-15-34 27,04 0,81 0,0364 −0,0001
TEVA / Teva Pharmaceutical Industries Limited - Depositary Receipt (Common Stock) 27,02 1,24 0,0364 0,0001
US431318AY04 / Hilcorp Energy I LP 26,27 10,38 0,0354 0,0030
R2RX34 / Regal Rexnord Corporation - Depositary Receipt (Common Stock) 26,20 0,72 0,0353 −0,0001
R2RX34 / Regal Rexnord Corporation - Depositary Receipt (Common Stock) 26,20 0,72 0,0353 −0,0001
US808513CD58 / Charles Schwab Corp. (The) 25,92 0,42 0,0349 −0,0002
US718172DB29 / PHILIP MORRIS INTERNATIONAL INC 25,83 1,27 0,0348 0,0001
US37045VAZ31 / General Motors Co. 25,41 2,45 0,0342 0,0005
US045054AQ67 / Ashtead Capital Inc 25,26 −15,16 0,0340 −0,0065
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) 25,10 0,0338 0,0338
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) 25,10 0,0338 0,0338
US12663QAC96 / CVR Partners LP / CVR Nitrogen Finance Corp 25,06 3,57 0,0338 0,0008
30064K105 / Exacttarget, Inc. 24,79 −28,09 0,0334 −0,0135
30064K105 / Exacttarget, Inc. 24,79 −28,09 0,0334 −0,0135
US82088KAK43 / SHEA HOMES LP/SHEA HOMES FUNDING 24,64 2,87 0,0332 0,0006
US44701QBE17 / Huntsman International LLC 23,73 −1,09 0,0320 −0,0007
US90138FAD42 / TWILIO INC 3.875% 03/15/2031 23,40 3,80 0,0315 0,0009
US29272WAC38 / Energizer Holdings Inc 23,39 1,70 0,0315 0,0002
US337738BE73 / Fiserv Inc 23,34 −24,32 0,0314 −0,0105
US05526DBS36 / BAT Capital Corp 22,52 1,68 0,0303 0,0002
US097023CJ22 / BOEING CO SR UNSECURED 05/34 3.6 22,05 2,38 0,0297 0,0004
US459506AQ49 / CORPORATE BONDS 21,70 −49,80 0,0292 −0,0296
US437076AS19 / Home Depot 5.875% Senior Notes 12/16/36 21,46 0,30 0,0289 −0,0002
US185899AL57 / Cleveland-Cliffs Inc 21,41 −1,72 0,0288 −0,0008
US097023CP81 / Boeing Co/The 21,07 2,28 0,0284 0,0004
US316773DK32 / Fifth Third Bancorp 21,07 0,75 0,0284 −0,0001
Rockies Express Pipeline LLC / DBT (US77340RAU14) 20,90 2,65 0,0282 0,0005
Rockies Express Pipeline LLC / DBT (US77340RAU14) 20,90 2,65 0,0282 0,0005
FFTD34 / Fifth Third Bancorp - Depositary Receipt (Common Stock) 20,82 1,66 0,0280 0,0002
US48666KBA60 / KB Home 20,72 0,82 0,0279 −0,0000
EMRLD Borrower LP / Emerald Co-Issuer, Inc. / DBT (US26873CAB81) 20,72 2,79 0,0279 0,0005
Quikrete Holdings, Inc. / DBT (US74843PAB67) 20,65 3,62 0,0278 0,0007
Quikrete Holdings, Inc. / DBT (US74843PAB67) 20,65 3,62 0,0278 0,0007
US3140QBMZ80 / UMBS 20,50 −3,68 0,0276 −0,0013
GEHC34 / GE HealthCare Technologies Inc. - Depositary Receipt (Common Stock) 20,49 0,0276 0,0276
GEHC34 / GE HealthCare Technologies Inc. - Depositary Receipt (Common Stock) 20,49 0,0276 0,0276
US914906AY80 / Univision Communications, Inc. 20,31 1,15 0,0274 0,0000
US812127AA61 / Sealed Air Corp. 20,31 1,32 0,0274 0,0001
CommScope, Inc., First Lien, Initial CME Term Loan / LON (N/A) 20,27 0,0273 0,0273
US29272WAF68 / Energizer Holdings Inc 20,25 0,59 0,0273 −0,0001
AMBP / Ardagh Metal Packaging S.A. 20,19 1,70 0,0272 0,0002
US097023CU76 / BOEING CO 5.04% 05/01/2027 20,16 −66,57 0,0272 −0,0549
BCS / Barclays PLC - Depositary Receipt (Common Stock) 20,14 2,69 0,0271 0,0004
US37045XDW39 / General Motors Financial Co Inc 20,13 0,51 0,0271 −0,0001
MALRY / Mineral Resources Limited - Depositary Receipt (Common Stock) 20,11 1,65 0,0271 0,0002
DVAI34 / DaVita Inc. - Depositary Receipt (Common Stock) 20,03 0,40 0,0270 −0,0002
US78397GAF81 / BANK LOAN NOTE 19,98 0,59 0,0269 −0,0001
US12429TAD63 / Mauser Packaging Solutions Holding Co 19,98 0,09 0,0269 −0,0002
US12429TAD63 / Mauser Packaging Solutions Holding Co 19,98 0,09 0,0269 −0,0002
US89364MCA09 / TRANSDIGM INC 19,96 0,48 0,0269 −0,0001
Charter Communications Operating LLC, First Lien, CME Term Loan B5 / LON (US16117LCE74) 19,95 0,26 0,0269 −0,0002
Charter Communications Operating LLC, First Lien, CME Term Loan B5 / LON (US16117LCE74) 19,95 0,26 0,0269 −0,0002
Medline Borrower LP, First Lien, Dollar Incremental CME Term Loan / LON (US58503UAF03) 19,95 0,06 0,0269 −0,0003
US40434LAK17 / HP Inc 19,58 −59,64 0,0264 −0,0396
US629377CE03 / NRG Energy Inc 18,18 0,71 0,0245 −0,0001
US969457BY52 / Williams Cos Inc/The 17,93 1,96 0,0241 0,0002
US808513CH62 / Charles Schwab Corp/The 17,86 −44,09 0,0241 −0,0194
CTEV / Claritev Corporation 16,49 −73,85 0,0222 −0,0636
US05329WAQ50 / AUTONATION INC DEL 4.75% 06/01/2030 15,92 −60,43 0,0214 −0,0333
US595112BN22 / MICRON TECHNOLOGY INC SR UNSECURED 02/29 5.327 13,31 0,88 0,0179 −0,0000
US92328MAC73 / Venture Global Calcasieu Pass LLC 13,13 0,0177 0,0177
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) 10,34 0,0139 0,0139
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) 10,34 0,0139 0,0139
US92840MAB81 / Vistra Corp 10,25 −0,46 0,0138 −0,0002
N1RG34 / NRG Energy, Inc. - Depositary Receipt (Common Stock) 10,19 −84,08 0,0137 −0,0734
N1RG34 / NRG Energy, Inc. - Depositary Receipt (Common Stock) 10,19 −84,08 0,0137 −0,0734
Calumet Specialty Products Partners LP / Calumet Finance Corp. / DBT (US131477AZ48) 9,98 12,30 0,0134 0,0014
US69331CAJ71 / PG&E Corp 9,53 −50,41 0,0128 −0,0133
US55337PAA03 / MIWD Holdco II LLC / MIWD Finance Corp 9,53 0,0128 0,0128
BHC / Bausch Health Companies Inc. 0,95 −76,19 6,34 −75,49 0,0085 −0,0267
United Rentals, Inc., First Lien, Restatement CME Term Loan / LON (US91136EAL92) 5,03 0,02 0,0068 −0,0001
United Rentals, Inc., First Lien, Restatement CME Term Loan / LON (US91136EAL92) 5,03 0,02 0,0068 −0,0001
US459506AP65 / INTERNATIONAL FLAVORS and FRAGRANCES INC 1.832% 10/15/2027 144A 4,91 −73,65 0,0066 −0,0187
Clydesdale Acquisition Holdings, Inc., First Lien, 2025 Incremental Delayed Draw CME Term Loan, B / LON (US18972FAF99) 0,05 0,0001 0,0001
PM / Philip Morris International Inc. 0,00 −100,00 0,00 −100,00 −0,5398
Endo, Inc., Escrow Account / DBT (698ESCAA8) 0,00 0,0000 0,0000
Endo, Inc., Escrow Account / DBT (292ESCB09) 0,00 0,0000 0,0000
Endo, Inc., Escrow Account / DBT (698ESCAA8) 0,00 0,0000 0,0000
Endo, Inc., Escrow Account / DBT (US292ESCB173) 0,00 0,0000 0,0000
US830867AA59 / Delta Air Lines Inc / SkyMiles IP Ltd 0,00 0,0000 −0,0000
NEM / Newmont Corporation 0,00 −100,00 0,00 −100,00 −0,1642
TXN / Texas Instruments Incorporated 0,00 −100,00 0,00 −100,00 −0,2445
HON / Honeywell International Inc. 0,00 −100,00 0,00 −100,00 −0,0288
BA / The Boeing Company 0,00 −100,00 0,00 −100,00 −0,1160
Endo, Inc., Escrow Account / DBT (292ESCB09) 0,00 0,0000 0,0000
GOOGL / Alphabet Inc. 0,00 −100,00 0,00 −100,00 −0,0781
Morgan Stanley / DE (US00PBJ19242) −0,03 −0,0000 −0,0000
Morgan Stanley / DE (US00PBJ19242) −0,03 −0,0000 −0,0000
International Business Machines Corp. / DE (US00PBNHTU05) −0,06 −0,0001 −0,0001
International Business Machines Corp. / DE (US00PBNHTU05) −0,06 −0,0001 −0,0001
Merck & Co., Inc. / DE (US00PBNMY171) −0,06 −0,0001 −0,0001
Apple, Inc. / DE (US00PBNDL524) −0,07 −0,0001 −0,0001
United Parcel Service, Inc. / DE (US00PBNQX927) −0,12 −0,0002 −0,0002
Sempra, Inc. / DE (US00PBNP9005) −0,12 −0,0002 −0,0002
BP plc / DE (US00CC111157) −0,14 −0,0002 −0,0002
Texas Instruments, Inc. / DE (US00PBNRKD52) −0,15 −0,0002 −0,0002
Texas Instruments, Inc. / DE (US00PBNRKD52) −0,15 −0,0002 −0,0002
ConocoPhillips / DE (US00PBXDX254) −0,16 −0,0002 −0,0002
Starbucks Corp. / DE (US00PBNP2G27) −0,17 −0,0002 −0,0002
Starbucks Corp. / DE (US00PBNP2G27) −0,17 −0,0002 −0,0002
Medtronic plc / DE (N/A) −0,20 −0,0003 −0,0003
Medtronic plc / DE (N/A) 1,34 −0,20 −0,0003 −0,0003
Bristol-Myers Squibb Co. / DE (US00CBZT7R64) −0,25 −0,0003 −0,0003
Medtronic plc / DE (N/A) −0,27 −0,0004 −0,0004
AbbVie, Inc. / DE (US00CBHWPD04) −0,28 −0,0004 −0,0004
AbbVie, Inc. / DE (US00CBHWPD04) −0,28 −0,0004 −0,0004
Accenture plc / DE (US00CBZ30P41) −0,30 −0,0004 −0,0004
Accenture plc / DE (US00CBZ30P41) −0,30 −0,0004 −0,0004
Norfolk Southern Corp. / DE (US00PBZ5LB39) −0,32 −0,0004 −0,0004
ConocoPhillips / DE (US00CBQ0YH14) −0,34 −0,0005 −0,0005
Merck & Co., Inc. / DE (US00PBJ1XZ43) −0,36 −0,0005 −0,0005
Merck & Co., Inc. / DE (US00PBJ1XZ43) −0,36 −0,0005 −0,0005
Analog Devices, Inc. / DE (US00PBXDQB37) −0,38 −0,0005 −0,0005
Procter & Gamble Co. (The) / DE (US00CBHXHR64) −0,42 −0,0006 −0,0006
Exxon Mobil Corp. / DE (US00PBGEJD42) −0,42 −0,0006 −0,0006
Exxon Mobil Corp. / DE (US00PBGEJD42) −0,42 −0,0006 −0,0006
Shell plc / DE (N/A) −0,45 −0,0006 −0,0006
Exxon Mobil Corp. / DE (US00CBG9E108) −0,45 −0,0006 −0,0006
Amgen, Inc. / DE (US00PBNDMF96) −0,45 −0,0006 −0,0006
Sempra, Inc. / DE (US00CBTZE592) −0,45 −0,0006 −0,0006
Exxon Mobil Corp. / DE (US00CBG9E108) −0,45 −0,0006 −0,0006
AbbVie, Inc. / DE (US00CBNV8J16) −0,46 −0,0006 −0,0006
Union Pacific Corp. / DE (US00PBQKQS87) −0,47 −0,0006 −0,0006
Union Pacific Corp. / DE (US00PBQKQS87) −0,47 −0,0006 −0,0006
Norfolk Southern Corp. / DE (US00CBYZ4Q84) −0,48 −0,0007 −0,0007
Norfolk Southern Corp. / DE (US00CBYZ4Q84) −0,48 −0,0007 −0,0007
Verizon Communications, Inc. / DE (US00CC0H7D97) −0,50 −0,0007 −0,0007
Amgen, Inc. / DE (US00CC07Z322) −0,55 −0,0007 −0,0007
US Bancorp / DE (US00CBKXTC21) −0,57 −0,0008 −0,0008
NextEra Energy, Inc. / DE (US00CBV1R405) −0,58 −0,0008 −0,0008
Accenture plc / DE (US00PBZ9G543) −0,62 −0,0008 −0,0008
Bristol-Myers Squibb Co. / DE (US00CB066X28) −0,68 −0,0009 −0,0009
Duke Energy Corp. / DE (N/A) −0,70 −0,0009 −0,0009
Procter & Gamble Co. (The) / DE (US00CBYZ6K96) −0,77 −0,0010 −0,0010
Schlumberger NV / DE (N/A) −0,79 −0,0011 −0,0011
Schlumberger NV / DE (N/A) −0,79 −0,0011 −0,0011
Sempra, Inc. / DE (US00PBU3G947) −0,80 −0,0011 −0,0011
Dominion Energy, Inc. / DE (US00CBKV1937) −0,84 −0,0011 −0,0011
Lowe's Cos., Inc. / DE (US00CBHW9637) −0,86 −0,0012 −0,0012
Workday, Inc. / DE (US00PC03TZ36) −0,89 −0,0012 −0,0012
Southern Co. (The) / DE (US00CBKX9X84) −0,90 −0,0012 −0,0012
Southern Co. (The) / DE (US00CBKX9X84) −0,90 −0,0012 −0,0012
Union Pacific Corp. / DE (US00CBQD9F51) −0,90 −0,0012 −0,0012
Union Pacific Corp. / DE (US00CBQD9F51) −0,90 −0,0012 −0,0012
Johnson & Johnson / DE (US00CBHVU048) −0,94 −0,0013 −0,0013
Procter & Gamble Co. (The) / DE (US00CBYZ6J24) −0,96 −0,0013 −0,0013
Union Pacific Corp. / DE (US00CBHY3K48) −1,00 −0,0013 −0,0013
Union Pacific Corp. / DE (US00CBHY3K48) −1,00 −0,0013 −0,0013
Exxon Mobil Corp. / DE (US00PBGFW207) −1,07 −0,0014 −0,0014
Exxon Mobil Corp. / DE (US00PBGFW207) −1,07 −0,0014 −0,0014
Marvell Technology, Inc. / DE (US00CBT9KS04) −1,07 −0,0014 −0,0014
Marvell Technology, Inc. / DE (US00CBT9KS04) −1,07 −0,0014 −0,0014
Lockheed Martin Corp. / DE (US00CBRTJ689) −1,09 −0,0015 −0,0015
Lockheed Martin Corp. / DE (US00CBRTJ689) −1,09 −0,0015 −0,0015
Home Depot, Inc. (The) / DE (US00CBHWJ700) −1,19 −0,0016 −0,0016
NIKE, Inc. / DE (US00CBNF9069) −1,20 −0,0016 −0,0016
Merck & Co., Inc. / DE (US00CBHVFZ43) −1,22 −0,0016 −0,0016
US Bancorp / DE (US00CBN2MF72) −1,26 −0,0017 −0,0017
US Bancorp / DE (US00CBKXTB48) −1,33 −0,0018 −0,0018
Comcast Corp. / DE (US00CBKT7Y75) −1,35 −0,0018 −0,0018
Microchip Technology, Inc. / DE (US00CBEBK931) −1,40 −0,0019 −0,0019
Exxon Mobil Corp. / DE (US00CBHX2V30) −1,41 −0,0019 −0,0019
Johnson & Johnson / DE (US00PBJ2A046) −1,48 −0,0020 −0,0020
ConocoPhillips / DE (US00CBJ5HD68) −1,48 −0,0020 −0,0020
Microchip Technology, Inc. / DE (US00CBNG1Q56) −1,49 −0,0020 −0,0020
NextEra Energy, Inc. / DE (US00CAX65G68) −1,60 −0,0022 −0,0022
Shell plc / DE (N/A) −1,65 −0,0022 −0,0022
AbbVie, Inc. / DE (US00CBNV8H59) −1,83 −0,0025 −0,0025
PNC Financial Services Group, Inc. (The) / DE (US00CBQ9R231) −2,10 −0,0028 −0,0028
Accenture plc / DE (US00PBQ3E757) −2,15 −0,0029 −0,0029
Accenture plc / DE (US00PBQ3E757) −2,15 −0,0029 −0,0029
Apple, Inc. / DE (US00PBG3EY74) −2,18 −0,0029 −0,0029
BlackRock, Inc. / DE (US00CBJDSY15) −2,29 −0,0031 −0,0031
Home Depot, Inc. (The) / DE (US00PBJ30603) −2,30 −0,0031 −0,0031
Bank of America Corp. / DE (US00CBFWLK01) −2,45 −0,0033 −0,0033
Eli Lilly & Co. / DE (US00PBGFSM15) −2,64 −0,0036 −0,0036
Procter & Gamble Co. (The) / DE (US00PBZ5N703) −2,70 −0,0036 −0,0036
Procter & Gamble Co. (The) / DE (US00PBZ5N703) −2,70 −0,0036 −0,0036
Merck & Co., Inc. / DE (US00PBTMZ100) −2,70 −0,0036 −0,0036
Merck & Co., Inc. / DE (US00PBTMZ100) −2,70 −0,0036 −0,0036
International Business Machines Corp. / DE (US00CBYSNQ30) −2,79 −0,0038 −0,0038
International Business Machines Corp. / DE (US00CBYSNQ30) −2,79 −0,0038 −0,0038
Albemarle Corp. / DE (US00CBJ1J689) −2,96 −0,0040 −0,0040
Albemarle Corp. / DE (US00CBJ1J689) −2,96 −0,0040 −0,0040
UnitedHealth Group, Inc. / DE (US00PBR1VC86) −2,97 −0,0040 −0,0040
Chevron Corp. / DE (US00CBHWF583) −3,23 −0,0043 −0,0043
Air Products and Chemicals, Inc. / DE (US00CBKUZP21) −3,60 −0,0048 −0,0048
Cisco Systems, Inc. / DE (US00CAZUA830) −4,05 −0,0055 −0,0055
Cisco Systems, Inc. / DE (US00CBN86134) −4,45 −0,0060 −0,0060
Morgan Stanley / DE (US00CBHZNE36) −4,51 −0,0061 −0,0061
Microchip Technology, Inc. / DE (US00CBEBK774) −5,00 −0,0067 −0,0067
Cigna Group (The) / DE (N/A) −5,00 −0,0067 −0,0067
Taiwan Semiconductor Manufacturing Co. Ltd. / DE (US00CBNJRZ13) −11,48 −0,0155 −0,0155
Taiwan Semiconductor Manufacturing Co. Ltd. / DE (US00CBNJRZ13) −11,48 −0,0155 −0,0155