Top holdings Market Value Shares Weight %
1261229 BC LTD 48.1 M 46.2 M 0.5% ECHOSTAR CORP 41.3 M 37.4 M 0.4% State Street Global Advisors 35.6 M 35.6 M 0.3% CLOUD SOFTWARE GRP INC 31.9 M 31.5 M 0.3% PANTHER ESCROW ISSUER 24.7 M 23.8 M 0.2% DISH NETWORK CORP 24.0 M 23.1 M 0.2% WULF COMPUTE LLC 22.4 M 21.7 M 0.2% AMERICAN AIRLINES/AADVAN 21.6 M 21.2 M 0.2% UKG INC 19.7 M 19.1 M 0.2% EMRLD BOR / EMRLD CO-ISS 19.5 M 18.7 M 0.2% QXO BUILDING PRODUCTS 19.0 M 18.2 M 0.2% ASURION LLC/ASURION CO 18.5 M 17.8 M 0.2% DIRECTV FIN LLC/COINC 18.3 M 17.9 M 0.2% CONNECT FINCO SARL/CONNE 18.0 M 16.9 M 0.2% IMOLA MERGER CORP 17.6 M 17.8 M 0.2% MAUSER PACKAGING SOLUT 17.3 M 17.4 M 0.2% NRG ENERGY INC 17.2 M 17.0 M 0.2% CVS HEALTH CORP 17.2 M 16.4 M 0.2% VOYAGER PARENT LLC 16.6 M 15.7 M 0.2% WINDSTREAM SERVICES/ESCR 16.4 M 15.6 M 0.2%