Activos clave Market Value Shares Weight %
DREY INST PREF GOV MM-M 5.1 M 5.1 M 1.3% ECHOSTAR CORP 1.8 M 1.6 M 0.4% 1261229 BC LTD 1.5 M 1.4 M 0.4% Dreyfus Institutional Preferred Government Money Market Fund 1.4 M 1.4 M 0.3% MAUSER PACKAGING SOLUT 1.2 M 1.2 M 0.3% CVS HEALTH CORP 1.2 M 1.1 M 0.3% QUIKRETE HOLDINGS INC 1.2 M 1.2 M 0.3% TENNECO INC 1.0 M 1.1 M 0.3% DISH NETWORK CORP 928.1 K 882.0 K 0.2% BOOST NEWCO BORROWER LLC 903.2 K 852.0 K 0.2% CARVANA CO 835.5 K 799.5 K 0.2% DIRECTV FIN LLC/COINC 783.0 K 783.0 K 0.2% ATHENAHEALTH GROUP INC 778.7 K 795.0 K 0.2% CCO HLDGS LLC/CAP CORP 761.6 K 766.0 K 0.2% BEACH ACQUISITION BIDCO 757.2 K 704.0 K 0.2% PANTHER ESCROW ISSUER 743.1 K 719.0 K 0.2% INTERCONTINENTAL EXCHANGE, INC. 735.2 K 1.0 0.2% WULF COMPUTE LLC 731.7 K 704.0 K 0.2% ALLIED UNIVERSAL HOLDCO 730.6 K 701.0 K 0.2% IMOLA MERGER CORP 725.7 K 735.0 K 0.2%