Activos clave Market Value Shares Weight %
CART 6.71% 15/08/2041 5.73 M 5.77 M 0.08% CONSOLIDATED ENERGY FIN 12% 15/02/2031 5.72 M 5.80 M 0.08% UNION PACIFIC CORP 4.95% 15/05/2053 5.70 M 6.37 M 0.08% GENERAL MOTORS FINL CO 5.9% 07/01/2035 5.69 M 5.59 M 0.08% HOUSTON GALLERIA MALL TRUST 5.46% 05/02/2045 5.51 M 5.38 M 0.08% TEVA PHARMACEUTICALS NE 5.13% 09/05/2029 5.50 M 5.51 M 0.08% BALL CORP 5.5% 15/09/2033 5.50 M 5.49 M 0.08% Santander Drive Auto Receivables Trust 4.95% 15/01/2032 5.49 M 5.53 M 0.08% Cascade Funding Mortgage Trust 4% 25/10/2054 5.48 M 5.60 M 0.07% DIEBOLD NIXDORF INC 7.75% 31/03/2030 5.47 M 5.25 M 0.07% Manhattan West 2.33% 10/09/2039 5.42 M 5.64 M 0.07% CNX RESOURCES CORP 7.25% 01/03/2032 5.33 M 5.17 M 0.07% ALLIED UNIVERSAL 6.88% 15/06/2030 5.31 M 5.24 M 0.07% Extended Stay America Trust 6.27% 15/10/2042 5.27 M 5.25 M 0.07% DC Commercial Mortgage Trust 7.14% 12/09/2040 5.20 M 5.16 M 0.07% Atrium Hotel Portfolio Trust 7.17% 10/11/2029 5.11 M 5.00 M 0.07% HIGHWOODS REALTY LP 5.35% 15/01/2033 5.08 M 5.20 M 0.07% AMAZON.COM INC 5.8% 13/03/2056 5.08 M 5.08 M 0.07% HOWARD HUGHES CORP 4.38% 01/02/2031 5.07 M 5.52 M 0.07% GREENSAIF PIPELINES BIDC 5.85% 23/02/2036 5.02 M 5.00 M 0.07%