Activos clave Market Value Shares Weight %
PIMCO FUNDS 52.8 M 52.8 M 3.6% ECHOSTAR CORPORATION 9.4 M 8.5 M 0.6% AMERICAN AIRLINES INC/AADVANTAGE LOYALTY IP LTD 9.2 M 9.2 M 0.6% CLOUD SOFTWARE GROUP INC 7.9 M 7.8 M 0.5% MEDLINE (MEDLINE BORROWER LP) 7.5 M 7.8 M 0.5% CVS HEALTH CORPORATION 7.1 M 6.8 M 0.5% NIELSEN (NEPTUNE BIDCO US INC) 6.9 M 7.0 M 0.5% COREWEAVE INC 6.1 M 5.9 M 0.4% DISH NETWORK CORPORATION 6.0 M 5.7 M 0.4% DISH DBS CORPORATION 5.8 M 5.9 M 0.4% MAUSER PACKAGING SOLUTIONS HOLDING COMPANY 5.6 M 5.6 M 0.4% PRIME HEALTHCARE SERVICES INC 5.6 M 5.3 M 0.4% B&G FOODS INC 5.5 M 5.7 M 0.4% COINBASE GLOBAL INC 5.1 M 5.4 M 0.3% ASTON MARTIN CAPITAL HOLDINGS LIMITED 5.0 M 5.1 M 0.3% RAKUTEN GROUP INC 5.0 M 4.6 M 0.3% CLARIVATE SCIENCE HOLDINGS CORPORATION 4.7 M 5.0 M 0.3% AMS-OSRAM AG 4.7 M 4.3 M 0.3% VENTURE GLOBAL LNG INC 4.5 M 4.3 M 0.3% INGRAM MICRO INC 4.4 M 4.5 M 0.3%