Activos clave Market Value Shares Weight %
FMC Corp. 3.45% 01/10/2029 5.26 M 5.95 M 1.32% Whirlpool Corp. 4.75% 26/02/2029 5.08 M 5.15 M 1.27% Fluor Corp. 4.25% 15/09/2028 4.53 M 4.56 M 1.13% Bombardier Inc. 7.45% 01/05/2034 4.37 M 3.87 M 1.10% Telecom Italia Capital S.A. 7.721% 04/06/2038 4.34 M 3.79 M 1.09% Rockies Express Pipeline LLC 4.95% 15/07/2029 4.18 M 4.17 M 1.05% Prospect Capital Corp. 3.437% 15/10/2028 4.05 M 4.58 M 1.02% Liberty Mutual Group Inc. 7.8% 07/03/2087 3.84 M 3.31 M 0.96% Celanese US Holdings LLC 7.2% 15/11/2033 3.75 M 3.48 M 0.94% Navient Corp. 5.625% 01/08/2033 3.71 M 4.51 M 0.93% Advance Auto Parts, Inc. 3.9% 15/04/2030 3.54 M 3.79 M 0.89% Sealed Air Corp. 6.875% 15/07/2033 3.53 M 3.42 M 0.89% Hudson Pacific Properties, L.P. 4.65% 01/04/2029 3.38 M 3.79 M 0.85% Brandywine Operating Partnership, L.P. 3.95% 15/11/2027 3.35 M 3.41 M 0.84% Kohl's Corp. 5.125% 01/05/2031 3.21 M 3.79 M 0.80% Travel + Leisure Co. 6% 01/04/2027 3.07 M 3.04 M 0.77% Buckeye Partners, L.P. 4.125% 01/12/2027 3.02 M 3.03 M 0.76% Wilton RE Ltd. 3.02 M 3.05 M 0.76% YUM! Brands, Inc. 6.875% 15/11/2037 2.76 M 2.46 M 0.69% Macy's Retail Holdings, LLC 4.5% 15/12/2034 2.53 M 2.79 M 0.63%