Activos clave Market Value Shares Weight %
MetroNet Infrastructure Issuer LLC 5.05 M 5.00 M 3.84% VERTICAL BRIDGE CC LLC 4.98 M 5.00 M 3.78% Hilton Grand Vacations Trust 4.40 M 4.40 M 3.34% Ally Bank Auto Credit-Linked Notes 3.52 M 3.51 M 2.67% Huntington Bank Auto Credit-Linked Notes 3.08 M 3.07 M 2.34% Lyra Music Assets Delaware LP 3.02 M 3.00 M 2.29% Sound Point CLO XXXIII Ltd. 2.70 M 2.70 M 2.05% Libra Solutions LLC 2.62 M 2.61 M 1.99% GM Financial Automobile Leasing Trust 2.51 M 2.50 M 1.90% LAD Auto Receivables Trust 2.47 M 2.50 M 1.87% FIGRE Trust 2.37 M 2.37 M 1.80% QTS Issuer ABS I LLC 2.03 M 2.00 M 1.54% SCCU Auto Receivables Trust 2.02 M 2.00 M 1.53% Towd Point Mortgage Trust 2.00 M 2.00 M 1.52% HPEFS Equipment Trust 1.99 M 2.00 M 1.51% Exeter Select Automobile Receivables Trust 1.99 M 2.00 M 1.51% Truist Bank Auto Credit-Linked Notes 1.84 M 1.84 M 1.40% PRPM LLC 1.59 M 1.65 M 1.21% Alloya Auto Receivables Trust 1.52 M 1.50 M 1.16% Anchorage Capital CLO 7 Ltd. 1.51 M 1.50 M 1.14%