主要保有銘柄 Market Value Shares Weight %
RESIDEO FUNDING 4% 01/09/2029 46.7 K 50.0 K 0.9%
ALLISON TRANS 3.75% 30/01/2031 46.6 K 50.0 K 0.9%
SERVICE CORP 3.38% 15/08/2030 46.3 K 50.0 K 0.9%
LEVI STRAUSS 3.5% 01/03/2031 45.8 K 50.0 K 0.9%
NAVIENT CORP 5.5% 15/03/2029 45.4 K 50.0 K 0.9%
CCO HOLDINGS LLC 4.75% 01/02/2032 45.4 K 50.0 K 0.9%
BALL CORP 3.13% 15/09/2031 45.3 K 50.0 K 0.9%
ASHLAND LLC 3.38% 01/09/2031 45.0 K 50.0 K 0.9%
FORD MOTOR CRED 3.63% 17/06/2031 44.9 K 50.0 K 0.9%
WYNN RESORTS FIN 7.13% 15/02/2031 41.9 K 40.0 K 0.8%
CHART INDUSTRIES 7.5% 01/01/2030 41.6 K 40.0 K 0.8%
SOTERA HEALTH HO 7.38% 01/06/2031 41.4 K 40.0 K 0.8%
FMG RES AUG 2006 6.13% 15/04/2032 41.0 K 40.0 K 0.8%
TEVA PHARMACEUTI 6.75% 01/03/2028 40.9 K 40.0 K 0.8%
CINEMARK USA 7% 01/08/2032 40.9 K 40.0 K 0.8%
XPO INC 6.25% 01/06/2028 40.6 K 40.0 K 0.8%
ADIENT GLOBAL HO 7% 15/04/2028 40.5 K 40.0 K 0.8%
ROYAL CARIBBEAN 5.63% 30/09/2031 40.4 K 40.0 K 0.8%
L BRANDS INC 6.63% 01/10/2030 40.4 K 40.0 K 0.8%
GENESEE & WYOMIN 6.25% 15/04/2032 40.4 K 40.0 K 0.8%