Ключевые активы Market Value Shares Weight %
Bank of Montreal 3.803% 15/12/2032 136.91 K 138.00 K 0.02% BROADSTONE NET LEASE LLC 2.6% 15/09/2031 134.60 K 150.00 K 0.01% The Mosaic Company 4.05% 15/11/2027 133.17 K 133.00 K 0.01% BankUnited Inc. 5.125% 11/06/2030 131.51 K 130.00 K 0.01% TELUS CORP 3.7% 15/09/2027 129.33 K 130.00 K 0.01% GE Aerospace 6.75% 15/03/2032 129.15 K 113.00 K 0.01% NSTAR Electric Company 4.55% 01/06/2052 129.13 K 150.00 K 0.01% Evergy Kansas Central Inc. 4.1% 01/04/2043 129.04 K 150.00 K 0.01% Juniper Networks, Inc. 5.95% 15/03/2041 127.82 K 125.00 K 0.01% Duke Energy Progress LLC 4.2% 15/08/2045 127.22 K 150.00 K 0.01% Teledyne FLIR LLC 2.5% 01/08/2030 126.54 K 135.00 K 0.01% The Hartford Insurance Group Inc. 4.3% 15/04/2043 126.47 K 143.00 K 0.01% Paramount Global 5.25% 01/04/2044 125.57 K 183.00 K 0.01% Equitable Holdings Inc 5% 20/04/2048 123.95 K 139.00 K 0.01% Omega Healthcare Investors, Inc. 3.625% 01/10/2029 123.77 K 127.00 K 0.01% Continental Resources, Inc. 4.9% 01/06/2044 123.75 K 150.00 K 0.01% APA Corp. 5.35% 01/07/2049 123.70 K 142.00 K 0.01% Jackson Financial Inc 5.67% 08/06/2032 122.30 K 119.00 K 0.01% Quanta Services, Inc. 3.05% 01/10/2041 122.26 K 160.00 K 0.01% Fortune Brands Innovations Inc 4.5% 25/03/2052 122.23 K 150.00 K 0.01%