主要持股 Market Value Shares Weight %
Service Properties Trust 8.375% 15/06/2029 698.2 K 690.0 K 0.4% Match Group Holdings II LLC 5.625% 15/02/2029 689.9 K 690.0 K 0.4% Garda World Security Corp 8.375% 15/11/2032 688.6 K 671.0 K 0.4% Medline Borrower LP 3.875% 01/04/2029 687.2 K 702.0 K 0.4% Advance Auto Parts Inc 7% 01/08/2030 686.7 K 676.0 K 0.4% Cipher Compute LLC 7.125% 15/11/2030 685.1 K 665.0 K 0.4% Permian Resources Operating LLC 7% 15/01/2032 682.8 K 652.0 K 0.4% CNX Resources Corp 6% 15/01/2029 679.2 K 675.0 K 0.4% Lamb Weston Holdings Inc 4.125% 31/01/2030 676.6 K 700.0 K 0.4% Magnera Corp 7.25% 15/11/2031 666.9 K 704.0 K 0.3% Gray Television Inc 9.625% 15/07/2032 662.7 K 643.0 K 0.3% SNF Group SACA 3.125% 15/03/2027 652.8 K 663.0 K 0.3% California Resources Corp 7% 15/01/2034 651.0 K 645.0 K 0.3% Newell Brands Inc 7.5% 01/04/2046 643.0 K 762.0 K 0.3% Clear Channel Outdoor Holdings Inc 7.75% 15/04/2028 637.2 K 636.0 K 0.3% Post Holdings Inc 6.375% 01/03/2033 630.1 K 625.0 K 0.3% Chemours Co/The 5.75% 15/11/2028 624.2 K 629.0 K 0.3% Directv Financing LLC / Directv Financing Co-Obligor Inc 10% 15/02/2031 618.1 K 600.0 K 0.3% Quikrete Holdings Inc 6.75% 01/03/2033 615.5 K 593.0 K 0.3% Hopper Merger Sub Inc 5.9219% 14/01/2033 600.2 K 605.0 K 0.3%