主要持股 Market Value Shares Weight %
AXON ENTERPRISE INC 6.25% 15/03/2033 653.8 K 640.0 K 0.7% TRANSDIGM INC 4.63% 15/01/2029 648.9 K 660.0 K 0.7% CCO HLDGS LLC/CAP CORP 4.75% 01/02/2032 647.0 K 715.0 K 0.7% SM ENERGY CO 9.63% 15/06/2033 645.5 K 584.0 K 0.7% NISSAN MOTOR CO 4.81% 17/09/2030 640.8 K 705.0 K 0.7% CLEVELAND-CLIFFS INC 6.88% 01/11/2029 635.4 K 635.0 K 0.7% FRONTIER COMMUNICATIONS 5.88% 01/11/2029 593.9 K 590.0 K 0.6% SIRIUS XM RADIO LLC 3.88% 01/09/2031 591.6 K 651.0 K 0.6% WEATHERFORD INTERNATIONA 6.75% 15/10/2033 582.8 K 570.0 K 0.6% UNIVISION COMMUNICATIONS 4.5% 01/05/2029 578.2 K 615.0 K 0.6% ALBERTSONS COS/SAFEWAY 5.75% 31/03/2034 573.1 K 585.0 K 0.6% JH NORTH AMERICA HOLDING 5.88% 31/01/2031 555.7 K 560.0 K 0.6% PG&E CORP 5% 01/07/2028 548.0 K 552.0 K 0.6% BIOMARIN PHARMACEUTICAL 5.5% 15/02/2034 546.8 K 555.0 K 0.6% PRESTIGE BRANDS INC 5.13% 15/01/2028 539.2 K 540.0 K 0.6% NOVA CHEMICALS CORP 7% 01/12/2031 534.9 K 505.0 K 0.6% CENTURY ALUMINUM COMPANY 6.88% 01/08/2032 521.5 K 505.0 K 0.6% VENTURE GLOBAL PLAQUE 6.5% 15/01/2034 520.5 K 499.0 K 0.6% DIRECTV FIN LLC/COINC 5.88% 15/08/2027 517.8 K 518.0 K 0.6% BWX TECHNOLOGIES INC 4.13% 30/06/2028 515.7 K 530.0 K 0.6%