主要持股 Market Value Shares Weight %
Evergy Kansas Central, Inc. 5.7% 15/03/2053 268.80 K 269.00 K 0.0369%
United Airlines Holdings, Inc. 5.375% 01/03/2031 268.40 K 270.00 K 0.0368%
Connecticut Avenue Securities Trust 4.7777616% 25/03/2044 267.69 K 267.61 K 0.0367%
Standard Building Solutions, Inc. 6.5% 15/08/2032 266.77 K 265.00 K 0.0366%
DISH DBS Corp. 5.75% 01/12/2028 266.62 K 275.00 K 0.0366%
EG America LLC 6.91578% 10/02/2031 266.28 K 265.00 K 0.0365%
CCO Holdings LLC 4.75% 01/03/2030 265.63 K 280.00 K 0.0364%
Hightower Holding LLC 6.40811% 03/02/2032 265.32 K 266.78 K 0.0364%
Lamar Media Corp. 5.375% 01/11/2033 264.82 K 270.00 K 0.0363%
Royal Caribbean Cruises Ltd. 5.375% 15/01/2036 264.18 K 266.00 K 0.0362%
Enterprise Products Operating LLC 5.7% 15/02/2042 263.80 K 260.00 K 0.0362%
CCL Industries, Inc. 3.05% 01/06/2030 262.97 K 281.00 K 0.0361%
Miter Brands Acquisition Holdco, Inc. 6.75% 01/04/2032 262.89 K 265.00 K 0.0361%
McDonald's Corp. 4.45% 01/03/2047 261.94 K 310.00 K 0.0359%
Columbus McKinnon Corp. 7.125% 01/02/2033 260.76 K 260.00 K 0.0358%
Morgan Stanley Capital I Trust 4.9318056% 15/10/2051 259.49 K 283.00 K 0.0356%
Bausch + Lomb Corp. 7.39392% 15/01/2031 259.24 K 258.30 K 0.0356%
Bank of America Merrill Lynch Commercial Mortgage Trust 4.934268% 15/07/2049 258.23 K 266.00 K 0.0354%
Republic of Trinidad & Tobago 6.5% 28/01/2036 258.09 K 250.00 K 0.0354%
Univision Communications, Inc. 7.375% 30/06/2030 255.90 K 255.00 K 0.0351%