主要持股 Market Value Shares Weight %
MARRIOTT OWNERSHIP RESORTS INC 0.065% 01/10/2033 606.02 K 625.00 K 0.12% CRANE NXT CO 0.042% 15/03/2048 597.25 K 900.00 K 0.12% ACCO BRANDS CORP 0.0425% 15/03/2029 591.54 K 643.00 K 0.12% HARVEST MIDSTREAM I LP 0.075% 15/05/2032 586.46 K 565.00 K 0.12% COLUMBUS MCKINNON CORP NY 0.07125% 01/02/2033 575.71 K 560.00 K 0.11% STENA INTERNATIONAL SA 0.07625% 15/02/2031 543.86 K 522.00 K 0.11% MEDLINE BORROWER LP 0.0525% 01/10/2029 541.96 K 542.00 K 0.11% DBR LAND HOLDINGS LLC 0.0625% 01/12/2030 536.33 K 520.00 K 0.11% CNX RESOURCES CORP 0.05875% 01/03/2034 535.98 K 535.00 K 0.11% ADVANCED DRAIN SYS INC DEL 0.05375% 01/03/2034 513.89 K 510.00 K 0.10% AMWINS GROUP INC 0.06375% 15/02/2029 508.81 K 500.00 K 0.10% AXON ENTERPRISE INC 0.0625% 15/03/2033 507.89 K 490.00 K 0.10% CLYDESDALE ACQUISITION HOLDINGS INC 0.06875% 15/01/2030 507.67 K 500.00 K 0.10% ALLEGIANT TRAVEL CO 0.0725% 15/08/2027 504.64 K 500.00 K 0.10% CREDIT ACCEPTANCE CORP 0.06625% 15/03/2030 497.39 K 500.00 K 0.10% ENDO FINANCE HOLDINGS INC 0.085% 15/04/2031 488.88 K 460.00 K 0.10% FIRST QUANTUM MINERALS LTD 0.06375% 15/02/2036 481.54 K 480.00 K 0.10% ZEGONA FINANCE PLC 0.08625% 15/07/2029 477.29 K 452.00 K 0.09% CENTURY ALUMINUM COMPANY 0.06875% 01/08/2032 455.12 K 440.00 K 0.09% ALPHA GENERATION LLC 0.0675% 15/10/2032 410.41 K 395.00 K 0.08%