Statistiche di base
Valore del portafoglio $ 282.914.806
Posizioni attuali 361
Ultime partecipazioni, performance, AUM (da depositi 13F, 13D)

MWFRX - Metropolitan West Floating Rate Income Fund Class M ha dichiarato un totale di 361 partecipazioni negli ultimi documenti depositati presso la SEC. Il valore più recente del portafoglio è pari a $ 282.914.806 USD. Il patrimonio gestito effettivo (AUM) corrisponde a questo valore più la liquidità (che non viene dichiarata). Le principali partecipazioni di MWFRX - Metropolitan West Floating Rate Income Fund Class M sono EagleView Technology Corporation 2018 Add On Term Loan B (US:US27004GAJ22) , OSMOSIS BUYER LIMITED 7/31/2028 (US:US00132UAG94) , Xerox Holdings Corp 2023 Term Loan B (US:US98415LAY20) , Victory Buyer LLC Term Loan (US:US92643PAB04) , and Corporation Service Company Term Loan B (US:US22006VAL36) . Le nuove posizioni di MWFRX - Metropolitan West Floating Rate Income Fund Class M includono EagleView Technology Corporation 2018 Add On Term Loan B (US:US27004GAJ22) , OSMOSIS BUYER LIMITED 7/31/2028 (US:US00132UAG94) , Xerox Holdings Corp 2023 Term Loan B (US:US98415LAY20) , Victory Buyer LLC Term Loan (US:US92643PAB04) , and Corporation Service Company Term Loan B (US:US22006VAL36) .

Gli aumenti più importanti di questo trimestre

Utilizziamo la variazione dell'allocazione del portafoglio perché è l'indicatore più significativo. Le variazioni possono essere dovute a transazioni o a variazioni dei prezzi delle azioni.

Titolo Azioni
(in milioni)
Valore
(in milioni di $)
Portafoglio % ΔPortafoglio %
2,45 0,8350 0,8350
1,88 0,6392 0,6392
1,87 0,6378 0,6378
1,82 0,6211 0,6211
1,70 0,5791 0,5791
1,58 0,5369 0,5369
1,48 0,5044 0,5044
1,48 0,5023 0,5023
1,46 0,4973 0,4973
1,45 0,4949 0,4949
Gli aumenti più importanti di questo trimestre

Utilizziamo la variazione dell'allocazione del portafoglio perché è l'indicatore più significativo. Le variazioni possono essere dovute a transazioni o a variazioni dei prezzi delle azioni.

Titolo Azioni
(in milioni)
Valore
(in milioni di $)
Portafoglio % ΔPortafoglio %
0,66 0,66 0,2242 -0,4848
0,68 0,2329 -0,3598
0,73 0,2491 -0,2678
0,27 0,0906 -0,1878
0,70 0,2375 -0,1869
0,20 0,0696 -0,1751
0,23 0,0798 -0,1749
0,43 0,1464 -0,1743
0,20 0,0694 -0,1684
0,94 0,3193 -0,1625
13F e depositi di fondi

Questo modulo è stato depositato il 2024-11-22 per il periodo di riferimento 2024-09-30. Fai clic sull'icona del link per visualizzare la cronologia completa delle transazioni.

Esegui l'upgrade per sbloccare i dati premium ed esportarli in Excel .

28-07-2022: Nota importante: abbiamo modificato il trattamento della colonna Δ % portafoglio in questa tabella. In precedenza, la indicavamo come variazione percentuale nell'allocazione del portafoglio. Ora la indichiamo come variazione grezza dell'allocazione del portafoglio (sempre in percentuale). In termini di formula, in precedenza la indicavamo come 100 * (allocazione attuale - allocazione precedente) / allocazione precedente. Ora la indichiamo come (allocazione attuale - allocazione precedente).
Titolo Tipo Prezzo medio dell'azione Azioni
(in milioni)
ΔAzioni
(%)
ΔAzioni
(%)
Valore
(in milioni di $)
Portafoglio
(%)
ΔPortafoglio
(%)
US27004GAJ22 / EagleView Technology Corporation 2018 Add On Term Loan B 2,52 -1,45 0,8574 -0,0288
RUBI / Rubico Inc. 2,45 0,8350 0,8350
US00132UAG94 / OSMOSIS BUYER LIMITED 7/31/2028 2,26 20,78 0,7697 0,1202
US98415LAY20 / Xerox Holdings Corp 2023 Term Loan B 1,91 13,09 0,6501 0,0643
US92643PAB04 / Victory Buyer LLC Term Loan 1,88 0,16 0,6406 -0,0108
ALPHA GENERATION LLC / LON (US02072UAC62) 1,88 0,6392 0,6392
PHOENIX NEWCO INC / LON (US71911KAD63) 1,87 0,6378 0,6378
Element Materials Technology Group US Holdings Inc / LON (000000000) 1,82 0,6211 0,6211
US22006VAL36 / Corporation Service Company Term Loan B 1,77 38,58 0,6032 0,1595
US48238YAC21 / KAMC Holdings, Inc., First Lien Term Loan 1,77 -0,84 0,6013 -0,0167
U2NF34 / United Natural Foods, Inc. - Depositary Receipt (Common Stock) 1,75 -0,23 0,5972 -0,0126
US23358EAF60 / DTI HOLDCO INC 1,74 17,51 0,5919 0,0788
TRANSDIGM INC / LON (US89364MCC64) 1,73 -0,46 0,5892 -0,0140
Entain Holdings Gibraltar Ltd / LON (000000000) 1,70 0,5791 0,5791
CITY FOOTBALL GROUP LTD / LON (US17781XAD84) 1,69 78,02 0,5766 0,2467
US96925HAF91 / William Morris Endeavor Entertainment, LLC 2018 1st Lien Term Loan 1,69 -0,35 0,5750 -0,0133
TRANS UNION LLC / LON (US89334GBE35) 1,58 -0,32 0,5377 -0,0121
CHARLOTTE BUYER INC / LON (US12568YAG98) 1,58 0,5369 0,5369
A1PP34 / AppLovin Corporation - Depositary Receipt (Common Stock) 1,58 -0,44 0,5363 -0,0125
DELIVERY HERO FINCO LLC / LON (XAD2007ZAE79) 1,56 81,45 0,5296 0,2321
ADMI CORP / LON (US00709LAL18) 1,52 102,26 0,5180 0,2570
UCTT / Ultra Clean Holdings, Inc. 1,49 -1,13 0,5070 -0,0157
EDGEWATER GENERATION LLC / LON (US28031FAJ93) 1,48 0,5044 0,5044
ERESEARCHTECHNOLOGY INC / LON (US29481PAN15) 1,48 -0,61 0,5033 -0,0125
PEER HOLDING III BV / LON (000000000) 1,48 0,5023 0,5023
US86210LAC28 / EQT BOX MERGER SUB INC 1,47 -0,20 0,5013 -0,0104
United States Treasury Note/Bond / DBT (US91282CLN91) 1,46 0,4973 0,4973
QUARTZ ACQUIRECO LLC / LON (US74773KAD72) 1,46 61,04 0,4968 0,1825
US72814CAF59 / Playtika Holding Corp. Term B-1 Loan 1,46 -1,15 0,4964 -0,0153
ARCLINE FM HOLDINGS LLC / LON (US03960DAG88) 1,45 0,4949 0,4949
US9021043065 / II-VI Inc 1,45 -4,55 0,4933 -0,0330
CITY BREWING CO LLC / LON (US10756PAD15) 1,43 132,79 0,4861 0,2732
INDY US HOLDCO LLC / LON (US45674PAN42) 1,42 -0,42 0,4843 -0,0112
ACRISURE LLC / LON (US00488PAS48) 1,41 0,4816 0,4816
US72753RAD08 / Plaskolite PPC Intermediate II LLC 1,41 0,57 0,4799 -0,0064
AMAZON HOLDCO INC / LON (US02351XAB47) 1,41 0,4794 0,4794
US00247NAG79 / AZZ Incorporated Term Loan B 1,40 -0,14 0,4763 -0,0097
ENGINEERING RESEARCH AND / LON (000000000) 1,40 0,4754 0,4754
US05552DAD49 / Dessert Holdings Inc. Term Loan 1,38 69,67 0,4685 0,1869
RENAISSANCE HOLDINGS COR / LON (US75972JAJ34) 1,36 -0,51 0,4640 -0,0110
PEGASUS BIDCO BV / LON (000000000) 1,36 0,4622 0,4622
PUG LLC / LON (US74530DAH89) 1,34 41,95 0,4565 0,1288
XAQ8531PAB30 / Arnott's Biscuits Ltd., Term Loan 1,34 10,40 0,4558 0,0352
XAC0451BAD82 / Arterra Wines Canada, Inc. 2020 Term Loan 1,33 177,29 0,4532 0,2866
VETSTRATEGY CANADA HOLD / LON (XAC9600DAC74) 1,32 0,4505 0,4505
ALBION FINANCING 3 SARL / LON (US00847NAC02) 1,32 0,4490 0,4490
PROAMPAC PG BORROWER LLC / LON (US74274NAL73) 1,32 -0,08 0,4481 -0,0089
LSCS HOLDINGS INC / LON (000000000) 1,31 0,4474 0,4474
ITT HOLDINGS LLC / LON (US45070BAJ44) 1,31 -0,23 0,4450 -0,0094
JANE STREET GROUP LLC / LON (US47077DAH35) 1,29 36,79 0,4406 0,1122
UNITED AIRLINES INC / LON (US90932RAM60) 1,29 -0,31 0,4404 -0,0098
US01242HAM07 / Curia Global, Inc. 2021 Term Loan 1,29 23,80 0,4378 0,0775
Research Now Group LLC / LON (000000000) 1,28 0,4373 0,4373
OREGON CLEAN ENERGY LLC / LON (US68583LAH87) 1,28 0,4367 0,4367
BCPE EMPIRE HOLDINGS INC / LON (US05550HAN52) 1,28 -0,23 0,4364 -0,0093
US98919XAB73 / ZAYO GROUP HOLDINGS INC USD TERM LOAN 1,27 4,96 0,4321 0,0125
FLUTTER FINANCING BV / LON (XAN3313EAB64) 1,26 -0,24 0,4302 -0,0090
FRONTIER COMMUNICATIONS HOLDINGS LLC / LON (US35906EAT73) 1,26 0,80 0,4293 -0,0043
WRENCH GROUP LLC / LON (000000000) 1,25 0,4253 0,4253
AAL DELAWARE HOLDCO INC / LON (US00036YAB92) 1,24 0,4236 0,4236
AURIS LUXEMBOURG III SARL / LON (000000000) 1,24 0,4235 0,4235
US72584DAF15 / KFC Holding Co 1,23 0,16 0,4190 -0,0071
TEMPO ACQUISITION LLC / LON (US88023HAH30) 1,23 -18,12 0,4185 -0,1022
Parkway Generation LLC / LON (000000000) 1,23 0,4182 0,4182
SHARP SERVICES LLC / LON (US81989LAE83) 1,22 -0,89 0,4153 -0,0116
COMPASS POWER GENERATION LLC / LON (US20451VAF04) 1,22 0,4146 0,4146
SHOWTIME ACQUISITION LLC / LON (US82540EAC84) 1,20 0,4069 0,4069
KUEHG CORP / LON (US50118YAF60) 1,19 -0,42 0,4064 -0,0091
US78397GAF81 / BANK LOAN NOTE 1,19 70,77 0,4059 0,1637
LORCA CO-BORROWER LLC / LON (000000000) 1,19 0,4040 0,4040
MODVQ / ModivCare Inc. 1,18 0,4031 0,4031
RESONETIC 06/06/31 / LON (US76118EAJ73) 1,18 11,78 0,4010 0,0356
FLOW / Global X Funds - Global X U.S. Cash Flow Kings 100 ETF 1,18 -23,35 0,4001 -0,1317
ANTICIMEX GLOBAL AB / LON (000000000) 1,16 0,3964 0,3964
SOLIANT LOWER INTERMEDIA / LON (US83421EAB20) 1,15 0,3925 0,3925
XAG9368PBH64 / Virgin Media Bristol LLC 2023 USD Term Loan Y 1,15 1,06 0,3907 -0,0033
UPFIELD USA CORP / LON (000000000) 1,15 0,3906 0,3906
PACTIV EVERGREEN GROUP HOLDINGS INC / LON (US69526MAC55) 1,15 -5,68 0,3900 -0,0312
RYAN LLC / LON (US78350LAZ85) 1,14 25,80 0,3886 0,0738
CARROLL COUNTY ENERGY LLC / LON (US14474FAY07) 1,13 0,3848 0,3848
PRIME SECURITY SERVICES BORROWER LLC / LON (US03765VAM28) 1,13 -0,09 0,3841 -0,0076
ALLIANCE LAUNDRY SYSTEMS / LON (US01862LBA52) 1,13 0,3840 0,3840
1000732905 ONTARIO INC / LON (XAC6902LAB27) 1,13 22,28 0,3833 0,0640
PROJECT BOOST PURCHASER / LON (US74339NAG16) 1,12 0,3819 0,3819
NOURYON USA LLC / LON (XAN8232NAJ62) 1,12 -0,36 0,3802 -0,0086
US80854EAJ73 / MATIV HOLDINGS 05/06/27 1,12 0,00 0,3801 -0,0072
XAF6628DAN49 / Numericable U.S. LLC, Term Loan B14 1,11 1,74 0,3795 -0,0004
US46284NAV10 / Iron Mountain, Inc. 2023 Term Loan B 1,11 45,14 0,3768 0,1124
US09353TAJ97 / Bleriot U.S. Bidco, Inc., Term Loan 1,10 -0,81 0,3745 -0,0103
XA68371YAP80 / Open Text Corporation 2023 Term Loan B 1,10 -0,90 0,3734 -0,0104
US71360HAB33 / PERATON CORP 1,09 23,09 0,3723 0,0642
US12510EAC12 / CCI Buyer, Inc. Term Loan 1,08 -0,55 0,3686 -0,0089
US00507JAF30 / Action Environmental Group, Inc., The, Term Loan 1,05 10,02 0,3591 0,0268
US71429TAC45 / PERRIGO INVESTMENTS LLC TERM LOAN B 1,05 -28,51 0,3570 -0,1518
CA21037X1345 / CONSTELLATION SOFTWARE INC 1,05 4,70 0,3567 0,0098
US63035HAC34 / NAPA Management Services Corp 1,05 26,76 0,3567 0,0700
JAZZ FINANCING LUX SARL / LON (XAG5080AAJ16) 1,04 0,3550 0,3550
XS2393001891 / Grifols Escrow Issuer SA 1,04 0,3534 0,3534
US14879EAE86 / Catalent Pharma Solutions, Inc. 1,04 -0,29 0,3530 -0,0076
OEG BORROWER LLC / LON (US67115HAG83) 1,03 0,3520 0,3520
US70468BAC72 / Pelican Products, Inc. 2021 Term Loan 1,03 -0,58 0,3518 -0,0086
NEON MAPLE US DEBT MERGERSUB INC / LON (000000000) 1,03 0,3515 0,3515
Alpha Generation LLC / DBT (US02073LAA98) 1,02 0,3457 0,3457
XAC6907UAB70 / ONTARIO GAMING GTA LP 1,01 -0,78 0,3449 -0,0095
HAMILTON PROJECTS ACQUIROR LLC / LON (000000000) 1,01 0,3433 0,3433
ENSEMBLE RCM LLC / LON (US29359BAE11) 1,01 99,41 0,3431 0,1678
US31732FAR73 / Filtration Group Corporation 2021 Incremental Term Loan 1,00 -0,79 0,3421 -0,0090
US05601QAB05 / Motel 6 Term Loan B 1,00 -0,20 0,3419 -0,0073
ARAMARK SERVICES INC / LON (US03852JAU51) 1,00 0,10 0,3414 -0,0064
MIWD HOLDCO II LLC / LON (US55336CAK80) 1,00 32,58 0,3408 0,0787
API GROUP DE INC / LON (US00186XAM56) 1,00 0,00 0,3406 -0,0065
TACALA INVESTMENT CORP / LON (US87339PAB94) 1,00 -0,30 0,3405 -0,0074
US05400KAJ97 / Avolon TLB Borrower 1 (US) LLC 2023 Term Loan B6 1,00 -0,10 0,3398 -0,0071
US08078UAK97 / Belron Finance U.S. LLC 2023 1st Lien Term Loan 1,00 -0,50 0,3391 -0,0082
US74919EAP97 / R1 RCM, Inc. 2022 Term Loan B 1,00 -0,60 0,3389 -0,0086
OGN / Organon & Co. 1,00 -0,20 0,3388 -0,0071
CURIUM BIDCO SARL / LON (XAL2210TAK15) 0,99 -0,40 0,3386 -0,0076
OMNIA PARTNERS LLC / LON (US68218HAE71) 0,99 0,20 0,3373 -0,0056
VERDE PURCHASER LLC / LON (US92338TAB26) 0,99 41,43 0,3372 0,0943
ARCHROMA FINANCE SARL / LON (000000000) 0,99 0,3371 0,3371
US14880BAH42 / Catalent Pharma Solutions Inc 0,99 -0,30 0,3367 -0,0074
Eagle 4 Ltd / LON (000000000) 0,99 0,3363 0,3363
UTD TALENT AG 07/07/28 / LON (US91301QAM96) 0,99 -0,70 0,3357 -0,0089
CREATIVE ARTISTS AGENCY LLC / LON (000000000) 0,99 0,3355 0,3355
US03958MAE75 / Arcis Golf LLC 2023 Term Loan B 0,98 -0,10 0,3348 -0,0067
US70757DAZ24 / Penn National Gaming, Inc. 2022 Term Loan B 0,98 -0,20 0,3339 -0,0068
US12546FAF99 / CHG PPC Parent LLC 0,97 -0,71 0,3314 -0,0086
PACIFIC DENTAL SERVICES INC / LON (US69417WAC55) 0,97 -0,21 0,3313 -0,0072
US31935HAD98 / First Brands Group LLC, First Lien Term Loan 0,97 -26,65 0,3290 -0,1282
US01642PBB13 / ALIXPARTNERS TERM B 1LN 02/05/2028 0,96 -0,21 0,3283 -0,0070
US26828KAB61 / Gopher Resource, LLC 1st Lien Term Loan 0,96 1,91 0,3278 0,0001
HEARTLAND DENTAL LLC / LON (US42236WAW73) 0,96 -2,25 0,3257 -0,0135
US24440EAB39 / Deerfield (Duff & Phelps/Dakota Holdings) T/L B (2/20) 0,95 -1,96 0,3242 -0,0128
NEP GROUP INC / LON (US62908HAM79) 0,95 1,49 0,3238 -0,0015
XAD8354KAD81 / AI PLEX AcquiCo GmbH - Senior 0,94 0,3217 0,3217
NSM TOP HOLDINGS CORP / LON (000000000) 0,94 0,3204 0,3204
H1BI34 / Hanesbrands Inc. - Depositary Receipt (Common Stock) 0,94 -1,05 0,3197 -0,0097
US64072UAK88 / CSC Holdings, LLC, Term Loan 0,94 -32,47 0,3193 -0,1625
US05765WAA18 / TIBCO Software Inc 0,93 -0,53 0,3170 -0,0079
EFS COGEN HOLDINGS I LLC / LON (000000000) 0,93 0,3162 0,3162
US91845AAA34 / VZ Secured Financing BV 0,92 7,96 0,3139 0,0174
US001746AQ98 / AMMC CLO 18 Ltd 0,92 0,00 0,3115 -0,0060
DELTA 2 LUX SARL / LON (XAL2465BAW62) 0,91 0,3107 0,3107
INCEPTION FINCO SARL / LON (000000000) 0,89 0,3032 0,3032
MIDWEST VETERINARY PARTNERS LLC / LON (US59841VAJ98) 0,88 0,2980 0,2980
ELEMENT SOLUTIONS INC / LON (000000000) 0,86 0,2932 0,2932
US87876GAJ13 / Tecta America Corp. 0,86 -0,23 0,2929 -0,0062
US24982LAB18 / Dermatology Intermediate Holdings III, Inc., Term Loan B 0,85 13,87 0,2907 0,0302
BIFM CA BUYER INC / LON (XAG0757GAF90) 0,85 69,86 0,2900 0,1159
XAL0178UAM89 / Altice Financing S.A., Senior Secured First Lien Term Loan 0,84 4,99 0,2867 0,0082
US04649VAX82 / Asurion LLC 2020 Term Loan B8 0,82 -16,55 0,2798 -0,0620
FINANCIERE MENDEL SASU / LON (000000000) 0,82 0,2790 0,2790
US62984CAD56 / Naked Juice LLC, First Lien Term Loan 0,81 78,46 0,2766 0,1186
US00217XAB29 / Hexion Holdings Corporation 2022 USD Term Loan 0,80 0,2707 0,2707
GRAHAM PACKAGING CO INC / LON (US38469EAE32) 0,79 0,2695 0,2695
US45567YAN58 / MH Sub I, LLC 2023 Term Loan 0,79 -0,76 0,2679 -0,0072
FUL / H.B. Fuller Company 0,79 -0,13 0,2678 -0,0054
LIGHT & WONDER INTERNATIONAL INC / LON (US80875AAW18) 0,78 0,2663 0,2663
US29102EAG08 / Press Ganey Holdings Inc 0,77 -24,63 0,2628 -0,0921
US28253PAD15 / 8th Avenue Food & Provisions, Inc., Second Lien Term Loan 0,77 -2,78 0,2621 -0,0124
ECOVYST CATALYST TECHNOL / LON (US27922JAC09) 0,76 -0,65 0,2604 -0,0065
US06832FAB31 / Barracuda Networks, Inc., 1st Lien Term Loan 0,75 479,23 0,2567 0,2190
AMMC CLO 30 Ltd / ABS-CBDO (US03165UAA60) 0,75 0,00 0,2565 -0,0049
XAC0787FAB85 / Bausch + Lomb Corp 0,75 0,80 0,2562 -0,0026
09238EAB0 / Blackhawk Network Holdings, Inc. Bond 1.500% 1/1 0,75 0,00 0,2561 -0,0049
VIZIENT INC / LON (US92855LAR78) 0,75 0,2561 0,2561
INNIO NORTH AMERICA HOLDING INC / LON (XAA2838LAC00) 0,75 0,2561 0,2561
ABG INTERMEDIATE HOLDINGS 2 LLC / LON (US00076VBK52) 0,75 0,2559 0,2559
BOOST NEWCO BORROWER LLC / LON (US92943EAE68) 0,75 0,2557 0,2557
SBA SENIOR FINANCE II LLC / LON (000000000) 0,75 0,2557 0,2557
WEC US HOLDINGS LTD / LON (US92943LAC46) 0,75 111,27 0,2556 0,1370
PROMETRIC HOLDINGS INC / LON (US80358TAF30) 0,75 0,00 0,2553 -0,0048
UBERD / Uber Technologies, Inc. - Depositary Receipt (Common Stock) 0,75 0,2552 0,2552
US44332EAP16 / Hub International Ltd., Term Loan 0,75 0,2546 0,2546
GENESYS CLOUD SERVICES / LON (US39479UAT07) 0,75 -0,93 0,2546 -0,0070
EVKG / Ever-Glory International Group, Inc. 0,75 0,2543 0,2543
THIRD COAST INFRASTRUCTU / LON (US88412KAC62) 0,75 0,2540 0,2540
BEP BORROWER HOLDCO LLC / LON (000000000) 0,75 0,2540 0,2540
US46604BAD01 / J&J Ventures Gaming LLC 0,75 49,60 0,2538 0,0809
US81812HAB69 / Severin Acquisition, LLC, Term Loan 0,75 -0,53 0,2538 -0,0062
BOXER PARENT CO INC / LON (US05988HAJ68) 0,74 0,2534 0,2534
US04649VBB53 / Asurion LLC, Term Loan B10 0,74 -0,80 0,2528 -0,0068
US40166KAD37 / Guggenheim Partners Investment Management Holdings LLC 0,74 -0,54 0,2517 -0,0063
BOXER PARENT CO INC / LON (US05988HAL15) 0,74 0,2517 0,2517
US40147EAB56 / Intrado Corporation 2023 Term Loan B 0,73 89,66 0,2501 0,1158
MAGLAB / Buzz Merger Sub Ltd Term Loan B 0,73 -50,94 0,2491 -0,2678
20717RAB8 / Confluent Medical 2/22 Cov-Lite 2/16/2029 0,73 0,14 0,2487 -0,0043
US54317EAB02 / MEDRISK INC 2021 TERM LOAN B 0,73 52,72 0,2485 0,0826
TRIPADVISOR INC / LON (000000000) 0,73 0,2473 0,2473
US81527CAP23 / Sedgwick Claims Management Services Inc 0,72 0,2466 0,2466
EPICOR SOFTWARE CORP / LON (US29426NAZ78) 0,72 -0,28 0,2438 -0,0055
US17026YAH27 / Chobani LLC 0,72 -0,28 0,2436 -0,0054
US131347CK09 / Calpine Corp. Bond 0,71 -0,42 0,2425 -0,0059
LACKAWANNA ENERGY CENTER LLC / LON (000000000) 0,71 0,2412 0,2412
NVENT THERMAL LLC / LON (000000000) 0,70 0,2383 0,2383
US74980MAF77 / RXB Holdings, Inc. (RxBenefits), Term Loan B (06/23) - First Lien 0,70 -0,71 0,2383 -0,0063
UTZ / Utz Brands, Inc. 0,70 -0,14 0,2378 -0,0050
POWERTEAM SERVICES LLC / LON (US73937UAL26) 0,70 -43,01 0,2375 -0,1869
SS&C TECHNOLOGIES INC / LON (US78466DBJ28) 0,70 -6,33 0,2367 -0,0209
US87261SAD18 / T/L TMS INTERNATIONAL CORP REGD 0.00000000 0,69 0,2340 0,2340
US62984CAB90 / NAKED JUICE LLC 0,68 -59,95 0,2329 -0,3598
XAF6456UAB98 / Banijay Entertainment S.A.S USD Term Loan 0,68 0,00 0,2313 -0,0043
VT TOPCO INC / LON (US91838LAJ98) 0,67 -0,30 0,2278 -0,0053
TK ELEVATOR US NEWCO INC / LON (XAD9000BAG77) 0,66 -0,90 0,2260 -0,0062
PLUTO ACQUISITION I INC / LON (US72941DAK81) 0,66 -39,91 0,2253 -0,1563
WINDSOR HOLDINGS III LLC / LON (US97360BAD73) 0,66 -0,15 0,2251 -0,0047
40467AAH2 / Help At Home, Inc. 0,66 0,2244 0,2244
FIGXX / Fidelity Colchester Street Trust - Fidelity Institutional Money Market Funds Government Portfolio Class I 0,66 -67,78 0,66 -67,79 0,2242 -0,4848
US04761PAJ49 / Atkins Nutritionals, Inc., 1st Lien Term Loan B 0,65 -19,28 0,2225 -0,0583
PUSHPAY USA INC / LON (US74646HAB33) 0,65 0,2216 0,2216
US14852DAC56 / Castle US Holding Corp 0,65 6,79 0,2199 0,0101
US75605VAD47 / REALPAGE INC 0,64 -46,72 0,2184 -0,1618
US01957TAH05 / Allied Universal Holdco LLC 2021 USD Incremental Term Loan B 0,64 -1,09 0,2164 -0,0066
WATERBRIDGE MIDSTREAM OPERATING LLC / LON (US94120XAF24) 0,63 -36,78 0,2142 -0,1309
ACCENT CARE TL 0 06/20/2028 / LON (000000000) 0,63 0,2131 0,2131
GO DADDY OPERATING CO LLC / LON (US38017BAV80) 0,62 -0,48 0,2126 -0,0051
CONCENTRA HEALTH SERVICES INC / LON (US20602RAC43) 0,62 0,2112 0,2112
X 06/11/31 / LON (US98423DAB01) 0,61 50,12 0,2072 0,0665
SETANTA AIRCRAFT LEASING / LON (XAG8057JAC09) 0,60 0,00 0,2059 -0,0039
ELLUCIAN HOLDINGS INC / LON (US83578BAQ68) 0,59 -0,50 0,2020 -0,0048
BIP PIPECO HOLDINGS LLC / LON (US05554DAB64) 0,58 -0,34 0,1972 -0,0046
US75605VAG77 / RealPage Inc 0,58 0,1971 0,1971
CERT / Certara, Inc. 0,58 -0,52 0,1970 -0,0047
GRANT THORNTON LLP/CHICAGO / LON (US38821UAB61) 0,55 0,1862 0,1862
US68404YAB02 / OPCH TL B 1L USD 0,54 -0,55 0,1850 -0,0046
US07274EAL74 / BAYER US FINANCE LLC 144A LIFE SR UNSEC 6.5% 11-21-33 0,54 6,27 0,1848 0,0078
ICON PARENT INC / LON (000000000) 0,54 0,1838 0,1838
US64069JAF93 / Neptune Bidco US Inc 2022 USD Term Loan A 0,53 -0,56 0,1813 -0,0045
US683715AF36 / Open Text Corp 0,53 2,13 0,1797 0,0006
BMY / Bristol-Myers Squibb Company - Depositary Receipt (Common Stock) 0,53 5,61 0,1796 0,0064
US37147YAB74 / GENERATION BRIDG 08/03/29 0,53 -0,38 0,1791 -0,0043
BA / The Boeing Company - Depositary Receipt (Common Stock) 0,53 3,75 0,1791 0,0032
XYZ / Block, Inc. - Depositary Receipt (Common Stock) 0,52 2,76 0,1775 0,0015
US23344MAF59 / CONVERGINT TECH TERM 2LN 03/31/2029 0,52 111,43 0,1766 0,0913
CAESARS ENTERTAIN INC / LON (US12768EAH99) 0,52 -0,58 0,1764 -0,0043
US31774BAF13 / FIG TL B 1L USD 0,52 -0,39 0,1759 -0,0040
Berry Global Inc / DBT (US08576PAP62) 0,51 4,90 0,1750 0,0048
AC / Air Canada 0,51 -0,19 0,1746 -0,0036
PLUTO ACQUISITION I INC / LON (US72941DAH52) 0,51 0,1728 0,1728
US38179UAD00 / Golub Capital Partners CLO 69M 0,50 -0,79 0,1719 -0,0045
PLANVIEW PARENT INC / LON (US72751PAH73) 0,50 0,1705 0,1705
MIC GLEN LLC / LON (US55304PAF80) 0,50 0,00 0,1704 -0,0033
CONSERVICE MIDCO LLC / LON (US20848PAH10) 0,50 0,1704 0,1704
US36168QAQ73 / GFL Environmental Inc 0,50 -0,20 0,1702 -0,0036
US16384YAJ64 / CHEMOURS CO TL 08/10/28 0,50 -32,57 0,1701 -0,0432
US12567MAA99 / CIFC Funding 2022-II Ltd 0,50 -0,40 0,1700 -0,0038
US57665VAF40 / Match Group Inc 0,50 -0,20 0,1700 -0,0034
US87169DAB10 / Syneos Health (INC Research/inVentiv Health) T/L B (09/23) 0,50 -3,11 0,1699 -0,0087
CLH / Clean Harbors, Inc. 0,50 -0,40 0,1696 -0,0041
US15872NAC65 / BANK LOAN NOTE 0,50 -0,40 0,1695 -0,0037
US69403HAL42 / PACIFIC BELLS TERM B 1LN 10/12/2028 0,50 -0,20 0,1693 -0,0035
US74980MAB63 / RxBenefits, Inc. 2020 Term Loan 0,49 -1,00 0,1684 -0,0048
US36740UAX00 / Gates Global LLC 0,49 0,00 0,1677 -0,0033
US23344MAC29 / CONGNT TL 1L USD 0,48 -0,21 0,1650 -0,0033
NEP Group Inc / LON (000000000) 0,48 0,1649 0,1649
SARATOGA FOOD SPECIALITI / LON (000000000) 0,48 0,1630 0,1630
PLANET US BUYER LLC / LON (US72706RAB24) 0,48 28,84 0,1629 0,0341
US55404TAD46 / MX HOLDINGS US INC 0,47 -0,21 0,1610 -0,0034
US82967NBJ63 / Sirius XM Radio Inc 0,47 4,42 0,1607 0,0039
US28253PAE97 / 8th Avenue Food & Provisions, Inc. 2021 Incremental Term Loan 0,47 1,94 0,1607 0,0000
US28253PAC32 / 8th Avenue Food & Provisions, Inc., First Lien Term Loan 0,47 1,95 0,1604 -0,0001
DAVE & BUSTER'S INC / LON (000000000) 0,47 0,1603 0,1603
QSR / Restaurant Brands International Inc. 0,47 2,85 0,1598 0,0015
46090K109 / Intrawest Resorts Holdings, Inc. 0,47 -0,43 0,1593 -0,0038
ACTION ENVIRONMENTAL GROUP INC/THE / LON (000000000) 0,47 0,1591 0,1591
WATERBRIDGE NDB OPERATIN / LON (US94120YAD58) 0,47 -0,64 0,1588 -0,0042
US92933BAQ77 / WMG Acquisition Corp 0,47 4,02 0,1588 0,0031
US74142KAJ88 / Pretium Packaging, LLC First Out Term Loan A 0,46 -0,43 0,1571 -0,0036
APRO LLC / LON (US03834XAP87) 0,46 0,1568 0,1568
DELTA 2 LUX SARL / LON (XAL2465BAX46) 0,46 0,1554 0,1554
US72819QAN25 / Plaze Inc 0,45 -3,43 0,1534 -0,0085
US98919XAE13 / Zayo Group Holdings Inc 0,45 4,17 0,1534 0,0035
POTTERS BORROWER LP / LON (US73813HAD89) 0,45 -36,09 0,1528 -0,0904
US22282GAC15 / COVANTA HOLDING CORP 0,45 -0,22 0,1525 -0,0031
IDEMIA AMERICA CORP / LON (XAF4939DAD57) 0,44 -0,45 0,1504 -0,0034
US59909TAC80 / Milano Acqusition/DXC State & Local HHS First-lien Term Loan 400 2027-08-03 0,43 -53,46 0,1464 -0,1743
US12768EAG17 / Caesars Entertainment Inc 0,43 -0,23 0,1450 -0,0031
NGP XI MIDSTREAM HOLDINGS LLC / LON (US62927UAB98) 0,43 0,1449 0,1449
US89787RAK86 / Trugreen Ltd. Partnership, 2nd Lien Term Loan 0,42 9,54 0,1447 0,0098
US12510MAB54 / CCRR Parent, Inc Term Loan B 0,41 -2,14 0,1404 -0,0059
BRTSG8EN8 / Staples, Inc., Term Loan 0,41 -0,97 0,1396 -0,0040
ASURION LLC / LON (US04649VBD10) 0,41 0,1383 0,1383
US09179FAX06 / BJ's Wholesale Club, Inc., First Lien Term Loan 0,40 0,50 0,1372 -0,0020
PAINT INTERMEDIATE III / LON (000000000) 0,40 0,1361 0,1361
US03234TAW80 / AMWINS TERM B 1LN 02/16/2028 0,40 -0,50 0,1347 -0,0030
RED OAK POWER LLC / LON (000000000) 0,39 0,1327 0,1327
PRO MACH GROUP INC / LON (US74273JAJ25) 0,39 0,1317 0,1317
US62908HAB15 / NEP/NCP Holdco, Inc. 2018 2nd Lien Term Loan 0,36 0,00 0,1229 -0,0026
US465966AB53 / JFL-Tiger Acquisition Co Inc Term Loan B 0,36 0,1227 0,1227
CPV FAIRVIEW LLC / LON (US12620SAB97) 0,36 0,1221 0,1221
AVISON YOUNG PRFD / EP (000000000) 1,05 0,36 0,1210 0,1210
US78571YBJ82 / SABRE TERM B 1LN 06/30/2028 0,36 0,1209 0,1209
PLANO HOLDCO INC / LON (000000000) 0,35 0,1202 0,1202
AMER ROCK SALT CO LLC DDTL 9.31879 06/12/2028 / LON (000000000) 0,35 0,1201 0,1201
ONEDIGITAL BORROWER LLC / LON (US68277FAM14) 0,35 0,1195 0,1195
US78571YBH27 / Sabre GLBL Inc. 2022 Term Loan B 0,34 0,1170 0,1170
LC AHAB US BIDCO LLC / LON (US50180PAB76) 0,34 0,30 0,1141 -0,0019
AMER ROCK SALT CO LLC TL 1L 9.31789 06/12/2028 / LON (000000000) 0,33 0,1129 0,1129
HDI AEROSPACE INTERMEDIATE HOLDING III CORP / LON (US40415WAB00) 0,33 0,1127 0,1127
RESEARCH NOW GROUP LLC / LON (US76100MAC47) 0,33 0,1125 0,1125
US315289AC26 / Ferrellgas Escrow LLC / FG Operating Finance Escrow Corp 0,33 1,55 0,1116 -0,0001
US85350EAB20 / Standard Industries, Inc., Term Loan B 0,33 -32,85 0,1107 -0,0575
DG INVESTMENT INTERMEDIATE HOLDINGS 2 INC / LON (000000000) 0,32 0,1102 0,1102
CROX / Crocs, Inc. 0,32 -16,36 0,1098 -0,0238
SABERT CORP / LON (US78516EAC66) 0,32 -0,62 0,1089 -0,0025
SHC / Sotera Health Company 0,32 -0,31 0,1081 -0,0022
US04649VAY65 / ASURION LLC 0,31 0,32 0,1072 -0,0017
Intelsat SA/Luxembourg / EC (000000000) 0,01 0,31 0,1042 0,1042
US84840EAC12 / Spring Education Group, Inc. - Senior 0,31 0,00 0,1042 -0,0020
ANCHOR PACKAGING LLC / LON (US03306UAG31) 0,30 0,1031 0,1031
GENESYS CLOUD SERVICES HOLDINGS II LLC / LON (US39479UAV52) 0,30 0,1026 0,1026
RESIDEO FUNDING INC / LON (US76090LAG95) 0,29 -53,41 0,1002 -0,1189
US87422LAV27 / Talen Energy Supply, LLC 2023 Term Loan B 0,27 -1,09 0,0932 -0,0028
WAYSTAR TECHNOLOGIES INC / LON (US63939WAL72) 0,27 0,0919 0,0919
CITY BREWING CO LLC / LON (US10756PAE97) 0,27 -66,83 0,0906 -0,1878
US87876GAF90 / Tecta America Corp. 0,25 0,0854 0,0854
US29003JAC80 / Elmwood CLO 15 Ltd 0,25 0,00 0,0853 -0,0015
46090K109 / Intrawest Resorts Holdings, Inc. 0,25 -0,40 0,0852 -0,0019
US45783UAB70 / Instructure Holdings, Inc. 2021 Term Loan B 0,25 0,00 0,0846 -0,0017
US24440EAG26 / Deerfield Holdings Corp., 2nd Lien Term Loan 0,25 -2,00 0,0836 -0,0033
US03957NAB29 / ArchKey Holdings Inc 0,24 -0,41 0,0818 -0,0019
US74112CAW38 / Prestige Brands Inc 0,24 -40,10 0,0814 -0,0573
XAC0787FAG72 / BAUSCH + LOMB CORP 0,24 -51,92 0,0811 -0,0909
US75703UAK16 / Red Ventures, LLC 0,24 -51,13 0,0810 -0,0873
US13134NAH44 / CALPINE CONSTRUCTION FINANCE TERM B 1LN 07/20/2030 0,23 -68,12 0,0798 -0,1749
US71360HAG20 / PERATON HOLDING CORP 2ND LIEN TERM LOAN B1 0,23 -6,40 0,0798 -0,0071
US87422LAU44 / Talen Energy Supply, LLC 2023 Term Loan C 0,22 -0,88 0,0765 -0,0021
FINCO I LLC / LON (US31774BAG95) 0,22 0,0761 0,0761
US55304PAB76 / K MAC HOLDINGS CORP 0,20 -71,06 0,0696 -0,1751
US89787RAH57 / TruGreen Limited Partnership 2020 Term Loan 0,20 -70,36 0,0694 -0,1684
MADISON SAFETY & FLOW LLC / LON (000000000) 0,20 0,0681 0,0681
US315289AA69 / Ferrellgas Escrow LLC / FG Operating Finance Escrow Corp 0,20 2,05 0,0680 0,0000
DERMATOLOGY INTERMEDIATE HOLDINGS III INC / LON (US24982LAE56) 0,20 -1,02 0,0666 -0,0018
XAN2820EAF50 / EG GROUP LIMITED 0,19 0,0661 0,0661
US131347CK09 / Calpine Corp. Bond 0,18 0,00 0,0627 -0,0014
US90290PAS39 / U.S. Renal Care, Inc., 1st Lien Term Loan C 0,17 4,38 0,0569 0,0012
Parkway Generation LLC / LON (000000000) 0,16 0,0557 0,0557
LACKAWANNA ENERGY CENTER LLC / LON (000000000) 0,15 0,0526 0,0526
US708692BY34 / Pennsylvania Economic Development Financing Authority 0,15 1,39 0,0500 0,0001
Lakeland Holdings LLC / LON (000000000) 0,13 0,0438 0,0438
US84762LAX38 / Spectrum Brands Inc 0,13 6,84 0,0427 0,0018
US40435YAE68 / Patriot Container Corp., Second Lien Term Loan 0,12 -71,89 0,0417 -0,1089
US59408UAB35 / Michaels Cos Inc/The 0,12 -79,93 0,0400 -0,1623
ABG Intermed 12/21/28 / LON (US00076VBJ89) 0,10 0,0341 0,0341
RYAN LLC / LON (US78350LBB09) 0,09 -1,05 0,0321 -0,0011
AVISON TL THIRD OUT / LON (000000000) 0,09 0,0321 0,0321
EPICOR SOFTWARE CORP / LON (US29426NBA19) 0,08 0,00 0,0286 -0,0006
US94107JAA16 / Waste Pro USA, Inc. 0,07 1,37 0,0255 -0,0002
US39843UAA07 / Grifols Escrow Issuer SA 0,05 6,98 0,0160 0,0010
SOUTH FIELD ENERGY LLC / LON (000000000) 0,04 0,0148 0,0148
SOUTH FIELD ENERGY LLC / LON (000000000) 0,04 0,0148 0,0148
US22282GAD97 / COVANTA HOLDING CORP 0,03 0,00 0,0117 -0,0002
DG INVESTMENT INTERMEDIATE HOLDINGS 2 INC / LON (000000000) 0,03 0,0089 0,0089
CHRYSAOR BIDCO SARL / LON (000000000) 0,02 0,0073 0,0073
CHRYSAOR BIDCO SARL / LON (000000000) 0,02 0,0073 0,0073
US708692BY34 / Pennsylvania Economic Development Financing Authority 0,01 -20,00 0,0027 -0,0010
AVISON TL SECOND OUT / LON (000000000) 0,01 0,0021 0,0021
US19633FAD33 / Colorado Buyer, Inc., Term Loan 0,00 -85,71 0,0007 -0,0018
BA.C / Bank of America Corporation - Depositary Receipt (Common Stock) 0,00 0,0006 0,0006
US74142KAK51 / Pretium PKG Holdings Inc 0,00 -100,00 0,0003 -0,1106
AVISON YOUNG COMMON ST / EC (000000000) 0,00 0,00 0,0001 0,0001
CINEWORLD FINANCE US INC / EC (000000000) 0,23 0,00 0,0000 0,0000