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Overall Morningstar Rating TM
Awards
Barron’s Best Fund Families 2024

Barron’s Best Fund Families: Ranked #4 for best fund family over the 1-year period ended 12/31/2024, among 48 qualifying fund families based on asset- weighted returns.

MorningStar Rankings

AS OF 07/31/2025
1-Year
50%
161/261
3-Year
22%
51/253
5-Year
21%
39/228
10-Year
23%
27/161

Source: Morningstar. All rights reserved. Used with permission. Class Z shares inception: 3/30/2011. Morningstar rankings are based on total return, do not include the effects of sales charges, and are calculated against all funds in the Morningstar US Fund Nontraditional Bond category.

Past performance does not guarantee future results.

Objective

Seeks positive returns over the long term, regardless of market conditions, by investing in a wide range of fixed income sectors and securities. The Fund may be suited to investors looking for current income and capital appreciation through broad diversification across multiple fixed income sectors. 

Growth of $10,000

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost. This chart represents historical performance and does not assume the effects of sales charges or varying fees and expenses of other share classes. If shown with sales charges or these other fees and expenses, performance could have been lower. It is not possible to invest directly in an index. Click here to view benchmark index definitions.

FUND INFORMATION
Style: Non-Traditional Bond
Total Net Assets: $3.499 Billion
Dividends (Paid): Monthly
Dividends (Accrued): Daily
Capital Gains: Annually
Fund Statistics
AS OF 07/31/2025
Name
Weight
Average Maturity (years) 5.70
Duration (years) 0.30
Standard Deviation (3 year) 1.37

Morningstar Ratings

AS OF 07/31/2025
Class A Shares
Overall (Out of 253 Funds)
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3-Year (Out of 253 Funds)
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5-Year (Out of 228 Funds)
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10-Year (Out of 161 Funds)
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Class C Shares
Overall (Out of 253 Funds)
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3-Year (Out of 253 Funds)
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5-Year (Out of 228 Funds)
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10-Year (Out of 161 Funds)
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Class R6 Shares
Overall (Out of 253 Funds)
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3-Year (Out of 253 Funds)
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5-Year (Out of 228 Funds)
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10-Year (Out of 161 Funds)
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Class Z Shares
Overall (Out of 253 Funds)
star-icon star-icon star-icon star-icon
3-Year (Out of 253 Funds)
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5-Year (Out of 228 Funds)
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10-Year (Out of 161 Funds)
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Source: Morningstar. Morningstar Ratings may be calculated based on share class adjusted historical returns. If so, the fund’s independent Morningstar Rating metric uses the fund’s oldest class to determine its hypothetical rating for certain periods. Morningstar Ratings are calculated for managed products with a 3-year minimum history. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. Rating is calculated based on a Morningstar Risk-Adjusted Return measure accounting for variation in a managed product's monthly excess performance that emphasizes downward variations more and rewards consistent performance, with no sales load adjustment. In each category, the top 10% receive 5 stars, with 4 stars for the next 22.5%, 3 stars for the next 35%, 2 stars for the next 22.5%, and 1 star for the bottom 10%. Overall Morningstar Rating is derived from a weighted average of the performance associated with its 3-, 5-, and 10-year (if applicable) Morningstar Rating metrics: for 36-59 months of total returns, 100% 3-year rating, for 60-119 months of total returns, 60% 5-year rating/40% 3-year rating, and for 120 or more months of total returns, 50% 10-year rating/30% 5-year rating/20% 3-year rating.

Barron's Information: PGIM Investments ranked 4 out of 48, 8 out of 47, 12 out of 46 firms for the 1-, 5-, and 10-year periods ended 12/31/2024, respectively.

PGIM Absolute Return Bond Fund (Class Z) Lipper total return ranking for the 1-, 3-, 5-, and 10-year periods as of 12/31/2024 for the Absolute Return Bond Funds category were: 1/82, 2/82, 12/78, and 5/63, respectively. Lipper Funds category rankings are based on total return, do not take sales charges into account, and are calculated against all funds in each fund’s respective Lipper category.

Class Z Lipper total return ranking for the 1-, 3-, 5-, and 10-year periods as of 6/30/2025: 72/80, 12/79, 9/78, and 7/65, respectively. Past Performance is no guarantee of future results.

*Used with permission. © 2025 Dow Jones & Company, Inc. Source: Barron’s, Feb. 27, 2025. Barron’s rankings are based on asset-weighted returns in funds in five categories: U.S. Equity; World Equity; Mixed Asset; Taxable Bond; and Tax-Exempt (each a “Barron’s ranking category”). Rankings also take into account an individual fund’s performance within its Lipper peer universe. Lipper calculated each fund’s net total return for the year ended Dec. 31, 2024, minus the effects of 12b-1 fees and sales charges. Each fund in the survey was given a percentile ranking, with 100 the highest and 1 the lowest in its category. That ranking measured how a fund compared with its peer “universe,” as tracked by Lipper, not just the funds in the survey. Individual fund scores were then multiplied by the 2024 weighting of their Barron’s ranking category as determined by the entire Lipper universe of funds. Those fund scores were then totaled, creating an overall score and ranking for each fund family in the survey in each Barron’s ranking category. To qualify for the ranking, firms must offer at least three active mutual funds or actively run ETFs in Lipper’s general U.S. Stock category; one in World Equity; and one Mixed Asset. They also need to offer at least two taxable bond funds and one national tax-exempt bond fund. All funds must have a track record of at least one year.

The LSEG Lipper Fund Awards, granted annually, highlight funds and fund companies that have excelled in delivering consistently strong risk-adjusted performance relative to their peers. The LSEG Lipper Fund Awards are based on the Lipper Leader for Consistent Return rating, which is an objective, quantitative, risk-adjusted performance measure calculated over 36, 60 and 120 months. The fund with the highest Lipper Leader for Consistent Return (Effective Return) value in each eligible classification wins the LSEG Lipper Fund Award. For more information, see lipperfundawards.com. Although LSEG Lipper makes reasonable efforts to ensure the accuracy and reliability of the data used to calculate the awards, their accuracy is not guaranteed. LSEG Lipper Fund Awards, © 2025 LSEG. All rights reserved. Used under license.

PGIM Absolute Return Bond Fund (Class R6) total return ranking for the 1-year period: 37/82 funds; 5-year period: 14/78 funds; 10-year period: 6/61 funds as of 11/30/2024. Inception date: Class R6: 3/30/2011. Lipper Funds category rankings are based on total return, do not take sales charges into account, and are calculated against all funds in each fund’s respective Lipper category.

Class R6 Lipper total return ranking for the 1-, 3-, 5- and 10-year periods as of 12/31/2024 for the Absolute Return Bond Fund category were: 2/82, 1/82, 11/78, and 3/63 funds, respectively. Past performance is no guarantee of future results.

Risks of investing in the fund include but are not limited to the following: Fixed Income investments are subject to credit, market, prepayment and interest rate risks, and their value will decline as interest rates rise. High yield (“junk”) bonds are subject to greater credit and market risks. Foreign securities are subject to currency fluctuations and political uncertainty. Collateralized Loan Obligations are subject to credit, interest rate, valuation and prepayment and extension risks, as well as risk of default on the underlying asset. Floating rate and other loans are subject to the risk that failure to receive scheduled interest or principal payments on a loan would adversely affect the income of the Fund and would likely reduce the value of its assets. Mortgage-backed and asset-backed securities tend to increase in value less than other debt securities when interest rates decline, but are subject to a similar risk of decline in market value during periods of rising interest rates. Holders of structured product securities bear the risks of the underlying investments, index or reference obligation. Investments in currency may result in a decline in the fund’s net asset value due to changes in exchange rates. There is no guarantee the Fund's objective will be achieved. Risks are more fully explained in the fund's prospectus.

Total Returns (%)

as of
RETURNS:
SALES CHARGE:
TOTAL RETURNS (%) WITH SALES CHARGE WITHOUT SALES CHARGE
Cumulative Average Annual
Class Ticker YTD 1-Yr 3-Yr 5-Yr 10-Yr Since Inception

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

See Daily Returns for the PGIM Absolute Return Bond Fund.
See Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Absolute Return Bond Fund.

See Daily Returns for the PGIM Absolute Return Bond Fund.
See Quarterly SEC Standardized Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Absolute Return Bond Fund.

Fund Expenses
Maximum sales charge (%)
Class
Gross (%)
Net (%)
Date*
A 0.95 0.95 3.25
C 1.76 1.76 1.00
R6 0.64 0.64
Z 0.73 0.73

*This date represents the contractual reduction date through which the net expense ratio is in effect.

Total return describes the return to the investor after net operating expenses but before any sales charges are imposed. Morningstar Category Average is unmanaged, is based on the average return of all funds in this category, and does not take into consideration applicable sales charges. Unless noted otherwise, Morningstar Category Average and index returns reflect performance beginning the closest month-end date to the Fund's inception. Benchmark since inception average is based on Class Z inception date. SEC standardized return describes the return to the investor after net operating expense and maximum sales charges are imposed. All returns assume share price changes as well as the compounding effect of reinvested dividends and capital gains. Returns may reflect fee waivers and/or expense reimbursements. Without such, returns would be lower. All returns 1-year or less are cumulative.

Morningstar Nontraditional Bond Category Average: Inclusion in nontraditional bond is informed by a balance of factors determined by Morningstar analysts. Those typically include a mix of: absolute return mandates; goals of producing returns not correlated with the overall bond market; performance benchmarks based on ultrashort-term interest rates such as T-bills; the ability to take long and short market and security-level positions using a broad range of derivatives; and few or very limited portfolio constraints on exposure to credit, sectors, currency, or interest-rate sensitivity. Funds in this group typically have the flexibility to manage duration exposure over a wide range of years and to take it to zero or a negative value.

An investment cannot be made directly in an index or average. All indexes and averages are unmanaged.

Prices

AS OF 08/22/2025
Class
NAV ($)
NAV Change ($)
NAV Change (%)
POP ($)
Total Net Assets ($)
A 9.14 Gain 0.01 0.11 9.45 197,750,141.33
C 9.16 No Change 0.00 0.00 55,890,912.83
R6 9.13 Gain 0.01 0.11 175,370,245.01
Z 9.18 Gain 0.01 0.11 3,050,692,128.08

NAV (Net Asset Value) is the $U.S. value of a single share of a fund, excluding any sales charges. Change shows the change in $U.S. value over the previous day:Gain= Gain, Loss= Loss,  No Change = No Change.

See Prices of other PGIM Investments Mutual Funds.

52 Week High/Low

AS OF 08/22/2025
Class
52 Week High ($)
52 Week High Date
52 Week Low ($)
52 Week Low Date
A 9.16 02/28/2025 9.04 04/21/2025
C 9.18 03/03/2025 9.06 04/10/2025
R6 9.15 02/28/2025 9.03 04/21/2025
Z 9.20 02/28/2025 9.08 04/21/2025

For share classes less than one year old, the 52-week high and 52-week low NAVs are calculated from inception to the current date.

Yields

AS OF 07/31/2025
Class SEC 30-Day Subsidized Yield (%) SEC 30-Day Unsubsidized Yield (%) Offer Distb. Yield (%) NAV Distb. Yield (%) SEC-30 Day Sub Taxable Equivalent Yield (%)
A - View Prospectus 4.38 4.37 4.34 4.49
C - View Prospectus 3.74 3.73 3.70
R6 - View Prospectus 4.85 4.84 4.80
Z - View Prospectus 4.74 4.73 4.70

See Yields of other PGIM Investments Mutual Funds.

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

This material must be preceded or accompanied by a current prospectus or summary prospectus. Consider a fund's investment objectives, risks, charges, and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Portfolio Attributes

AS OF 07/31/2025
Sector vs Benchmark
Sector
Fund (% of Assets)
Overweight Underweight
U.S. Govt Related 39.6% -30.9%
Treas 27.0% —%
Agency 0.0% —%
MBS 12.6% —%
Inv Grade Corp 7.6% -15.8%
Foreign Govt Related 0.2% -1.9%
U.S Municipals 0.2% -0.6%
Bank Loans 1.3% 1.3%
Commercial MBS 4.2% 2.7%
Non Agency MBS 6.0% 6.0%
Emerging Markets 8.2% 6.9%
High Yield 12.8% 12.7%
ABS 22.5% 22.1%
Cash/Equiv -2.6% —%
Credit Quality (% of Assets)
AAA 31.7%
AA 29.1%
A 5.0%
BBB 10.7%
BB 10.4%
B 4.8%
CCC 0.6%
Not Rated 10.2%
Cash/Equiv -2.5%
FUND STATISTICS
AS OF 07/31/2025
Average Maturity (years) 5.7
Duration (years) 0.3
Standard Deviation (3 year) 1.37

All data is unaudited and subject to change. Holdings/allocations may vary. This is not a recommendation to buy or sell any security listed. Total number of holdings based on issuers. Largest holdings exclude cash, cash equivalents, money market funds and enhanced cash strategies. Negative holdings reflect outstanding trades at period end.

Fund Holdings

AS OF 07/31/2025

Holdings are unaudited, may vary and are subject to change. Please refer to the Fund's annual report for audited holdings information. This is not a recommendation to buy or sell any security listed.

Value ($): Cash securities are calculated using market value and derivative securities are calculated using notional value.

Source: Bank of New York Mellon. Holdings are provided to Prudential Financial by the custodian bank and Prudential Financial is not responsible for any errors or omissions related to the holdings data.

© 2025, American Bankers Association. CUSIP Database provided by FactSet Research Systems Inc. All rights reserved.

Consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Investment products are distributed by Prudential Investment Management Services LLC, member FINRA and SIPC. PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Fixed Income is a unit of PGIM, a registered investment advisor. PGIM Limited acts as a subadvisor to all fixed income funds. PGIM Limited is an indirect, wholly owned subsidiary of PGIM, Inc. (PGIM), the principal asset management business of Prudential Financial, Inc. (PFI), a company incorporated and with its principal place of business in the United States. All are Prudential Financial affiliates. © 2025 Prudential Financial, Inc. and its related entities. PGIM, PGIM Investments, PGIM Fixed Income, PGIM Limited, and the PGIM logo are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.

This material is being provided for informational or educational purposes only and does not take into account the investment objectives or financial situation of any client or prospective clients. The information is not intended as investment advice and is not a recommendation. Clients seeking information regarding their particular investment needs should contact their financial professional.

INVESTMENT PRODUCTS | Are not insured by the FDIC or any federal government agency | May lose value | Are not a deposit of or guaranteed by any bank or any bank affiliate. 

Prudential Financial, Inc. of the United States is not affiliated in any manner with Prudential plc, incorporated in the United Kingdom or with Prudential Assurance Company, a subsidiary of M&G plc, incorporated in the United Kingdom.

4072323 Ed. 12/2024

Security ID# (CUSIP/SEDOL)
Security Description
Ticker Symbol
Coupon Rate
Maturity Date
Shares/Notional
Value ($)
% of Portfolio
91282CDK4 United States Treasury Note/bond T 1.25 11/30/2026 237,240,000.00 228,630,782.00 6.27
69344A107 PGIM Ultra Short Bond Etf PULS 2,350,000.00 116,959,500.00 3.21
91282CJP7 United States Treasury Note/bond T 4.38 12/15/2026 113,060,000.00 113,519,306.00 3.11
69344A834 PGIM Aaa Clo Etf PAAA 1,800,000.00 92,646,000.00 2.54
91282CCF6 United States Treasury Note/bond T 0.75 05/31/2026 81,695,000.00 79,381,372.00 2.18
91282CHZ7 United States Treasury Note/bond T 4.63 09/30/2030 67,260,000.00 69,272,545.00 1.90
91282CJT9 United States Treasury Note/bond T 4.0 01/15/2027 68,890,000.00 68,836,179.00 1.89
91282CCP4 United States Treasury Note/bond T 0.63 07/31/2026 60,605,000.00 58,512,233.00 1.61
912810SE9 United States Treasury Note/bond T 3.38 11/15/2048 68,955,000.00 53,860,319.00 1.48
912810SK5 United States Treasury Note/bond T 2.38 11/15/2049 72,235,000.00 45,846,651.00 1.26
74440W862 (pipa070) Pgim Core Government Money Mar 4.41 12/01/2099 42,301,629.00 42,301,628.00 1.16
91282CKX8 United States Treasury Note/bond T 4.25 06/30/2029 38,500,000.00 38,957,187.00 1.07
91282CCW9 United States Treasury Note/bond T 0.75 08/31/2026 40,000,000.00 38,565,625.00 1.06
73015AAA5 PMT Credit Risk Transfer Trust 2024-1r PMTCR 7.85 05/25/2033 29,980,658.00 30,333,805.00 0.83
3132DWNK5 Freddie Mac Pool FR 5.5 01/01/2055 29,225,118.00 29,078,385.00 0.80
BMHCD58 Morocco Government International Bond MOROC 2.38 12/15/2027 30,000,000.00 28,327,500.00 0.78
912810UD8 United States Treasury Note/bond T 4.13 08/15/2044 30,000,000.00 27,164,062.00 0.75
01F052680 Fannie Mae Or Freddie Mac FNCL 5.5 08/15/2055 27,500,000.00 27,354,408.00 0.75
912810SS8 United States Treasury Note/bond T 1.63 11/15/2050 48,600,000.00 25,226,437.00 0.69
91282CCZ2 United States Treasury Note/bond T 0.88 09/30/2026 25,440,000.00 24,504,881.00 0.67
BP8XNQ2 Republic Of South Africa Government Inte SOAF 3.75 07/24/2026 20,000,000.00 22,945,766.00 0.63
XS28110880 Monument Clo 1 Dac MNMNT 3.73 05/15/2037 20,000,000.00 22,900,102.00 0.63
31418EKV1 Fannie Mae Pool FN 5.5 11/01/2052 22,187,225.00 22,191,865.00 0.61
XS27908641 Grosvenor Place Clo 2022-1 Dac GROSV 3.65 05/24/2038 17,500,000.00 20,016,094.00 0.55
01F060691 Fannie Mae Or Freddie Mac FNCL 6.0 09/15/2055 19,500,000.00 19,751,244.00 0.54
001207AQ2 AGL Clo 9 Ltd AGL 5.86 04/20/2037 19,500,000.00 19,579,288.00 0.54
06875VAA8 Barrow Hanley Clo Iii Ltd BARHN 5.95 04/20/2037 19,500,000.00 19,576,473.00 0.54
01F020695 Fannie Mae Or Freddie Mac FNCL 2.0 09/15/2055 24,500,000.00 19,171,618.00 0.53
75888KAL8 Regatta Viii Funding Ltd REGT8 5.87 04/17/2037 18,000,000.00 18,075,373.00 0.50
XS29996555 ICG Euro Clo 2023-1 Dac ICGE 3.27 10/19/2038 15,750,000.00 17,919,981.00 0.49
29004FAA9 Elmwood Clo 40 Ltd ELM40 5.52 03/22/2038 17,500,000.00 17,526,250.00 0.48
BPLZH85 Palmer Square European Clo 2025-1 Dac PLMER 3.75 10/15/2039 15,000,000.00 17,094,787.00 0.47
28623RBG2 Elevation Clo 2021-14 Ltd AWPT 6.03 01/20/2038 16,750,000.00 16,733,213.00 0.46
03330NAU8 Anchorage Capital Clo 11 Ltd ANCHC 5.86 07/22/2037 16,000,000.00 16,071,688.00 0.44
XS27937129 Harvest Clo Xxxii Dac HARVT 3.99 07/25/2037 13,750,000.00 15,894,118.00 0.44
XS27144422 SONA Fios Clo I Dac FIOS 3.88 07/15/2036 13,250,000.00 15,151,999.00 0.42
94949FAL7 Wellfleet Clo 2022-2 Ltd WELF 5.75 10/18/2037 15,000,000.00 15,059,169.00 0.41
18914GAC5 Clover Clo 2018-1 Llc CLVR 5.86 04/20/2037 15,000,000.00 15,059,590.00 0.41
912810SY5 United States Treasury Note/bond T 2.25 05/15/2041 20,165,000.00 14,518,800.00 0.40
BQZCN70 CD&R Firefly Bidco Plc MOTFUE 8.63 04/30/2029 10,700,000.00 14,554,883.00 0.40
03767NAW6 Apidos Clo Xviii-r APID 5.66 01/22/2038 14,250,000.00 14,294,494.00 0.39
31418EDE7 Fannie Mae Pool FN 3.5 05/01/2052 15,850,187.00 14,185,695.00 0.39
36180ACA9 Ginnie Mae Ii Pool G2 5.5 10/20/2054 13,855,286.00 13,830,697.00 0.38
37148BAC4 Generate Clo 4 Ltd GNRT 5.76 07/20/2037 13,395,000.00 13,440,541.00 0.37
88675YAA2 Tikehau Us Clo V Ltd TKO 6.27 01/15/2036 13,250,000.00 13,320,565.00 0.37
826937AA2 Signal Peak Clo 8 Ltd SPEAK 5.72 10/20/2037 12,950,000.00 13,002,453.00 0.36
3132DWD34 Freddie Mac Pool FR 4.0 06/01/2052 13,901,378.00 12,848,318.00 0.35
3132DWNL3 Freddie Mac Pool FR 6.0 12/01/2054 12,107,534.00 12,276,704.00 0.34
586915AE0 Menlo Clo I Ltd MENLO 6.58 01/20/2038 12,500,000.00 12,570,005.00 0.34
936557AA5 Warwick Capital Clo 2 Ltd WWICK 6.27 01/15/2037 12,500,000.00 12,574,027.00 0.34
BHXDDW7 Salus European Loan Conduit No 33 Dac EURO 6.41 01/23/2032 9,316,824.00 12,333,191.00 0.34
91282CGB1 United States Treasury Note/bond T 3.88 12/31/2029 11,595,000.00 11,566,918.00 0.32
77340LAN0 Rockford Tower Clo 2022-2 Ltd ROCKT 6.18 10/20/2035 11,500,000.00 11,532,051.00 0.32
77586RAX8 Romanian Government International Bond ROMANI 6.63 05/16/2036 11,310,000.00 11,310,000.00 0.31
98887HAL8 ZAIS Clo 3 Ltd ZCLO3 6.77 07/15/2031 11,300,000.00 11,342,921.00 0.31
XS22895663 Penta Clo 5 Dac PENTA 3.57 04/20/2035 10,000,000.00 11,429,405.00 0.31
XS23087448 Jubilee Clo 2018-xxi Dac JUBIL 3.43 04/15/2035 10,000,000.00 11,323,544.00 0.31
XS27390686 Palmer Square European Clo 2022-2 Dac PLMER 3.63 01/15/2038 10,000,000.00 11,412,376.00 0.31
XS31243512 Palmer Square European Clo 2022-2 Dac PLMER 01/15/2038 10,000,000.00 11,412,000.00 0.31
69382KAA6 PRPM 2025-4 Llc PRPM 6.18 06/01/2030 11,354,608.00 11,370,476.00 0.31
197363AY0 Columbia Cent Clo 29 Ltd CECLO 6.29 10/20/2034 11,335,000.00 11,332,879.00 0.31
59802UAN9 Midocean Credit Clo Iii MIDO 6.39 04/21/2031 11,083,210.00 11,105,801.00 0.30
36267QAA2 CLUE Opco Llc FWRD 9.5 10/15/2031 10,314,000.00 10,937,210.00 0.30
CURRENCY Currency 23,426,667.00 10,979,394.00 0.30
912834KV9 United States Treasury Strip Coupon S 11/15/2041 23,665,000.00 10,464,692.00 0.29
XS23527433 Invesco Euro Clo Vi Dac INVSC 3.68 07/15/2034 9,250,000.00 10,545,454.00 0.29
3136BWRC2 Fannie Mae Remics FNR 4.34 07/25/2055 10,478,612.00 10,485,573.00 0.29
74143LAA4 PRET 2025-npl5 Llc PRET 6.24 05/25/2055 10,569,772.00 10,578,718.00 0.29
67115PAL9 OFSI Bsl Xi Ltd OFSBS 6.38 10/18/2035 10,000,000.00 10,056,739.00 0.28
55822EAN9 Madison Park Funding Lix Ltd MDPK 6.25 04/18/2037 10,000,000.00 10,048,185.00 0.28
28624DAC2 Elevation Clo 2023-17 Ltd AWPT 6.2 10/20/2036 10,000,000.00 10,059,908.00 0.28
289913AC9 Elmwood Clo 29 Ltd ELM29 5.85 04/20/2037 10,000,000.00 10,039,854.00 0.28
289913AG0 Elmwood Clo 29 Ltd ELM29 6.33 04/20/2037 10,000,000.00 10,063,585.00 0.28
28623MAS8 Elevation Clo 2021-12 Ltd AWPT 5.95 04/20/2037 10,000,000.00 10,038,227.00 0.28
13887TAW7 Canyon Capital Clo 2019-1 Ltd CANYC 6.12 07/15/2037 10,000,000.00 10,046,270.00 0.28
XS27611866 TORO European Clo 9 Dac TCLO 3.68 04/15/2037 9,000,000.00 10,294,380.00 0.28
3132DSUQ3 Freddie Mac Pool FR 4.5 09/01/2042 9,797,839.00 9,683,351.00 0.27
445545AX4 Hungary Government International Bond REPHUN 6.75 09/23/2055 9,670,000.00 9,792,712.00 0.27
52476AAA1 Legacy Mortgage Asset Trust 2025-pr1 LMAT 6.0 01/25/2061 9,462,037.00 9,386,137.00 0.26
221625AV8 Ivory Coast Government International Bon IVYCST 8.08 04/01/2036 9,630,000.00 9,475,920.00 0.26
00833BAK4 Affirm Master Trust AFRMT 5.6 07/15/2033 9,500,000.00 9,506,402.00 0.26
XS30254325 Rockford Tower Europe Clo 2025-1 Dac RFTE 3.43 10/25/2037 8,335,000.00 9,493,719.00 0.26
91282CMP3 United States Treasury Note/bond T 4.13 02/28/2027 9,580,000.00 9,594,968.00 0.26
830867AB3 Delta Air Lines Inc / Skymiles Ip Ltd DAL 4.75 10/20/2028 9,148,000.00 9,147,908.00 0.25
BNVVN03 Nissan Motor Co Ltd NSANY 6.38 07/17/2033 7,700,000.00 8,943,829.00 0.25
BL5023827 CD&R Firefly Bidco Plc MOTFUE 9.21 04/29/2029 6,975,000.00 9,196,730.00 0.25
XS30040074 TORO European Clo 10 Dac TCLO 3.61 04/15/2038 8,000,000.00 9,060,662.00 0.25
097023DG7 Boeing Co/the BA 2.2 02/04/2026 9,286,000.00 9,163,466.00 0.25
17332HAA3 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.04 01/01/2064 9,824,745.00 9,248,843.00 0.25
36179WT24 Ginnie Mae Ii Pool G2 3.5 12/20/2051 10,283,878.00 9,287,025.00 0.25
3140XMD78 Fannie Mae Pool FN 4.0 03/01/2048 9,276,770.00 8,868,243.00 0.24
XS30795944 Jerrold Finco Plc JERRGB 7.5 06/15/2031 6,400,000.00 8,647,640.00 0.24
BNZHNG3 Bellis Acquisition Co Plc ASSDLN 8.13 05/14/2030 6,950,000.00 8,710,872.00 0.24
BLH1JL6 Egypt Government International Bond EGYPT 3.88 02/16/2026 8,700,000.00 8,552,100.00 0.23
91282CGA3 United States Treasury Note/bond T 4.0 12/15/2025 8,210,000.00 8,203,265.00 0.23
3132DWPH0 Freddie Mac Pool FR 5.5 04/01/2055 8,428,749.00 8,391,642.00 0.23
01F050684 Fannie Mae Or Freddie Mac FNCL 5.0 08/15/2055 8,500,000.00 8,272,180.00 0.23
74390EAA0 PRPM 2024-4 Llc PRPM 6.41 08/25/2029 8,029,217.00 8,045,112.00 0.22
69391NAA9 PMT Credit Risk Transfer Trust 2024-2r PMTCR 7.7 03/29/2027 8,005,289.00 8,085,569.00 0.22
928668CP5 Volkswagen Group Of America Finance Llc VW 5.05 03/27/2028 8,020,000.00 8,058,131.00 0.22
83368RBD3 Societe Generale Sa SOCGEN 2.89 06/09/2032 9,090,000.00 8,036,838.00 0.22
XS27937125 Harvest Clo Xxxii Dac HARVT 3.39 07/25/2037 7,000,000.00 8,045,302.00 0.22
832248BC1 Smithfield Foods Inc SFD 3.0 10/15/2030 8,270,000.00 7,535,545.00 0.21
XS29169933 Indigo Credit Management Ii Dac INDI 4.68 07/15/2038 6,500,000.00 7,435,988.00 0.20
31418FMJ3 Fannie Mae Pool FN 5.5 07/01/2055 7,483,687.00 7,446,112.00 0.20
36179VVX5 Ginnie Mae Ii Pool G2 2.0 10/20/2050 8,870,190.00 7,163,598.00 0.20
36272JAA1 GS Mortgage Securities Corp Trust 2024-r GSMS 5.2 08/10/2041 6,900,000.00 6,929,397.00 0.19
3137HLZC9 Freddie Mac Remics FHR 4.34 06/25/2055 7,058,004.00 7,062,691.00 0.19
71654QCG5 Petroleos Mexicanos PEMEX 6.5 03/13/2027 6,800,000.00 6,798,164.00 0.19
62916TAA7 NLT 2025-inv1 Trust NLT 5.51 02/01/2070 6,987,711.00 6,987,686.00 0.19
105756CM0 Brazilian Government International Bond BRAZIL 5.5 11/06/2030 6,770,000.00 6,781,847.00 0.19
06738ECX1 Barclays Plc BACR 5.09 02/25/2029 6,800,000.00 6,872,363.00 0.19
XS28075099 Carlyle Euro Clo 2022-5 Dac CGMSE 4.14 04/25/2037 6,000,000.00 6,913,266.00 0.19
XS23206975 Carlyle Euro Clo 2019-1 Dac CGMSE 2.1 03/15/2032 6,500,000.00 7,098,721.00 0.19
XS27199835 ICG Euro Clo 2023-2 Dac ICGE 3.68 01/26/2038 6,000,000.00 6,857,897.00 0.19
BL5016946 Zegona Holdco Ltd ZEGLN 5.33 07/17/2029 6,100,000.00 6,958,834.00 0.19
BL0HM90 Ivory Coast Government International Bon IVYCST 5.88 10/17/2031 5,923,000.00 6,567,109.00 0.18
BWWD237 Petroleos Mexicanos PEMEX 2.75 04/21/2027 5,770,000.00 6,383,099.00 0.18
74939GAA3 RCO Viii Mortgage Llc 2025-3 RCO 6.43 05/25/2030 6,517,328.00 6,521,430.00 0.18
95000U3A9 Wells Fargo & Co WFC 4.81 07/25/2028 6,475,000.00 6,509,624.00 0.18
01F052698 Fannie Mae Or Freddie Mac FNCL 5.5 09/15/2055 6,500,000.00 6,460,255.00 0.18
3132DWE74 Freddie Mac Pool FR 5.0 10/01/2052 6,777,569.00 6,598,072.00 0.18
3132DWC43 Freddie Mac Pool FR 3.5 01/01/2052 7,429,418.00 6,662,673.00 0.18
29278GBD9 ENEL Finance International Nv ENELIM 5.13 06/26/2029 6,560,000.00 6,654,282.00 0.18
173106AA3 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 4.1 02/01/2063 6,973,498.00 6,612,923.00 0.18
172967PK1 Citigroup Inc C 7.13 11/15/2173 6,365,000.00 6,513,896.00 0.18
36273XAA9 GS Mortgage Securities Corp Trust 2025-8 GSMS 7.0 11/25/2041 6,445,000.00 6,457,158.00 0.18
49456BAZ4 Kinder Morgan Inc KMI 5.1 08/01/2029 6,310,000.00 6,425,915.00 0.18
50205WAA5 Lhome Mortgage Trust 2024-rtl5 LHOME 5.32 09/25/2039 6,500,000.00 6,475,305.00 0.18
89642XAA2 Trinitas Clo Xxiv Ltd TRNTS 5.92 04/25/2037 6,000,000.00 6,022,450.00 0.17
77586RAY6 Romanian Government International Bond ROMANI 5.75 09/16/2030 5,790,000.00 5,816,055.00 0.16
XS27199837 ICG Euro Clo 2023-2 Dac ICGE 4.7 01/26/2038 5,000,000.00 5,726,333.00 0.16
XS27159511 Anchorage Capital Europe Clo 6 Dac ANCHE 4.75 01/22/2038 5,000,000.00 5,721,369.00 0.16
XS23098336 Arbour Clo Iv Dac ARBR 3.33 04/15/2034 5,000,000.00 5,702,757.00 0.16
36179Y5L4 Ginnie Mae Ii Pool G2 5.5 08/20/2054 5,877,937.00 5,867,758.00 0.16
59284MAD6 Mexico City Airport Trust MEXCAT 5.5 07/31/2047 6,995,000.00 5,859,571.00 0.16
67091TAF2 OCP Sa OCPMR 6.75 05/02/2034 5,469,000.00 5,687,242.00 0.16
3132E0VA7 Freddie Mac Pool FR 3.5 09/01/2046 6,209,256.00 5,750,675.00 0.16
05612TAE5 BX Trust 2024-vlt4 BX 6.48 07/15/2029 6,000,000.00 5,994,375.00 0.16
05493BAA6 Bbcms 2020-bid Mortgage Trust BBCMS 6.6 10/15/2037 5,745,000.00 5,743,204.00 0.16
10554TAH8 Braskem Netherlands Finance Bv BRASKM 8.5 01/12/2031 7,471,000.00 5,846,057.00 0.16
097023DB8 Boeing Co/the BA 3.25 02/01/2028 5,555,000.00 5,378,549.00 0.15
05593UAG0 BPR Commercial Mortgage Trust 2024-park BPR 6.18 11/01/2039 5,350,000.00 5,399,963.00 0.15
05612FAA3 BX Trust 2024-pat BX 6.43 03/15/2041 5,600,000.00 5,601,809.00 0.15
3132DWPS6 Freddie Mac Pool FR 5.5 05/01/2055 5,454,618.00 5,427,231.00 0.15
3132DWDU4 Freddie Mac Pool FR 4.0 05/01/2052 5,843,675.00 5,400,710.00 0.15
25470MAG4 DISH Network Corp DISH 11.75 11/15/2027 5,150,000.00 5,362,236.00 0.15
69392JAA7 PRET 2025-npl2 Llc PRET 5.84 03/25/2055 5,385,710.00 5,361,223.00 0.15
74143VAA2 PRET 2025-npl1 Trust PRET 6.06 02/25/2055 5,328,989.00 5,333,467.00 0.15
55819JAN3 Madison Park Funding Xxxiii Ltd MDPK 5.61 10/15/2032 5,464,501.00 5,471,058.00 0.15
36179XDD5 Ginnie Mae Ii Pool G2 4.0 08/20/2052 6,021,651.00 5,593,612.00 0.15
36179XDE3 Ginnie Mae Ii Pool G2 4.5 08/20/2052 5,764,635.00 5,517,527.00 0.15
36180AAF0 Ginnie Mae Ii Pool G2 5.5 09/01/2054 5,416,400.00 5,405,956.00 0.15
880349AU9 Tenneco Inc TENINC 8.0 11/17/2028 5,600,000.00 5,559,234.00 0.15
92332YAF8 Venture Global Lng Inc VENLNG 9.0 03/30/2173 5,290,000.00 5,289,259.00 0.15
BZ97T10 Angolan Government International Bond ANGOL 9.5 11/12/2025 5,320,000.00 5,349,951.00 0.15
BMHFP39 Romanian Government International Bond ROMANI 6.63 09/27/2029 4,500,000.00 5,588,010.00 0.15
958254AH7 Western Midstream Operating Lp WES 4.5 03/01/2028 4,990,000.00 4,952,743.00 0.14
973142AU6 THL Credit Wind River 2020-1 Clo Ltd WINDR 6.43 07/20/2037 5,000,000.00 5,025,334.00 0.14
89183HAB0 TOWD Point Mortgage Trust 2025-ces1 TPMT 5.93 02/01/2055 5,053,000.00 5,105,753.00 0.14
37149LAL1 Generate Clo 7 Ltd GNRT 5.95 04/22/2037 5,050,000.00 5,069,407.00 0.14
37186XAY1 Genesis Sales Finance Master Trust GSFMT 6.26 12/20/2032 5,000,000.00 5,011,457.00 0.14
44855PAG3 Hudson Yards 2025-sprl Mortgage Trust HY 6.34 01/01/2040 5,010,000.00 5,164,729.00 0.14
3132DWFU2 Freddie Mac Pool FR 6.0 11/01/2052 5,035,166.00 5,120,091.00 0.14
55316VAL8 MHC Commercial Mortgage Trust 2021-mhc MHC 7.06 04/15/2038 5,260,866.00 5,265,798.00 0.14
17327CAT0 Citigroup Inc C 4.54 09/19/2030 5,265,000.00 5,243,565.00 0.14
3132DWBJ1 Freddie Mac Pool FR 2.5 04/01/2051 6,072,947.00 5,013,359.00 0.14
278768AC0 Echostar Corp SATS 10.75 11/30/2029 4,750,000.00 5,005,240.00 0.14
05625BAG4 BLP Commercial Mortgage Trust 2025-ind BLP 6.59 03/15/2042 5,030,000.00 4,979,804.00 0.14
05593VAL7 BX Trust 2025-roic BX 6.33 03/15/2030 5,000,497.00 4,962,993.00 0.14
00833BAD0 Affirm Master Trust AFRMT 5.62 02/15/2033 5,000,000.00 5,010,645.00 0.14
12674CAA1 CA Magnum Holdings HEXWIN 5.38 10/31/2026 5,225,000.00 5,183,853.00 0.14
097023CP8 Boeing Co/the BA 3.25 02/01/2035 5,710,000.00 4,820,129.00 0.13
078915AB1 Bellemeade Re Ltd BMIR 7.55 08/25/2034 4,612,000.00 4,660,813.00 0.13
07132JBC7 Battalion Clo X Ltd BATLN 5.75 01/25/2035 4,740,000.00 4,745,559.00 0.13
279158AT6 Ecopetrol Sa ECOPET 8.63 01/19/2029 4,495,000.00 4,825,157.00 0.13
68269JAE1 Onemain Financial Issuance Trust 2023-1 OMFIT 5.5 06/14/2038 4,800,000.00 4,912,435.00 0.13
68560EAC2 Orbia Advance Corp Sab De Cv ORBIA 6.8 05/13/2030 4,780,000.00 4,888,410.00 0.13
682684AD7 Onemain Direct Auto Receivables Trust 20 ODART 6.1 07/14/2037 4,600,000.00 4,660,940.00 0.13
48128KAU5 Jpmcc Commercial Mortgage Securities Tru JPMCC 3.49 07/01/2050 5,000,000.00 4,832,445.00 0.13
36179W7M4 Ginnie Mae Ii Pool G2 4.0 06/20/2052 5,237,209.00 4,860,897.00 0.13
74970WAJ9 ROCK Trust 2024-cntr ROCC 8.82 11/13/2041 4,435,000.00 4,665,177.00 0.13
740934AA2 PRET 2025-npl7 Llc PRET 5.66 07/25/2055 4,700,000.00 4,698,105.00 0.13
912810TH1 United States Treasury Note/bond T 3.25 05/15/2042 5,630,000.00 4,606,923.00 0.13
BL5023769 PEER Holding Iii Bv ACTINA 4.73 07/01/2031 4,200,000.00 4,797,833.00 0.13
BD35RT0 Ivory Coast Government International Bon IVYCST 5.25 03/22/2030 4,202,000.00 4,667,946.00 0.13
XS23146518 Albacore Euro Clo Ii Dac ALBAC 2.01 06/15/2034 4,000,000.00 4,566,693.00 0.13
XS27199998 EG Global Finance Plc EGBLFN 11.0 11/30/2028 3,800,000.00 4,793,590.00 0.13
XS28110889 Monument Clo 1 Dac MNMNT 6.49 05/15/2037 4,150,000.00 4,796,612.00 0.13
BF2D3D5 Eskom Holdings Soc Ltd ESKOM 8.45 08/10/2028 3,984,000.00 4,203,120.00 0.12
984851AG0 YARA International Asa YARNO 3.15 06/04/2030 4,755,000.00 4,375,931.00 0.12
BK4Q2J6 Serbia International Bond SERBIA 1.5 06/26/2029 4,320,000.00 4,545,198.00 0.12
92840MAB8 Vistra Corp VST 8.0 04/15/2174 4,125,000.00 4,208,602.00 0.12
74942BAA9 RCKT Mortgage Trust 2025-ces2 RCKT 5.5 02/25/2055 4,370,373.00 4,375,423.00 0.12
44891ADX2 Hyundai Capital America HYNMTR 5.4 06/23/2032 4,375,000.00 4,437,225.00 0.12
3140XMLB0 Fannie Mae Pool FN 3.0 04/01/2048 4,989,634.00 4,452,955.00 0.12
31418EGK0 Fannie Mae Pool FN 4.5 08/01/2052 4,698,472.00 4,464,973.00 0.12
69381KAA7 PRPM 2024-5 Llc PRPM 5.69 09/25/2029 4,454,334.00 4,446,921.00 0.12
527298BV4 Level 3 Financing Inc LVLT 11.0 11/15/2029 3,775,682.00 4,288,986.00 0.12
23918KAS7 Davita Inc DVA 4.63 06/01/2030 4,450,000.00 4,246,775.00 0.12
05610WAE0 BPR Trust 2023-brk2 BPR 8.34 10/01/2038 4,300,000.00 4,495,499.00 0.12
05555VAC3 BFLD 2024-vict Mortgage Trust BFLD 6.93 07/15/2041 4,400,000.00 4,389,021.00 0.12
00833QAD7 Affirm Asset Securitization Trust 2024-x AFFRM 6.08 12/17/2029 4,200,000.00 4,221,517.00 0.12
044209AM6 Ashland Inc ASH 6.88 05/15/2043 4,100,000.00 4,249,998.00 0.12
12769GAA8 Caesars Entertainment Inc CZR 4.63 10/15/2029 4,575,000.00 4,325,349.00 0.12
12513GBD0 CDW Llc / Cdw Finance Corp CDW 4.25 04/01/2028 4,010,000.00 3,970,786.00 0.11
146869AN2 Carvana Co CVNA 11.0 06/01/2030 3,750,000.00 3,922,839.00 0.11
12433FAG3 BX Commercial Mortgage Trust 2025-spot BX 6.83 04/15/2040 4,000,000.00 4,000,028.00 0.11
05329WAP7 Autonation Inc AN 3.8 11/15/2027 4,122,000.00 4,046,026.00 0.11
17327CBC6 Citigroup Inc C 6.88 11/15/2173 4,042,000.00 4,084,770.00 0.11
26078JAD2 Dupont De Nemours Inc DD 4.73 11/15/2028 4,070,000.00 4,118,002.00 0.11
3132DWEE9 Freddie Mac Pool FR 5.0 07/01/2052 4,229,204.00 4,141,411.00 0.11
576323AT6 Mastec Inc MTZ 5.9 06/15/2029 3,705,000.00 3,838,799.00 0.11
682685AD4 Onemain Direct Auto Receivables Trust 20 ODART 7.07 02/14/2033 3,700,000.00 3,851,459.00 0.11
31418EF21 Fannie Mae Pool FN 4.5 06/01/2052 4,262,022.00 4,050,219.00 0.11
38141GWB6 Goldman Sachs Group Inc/the GS 3.85 01/26/2027 3,940,000.00 3,908,133.00 0.11
78398EAG0 SCG Commercial Mortgage Trust 2025-dlfn SCG 6.49 03/15/2035 3,925,000.00 3,900,517.00 0.11
91282CFL0 United States Treasury Note/bond T 3.88 09/30/2029 4,110,000.00 4,101,972.00 0.11
BL4045797 Tenneco Inc TENINC 9.42 11/17/2028 3,900,000.00 3,847,767.00 0.11
BL4645844 Doncasters Finance Us Llc DONCAS 10.8 04/23/2030 3,520,438.00 3,555,641.00 0.10
92840MAD4 Vistra Corp VST 8.88 07/15/2174 3,250,000.00 3,523,862.00 0.10
77313LAA1 Rocket Mortgage Llc / Rocket Mortgage Co RKT 2.88 10/15/2026 3,646,000.00 3,555,990.00 0.10
89183HAC8 TOWD Point Mortgage Trust 2025-ces1 TPMT 6.08 02/01/2055 3,500,000.00 3,530,546.00 0.10
89183QAC8 TOWD Point Mortgage Trust 2024-ces5 TPMT 5.6 09/01/2064 3,750,000.00 3,741,567.00 0.10
XS27580996 United Group Bv ADRBID 6.75 02/15/2031 2,950,000.00 3,475,986.00 0.10
31418EJF8 Fannie Mae Pool FN 5.0 09/01/2052 3,578,970.00 3,500,612.00 0.10
31418EES5 Fannie Mae Pool FN 4.0 05/01/2052 3,848,408.00 3,556,688.00 0.10
74390WAA0 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 3,613,778.00 3,511,640.00 0.10
709599BZ6 Penske Truck Leasing Co Lp / Ptl Finance PENSKE 5.35 03/30/2029 3,440,000.00 3,517,121.00 0.10
15853BAA9 Champion Iron Canada Inc CIACN 7.88 07/15/2032 3,530,000.00 3,603,953.00 0.10
251526CU1 Deutsche Bank Ag/new York Ny DB 6.82 11/20/2029 3,300,000.00 3,513,795.00 0.10
233104AA6 DCLI Bidco Llc DIRCHA 7.75 11/15/2029 3,650,000.00 3,723,228.00 0.10
23636ABJ9 Danske Bank A/s DANBNK 4.61 10/02/2030 3,745,000.00 3,724,872.00 0.10
05329WAR3 Autonation Inc AN 1.95 08/01/2028 4,000,000.00 3,710,124.00 0.10
00175PAC7 AMN Healthcare Inc AMN 4.0 04/15/2029 3,950,000.00 3,628,101.00 0.10
00084DBC3 ABN Amro Bank Nv ABNANV 6.58 10/13/2026 3,700,000.00 3,712,861.00 0.10
07556QBT1 Beazer Homes Usa Inc BZH 7.25 10/15/2029 3,475,000.00 3,496,419.00 0.10
00489LAL7 Acrisure Llc / Acrisure Finance Inc ACRISU 7.5 11/06/2030 3,300,000.00 3,408,838.00 0.09
04541GGM8 Asset Backed Securities Corp Home Equity ABSHE 4.35 11/25/2033 3,176,816.00 3,246,140.00 0.09
039955AG4 ARES Trust 2025-ind3 ARES1 6.44 04/15/2027 3,380,000.00 3,380,000.00 0.09
039955AJ8 ARES Trust 2025-ind3 ARES1 6.89 04/15/2027 3,160,000.00 3,158,025.00 0.09
05508WAC9 B&G Foods Inc BGS 8.0 09/15/2028 3,600,000.00 3,366,900.00 0.09
05964HBA2 Banco Santander Sa SANTAN 5.55 03/14/2028 3,400,000.00 3,447,534.00 0.09
25381MAA5 Digicel International Finance Ltd / Difl DIGDIF 8.63 08/01/2032 3,240,000.00 3,263,652.00 0.09
31335CAN4 Freddie Mac Gold Pool FG 3.0 07/01/2046 3,551,047.00 3,179,464.00 0.09
25714PEZ7 Dominican Republic International Bond DOMREP 6.6 06/01/2036 3,340,000.00 3,391,770.00 0.09
29273VAM2 Energy Transfer Lp ET 7.13 05/15/2174 3,360,000.00 3,437,401.00 0.09
69382HAA3 PRPM 2025-2 Llc PRPM 6.47 05/01/2030 3,341,251.00 3,345,226.00 0.09
31418EKT6 Fannie Mae Pool FN 4.5 11/01/2052 3,399,253.00 3,230,687.00 0.09
31418EHP8 Fannie Mae Pool FN 5.0 08/01/2052 3,537,891.00 3,460,616.00 0.09
38141GA46 Goldman Sachs Group Inc/the GS 6.48 10/24/2029 3,110,000.00 3,286,874.00 0.09
45262BAC7 Imperial Brands Finance Plc IMBLN 3.88 07/26/2029 3,398,000.00 3,284,570.00 0.09
45262BAG8 Imperial Brands Finance Plc IMBLN 5.5 02/01/2030 3,200,000.00 3,285,857.00 0.09
48251FAG6 KKR Clo 17 Ltd KKR 5.66 04/15/2034 3,300,000.00 3,304,950.00 0.09
50206BAA0 LD Celulose International Gmbh LNZAV 7.95 01/26/2032 3,085,000.00 3,225,367.00 0.09
XS29305389 LUGO Funding Dac LUGO 4.05 05/26/2066 3,100,000.00 3,441,649.00 0.09
XS23222430 Barings Euro Clo 2021-1 Dac BABSE 2.74 04/24/2034 2,800,000.00 3,177,785.00 0.09
XS24018433 Barings Euro Clo 2020-1 Dac BABSE 3.0 10/21/2034 3,000,000.00 3,421,654.00 0.09
834423AE5 Syensqo Finance America Llc SYENS 5.65 06/04/2029 3,060,000.00 3,151,026.00 0.09
854938AA5 STAR Leasing Co Llc TRAILR 7.63 02/15/2030 3,415,000.00 3,370,282.00 0.09
86771PAA8 Sunrun Bacchus Issuer 2025-1 Llc SUNRN 5.99 04/30/2060 3,251,007.00 3,242,953.00 0.09
86773AAB7 Sunrun Vesta Issuer 2024-3 Llc SUNRN 5.88 10/30/2059 3,373,596.00 3,197,034.00 0.09
91327TAA9 Uniti Group Lp / Uniti Group Finance 201 UNIT 10.5 02/15/2028 2,980,000.00 3,148,352.00 0.09
BKLXG54 Virgin Media Secured Finance Plc VMED 4.25 01/15/2030 2,700,000.00 3,272,649.00 0.09
BMVBZ33 Aydem Yenilenebilir Enerji As AYDEMT 7.75 02/02/2027 3,150,000.00 3,115,413.00 0.09
BMDWSJ1 Serbia International Bond SERBIA 3.13 05/15/2027 2,829,000.00 3,228,454.00 0.09
BM9BWQ7 VMED O2 Uk Financing I Plc VMED 4.0 01/31/2029 2,250,000.00 2,776,980.00 0.08
BMCQCN6 Serbia International Bond SERBIA 1.0 09/23/2028 2,890,000.00 3,056,716.00 0.08
BMYD8L5 Ivory Coast Government International Bon IVYCST 4.88 01/30/2032 2,812,000.00 2,953,132.00 0.08
B8ADAMRM6 International Park Hldgs Bv 7.54 12/31/2031 2,700,000.00 3,054,158.00 0.08
912810SF6 United States Treasury Note/bond T 3.0 02/15/2049 4,085,000.00 2,971,199.00 0.08
92243QAA4 VCAT 2025-npl3 Llc VCAT 5.89 02/25/2055 2,873,110.00 2,873,193.00 0.08
95003PAJ0 Wells Fargo Commercial Mortgage Trust 20 WFCM 7.57 07/01/2035 2,900,000.00 2,929,124.00 0.08
89183HAD6 TOWD Point Mortgage Trust 2025-ces1 TPMT 6.57 02/01/2055 3,000,000.00 3,035,845.00 0.08
XS23325035 Madison Park Euro Funding Xvi Dac MDPKE 2.82 05/25/2034 2,500,000.00 2,835,672.00 0.08
XS28092182 Lorca Telecom Bondco Sa LORCAT 5.75 04/30/2029 2,350,000.00 2,798,881.00 0.08
463920AA6 Island Finance Trust 2025-1 ISLN 6.54 03/19/2035 3,000,000.00 3,035,702.00 0.08
465077AL9 Israel Electric Corp Ltd ISRELE 4.25 08/14/2028 3,000,000.00 2,924,700.00 0.08
361841AL3 GLP Capital Lp / Glp Financing Ii Inc GLPI 5.3 01/15/2029 2,770,000.00 2,797,084.00 0.08
31418ED80 Fannie Mae Pool FN 4.0 06/01/2052 3,157,600.00 2,918,402.00 0.08
31418ECR9 Fannie Mae Pool FN 3.0 04/01/2052 3,532,211.00 3,028,599.00 0.08
31418EWZ9 Fannie Mae Pool FN 4.5 10/01/2053 3,184,440.00 3,023,753.00 0.08
31418EXS4 Fannie Mae Pool FN 4.5 11/01/2053 2,881,833.00 2,736,017.00 0.08
31418ENL0 Fannie Mae Pool FN 6.0 01/01/2053 2,935,169.00 2,984,072.00 0.08
345397B77 FORD Motor Credit Co Llc F 2.7 08/10/2026 3,000,000.00 2,926,406.00 0.08
682680BJ1 Oneok Inc OKE 5.65 11/01/2028 2,908,000.00 3,000,100.00 0.08
68269DAE4 Onemain Direct Auto Receivables Trust 20 ODART 5.9 12/16/2030 2,900,000.00 2,906,597.00 0.08
71643VAB1 Petroleos Mexicanos PEMEX 6.7 02/16/2032 2,905,000.00 2,759,750.00 0.08
50177BAL1 LBA Trust 2024-bolt LBA 6.93 06/15/2039 2,930,000.00 2,926,337.00 0.08
527298CB7 Level 3 Financing Inc LVLT 4.88 06/15/2029 2,975,000.00 2,796,886.00 0.08
29273VBD1 Energy Transfer Lp ET 5.2 04/01/2030 2,690,000.00 2,742,369.00 0.08
3132DWF57 Freddie Mac Pool FR 5.0 01/01/2053 2,882,159.00 2,818,610.00 0.08
3132DVL52 Freddie Mac Pool FR 2.5 11/01/2051 3,420,673.00 2,861,823.00 0.08
221625AT3 Ivory Coast Government International Bon IVYCST 7.63 01/30/2033 3,025,000.00 3,028,025.00 0.08
22823KAQ7 Crown City Clo Ii CCITY 5.67 04/20/2035 2,750,000.00 2,755,153.00 0.08
05555HAN0 BFLD 2024-wrhs Mortgage Trust BFLD 8.03 08/15/2026 3,059,090.00 3,051,442.00 0.08
05555PAJ1 Bbcms Mortgage Trust 2024-5c29 BBCMS 2.67 09/01/2057 28,469,000.00 2,778,201.00 0.08
05491VAE6 Bbcms 2018-chrs Mortgage Trust BBCMS 4.27 08/01/2038 2,650,000.00 2,427,782.00 0.07
058498AZ9 BALL Corp BALL 6.0 06/15/2029 2,375,000.00 2,417,440.00 0.07
06368L5Q5 BANK Of Montreal BMO 7.3 11/26/2084 2,380,000.00 2,448,425.00 0.07
00973RAF0 AKER Bp Asa AKERBP 3.75 01/15/2030 2,760,000.00 2,625,252.00 0.07
00973RAL7 AKER Bp Asa AKERBP 5.6 06/13/2028 2,440,000.00 2,508,145.00 0.07
00834BAK3 Affirm Asset Securitization Trust 2024-a AFFRM 9.17 02/15/2029 2,350,000.00 2,371,466.00 0.07
147918AB2 Cassa Depositi E Prestiti Spa CDEP 5.75 05/05/2026 2,415,000.00 2,432,083.00 0.07
12548MBF1 CIFC Funding 2015-i Ltd CIFC 5.7 01/22/2031 2,537,071.00 2,538,912.00 0.07
131347CQ7 Calpine Corp CPN 5.0 02/01/2031 2,695,000.00 2,666,996.00 0.07
21H062693 Ginnie Mae G2SF 6.5 09/20/2055 2,500,000.00 2,562,000.00 0.07
25259KAA8 Olympus Water Us Holding Corp SOLEIN 9.75 11/15/2028 2,425,000.00 2,543,314.00 0.07
28228PAC5 EG Global Finance Plc EGBLFN 12.0 11/30/2028 2,175,000.00 2,400,656.00 0.07
552953CH2 MGM Resorts International MGM 4.75 10/15/2028 2,400,000.00 2,369,811.00 0.07
61747YED3 Morgan Stanley MS 2.24 07/21/2032 2,865,000.00 2,483,080.00 0.07
61747YFH3 Morgan Stanley MS 6.41 11/01/2029 2,570,000.00 2,711,873.00 0.07
72147KAK4 Pilgrim's Pride Corp PPC 6.25 07/01/2033 2,270,000.00 2,384,822.00 0.07
70932MAB3 Pennymac Financial Services Inc PFSI 4.25 02/15/2029 2,600,000.00 2,492,192.00 0.07
70082LAA5 PARK River Holdings Inc PRIMBP 5.63 02/01/2029 3,050,000.00 2,634,922.00 0.07
68269HAD7 Onemain Financial Issuance Trust 2023-2 OMFIT 7.52 09/15/2036 2,500,000.00 2,562,750.00 0.07
69344A883 PGIM Floating Rate Income Etf PFRL 50,000.00 2,517,250.00 0.07
345397B28 FORD Motor Credit Co Llc F 3.38 11/13/2025 2,650,000.00 2,634,729.00 0.07
31418FE45 Fannie Mae Pool FN 6.0 12/01/2054 2,484,545.00 2,520,120.00 0.07
34528QHV9 FORD Credit Floorplan Master Owner Trust FORDF 4.92 05/15/2028 2,600,000.00 2,608,052.00 0.07
37045XEX0 General Motors Financial Co Inc GM 5.35 07/15/2027 2,355,000.00 2,384,992.00 0.07
44855PAJ7 Hudson Yards 2025-sprl Mortgage Trust HY 6.68 01/01/2040 2,575,000.00 2,650,779.00 0.07
XS30533660 Taurus 2025-3 Uk Designated Activity Co TAURS 07/20/2035 1,800,000.00 2,378,116.00 0.07
XS26340753 MVM Energetika Zrt MVMHU 7.5 06/09/2028 2,330,000.00 2,439,253.00 0.07
87724RAA0 Taylor Morrison Communities Inc TMHC 5.88 06/15/2027 2,560,000.00 2,580,681.00 0.07
902613AE8 UBS Group Ag UBS 2.1 02/11/2032 3,100,000.00 2,677,544.00 0.07
864486AK1 Suburban Propane Partners Lp/suburban En SPH 5.88 03/01/2027 2,550,000.00 2,540,762.00 0.07
95003YAE2 WFCM Commercial Mortgage Trust 2024-grp WFCM 7.28 10/15/2041 2,500,000.00 2,508,556.00 0.07
B8A5CKF71 Tfs_l 8-3-al 2.90 16-mar-2023 Private Pl 2.9 03/15/2026 3,192,488.00 2,714,234.00 0.07
BL5168168 Boots Group Bidco Ltd BOOTFN 4.75 07/22/2032 1,575,000.00 2,088,938.00 0.06
BMYGPJ1 Preem Holdings Ab PREEM 12.0 06/30/2027 1,760,000.00 2,064,147.00 0.06
BMDHPV7 Serbia International Bond SERBIA 3.13 05/15/2027 2,043,000.00 2,331,471.00 0.06
928668CQ3 Volkswagen Group Of America Finance Llc VW 5.35 03/27/2030 2,055,000.00 2,083,344.00 0.06
914906AY8 Univision Communications Inc UVN 8.0 08/15/2028 2,185,000.00 2,245,284.00 0.06
92840VAB8 Vistra Operations Co Llc VST 5.63 02/15/2027 2,025,000.00 2,022,566.00 0.06
92840MAC6 Vistra Corp VST 7.0 06/15/2174 2,255,000.00 2,276,052.00 0.06
90137LAN0 20 Times Square Trust 2018-20ts TSQ 3.1 05/01/2035 2,700,000.00 2,335,500.00 0.06
90137LAQ3 20 Times Square Trust 2018-20ts TSQ 3.1 05/01/2035 2,700,000.00 2,268,000.00 0.06
P60535H9ID Eur/usd Fwd 20251022 221 EUR 10/22/2025 -77,410,983.00 2,267,252.00 0.06
36262MAA6 GS Mortgage Securities Corportation Trus GSMS 5.41 10/15/2036 2,130,000.00 2,129,006.00 0.06
36179WZB7 Ginnie Mae Ii Pool G2 3.5 03/20/2052 2,355,882.00 2,124,728.00 0.06
35908MAD2 Frontier Communications Holdings Llc FYBR 8.75 05/15/2030 2,000,000.00 2,096,995.00 0.06
345397G49 FORD Motor Credit Co Llc F 5.88 11/07/2029 2,310,000.00 2,316,605.00 0.06
35564KUX5 Freddie Mac Stacr Remic Trust 2022-dna3 STACR 7.25 04/25/2042 2,020,000.00 2,081,004.00 0.06
3140QPKN6 Fannie Mae Pool FN 3.5 06/01/2052 2,316,756.00 2,082,329.00 0.06
682413AG4 ONE 2021-park Mortgage Trust ONP 5.96 03/15/2036 2,350,000.00 2,221,956.00 0.06
69047QAB8 Ovintiv Inc OVV 5.65 05/15/2028 2,145,000.00 2,198,224.00 0.06
709599CA0 Penske Truck Leasing Co Lp / Ptl Finance PENSKE 5.25 07/01/2029 2,110,000.00 2,151,961.00 0.06
71654QCK6 Petroleos Mexicanos PEMEX 5.35 02/12/2028 2,188,000.00 2,129,908.00 0.06
706BFMGGCE Eur/usd Fwd 20251022 0997 EUR 10/22/2025 -80,194,267.00 2,156,181.00 0.06
646139W35 NEW Jersey Turnpike Authority NJSTRN 7.41 01/01/2040 2,000,000.00 2,367,407.00 0.06
527298CD3 Level 3 Financing Inc LVLT 4.5 04/01/2030 2,625,000.00 2,361,942.00 0.06
475795AD2 Jeld-wen Inc JELD 4.88 12/15/2027 2,400,000.00 2,275,737.00 0.06
513272AE4 LAMB Weston Holdings Inc LW 4.38 01/31/2032 2,325,000.00 2,171,301.00 0.06
279158AN9 Ecopetrol Sa ECOPET 6.88 04/29/2030 2,170,000.00 2,172,821.00 0.06
3132DWC84 Freddie Mac Pool FR 3.0 02/01/2052 2,540,535.00 2,178,600.00 0.06
3132DWBC6 Freddie Mac Pool FR 2.5 03/01/2051 2,586,067.00 2,130,116.00 0.06
3132E0UG5 Freddie Mac Pool FR 3.5 10/01/2045 2,400,296.00 2,223,277.00 0.06
251526CX5 Deutsche Bank Ag/new York Ny DB 5.0 09/11/2030 2,065,000.00 2,080,551.00 0.06
18972EAB1 Clydesdale Acquisition Holdings Inc NOVHOL 8.75 04/15/2030 2,040,000.00 2,080,865.00 0.06
17888HAC7 Civitas Resources Inc CIVI 8.63 11/01/2030 1,975,000.00 2,016,366.00 0.06
147918AC0 Cassa Depositi E Prestiti Spa CDEP 5.88 04/30/2029 2,200,000.00 2,287,303.00 0.06
143658BY7 Carnival Corp CCL 5.75 03/15/2030 2,050,000.00 2,079,468.00 0.06
01F022691 Fannie Mae Or Freddie Mac FNCL 2.5 09/15/2055 2,500,000.00 2,049,041.00 0.06
02557TAD1 American Electric Power Co Inc AEP 5.7 08/15/2025 2,075,000.00 2,074,453.00 0.06
05964HBB0 Banco Santander Sa SANTAN 5.54 03/14/2030 2,200,000.00 2,263,514.00 0.06
05592AAJ9 BPR Trust 2021-ty BPR 6.16 09/15/2038 2,024,000.00 2,013,952.00 0.06
05592VAG9 BPR Trust 2024-pmdw BPR 5.85 11/01/2041 1,900,000.00 1,890,950.00 0.05
04364VAX1 Ascent Resources Utica Holdings Llc / Ar ASCRES 6.63 10/15/2032 1,710,000.00 1,739,862.00 0.05
015857AF2 Algonquin Power & Utilities Corp AQNCN 5.37 06/15/2026 1,635,000.00 1,643,695.00 0.05
146869AM4 Carvana Co CVNA 14.0 06/01/2031 1,450,000.00 1,724,254.00 0.05
13323NAA0 Camelot Return Merger Sub Inc CNR 8.75 08/01/2028 1,875,000.00 1,724,119.00 0.05
12654FAA8 COMM 2024-277p Mortgage Trust COMM 6.34 08/10/2044 1,600,000.00 1,675,194.00 0.05
22003BAN6 COPT Defense Properties Lp CDP 2.0 01/15/2029 2,170,000.00 1,982,249.00 0.05
20754BAB7 Connecticut Avenue Securities Trust 2022 CAS 7.35 12/25/2041 1,900,000.00 1,946,094.00 0.05
219868CH7 CORP Andina De Fomento CAF 6.0 04/26/2027 1,665,000.00 1,709,460.00 0.05
3132DWEL3 Freddie Mac Pool FR 5.0 08/01/2052 1,983,413.00 1,936,948.00 0.05
3132DQD37 Freddie Mac Pool FR 6.0 03/01/2053 1,715,370.00 1,754,802.00 0.05
25714PEP9 Dominican Republic International Bond DOMREP 5.5 02/22/2029 1,915,000.00 1,912,128.00 0.05
29082HAD4 Embraer Netherlands Finance Bv EMBRBZ 7.0 07/28/2030 1,770,000.00 1,884,395.00 0.05
552953CJ8 MGM Resorts International MGM 6.5 04/15/2032 1,800,000.00 1,829,388.00 0.05
552953CK5 MGM Resorts International MGM 6.13 09/15/2029 1,675,000.00 1,699,451.00 0.05
57779EAA6 Maxim Crane Works Holdings Capital Llc CLDCRN 11.5 09/01/2028 1,875,000.00 1,988,646.00 0.05
629377CU4 NRG Energy Inc NRG 10.25 09/15/2173 1,800,000.00 1,985,436.00 0.05
62957HAP0 Nabors Industries Inc NBR 9.13 01/31/2030 1,725,000.00 1,708,802.00 0.05
63861CAE9 Nationstar Mortgage Holdings Inc COOP 5.75 11/15/2031 1,675,000.00 1,689,377.00 0.05
59284MAC8 Mexico City Airport Trust MEXCAT 3.88 04/30/2028 2,000,000.00 1,941,000.00 0.05
61744YAP3 Morgan Stanley MS 3.77 01/24/2029 1,750,000.00 1,721,168.00 0.05
62886HBG5 NCL Corp Ltd NCLH 7.75 02/15/2029 1,700,000.00 1,797,614.00 0.05
68267EAB0 Onemain Direct Auto Receivables Trust 20 ODART 3.95 11/14/2028 1,700,000.00 1,689,927.00 0.05
682691AH3 Onemain Finance Corp OMF 6.63 05/15/2029 1,750,000.00 1,787,046.00 0.05
3132DWGS6 Freddie Mac Pool FR 6.0 03/01/2053 1,658,310.00 1,683,037.00 0.05
3140XRYX7 Fannie Mae Pool FN 4.0 04/01/2053 1,940,674.00 1,798,224.00 0.05
31418EGT1 Fannie Mae Pool FN 5.0 07/01/2052 2,015,313.00 1,971,294.00 0.05
35906ABF4 Frontier Communications Holdings Llc FYBR 5.0 05/01/2028 1,650,000.00 1,649,149.00 0.05
335934AV7 First Quantum Minerals Ltd FMCN 9.38 03/01/2029 1,600,000.00 1,690,000.00 0.05
335934AW5 First Quantum Minerals Ltd FMCN 8.0 03/01/2033 1,800,000.00 1,854,000.00 0.05
36179VDQ0 Ginnie Mae Ii Pool G2 4.0 01/20/2050 1,774,618.00 1,653,044.00 0.05
38237BAA8 Goodleap Sustainable Home Solutions Trus GOOD 6.25 06/20/2057 1,982,814.00 1,922,855.00 0.05
431318AV6 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.0 02/01/2031 1,775,000.00 1,713,601.00 0.05
E6198HM23B Eur/usd Fwd 20251022 Barcus33 EUR 10/22/2025 -80,194,268.00 1,738,368.00 0.05
F4CBNRABLA Eur/usd Fwd 20251022 Deutgb22 EUR 10/22/2025 -59,385,314.00 1,776,925.00 0.05
928668CR1 Volkswagen Group Of America Finance Llc VW 5.65 03/25/2032 1,750,000.00 1,766,210.00 0.05
845467AT6 Expand Energy Corp EXE 4.75 02/01/2032 1,775,000.00 1,723,989.00 0.05
77340RAM9 Rockies Express Pipeline Llc ROCKIE 6.88 04/15/2040 1,850,000.00 1,866,247.00 0.05
817477AJ1 Serbia International Bond SERBIA 6.0 06/12/2034 1,942,000.00 1,976,587.00 0.05
BL4622678 Lumen Technologies Inc LUMN 6.79 04/15/2029 1,795,424.00 1,784,202.00 0.05
BK4K0P0 Serbia International Bond SERBIA 1.5 06/26/2029 1,778,000.00 1,870,685.00 0.05
BFMVHJ3 Indonesia Asahan Aluminium Pt / Mineral IDASAL 6.53 11/15/2028 1,650,000.00 1,751,640.00 0.05
BL4806396 OCS Group Holdings Ltd OCSGRP 9.96 11/27/2031 975,000.00 1,283,609.00 0.04
B8AB393F8 TPC Group Rights 56,219.00 1,338,714.00 0.04
BPP2FT9 Dominican Republic International Bond DOMREP 5.5 02/22/2029 1,637,000.00 1,634,545.00 0.04
BN76XP7 Mizrahi Tefahot Bank Ltd MZRHIT 3.08 04/07/2031 1,555,000.00 1,525,626.00 0.04
BYWQJH3 Petroleos Mexicanos PEMEX 4.88 02/21/2028 1,362,000.00 1,542,171.00 0.04
BT3K009 Softbank Group Corp SOFTBK 5.75 07/08/2032 1,200,000.00 1,391,056.00 0.04
78410GAG9 SBA Communications Corp SBAC 3.13 02/01/2029 1,500,000.00 1,398,045.00 0.04
86358EKV7 Structured Asset Investment Loan Trust 2 SAIL 4.35 09/25/2034 1,376,212.00 1,413,965.00 0.04
88033GAV2 Tenet Healthcare Corp THC 6.88 11/15/2031 1,200,000.00 1,277,673.00 0.04
92921EAA0 Voyager Parent Llc EVRI 9.25 07/01/2032 1,255,000.00 1,327,908.00 0.04
95003YAC6 WFCM Commercial Mortgage Trust 2024-grp WFCM 6.63 10/15/2041 1,500,000.00 1,507,671.00 0.04
92556VAF3 Viatris Inc VTRS 4.0 06/22/2050 2,190,000.00 1,441,213.00 0.04
92328MAE3 Venture Global Calcasieu Pass Llc VENTGL 6.25 01/15/2030 1,325,000.00 1,361,167.00 0.04
P_51889BAA Laurel Road Prime Student Loan Trust 201 4.12 11/25/2043 1,599,130.00 1,514,096.00 0.04
SWB8A9KCBB SWP: Ois Sofr 1.350000 11-may-2054 05/11/2054 -3,375,000.00 1,549,370.00 0.04
XS23206962 Carlyle Euro Clo 2019-1 Dac CGMSE 2.73 03/15/2032 1,361,715.00 1,551,358.00 0.04
44267DAD9 Howard Hughes Corp/the HHH 5.38 08/01/2028 1,375,000.00 1,366,872.00 0.04
50212YAJ3 LPL Holdings Inc LPLA 5.7 05/20/2027 1,605,000.00 1,631,323.00 0.04
36179WVW5 Ginnie Mae Ii Pool G2 3.5 01/01/2052 1,423,716.00 1,284,909.00 0.04
35906ABG2 Frontier Communications Holdings Llc FYBR 6.75 05/01/2029 1,375,000.00 1,388,482.00 0.04
35564KKY4 Freddie Mac Stacr Remic Trust 2021-dna6 STACR 5.85 10/25/2041 1,364,408.00 1,370,461.00 0.04
3140QMCJ1 Fannie Mae Pool FN 3.0 10/01/2051 1,890,837.00 1,625,567.00 0.04
31418DWS7 Fannie Mae Pool FN 2.5 02/01/2051 1,869,247.00 1,542,461.00 0.04
3133USKS9 Freddie Mac Pool FR 2.5 05/01/2051 1,936,074.00 1,588,846.00 0.04
68245XAT6 1011778 Bc Ulc / New Red Finance Inc BCULC 5.63 09/15/2029 1,335,000.00 1,344,118.00 0.04
682413AJ8 ONE 2021-park Mortgage Trust ONP 6.21 03/15/2036 1,400,000.00 1,292,218.00 0.04
674599ED3 Occidental Petroleum Corp OXY 6.63 09/01/2030 1,275,000.00 1,345,696.00 0.04
668771AM0 GEN Digital Inc GEN 6.25 04/01/2033 1,494,000.00 1,523,370.00 0.04
670001AG1 Novelis Corp HNDLIN 3.25 11/15/2026 1,425,000.00 1,401,972.00 0.04
70052LAC7 PARK Intermediate Holdings Llc / Pk Dome PK 4.88 05/15/2029 1,375,000.00 1,323,176.00 0.04
62482BAA0 Medline Borrower Lp MEDIND 3.88 04/01/2029 1,710,000.00 1,630,727.00 0.04
629377CR1 NRG Energy Inc NRG 3.63 02/15/2031 1,475,000.00 1,350,116.00 0.04
62916TAC3 NLT 2025-inv1 Trust NLT 5.86 02/01/2070 1,344,808.00 1,344,519.00 0.04
53079EBG8 Liberty Mutual Group Inc LIBMUT 4.57 02/01/2029 1,614,000.00 1,611,622.00 0.04
536797AG8 Lithia Motors Inc LAD 3.88 06/01/2029 1,350,000.00 1,275,889.00 0.04
29646AAC0 Eskom Holdings Soc Ltd ESKOM 6.35 08/10/2028 1,337,000.00 1,358,164.00 0.04
30607FAA8 Falabella Sa BFALA 3.38 01/15/2032 1,805,000.00 1,573,960.00 0.04
3132DPQG6 Freddie Mac Pool FR 6.0 01/01/2053 1,585,983.00 1,611,231.00 0.04
25714PDT2 Dominican Republic International Bond DOMREP 5.95 01/25/2027 1,570,000.00 1,583,345.00 0.04
268733AA0 ENN Clean Energy International Investmen VEYONG 3.38 05/12/2026 1,350,000.00 1,328,980.00 0.04
3132DVL86 Freddie Mac Pool FR 3.0 01/01/2052 1,579,386.00 1,371,854.00 0.04
3132DWCQ4 Freddie Mac Pool FR 3.0 11/01/2051 1,795,402.00 1,545,098.00 0.04
3132DWFH1 Freddie Mac Pool FR 5.5 11/01/2052 1,412,863.00 1,409,555.00 0.04
3133B5PP1 Freddie Mac Pool FR 2.5 02/01/2052 1,664,301.00 1,369,293.00 0.04
207942AB9 Connecticut Avenue Securities Trust 2023 CAS 7.45 06/25/2043 1,400,000.00 1,463,000.00 0.04
195325EG6 Colombia Government International Bond COLOM 7.5 02/02/2034 1,375,000.00 1,395,625.00 0.04
165167735 Expand Energy Corp EXE 12,570.00 1,317,084.00 0.04
126307AQ0 CSC Holdings Llc CSCHLD 5.5 04/15/2027 1,500,000.00 1,452,344.00 0.04
126307AS6 CSC Holdings Llc CSCHLD 5.38 02/01/2028 1,600,000.00 1,472,011.00 0.04
126307BA4 CSC Holdings Llc CSCHLD 5.75 01/15/2030 3,325,000.00 1,636,763.00 0.04
12769GAB6 Caesars Entertainment Inc CZR 7.0 02/15/2030 1,450,000.00 1,495,823.00 0.04
131347CP9 Calpine Corp CPN 4.63 02/01/2029 1,500,000.00 1,474,363.00 0.04
138616AM9 Cantor Fitzgerald Lp CANTOR 7.2 12/12/2028 1,285,000.00 1,365,918.00 0.04
14985VAE1 CCM Merger Inc MOTOR 6.38 05/01/2026 1,525,000.00 1,525,119.00 0.04
08949LAB6 BIG River Steel Llc / Brs Finance Corp BIGBRS 6.63 01/31/2029 1,600,000.00 1,599,344.00 0.04
11120VAH6 Brixmor Operating Partnership Lp BRX 4.13 05/15/2029 1,441,000.00 1,416,092.00 0.04
02007GZ89 ALLY Bank Auto Credit-linked Notes Serie ABCLN 7.92 05/17/2032 1,329,028.00 1,356,351.00 0.04
03674XAS5 Antero Resources Corp AR 5.38 03/01/2030 1,400,000.00 1,390,788.00 0.04
05491VAJ5 Bbcms 2018-chrs Mortgage Trust BBCMS 4.27 08/01/2038 1,490,000.00 1,288,001.00 0.04
05335JAE3 Auxilior Term Funding 2023-1 Llc XCAP 7.27 12/16/2030 1,500,000.00 1,567,788.00 0.04
05684UAA3 BAIN Capital Credit Clo 2022-1 Ltd BCC 5.65 04/18/2035 1,500,000.00 1,502,488.00 0.04
06051GHM4 BANK Of America Corp BAC 4.27 07/23/2029 1,450,000.00 1,443,242.00 0.04
05971U2D8 Banco De Credito Del Peru S.a. BCP 3.25 09/30/2031 1,055,000.00 1,035,545.00 0.03
05508WAB1 B&G Foods Inc BGS 5.25 09/15/2027 1,275,000.00 1,131,100.00 0.03
03690AAH9 Antero Midstream Partners Lp / Antero Mi AM 5.38 06/15/2029 1,275,000.00 1,263,353.00 0.03
04364VAK9 Ascent Resources Utica Holdings Llc / Ar ASCRES 9.0 11/01/2027 899,000.00 1,093,827.00 0.03
04942PAJ6 Atlas Static Senior Loan Fund I Ltd ATSTC 6.07 07/15/2030 1,098,831.00 1,098,813.00 0.03
00835AAE8 Affirm Asset Securitization Trust 2024-b AFFRM 7.35 09/15/2029 1,250,000.00 1,252,506.00 0.03
1248EPCD3 CCO Holdings Llc / Cco Holdings Capital CHTR 4.75 03/01/2030 1,300,000.00 1,234,880.00 0.03
10554TAB1 Braskem Netherlands Finance Bv BRASKM 4.5 01/10/2028 1,630,000.00 1,246,950.00 0.03
08163VAD9 Benchmark 2023-v3 Mortgage Trust BMARK 0.81 07/01/2056 50,571,125.00 1,086,657.00 0.03
07384YPB6 BEAR Stearns Asset Backed Securities Tru BSABS 5.56 01/25/2034 1,184,286.00 1,192,696.00 0.03
07336HAA0 Bayview Financing Trust 2023-1f BVFT 8.35 07/01/2026 946,489.00 947,151.00 0.03
15089QAW4 Celanese Us Holdings Llc CE 6.85 11/15/2028 1,075,000.00 1,119,787.00 0.03
161175CD4 Charter Communications Operating Llc / C CHTR 2.25 01/15/2029 1,220,000.00 1,120,584.00 0.03
14040HDC6 Capital One Financial Corp COF 7.62 10/30/2031 935,000.00 1,052,426.00 0.03
12513GBK4 CDW Llc / Cdw Finance Corp CDW 5.1 03/01/2030 1,255,000.00 1,262,947.00 0.03
172967LD1 Citigroup Inc C 3.89 01/10/2028 980,000.00 969,918.00 0.03
185899AS0 Cleveland-cliffs Inc CLF 7.5 09/15/2031 1,000,000.00 999,543.00 0.03
20753XAF1 Connecticut Avenue Securities Trust 2022 CAS 10.6 03/25/2042 1,000,000.00 1,078,649.00 0.03
20753YCK6 Connecticut Avenue Securities Trust 2022 CAS 7.45 03/25/2042 1,000,000.00 1,030,699.00 0.03
3133KMQF5 Freddie Mac Pool FR 2.5 09/01/2046 1,303,589.00 1,094,080.00 0.03
3132DWFG3 Freddie Mac Pool FR 5.0 11/01/2052 1,142,906.00 1,117,824.00 0.03
3132DWEB5 Freddie Mac Pool FR 4.5 06/01/2052 980,348.00 931,595.00 0.03
3132DWCK7 Freddie Mac Pool FR 3.0 10/01/2051 1,299,084.00 1,116,975.00 0.03
29375NAB1 Enterprise Fleet Financing 2023-2 Llc EFF 5.56 04/22/2030 1,134,748.00 1,140,713.00 0.03
27034RAA1 Permian Resources Operating Llc PR 8.0 04/15/2027 1,025,000.00 1,047,668.00 0.03
50050NAA1 Kontoor Brands Inc KTB 4.13 11/15/2029 1,125,000.00 1,046,473.00 0.03
527298CM3 Level 3 Financing Inc LVLT 6.88 06/30/2033 1,220,000.00 1,237,742.00 0.03
55305BAS0 M/I Homes Inc MHO 4.95 02/01/2028 1,000,000.00 990,846.00 0.03
629377CS9 NRG Energy Inc NRG 3.88 02/15/2032 1,050,000.00 959,022.00 0.03
5SE3FP3KJO Gbp/usd Fwd 20251022 2568 GBP 10/22/2025 -51,338,665.00 974,097.00 0.03
62886HBR1 NCL Corp Ltd NCLH 6.75 02/01/2032 995,000.00 1,017,387.00 0.03
737446AV6 POST Holdings Inc POST 6.38 03/01/2033 1,055,000.00 1,057,107.00 0.03
74843PAA8 Quikrete Holdings Inc QUIKHO 6.38 03/01/2032 1,110,000.00 1,139,218.00 0.03
68245XAR0 1011778 Bc Ulc / New Red Finance Inc BCULC 6.13 06/15/2029 1,110,000.00 1,129,480.00 0.03
682691AC4 Onemain Finance Corp OMF 3.88 09/15/2028 1,200,000.00 1,144,506.00 0.03
3132DWG23 Freddie Mac Pool FR 6.0 04/01/2053 1,245,635.00 1,266,674.00 0.03
31418DXL1 Fannie Mae Pool FN 2.5 03/01/2051 1,544,402.00 1,273,076.00 0.03
3140XMBW5 Fannie Mae Pool FN 3.5 06/01/2052 1,015,278.00 913,957.00 0.03
345397D83 FORD Motor Credit Co Llc F 5.8 03/05/2027 1,035,000.00 1,041,506.00 0.03
35729PGT1 Fremont Home Loan Trust 2004-4 FHLT 4.35 03/25/2035 1,209,428.00 1,142,858.00 0.03
34535CAD8 FORD Credit Auto Owner Trust 2023-rev2 FORDR 6.6 02/15/2036 1,200,000.00 1,241,173.00 0.03
31556TAC3 Fertitta Entertainment Llc / Fertitta En FRTITA 6.75 01/15/2030 1,075,000.00 1,011,426.00 0.03
31418EM23 Fannie Mae Pool FN 6.0 12/01/2052 1,152,482.00 1,173,937.00 0.03
31418ERA0 Fannie Mae Pool FN 6.0 04/01/2053 1,220,808.00 1,241,740.00 0.03
36179W2W7 Ginnie Mae Ii Pool G2 3.5 04/20/2052 1,046,589.00 943,737.00 0.03
465985AB5 JP Morgan Mortgage Trust 2023-he3 JPMMT 6.45 05/20/2054 1,019,000.00 1,026,444.00 0.03
46649XAN7 J.P. Morgan Chase Commercial Mortgage Se JPMCC 4.61 07/01/2031 4,935,000.00 1,121,726.00 0.03
443628AJ1 Hudbay Minerals Inc HBMCN 4.5 04/01/2026 1,000,000.00 990,110.00 0.03
422704AH9 Hecla Mining Co HL 7.25 02/15/2028 1,200,000.00 1,211,905.00 0.03
42704LAF1 HERC Holdings Inc HRI 7.0 06/15/2030 900,000.00 929,324.00 0.03
XS23146519 Albacore Euro Clo Ii Dac ALBAC 3.63 06/15/2034 1,000,000.00 1,141,673.00 0.03
USP9190PAM Total Play Telecomunicaciones Sa De Cv TOTALP 11.13 12/31/2032 1,140,000.00 1,095,051.00 0.03
USU5 COMDT US Long Bond(cbt) Sep25 USU5 09/19/2025 65,772,000.00 1,135,244.00 0.03
XS27835797 MVM Energetika Zrt MVMHU 6.5 03/13/2031 1,200,000.00 1,236,000.00 0.03
XS31346027 Boots Group Finco Lp BOOTFN 7.38 08/31/2032 925,000.00 1,242,875.00 0.03
SWB8ADC07S SWP: Ois Sofr 3.135500 14-dec-2054_c 12/14/2054 -42,715,000.00 1,163,718.00 0.03
SWB8ADCX6K SWP: Ois Sofr 3.825010 20-dec-2054_c 12/20/2054 -31,500,000.00 1,198,553.00 0.03
G2770C100 Digicel Intl Fin Ltd Common Equity 147,816.00 1,182,528.00 0.03
SWB8A5Z0B3 Fswp: Ois 1.050000 08-may-2027 05/08/2027 -15,780,000.00 928,416.00 0.03
92564RAJ4 VICI Properties Lp / Vici Note Co Inc VICI 5.75 02/01/2027 993,000.00 1,003,718.00 0.03
91153LAA5 United Wholesale Mortgage Llc UWMLLC 5.5 11/15/2025 1,052,000.00 1,052,019.00 0.03
91324PFQ0 Unitedhealth Group Inc UNH 5.3 06/15/2035 1,255,000.00 1,269,056.00 0.03
909319AA3 United Airlines 2013-1 Class A Pass Thro UAL 4.3 08/15/2025 1,172,220.00 1,171,748.00 0.03
89788MAQ5 Truist Financial Corp TFC 7.16 10/30/2029 1,005,000.00 1,084,393.00 0.03
87470LAD3 Tallgrass Energy Partners Lp / Tallgrass TEP 5.5 01/15/2028 1,000,000.00 991,932.00 0.03
80287JAE4 Santander Drive Auto Receivables Trust 2 SDART 5.47 12/16/2030 1,250,000.00 1,262,195.00 0.03
817477AH5 Serbia International Bond SERBIA 6.5 09/26/2033 915,000.00 968,205.00 0.03
77340RAU1 Rockies Express Pipeline Llc ROCKIE 6.75 03/15/2033 905,000.00 938,516.00 0.03
780153BJ0 Royal Caribbean Cruises Ltd RCL 5.5 08/31/2026 950,000.00 952,826.00 0.03
759136QP2 Regional Transportation District Sales T REGTRN 5.84 11/01/2050 1,190,000.00 1,201,650.00 0.03
749571AK1 RHP Hotel Properties Lp / Rhp Finance Co RHP 6.5 04/01/2032 925,000.00 945,011.00 0.03
BSF1TT5 Digicel Intermediate Holdings Ltd / Digi DIINFL 11.25 05/25/2027 1,188,118.00 1,189,009.00 0.03
BPTKDV7 Serbia International Bond SERBIA 6.25 05/26/2028 937,000.00 967,745.00 0.03
BQC5P76 Braskem Netherlands Finance Bv BRASKM 8.5 01/12/2031 1,422,000.00 1,112,715.00 0.03
98379JAA3 RXO Inc RXO 7.5 11/15/2027 975,000.00 995,110.00 0.03
983133AD1 WYNN Resorts Finance Llc / Wynn Resorts WYNFIN 6.25 03/15/2033 1,190,000.00 1,193,030.00 0.03
98313RAD8 WYNN Macau Ltd WYNMAC 5.5 10/01/2027 1,025,000.00 1,021,156.00 0.03
B8ADQ6J27 Doncasters Us Fin Llc 04/01/2030 1,200,000.00 1,212,000.00 0.03
B8ADRJ0H5 Clubcorp Holdings Inc 04/30/2032 1,097,262.00 1,088,264.00 0.03
BF2DK01 Power Finance Corp Ltd POWFIN 5.25 08/10/2028 1,100,000.00 1,113,332.00 0.03
B8FQRK7 Petrobras Global Finance Bv PETBRA 5.38 10/01/2029 800,000.00 1,036,974.00 0.03
B97PWJ3 Brazil Minas Spe Via State Of Minas Gera MINASG 5.33 02/15/2028 987,000.00 978,679.00 0.03
BL4795565 Hudson River Trading Llc HURVTR 7.31 03/18/2030 1,153,224.00 1,156,107.00 0.03
BLH23Q2 Cellnex Finance Co Sa CLNXSM 2.0 02/15/2033 1,100,000.00 1,128,294.00 0.03
BL5042512 Level 3 Financing Inc LVLT 8.58 03/29/2032 975,000.00 978,900.00 0.03
B8AAE7AK3 Blackstone Private Cr Fund 5.61 05/03/2027 950,000.00 946,116.00 0.03
BL4070472 CSC Holdings Llc CSCHLD 8.81 01/18/2028 987,342.00 984,565.00 0.03
BL3782630 Cuppa Bidco Bv EKATER 6.79 06/29/2029 1,000,000.00 954,716.00 0.03
BGR32B8 DP World Ltd/united Arab Emirates DPWDU 2.38 09/25/2026 601,000.00 682,863.00 0.02
BHKDDN1 MONG Duong Finance Holdings Bv MONDFI 5.13 05/07/2029 877,493.00 857,450.00 0.02
B8ADX0WW1 Doncasters Us Finance Llc 10.8 04/23/2030 798,000.00 805,980.00 0.02
BL9Z8T7 Virgin Media Secured Finance Plc VMED 4.13 08/15/2030 700,000.00 830,807.00 0.02
BL4949832 Clarios Global Lp POWSOL 7.08 01/28/2032 675,000.00 675,281.00 0.02
978097AG8 Wolverine World Wide Inc WWW 4.0 08/15/2029 825,000.00 743,319.00 0.02
983133AC3 WYNN Resorts Finance Llc / Wynn Resorts WYNFIN 7.13 02/15/2031 680,000.00 723,124.00 0.02
BMDCG20 Cellnex Telecom Sa CLNXSM 1.75 10/23/2030 700,000.00 744,351.00 0.02
BNRK9M8 Serbia International Bond SERBIA 1.65 03/03/2033 758,000.00 719,600.00 0.02
BSF1TY0 Digicel Midco Ltd / Difl Us Ii Llc DIGMID 10.5 11/25/2028 872,361.00 883,265.00 0.02
BNYNN06 Freeport Indonesia Pt FRIDPT 5.32 04/14/2032 600,000.00 603,000.00 0.02
BRXY063 Boots Group Finco Lp BOOTFN 5.38 08/31/2032 500,000.00 582,702.00 0.02
780153BW1 Royal Caribbean Cruises Ltd RCL 5.63 09/30/2031 845,000.00 851,211.00 0.02
77587AAC0 Romark Wm-r Ltd RMRK 5.62 04/20/2031 593,326.00 594,209.00 0.02
817565CH5 Service Corp International/us SCI 5.75 10/15/2032 730,000.00 731,641.00 0.02
82650BAD8 Sierra Timeshare 2023-2 Receivables Fund SRFC 9.72 04/20/2040 604,131.00 629,946.00 0.02
86773AAA9 Sunrun Vesta Issuer 2024-3 Llc SUNRN 5.49 10/30/2059 822,918.00 795,625.00 0.02
845467AR0 Expand Energy Corp EXE 5.38 02/01/2029 725,000.00 725,915.00 0.02
90932LAG2 United Airlines Inc UAL 4.38 04/15/2026 645,000.00 641,099.00 0.02
89157PAD0 Total Play Telecomunicaciones Sa De Cv TOTALP 11.13 12/31/2032 696,000.00 668,557.00 0.02
91412GXE0 University Of California UNVHGR 3.93 05/15/2045 625,000.00 560,055.00 0.02
91412GXY6 University Of California UNVHGR 4.13 05/15/2045 675,000.00 591,738.00 0.02
911365BL7 United Rentals North America Inc URI 5.25 01/15/2030 700,000.00 698,598.00 0.02
912810TN8 United States Treasury Note/bond T 3.63 02/15/2053 1,000,000.00 804,531.00 0.02
92676XAD9 Viking Cruises Ltd VIKCRU 5.88 09/15/2027 575,000.00 572,125.00 0.02
92682RAA0 Viking Ocean Cruises Ship Vii Ltd VIKCRU 5.63 02/15/2029 875,000.00 870,301.00 0.02
922966AB2 Venture Global Plaquemines Lng Llc VEGLPL 7.75 05/01/2035 733,000.00 803,853.00 0.02
PR3JL1MGV5 Krw/usd Fwd 20250917 Mslngb2x KRW 09/17/2025 -19,211,534,514.00 719,176.00 0.02
SWB8A9KCA9 SWP: Ois Sofr 0.700000 11-may-2027 05/11/2027 -16,000,000.00 842,011.00 0.02
SWB8ADJC36 SWP: Ois Sofr 3.926820 15-nov-2052_c 11/15/2052 -24,771,000.00 573,865.00 0.02
SWB8ADQ66P Scds: (turkey) 1.0 06/20/2030 -9,000,000.00 665,034.00 0.02
SWB8AE6UAC Cdx.na.ig.44.v1 5yr Rtp @ 55.00000 10/15/2025 407,760,000.00 678,928.00 0.02
TUU5 COMDT US 2yr Note (cbt) Sep25 TUU5 09/30/2025 -507,525,690.00 822,080.00 0.02
431318AS3 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.25 11/01/2028 700,000.00 703,161.00 0.02
437084FL5 HOME Equity Asset Trust 2004-7 HEAT 4.35 01/25/2035 731,652.00 727,621.00 0.02
452151LF8 State Of Illinois ILS 5.1 06/01/2033 754,755.00 757,616.00 0.02
45344LAD5 Crescent Energy Finance Llc CRGYFN 7.63 04/01/2032 860,000.00 840,665.00 0.02
469815AK0 Jacobs Entertainment Inc JACENT 6.75 02/15/2029 800,000.00 779,663.00 0.02
469815AL8 Jacobs Entertainment Inc JACENT 6.75 02/15/2029 690,000.00 674,626.00 0.02
36179XBU9 Ginnie Mae Ii Pool G2 4.5 07/20/2052 857,557.00 818,149.00 0.02
36179YRG1 Ginnie Mae Ii Pool G2 5.0 02/01/2054 897,600.00 878,591.00 0.02
38237YAA8 Goodleap Sustainable Home Solutions Trus GOOD 6.48 03/20/2057 845,665.00 818,769.00 0.02
37045XEN2 General Motors Financial Co Inc GM 5.8 01/07/2029 695,000.00 716,344.00 0.02
31418EL57 Fannie Mae Pool FN 6.0 11/01/2052 873,208.00 888,148.00 0.02
315293308 Ferrellgas Partners Lp FGPRB 6,534.00 863,790.00 0.02
335934AT2 First Quantum Minerals Ltd FMCN 6.88 10/15/2027 766,000.00 765,042.00 0.02
317350AC0 Finance America Mortgage Loan Trust 2003 FINA 4.35 09/25/2033 622,687.00 620,641.00 0.02
345397A86 FORD Motor Credit Co Llc F 4.13 08/17/2027 600,000.00 584,784.00 0.02
35641AAC2 Freedom Mortgage Holdings Llc FREMOR 8.38 04/01/2032 610,000.00 623,050.00 0.02
35564KE70 Freddie Mac Stacr Remic Trust 2022-hqa3 STACR 9.7 08/25/2042 600,000.00 645,410.00 0.02
345397C92 FORD Motor Credit Co Llc F 6.8 05/12/2028 625,000.00 644,687.00 0.02
31418EJ84 Fannie Mae Pool FN 5.5 10/01/2052 742,123.00 739,965.00 0.02
3133USKU4 Freddie Mac Pool FR 2.5 07/01/2051 924,482.00 761,974.00 0.02
3140QLJG2 Fannie Mae Pool FN 3.5 07/01/2051 933,234.00 840,104.00 0.02
3140XGZY8 Fannie Mae Pool FN 4.0 04/01/2052 954,168.00 887,087.00 0.02
3140XKEA4 Fannie Mae Pool FN 3.5 01/01/2050 637,511.00 590,759.00 0.02
68622TAA9 Organon & Co / Organon Foreign Debt Co-i OGN 4.13 04/30/2028 650,000.00 614,914.00 0.02
670001AL0 Novelis Corp HNDLIN 6.88 01/30/2030 700,000.00 720,808.00 0.02
67389JAB4 Oaktown Re Vii Ltd OMIR 7.25 04/25/2034 710,300.00 717,007.00 0.02
74390WAB8 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 683,000.00 639,605.00 0.02
71654QCB6 Petroleos Mexicanos PEMEX 6.88 08/04/2026 555,000.00 556,887.00 0.02
70932MAD9 Pennymac Financial Services Inc PFSI 7.88 12/15/2029 710,000.00 749,204.00 0.02
62886HBN0 NCL Corp Ltd NCLH 8.13 01/15/2029 550,000.00 576,658.00 0.02
62886HBA8 NCL Corp Ltd NCLH 5.88 03/15/2026 589,000.00 589,441.00 0.02
603051AE3 Mineral Resources Ltd MINAU 9.25 10/01/2028 575,000.00 599,437.00 0.02
64828FCQ3 NEW Residential Mortgage Loan Trust 2018 NRZT 5.22 01/25/2048 762,752.00 747,572.00 0.02
638962AA8 NCR Atleos Corp NCRATL 9.5 04/01/2029 761,000.00 824,646.00 0.02
62916TAD1 NLT 2025-inv1 Trust NLT 6.31 02/01/2070 578,000.00 580,027.00 0.02
62916TAB5 NLT 2025-inv1 Trust NLT 5.71 02/01/2070 783,165.00 782,312.00 0.02
579063AB4 Mcafee Corp MCFE 7.38 02/15/2030 675,000.00 626,464.00 0.02
527298BZ5 Level 3 Financing Inc LVLT 10.75 12/15/2030 750,000.00 846,547.00 0.02
55300RAG6 MGM China Holdings Ltd MGMCHI 4.75 02/01/2027 700,000.00 693,875.00 0.02
25525PAB3 Diversified Healthcare Trust DHC 4.38 03/01/2031 1,000,000.00 835,111.00 0.02
3132DVL94 Freddie Mac Pool FR 2.5 01/01/2052 906,870.00 756,292.00 0.02
3132DWC92 Freddie Mac Pool FR 3.5 02/01/2052 842,772.00 756,580.00 0.02
3132DWFR9 Freddie Mac Pool FR 5.0 12/01/2052 832,122.00 813,818.00 0.02
20754RAF3 Connecticut Avenue Securities Trust 2021 CAS 7.45 10/25/2041 600,000.00 613,259.00 0.02
21873SAB4 Coreweave Inc CRWV 9.25 06/01/2030 595,000.00 598,023.00 0.02
21873SAC2 Coreweave Inc CRWV 9.0 02/01/2031 895,000.00 893,427.00 0.02
21979LAB2 Coronado Finance Pty Ltd CRNAU 9.25 10/01/2029 1,150,000.00 878,312.00 0.02
16115QAF7 Chart Industries Inc GTLS 7.5 01/01/2030 850,000.00 890,447.00 0.02
17308CC53 Citigroup Inc C 2.98 11/05/2030 870,000.00 811,949.00 0.02
18972EAD7 Clydesdale Acquisition Holdings Inc NOVHOL 6.75 04/15/2032 725,000.00 742,227.00 0.02
185899AQ4 Cleveland-cliffs Inc CLF 6.88 11/01/2029 580,000.00 580,209.00 0.02
12659BAA2 CT Trust COMCEL 5.13 02/03/2032 760,000.00 711,550.00 0.02
146869AL6 Carvana Co CVNA 9.0 12/01/2028 623,078.00 638,250.00 0.02
072024ND0 BAY Area Toll Authority BAYTRN 6.26 04/01/2049 550,000.00 574,035.00 0.02
071734AK3 Bausch Health Cos Inc BHCCN 6.25 02/15/2029 1,000,000.00 707,670.00 0.02
07336PAD6 Bayview Opportunity Master Fund Vii 2024 BVCLN 7.1 06/25/2047 799,332.00 814,542.00 0.02
07336QAE2 Bayview Opportunity Master Fund Vii 2024 BVCLN 7.95 12/26/2031 771,804.00 781,710.00 0.02
085209AG9 Bermuda Government International Bond BERMUD 2.38 08/20/2030 685,000.00 610,506.00 0.02
001084AR3 AGCO Corp AGCO 5.45 03/21/2027 850,000.00 857,896.00 0.02
00653VAA9 Adapthealth Llc ADAHEA 6.13 08/01/2028 725,000.00 722,052.00 0.02
00653VAC5 Adapthealth Llc ADAHEA 4.63 08/01/2029 750,000.00 702,919.00 0.02
03690AAK2 Antero Midstream Partners Lp / Antero Mi AM 6.63 02/01/2032 580,000.00 595,541.00 0.02
02128LAC0 ALTA Equipment Group Inc ALTG 9.0 06/01/2029 935,000.00 888,072.00 0.02
03512TAF8 Anglogold Ashanti Holdings Plc ANGSJ 3.38 11/01/2028 730,000.00 697,669.00 0.02
054644AA7 Aydem Yenilenebilir Enerji As AYDEMT 7.75 02/02/2027 567,000.00 560,774.00 0.02
05491VAG1 Bbcms 2018-chrs Mortgage Trust BBCMS 4.27 08/01/2038 900,000.00 804,643.00 0.02
059895AV4 Bangkok Bank Pcl/hong Kong BBLTB 3.47 09/23/2036 945,000.00 841,333.00 0.02
058498AW6 BALL Corp BALL 2.88 08/15/2030 1,000,000.00 898,547.00 0.02
071734AD9 Bausch Health Cos Inc BHCCN 7.0 01/15/2028 275,000.00 240,281.00 0.01
071734AH0 Bausch Health Cos Inc BHCCN 5.0 01/30/2028 400,000.00 334,000.00 0.01
03837AAB6 Aptiv Swiss Holdings Ltd APTV 5.15 09/13/2034 540,000.00 522,587.00 0.01
01309QAA6 Albertsons Cos Inc / Safeway Inc / New A ACI 6.5 02/15/2028 450,000.00 457,447.00 0.01
004375BL4 Accredited Mortgage Loan Trust 2004-3 ACCR 4.35 10/25/2034 436,906.00 432,190.00 0.01
071734AM9 Bausch Health Cos Inc BHCCN 5.0 02/15/2029 275,000.00 190,027.00 0.01
071734AN7 Bausch Health Cos Inc BHCCN 4.88 06/01/2028 275,000.00 243,375.00 0.01
07336MAA9 Bayview Opportunity Master Fund Vii Trus BVABS 6.97 07/29/2032 397,865.00 398,462.00 0.01
10554TAD7 Braskem Netherlands Finance Bv BRASKM 4.5 01/31/2030 629,000.00 442,501.00 0.01
097751BT7 Bombardier Inc BBDBCN 7.88 04/15/2027 524,000.00 525,310.00 0.01
097751BX8 Bombardier Inc BBDBCN 6.0 02/15/2028 525,000.00 526,968.00 0.01
097751BZ3 Bombardier Inc BBDBCN 7.5 02/01/2029 350,000.00 363,352.00 0.01
097751CD1 Bombardier Inc BBDBCN 6.75 06/15/2033 450,000.00 461,250.00 0.01
103304BV2 BOYD Gaming Corp BYD 4.75 06/15/2031 545,000.00 519,220.00 0.01
10569PAA4 Bravo Residential Funding Trust 2025-ces BRAVO 5.7 02/25/2055 381,736.00 383,812.00 0.01
14071LAA6 Capstone Copper Corp CAPCOP 6.75 03/31/2033 445,000.00 451,675.00 0.01
143658BN1 Carnival Corp CCL 5.75 03/01/2027 281,000.00 283,930.00 0.01
161546DB9 Chase Funding Trust Series 2002-3 CFAB 4.35 08/25/2032 207,984.00 205,071.00 0.01
161546FV3 Chase Funding Trust Series 2003-4 CFAB 4.89 05/01/2033 222,855.00 217,257.00 0.01
126307BB2 CSC Holdings Llc CSCHLD 4.13 12/01/2030 300,000.00 201,547.00 0.01
126307BD8 CSC Holdings Llc CSCHLD 4.63 12/01/2030 1,000,000.00 467,612.00 0.01
126307BF3 CSC Holdings Llc CSCHLD 3.38 02/15/2031 400,000.00 263,324.00 0.01
185899AR2 Cleveland-cliffs Inc CLF 7.38 05/01/2033 375,000.00 365,703.00 0.01
18452NAB0 Clean Renewable Power Mauritius Pte Ltd CLRNPW 4.25 03/25/2027 382,375.00 371,381.00 0.01
17332HAD7 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 441,861.00 334,392.00 0.01
17332HAE5 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 377,067.00 269,653.00 0.01
173106AB1 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 4.23 02/01/2063 593,449.00 507,241.00 0.01
173106AC9 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 3.2 02/01/2063 398,943.00 328,695.00 0.01
173106AD7 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 304,204.00 239,037.00 0.01
20754XAC7 Connecticut Avenue Securities Trust 2024 CAS 6.05 07/25/2044 250,000.00 250,995.00 0.01
20753YAF9 Connecticut Avenue Securities Trust 2022 CAS 9.6 03/25/2042 290,000.00 308,552.00 0.01
20754LAF6 Connecticut Avenue Securities Trust 2022 CAS 7.5 12/25/2041 318,000.00 326,139.00 0.01
25470XAY1 DISH Dbs Corp DISH 7.75 07/01/2026 550,000.00 488,827.00 0.01
25470XBB0 DISH Dbs Corp DISH 7.38 07/01/2028 350,000.00 268,573.00 0.01
25470XBD6 DISH Dbs Corp DISH 5.13 06/01/2029 425,000.00 309,996.00 0.01
3132DWES8 Freddie Mac Pool FR 4.5 09/01/2052 262,092.00 249,719.00 0.01
3132DWDT7 Freddie Mac Pool FR 3.5 05/01/2052 306,485.00 274,300.00 0.01
3132DVMA0 Freddie Mac Pool FR 3.0 03/01/2052 508,295.00 442,186.00 0.01
3132DWAX1 Freddie Mac Pool FR 2.5 01/01/2051 463,106.00 383,045.00 0.01
3132DWBZ5 Freddie Mac Pool FR 2.5 07/01/2051 454,847.00 375,254.00 0.01
279158AP4 Ecopetrol Sa ECOPET 4.63 11/02/2031 440,000.00 379,552.00 0.01
26982AAC8 Eagle Re 2021-2 Ltd EMIR 7.8 04/25/2034 502,675.00 506,245.00 0.01
29646AAD8 Eskom Holdings Soc Ltd ESKOM 8.45 08/10/2028 290,000.00 305,950.00 0.01
542514FT6 LONG Beach Mortgage Loan Trust 2004-2 LBMLT 4.35 06/25/2034 430,510.00 423,345.00 0.01
51889RAD1 Laurel Road Prime Student Loan Trust 201 LRK 10/25/2048 1,209,887.00 432,046.00 0.01
57643LBZ8 Mastr Asset Backed Securities Trust 2003 MABS 4.35 08/25/2033 379,182.00 419,992.00 0.01
59284MAA2 Mexico City Airport Trust MEXCAT 4.25 10/31/2026 218,000.00 216,774.00 0.01
59284MAB0 Mexico City Airport Trust MEXCAT 5.5 10/31/2046 415,000.00 348,892.00 0.01
55342UAH7 MPT Operating Partnership Lp / Mpt Finan MPW 5.0 10/15/2027 200,000.00 183,472.00 0.01
62916TAH2 NLT 2025-inv1 Trust NLT 0.9 02/01/2070 10,617,674.00 355,692.00 0.01
62916TAE9 NLT 2025-inv1 Trust NLT 6.6 02/01/2070 405,000.00 396,117.00 0.01
62916TAF6 NLT 2025-inv1 Trust NLT 6.6 02/01/2070 319,000.00 302,759.00 0.01
644535AJ5 NEW Gold Inc NGDCN 6.88 04/01/2032 305,000.00 313,012.00 0.01
62912XAF1 NGPL Pipeco Llc NGPLCO 4.88 08/15/2027 500,000.00 497,190.00 0.01
600814AR8 Millicom International Cellular Sa TIGO 4.5 04/27/2031 515,000.00 471,740.00 0.01
62854AAP9 UTAH Acquisition Sub Inc VTRS 5.25 06/15/2046 520,000.00 420,065.00 0.01
71654QDC3 Petroleos Mexicanos PEMEX 6.84 01/23/2030 500,000.00 492,000.00 0.01
71654QDL3 Petroleos Mexicanos PEMEX 8.75 06/02/2029 514,000.00 540,877.00 0.01
71880KAA9 Phinia Inc PHIN 6.75 04/15/2029 375,000.00 385,970.00 0.01
740212AL9 Precision Drilling Corp PDCN 7.13 01/15/2026 225,000.00 224,122.00 0.01
74052HAB0 Premier Entertainment Sub Llc / Premier BALY 5.88 09/01/2031 475,000.00 293,407.00 0.01
737446AQ7 POST Holdings Inc POST 4.63 04/15/2030 225,000.00 214,928.00 0.01
74390WAC6 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 403,000.00 370,629.00 0.01
74390WAD4 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 393,000.00 355,556.00 0.01
74843PAB6 Quikrete Holdings Inc QUIKHO 6.75 03/01/2033 240,000.00 246,193.00 0.01
651229BF2 Newell Brands Inc NWL 6.38 05/15/2030 355,000.00 345,062.00 0.01
651229BG0 Newell Brands Inc NWL 8.5 06/01/2028 510,000.00 534,996.00 0.01
67091TAD7 OCP Sa OCPMR 3.75 06/23/2031 213,000.00 192,117.00 0.01
682680AT0 Oneok Inc OKE 4.95 07/13/2047 255,000.00 213,074.00 0.01
68622TAB7 Organon & Co / Organon Foreign Debt Co-i OGN 5.13 04/30/2031 450,000.00 389,244.00 0.01
68269JAH4 Onemain Financial Issuance Trust 2023-1 OMFIT 7.49 06/14/2038 200,000.00 207,260.00 0.01
682680BK8 Oneok Inc OKE 5.8 11/01/2030 360,000.00 375,586.00 0.01
682687AD0 Onemain Direct Auto Receivables Trust 20 ODART 1.62 11/14/2030 200,000.00 197,282.00 0.01
31418D2N1 Fannie Mae Pool FN 3.0 07/01/2051 466,237.00 401,910.00 0.01
3138X1AJ5 Fannie Mae Pool FN 3.0 08/01/2043 343,452.00 306,665.00 0.01
31418EBT6 Fannie Mae Pool FN 3.0 02/01/2052 447,739.00 383,950.00 0.01
31418ECS7 Fannie Mae Pool FN 3.5 04/01/2052 277,302.00 248,180.00 0.01
35564KWT2 Freddie Mac Stacr Remic Trust 2022-dna4 STACR 7.7 05/25/2042 200,000.00 207,999.00 0.01
35640YAK3 Freedom Mortgage Corp FREMOR 12.0 10/01/2028 175,000.00 187,105.00 0.01
32027NJU6 First Franklin Mortgage Loan Trust 2004- FFML 4.35 08/25/2034 327,816.00 309,144.00 0.01
36268NAA8 Boost Newco Borrower Llc WRLDPY 7.5 01/15/2031 200,000.00 211,453.00 0.01
373298BN7 Georgia-pacific Llc GP 7.38 12/01/2025 400,000.00 403,245.00 0.01
38237CAA6 Goodleap Sustainable Home Solutions Trus GOOD 6.5 07/20/2055 413,545.00 402,823.00 0.01
36168QAQ7 GFL Environmental Inc GFLCN 6.75 01/15/2031 310,000.00 321,237.00 0.01
47232MAF9 Jefferies Finance Llc / Jfin Co-issuer C JEFFIN 5.0 08/15/2028 400,000.00 385,824.00 0.01
45434L2H6 Indian Railway Finance Corp Ltd INRCIN 3.57 01/21/2032 360,000.00 332,906.00 0.01
457030AK0 Ingles Markets Inc IMKTA 4.0 06/15/2031 275,000.00 255,895.00 0.01
45344LAC7 Crescent Energy Finance Llc CRGYFN 9.25 02/15/2028 326,000.00 338,826.00 0.01
42704LAG9 HERC Holdings Inc HRI 7.25 06/15/2033 360,000.00 373,032.00 0.01
431318AZ7 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.25 04/15/2032 500,000.00 480,074.00 0.01
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SWB8ADQ5YB Scds: (argent) 1.0 06/20/2030 -2,000,000.00 511,872.00 0.01
SWB8ADQ66E Scds: (soaf) 1.0 06/20/2030 -9,000,000.00 327,096.00 0.01
SWB8ADQ64Q Scds: (colom) 1.0 06/20/2030 -7,000,000.00 301,466.00 0.01
SWB8ADQ657 Scds: (ivycst) 1.0 06/20/2030 -2,000,000.00 210,812.00 0.01
SWB8ADC3D1 SWP: Ois Sofr 3.719000 16-dec-2054_c 12/16/2054 -6,930,000.00 389,893.00 0.01
SWB8ADQ5YN Scds: (ngeria) 1.0 06/20/2030 -2,000,000.00 297,423.00 0.01
SWB8ADQ5YR Scds: (brazil) 1.0 06/20/2030 -9,000,000.00 183,053.00 0.01
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SWB8A5Z48U SWP: Ois Gbp 1.150000 08-may-2031 - Payf 05/08/2031 -1,340,000.00 237,413.00 0.01
GLDJ73N9JE Sgd/usd Fwd 20250917 955 SGD 09/17/2025 -34,329,139.00 359,746.00 0.01
JDTURIVS64 Czk/usd Fwd 20251022 Barcus33 CZK 10/22/2025 -254,079,877.00 210,063.00 0.01
JOF56EKN1A Twd/usd Fwd 20250917 00651 TWD 09/17/2025 -720,589,320.00 320,251.00 0.01
NMLBK7K9GC Sgd/usd Fwd 20250917 5 SGD 09/17/2025 -19,209,166.00 185,176.00 0.01
OEU5 COMDT Euro-bobl Future Sep25 OEU5 09/08/2025 -33,055,645.00 208,001.00 0.01
L8176HAF7 Intelsat Emergence Sa 19,703.00 229,668.00 0.01
E8LVH0D2GV Cnh/usd Fwd 20250917 Midlgb22 CNH 09/17/2025 -343,211,213.00 333,033.00 0.01
922966AC0 Venture Global Plaquemines Lng Llc VEGLPL 6.5 01/15/2034 450,000.00 462,860.00 0.01
922966AD8 Venture Global Plaquemines Lng Llc VEGLPL 6.75 01/15/2036 450,000.00 462,863.00 0.01
922966AA4 Venture Global Plaquemines Lng Llc VEGLPL 7.5 05/01/2033 438,000.00 472,975.00 0.01
97381AAA0 Windstream Services Llc / Windstream Esc WIN 8.25 10/01/2031 345,000.00 361,460.00 0.01
963320BD7 Whirlpool Corp WHR 6.13 06/15/2030 275,000.00 274,354.00 0.01
911365BP8 United Rentals North America Inc URI 3.75 01/15/2032 325,000.00 295,761.00 0.01
912833X96 United States Treasury Strip Coupon S 11/15/2035 870,000.00 544,156.00 0.01
89183CAA3 TOWD Point Mortgage Trust 2024-ces1 TPMT 5.85 01/25/2064 470,667.00 471,479.00 0.01
893830BY4 Transocean Inc RIG 8.25 05/15/2029 335,000.00 314,920.00 0.01
85207UAK1 Sprint Llc S 7.63 03/01/2026 315,000.00 317,157.00 0.01
829259BH2 Sinclair Television Group Inc SBGI 8.13 02/15/2033 275,000.00 281,241.00 0.01
87612GAE1 Targa Resources Corp TRGP 6.15 03/01/2029 316,000.00 330,859.00 0.01
80007RAE5 Sands China Ltd SANLTD 5.4 08/08/2028 344,000.00 347,762.00 0.01
80386WAC9 Sasol Financing Usa Llc SASOL 4.38 09/18/2026 350,000.00 345,450.00 0.01
816196AV1 Select Medical Corp SEM 6.25 12/01/2032 495,000.00 494,648.00 0.01
79546VAQ9 Sally Holdings Llc / Sally Capital Inc SBH 6.75 03/01/2032 390,000.00 400,476.00 0.01
783186NH8 Rutgers The State University Of New Jers RUTHGR 5.67 05/01/2040 200,000.00 201,537.00 0.01
75049GAB5 Radnor Re 2021-2 Ltd RMIR 8.05 11/25/2031 473,996.00 480,989.00 0.01
75050KAA4 Radnor Re 2023-1 Ltd RMIR 7.05 07/25/2033 374,158.00 375,863.00 0.01
DSJFG12QBF Brl/usd Fwd 20250804 Mslngb2x BRL 08/04/2025 -68,002,769.00 307,053.00 0.01
983793AK6 XPO Inc XPO 7.13 02/01/2032 385,000.00 400,811.00 0.01
98379KAB8 XPO Inc XPO 7.13 06/01/2031 225,000.00 232,906.00 0.01
B8AC5MQN3 Diamond Sports Grp Llc- Cs 28,420.00 381,311.00 0.01
B8A9598C3 Ferrellgas Escrow Llc 3/30/31 Preferred 8.96 03/30/2031 545,000.00 545,000.00 0.01
BF2F610 Eskom Holdings Soc Ltd ESKOM 6.35 08/10/2028 213,000.00 216,371.00 0.01
B8ADVAEX9 NEW Generation Gas Gathering Llc 4.34 09/30/2029 351,351.00 346,080.00 0.01
B8ADGKST8 NEW Generation Gas Gathering Llc 4.34 09/30/2029 421,621.00 415,296.00 0.01
B8ACXD562 NEW Generation Gas Gathering Llc 4.32 09/30/2029 351,351.00 346,081.00 0.01
B8AD2HEC2 Codere Group Topco S.a. A1 Equity 10,406.00 237,506.00 0.01
B8AD2HEJ7 Codere Group Topco S.a. A2 Equity 14,649.00 334,348.00 0.01
BL4790764 WSH Services Holding Ltd WESTBU 8.72 05/16/2031 275,000.00 363,254.00 0.01
BHZL0J5 Petrobras Global Finance Bv PETBRA 6.63 01/16/2034 300,000.00 386,141.00 0.01
BL4579993 Digicel Intl Finance Ltd DLLTD 11.78 05/25/2027 197,342.00 196,355.00 0.01
BL4047090 Tenneco Inc TENINC 9.17 11/17/2028 540,054.00 531,615.00 0.01
B8AE3VDG0 Clubcorp Hldgs Inc 07/31/2032 71,561.00 70,973.00 0.00
B8AE3VHV3 Clubcorp Hldgs Inc 07/31/2032 119,268.00 118,289.00 0.00
BL4938314 MAIN Street Sports Group DSPORT 12.0 01/02/2028 195,586.00 170,160.00 0.00
B8AD2JA99 Codere Group Topco S.a. Warrants 34 310.00 0.00
B8AD38TW1 NEW Generation Gas - Unfunded 09/30/2029 175,676.00 173,040.00 0.00
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BBG014163P Sfrz5c 99.25 Pit SFRZ5C 99. 12/12/2025 -207,500.00 -518.00 0.00
BBG014163P Sfrz5c 99.75 Pit SFRZ5C 99. 12/12/2025 455,000.00 1,137.00 0.00
B8AA7A6U7 Tfs_18-3 04/16/2040 1 1.00 0.00
B8ACA1AA8 Digicel Intl Fin Ltd 9,592.00 113,928.00 0.00
9MVM74MMI4 Inr/usd Fwd 20250917 Deutgb22 INR 09/17/2025 628,336,656.00 -101,829.00 0.00
A3155ORS3R Clp/usd Fwd 20250917 Deutgb22 CLP 09/17/2025 2,360,589,000.00 -113,808.00 0.00
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AVKR2MH70K Twd/usd Fwd 20250917 Mslngb2x TWD 09/17/2025 135,889,810.00 -142,898.00 0.00
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DAJ94LF8OI Mxn/usd Fwd 20250917 Midlgb22 MXN 09/17/2025 142,394,819.00 180,046.00 0.00
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CDCN0TRO7G Php/usd Fwd 20250917 Msnyus33 PHP 09/17/2025 203,803,920.00 -77,342.00 0.00
BNRKHP7 Serbia International Bond SERBIA 1.65 03/03/2033 139,000.00 131,958.00 0.00
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796253Z21 CITY Of San Antonio Tx Electric & Gas Sy SANUTL 4.43 02/01/2042 120,000.00 111,990.00 0.00
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80290CBJ2 Santander Bank Auto Credit-linked Notes SBCLN 11.37 12/15/2032 3,141.00 3,147.00 0.00
80290CBX1 Santander Bank Auto Credit-linked Notes SBCLN 10.07 06/15/2033 89,881.00 90,752.00 0.00
78500AAA6 SWF Holdings I Corp SPRIND 6.5 10/01/2029 325,000.00 123,473.00 0.00
81721MAM1 Diversified Healthcare Trust DHC 4.75 02/15/2028 25,000.00 23,170.00 0.00
812127AA6 Sealed Air Corp/sealed Air Corp Us SEE 6.13 02/01/2028 125,000.00 126,197.00 0.00
86359BBZ3 Structured Asset Securities Corp Mortgag SASC 6.06 12/01/2033 159,554.00 156,564.00 0.00
86765BAV1 Energy Transfer Lp ET 5.4 10/01/2047 60,000.00 53,386.00 0.00
90932LAH0 United Airlines Inc UAL 4.63 04/15/2029 170,000.00 165,919.00 0.00
878091BC0 Teachers Insurance & Annuity Association TIAAGL 6.85 12/16/2039 54,000.00 60,540.00 0.00
912834KP2 United States Treasury Strip Coupon S 08/15/2041 165,000.00 74,118.00 0.00
912834PT9 United States Treasury Strip Coupon S 11/15/2045 430,000.00 152,617.00 0.00
912834VE5 United States Treasury Strip Coupon S 11/15/2049 580,000.00 168,540.00 0.00
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94V467EEF8 Pen/usd Fwd 20250917 Deutgb22 PEN 09/17/2025 11,347,643.00 -30,181.00 0.00
94973VBB2 Elevance Health Inc ELV 4.65 01/15/2043 120,000.00 104,114.00 0.00
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SWB8A9BSFK Simon Property Group Lp Cds 20260620 1.0 06/20/2026 1,980,000.00 16,529.00 0.00
SWB8A9BXVF Verizon Communications Inc Cds 20260620 1.0 06/20/2026 680,000.00 5,201.00 0.00
SWB8A9BXVL General Motors Co Cds 20260620 5.0 06/20/2026 2,230,000.00 103,729.00 0.00
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SFRZ5 COMD 3 MOnth Sofr Fut Dec25 SFRZ5 03/17/2026 -97,409,550.00 181,957.00 0.00
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RO3DECTC9V Idr/usd Fwd 20250917 Citius33 IDR 09/17/2025 15,738,574,500.00 1,431.00 0.00
RXU5 COMDT Euro-bund Future Sep25 RXU5 09/08/2025 -3,848,355.00 33,331.00 0.00
SB31ONQNTV Pen/usd Fwd 20250917 Citius33 PEN 09/17/2025 37,928,976.00 -70,067.00 0.00
SWB8AC75R7 SWP: Ois Sofr 3.709000 15-dec-2027 12/15/2027 -10,000,000.00 -10,107.00 0.00
SWB8AC77F7 Morocco (kingdom Of) Cds 20271220 1.0 12/20/2027 -10,000,000.00 -171,345.00 0.00
SWB8AC8KAM Israel Electric Corp Ltd Cds 20280920 1.0 09/20/2028 -3,000,000.00 -12,893.00 0.00
SWB8ACHXNL South Africa (republic Of) Cds 20260620 1.0 06/20/2026 -20,000,000.00 -110,111.00 0.00
SWB8ACJV79 Morocco (kingdom Of) Cds 20271220 1.0 12/20/2027 -5,000,000.00 -85,672.00 0.00
ISP7LGLSVU Eur/usd Fwd 20251022 2568 EUR 10/22/2025 -327,722.00 1,840.00 0.00
SWB8A9T2SV Halliburton Company Cds 20261220 1.0 12/20/2026 910,000.00 9,785.00 0.00
SWB8ABUSVQ SWP: Ois Sofr 4.805090 31-aug-2025 08/31/2025 -24,570,000.00 -5,192.00 0.00
SWB8ABWYG5 SWP: Ois Sofr 4.699000 25-sep-2026 09/25/2026 -12,090,000.00 -91,265.00 0.00
SWB8AC2JAV Romania (republic Of) Cds 20291220 1.0 12/20/2029 -4,500,000.00 59,351.00 0.00
SWB8ACMF76 Cleveland-cliffs Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -172,873.00 0.00
SWB8ADG4K3 Scds: (pemex) 4.10000 Mar 23, 2026 4.1 03/23/2026 5,800,000.00 72,468.00 0.00
SWB8ADGPJ3 Scds: (greece) 1.00000 20 Dec, 2027 1.0 12/20/2027 565,000.00 10,822.00 0.00
SWB8ADGPJR Scds: (greece) 1.00000 20 Jun, 2027 1.0 06/20/2027 750,000.00 12,327.00 0.00
SWB8ACMF8K Organon & Co Cds 20290620 5.0 06/20/2029 -1,950,000.00 -169,897.00 0.00
SWB8ACMF99 Murphy Oil Corporation Cds 20290620 1.0 06/20/2029 -1,950,000.00 25,932.00 0.00
SWB8ACX1VG CDS: (gs_24-pc-a Jul 24) 1.65 08/02/2027 13,569,691.00 35,246.00 0.00
SWB8AD3GPB Morgan Stanley Cds 20251220 1.0 12/20/2025 3,030,000.00 12,608.00 0.00
SWB8AD3GPH Citigroup Inc Cds 20251220 1.0 12/20/2025 3,030,000.00 12,382.00 0.00
SWB8AD3GPM BANK Of America Corp Cds 20251220 1.0 12/20/2025 3,030,000.00 12,648.00 0.00
SWB8AD4RC0 Lincoln National Corporation Cds 2029122 1.0 12/20/2029 5,300,000.00 6,080.00 0.00
SWB8ADBQBM Norway Kingdom Of (government) Cds 20251 12/20/2025 10,000,000.00 -1,524.00 0.00
SWB8ADQ5YU Scds: (bhrain) 1.0 06/20/2030 -2,000,000.00 62,670.00 0.00
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SWB8ADQ606 Scds: (ksa) 1.0 06/20/2030 -5,000,000.00 -93,720.00 0.00
SWB8ADQ60D Scds: (malays) 1.0 06/20/2030 -3,000,000.00 -81,818.00 0.00
SWB8ADQ611 Scds: (chile) 1.0 06/20/2030 -6,000,000.00 -125,984.00 0.00
SWB8ADJ71C Scds: (pemex) 4.75.00000 07 May, 2026 4.75 05/07/2026 3,983,600.00 89,290.00 0.00
SWB8ADD5V2 Petroleos Mexicanos Cds 20251224 3.75 12/24/2025 2,017,796.00 16,147.00 0.00
SWB8ADJCRS Scds: (paclif) 2.5 08/20/2035 1,000,000.00 -7,390.00 0.00
SWB8ADPMK7 Trswap: Trsbench20 Index 09/19/2025 Gsis 09/19/2025 -41,231.00 -28,198.00 0.00
SWB8ADQ664 Scds: (indon) 1.0 06/20/2030 -8,000,000.00 -107,549.00 0.00
SWB8ADQ668 Scds: (panama) 1.0 06/20/2030 -2,000,000.00 62,928.00 0.00
SWB8ADQ66B Scds: (peru) 1.0 06/20/2030 -3,000,000.00 -34,547.00 0.00
SWB8ADPW5S Scds: (bmo) 1.25 11/20/2029 835,000.00 -1,143.00 0.00
SWB8ADPW5V Scds: (cm) 1.1 06/20/2028 665,000.00 2,661.00 0.00
SWB8ADQ1J2 Scds: (softbk) 1.0 06/22/2026 2,915,000.00 2,766.00 0.00
SWB8ADQ5Y5 Scds: (adgb) 1.0 06/20/2030 -2,000,000.00 -65,496.00 0.00
SWB8ADQ66L Scds: (philip) 1.0 06/20/2030 -3,000,000.00 -57,770.00 0.00
SWB8ADQ5YK Scds: (domrep) 1.0 06/20/2030 -2,000,000.00 56,684.00 0.00
SWB8ADQ67C Scds: (oman) 1.0 06/20/2030 -2,000,000.00 -22,331.00 0.00
SWB8ADQ67F Scds: (mex) 1.0 06/20/2030 -9,000,000.00 24,815.00 0.00
TYU5 COMDT US 10yr Note (cbt)sep25 TYU5 09/19/2025 -78,076,938.00 -37,688.00 0.00
UGH9C1OUNB Thb/usd Fwd 20250917 221 THB 09/17/2025 77,556,353.00 8,439.00 0.00
TOD9USBOQM Brl/usd Fwd 20250903 5 BRL 09/03/2025 108,555,137.00 -74,600.00 0.00
UT0DUI9LE7 Mxn/usd Fwd 20250917 Deutgb22 MXN 09/17/2025 -113,098,607.00 -109,099.00 0.00
UXYU5 COMD US 10yr Ultra Fut Sep25 UXYU5 09/19/2025 37,768,094.00 88,996.00 0.00
VUTSFU88UF Gbp/usd Fwd 20251022 Mslngb2x GBP 10/22/2025 -631,743.00 4,174.00 0.00
SWB8ADQQNQ 10Y Rtr 3.207500 25-sep-2025 09/25/2025 -9,770,000.00 -5,111.00 0.00
SWB8ADQQR4 10Y Rtr 3.532500 25-sep-2025 09/25/2025 4,885,000.00 13,491.00 0.00
SWB8ADV1SG 10Y Rtr 0.400000 25-sep-2025 09/25/2025 4,885,000.00 0.00 0.00
SWB8ADXF40 Scds: (unh) 1.0 06/22/2026 1,790,000.00 14,151.00 0.00
SWB8AE3GRR Scds: (panama) 1.0 06/20/2028 -3,740,000.00 18,503.00 0.00
SWB8AE3GS3 Scds: (panama) 1.0 06/20/2028 3,740,000.00 -18,503.00 0.00
SWB8AE3N15 Scds: (serbia) 1.0 06/20/2029 520,000.00 -5,784.00 0.00
46630GAM7 JP Morgan Mortgage Trust 2007-a1 JPMMT 6.2 07/01/2035 6,642.00 6,650.00 0.00
46639YAT4 JP Morgan Chase Commercial Mortgage Secu JPMCC 0.46 04/01/2046 23,322,426.00 63,646.00 0.00
46644ABJ0 Jpmbb Commercial Mortgage Securities Tru JPMBB 0.41 02/01/2048 52,766,000.00 527.00 0.00
513272AD6 LAMB Weston Holdings Inc LW 4.13 01/31/2030 175,000.00 166,287.00 0.00
4R7JLOSOA9 Try/usd Fwd 20250813 Midlgb22 TRY 08/13/2025 -9,284,377.00 15,967.00 0.00
38141GWV2 Goldman Sachs Group Inc/the GS 3.81 04/23/2029 35,000.00 34,353.00 0.00
38141GWZ3 Goldman Sachs Group Inc/the GS 4.22 05/01/2029 135,000.00 134,027.00 0.00
35564KJP5 Freddie Mac Stacr Remic Trust 2021-hqa3 STACR 6.45 09/25/2041 100,000.00 100,875.00 0.00
35564KMH9 Freddie Mac Stacr Remic Trust 2021-dna7 STACR 6.15 11/25/2041 100,000.00 100,719.00 0.00
35564KNS4 Freddie Mac Stacr Remic Trust 2021-hqa4 STACR 6.7 12/25/2041 100,000.00 101,459.00 0.00
35564KQC6 Freddie Mac Stacr Remic Trust 2022-dna1 STACR 6.85 01/25/2042 70,000.00 71,284.00 0.00
3137BPW39 Freddie Mac Multifamily Structured Pass FHMS 1.33 03/01/2026 19,317,942.00 116,709.00 0.00
682680BU6 Oneok Inc OKE 4.2 12/01/2042 125,000.00 96,210.00 0.00
677632PA3 OHIO State University/the OHSHGR 4.8 06/01/2111 180,000.00 148,385.00 0.00
74390WAE2 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 139,000.00 123,315.00 0.00
706451BR1 Petroleos Mexicanos PEMEX 6.63 06/15/2038 42,000.00 34,460.00 0.00
69LJ4CC5OK Clp/usd Fwd 20250917 Barcus33 CLP 09/17/2025 1,959,584,052.00 -105,127.00 0.00
6OO9R72I4J Thb/usd Fwd 20250917 Midlgb22 THB 09/17/2025 -327,088,099.00 14,236.00 0.00
651229BE5 Newell Brands Inc NWL 6.63 05/15/2032 185,000.00 176,986.00 0.00
62916TAG4 NLT 2025-inv1 Trust NLT 6.6 02/01/2070 200,000.00 180,978.00 0.00
62916TAK5 NLT 2025-inv1 Trust NLT 0.4 02/01/2070 10,617,674.00 86,416.00 0.00
55342UAM6 MPT Operating Partnership Lp / Mpt Finan MPW 3.5 03/15/2031 250,000.00 170,799.00 0.00
55342UAQ7 MPT Operating Partnership Lp / Mpt Finan MPW 8.5 02/15/2032 125,000.00 130,031.00 0.00
55JF5BO35B Cnh/usd Fwd 20250917 00187 CNH 09/17/2025 54,771,654.00 -40,435.00 0.00
55336VAL4 MPLX Lp MPLX 5.2 03/01/2047 145,000.00 125,856.00 0.00
58CJ12TL3B Php/usd Fwd 20250917 955 PHP 09/17/2025 456,879,057.00 -125,562.00 0.00
534187BA6 Lincoln National Corp LNC 7.0 06/15/2040 32,000.00 35,213.00 0.00
2EBRE3NO9T Pen/usd Fwd 20250917 Mslngb2x PEN 09/17/2025 15,210,899.00 57,839.00 0.00
29279FAA7 Energy Transfer Lp ET 6.25 04/15/2049 75,000.00 73,996.00 0.00
29273RBF5 Energy Transfer Lp ET 5.15 03/15/2045 55,000.00 48,227.00 0.00
29273RBL2 Energy Transfer Lp ET 5.3 04/15/2047 125,000.00 110,027.00 0.00
276480AD2 Eastern Gas Transmission & Storage Inc BRKHEC 4.6 12/15/2044 125,000.00 105,026.00 0.00
26882PAR3 ERAC Usa Finance Llc ENTERP 6.7 06/01/2034 110,000.00 122,676.00 0.00
26442CAN4 DUKE Energy Carolinas Llc DUK 4.0 09/30/2042 50,000.00 41,117.00 0.00
25381HAD0 Digicel Group Holdings Ltd DLLTD 12/31/2030 128,950.00 12.00 0.00
25381HAM0 Digicel Group Holdings Ltd DLLTD 12/31/2030 44,436.00 0.00 0.00
1MH3IMPQO2 Mxn/usd Fwd 20250917 955 MXN 09/17/2025 -61,248,740.00 -77,174.00 0.00
200474AA2 COMM 2015-lc19 Mortgage Trust COMM 0.17 02/01/2048 123,049,000.00 1,230.00 0.00
173106AE5 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 179,547.00 134,540.00 0.00
173106AF2 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 64,822.00 45,088.00 0.00
173106AG0 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 164,547.00 19,450.00 0.00
173106AH8 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 298,199.00 23,440.00 0.00
173106AJ4 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 8,977,208.00 897.00 0.00
173106AK1 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 9,726.00 8,656.00 0.00
17307GNR5 Citigroup Mortgage Loan Trust Inc CMLTI 4.35 02/25/2035 136,402.00 126,497.00 0.00
17332HAF2 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 235,634.00 155,054.00 0.00
17332HAG0 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 176,744.00 105,350.00 0.00
17332HAH8 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 111,951.00 61,683.00 0.00
17332HAJ4 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 141,395.00 60,860.00 0.00
17332HAK1 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 134,411.00 53,029.00 0.00
17332HAL9 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 01/01/2064 11,444,087.00 1,144.00 0.00
17332HAM7 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 01/01/2064 20,600.00 18,230.00 0.00
17888HAA1 Civitas Resources Inc CIVI 8.38 07/01/2028 125,000.00 128,693.00 0.00
18060TAD7 Clarios Global Lp / Clarios Us Finance C POWSOL 6.75 02/15/2030 100,000.00 102,728.00 0.00
12654FAC4 COMM 2024-277p Mortgage Trust COMM 0.66 08/10/2044 5,300,000.00 140,161.00 0.00
126673KY7 Cwabs Asset-backed Certificates Trust 20 CWL 5.52 11/25/2034 3,699.00 4,380.00 0.00
13342BAF2 Cameron International Corp SLB 5.95 06/01/2041 100,000.00 96,653.00 0.00
161630AC2 Chase Mortgage Finance Trust Series 2007 CHASE 6.51 02/01/2037 17,152.00 17,003.00 0.00
143658BQ4 Carnival Corp CCL 4.0 08/01/2028 125,000.00 120,931.00 0.00
12489WGJ7 Credit-based Asset Servicing And Securit CBASS 3.38 12/01/2032 42,488.00 41,053.00 0.00
0E6D8PCVH9 Mxn/usd Fwd 20250917 Mslngb2x MXN 09/17/2025 -38,987,712.00 -21,808.00 0.00
0F0721204V Sgd/usd Fwd 20250917 00187 SGD 09/17/2025 -14,581,852.00 155,508.00 0.00
071734AL1 Bausch Health Cos Inc BHCCN 5.25 02/15/2031 275,000.00 166,375.00 0.00
07384YLS3 BEAR Stearns Asset Backed Securities Tru BSABS 4.35 06/25/2043 41,342.00 40,917.00 0.00
07556QBR5 Beazer Homes Usa Inc BZH 5.88 10/15/2027 150,000.00 149,620.00 0.00
071734AJ6 Bausch Health Cos Inc BHCCN 5.25 01/30/2030 275,000.00 176,000.00 0.00
65MR6A510A Php/usd Fwd 20250917 Midlgb22 PHP 09/17/2025 944,830,404.00 -488,471.00 -0.01
SWB8AE6U9X Cdx.na.ig.44.v1 5yr Rtp @ 70.00000 10/15/2025 -407,760,000.00 -265,617.00 -0.01
SWB8AE6UBC Cdx.na.ig.44.v1 5yr Rtr @ 47.50000 10/15/2025 -407,760,000.00 -216,982.00 -0.01
SWZ9707Z0K ICE: (cdx.na.hy.44.v1) 5.0 06/20/2030 -6,000,000.00 -468,335.00 -0.01
TLFFEUA51B Inr/usd Fwd 20250917 221 INR 09/17/2025 1,604,382,689.00 -395,179.00 -0.01
SWB8ADFE25 SWP: Ois Sofr 4.129500 15-jan-2055_c 01/15/2055 -13,780,000.00 -198,128.00 -0.01
SWB8ADQ61H Scds: (china) 1.0 06/20/2030 -9,000,000.00 -246,624.00 -0.01
SWB8ACMV5H SWP: Ois Gbp 3.950000 08-may-2030_c 05/08/2030 -15,090,000.00 -194,021.00 -0.01
SWB8ACMF8N Medline Borrower Lp Cds 20290620 5.0 06/20/2029 -1,950,000.00 -315,086.00 -0.01
SWB8ADC3CY SWP: Ois Sofr 3.805000 16-dec-2049_c 12/16/2049 7,820,000.00 -346,242.00 -0.01
SWB8ACMF7C Weatherford International Ltd Cds 202906 5.0 06/20/2029 -1,950,000.00 -289,572.00 -0.01
SWB8ACMF7K Venture Global Lng Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -235,131.00 -0.01
SWB8ACMF7N UBER Technologies Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -336,155.00 -0.01
SWB8ACMF7V Tenet Healthcare Corporation Cds 2029062 5.0 06/20/2029 -1,950,000.00 -290,517.00 -0.01
SWB8ACMF81 United Rentals (north America) Inc Cds 2 5.0 06/20/2029 -1,950,000.00 -322,814.00 -0.01
SWB8ACMF84 Safeway Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -329,792.00 -0.01
SWB8ACMF87 POST Holdings Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -290,201.00 -0.01
SWB8ACMF8A Frontier Communications Holdings Llc Cds 5.0 06/20/2029 -1,950,000.00 -332,171.00 -0.01
SWB8ACMF8D PG&E Corporation Cds 20290620 5.0 06/20/2029 -1,950,000.00 -231,588.00 -0.01
SWB8ACMF8G Louisiana Pacific Corp Cds 20290620 5.0 06/20/2029 -1,950,000.00 -325,903.00 -0.01
SWB8AC2JGK Cswap: Eur/usd 3.1% 27-sep-2029 09/27/2029 -4,500,000.00 -384,572.00 -0.01
SFRM5 COMD 3 MOnth Sofr Fut Jun25 SFRM5 09/16/2025 477,948,406.00 -225,333.00 -0.01
SWB8ACJV7C Morocco (kingdom Of) Cds 20271220 1.0 12/20/2027 -15,000,000.00 -257,018.00 -0.01
SWB8ACMDVE SWP: Ois Sofr 4.735000 13-may-2026 05/13/2026 -45,000,000.00 -183,072.00 -0.01
SWB8ACMF4E ADT Security Corp Cds 20290620 5.0 06/20/2029 -1,950,000.00 -308,152.00 -0.01
SWB8ACMF4L Antero Resources Corp Cds 20290620 5.0 06/20/2029 -1,950,000.00 -315,721.00 -0.01
SWB8ACMF4S Standard Building Solutions Inc Cds 2029 5.0 06/20/2029 -1,950,000.00 -320,617.00 -0.01
SWB8ACMF4Z Bombardier Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -282,225.00 -0.01
SWB8ACMF67 Chesapeake Energy Corporation Cds 202906 5.0 06/20/2029 -1,950,000.00 -315,793.00 -0.01
SWB8ACMF6A EQM Midstream Partners Lp Cds 20290620 5.0 06/20/2029 -1,950,000.00 -322,732.00 -0.01
SWB8ACMF6K Caesars Entertainment Inc (delaware) Cds 5.0 06/20/2029 -1,950,000.00 -216,413.00 -0.01
SWB8ACMF6N GFL Environmental Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -323,565.00 -0.01
SWB8ACMF6R HUB International Ltd Cds 20290620 5.0 06/20/2029 -1,950,000.00 -311,959.00 -0.01
SWB8ACMF6X Hilton Domestic Operating Company Inc Cd 5.0 06/20/2029 -1,950,000.00 -316,185.00 -0.01
SWB8ACMF73 Genworth Holdings Inc Cds 20290620 5.0 06/20/2029 -1,950,000.00 -291,880.00 -0.01
Q0AVOTNDI2 Idr/usd Fwd 20250917 Midlgb22 IDR 09/17/2025 452,620,452,360.00 -340,588.00 -0.01
IHBU5 INDE IBIG Iboxx Ishr Sep25 IHBU5 09/02/2025 -119,057,400.00 -536,251.00 -0.01
KH8H1UAJRB Brl/usd Fwd 20250804 5 BRL 08/04/2025 68,002,769.00 -191,023.00 -0.01
FXB8AE3MA8 EUR P Usd C @1.170000 Eo 08/05/2025 -10,818,000.00 -293,218.00 -0.01
FXB8AE2LKT USD C Krw P @1385.00 Eo 09/25/2025 -11,836,000.00 -193,796.00 -0.01
94N35HPPKO Krw/usd Fwd 20250917 Scseus31 KRW 09/17/2025 18,925,042,660.00 -319,107.00 -0.01
BKAD44DA6R Eur/usd Fwd 20250806 Citius33 EUR 08/06/2025 12,113,030.00 -222,149.00 -0.01
FVU5 COMDT US 5yr Note (cbt) Sep25 FVU5 09/30/2025 -421,870,313.00 -777,911.00 -0.02
SWB8ADCX6N SWP: Ois Sofr 3.994870 20-dec-2044_c 12/20/2044 41,330,000.00 -549,182.00 -0.02
SWB8ADPVZV Trswap: Trsbench23 Index 09/19/2025 Jpms 09/19/2025 -724,667.00 -770,333.00 -0.02
SWB8ADGWY2 SWP: Ois Sofr 4.110000 28-jan-2029_c 01/28/2029 -91,780,000.00 -1,575,341.00 -0.04
SWB8ADQ68K CDS: (cdx.em.43.v1) 1.0 06/20/2030 100,000,000.00 -2,190,400.00 -0.06
SWB8AE05AV Trswap: Iboxig Index 12/22/2025 Jpmsw_r 12/22/2025 -279,377.00 -2,201,074.00 -0.06
01F030694 Fannie Mae Or Freddie Mac FNCL 3.0 09/15/2055 -2,500,000.00 -2,139,520.00 -0.06
WNU5 COMDT US Ultra Bond Cbt Sep25 WNU5 09/19/2025 -181,482,438.00 -4,021,367.00 -0.11

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ABOUT

PGIM Fixed Income, with $862 billion in assets under management as of March 31, 2025, is a global asset manager offering active solutions across all fixed income markets. The company has offices in Newark, N.J., London, Tokyo and Singapore. At PGIM Fixed Income we believe that research-driven security selection is the most consistent strategy for adding value to client portfolios. The firm complements that base strategy with active sector rotation, duration management, and superior trade execution. Risk budgeting is central to this approach. PGIM Limited is also a subadvisor on this fund. PGIM Limited is an indirect, wholly-owned subsidiary of PGIM, Inc. (“PGIM”), the principal asset management business of Prudential Financial, Inc. (“PFI”), a company incorporated and with its principal place of business in the United States.

Gregory Peters, Robert Tipp, Richard Piccirillo, Matthew Angelucci and Tyler Thorn of PGIM Fixed Income are primarily responsible for management of the PGIM Absolute Return Bond Fund.

Gregory Peters
Gregory Peters

Co-Chief Investment Officer

Gregory Peters' Biography

Robert Tipp, CFA
Robert Tipp, CFA

Chief Investment Strategist, Head of Global Bonds

Robert Tipp, CFA's Biography

Richard Piccirillo
Richard Piccirillo

Co-Head of Multi-Sector Fixed Income Strategies

Richard Piccirillo's Biography

Matthew Angelucci, CFA
Matthew Angelucci, CFA

Co-Senior Portfolio Manager, Global Bonds

Matthew Angelucci, CFA's Biography

Tyler Thorn
Tyler Thorn

Portfolio Manager, Multi-Sector Strategies

Tyler Thorn's Biography

Average Maturity is the average time to maturity for a bond. Credit quality is calculated using the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s, S&P, or Fitch. The Not Rated category consists of securities that have not been rated by an NRSRO. Duration measures investment risk that takes into account both a bond's interest payments and its value to maturity. Standard deviation depicts how widely returns vary around its average and is used to understand the range of returns most likely for a given fund. A higher standard deviation generally implies greater volatility. Overweight/Underweights are benchmarked against the Bloomberg US Aggregate Bond Index, which covers the USD-denominated, investment-grade, fixed-rate or step up, taxable bond market of SEC-registered securities and includes bonds from Treasury, Government- Related, Corporate, MBS (agency fixed-rate & hybrid ARM passthroughs), ABS, & CMBS sectors. Securities included in the index must have at least 1 year until final maturity & be rated investment-grade (Baa3/ BBB-/BBB-) or better using middle rating of Moody’s, S&P, & Fitch. All indexes and averages are unmanaged. Due to data availability, statistics may not be as of the current reporting period.

Enhanced cash strategies are variations on traditional money market vehicles. They are designed to provide liquidity and principal preservation, but with more of an emphasis on seeking returns that are superior to those of traditional money market offerings.

Source: Benchmarks - Lipper Inc.; Statistics - Morningstar Inc.; All other data from PGIM, Inc.

© 2025 Morningstar, Inc. All rights reserved. The information contained herein (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance does not guarantee future results.

BLOOMBERG® is a trademark and service mark of Bloomberg Finance L.P. and its affiliates (collectively “Bloomberg”). Bloomberg or Bloomberg’s licensors own all proprietary rights in the Bloomberg Indices. Bloomberg neither approves nor endorses this material, or guarantees the accuracy or completeness of any information herein, or makes any warranty, express or implied, as to the results obtained therefrom and, to the maximum extend allowed by law, neither shall have any liability or responsibility for injury or damages arising in connection therewith.

Class R6 and Z shares may be available to group retirement plans and institutional investors through certain retirement, mutual fund wrap and asset allocation programs. They may also be available to institutional investors. Class Z shares may be available through fee- or commission-based retail brokerage programs of certain financial intermediaries. Class A, C, and Z shares are generally closed to new retirement plans. Please see the prospectus for additional information about fees, expenses, and investor eligibility.

Consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Investment products are distributed by Prudential Investment Management Services LLC, member FINRA and SIPC. PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Fixed Income is a unit of PGIM, a registered investment advisor. PGIM Limited acts as a subadvisor to all fixed income funds. PGIM Limited is an indirect, wholly owned subsidiary of PGIM, Inc. (PGIM), the principal asset management business of Prudential Financial, Inc. (PFI), a company incorporated and with its principal place of business in the United States. All are Prudential Financial affiliates. © 2025 Prudential Financial, Inc. and its related entities. PGIM, PGIM Investments, PGIM Fixed Income, PGIM Limited, and the PGIM logo are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.

This material is being provided for informational or educational purposes only and does not take into account the investment objectives or financial situation of any client or prospective clients. The information is not intended as investment advice and is not a recommendation. Clients seeking information regarding their particular investment needs should contact their financial professional.

INVESTMENT PRODUCTS | Are not insured by the FDIC or any federal government agency | May lose value | Are not a deposit of or guaranteed by any bank or any bank affiliate. 

Prudential Financial, Inc. of the United States is not affiliated in any manner with Prudential plc, incorporated in the United Kingdom or with Prudential Assurance Company, a subsidiary of M&G plc, incorporated in the United Kingdom.

4363394    Ed. 04/2025

Fund Literature

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