0001752724-23-123859.txt : 20230530 0001752724-23-123859.hdr.sgml : 20230530 20230530093608 ACCESSION NUMBER: 0001752724-23-123859 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230530 DATE AS OF CHANGE: 20230530 PERIOD START: 20231231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LOOMIS SAYLES FUNDS I CENTRAL INDEX KEY: 0000917469 IRS NUMBER: 043219179 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08282 FILM NUMBER: 23971823 BUSINESS ADDRESS: STREET 1: 888 BOYLSTON STREET STREET 2: 8TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 BUSINESS PHONE: 617-449-2810 MAIL ADDRESS: STREET 1: 888 BOYLSTON STREET STREET 2: 8TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES FUNDS II DATE OF NAME CHANGE: 20031119 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES INVESTMENT TRUST DATE OF NAME CHANGE: 20031015 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/ Rocket Mortgage Co-Issuer Inc 74841CAA9 19614000.00000000 PA USD 16839599.70000000 0.330818702169 Long DBT CORP US N 2 2029-03-01 Fixed 3.62500000 N N N N N N CIFI HOLDINGS GROUP 549300WGKSV867C0JF48 CIFI Holdings Group Co Ltd 000000000 2815000.00000000 PA USD 591403.35000000 0.011618286193 Long DBT CORP KY N 2 2025-07-16 Fixed 6.00000000 N N N N N N CENTRAL CHN REAL ESTATE 549300JDML9PYG0CIJ22 Central China Real Estate Ltd 000000000 945000.00000000 PA USD 237034.35000000 0.004656606892 Long DBT CORP KY N 2 2023-08-27 Fixed 7.65000000 N N N N N N CHENIERE ENERGY PARTNERS 5493005UEC8AZ34LDV29 Cheniere Energy Partners LP 16411QAG6 1955000.00000000 PA USD 1816215.86000000 0.035680074608 Long DBT CORP US N 2 2029-10-01 Fixed 4.50000000 N N N N N N MED Trust N/A Med Trust 2021-MDLN 58403YAR7 2492594.87000000 PA USD 2372055.23000000 0.046599696349 Long ABS-MBS CORP US N 2 2038-11-15 Floating 6.68500000 N N N N N N Preston Ridge Partners Mortgage Trust N/A PRPM 2021-4 LLC 693583AA4 11292561.86000000 PA USD 10748332.65000000 0.211154036978 Long ABS-MBS CORP US N 2 2026-04-25 Variable 1.86700000 N N N N N N Bain Capital Credit CLO, Limited N/A Bain Capital Credit CLO 2017-2 Ltd 05683HAU9 5225000.00000000 PA USD 4940859.28000000 0.097064578952 Long ABS-CBDO CORP KY N 2 2034-07-25 Floating 7.91800000 N N N N N N Willis Engine Securitization Trust N/A Willis Engine Structured Trust VI 97064GAA1 12185108.92000000 PA USD 9626894.04000000 0.189123058087 Long ABS-O CORP US N 2 2046-05-15 Fixed 3.10400000 N N N N N N Progress Residential Trust N/A Progress Residential 2021-SFR7 Trust 74333PAJ6 5280000.00000000 PA USD 4403512.61000000 0.086508251536 Long ABS-O CORP US N 2 2040-08-17 Fixed 2.59100000 N N N N N N ASHTEAD CAPITAL INC 213800J1134IW58IC398 Ashtead Capital Inc 04505AAA7 2300000.00000000 PA USD 2259425.10000000 0.044387045568 Long DBT CORP US N 2 2032-08-11 Fixed 5.50000000 N N N N N N Palmer Square CLO Ltd 5493006ZPBFJJGSXB826 Palmer Square CLO 2015-1 Ltd 69689ABL3 2970000.00000000 PA USD 2885545.08000000 0.056687349784 Long ABS-CBDO CORP KY N 2 2034-05-21 Floating 6.61500000 N N N N N N Progress Residential Trust N/A Progress Residential 2021-SFR5 Trust 74333FAE9 3535000.00000000 PA USD 3014014.53000000 0.059211168489 Long ABS-O CORP US N 2 2038-07-17 Fixed 2.20900000 N N N N N N ANGLO AMERICAN CAPITAL TINT358G1SSHR3L3PW36 Anglo American Capital PLC 034863BA7 22660000.00000000 PA USD 18965897.46000000 0.372590423465 Long DBT CORP GB N 2 2031-03-17 Fixed 2.87500000 N N N N N N T-Mobile US Inc 549300QHIJYOHPACPG31 T-Mobile US Inc 872590104 30481.00000000 NS USD 4414868.04000000 0.086731332173 Long EC CORP US N 1 N N N GARTNER INC PP55B5R38BFB8O8HH686 Gartner Inc 366651AG2 945000.00000000 PA USD 843228.30000000 0.016565458609 Long DBT CORP US N 2 2029-06-15 Fixed 3.62500000 N N N N N N UNITED AIR 2014-1 A PTT N/A United Airlines 2014-1 Class A Pass Through Trust 90932PAA6 4070441.28000000 PA USD 3837500.92000000 0.075388791690 Long DBT CORP US N 2 2026-04-11 Fixed 4.00000000 N N N N N N WAVE 2017-1 LLC N/A WAVE 2017-1 Trust 94353WAA3 2745669.13000000 PA USD 2179704.35000000 0.042820908871 Long ABS-O CORP US N 2 2042-11-15 Fixed 3.84400000 N N N N N N VAR ENERGI ASA 549300LIVN3FFOJN2K47 Var Energi ASA 92212WAE0 10345000.00000000 PA USD 11010080.05000000 0.216296138733 Long DBT CORP NO N 2 2032-11-15 Fixed 8.00000000 N N N N N N AMER AIRLINE 17-2B PTT N/A American Airlines 2017-2 Class B Pass Through Trust 02377DAA0 2673333.38000000 PA USD 2494101.88000000 0.048997337331 Long DBT CORP US N 2 2025-10-15 Fixed 3.70000000 N N N N N N ONEMAIN FINANCE CORP 5493008I795YYBFWFU90 OneMain Finance Corp 85172FAN9 10145000.00000000 PA USD 9752287.05000000 0.191586439259 Long DBT CORP US N 2 2026-03-15 Fixed 7.12500000 N N N N N N Navient Student Loan Trust N/A Navient Private Education Refi Loan Trust 2021-E 63942EAB4 2565000.00000000 PA USD 1677613.11000000 0.032957184355 Long ABS-O CORP US N 2 2069-12-16 Fixed 2.03000000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 United States Treasury Note/Bond 91282CCK5 198045000.00000000 PA USD 195885251.94000000 3.848221215201 Long DBT UST US N 2 2023-06-30 Fixed 0.12500000 N N N N N N VAR ENERGI ASA 549300LIVN3FFOJN2K47 Var Energi ASA 92212WAD2 4695000.00000000 PA USD 4860689.51000000 0.095489621130 Long DBT CORP NO N 2 2028-01-15 Fixed 7.50000000 N N N N N N American Credit Acceptance Receivables Trust N/A American Credit Acceptance Receivables Trust 2021-4 02530TAG6 12980000.00000000 PA USD 12169528.80000000 0.239073837582 Long ABS-O CORP US N 2 2028-02-14 Fixed 1.82000000 N N N N N N Rockford Tower CLO Ltd 549300KPFGDIQ0PMP224 Rockford Tower CLO 2018-1 Ltd 77342JAA1 11585000.00000000 PA USD 11401400.92000000 0.223983747979 Long ABS-CBDO CORP KY N 2 2031-05-20 Floating 6.01500000 N N N N N N BAUSCH HEALTH COS INC B3BS7ACMDUWISF18KY76 Bausch Health Cos Inc 071734AH0 5560000.00000000 PA USD 2112800.00000000 0.041506553979 Long DBT CORP CA N 2 2028-01-30 Fixed 5.00000000 N N N N N N CDW LLC/CDW FINANCE N/A CDW LLC / CDW Finance Corp 12513GBJ7 27510000.00000000 PA USD 23662176.30000000 0.464850150451 Long DBT CORP US N 2 2031-12-01 Fixed 3.56900000 N N N N N N Nelnet Student Loan Trust N/A Nelnet Student Loan Trust 2021-D 64034YAD3 2120000.00000000 PA USD 1749826.80000000 0.034375842734 Long ABS-O CORP US N 2 2062-04-20 Fixed 3.50000000 N N N N N N LCM Ltd Partnership N/A LCM 30 Ltd 50200YAS7 8760000.00000000 PA USD 8458918.80000000 0.166177853929 Long ABS-CBDO CORP KY N 2 2031-04-20 Floating 6.30800000 N N N N N N VICI PROPERTIES / NOTE N/A VICI Properties LP / VICI Note Co Inc 92564RAG0 7500000.00000000 PA USD 7251106.50000000 0.142450039452 Long DBT US N 2 2025-06-15 Fixed 4.62500000 N N N N N N MBIA INSURANCE CO 5493004M1UUDNTDXS107 MBIA Insurance Corp 000000000 80000.00000000 PA USD 8000.00000000 0.000157162264 Long DBT CORP US N 3 2033-01-15 Fixed 16.45300000 N Y N N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 Barclays PLC 06738EBP9 47298000.00000000 PA USD 37098496.57000000 0.728810464998 Long DBT CORP GB N 2 2035-09-23 Fixed 3.56400000 N N N N N N CENTRAL CHN REAL ESTATE 549300JDML9PYG0CIJ22 Central China Real Estate Ltd 000000000 3680000.00000000 PA USD 801430.40000000 0.015744327034 Long DBT CORP KY N 2 2024-07-16 Fixed 7.25000000 N N N N N N Merck & Co Inc 4YV9Y5M8S0BRK1RP0397 Merck & Co Inc 58933Y105 14093.00000000 NS USD 1499354.27000000 0.029455238992 Long EC CORP US N 1 N N N KAISA GROUP HOLDINGS LTD 254900N8L3L7NRJT0120 Kaisa Group Holdings Ltd 000000000 1735000.00000000 PA USD 216458.60000000 0.004252390460 Long DBT CORP KY N 2 2025-11-11 None 0.00000000 Y N N N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 Barclays PLC 06738EBT1 17805000.00000000 PA USD 12171720.92000000 0.239116902400 Long DBT CORP GB N 2 2028-03-15 Fixed 4.37500000 N N N N N N Oak Hill Credit Partners N/A OHA Credit Funding 3 LTD 67112RAY0 9720000.00000000 PA USD 9069929.32000000 0.178181328527 Long ABS-CBDO CORP KY N 2 2035-07-02 Floating 7.70800000 N N N N N N Avis Budget Rental Car Funding AESOP LLC IHXLB8SL0QWSSG2VG640 Avis Budget Rental Car Funding AESOP LLC 05377REN0 13000000.00000000 PA USD 12387024.00000000 0.243346592343 Long ABS-O CORP US N 2 2025-03-20 Fixed 3.04000000 N N N N N N CINC BELL TEL N/A Cincinnati Bell Telephone Co LLC 171875AD9 3825000.00000000 PA USD 3165034.50000000 0.062177998543 Long DBT CORP US N 2 2028-12-01 Fixed 6.30000000 N N N N N N Netflix Inc 549300Y7VHGU0I7CE873 Netflix Inc 64110LAT3 13137000.00000000 PA USD 13805016.45000000 0.271203455354 Long DBT CORP US N 2 2028-11-15 Fixed 5.87500000 N N N N N N ENERGY TRANSFER LP MTLVN9N7JE8MIBIJ1H73 Energy Transfer LP 29273VAQ3 13095000.00000000 PA USD 13411637.10000000 0.263475406686 Long DBT CORP US N 2 2033-02-15 Fixed 5.75000000 N N N N N N NATIONSTAR MTG HLD INC N/A Nationstar Mortgage Holdings Inc 63861CAD1 2635000.00000000 PA USD 2024799.88000000 0.039777766715 Long DBT CORP US N 2 2030-12-15 Fixed 5.12500000 N N N N N N IQOR US Inc. 549300LKMK4MMQCMDH78 IQOR US Inc. 942AEX002 17622.00000000 NS USD 13216.50000000 0.000259641883 Long EC CORP US N 2 N N N COMM Mortgage Trust N/A COMM 2012-LC4 Mortgage Trust 126192AF0 2203334.83000000 PA USD 2125947.32000000 0.041764836802 Long ABS-MBS CORP US N 2 2044-12-10 Variable 4.93400000 N N N N N N WESTERN MIDSTREAM OPERAT L6D8A6MLSY454J2JXJ60 Western Midstream Operating LP 958667AA5 3495000.00000000 PA USD 2965507.50000000 0.058258234156 Long DBT CORP US N 2 2050-02-01 Fixed 5.50000000 N N N N N N SPOTIFY USA INC N/A Spotify USA Inc 84921RAB6 7780000.00000000 PA USD 6511860.00000000 0.127927332733 Long DBT CORP US N 2 2026-03-15 None 0.00000000 N N N N Y Spotify Technology SA Spotify Technology SA USD XXXX N N N Aimco N/A Aimco CLO 12 Ltd 00140LAG9 7810000.00000000 PA USD 7681737.15000000 0.150909900451 Long ABS-CBDO CORP KY N 2 2032-01-17 Floating 5.82800000 N N N N N N TEVA PHARMACEUTICALS NE 5493004T21MOAFINJP35 Teva Pharmaceutical Finance Netherlands III BV 88167AAQ4 10545000.00000000 PA USD 9550729.14000000 0.187626777070 Long DBT CORP NL N 2 2029-05-09 Fixed 5.12500000 N N N N N N Netflix Inc 549300Y7VHGU0I7CE873 Netflix Inc 64110LAU0 2757000.00000000 PA USD 2800932.80000000 0.055025117595 Long DBT CORP US N 2 2029-11-15 Fixed 5.37500000 N N N N N N Altice USA Inc 54930064K3612MGCER95 Altice USA Inc 02156K103 2006877.00000000 NS USD 6863519.34000000 0.134835779996 Long EC CORP US N 1 N N N ArcelorMittal 2EULGUTUI56JI9SAL165 ArcelorMittal SA 03938LAS3 19906000.00000000 PA USD 20176986.75000000 0.396382615338 Long DBT CORP LU N 2 2041-03-01 Fixed 6.75000000 N N N N N N CoreVest American Finance Trust N/A CoreVest American Finance 2021-3 Trust 21873NAL3 2280000.00000000 PA USD 1852842.68000000 0.036399618853 Long ABS-O CORP US N 2 2054-10-15 Fixed 3.46900000 N N N N N N WESTERN DIGITAL CORP 549300QQXOOYEF89IC56 Western Digital Corp 958102AQ8 6775000.00000000 PA USD 5504281.00000000 0.108133158105 Long DBT CORP US N 2 2029-02-01 Fixed 2.85000000 N N N N N N BAUSCH HEALTH COS INC B3BS7ACMDUWISF18KY76 Bausch Health Cos Inc 071734AL1 3015000.00000000 PA USD 1165161.83000000 0.022889933922 Long DBT CORP CA N 2 2031-02-15 Fixed 5.25000000 N N N N N N Credit Suisse Mortgage Trust N/A CSMC 2021-RPL4 Trust 12662GAC2 16378114.31000000 PA USD 15114968.62000000 0.296937836486 Long ABS-MBS CORP US N 2 2060-12-27 Variable 1.79600000 N N N N N N Avis Budget Rental Car Funding AESOP LLC IHXLB8SL0QWSSG2VG640 Avis Budget Rental Car Funding AESOP LLC 05377REK6 1745000.00000000 PA USD 1507793.43000000 0.029621028678 Long ABS-O CORP US N 2 2027-08-20 Fixed 2.13000000 N N N N N N ARES CAPITAL CORP WEQ82666OJYSI5GUAB47 Ares Capital Corp 04010LBC6 17495000.00000000 PA USD 13339643.76000000 0.262061077146 Long DBT CORP US N 2 2031-11-15 Fixed 3.20000000 N N N N N N Bristol-Myers Squibb Co HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co 110122108 15366.00000000 NS USD 1065017.46000000 0.020922569430 Long EC CORP US N 1 N N N CREDIT SUISSE GROUP AG 549300506SI9CRFV9Z86 Credit Suisse Group AG 225401AY4 11755000.00000000 PA USD 11359973.23000000 0.223169889283 Long DBT CORP CH N 2 2026-07-15 Fixed 6.37300000 N N N N N N TEVA PHARM FNC NL II 549300HSQCIKJAOYIT23 Teva Pharmaceutical Finance Netherlands II BV 000000000 6270000.00000000 PA 7004352.75000000 0.137602492195 Long DBT CORP NL N 2 2031-09-15 Fixed 7.87500000 N N N N N N Legacy Mortgage Asset Trust N/A Legacy Mortgage Asset Trust 2021-GS2 52476DAA5 7701258.13000000 PA USD 7187413.24000000 0.141198767332 Long ABS-MBS CORP US N 2 2061-04-25 Variable 1.75000000 N N N N N N LEIDOS INC 5493006I78VIN6J1BQ95 Leidos Inc 52532XAJ4 10470000.00000000 PA USD 10700769.58000000 0.210219647007 Long DBT CORP US N 2 2033-03-15 Fixed 5.75000000 N N N N N N PACIFIC GAS & ELECTRIC 1HNPXZSMMB7HMBMVBS46 Pacific Gas and Electric Co 694308KF3 3790000.00000000 PA USD 3750148.83000000 0.073672735159 Long DBT CORP US N 2 2027-06-15 Fixed 5.45000000 N N N N N N Progress Residential Trust N/A Progress Residential 2021-SFR4 74333EAE2 1635000.00000000 PA USD 1424100.04000000 0.027976848344 Long ABS-O CORP US N 2 2038-05-17 Fixed 2.40900000 N N N N N N TARGA RESOURCES PARTNERS N/A Targa Resources Partners LP / Targa Resources Partners Finance Corp 87612BBQ4 1380000.00000000 PA USD 1348577.40000000 0.026493184706 Long DBT CORP US N 2 2030-03-01 Fixed 5.50000000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 United States Treasury Bill 912796YU7 159860000.00000000 PA USD 159654912.41000000 3.136465940965 Long STIV UST US N 2 2023-04-13 None 0.00000000 N N N N N N GENM CAPITAL LABUAN 254900DWSHIWTSE0YG58 Genm Capital Labuan Ltd 37231BAA6 19755000.00000000 PA USD 15349059.93000000 0.301536626525 Long DBT CORP MY N 2 2031-04-19 Fixed 3.88200000 N N N N N N NATWEST GROUP PLC 2138005O9XJIJN4JPN90 NatWest Group PLC 639057AB4 22550000.00000000 PA USD 17207679.50000000 0.338049734017 Long DBT CORP GB N 2 2035-11-28 Fixed 3.03200000 N N N N N N Fixed Income Clearing Corp 549300H47WTHXPU08X20 FIXED INC CLEARING CORP.REPO 000000000 27274400.63000000 PA USD 27274400.63000000 0.535813319771 Long RA CORP US N 2 Repurchase N 2.10000000 2023-04-03 28536700.00000000 USD 27819943.74000000 USD UST N N N TIMES CHINA HLDG LTD 2549000KTINB9ZPZP710 Times China Holdings Ltd 000000000 1120000.00000000 PA USD 168571.20000000 0.003311628934 Long DBT CORP KY N 2 2027-01-14 Fixed 5.75000000 Y N N N N N Bankers Healthcare Group Securitization Trust N/A BHG Securitization Trust 2022-A 054977AB9 13505000.00000000 PA USD 12061831.39000000 0.236958091482 Long ABS-O CORP US N 2 2035-02-20 Fixed 2.70000000 N N N N N N AMER AIRLINE 16-3 B PTT N/A American Airlines 2016-3 Class B Pass Through Trust 023771S41 2910399.95000000 PA USD 2689151.35000000 0.052829139373 Long DBT CORP US N 2 2025-10-15 Fixed 3.75000000 N N N N N N Aqua Finance Trust N/A Aqua Finance Trust 2021-A 03842VAB3 2410000.00000000 PA USD 2001011.91000000 0.039310445312 Long ABS-O CORP US N 2 2046-07-17 Fixed 2.40000000 N N N N N N Bank of America N.A. B4TYDEB6GKMZO031MB27 PURCHASED USD / SOLD EUR 000000000 1.00000000 NC -325486.96000000 -0.00639428345 N/A DFE US N 2 Bank of America N.A. B4TYDEB6GKMZO031MB27 12884000.00000000 EUR 13708576.00000000 USD 2023-06-21 -325486.96000000 N N N 2023-04-28 LOOMIS SAYLES FUNDS I John Sgroi John Sgroi Assistant Treasurer XXXX NPORT-EX 2 NPORT_4833_93105911_0323.htm HTML

PORTFOLIO OF INVESTMENTS – as of March 31, 2023 (Unaudited)

Loomis Sayles Bond Fund

 

Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – 82.5% of Net Assets

 
 

Non-Convertible Bonds – 76.1%

 
   ABS Car Loan – 4.1%

 

$ 12,980,000      American Credit Acceptance Receivables Trust, Series 2021-4, Class D,
1.820%, 2/14/2028, 144A
   $ 12,169,529  
  3,685,000      American Credit Acceptance Receivables Trust, Series 2022-1, Class D,
2.460%, 3/13/2028, 144A
     3,427,684  
  1,470,000      American Credit Acceptance Receivables Trust, Series 2022-4, Class C,
7.860%, 2/15/2029, 144A
     1,521,445  
  13,000,000      Avis Budget Rental Car Funding AESOP LLC, Series 2018-2A, Class D,
3.040%, 3/20/2025, 144A
     12,387,024  
  1,680,000      Avis Budget Rental Car Funding AESOP LLC, Series 2019-2A, Class C,
4.240%, 9/22/2025, 144A
     1,619,658  
  6,300,000      Avis Budget Rental Car Funding AESOP LLC, Series 2019-3A, Class C,
3.150%, 3/20/2026, 144A
     5,859,977  
  3,880,000      Avis Budget Rental Car Funding AESOP LLC, Series 2020-2A, Class C,
4.250%, 2/20/2027, 144A
     3,624,781  
  1,745,000      Avis Budget Rental Car Funding AESOP LLC, Series 2021-1A, Class C,
2.130%, 8/20/2027, 144A
     1,507,793  
  3,470,000      Avis Budget Rental Car Funding AESOP LLC, Series 2021-2A, Class C,
2.350%, 2/20/2028, 144A
     2,965,558  
  1,255,000      CarMax Auto Owner Trust, Series 2022-1, Class D,
2.470%, 7/17/2028
     1,085,665  
  4,543,348      Carvana Auto Receivables Trust, Series 2021-N3, Class C,
1.020%, 6/12/2028
     4,323,809  
  2,554,130      Carvana Auto Receivables Trust, Series 2021-N4, Class C,
1.720%, 9/11/2028
     2,457,094  
  6,410,000      Carvana Auto Receivables Trust, Series 2021-N4, Class D,
2.300%, 9/11/2028
     5,946,783  
  6,400,000      Carvana Auto Receivables Trust, Series 2021-P3, Class C,
1.930%, 10/12/2027
     5,229,726  
  3,032,000      Carvana Auto Receivables Trust, Series 2021-P4, Class C,
2.330%, 2/10/2028
     2,625,062  
  4,020,000      Credit Acceptance Auto Loan Trust, Series 2021-3A, Class C,
1.630%, 9/16/2030, 144A
     3,699,967  
  8,080,000      Credit Acceptance Auto Loan Trust, Series 2021-4, Class C,
1.940%, 2/18/2031, 144A
     7,381,049  
  3,355,915      DT Auto Owner Trust, Series 2020-3A, Class C,
1.470%, 6/15/2026, 144A
     3,277,139  
  7,980,000      DT Auto Owner Trust, Series 2021-4A, Class D,
1.990%, 9/15/2027, 144A
     7,211,034  
  11,340,000      Exeter Automobile Receivables Trust, Series 2021-2A, Class D,
1.400%, 4/15/2027
     10,543,286  
  15,295,000      Exeter Automobile Receivables Trust, Series 2021-3A, Class D,
1.550%, 6/15/2027
     14,089,122  
  2,010,000      Exeter Automobile Receivables Trust, Series 2022-6A, Class C,
6.320%, 5/15/2028
     2,045,154  
  2,820,000      First Investors Auto Owner Trust, Series 2022-2A, Class D,
8.710%, 10/16/2028, 144A
     2,940,140  
  5,245,000      Flagship Credit Auto Trust, Series 2021-2, Class D,
1.590%, 6/15/2027, 144A
     4,660,838  
  6,565,000      Flagship Credit Auto Trust, Series 2021-3, Class D,
1.650%, 9/15/2027, 144A
     5,825,576  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   ABS Car Loan – continued

 

$ 5,260,000      Foursight Capital Automobile Receivables Trust, Series 2021-2, Class D,
1.920%, 9/15/2027, 144A
   $ 4,818,589  
  10,265,000      GLS Auto Receivables Issuer Trust, Series 2021-3A, Class D,
1.480%, 7/15/2027, 144A
     9,298,102  
  16,820,000      GLS Auto Receivables Issuer Trust, Series 2021-4A, Class D,
2.480%, 10/15/2027, 144A
     15,366,732  
  11,029,000      Hertz Vehicle Financing III LLC, Series 2022-1A, Class D,
4.850%, 6/25/2026, 144A
     10,001,737  
  8,512,000      Hertz Vehicle Financing III LLC, Series 2022-3A, Class D,
6.310%, 3/25/2025, 144A
     8,376,217  
  4,380,000      Hertz Vehicle Financing III LLC, Series 2023-2A, Class D,
9.400%, 9/25/2029, 144A
     4,475,392  
  6,205,000      Hertz Vehicle Financing LLC, Series 2022-4A, Class D,
6.560%, 9/25/2026, 144A
     5,910,232  
  1,564,707      JPMorgan Chase Bank N.A, Series 2021-3, Class D,
1.009%, 2/26/2029, 144A
     1,474,842  
  8,375,000      Prestige Auto Receivables Trust, Series 2022-1A, Class D,
8.080%, 8/15/2028, 144A
     8,521,310  
  1,940,994      Santander Bank N.A., Series 2021-1A, Class B,
1.833%, 12/15/2031, 144A
     1,863,330  
  10,510,000      Westlake Automobile Receivables Trust, Series 2021-3A, Class D,
2.120%, 1/15/2027, 144A
     9,734,667  
     

 

 

 
        208,266,043  
     

 

 

 
     
   ABS Credit Card – 0.0%   
  1,245,000      Mission Lane Credit Card Master Trust, Series 2021-A, Class B,
2.240%, 9/15/2026, 144A
     1,186,489  
     

 

 

 
   ABS Home Equity – 4.3%

 

  9,710,304      510 Asset-Backed Trust, Series 2021-NPL1, Class A1,
2.240%, 6/25/2061, 144A(a)
     8,906,010  
  12,850,000      CAFL Issuer LLC, Series 2021-RTL1, Class A1,
2.239%, 3/28/2029, 144A(a)
     11,736,025  
  2,715,000      CoreVest American Finance Ltd., Series 2021-1, Class C,
2.800%, 4/15/2053, 144A
     2,259,163  
  4,647,000      CoreVest American Finance Ltd., Series 2021-2, Class C,
2.478%, 7/15/2054, 144A
     3,719,452  
  2,280,000      CoreVest American Finance Ltd., Series 2021-3, Class D,
3.469%, 10/15/2054, 144A
     1,852,843  
  16,378,114      Credit Suisse Mortgage Trust, Series 2021-RPL4, Class A1,
1.796%, 12/27/2060, 144A(a)
     15,114,969  
  3,716,673      Credit Suisse Mortgage Trust, Series 2021-RPL6, Class M2,
3.125%, 10/25/2060, 144A
     2,884,875  
  7,995,000      FirstKey Homes Trust, Series 2021-SFR1, Class E1,
2.389%, 8/17/2038, 144A
     6,800,735  
  5,272,000      FirstKey Homes Trust, Series 2021-SFR2, Class E1,
2.258%, 9/17/2038, 144A
     4,506,977  
  3,120,000      FirstKey Homes Trust, Series 2021-SFR2, Class E2,
2.358%, 9/17/2038, 144A
     2,655,330  
  2,210,000      FRTKL Group, Inc., Series 2021-SFR1, Class E1,
2.372%, 9/17/2038, 144A
     1,866,799  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   ABS Home Equity – continued

 

$ 1,930,000      FRTKL Group, Inc., Series 2021-SFR1, Class E2,
2.522%, 9/17/2038, 144A
   $ 1,620,119  
  1,276,042      Home Partners of America Trust, Series 2021-1, Class E,
2.577%, 9/17/2041, 144A
     1,012,692  
  12,635,625      Home Partners of America Trust, Series 2021-2, Class E1,
2.852%, 12/17/2026, 144A
     11,034,226  
  6,322,654      Home Partners of America Trust, Series 2021-2, Class E2,
2.952%, 12/17/2026, 144A
     5,522,935  
  7,701,258      Legacy Mortgage Asset Trust, Series 2021-GS2, Class A1,
1.750%, 4/25/2061, 144A(a)
     7,187,413  
  2,538,356      Legacy Mortgage Asset Trust, Series 2021-GS4, Class A1,
1.650%, 11/25/2060, 144A(a)
     2,324,171  
  1,720,000      Mill City Mortgage Loan Trust, Series 2019-GS1, Class M2,
3.250%, 7/25/2059, 144A(a)
     1,425,777  
  1,635,000      Progress Residential Trust, Series 2021-SFR4, Class E1,
2.409%, 5/17/2038, 144A
     1,424,100  
  1,145,000      Progress Residential Trust, Series 2021-SFR4, Class E2,
2.559%, 5/17/2038, 144A
     994,308  
  3,535,000      Progress Residential Trust, Series 2021-SFR5, Class E1,
2.209%, 7/17/2038, 144A
     3,014,015  
  925,000      Progress Residential Trust, Series 2021-SFR5, Class E2,
2.359%, 7/17/2038, 144A
     785,444  
  4,495,000      Progress Residential Trust, Series 2021-SFR6, Class E1,
2.425%, 7/17/2038, 144A
     3,860,489  
  2,300,000      Progress Residential Trust, Series 2021-SFR6, Class E2,
2.525%, 7/17/2038, 144A
     2,003,243  
  5,280,000      Progress Residential Trust, Series 2021-SFR7, Class E1,
2.591%, 8/17/2040, 144A
     4,403,513  
  1,445,000      Progress Residential Trust, Series 2021-SFR7, Class E2,
2.640%, 8/17/2040, 144A
     1,196,710  
  1,705,000      Progress Residential Trust, Series 2021-SFR9, Class E1,
2.811%, 11/17/2040, 144A
     1,404,190  
  1,175,000      Progress Residential Trust, Series 2021-SFR9, Class E2,
3.010%, 11/17/2040, 144A
     969,859  
  6,759,966      PRPM LLC, Series 2021-10, Class A1,
2.487%, 10/25/2026, 144A(a)
     6,233,536  
  11,292,562      PRPM LLC, Series 2021-4, Class A1,
1.867%, 4/25/2026, 144A(a)
     10,748,333  
  10,207,091      PRPM LLC, Series 2021-5, Class A1,
1.793%, 6/25/2026, 144A(a)
     9,481,612  
  7,103,447      PRPM LLC, Series 2021-8, Class A1,
1.743%, 9/25/2026, 144A(a)
     6,636,031  
  7,523,253      PRPM LLC, Series 2021-9, Class A1,
2.363%, 10/25/2026, 144A(a)
     7,103,227  
  9,673,815      PRPM LLC, Series 2022-5, Class A1,
6.900%, 9/27/2027, 144A(a)
     9,630,021  
  12,050,000      Toorak Mortgage Corp. Ltd., Series 2021-1, Class A1,
2.240%, 6/25/2024, 144A(a)
     11,350,912  
  170,000      Towd Point Mortgage Trust, Series 2015-4, Class M2,
3.750%, 4/25/2055, 144A(a)
     165,335  
  3,660,000      Towd Point Mortgage Trust, Series 2016-3, Class M2,
4.000%, 4/25/2056, 144A(a)
     3,524,259  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   ABS Home Equity – continued

 

$ 430,000      Towd Point Mortgage Trust, Series 2017-3, Class A2,
3.000%, 7/25/2057, 144A(a)
   $ 403,114  
  1,195,000      Towd Point Mortgage Trust, Series 2019-4, Class M1,
3.500%, 10/25/2059, 144A(a)
     1,031,905  
  905,000      Towd Point Mortgage Trust, Series 2020-1, Class A2B,
3.250%, 1/25/2060, 144A(a)
     758,681  
  495,000      Towd Point Mortgage Trust, Series 2020-2, Class A2B,
3.000%, 4/25/2060, 144A(a)
     392,184  
  2,015,000      Tricon Residential Trust, Series 2021-SFR1, Class E1,
2.794%, 7/17/2038, 144A
     1,781,989  
  5,360,000      Tricon Residential Trust, Series 2021-SFR1, Class E2,
2.894%, 7/17/2038, 144A
     4,725,663  
  221,943      VCAT LLC, Series 2021-NPL1, Class A1,
2.289%, 12/26/2050, 144A(a)
     211,768  
  9,131,610      VCAT LLC, Series 2021-NPL5, Class A1,
1.868%, 8/25/2051, 144A(a)
     8,427,348  
  14,811,493      VCAT LLC, Series 2021-NPL6, Class A1,
1.917%, 9/25/2051, 144A(a)
     13,702,488  
  8,455,880      VOLT XCIV LLC, Series 2021-NPL3, Class A1,
2.240%, 2/27/2051, 144A(a)
     7,912,978  
     

 

 

 
        216,707,766  
     

 

 

 
   ABS Other – 2.7%

 

  1,290,000      Affirm Asset Securitization Trust, Series 2021-B, Class C,
1.400%, 8/17/2026, 144A
     1,188,606  
  6,742,749      Apollo Aviation Securitization Equity Trust, Series 2021-1A, Class A,
2.950%, 11/16/2041, 144A
     6,075,352  
  2,410,000      Aqua Finance Trust, Series 2021-A, Class B,
2.400%, 7/17/2046, 144A
     2,001,012  
  13,505,000      BHG Securitization Trust, Series 2022-A, Class B,
2.700%, 2/20/2035, 144A
     12,061,831  
  10,724,250      DB Master Finance LLC, Series 2021-1A, Class A2II,
2.493%, 11/20/2051, 144A
     9,103,859  
  691,570      Elara HGV Timeshare Issuer LLC, Series 2021-A, Class C,
2.090%, 8/27/2035, 144A
     617,524  
  1,431,284      FREED ABS Trust, Series 2021-2, Class C,
1.940%, 6/19/2028, 144A
     1,401,569  
  3,495,000      FREED ABS Trust, Series 2021-3FP, Class D,
2.370%, 11/20/2028, 144A
     3,214,643  
  3,565,000      FREED ABS Trust, Series 2022-1FP, Class D,
3.350%, 3/19/2029, 144A
     3,189,166  
  64,001      HIN Timeshare Trust, Series 2020-A, Class C,
3.420%, 10/09/2039, 144A
     59,313  
  3,980,000      HPEFS Equipment Trust, Series 2021-1A, Class D,
1.030%, 3/20/2031, 144A
     3,807,093  
  3,645,000      HPEFS Equipment Trust, Series 2022-1A, Class D,
2.400%, 11/20/2029, 144A
     3,416,284  
  9,884,448      Lunar Structured Aircraft Portfolio Notes, Series 2021-1, Class A,
2.636%, 10/15/2046, 144A
     8,632,889  
  17,488,549      MAPS Trust, Series 2021-1A, Class A,
2.521%, 6/15/2046, 144A
     14,980,604  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   ABS Other – continued

 

$ 1,733,000      Marlette Funding Trust, Series 2021-2A, Class C,
1.500%, 9/15/2031, 144A
   $ 1,619,039  
  3,210,000      Marlette Funding Trust, Series 2021-3A, Class C,
1.810%, 12/15/2031, 144A
     2,920,726  
  11,064,322      MVW LLC, Series 2021-2A, Class C,
2.230%, 5/20/2039, 144A
     9,792,100  
  15,054,836      Navigator Aircraft ABS Ltd., Series 2021-1, Class A,
2.771%, 11/15/2046, 144A(a)
     13,016,527  
  3,250,000      Nelnet Student Loan Trust, Series 2021-A, Class B2,
2.850%, 4/20/2062, 144A
     2,694,931  
  1,145,000      OneMain Financial Issuance Trust, Series 2018-2A, Class A,
3.570%, 3/14/2033, 144A
     1,125,789  
  1,835,000      OneMain Financial Issuance Trust, Series 2020-2A, Class A,
1.750%, 9/14/2035, 144A
     1,646,796  
  5,485,000      OneMain Financial Issuance Trust, Series 2021-1A, Class D,
2.470%, 6/16/2036, 144A
     4,319,488  
  800,000      Republic Finance Issuance Trust, Series 2021-A, Class C,
3.530%, 12/22/2031, 144A
     707,425  
  725,000      SCF Equipment Leasing LLC, Series 2021-1A, Class D,
1.930%, 9/20/2030, 144A
     651,309  
  4,060,000      SCF Equipment Leasing LLC, Series 2022-2A, Class C,
6.500%, 8/20/2032, 144A
     4,055,030  
  869,834      Shenton Aircraft Investment I Ltd., Series 2015-1A, Class A,
4.750%, 10/15/2042, 144A
     713,290  
  14,703,806      SLAM Ltd., Series 2021-1A, Class A,
2.434%, 6/15/2046, 144A
     12,723,247  
  1,440,000      SoFi Consumer Loan Program Trust, Series 2021-1, Class D,
2.040%, 9/25/2030, 144A
     1,319,084  
  2,745,669      WAVE Trust, Series 2017-1A, Class A,
3.844%, 11/15/2042, 144A
     2,179,704  
  12,185,109      Willis Engine Structured Trust VI, Series 2021-A, Class A,
3.104%, 5/15/2046, 144A
     9,626,894  
     

 

 

 
        138,861,124  
     

 

 

 
   ABS Student Loan – 0.5%

 

  2,550,051      College Ave Student Loans LLC, Series 2021-A, Class C,
2.920%, 7/25/2051, 144A
     2,270,916  
  2,157,000      College Ave Student Loans LLC, Series 2021-C, Class D,
4.110%, 7/26/2055, 144A
     1,795,031  
  734,989      ELFI Graduate Loan Program LLC, Series 2021-A, Class B,
2.090%, 12/26/2046, 144A(a)
     633,717  
  2,565,000      Navient Private Education Refi Loan Trust, Series 2021-EA, Class B,
2.030%, 12/16/2069, 144A
     1,677,613  
  5,895,000      Navient Private Education Refi Loan Trust, Series 2021-FA, Class B,
2.120%, 2/18/2070, 144A
     3,869,806  
  2,120,000      Nelnet Student Loan Trust, Series 2021-DA, Class C,
3.500%, 4/20/2062, 144A
     1,749,827  
  863,000      Nelnet Student Loan Trust, Series 2021-DA, Class D,
4.380%, 4/20/2062, 144A
     694,517  
  5,735,000      SMB Private Education Loan Trust, Series 2021-B, Class B,
2.650%, 7/17/2051, 144A
     4,660,880  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   ABS Student Loan – continued

 

$ 7,070,000      SMB Private Education Loan Trust, Series 2021-E, Class B,
2.490%, 2/15/2051, 144A
   $ 5,675,075  
  630,000      SoFi Professional Loan Program LLC, Series 2017-A, Class C,
4.430%, 3/26/2040, 144A(a)
     586,054  
     

 

 

 
        23,613,436  
     

 

 

 
   ABS Whole Business – 0.6%

 

  9,470,000      Applebee’s Funding LLC/IHOP Funding LLC, Series 2023-1A, Class A2,
7.824%, 3/05/2053, 144A(b)
     9,580,607  
  1,669,450      DB Master Finance LLC, Series 2019-1A, Class A23,
4.352%, 5/20/2049, 144A
     1,574,684  
  7,211,550      Domino’s Pizza Master Issuer LLC, Series 2021-1A, Class A2I,
2.662%, 4/25/2051, 144A
     6,168,378  
  3,414,188      Hardee’s Funding LLC, Series 2021-1A, Class A2,
2.865%, 6/20/2051, 144A
     2,756,174  
  1,141,650      Planet Fitness Master Issuer LLC, Series 2019-1A, Class A2,
3.858%, 12/05/2049, 144A
     988,036  
  202,950      Planet Fitness Master Issuer LLC, Series 2022-1A, Class A2I,
3.251%, 12/05/2051, 144A
     182,969  
  11,053,125      Wendy’s Funding LLC, Series 2021-1A, Class A2I,
2.370%, 6/15/2051, 144A
     9,271,571  
     

 

 

 
        30,522,419  
     

 

 

 
   Aerospace & Defense – 0.2%

 

  4,830,000      Boeing Co.,
5.150%, 5/01/2030
     4,860,197  
  5,295,000      TransDigm, Inc.,
6.750%, 8/15/2028, 144A
     5,347,950  
     

 

 

 
        10,208,147  
     

 

 

 
   Airlines – 1.8%

 

  21,828,987      Air Canada Pass-Through Trust, Series 2020-2A, Class A,
5.250%, 10/01/2030, 144A
     21,307,274  
  2,910,400      American Airlines Pass-Through Trust, Series 2016-3, Class B,
3.750%, 4/15/2027
     2,689,151  
  2,673,333      American Airlines Pass-Through Trust, Series 2017-2, Class B,
3.700%, 4/15/2027
     2,494,102  
  35,695,750      Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd.,
6.500%, 6/20/2027, 144A
     35,580,810  
  4,070,441      United Airlines Pass-Through Trust, Series 2014-1, Class A,
4.000%, 10/11/2027
     3,837,501  
  24,322,382      United Airlines Pass-Through Trust, Series 2020-1, Class A,
5.875%, 4/15/2029
     24,162,827  
  3,480,035      United Airlines Pass-Through Trust, Series 2020-1, Class B,
4.875%, 7/15/2027
     3,355,763  
     

 

 

 
        93,427,428  
     

 

 

 
   Automotive – 1.0%

 

  9,890,000      Ford Motor Co.,
4.750%, 1/15/2043
     7,583,949  
  1,560,000      Ford Motor Co.,
6.625%, 2/15/2028
     1,578,470  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Automotive – continued

 

$ 1,580,000      Ford Motor Co.,
7.500%, 8/01/2026
   $ 1,637,022  
  4,310,000      General Motors Financial Co., Inc.,
3.100%, 1/12/2032
     3,511,818  
  30,275,000      General Motors Financial Co., Inc.,
3.600%, 6/21/2030
     26,525,404  
  10,060,000      General Motors Financial Co., Inc.,
6.400%, 1/09/2033
     10,371,694  
  815,000      General Motors Financial Co., Inc., Series A, (fixed rate to 9/30/2027, variable rate thereafter),
5.750%(c)
     659,527  
  1,305,000      General Motors Financial Co., Inc., Series C, (fixed rate to 9/30/2030, variable rate thereafter),
5.700%(c)
     1,123,148  
     

 

 

 
        52,991,032  
     

 

 

 
   Banking – 4.4%

 

  20,700,000      Ally Financial, Inc., Series B, (fixed rate to 5/15/2026, variable rate thereafter),
4.700%(c)
     14,852,250  
  15,605,000      Ally Financial, Inc., Series C, (fixed rate to 5/15/2028, variable rate thereafter),
4.700%(c)
     10,408,535  
  17,805,000      Barclays PLC, (fixed rate to 3/15/2028, variable rate thereafter),
4.375%(c)
     12,171,721  
  47,298,000      Barclays PLC, (fixed rate to 9/23/2030, variable rate thereafter),
3.564%, 9/23/2035
     37,098,497  
  14,253,000      BNP Paribas SA, (fixed rate to 8/12/2030, variable rate thereafter),
2.588%, 8/12/2035, 144A
     10,912,952  
  8,140,000      Credit Agricole SA, (fixed rate to 1/10/2028, variable rate thereafter),
4.000%, 1/10/2033
     7,365,235  
  605,000      Credit Suisse Group AG, (fixed rate to 1/12/2028, variable rate thereafter),
3.869%, 1/12/2029, 144A
     538,633  
  5,470,000      Credit Suisse Group AG, (fixed rate to 11/15/2032, variable rate thereafter),
9.016%, 11/15/2033, 144A
     6,481,403  
  510,000      Credit Suisse Group AG, (fixed rate to 5/14/2031, variable rate thereafter),
3.091%, 5/14/2032, 144A
     410,025  
  8,165,000      Credit Suisse Group AG, (fixed rate to 6/05/2025, variable rate thereafter),
2.193%, 6/05/2026, 144A
     7,268,507  
  11,755,000      Credit Suisse Group AG, (fixed rate to 7/15/2025, variable rate thereafter),
6.373%, 7/15/2026, 144A
     11,359,973  
  11,645,000      Credit Suisse Group AG, (fixed rate to 8/11/2027, variable rate thereafter),
6.442%, 8/11/2028, 144A
     11,570,355  
  8,545,000      Credit Suisse Group AG, (fixed rate to 8/12/2032, variable rate thereafter),
6.537%, 8/12/2033, 144A
     8,800,325  
  4,195,000      Deutsche Bank AG, (fixed rate to 10/07/2031, variable rate thereafter),
3.742%, 1/07/2033
     3,035,119  
  25,209,000      Deutsche Bank AG, (fixed rate to 10/14/2030, variable rate thereafter),
3.729%, 1/14/2032
     18,800,625  
  2,275,000      Deutsche Bank AG, (fixed rate to 12/01/2027, variable rate thereafter),
4.875%, 12/01/2032
     1,848,140  
  3,380,000      Intesa Sanpaolo SpA, (fixed rate to 6/01/2031, variable rate thereafter),
4.198%, 6/01/2032, 144A
     2,430,761  
  6,965,000      Morgan Stanley, (fixed rate to 1/19/2033, variable rate thereafter),
5.948%, 1/19/2038
     6,926,112  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Banking – continued

 

$ 22,550,000      NatWest Group PLC, (fixed rate to 8/28/2030, variable rate thereafter),
3.032%, 11/28/2035
   $ 17,207,679  
  2,900,000      NatWest Group PLC, (fixed rate to 9/30/2027, variable rate thereafter),
5.516%, 9/30/2028
     2,873,443  
  4,370,000      Synchrony Bank,
5.400%, 8/22/2025
     4,097,618  
  8,885,000      Synchrony Bank,
5.625%, 8/23/2027
     8,165,137  
  22,400,000      UniCredit SpA, (fixed rate to 6/30/2030, variable rate thereafter),
5.459%, 6/30/2035, 144A
     18,452,316  
     

 

 

 
        223,075,361  
     

 

 

 
   Brokerage – 0.1%

 

  5,731,000      Jefferies Financial Group, Inc.,
6.250%, 1/15/2036
     5,896,298  
     

 

 

 
   Building Materials – 1.3%

 

  45,059,000      Cemex SAB de CV,
3.875%, 7/11/2031, 144A
     37,539,282  
  305,000      Cemex SAB de CV, (fixed rate to 3/14/2028, variable rate thereafter),
9.125%, 144A(c)
     305,443  
  15,360,000      Cemex SAB de CV, (fixed rate to 6/08/2026, variable rate thereafter),
5.125%, 144A(c)
     13,754,112  
  4,057,000      Masco Corp.,
6.500%, 8/15/2032
     4,308,666  
  4,534,000      Masco Corp.,
7.750%, 8/01/2029
     5,074,590  
  6,344,000      Owens Corning,
7.000%, 12/01/2036
     7,061,647  
     

 

 

 
        68,043,740  
     

 

 

 
   Cable Satellite – 4.2%

 

  36,985,000      CCO Holdings LLC/CCO Holdings Capital Corp.,
4.250%, 1/15/2034, 144A
     28,926,708  
  11,015,000      Charter Communications Operating LLC/Charter Communications Operating Capital,
2.300%, 2/01/2032
     8,392,756  
  35,342,000      Charter Communications Operating LLC/Charter Communications Operating Capital,
2.800%, 4/01/2031
     28,449,026  
  24,940,000      Charter Communications Operating LLC/Charter Communications Operating Capital,
3.700%, 4/01/2051
     15,961,036  
  1,438,000      Charter Communications Operating LLC/Charter Communications Operating Capital,
3.850%, 4/01/2061
     896,573  
  46,770,000      Charter Communications Operating LLC/Charter Communications Operating Capital,
3.950%, 6/30/2062
     29,634,992  
  6,805,000      Charter Communications Operating LLC/Charter Communications Operating Capital,
4.400%, 4/01/2033
     6,038,835  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Cable Satellite – continued

 

$ 5,935,000      Charter Communications Operating LLC/Charter Communications Operating Capital,
5.125%, 7/01/2049
   $ 4,697,928  
  3,070,000      CSC Holdings LLC,
3.375%, 2/15/2031, 144A
     2,123,366  
  475,000      CSC Holdings LLC,
4.125%, 12/01/2030, 144A
     341,140  
  205,000      CSC Holdings LLC,
4.500%, 11/15/2031, 144A
     147,807  
  45,882,000      CSC Holdings LLC,
4.625%, 12/01/2030, 144A
     22,624,414  
  1,875,000      CSC Holdings LLC,
5.000%, 11/15/2031, 144A
     949,472  
  22,585,000      CSC Holdings LLC,
5.375%, 2/01/2028, 144A
     18,503,017  
  1,390,000      CSC Holdings LLC,
5.750%, 1/15/2030, 144A
     731,870  
  9,430,000      DISH DBS Corp.,
5.125%, 6/01/2029
     5,021,475  
  26,600,000      DISH DBS Corp.,
5.250%, 12/01/2026, 144A
     21,224,007  
  4,415,000      DISH DBS Corp.,
5.750%, 12/01/2028, 144A
     3,294,694  
  14,719,000      DISH DBS Corp.,
7.750%, 7/01/2026
     9,714,540  
  6,190,000      Time Warner Cable LLC,
4.500%, 9/15/2042
     4,753,624  
  535,000      Time Warner Cable LLC,
5.875%, 11/15/2040
     484,888  
     

 

 

 
        212,912,168  
     

 

 

 
   Chemicals – 0.4%

 

  1,995,000      Braskem Netherlands Finance BV,
4.500%, 1/31/2030, 144A
     1,694,335  
  10,170,000      Braskem Netherlands Finance BV,
5.875%, 1/31/2050, 144A
     7,637,519  
  4,310,000      Celanese U.S. Holdings LLC,
6.330%, 7/15/2029
     4,357,453  
  3,175,000      Celanese U.S. Holdings LLC,
6.379%, 7/15/2032
     3,218,462  
  1,360,000      INEOS Quattro Finance 2 PLC,
3.375%, 1/15/2026, 144A
     1,232,495  
     

 

 

 
        18,140,264  
     

 

 

 
   Construction Machinery – 0.1%

 

  2,300,000      Ashtead Capital, Inc.,
5.500%, 8/11/2032, 144A
     2,259,425  
  3,425,000      Ashtead Capital, Inc.,
5.550%, 5/30/2033, 144A
     3,384,272  
     

 

 

 
        5,643,697  
     

 

 

 


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Consumer Cyclical Services – 2.3%

 

  $2,700,000      Expedia Group, Inc.,
2.950%, 3/15/2031
   $ 2,252,998  
  5,976,000      Expedia Group, Inc.,
3.250%, 2/15/2030
     5,178,792  
  14,700,000      TriNet Group, Inc.,
3.500%, 3/01/2029, 144A
     12,568,635  
  33,255,000      Uber Technologies, Inc.,
4.500%, 8/15/2029, 144A
     30,303,619  
  20,723,000      Uber Technologies, Inc.,
6.250%, 1/15/2028, 144A
     20,671,192  
  44,403,000      Uber Technologies, Inc.,
7.500%, 9/15/2027, 144A
     45,784,377  
  1,720,000      Uber Technologies, Inc.,
8.000%, 11/01/2026, 144A
     1,763,396  
     

 

 

 
        118,523,009  
     

 

 

 
   Consumer Products – 0.4%

 

  12,778,000      Avon Products, Inc.,
8.450%, 3/15/2043
     12,788,222  
  9,385,000      Natura Cosmeticos SA,
4.125%, 5/03/2028, 144A
     7,641,532  
     

 

 

 
        20,429,754  
     

 

 

 
   Electric – 0.9%

 

  27,504,380      Alta Wind Holdings LLC,
7.000%, 6/30/2035, 144A
     26,479,823  
  8,663,000      Enel Generacion Chile SA,
7.875%, 2/01/2027
     9,281,282  
  7,615,000      Pacific Gas & Electric Co.,
4.300%, 3/15/2045
     5,728,793  
  3,790,000      Pacific Gas & Electric Co.,
5.450%, 6/15/2027
     3,750,149  
     

 

 

 
        45,240,047  
     

 

 

 
   Finance Companies – 4.6%

 

  7,880,000      AerCap Ireland Capital DAC/AerCap Global Aviation Trust,
3.000%, 10/29/2028
     6,879,415  
  12,050,000      AerCap Ireland Capital DAC/AerCap Global Aviation Trust,
3.300%, 1/30/2032
     9,982,553  
  3,100,000      AGFC Capital Trust I,
3 mo. USD LIBOR + 1.750%, 6.542%, 1/15/2067, 144A(d)
     1,587,262  
  6,606,000      Air Lease Corp.,
4.625%, 10/01/2028
     6,268,178  
  17,166,000      Air Lease Corp., Series B, (fixed rate to 6/15/2026, variable rate thereafter),
4.650%(c)
     14,255,738  
  5,325,000      Aircastle Ltd., Series A (fixed rate to 6/15/2026, variable rate thereafter),
5.250%, 144A(c)
     3,885,120  
  12,465,000      Ares Capital Corp.,
2.875%, 6/15/2028
     10,250,099  
  17,495,000      Ares Capital Corp.,
3.200%, 11/15/2031
     13,339,644  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Finance Companies – continued

 

  $3,260,000      Aviation Capital Group LLC,
1.950%, 1/30/2026, 144A
   $ 2,898,998  
  6,740,000      Aviation Capital Group LLC,
6.250%, 4/15/2028, 144A
     6,746,066  
  9,790,000      Barings BDC, Inc.,
3.300%, 11/23/2026
     8,664,523  
  22,260,000      Blackstone Secured Lending Fund,
2.125%, 2/15/2027
     18,568,609  
  11,475,000      FS KKR Capital Corp.,
3.125%, 10/12/2028
     9,389,997  
  10,145,000      OneMain Finance Corp.,
7.125%, 3/15/2026
     9,752,287  
  7,975,000      Owl Rock Capital Corp.,
2.875%, 6/11/2028
     6,466,431  
  14,750,000      Owl Rock Capital Corp.,
4.250%, 1/15/2026
     13,548,415  
  13,420,000      Owl Rock Technology Finance Corp.,
4.750%, 12/15/2025, 144A
     12,057,557  
  30,029,000      Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,
2.875%, 10/15/2026, 144A
     26,875,955  
  19,614,000      Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,
3.625%, 3/01/2029, 144A
     16,839,600  
  28,741,000      Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,
3.875%, 3/01/2031, 144A
     23,830,313  
  15,738,000      Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,
4.000%, 10/15/2033, 144A
     12,493,611  
     

 

 

 
        234,580,371  
     

 

 

 
   Financial Other – 1.4%

 

  9,560,000      Agile Group Holdings Ltd.,
6.050%, 10/13/2025
     4,455,534  
  2,700,000      Central China Real Estate Ltd.,
7.250%, 4/24/2023
     823,046  
  3,680,000      Central China Real Estate Ltd.,
7.250%, 7/16/2024
     801,430  
  1,455,000      Central China Real Estate Ltd.,
7.250%, 8/13/2024
     308,984  
  3,675,000      Central China Real Estate Ltd.,
7.500%, 7/14/2025
     770,574  
  945,000      Central China Real Estate Ltd.,
7.650%, 8/27/2023
     237,034  
  730,000      Central China Real Estate Ltd.,
7.750%, 5/24/2024
     160,855  
  2,815,000      CIFI Holdings Group Co. Ltd.,
6.000%, 7/16/2025(e)
     591,403  
  990,000      CIFI Holdings Group Co. Ltd.,
6.450%, 11/07/2024(e)
     207,761  
  7,770,000      Country Garden Holdings Co. Ltd.,
3.300%, 1/12/2031
     3,582,048  
  36,625,000      Icahn Enterprises LP/Icahn Enterprises Finance Corp.,
4.375%, 2/01/2029
     31,497,500  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Financial Other – continued

 

$ 19,485,000      Kaisa Group Holdings Ltd.,
9.375%, 6/30/2024(f)
   $ 2,415,166  
  1,845,000      Kaisa Group Holdings Ltd.,
9.950%, 7/23/2025(f)
     230,201  
  2,400,000      Kaisa Group Holdings Ltd.,
10.500%, 1/15/2025(f)
     299,928  
  24,005,000      Kaisa Group Holdings Ltd.,
11.250%, 4/16/2025(f)
     3,002,305  
  1,305,000      Kaisa Group Holdings Ltd.,
11.650%, 6/01/2026(f)
     161,468  
  1,735,000      Kaisa Group Holdings Ltd.,
11.700%, 11/11/2025(f)
     216,459  
  5,965,000      Logan Group Co. Ltd.,
4.250%, 7/12/2025(f)
     1,360,259  
  5,148,000      Logan Group Co. Ltd.,
4.850%, 12/14/2026(f)
     1,184,864  
  2,635,000      Nationstar Mortgage Holdings, Inc.,
5.125%, 12/15/2030, 144A
     2,024,800  
  11,480,000      Nationstar Mortgage Holdings, Inc.,
5.500%, 8/15/2028, 144A
     9,844,100  
  6,195,000      Shimao Group Holdings Ltd.,
3.450%, 1/11/2031(f)
     930,241  
  400,000      Shimao Group Holdings Ltd.,
4.600%, 7/13/2030(f)
     56,144  
  1,515,000      Shimao Group Holdings Ltd.,
5.200%, 1/16/2027(f)
     215,196  
  4,675,000      Shimao Group Holdings Ltd.,
5.600%, 7/15/2026(f)
     682,784  
  1,465,000      Shimao Group Holdings Ltd.,
6.125%, 2/21/2024(f)
     215,384  
  575,000      Sunac China Holdings Ltd.,
5.950%, 4/26/2024(f)
     137,040  
  6,810,000      Sunac China Holdings Ltd.,
6.500%, 1/10/2025(f)
     1,628,816  
  3,575,000      Sunac China Holdings Ltd.,
6.500%, 1/26/2026(f)
     853,710  
  460,000      Sunac China Holdings Ltd.,
6.650%, 8/03/2024(f)
     110,345  
  5,930,000      Sunac China Holdings Ltd.,
7.000%, 7/09/2025(f)
     1,419,345  
  1,120,000      Times China Holdings Ltd.,
5.750%, 1/14/2027(f)
     168,571  
  7,485,000      Times China Holdings Ltd.,
6.200%, 3/22/2026(f)
     1,124,397  
  440,000      Times China Holdings Ltd.,
6.750%, 7/08/2025(f)
     68,402  
  3,175,000      Yuzhou Group Holdings Co. Ltd.,
6.350%, 1/13/2027(f)
     288,362  
  6,250,000      Yuzhou Group Holdings Co. Ltd.,
7.700%, 2/20/2025(f)
     601,937  
  1,585,000      Yuzhou Group Holdings Co. Ltd.,
7.850%, 8/12/2026(f)
     143,954  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Financial Other – continued

 

  $4,025,000      Yuzhou Group Holdings Co. Ltd.,
8.300%, 5/27/2025(f)
   $ 358,762  
     

 

 

 
        73,179,109  
     

 

 

 
   Food & Beverage – 0.4%

 

  5,695,000      JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.,
3.000%, 2/02/2029, 144A
     4,851,286  
  17,905,000      Pilgrim’s Pride Corp.,
3.500%, 3/01/2032
     14,571,089  
  995,000      Pilgrim’s Pride Corp.,
4.250%, 4/15/2031
     877,620  
     

 

 

 
        20,299,995  
     

 

 

 
   Gaming – 1.0%

 

  19,755,000      Genm Capital Labuan Ltd.,
3.882%, 4/19/2031, 144A
     15,349,060  
  5,810,000      GLP Capital LP/GLP Financing II, Inc.,
3.250%, 1/15/2032
     4,714,002  
  415,000      Scientific Games International, Inc.,
7.250%, 11/15/2029, 144A
     415,801  
  10,488,000      VICI Properties LP/VICI Note Co., Inc.,
4.250%, 12/01/2026, 144A
     9,785,474  
  8,621,000      VICI Properties LP/VICI Note Co., Inc.,
4.500%, 9/01/2026, 144A
     8,109,400  
  7,500,000      VICI Properties LP/VICI Note Co., Inc.,
4.625%, 6/15/2025, 144A
     7,251,106  
  6,163,000      VICI Properties LP/VICI Note Co., Inc.,
5.625%, 5/01/2024, 144A
     6,109,105  
     

 

 

 
        51,733,948  
     

 

 

 
   Government Owned - No Guarantee – 1.2%

 

  27,210,000      Antares Holdings LP,
8.500%, 5/18/2025, 144A
     27,542,041  
  8,465,000      Pertamina Persero PT,
6.450%, 5/30/2044, 144A
     8,654,629  
  28,145,000      Petroleos Mexicanos,
5.950%, 1/28/2031
     21,539,425  
  2,735,000      Sino-Ocean Land Treasure IV Ltd.,
4.750%, 8/05/2029
     1,068,811  
  5,250,000      Sino-Ocean Land Treasure IV Ltd.,
4.750%, 1/14/2030
     1,980,615  
     

 

 

 
        60,785,521  
     

 

 

 
   Health Insurance – 0.7%

 

  245,000      Centene Corp.,
2.450%, 7/15/2028
     213,150  
  23,625,000      Centene Corp.,
2.500%, 3/01/2031
     19,131,525  
  8,940,000      Centene Corp.,
2.625%, 8/01/2031
     7,244,171  
  6,921,000      Centene Corp.,
3.000%, 10/15/2030
     5,828,043  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Health Insurance – continued

 

  $6,470,000      Molina Healthcare, Inc.,
3.875%, 5/15/2032, 144A
   $ 5,437,396  
     

 

 

 
        37,854,285  
     

 

 

 
   Healthcare – 0.2%

 

  9,725,000      HCA, Inc.,
4.125%, 6/15/2029
     9,109,735  
     

 

 

 
   Home Construction – 0.3%

 

  12,840,000      PulteGroup, Inc.,
6.000%, 2/15/2035
     12,991,524  
     

 

 

 
   Independent Energy – 3.5%

 

  17,555,000      Aker BP ASA,
4.000%, 1/15/2031, 144A
     15,940,670  
  14,715,000      Continental Resources, Inc.,
2.875%, 4/01/2032, 144A
     11,426,125  
  54,380,000      Continental Resources, Inc.,
5.750%, 1/15/2031, 144A
     52,258,298  
  3,985,000      Devon Energy Corp.,
4.500%, 1/15/2030
     3,805,895  
  12,510,000      Energean Israel Finance Ltd.,
5.875%, 3/30/2031, 144A
     10,930,612  
  2,690,000      EQT Corp.,
3.125%, 5/15/2026, 144A
     2,488,115  
  11,721,000      EQT Corp.,
3.625%, 5/15/2031, 144A
     10,159,919  
  11,753,000      EQT Corp.,
3.900%, 10/01/2027
     11,046,880  
  2,329,000      EQT Corp.,
5.000%, 1/15/2029
     2,208,297  
  2,215,000      EQT Corp.,
5.700%, 4/01/2028
     2,212,597  
  10,210,000      EQT Corp.,
7.000%, 2/01/2030
     10,686,603  
  15,296,000      Ovintiv, Inc.,
6.500%, 8/15/2034
     15,463,569  
  828,000      Ovintiv, Inc.,
6.500%, 2/01/2038
     825,915  
  4,156,000      Ovintiv, Inc.,
6.625%, 8/15/2037
     4,192,074  
  553,000      Ovintiv, Inc.,
7.200%, 11/01/2031
     588,262  
  1,815,000      Ovintiv, Inc.,
7.375%, 11/01/2031
     1,955,298  
  2,285,000      Ovintiv, Inc.,
8.125%, 9/15/2030
     2,536,368  
  190,000      Range Resources Corp.,
4.875%, 5/15/2025
     186,278  
  27,050,000      Sanchez Energy Corp.,
6.125%, 1/15/2023(f)
     169,063  
  12,420,000      Sanchez Energy Corp.,
7.750%, 6/15/2021(f)
     77,625  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Independent Energy – continued

 

$ 2,150,000      Southwestern Energy Co.,
4.750%, 2/01/2032
   $ 1,898,428  
  4,695,000      Var Energi ASA,
7.500%, 1/15/2028, 144A
     4,860,690  
  10,345,000      Var Energi ASA,
8.000%, 11/15/2032, 144A
     11,010,080  
     

 

 

 
        176,927,661  
     

 

 

 
   Industrial Other – 0.1%

 

  5,995,000      TopBuild Corp.,
4.125%, 2/15/2032, 144A
     5,009,724  
     

 

 

 
   Leisure – 1.0%

 

  13,160,000      Carnival Corp.,
5.750%, 3/01/2027, 144A
     10,795,543  
  3,415,000      Carnival Corp.,
6.000%, 5/01/2029, 144A
     2,714,925  
  10,030,000      NCL Corp. Ltd.,
5.875%, 3/15/2026, 144A
     8,536,332  
  7,630,000      NCL Corp. Ltd.,
5.875%, 2/15/2027, 144A
     7,114,441  
  3,695,000      NCL Finance Ltd.,
6.125%, 3/15/2028, 144A
     2,993,837  
  18,780,000      Royal Caribbean Cruises Ltd.,
5.500%, 4/01/2028, 144A
     16,580,580  
     

 

 

 
        48,735,658  
     

 

 

 
   Life Insurance – 3.4%

 

  5,935,000      Athene Global Funding,
1.716%, 1/07/2025, 144A
     5,515,586  
  6,099,000      Brighthouse Financial, Inc.,
4.700%, 6/22/2047
     4,455,475  
  20,335,000      Brighthouse Financial, Inc.,
5.625%, 5/15/2030
     19,638,288  
  2,030,000      MetLife, Inc.,
9.250%, 4/08/2068, 144A
     2,395,294  
  10,175,000      MetLife, Inc.,
10.750%, 8/01/2069
     13,178,372  
  57,985,000      Mutual of Omaha Insurance Co.,
6.800%, 6/15/2036, 144A
     60,972,843  
  38,476,000      National Life Insurance Co.,
10.500%, 9/15/2039, 144A
     51,414,709  
  12,950,000      NLV Financial Corp.,
7.500%, 8/15/2033, 144A
     14,420,213  
     

 

 

 
        171,990,780  
     

 

 

 
   Lodging – 1.0%

 

  11,490,000      Hilton Domestic Operating Co., Inc.,
3.625%, 2/15/2032, 144A
     9,694,687  
  2,475,000      Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow,
4.875%, 7/01/2031, 144A
     2,113,675  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Lodging – continued

 

$ 8,090,000      Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow,
5.000%, 6/01/2029, 144A
   $ 7,185,419  
  11,290,000      Marriott International, Inc., Series HH,
2.850%, 4/15/2031
     9,616,874  
  6,155,000      Marriott Ownership Resorts, Inc.,
4.500%, 6/15/2029, 144A
     5,239,444  
  10,440,000      Travel & Leisure Co.,
4.500%, 12/01/2029, 144A
     9,053,504  
  11,584,000      Travel & Leisure Co.,
4.625%, 3/01/2030, 144A
     9,913,627  
     

 

 

 
        52,817,230  
     

 

 

 
   Media Entertainment – 1.8%

 

  5,896,000      iHeartCommunications, Inc.,
4.750%, 1/15/2028, 144A
     4,657,840  
  2,905,000      iHeartCommunications, Inc.,
5.250%, 8/15/2027, 144A
     2,374,838  
  6,415,000      iHeartCommunications, Inc.,
8.375%, 5/01/2027
     4,666,913  
  2,110,000      Netflix, Inc.,
4.875%, 4/15/2028
     2,099,450  
  22,040,000      Netflix, Inc.,
4.875%, 6/15/2030, 144A
     21,941,812  
  2,757,000      Netflix, Inc.,
5.375%, 11/15/2029, 144A
     2,800,933  
  13,137,000      Netflix, Inc.,
5.875%, 11/15/2028
     13,805,016  
  17,879,000      Netflix, Inc.,
6.375%, 5/15/2029
     19,143,045  
  4,640,000      Warnermedia Holdings, Inc.,
4.054%, 3/15/2029, 144A
     4,314,875  
  16,368,000      Warnermedia Holdings, Inc.,
4.279%, 3/15/2032, 144A
     14,604,839  
     

 

 

 
        90,409,561  
     

 

 

 
   Metals & Mining – 2.3%

 

  22,660,000      Anglo American Capital PLC,
2.875%, 3/17/2031, 144A
     18,965,897  
  19,906,000      ArcelorMittal SA,
6.750%, 3/01/2041
     20,176,987  
  470,000      ArcelorMittal SA,
7.000%, 10/15/2039
     493,857  
  7,370,000      First Quantum Minerals Ltd.,
6.875%, 3/01/2026, 144A
     7,148,950  
  31,810,000      First Quantum Minerals Ltd.,
6.875%, 10/15/2027, 144A
     30,665,846  
  9,200,000      First Quantum Minerals Ltd.,
7.500%, 4/01/2025, 144A
     9,192,456  
  14,665,000      FMG Resources August 2006 Pty. Ltd.,
4.375%, 4/01/2031, 144A
     12,861,205  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Metals & Mining – continued

 

$ 18,565,000      Glencore Funding LLC,
2.500%, 9/01/2030, 144A
   $ 15,549,116  
  2,865,000      Volcan Cia Minera SAA,
4.375%, 2/11/2026, 144A
     2,371,077  
     

 

 

 
        117,425,391  
     

 

 

 
   Midstream – 1.0%

 

  1,955,000      Cheniere Energy Partners LP,
4.500%, 10/01/2029
     1,816,216  
  9,050,000      DCP Midstream Operating LP,
6.450%, 11/03/2036, 144A
     9,386,117  
  13,095,000      Energy Transfer LP,
5.750%, 2/15/2033
     13,411,637  
  1,090,000      EnLink Midstream LLC,
6.500%, 9/01/2030, 144A
     1,102,219  
  3,745,000      Hess Midstream Operations LP,
4.250%, 2/15/2030, 144A
     3,344,659  
  205,000      NGPL PipeCo LLC,
7.768%, 12/15/2037, 144A
     225,903  
  5,300,000      Targa Resources Partners LP/Targa Resources Partners Finance Corp.,
4.000%, 1/15/2032
     4,634,850  
  1,365,000      Targa Resources Partners LP/Targa Resources Partners Finance Corp.,
4.875%, 2/01/2031
     1,277,210  
  1,380,000      Targa Resources Partners LP/Targa Resources Partners Finance Corp.,
5.500%, 3/01/2030
     1,348,577  
  2,635,000      Western Midstream Operating LP,
4.300%, 2/01/2030
     2,398,627  
  6,105,000      Western Midstream Operating LP,
5.300%, 3/01/2048
     5,172,828  
  1,130,000      Western Midstream Operating LP,
5.450%, 4/01/2044
     985,383  
  840,000      Western Midstream Operating LP,
5.500%, 8/15/2048
     723,383  
  3,495,000      Western Midstream Operating LP,
5.500%, 2/01/2050
     2,965,507  
  1,090,000      Western Midstream Operating LP,
6.150%, 4/01/2033
     1,104,782  
     

 

 

 
        49,897,898  
     

 

 

 
   Mortgage Related – 0.0%

 

  3,820      Federal Home Loan Mortgage Corp.,
5.000%, 12/01/2031
     3,836  
     

 

 

 
   Non-Agency Commercial Mortgage-Backed Securities – 1.5%

 

  505,000      BBSG Mortgage Trust, Series 2016-MRP, Class A,
3.275%, 6/05/2036, 144A
     405,344  
  11,095,000      BPR Trust, Series 2021-NRD, Class F,
1 mo. USD SOFR + 6.870%, 11.530%, 12/15/2038, 144A(d)
     9,751,690  
  7,790,000      BPR Trust, Series 2022-STAR, Class A,
1 mo. USD SOFR + 3.232%, 8.059%, 8/15/2024, 144A(d)
     7,769,546  
  1,800,091      Commercial Mortgage Pass-Through Certificates, Series 2012-CR3, Class AM,
3.416%, 10/15/2045, 144A
     1,615,582  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Non-Agency Commercial Mortgage-Backed Securities – continued

 

$ 172,054      Commercial Mortgage Pass-Through Certificates, Series 2012-LTRT, Class A2,
3.400%, 10/05/2030, 144A
   $ 151,877  
  2,203,335      Commercial Mortgage Trust, Series 2012-LC4, Class B,
4.934%, 12/10/2044(a)
     2,125,947  
  6,710,000      Credit Suisse Mortgage Trust, Series 2014-USA, Class B,
4.185%, 9/15/2037, 144A
     5,788,129  
  630,000      Credit Suisse Mortgage Trust, Series 2014-USA, Class C,
4.336%, 9/15/2037, 144A
     517,109  
  2,530,000      Credit Suisse Mortgage Trust, Series 2014-USA, Class D,
4.373%, 9/15/2037, 144A
     1,902,719  
  4,217,150      Extended Stay America Trust, Series 2021-ESH, Class C,
1 mo. USD LIBOR + 1.700%, 6.385%, 7/15/2038, 144A(d)
     4,084,077  
  3,031,077      Extended Stay America Trust, Series 2021-ESH, Class D,
1 mo. USD LIBOR + 2.250%, 6.935%, 7/15/2038, 144A(d)
     2,886,635  
  2,640,684      GS Mortgage Securities Corp. Trust, Series 2013-G1, Class B,
3.872%, 4/10/2031, 144A(a)
     2,455,836  
  3,760,000      GS Mortgage Securities Corp. Trust, Series 2013-PEMB, Class B,
3.550%, 3/05/2033, 144A(a)
     3,252,485  
  435,000      JPMorgan Chase Commercial Mortgage Securities Trust, Series 2012-LC9, Class D,
3.784%, 12/15/2047, 144A(a)
     391,494  
  1,899,357      MedTrust, Series 2021-MDLN, Class B,
1 mo. USD LIBOR + 1.450%, 6.135%, 11/15/2038, 144A(d)
     1,815,756  
  6,042,050      MedTrust, Series 2021-MDLN, Class C,
1 mo. USD LIBOR + 1.800%, 6.485%, 11/15/2038, 144A(d)
     5,761,107  
  2,492,595      MedTrust, Series 2021-MDLN, Class D,
1 mo. USD LIBOR + 2.000%, 6.685%, 11/15/2038, 144A(d)
     2,372,055  
  1,705,000      Morgan Stanley Bank of America Merrill Lynch Trust, Series 2013-C11, Class B,
4.368%, 8/15/2046(a)
     1,057,270  
  1,372,301      MSBAM Commercial Mortgage Securities Trust, Series 2012-CKSV, Class A2,
3.277%, 10/15/2030, 144A
     1,092,422  
  586,959      UBS-Barclays Commercial Mortgage Trust, Series 2012-TFT, Class A,
2.892%, 6/05/2030, 144A
     537,120  
  9,076,751      Wells Fargo Commercial Mortgage Trust, Series 2013-LC12, Class B,
4.364%, 7/15/2046(a)
     6,773,171  
  4,970,000      Wells Fargo Commercial Mortgage Trust, Series 2016-C36, Class B,
3.671%, 11/15/2059(a)
     4,215,862  
  1,955,000      WFRBS Commercial Mortgage Trust, Series 2012-C10, Class B,
3.744%, 12/15/2045
     1,730,175  
  7,750,000      WFRBS Commercial Mortgage Trust, Series 2013-C15, Class B,
4.511%, 8/15/2046(a)
     6,860,377  
  2,915,000      WFRBS Commercial Mortgage Trust, Series 2014-C20, Class B,
4.378%, 5/15/2047
     2,317,667  
     

 

 

 
        77,631,452  
     

 

 

 
   Other REITs – 0.1%   
  4,125,000      EPR Properties,
3.600%, 11/15/2031
     3,086,017  
     

 

 

 
   Paper – 0.1%   
  3,445,000      WestRock MWV LLC,
7.950%, 2/15/2031
     3,969,208  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Paper – continued

 

$ 2,252,000      Weyerhaeuser Co.,
7.375%, 3/15/2032
   $ 2,587,673  
     

 

 

 
        6,556,881  
     

 

 

 
   Pharmaceuticals – 1.8%

 

  11,605,000      Bausch Health Cos., Inc.,
4.875%, 6/01/2028, 144A
     6,846,950  
  5,560,000      Bausch Health Cos., Inc.,
5.000%, 1/30/2028, 144A
     2,112,800  
  580,000      Bausch Health Cos., Inc.,
5.000%, 2/15/2029, 144A
     227,168  
  4,435,000      Bausch Health Cos., Inc.,
5.250%, 1/30/2030, 144A
     1,655,053  
  3,015,000      Bausch Health Cos., Inc.,
5.250%, 2/15/2031, 144A
     1,165,162  
  640,000      Bausch Health Cos., Inc.,
6.250%, 2/15/2029, 144A
     255,475  
  1,045,000      Bausch Health Cos., Inc.,
7.000%, 1/15/2028, 144A
     415,095  
  9,370,000      Teva Pharmaceutical Finance Co. LLC,
6.150%, 2/01/2036
     8,508,241  
  7,475,000      Teva Pharmaceutical Finance Netherlands II BV,
7.375%, 9/15/2029, (EUR)
     8,207,970  
  6,270,000      Teva Pharmaceutical Finance Netherlands II BV,
7.875%, 9/15/2031, (EUR)
     7,004,353  
  5,031,000      Teva Pharmaceutical Finance Netherlands III BV,
3.150%, 10/01/2026
     4,553,055  
  25,967,000      Teva Pharmaceutical Finance Netherlands III BV,
4.100%, 10/01/2046
     17,301,688  
  15,545,000      Teva Pharmaceutical Finance Netherlands III BV,
4.750%, 5/09/2027
     14,510,130  
  10,545,000      Teva Pharmaceutical Finance Netherlands III BV,
5.125%, 5/09/2029
     9,550,729  
  5,520,000      Teva Pharmaceutical Finance Netherlands III BV,
7.875%, 9/15/2029
     5,775,300  
  3,965,000      Teva Pharmaceutical Finance Netherlands III BV,
8.125%, 9/15/2031
     4,162,064  
     

 

 

 
        92,251,233  
     

 

 

 
   Property & Casualty Insurance – 0.3%

 

  13,985,000      MBIA Insurance Corp.,
3 mo. USD LIBOR + 11.260%, 16.052%, 1/15/2033, 144A(b)(e)
     1,398,500  
  80,000      MBIA Insurance Corp.,
3 mo. USD LIBOR + 11.260%, 16.453%, 1/15/2033(b)(e)
     8,000  
  17,110,000      Stewart Information Services Corp.,
3.600%, 11/15/2031
     13,452,801  
     

 

 

 
        14,859,301  
     

 

 

 
   Retailers – 0.6%

 

  4,680,000      Dillard’s, Inc.,
7.000%, 12/01/2028
     4,736,066  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Retailers – continued

 

  $7,182,000      Dillard’s, Inc.,
7.750%, 7/15/2026
   $ 7,416,421  
  2,250,000      Dillard’s, Inc.,
7.750%, 5/15/2027
     2,344,725  
  7,545,000      Lithia Motors, Inc.,
3.875%, 6/01/2029, 144A
     6,524,312  
  9,245,000      Marks & Spencer PLC,
7.125%, 12/01/2037, 144A
     8,541,178  
     

 

 

 
        29,562,702  
     

 

 

 
   Technology – 4.7%

 

      15,580,000      Avnet, Inc.,
5.500%, 6/01/2032
     15,182,232  
  8,675,000      Block, Inc.,
3.500%, 6/01/2031
     7,124,344  
  5,785,000      Broadcom, Inc.,
3.137%, 11/15/2035, 144A
     4,449,008  
  13,741,000      Broadcom, Inc.,
4.150%, 11/15/2030
     12,743,554  
  2,346,000      CDW LLC/CDW Finance Corp.,
2.670%, 12/01/2026
     2,110,269  
  2,854,000      CDW LLC/CDW Finance Corp.,
3.250%, 2/15/2029
     2,510,064  
  27,510,000      CDW LLC/CDW Finance Corp.,
3.569%, 12/01/2031
     23,662,176  
  1,350,000      CDW LLC/CDW Finance Corp.,
4.250%, 4/01/2028
     1,258,066  
  14,400,000      CommScope Technologies LLC,
5.000%, 3/15/2027, 144A
     10,528,848  
  16,765,000      CommScope, Inc.,
4.750%, 9/01/2029, 144A
     13,973,963  
      19,780,000      Entegris Escrow Corp.,
4.750%, 4/15/2029, 144A
     18,700,064  
  945,000      Gartner, Inc.,
3.625%, 6/15/2029, 144A
     843,228  
  4,710,000      Global Payments, Inc.,
2.900%, 5/15/2030
     3,988,322  
  5,390,000      Global Payments, Inc.,
2.900%, 11/15/2031
     4,414,073  
  3,460,000      Global Payments, Inc.,
5.300%, 8/15/2029
     3,416,780  
  7,515,000      Global Payments, Inc.,
5.400%, 8/15/2032
     7,368,280  
  13,265,000      Iron Mountain, Inc.,
4.875%, 9/15/2029, 144A
     11,921,454  
  10,470,000      Leidos, Inc.,
5.750%, 3/15/2033
     10,700,770  
  8,630,000      Marvell Technology, Inc.,
2.950%, 4/15/2031
     7,206,487  
  15,190,000      Micron Technology, Inc.,
5.875%, 2/09/2033
     15,357,886  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Technology – continued

 

$ 19,330,000      Micron Technology, Inc.,
6.750%, 11/01/2029
   $ 20,534,661  
  2,080,000      NXP BV/NXP Funding LLC/NXP USA, Inc.,
4.400%, 6/01/2027
     2,054,861  
  4,150,000      Open Text Corp.,
6.900%, 12/01/2027, 144A
     4,281,140  
      18,900,000      Oracle Corp.,
3.950%, 3/25/2051
     14,221,824  
  5,830,000      Oracle Corp.,
6.150%, 11/09/2029
     6,209,696  
  845,000      Seagate HDD Cayman,
4.091%, 6/01/2029
     755,100  
  615,825      Seagate HDD Cayman,
9.625%, 12/01/2032, 144A
     690,135  
  6,775,000      Western Digital Corp.,
2.850%, 2/01/2029
     5,504,281  
  10,601,000      Western Digital Corp.,
4.750%, 2/15/2026
     10,171,177  
     

 

 

 
        241,882,743  
     

 

 

 
   Treasuries – 12.7%

 

  222,380,000      U.S. Treasury Bonds,
3.250%, 5/15/2042(g)
     205,154,236  
  198,045,000      U.S. Treasury Notes,
0.125%, 6/30/2023
     195,885,252  
  76,545,000      U.S. Treasury Notes,
0.500%, 11/30/2023
     74,443,003  
  73,585,000      U.S. Treasury Notes,
0.875%, 1/31/2024
     71,259,599  
  103,730,000      U.S. Treasury Notes,
1.500%, 2/29/2024
     100,824,750  
     

 

 

 
        647,566,840  
     

 

 

 
   Wireless – 1.0%

 

  9,835,000      IHS Holding Ltd.,
5.625%, 11/29/2026, 144A
     8,242,713  
  8,000,000      SoftBank Group Corp.,
4.625%, 7/06/2028
     6,711,600  
  3,695,000      SoftBank Group Corp.,
5.250%, 7/06/2031
     3,090,868  
  35,370,000      T-Mobile USA, Inc.,
3.375%, 4/15/2029
     32,246,383  
     

 

 

 
        50,291,564  
     

 

 

 
   Wirelines – 0.1%

 

  3,825,000      Cincinnati Bell Telephone Co. LLC,
6.300%, 12/01/2028
     3,165,034  
     

 

 

 
   Total Non-Convertible Bonds
(Identified Cost $4,417,348,615)
     3,874,294,216  
     

 

 

 


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Convertible Bonds – 4.8%

 
   Airlines – 0.4%

 

$ 17,869,000      Southwest Airlines Co.,
1.250%, 5/01/2025
   $ 20,299,184  
     

 

 

 
   Cable Satellite – 1.9%

 

  195,000      Cable One, Inc.,
Zero Coupon, 6.042%, 3/15/2026(h)
     153,855  
  184,765,000      DISH Network Corp.,
3.375%, 8/15/2026
     95,153,990  
     

 

 

 
        95,307,845  
     

 

 

 
   Consumer Cyclical Services – 0.3%

 

  1,520,000      Peloton Interactive, Inc.,
Zero Coupon, 0.519%-0.987%, 2/15/2026(i)
     1,148,816  
  18,940,000      Uber Technologies, Inc.,
Zero Coupon, 0.000%-5.582%, 12/15/2025(i)
     16,636,138  
     

 

 

 
        17,784,954  
     

 

 

 
   Electric – 0.0%

 

  1,805,000      PPL Capital Funding, Inc.,
2.875%, 3/15/2028, 144A
     1,811,652  
     

 

 

 
   Gaming – 0.1%

 

  3,339,000      Penn Entertainment, Inc.,
2.750%, 5/15/2026
     4,798,143  
     

 

 

 
   Healthcare – 0.6%

 

  36,387,000      Teladoc Health, Inc.,
1.250%, 6/01/2027
     28,065,042  
     

 

 

 
   Leisure – 0.1%

 

  9,795,000      NCL Corp. Ltd.,
1.125%, 2/15/2027
     7,018,411  
     

 

 

 
   Media Entertainment – 0.3%

 

  8,590,000      Snap, Inc.,
Zero Coupon, 6.697%-7.641%, 5/01/2027(i)
     6,257,815  
  7,780,000      Spotify USA, Inc.,
Zero Coupon, 5.189%-5.873%, 3/15/2026(i)
     6,511,860  
     

 

 

 
        12,769,675  
     

 

 

 
   Pharmaceuticals – 1.0%

 

  13,963,000      BioMarin Pharmaceutical, Inc.,
0.599%, 8/01/2024
     14,325,745  
  27,688,000      BioMarin Pharmaceutical, Inc.,
1.250%, 5/15/2027
     28,878,741  
  6,370,000      Livongo Health, Inc.,
0.875%, 6/01/2025
     5,660,064  
     

 

 

 
        48,864,550  
     

 

 

 
   Technology – 0.1%

 

  7,845,000      Unity Software, Inc.,
Zero Coupon, 7.084%-8.213%, 11/15/2026(i)
     6,075,952  
     

 

 

 


Principal
Amount (‡)

    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Convertible Bonds – continued

 
   Total Convertible Bonds
(Identified Cost $363,131,150)
   $ 242,795,408  
     

 

 

 
 

Municipals – 1.6%

 
   Virginia – 1.6%

 

$ 89,440,000      Tobacco Settlement Financing Corp., Series A-1,
6.706%, 6/01/2046
(Identified Cost $88,797,356)
     82,898,457  
     

 

 

 
   Total Bonds and Notes
(Identified Cost $4,869,277,121)
         4,199,988,081  
     

 

 

 
 

Senior Loans – 0.5%

 
   Consumer Cyclical Services – 0.1%

 

  6,448,838      Uber Technologies, Inc., 2023 Term Loan B,
3 mo. USD SOFR + 2.750%, 7.870%, 3/03/2030(d)(j)
     6,430,716  
     

 

 

 
   Independent Energy – 0.3%

 

      16,469,000      Ascent Resources—Utica, 2020 Fixed 2nd Lien Term Loan,
3 mo. USD LIBOR + 9.000%, 13.815%, 11/01/2025(d)(k)
     17,443,471  
     

 

 

 
   Leisure – 0.1%

 

  2,024,874      Carnival Corp., 2021 Incremental Term Loan B,
1 mo. USD LIBOR + 3.250%, 8.090%, 10/18/2028(d)(l)
     1,974,880  
  2,633,231      Carnival Corp., USD Term Loan B,
1 mo. USD LIBOR + 3.000%, 7.840%, 6/30/2025(d)(l)
     2,593,074  
     

 

 

 
        4,567,954  
     

 

 

 
   Total Senior Loans
(Identified Cost $27,496,597)
     28,442,141  
     

 

 

 
 

Collateralized Loan Obligations – 4.3%

 
  9,977,000      522 Funding CLO Ltd., Series 2018-3A, Class DR,
3 mo. USD LIBOR + 3.100%, 7.908%, 10/20/2031, 144A(d)
     9,106,577  
  7,140,000      AGL CLO 12 Ltd., Series 2021-12A, Class B,
3 mo. USD LIBOR + 1.600%, 6.408%, 7/20/2034, 144A(d)
     6,868,837  
  7,240,000      AGL CLO 12 Ltd., Series 2021-12A, Class D,
3 mo. USD LIBOR + 2.850%, 7.658%, 7/20/2034, 144A(d)
     6,766,432  
  1,805,000      AGL CLO 7 Ltd., Series 2020-7A, Class DR,
3 mo. USD LIBOR + 3.100%, 7.892%, 7/15/2034, 144A(d)
     1,698,902  
      10,050,000      AIG CLO LLC, Series 2021-1A, Class D,
3 mo. USD LIBOR + 2.950%, 7.765%, 4/22/2034, 144A(d)
     9,136,947  
  5,605,000      AIG CLO LLC, Series 2021-2A, Class D,
3 mo. USD LIBOR + 3.050%, 7.858%, 7/20/2034, 144A(d)
     5,087,126  
  7,810,000      AIMCO CLO 12 Ltd., Series 2020-12A, Class AR,
3 mo. USD SOFR + 1.170%, 5.828%, 1/17/2032, 144A(d)
     7,681,737  
  3,955,000      ARES Loan Funding I Ltd., Series 2021-ALFA, Class D,
3 mo. USD LIBOR + 3.000%, 7.792%, 10/15/2034, 144A(d)
     3,738,187  
  5,225,000      Bain Capital Credit CLO Ltd., Series 2017-2A, Class DR2,
3 mo. USD LIBOR + 3.100%, 7.918%, 7/25/2034, 144A(d)
     4,940,859  
  1,340,000      Ballyrock CLO Ltd., Series 2019-2A, Class A2R,
3 mo. USD LIBOR + 1.400%, 6.315%, 11/20/2030, 144A(d)
     1,292,798  
      10,720,000      Benefit Street Partners CLO XVI Ltd., Series 2018-16A, Class CR,
3 mo. USD LIBOR + 2.000%, 6.792%, 1/17/2032, 144A(d)
     10,072,801  


Principal
Amount (‡)

    

Description

   Value (†)  
 

Collateralized Loan Obligations – continued

 
$ 2,245,000      Benefit Street Partners CLO XVI Ltd., Series 2018-16A, Class DR,
3 mo. USD LIBOR + 3.000%, 7.792%, 1/17/2032, 144A(d)
   $ 2,061,381  
  5,225,000      CarVal CLO III Ltd., Series 2019-2A, Class DR,
3 mo. USD LIBOR + 2.950%, 7.758%, 7/20/2032, 144A(d)
     4,740,114  
  6,075,000      Crown City CLO I, Series 2020-1A, Class CR,
3 mo. USD LIBOR + 3.420%, 8.228%, 7/20/2034, 144A(d)
     5,256,078  
  4,085,000      Elmwood CLO VIII Ltd., Series 2021-1A, Class D2,
3 mo. USD LIBOR + 2.850%, 7.658%, 1/20/2034, 144A(d)
     3,859,708  
  8,760,000      LCM 30 Ltd., Series 30A, Class BR,
3 mo. USD LIBOR + 1.500%, 6.308%, 4/20/2031, 144A(d)
     8,458,919  
  1,470,000      LCM 30 Ltd., Series 30A, Class CR,
3 mo. USD LIBOR + 2.000%, 6.808%, 4/20/2031, 144A(d)
     1,356,215  
  4,215,000      LCM 30 Ltd., Series 30A, Class DR,
3 mo. USD LIBOR + 3.000%, 7.808%, 4/20/2031, 144A(d)
     3,676,161  
      15,835,000      Madison Park Funding XXIII Ltd., Series 2017-23A, Class DR,
3 mo. USD LIBOR + 3.200%, 8.015%, 7/27/2031, 144A(d)
     14,764,126  
  1,260,000      Madison Park Funding XXXI Ltd., Series 2018-31A, Class D,
3 mo. USD LIBOR + 3.000%, 7.815%, 1/23/2031, 144A(d)
     1,196,220  
  9,225,000      Neuberger Berman CLO XX Ltd., Series 2015-20A, Class BRR,
3 mo. USD LIBOR + 1.650%, 6.442%, 7/15/2034, 144A(d)
     8,938,222  
  11,920,000      OCP CLO Ltd., Series 2019-17A, Class DR,
3 mo. USD LIBOR + 3.100%, 7.908%, 7/20/2032, 144A(d)
         10,759,869  
  10,585,000      Octagon Investment Partners 42 Ltd., Series 2019-3A, Class DR,
3 mo. USD LIBOR + 3.150%, 7.942%, 7/15/2034, 144A(d)
     9,955,076  
  4,920,000      Octagon Investment Partners 46 Ltd., Series 2020-2A, Class DR,
3 mo. USD LIBOR + 3.300%, 8.092%, 7/15/2036, 144A(d)
     4,539,792  
  12,430,000      OHA Credit Funding 3 Ltd., Series 2019-3A, Class BR,
3 mo. USD LIBOR + 1.650%, 6.458%, 7/02/2035, 144A(d)
     12,087,641  
  9,720,000      OHA Credit Funding 3 Ltd., Series 2019-3A, Class DR,
3 mo. USD LIBOR + 2.900%, 7.708%, 7/02/2035, 144A(d)
     9,069,929  
  12,640,000      Palmer Square CLO Ltd., Series 2013-2A, Class A2R3,
3 mo. USD LIBOR + 1.500%, 6.292%, 10/17/2031, 144A(d)
     12,258,474  
  5,120,000      Palmer Square CLO Ltd., Series 2013-2A, Class CR3,
3 mo. USD LIBOR + 2.700%, 7.492%, 10/17/2031, 144A(d)
     4,737,188  
  2,970,000      Palmer Square CLO Ltd., Series 2015-1A, Class A2R4,
3 mo. USD LIBOR + 1.700%, 6.615%, 5/21/2034, 144A(d)
     2,885,545  
  11,585,000      Rockford Tower CLO Ltd., Series 2018-1A, Class A,
3 mo. USD LIBOR + 1.100%, 6.015%, 5/20/2031, 144A(d)
     11,401,401  
  5,879,346      Shackleton CLO Ltd., Series 2017-10A, Class AR2,
3 mo. USD LIBOR + 0.890%, 5.698%, 4/20/2029, 144A(d)
     5,810,799  
  6,075,000      Signal Peak CLO 1 Ltd., Series 2014-1A, Class AR3,
3 mo. USD LIBOR + 1.160%, 5.952%, 4/17/2034, 144A(d)
     5,925,537  
  700,000      THL Credit Wind River CLO Ltd., Series 2018-3A, Class D,
3 mo. USD LIBOR + 2.950%, 7.758%, 1/20/2031, 144A(d)
     620,995  
  5,300,000      Verde CLO Ltd., Series 2019-1A, Class AR,
3 mo. USD LIBOR + 1.100%, 5.892%, 4/15/2032, 144A(d)
     5,199,348  
  2,135,000      Vibrant CLO XIV Ltd., Series 2021-14A, Class C,
3 mo. USD LIBOR + 3.750%, 8.558%, 10/20/2034, 144A(d)
     1,964,468  
     

 

 

 
   Total Collateralized Loan Obligations
(Identified Cost $230,584,284)
     217,914,409  
     

 

 

 


Shares

    

Description

   Value (†)  
 

Common Stocks – 1.9%

 
   Aerospace & Defense – 0.1%

 

  4,520      Lockheed Martin Corp.    $ 2,136,740  
     

 

 

 
   Air Freight & Logistics – 0.0%

 

  10,447      United Parcel Service, Inc., Class B      2,026,614  
     

 

 

 
   Beverages – 0.0%

 

  30,600      Coca-Cola Co.      1,898,118  
     

 

 

 
   Biotechnology – 0.1%

 

  17,775      AbbVie, Inc.      2,832,802  
     

 

 

 
   Capital Markets – 0.1%

 

  1,376      BlackRock, Inc.      920,709  
  14,559      Morgan Stanley      1,278,280  
     

 

 

 
        2,198,989  
     

 

 

 
   Communications Equipment – 0.0%

 

  17,920      Cisco Systems, Inc.      936,768  
     

 

 

 
   Consumer Staples Distribution & Retail – 0.1%

 

  1,663      Costco Wholesale Corp.      826,295  
  11,239      Walmart, Inc.      1,657,190  
     

 

 

 
        2,483,485  
     

 

 

 
   Containers & Packaging – 0.0%

 

  6,067      Packaging Corp. of America      842,282  
     

 

 

 
   Diversified REITs – 0.0%

 

  170,568      NexPoint Diversified Real Estate Trust      1,770,496  
     

 

 

 
   Electric Utilities – 0.1%

 

  11,847      Duke Energy Corp.      1,142,880  
  21,018      NextEra Energy, Inc.      1,620,068  
     

 

 

 
        2,762,948  
     

 

 

 
   Electrical Equipment – 0.0%

 

  9,193      Emerson Electric Co.      801,078  
     

 

 

 
   Ground Transportation – 0.0%

 

  5,980      Union Pacific Corp.      1,203,535  
     

 

 

 
   Health Care Equipment & Supplies – 0.0%

 

  13,744      Abbott Laboratories      1,391,717  
     

 

 

 
   Health Care Providers & Services – 0.1%

 

  3,090      Elevance Health, Inc.      1,420,813  
  2,931      UnitedHealth Group, Inc.      1,385,161  
     

 

 

 
        2,805,974  
     

 

 

 
   Hotels, Restaurants & Leisure – 0.0%

 

  20,119      Starbucks Corp.      2,094,991  
     

 

 

 
   Household Products – 0.1%

 

  17,070      Procter & Gamble Co.      2,538,138  
     

 

 

 


Shares

    

Description

   Value (†)  
 

Common Stocks – continued

 
   IT Services – 0.0%

 

  4,264      Accenture PLC, Class A    $ 1,218,694  
     

 

 

 
   Life Sciences Tools & Services – 0.0%

 

  2,144      Thermo Fisher Scientific, Inc.      1,235,737  
     

 

 

 
   Machinery – 0.1%

 

  3,497      Cummins, Inc.      835,363  
  3,955      Deere & Co.      1,632,941  
     

 

 

 
        2,468,304  
     

 

 

 
   Media – 0.2%

 

  2,006,877      Altice USA, Inc., Class A(e)      6,863,520  
  52,164      Comcast Corp., Class A      1,977,537  
  705,779      iHeartMedia, Inc., Class A(e)      2,752,538  
     

 

 

 
        11,593,595  
     

 

 

 
   Metals & Mining – 0.0%

 

  23,710      Newmont Corp.      1,162,264  
     

 

 

 
   Oil, Gas & Consumable Fuels – 0.5%

 

  93,585      Battalion Oil Corp.(e)      614,853  
  90,655      Canadian Natural Resources Ltd.      5,017,754  
  91,613      Devon Energy Corp.      4,636,534  
  54,638      Diamondback Energy, Inc.      7,385,418  
  42,286      EOG Resources, Inc.      4,847,244  
  18,707      Pioneer Natural Resources Co.      3,820,718  
  37,203      Williams Cos., Inc.      1,110,882  
     

 

 

 
        27,433,403  
     

 

 

 
   Pharmaceuticals – 0.1%

 

  15,366      Bristol-Myers Squibb Co.      1,065,018  
  14,316      Johnson & Johnson      2,218,980  
  14,093      Merck & Co., Inc.      1,499,354  
     

 

 

 
        4,783,352  
     

 

 

 
   Professional Services – 0.0%

 

  7,905      Clarivate PLC(e)      74,228  
     

 

 

 
   Semiconductors & Semiconductor Equipment – 0.1%

 

  3,545      Broadcom, Inc.      2,274,259  
  22,248      Microchip Technology, Inc.      1,863,938  
  15,974      QUALCOMM, Inc.      2,037,963  
     

 

 

 
        6,176,160  
     

 

 

 
   Software – 0.1%

 

  7,925      Microsoft Corp.      2,284,777  
     

 

 

 
   Specialized REITs – 0.0%

 

  6,679      American Tower Corp.      1,364,787  
     

 

 

 
   Specialty Retail – 0.0%

 

  4,153      Home Depot, Inc.      1,225,633  
     

 

 

 


Shares

    

Description

   Value (†)  
 

Common Stocks – continued

 
   Technology Hardware, Storage & Peripherals – 0.0%

 

  12,644      Apple, Inc.    $ 2,084,996  
  17,622      IQOR U.S., Inc.(e)      13,216  
     

 

 

 
        2,098,212  
     

 

 

 
   Wireless Telecommunication Services – 0.1%

 

  30,481      T-Mobile U.S., Inc.(e)      4,414,868  
     

 

 

 
   Total Common Stocks
(Identified Cost $158,539,585)
     98,258,689  
     

 

 

 
 

Preferred Stocks – 1.8%

 
 

Convertible Preferred Stocks – 1.5%

 
   Banking – 0.7%

 

  20,983      Bank of America Corp., Series L,
7.250%
     24,503,108  
  11,335      Wells Fargo & Co., Class A, Series L,
7.500%
     13,332,794  
     

 

 

 
        37,835,902  
     

 

 

 
   Midstream – 0.2%

 

  206,461      El Paso Energy Capital Trust I,
4.750%
     9,491,012  
     

 

 

 
   Technology – 0.1%

 

  170,945      Clarivate PLC, Series A,
5.250%
     7,020,711  
     

 

 

 
   Wireless – 0.5%

 

  19,569      2020 Cash Mandatory Exchangeable Trust,
5.250%, 144A
     22,753,855  
     

 

 

 
   Total Convertible Preferred Stocks
(Identified Cost $93,477,277)
     77,101,480  
     

 

 

 
 

Non-Convertible Preferred Stocks – 0.3%

 
   Home Construction – 0.0%

 

  52,867      Hovnanian Enterprises, Inc.,
7.625%
     926,230  
     

 

 

 
   Office REITs – 0.1%

 

  2,318      Highwoods Properties, Inc., Series A,
8.625%(b)
     2,238,400  
     

 

 

 
   Other REITs – 0.2%

 

  169,007      Prologis, Inc., Series Q,
8.540%
     9,506,644  
     

 

 

 
   Total Non-Convertible Preferred Stocks
(Identified Cost $10,716,140)
     12,671,274  
     

 

 

 
   Total Preferred Stocks
(Identified Cost $104,193,417)
     89,772,754  
     

 

 

 


Principal
Amount (‡)

    

Description

   Value (†)  
 

Short-Term Investments – 8.2%

 
  $    27,274,401      Tri-Party Repurchase Agreement with Fixed Income Clearing Corporation, dated
3/31/2023 at 2.100% to be repurchased at $27,279,174 on 4/03/2023 collateralized
by $28,536,700 U.S. Treasury Note, 2.875% due 6/15/2025 valued at $27,819,944
including accrued interest(m)
   $ 27,274,401  
  159,860,000      U.S. Treasury Bills,
4.484%-4.497%, 4/13/2023(n)(o)
     159,654,913  
  37,960,000      U.S. Treasury Bills,
4.490%, 4/06/2023(n)
     37,945,393  
  38,690,000      U.S. Treasury Bills,
4.511%, 5/25/2023(n)
     38,432,088  
  154,025,000      U.S. Treasury Bills,
4.550%-4.640%, 4/27/2023(n)(o)
     153,552,656  
     

 

 

 
   Total Short-Term Investments
(Identified Cost $416,771,110)
     416,859,451  
     

 

 

 
   Total Investments – 99.2%
(Identified Cost $5,806,862,114)
         5,051,235,525  
   Other assets less liabilities – 0.8%      38,182,510  
     

 

 

 
   Net Assets – 100.0%    $ 5,089,418,035  
     

 

 

 


(†)    Registered investment companies are required to value portfolio investments using an unadjusted, readily available market quotation. The Fund obtains readily available market quotations from independent pricing services. Fund investments for which readily available market quotations are not available are priced at fair value pursuant to the Fund’s Valuation Procedures. The Board of Trustees has approved a valuation designee who is subject to the Board’s oversight.
   Unadjusted readily available market quotations that are utilized for exchange traded equity securities (including shares of closed-end investment companies and exchange-traded funds) include the last sale price quoted on the exchange where the security is traded most extensively. Futures contracts are valued at the closing settlement price on the exchange on which the valuation designee believes that, over time, they are traded most extensively. Shares of open-end investment companies are valued at net asset value per share.
   Exchange traded equity securities for which there is no reported sale during the day are fair valued at the closing bid quotation as reported by an independent pricing service. Unlisted equity securities (except unlisted preferred equity securities) are fair valued at the last sale price quoted in the market where they are traded most extensively or, if there is no reported sale during the day, the closing bid quotation as reported by an independent pricing service. If there is no last sale price or closing bid quotation available, unlisted equity securities will be fair valued using evaluated bids furnished by an independent pricing service, if available.
   Debt securities and unlisted preferred equity securities are fair valued based on evaluated bids furnished to the Fund by an independent pricing service or bid prices obtained from broker-dealers. Senior loans and collateralized loan obligations are fair valued at bid prices supplied by an independent pricing service, if available. Broker-dealer bid prices may be used to fair value debt, unlisted equities, senior loans and collateralized loan obligations where an independent pricing service is unable to price an investment or where an independent pricing service does not provide a reliable price for the investment. Forward foreign currency contracts are fair valued utilizing interpolated rates determined based on information provided by an independent pricing service.
   The Fund may also fair value investments in other circumstances such as when extraordinary events occur after the close of a foreign market, but prior to the close of the New York Stock Exchange. This may include situations relating to a single issuer (such as a declaration of bankruptcy or a delisting of the issuer’s security from the primary market on which it has traded) as well as events affecting the securities markets in general (such as market disruptions or closings and significant fluctuations in U.S. and/or foreign markets). When fair valuing a Fund’s investments, the valuation designee may, among other things, use modeling tools or other processes that may take into account factors such as issuer specific information, or other related market activity and/or information that occurred after the close of the foreign market but before the time the Fund’s net asset value (“NAV”) is calculated. Fair valuation by the Fund’s valuation designee may require subjective determinations about the value of the investment, and fair values used to determine a Fund’s NAV may differ from quoted or published prices, or from prices that are used by others, for the same investments. In addition, the use of fair value pricing may not always result in adjustments to the prices of investments held by a Fund.
   The books and records of the Fund are maintained in U.S. dollars. The values of securities, currencies and other assets and liabilities denominated in currencies other than U.S. dollars are translated into U.S. dollars based upon foreign exchange rates prevailing at the end of the period.
(‡)    Principal Amount stated in U.S. dollars unless otherwise noted.
(a)    Variable rate security. The interest rate adjusts periodically based on; (i) changes in current interest rates and/or prepayments on underlying pools of assets, if applicable, (ii) reference to a base lending rate plus or minus a margin, and/or (iii) reference to a base lending rate adjusted by a multiplier and/or subject to certain floors or caps. Rate as of March 31, 2023 is disclosed.
(b)    Level 3 security. Value has been determined using significant unobservable inputs.
(c)    Perpetual bond with no specified maturity date.
(d)    Variable rate security. Rate as of March 31, 2023 is disclosed.
(e)    Non-income producing security.
(f)    The issuer is in default with respect to interest and/or principal payments. Income is not being accrued.
(g)    Security (or a portion thereof) has been pledged as collateral for open derivative contracts.
(h)    Interest rate represents annualized yield at time of purchase; not a coupon rate.
(i)    Interest rate represents annualized yield at time of purchase; not a coupon rate. The Fund’s investment in this security is comprised of various lots with differing annualized yields.
(j)    Stated interest rate has been determined in accordance with the provisions of the loan agreement and is subject to a minimum benchmark floor rate of 0.00%, to which the spread is added.
(k)    Stated interest rate has been determined in accordance with the provisions of the loan agreement and is subject to a minimum benchmark floor rate of 1.00%, to which the spread is added.
(l)    Stated interest rate has been determined in accordance with the provisions of the loan agreement and is subject to a minimum benchmark floor rate of 0.75%, to which the spread is added.


(m)    The Fund may enter into repurchase agreements, under the terms of a Master Repurchase Agreement, under which the Fund acquires securities as collateral and agrees to resell the securities at an agreed upon time and at an agreed upon price. It is the Fund’s policy that the market value of the collateral for repurchase agreements be at least equal to 102% of the repurchase price, including interest. Certain repurchase agreements are tri-party arrangements whereby the collateral is held in a segregated account for the benefit of the Fund and on behalf of the counterparty. Repurchase agreements could involve certain risks in the event of default or insolvency of the counterparty, including possible delays or restrictions upon the Fund’s ability to dispose of the underlying securities. As of March 31, 2023, the Fund had an investment in a repurchase agreement for which the value of the related collateral exceeded the value of the repurchase agreement.
(n)    Interest rate represents discount rate at time of purchase; not a coupon rate.
(o)    The Fund’s investment in U.S. Government/Agency securities is comprised of various lots with differing discount rates. These separate investments, which have the same maturity date, have been aggregated for the purpose of presentation in the Portfolio of Investments.
144A    All or a portion of these securities are exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At March 31, 2023, the value of Rule 144A holdings amounted to $2,145,798,111 or 42.2% of net assets.
ABS    Asset-Backed Securities
LIBOR    London Interbank Offered Rate
REITs    Real Estate Investment Trusts
SOFR    Secured Overnight Financing Rate
EUR    Euro

Forward Foreign Currency Contracts

The Fund may enter into forward foreign currency contracts, including forward foreign cross currency contracts, to acquire exposure to foreign currencies or to hedge the Fund’s investments against currency fluctuation. A contract can also be used to offset a previous contract. These contracts involve market risk in excess of the unrealized appreciation (depreciation). The U.S. dollar value of the currencies the Fund has committed to buy or sell represents the aggregate exposure to each currency the Fund has acquired or hedged through currency contracts outstanding at period end. Gains or losses are recorded for financial statement purposes as unrealized until settlement date. Contracts are traded over-the-counter directly with a counterparty. Risks may arise upon entering into these contracts from the potential inability of counterparties to meet the terms of their contracts and from unanticipated movements in the value of a foreign currency relative to the U.S. dollar. Certain contracts may require the movement of cash and/or securities as collateral for the Fund’s or counterparty’s net obligations under the contracts. At March 31, 2023, the Fund had the following open forward foreign currency contracts:

 

Counterparty

   Delivery
Date
     Currency
Bought/
Sold (B/S)
     Units
of
Currency
     In Exchange
for
     Notional
Value
     Unrealized
Appreciation
(Depreciation)
 

Bank of America N.A.

     6/21/2023       
EURS
 
     12,884,000      $ 13,708,576      $ 14,034,063      $ (325,487
                 

 

 

 


Futures Contracts

The Fund may enter into futures contracts. Futures contracts are agreements between two parties to buy and sell a particular instrument or index for a specified price on a specified future date.

When the Fund enters into a futures contract, it is required to deposit with (or for the benefit of) its broker an amount of cash or short-term high-quality securities as “initial margin.” As the value of the contract changes, the value of the futures contract position increases or declines. Subsequent payments, known as “variation margin,” are made or received by the Fund, depending on the price fluctuations in the fair value of the contract and the value of cash or securities on deposit with the broker. Realized gain or loss on a futures position is equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed, minus brokerage commissions. When the Fund enters into a futures contract certain risks may arise, such as illiquidity in the futures market, which may limit the Fund’s ability to close out a futures contract prior to settlement date, and unanticipated movements in the value of securities or interest rates.

Futures contracts are exchange-traded. Exchange-traded futures contracts are standardized and are settled through a clearing house with fulfillment supported by the credit of the exchange. Therefore, counterparty credit risks to the Fund are reduced; however, in the event that a counterparty enters into bankruptcy, the Fund’s claim against initial/variation margin on deposit with the counterparty may be subject to terms of a final settlement in bankruptcy court.

At March 31, 2023, open long futures contracts were as follows:

 

Financial Futures

   Expiration
Date
     Contracts      Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

10 Year U.S. Treasury Note

     6/21/2023        3,877      $ 433,141,309      $ 445,552,109      $ 12,410,800  

2 Year U.S. Treasury Note

     6/30/2023        1,250        257,889,313        258,066,408        177,095  

30 Year U.S. Treasury Bond

     6/21/2023        1,254        158,943,422        164,469,938        5,526,516  

5 Year U.S. Treasury Note

     6/30/2023        250        27,339,664        27,376,953        37,289  

Ultra Long U.S. Treasury Bond

     6/21/2023        2,793        380,557,363        394,162,125        13,604,762  
              

 

 

 

Total

 

   $ 31,756,462  
              

 

 

 

At March 31, 2023, open short futures contracts were as follows:

 

Financial Futures

   Expiration
Date
     Contracts      Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Ultra 10 Year U.S. Treasury Note

     6/21/2023        1,100      $ 132,994,326      $ 133,254,687      $ (260,361
              

 

 

 


Fair Value Measurements

In accordance with accounting standards related to fair value measurements and disclosures, the Fund has categorized the inputs utilized in determining the value of the Fund’s assets or liabilities. These inputs are summarized in the three broad levels listed below:

 

   

Level 1 — quoted prices in active markets for identical assets or liabilities;

 

   

Level 2 — prices determined using other significant inputs that are observable either directly, or indirectly through corroboration with observable market data (which could include quoted prices for similar assets or liabilities, interest rates, credit risk, etc.); and

 

   

Level 3 — prices determined using significant unobservable inputs when quoted prices or observable inputs are unavailable such as when there is little or no market activity for an asset or liability (unobservable inputs reflect the Fund’s own assumptions in determining the fair value of assets or liabilities and would be based on the best information available).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

The Fund’s pricing policies have been approved by the Board of Trustees. Investments for which market quotations are readily available are categorized in Level 1. Other investments for which an independent pricing service is utilized are categorized in Level 2. Broker-dealer bid prices for which the Fund has knowledge of the inputs used by the broker-dealer are categorized in Level 2. All other investments, including broker-dealer bid prices for which the Fund does not have knowledge of the inputs used by the broker-dealer, as well as investments fair valued by the valuation designee, are categorized in Level 3. All Level 2 and 3 securities are defined as being fair valued.

Under certain conditions and based upon specific facts and circumstances, the Fund’s valuation designee may determine that a fair valuation should be made for portfolio investment(s). These valuation designee fair valuations will be based upon a significant amount of Level 3 inputs.

The following is a summary of the inputs used to value the Fund’s investments as of March 31, 2023, at value:


Asset Valuation Inputs

 

Description

   Level 1      Level 2      Level 3      Total  

Bonds and Notes

           

Non-Convertible Bonds

           

ABS Whole Business

   $ —        $ 20,941,812      $ 9,580,607      $ 30,522,419  

Property & Casualty Insurance

     —          13,452,801        1,406,500        14,859,301  

All Other Non-Convertible Bonds*

     —          3,828,912,496        —          3,828,912,496  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Non-Convertible Bonds

     —          3,863,307,109        10,987,107        3,874,294,216  
  

 

 

    

 

 

    

 

 

    

 

 

 

Convertible Bonds*

     —          242,795,408        —          242,795,408  

Municipals*

     —          82,898,457        —          82,898,457  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Bonds and Notes

     —          4,189,000,974        10,987,107        4,199,988,081  
  

 

 

    

 

 

    

 

 

    

 

 

 

Senior Loans*

     —          28,442,141        —          28,442,141  

Collateralized Loan Obligations

     —          217,914,409        —          217,914,409  

Common Stocks

           

Technology Hardware, Storage & Peripherals

     2,084,996        13,216        —          2,098,212  

All Other Common Stocks*

     96,160,477        —          —          96,160,477  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Common Stocks

     98,245,473        13,216        —          98,258,689  
  

 

 

    

 

 

    

 

 

    

 

 

 

Preferred Stocks

           

Convertible Preferred Stocks

           

Wireless

     —          22,753,855        —          22,753,855  

All Other Convertible Preferred Stocks*

     54,347,625        —          —          54,347,625  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Convertible Preferred Stocks

     54,347,625        22,753,855        —          77,101,480  
  

 

 

    

 

 

    

 

 

    

 

 

 

Non-Convertible Preferred Stocks

           

Office REITs

     —          —          2,238,400        2,238,400  

Other REITs

     —          9,506,644        —          9,506,644  

All Other Non-Convertible Preferred Stocks*

     926,230        —          —          926,230  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Non-Convertible Preferred Stocks

     926,230        9,506,644        2,238,400        12,671,274  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Preferred Stocks

     55,273,855        32,260,499        2,238,400        89,772,754  
  

 

 

    

 

 

    

 

 

    

 

 

 

Short-Term Investments

     —          416,859,451        —          416,859,451  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Investments

     153,519,328        4,884,490,690        13,225,507        5,051,235,525  
  

 

 

    

 

 

    

 

 

    

 

 

 

Futures Contracts (unrealized appreciation)

     31,756,462        —          —          31,756,462  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 185,275,790      $ 4,884,490,690      $ 13,225,507      $ 5,082,991,987  
  

 

 

    

 

 

    

 

 

    

 

 

 

Liability Valuation Inputs

 

Description

   Level 1      Level 2      Level 3      Total  
Forward Foreign Currency Contracts (unrealized depreciation)    $ —        $ (325,487    $ —        $ (325,487

Futures Contracts (unrealized depreciation)

     (260,361      —          —          (260,361
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ (260,361    $ (325,487    $ —        $ (585,848
  

 

 

    

 

 

    

 

 

    

 

 

 

 

*

Details of the major categories of the Fund’s investments are reflected within the Portfolio of Investments.


The Fund’s pricing policies and procedures are recommended by the adviser and approved by the Board of Trustees. Debt securities are valued based on evaluated bids furnished to the Fund by an independent pricing service. Broker-dealer bid prices may be used if an independent pricing service either is unable to price a security or does not provide a reliable price for a security. The Fund’s adviser may use internally developed models to validate broker-dealer bid prices that are only available from a single broker or market maker. Such securities are considered and classified as fair valued. Broker-dealer bid prices for which the Fund does not have knowledge of the inputs used by the broker-dealer are categorized in Level 3. Securities for which market quotations are not readily available are valued at fair value as determined in good faith by the Fund’s adviser pursuant to procedures approved by the Board of Trustees. Fair valued securities may be categorized in Level 3.

The following is a reconciliation of Level 3 investments for which significant unobservable inputs were used to determine fair value as of December 31, 2022 and/or March 31, 2023:


Asset Valuation Inputs

 

Investments in Securities

   Balance as of
December 31, 2022
     Accrued
Discounts
(Premiums)
     Realized
Gain
(Loss)
     Change in
Unrealized
Appreciation
(Depreciation)
    Purchases      Sales      Transfers into Level
3
     Transfers out of Level 3      Balance as of
March 31, 2023
     Change in Unrealized
Appreciation (Depreciation) from
Investments Still Held at March
31, 2023
 

Bonds and Notes

                            

Non-Convertible Bonds

                            

ABS Whole Business

   $ —        $ —        $  —        $ 110,607     $  9,470,000      $  —        $  —        $  —        $ 9,580,607      $ 110,607  

Property & Casualty Insurance

     1,406,500        24,092        —          (24,092     —          —          —          —          1,406,500        (24,092

Preferred Stocks

                            

Non-Convertible Preferred Stocks

                            

Office REITs

     2,398,869        —          —          (160,469     —          —          —          —          2,238,400        (160,469
  

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 3,805,369      $ 24,092      $ —        $ (73,954   $ 9,470,000      $ —        $ —        $ —        $ 13,225,507      $ (73,954
  

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 


Derivatives

Derivative instruments are defined as financial instruments whose value and performance are based on the value and performance of an underlying asset, reference rate or index. Derivative instruments that the Fund used at period end include forward foreign currency contracts and futures contracts.

The Fund is subject to the risk that changes in foreign currency exchange rates will have an unfavorable effect on the value of Fund assets denominated in foreign currencies. The Fund may enter into forward foreign currency exchange contracts for hedging purposes to protect the value of the Funds’ holdings of foreign securities. The Fund may also use forward foreign currency contracts to gain exposure to foreign currencies, regardless of whether securities denominated in such currencies are held in the Fund. As of March 31, 2023, the Fund engaged in forward foreign currency contracts for hedging purposes.

The Fund is subject to the risk that changes in interest rates will affect the value of the Fund’s investments in fixed-income securities. The Fund will be subject to increased interest rate risk to the extent that it invests in fixed-income securities with longer maturities or durations, as compared to investing in fixed-income securities with shorter maturities or durations. The Fund may use futures contracts to hedge against changes in interest rates and to manage duration without having to buy or sell portfolio securities. The Fund may use futures contracts to gain investment exposure. As of March 31, 2023, the Fund used futures contracts to manage duration.

The following is a summary of derivative instruments for the Fund, as of March 31, 2023:

 

Assets

   Unrealized appreciation
on futures
contracts
        

Exchange-traded asset derivatives Interest rate contracts

   $ 31,756,462     

Liabilities

   Unrealized
depreciation
on forward foreign
currency contracts
     Unrealized depreciation
on futures
contracts
 

Over-the-counter liability derivatives Foreign exchange contracts

   $ (325,487    $ —    

Exchange-traded liability derivatives Interest rate contracts

     —          (260,361
  

 

 

    

 

 

 

Total liability derivatives

   $ (325,487    $ (260,361
  

 

 

    

 

 

 

The Fund’s derivatives do not qualify for hedge accounting under authoritative guidance for derivative instruments. The Fund’s investments in derivatives may represent an economic hedge; however, they are considered to be non-hedge transactions for the purpose of this disclosure.

Over-the-counter derivatives, including forward foreign currency contracts, are entered into pursuant to International Swaps and Derivatives Association, Inc. (“ISDA”) agreements negotiated between the Fund and its counterparties. ISDA agreements typically contain, among other things, terms for the posting of collateral and master netting provisions in the event of a default or other termination event. Collateral is posted by the Fund or the counterparty to the extent of the net mark-to-market exposure to the other party of all open contracts under the agreement, subject to minimum transfer requirements. Master netting provisions allow the Fund and the counterparty, in the event of a default or other termination event, to offset amounts owed by each related to derivative contracts, including any posted collateral, to one net amount payable by either the Fund or the counterparty. The Fund’s ISDA agreements typically contain provisions that allow a counterparty to terminate open contracts early if the NAV of the Fund declines beyond a certain threshold. As of March 31, 2023, the fair value of derivative positions subject to these provisions that are in a net liability position by counterparty, and the value of collateral pledged to counterparties for such contracts is as follows:

 

Counterparty

   Derivatives      Collateral Pledged  

Bank of America N.A.

   $ (325,487    $ 270,000  

Counterparty risk is managed based on policies and procedures established by each Fund’s adviser. Such policies and procedures may include, but are not limited to, minimum counterparty credit rating requirements, monitoring of counterparty credit default swap spreads and posting of collateral. A Fund’s risk of loss from counterparty credit risk on over-the-counter derivatives is generally limited to the Fund’s aggregated unrealized gains and the amount of any collateral pledged to the counterparty, which may be offset by any collateral posted to the Fund by the counterparty. ISDA master agreements can help to manage counterparty risk by specifying collateral posting arrangements at pre-arranged exposure levels. Under these ISDA agreements, collateral is routinely transferred if the total net exposure in respect of certain transactions, net of existing collateral already in place, exceeds a specified amount. With exchange-traded derivatives, there is minimal counterparty credit risk to the Fund because the exchange’s clearing house, as counterparty to these instruments, stands between the buyer and the seller of the contract. Credit risk still exists in exchange-traded derivatives with respect to initial and variation margin that is held in a broker’s customer accounts. While brokers typically are required to segregate customer margin for exchange-traded derivatives from their own assets, in the event that a broker becomes insolvent or goes into bankruptcy and at that time there is a shortfall in the aggregate amount of margin held by the broker for all its customers, U.S. bankruptcy laws will typically allocate that shortfall on a pro rata basis across all of the broker’s customers, potentially resulting in losses to the Fund._


Industry Summary at March 31, 2023 (Unaudited)

 

Treasuries

     12.7

Cable Satellite

     6.1  

Banking

     5.1  

Technology

     4.9  

Finance Companies

     4.6  

ABS Home Equity

     4.3  

ABS Car Loan

     4.1  

Independent Energy

     3.8  

Life Insurance

     3.4  

Pharmaceuticals

     2.9  

Consumer Cyclical Services

     2.7  

ABS Other

     2.7  

Metals & Mining

     2.3  

Airlines

     2.2  

Media Entertainment

     2.1  

Other Investments, less than 2% each

     22.8  

Short-Term Investments

     8.2  

Collateralized Loan Obligations

     4.3  
  

 

 

 

Total Investments

     99.2  

Other assets less liabilities (including forward foreign currency and futures contracts)

     0.8  
  

 

 

 

Net Assets

     100.0