| 资产支持证券— 6.0% |
| 安全 |
校长 金额 (000s略) |
价值 | |
| ARES LXXII CLO Ltd.,2024-72A系列,E类,10.318%,(3个月。SOFR + 6.00%),7/15/36(1)(2) | $ | 1,500 | $ 1,506,000 |
| ARES XXXIV CLO Ltd.,2015-2A系列,ER类,11.434%,(3个月。SOFR + 7.112%),4/17/33(1)(2) | 1,150 | 1,153,077 | |
| Benefit Street合作伙伴CLO XVIII Ltd.,2019-18A系列,ER类,11.329%,(3个月。SOFR + 7.012%),10/15/34(1)(2) | 1,000 | 1,008,082 | |
| Benefit Street合作伙伴CLO XXII Ltd.,2020-22A系列,类误差,9.225%,(3个月。SOFR + 4.90%),4/20/35(1)(2) | 1,000 | 1,002,607 | |
| BlueMountain CLO XXVI Ltd.,2019-26A系列,ER类,11.717%,(3个月。SOFR + 7.392%),10/20/34(1)(2) | 1,500 | 1,503,946 | |
| Canyon Capital CLO Ltd.,2022-1A系列,E类,10.718%,(3个月。SOFR + 6.40%),4/15/35(1)(2) | 1,250 | 1,257,400 | |
| Carlyle Global Market Strategies CLO Ltd.,2015-5A系列,DR类,11.287%,(3个月。SOFR + 6.962%),1/20/32(1)(2) | 500 | 500,938 | |
| Galaxy XXI CLO Ltd.,系列2015-21A,ER级,9.837%,(3个月。SOFR + 5.512%),4/20/31(1)(2) | 1,000 | 1,003,585 | |
| Golub Capital Partners CLO 50B-R Ltd.,2020-50A系列,ER类,11.426%,(3个月。SOFR + 7.10%),4/20/35(1)(2) | 1,000 | 1,006,826 | |
| Madison Park Funding XXXVI Ltd.,Series 2019-36A,Class ERR,9.918%,(3 mo。SOFR + 5.60%),4/15/35(1)(2) | 1,000 | 972,940 | |
| Neuberger Berman Loan Advisers CLO Ltd.,2022-48A系列,E类,10.8 19%,(3个月。SOFR + 6.50%),4/25/36(1)(2) | 1,000 | 1,008,428 | |
| Octagon 70 Alto Ltd.,2023-1A系列,E类,10.986%,(3个月。SOFR + 6.66%),10/20/36(1)(2) | 1,500 | 1,499,718 | |
| Palmer Square CLO Ltd.: | |||
| 系列2015-1A,DR4级,11.083%,(3个月。SOFR + 6.762%),5/21/34(1)(2) | 500 | 495,001 | |
| 系列2019-1A,类DR,11.069%,(3个月。SOFR + 6.762%),11/14/34(1)(2) | 1,000 | 997,811 | |
| RAD CLO 5 Ltd.,2019-5A系列,E类,11.28%,(3个月。SOFR + 6.962%),7/24/32(1)(2) | 1,000 | 1,002,976 | |
| RR29 Ltd.,2024-29RA系列,DR类,10.168%,(3个月。SOFR + 5.85%),7/15/39(1)(2) | 600 | 609,037 | |
| TRESTLES CLO Ltd.,2017-1A系列,类ERR,10.269%,(3个月。SOFR + 5.95%),7/25/37(1)(2) | 1,500 | 1,517,508 | |
| Vibrant CLO XI,2019-11A系列,D类,11.357%,(3个月。SOFR + 7.032%),7/20/32(1)(2) | 1,000 | 1,000,676 | |
| 安全 |
校长 金额 (000s略) |
价值 | |
| Voya CLO Ltd.,2013-1A系列,DR类,11.059%,(3个月。SOFR + 6.742%),10/15/30(1)(2) | $ | 2,000 | $ 1,875,800 |
| Wellfleet CLO Ltd.,2020-1A系列,D类,11.8 19%,(3个月。SOFR + 7.502%),4/15/33(1)(2) | 1,150 | 1,149,137 | |
| 总资产支持证券 (确定费用22,010,936美元) |
$ 22,071,493 | ||
| 普通股— 1.5% |
| 安全 | 股份 | 价值 | |
| 航空航天与国防—0.0% | |||
| IAP全球服务有限责任公司(3)(4)(5) | 55 | $ 0 | |
| $ 0 | |||
| 商业服务及用品— 0.1% | |||
| Monitronics International, Inc.(4)(5) | 18,441 | $ 267,395 | |
| 凤凰服务国际有限责任公司(4)(5) | 16,081 | 64,324 | |
| 凤凰服务国际有限责任公司(4)(5) | 1,467 | 5,868 | |
| $ 337,587 | |||
| 电子设备、仪器及元件— 0.3% | |||
| Range Red Acquisitions LLC,A1类(3)(4)(5) | 479 | $ 1,064,558 | |
| $ 1,064,558 | |||
| 电子/电气—0.0%† | |||
| Skillsoft Corp.(4)(5) | 2,650 | $ 37,789 | |
| $ 37,789 | |||
| 医疗保健— 0.3% | |||
| Cano Health, Inc.(4)(5) | 106,449 | $ 403,601 | |
| 远景母公司。(4)(5) | 44,965 | 770,026 | |
| $ 1,173,627 | |||
| 家庭耐用品— 0.2% | |||
| 舒达席梦思床上用品公司。(4)(5) | 74,131 | $ 696,831 | |
| 舒达SSB设备公司。(3)(4)(5) | 74,131 | 0 | |
| $ 696,831 | |||
| 投资公司— 0.0% | |||
| Aegletes BV(3)(4)(5) | 14,087 | $ 0 | |
| $ 0 | |||
| 安全 | 股份 | 价值 | |
| 医药— 0.6% | |||
| 万灵科 International Finance SA(4)(5) | 27,357 | $ 2,382,795 | |
| $ 2,382,795 | |||
| 零售— 0.0% | |||
| Jubilee Enterprise PCL,A1类(3)(4)(5) | 458 | $ 0 | |
| Jubilee Enterprise PCL,A2类(3)(4)(5) | 366,665 | 0 | |
| $ 0 | |||
| 零售商(食品药品除外)— 0.0% | |||
| 菲利普斯饲料服务公司。(3)(4)(5) | 557 | $ 0 | |
| $ 0 | |||
| 电信—0.0% | |||
| 阿努武(3)(4)(5) | 45,136 | $ 0 | |
| $ 0 | |||
| 普通股总数 (确定费用7084189美元) |
$ 5,693,187 | ||
| 公司债— 4.8% |
| 安全 |
校长 金额 (000s略) |
价值 | |
| 航空航天和国防—0.2% | |||
| Bombardier,Inc.,6.00%,2/15/28(1) | $ | 200 | $ 201,478 |
| TransDigm,Inc.,4.875%,5/1/29 | 625 | 613,688 | |
| $ 815,166 | |||
| 航空公司— 0.2% | |||
| VistaJet Malta Finance PLC/Vista Management Holding,Inc.,6.375%,2/1/30(1) | $ | 625 | $ 590,996 |
| $ 590,996 | |||
| 汽车— 0.3% | |||
| Clarios Global LP/Clarios U.S. Finance Co.,8.50%,5/15/27(1) | $ | 1,000 | $ 1,007,964 |
| $ 1,007,964 | |||
| 建筑及发展— 0.3% | |||
| Smyrna Ready Mix Concrete LLC,6.00%,11/1/28(1) | $ | 625 | $ 623,455 |
| Standard Industries,Inc.,4.75%,1/15/28(1) | 625 | 616,937 | |
| $ 1,240,392 | |||
| 安全 |
校长 金额 (000s略) |
价值 | |
| 商业设备和服务—0.0%† | |||
| Prime Security Services Borrower LLC/Prime Finance,Inc.,5.75%,4/15/26(1) | $ | 156 | $ 156,807 |
| $ 156,807 | |||
| 有线和卫星电视— 0.1% | |||
| CCO Holdings LLC/CCO Holdings Capital Corp.,4.50%,8/15/30(1) | $ | 625 | $ 585,213 |
| $ 585,213 | |||
| 化学品— 0.1% | |||
| Olympus Water U.S. Holding Corp.,9.75%,11/15/28(1) | $ | 209 | $ 219,361 |
| $ 219,361 | |||
| 商业服务— 0.1% | |||
| Mavis Tire Express Services Topco Corp.,6.50%,5/15/29(1) | $ | 489 | $ 483,613 |
| $ 483,613 | |||
| 化妆品/洗漱用品— 0.2% | |||
| Edgewell个人护理用品,5.50%,6/1/28(1) | $ | 625 | $ 621,157 |
| $ 621,157 | |||
| 分销和批发— 0.3% | |||
| 性能食品集团,Inc.,5.50%,10/15/27(1) | $ | 1,000 | $ 999,272 |
| $ 999,272 | |||
| 生态服务与设备— 0.1% | |||
| GFL Environmental,Inc.,4.375%,8/15/29(1) | $ | 366 | $ 355,234 |
| $ 355,234 | |||
| 工程建筑— 0.2% | |||
| TopBuild Corp.,3.625%,3/15/29(1) | $ | 625 | $ 589,475 |
| $ 589,475 | |||
| 餐饮服务— 0.2% | |||
| Albertsons Cos.,Inc./Safeway,Inc./New Albertsons LP/Albertsons LLC,3.50%,3/15/29(1) | $ | 625 | $ 590,086 |
| $ 590,086 | |||
| 医疗保健— 0.5% | |||
| LifePoint Health,Inc.,5.375%,1/15/29(1) | $ | 625 | $ 588,037 |
| 安全 |
校长 金额 (000s略) |
价值 | |
| 医疗保健(续) | |||
| Medline Borrower LP,5.25%,10/1/29(1) | $ | 241 | $ 236,442 |
| 泰尼特保健 Corp.,6.875%,11/15/31 | 1,000 | 1,066,270 | |
| $ 1,890,749 | |||
| 康养科技— 0.2% | |||
| athenahealth Group,Inc.,6.50%,2/15/30(1) | $ | 625 | $ 614,907 |
| $ 614,907 | |||
| 家居用品— 0.2% | |||
| Somnigroup International,Inc.,4.00%,4/15/29(1) | $ | 625 | $ 594,355 |
| $ 594,355 | |||
| 保险— 0.3% | |||
| Alliant Holdings Intermediate LLC/Alliant Holdings联合发行人,6.75%,10/15/27(1) | $ | 625 | $ 626,064 |
| AmWINS Group,Inc.,4.875%,6/30/29(1) | 600 | 583,276 | |
| $ 1,209,340 | |||
| 休闲用品/活动/电影— 0.3% | |||
| NCL Corp. Ltd.,5.875%,2/15/27(1) | $ | 550 | $ 551,973 |
| Viking Cruises Ltd.,5.875%,9/15/27(1) | 625 | 625,009 | |
| $ 1,176,982 | |||
| 石油和天然气— 0.3% | |||
| Civitas Resources, Inc.,8.375%,7/1/28(1) | $ | 250 | $ 257,394 |
| Permian Resources Operating LLC,5.375%,1/15/26(1) | 625 | 624,412 | |
| Vital Energy,Inc.,9.75%,10/15/30 | 350 | 328,615 | |
| $ 1,210,421 | |||
| 管道— 0.1% | |||
| Venture Global LNG,Inc.,8.375%,6/1/31(1) | $ | 447 | $ 462,662 |
| $ 462,662 | |||
| 房地产投资信托基金(REITs)— 0.0%† | |||
| HAT Holdings I LLC/HAT Holdings II LLC,3.375%,6/15/26(1) | $ | 134 | $ 131,566 |
| $ 131,566 | |||
| 零售— 0.0%† | |||
| Evergreen AcqCo 1 LP/TVI,Inc.,9.75%,4/26/28(1) | $ | 31 | $ 32,315 |
| $ 32,315 | |||
| 安全 |
校长 金额 (000s略) |
价值 | |
| 零售商(食品及药品除外)— 0.1% | |||
| PetSmart,Inc./PetSmart Finance Corp.,7.75%,2/15/29(1) | $ | 355 | $ 347,860 |
| $ 347,860 | |||
| 公用事业— 0.4% | |||
| Calpine Corp.,5.00%,2/1/31(1) | $ | 505 | $ 499,473 |
| NRG能源,Inc.,3.625%,2/15/31(1) | 1,000 | 916,095 | |
| $ 1,415,568 | |||
| 无线电信服务— 0.1% | |||
| Digicel Intermediate Holdings Ltd./Digicel International Finance Ltd./DIFL U.S.,12.00%,(9.00%现金及3.00% PIK),5/25/27 | $ | 562 | $ 565,186 |
| $ 565,186 | |||
| 公司债券合计 (确定费用17361095美元) |
$ 17,906,647 | ||
| 优先股— 0.1% |
| 安全 | 股份 | 价值 | |
| 科技— 0.1% | |||
| Cohesity Global,Inc.: | |||
| G系列(4) | 8,637 | $ 198,651 | |
| G1系列(4) | 5,968 | 137,264 | |
| 优先股合计 (确定费用299402美元) |
$ 335,915 | ||
| 高级浮动利率贷款— 139.1%(6) |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 航空航天与国防— 1.2% | |||
| Aernnova Aerospace SAU,定期贷款,5.979%,(3个月。EURIBOR + 4.00%),2/27/30 | 欧元 | 500 | $ 572,694 |
| Air Comm Corp. LLC: | |||
| 定期贷款,7.058%,(3个月。美元期限SOFR + 2.75%),12/11/31(7) | 117 | 117,601 | |
| 定期贷款,7.064%,(3个月。美元期限SOFR + 2.75%),12/11/31 | 1,404 | 1,407,683 | |
| HDI Aerospace Intermediate Holding III Corp.,定期贷款,8.829%,(3个月。美元期限SOFR + 4.50%),2/11/32 | 648 | 651,212 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 航空航天和国防(续) | |||
| IAP Worldwide Services,Inc.,Term Loan-Second Lien,0.00 %%,7/18/23(3)(8) | 391 | $ 314,135 | |
| Novaria Holdings LLC,定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),6/6/31 | 596 | 597,246 | |
| Vista Management Holding,Inc.,定期贷款,8.041%,(3个月。美元期限SOFR + 3.75%),4/1/31 | 600 | 603,249 | |
| $ 4,263,820 | |||
| 空运物流— 0.2% | |||
| AIT Worldwide Logistics,Inc.,定期贷款,8.261%,(3个月。美元期限SOFR + 4.00%),4/8/30 | 647 | $ 649,583 | |
| $ 649,583 | |||
| 航空公司— 0.5% | |||
| 美国航空,定期贷款,6.576%,(3个月。美元期限SOFR + 2.25%),4/20/28 | 1,961 | $ 1,955,941 | |
| $ 1,955,941 | |||
| 服装和奢侈品— 0.7% | |||
| Gloves Buyer,Inc.,定期贷款,8.356%,(1个月。美元期限SOFR + 4.00%),5/24/32 | 2,150 | $ 2,110,225 | |
| 哈尼斯品牌服装,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),3/7/32 | 637 | 640,656 | |
| $ 2,750,881 | |||
| 汽车零部件— 3.6% | |||
| Adient U.S. LLC,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),1/31/31 | 1,543 | $ 1,550,000 | |
| Autokiniton U.S. Holdings,Inc.,定期贷款,8.471%,(1个月。美元期限SOFR + 4.00%),4/6/28 | 3,077 | 2,981,214 | |
| Clarios Global LP: | |||
| 定期贷款,4.901%,(1个月。EURIBOR + 3.00%),7/16/31 | 欧元 | 630 | 721,105 |
| 定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),5/6/30 | 2,059 | 2,062,553 | |
| DexKO Global,Inc.: | |||
| 定期贷款,5.901%,(1个月。EURIBOR + 4.00%),10/4/28 | 欧元 | 314 | 342,545 |
| 定期贷款,5.901%,(1个月。EURIBOR + 4.00%),10/4/28 | 欧元 | 461 | 503,054 |
| 定期贷款,8.221%,(1个月。美元期限SOFR + 3.75%),10/4/28 | 677 | 647,390 | |
| Garrett LX I SARL,定期贷款,6.558%,(3个月。美元期限SOFR + 2.25%),1/30/32 | 700 | 703,186 | |
| Lippert Colipper,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),3/25/32 | 374 | 376,402 | |
| LTI Holdings,Inc.,定期贷款,8.606%,(1个月。美元期限SOFR + 4.25%),7/29/29 | 1,241 | 1,244,037 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 汽车零部件(续) | |||
| RealTruck Group,Inc.: | |||
| 定期贷款,8.221%,(1个月。美元期限SOFR + 3.75%),1/31/28 | 1,781 | $ 1,650,318 | |
| 定期贷款,9.471%,(1个月。美元期限SOFR + 5.00%),1/31/28 | 667 | 623,736 | |
| $ 13,405,540 | |||
| 汽车— 0.5% | |||
| MajorDrive Holdings IV LLC: | |||
| 定期贷款,8.557%,(3个月。美元期限SOFR + 4.00%),6/1/28 | 600 | $ 591,093 | |
| 定期贷款,9.946%,(3个月。美元期限SOFR + 5.50%),6/1/29 | 1,427 | 1,417,251 | |
| $ 2,008,344 | |||
| 饮料— 1.4% | |||
| Arterra Wines Canada,Inc.,定期贷款,8.057%,(3个月。美元期限SOFR + 3.50%),11/24/27 | 954 | $ 943,873 | |
| Celsius Holdings, Inc.,定期贷款,7.541%,(3个月。美元期限SOFR + 3.25%),4/1/32 | 725 | 731,949 | |
| City Brewing Co. LLC: | |||
| 定期贷款,8.079%,(3个月。美元期限SOFR + 3.50%),4/5/28 | 569 | 156,491 | |
| 定期贷款,10.568%,(3个月。美元期限SOFR + 6.25%),4/5/28 | 184 | 50,731 | |
| 定期贷款-第二留置权,0.00%,4/5/28(8) | 1,083 | 3,384 | |
| Primo Brands Corp.,定期贷款,6.546%,(3个月。美元期限SOFR + 2.25%),3/31/28 | 2,352 | 2,360,612 | |
| Sazerac Co.,Inc.,定期贷款,6.825%,(3个月。美元期限SOFR + 2.50%),7/9/32 | 1,000 | 1,004,690 | |
| $ 5,251,730 | |||
| 生物技术— 0.4% | |||
| 奥特奇公司,定期贷款,8.721%,(1个月。美元期限SOFR + 4.25%),8/13/30 | 1,404 | $ 1,412,194 | |
| $ 1,412,194 | |||
| Broadline零售— 0.8% | |||
| Peer Holding III BV: | |||
| 定期贷款,5.23%,(3个月。EURIBOR + 3.25%),11/26/31 | 欧元 | 525 | $ 603,063 |
| 定期贷款,6.796%,(3个月。美元期限SOFR + 2.50%),10/28/30 | 1,086 | 1,089,981 | |
| 定期贷款,6.796%,(3个月。美元期限SOFR + 2.50%),7/1/31 | 1,393 | 1,398,447 | |
| $ 3,091,491 | |||
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 建筑产品— 1.9% | |||
| Cornerstone Building Brands, Inc.,定期贷款,7.692%,(1个月。美元期限SOFR + 3.25%),4/12/28 | 2,736 | $ 2,509,401 | |
| LHS Borrower LLC,定期贷款,9.206%,(1个月。美元期限SOFR + 4.75%),2/16/29 | 985 | 941,292 | |
| MI Windows & Doors LLC,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),3/28/31 | 2,252 | 2,258,162 | |
| Oscar AcquisitionCo LLC,定期贷款,8.546%,(3个月。美元期限SOFR + 4.25%),4/29/29 | 1,222 | 1,115,722 | |
| Standard Industries,Inc.,定期贷款,6.105%,(1个月。美元期限SOFR + 1.75%),9/22/28 | 303 | 304,041 | |
| $ 7,128,618 | |||
| 资本市场— 5.9% | |||
| Advisor Group,Inc.,定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),8/17/28 | 1,894 | $ 1,898,045 | |
| AllSpring Buyer LLC,定期贷款,7.296%,(3个月。美元期限SOFR + 3.00%),11/1/30 | 1,316 | 1,321,342 | |
| Aretec Group,Inc.,定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),8/9/30 | 2,199 | 2,206,107 | |
| Citco Funding LLC,定期贷款,6.934%,(6个月。美元期限SOFR + 2.75%),4/27/28 | 761 | 766,165 | |
| 爱德曼金融中心有限责任公司,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),4/7/28 | 2,415 | 2,421,830 | |
| EIG Management Co. LLC,定期贷款,9.353%,(1个月。美元期限SOFR + 5.00%),5/17/29 | 402 | 402,321 | |
| FinCo I LLC,定期贷款,6.103%,(1个月。美元期限SOFR + 1.75%),6/27/29 | 1,204 | 1,205,023 | |
| Focus金融伙伴 LLC,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),9/15/31 | 4,302 | 4,309,683 | |
| Franklin Square Holdings LP,Term Loan,6.606%,(1个月。美元期限SOFR + 2.25%),4/25/31 | 1,015 | 1,021,092 | |
| HighTower Holdings LLC,定期贷款,7.26%,(3个月。美元期限SOFR + 3.00%),2/3/32 | 2,231 | 2,236,413 | |
| Kestra Advisor Services Holdings A,Inc.,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),3/22/31 | 1,390 | 1,392,269 | |
| Mariner Wealth Advisors LLC,定期贷款,6.796%,(3个月。美元期限SOFR + 2.50%),12/31/30 | 1,817 | 1,829,504 | |
| Orion Advisor Solutions,Inc.,定期贷款,7.569%,(3个月。美元期限SOFR + 3.25%),9/24/30 | 620 | 623,901 | |
| $ 21,633,695 | |||
| 化学品— 5.9% | |||
| AAP Buyer,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),9/9/31 | 473 | $ 476,170 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 化学品(续) | |||
| Aruba Investments Holdings LLC: | |||
| 定期贷款,5.901%,(1个月。EURIBOR + 4.00%),11/24/27 | 欧元 | 479 | $ 515,620 |
| 定期贷款,8.456%,(1个月。美元期限SOFR + 4.00%),11/24/27 | 1,425 | 1,374,117 | |
| Charter NEX U.S.,Inc.,定期贷款,7.086%,(1个月。美元期限SOFR + 2.75%),11/29/30 | 1,164 | 1,168,400 | |
| Discovery Purchaser Corp.,定期贷款,8.082%,(3个月。美元期限SOFR + 3.75%),10/4/29 | 1,218 | 1,219,132 | |
| INEOS Quattro Holdings U.K. Ltd.: | |||
| 定期贷款,5.901%,(1个月。EURIBOR + 4.00%),3/14/30 | 欧元 | 275 | 291,548 |
| 定期贷款,8.706%,(1个月。美元期限SOFR + 4.25%),4/2/29 | 1,033 | 966,992 | |
| INEOS美国金融有限责任公司: | |||
| 定期贷款,6.956%,(1个月。美元期限SOFR + 2.50%),11/8/28 | 508 | 481,271 | |
| 定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),2/7/31 | 1,067 | 984,638 | |
| 定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),2/18/30 | 1,902 | 1,771,985 | |
| Lonza Group AG,定期贷款,8.321%,(3个月。美元期限SOFR + 3.93%),7/3/28 | 2,378 | 2,132,398 | |
| Minerals技术公司,定期贷款,6.356%,(1个月。美元期限SOFR + 2.00%),11/26/31 | 522 | 524,010 | |
| Momentive Performance Materials,Inc.,定期贷款,8.356%,(1个月。美元期限SOFR + 4.00%),3/29/28 | 1,141 | 1,145,246 | |
| Nouryon Finance BV,定期贷款,7.55%,(3个月。美元期限SOFR + 3.25%),4/3/28 | 591 | 591,505 | |
| Olympus Water U.S. Holding Corp.,定期贷款,7.296%,(3个月。美元期限SOFR + 3.00%),6/20/31 | 2,050 | 2,045,260 | |
| 猎户座工程碳 GmbH,定期贷款,6.546%,(3个月。美元期限SOFR + 2.15%),9/24/28 | 313 | 297,172 | |
| 罗姆控股有限公司,定期贷款,9.697%,(6个月。美元期限SOFR + 5.50%),1/31/29 | 1,413 | 1,371,569 | |
| SCUR-Alpha 1503 GmbH,定期贷款,9.808%,(3个月。美元期限SOFR + 5.50%),3/29/30 | 464 | 441,604 | |
| Tronox Finance LLC: | |||
| 定期贷款,6.546%,(3个月。美元期限SOFR + 2.25%),4/4/29 | 1,470 | 1,352,518 | |
| 定期贷款,6.796%-6.856%,(1个月.USD定期SOFR + 2.50%,3个月。美元期限SOFR + 2.50%),9/30/31 | 423 | 381,010 | |
| W.R. Grace & Co.-Conn.,定期贷款,7.546%,(3个月。美元期限SOFR + 3.25%),9/22/28 | 2,364 | 2,369,416 | |
| $ 21,901,581 | |||
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 商业服务及用品— 5.4% | |||
| Albion融资3 SARL,定期贷款,7.316%,(1个月。美元期限SOFR + 3.00%,3个月。美元期限SOFR + 3.00%),5/21/31 | 1,572 | $ 1,581,995 | |
| Allied Universal Holdco LLC,定期贷款,8.206%,(1个月。美元期限SOFR + 3.75%),5/12/28 | 3,781 | 3,793,919 | |
| Armor Holding II LLC,定期贷款,7.916%,(6个月。美元期限SOFR + 3.75%),12/11/28 | 199 | 200,910 | |
| Belfor Holdings,Inc.,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),11/1/30 | 556 | 558,031 | |
| EnergySolutions LLC,定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),9/20/30 | 1,288 | 1,297,741 | |
| Flame Newco LLC,定期贷款,12.50%,(美国(Fed)Prime Rate + 5.00%),6/30/28 | 204 | 203,758 | |
| Foundever Worldwide Corp.,定期贷款,8.106%,(1个月。美元期限SOFR + 3.75%),8/28/28 | 2,238 | 1,220,033 | |
| Garda World Security Corp.,定期贷款,7.343%,(1个月。美元期限SOFR + 3.00%),2/1/29 | 2,372 | 2,375,499 | |
| Gategroup Fin Luxembourg SA,定期贷款,6/10/32(9) | 600 | 603,189 | |
| GFL Environmental,定期贷款,6.824%,(3个月。美元期限SOFR + 2.50%),3/3/32 | 1,500 | 1,503,750 | |
| Heritage-Crystal Clean, Inc.,定期贷款,8.069%,(3个月。美元期限SOFR + 3.75%),10/17/30 | 690 | 692,948 | |
| LSF12 Crown U.S. Commercial Bidco LLC,定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),12/2/31 | 2,025 | 2,039,772 | |
| Luna 2.5 SARL,定期贷款,5.401%,(1个月。EURIBOR + 3.50%),7/1/32 | 欧元 | 350 | 401,453 |
| Monitronics International, Inc.,定期贷款,12.057%,(3个月。美元期限SOFR + 7.50%),6/30/28 | 998 | 984,659 | |
| MV Holding GmbH,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),3/17/32 | 625 | 628,712 | |
| Prime Security Services Borrower LLC,定期贷款,6.129%,(6个月。美元期限SOFR + 2.00%),10/13/30 | 943 | 943,867 | |
| Tidal Waste & Recycling Holdings LLC,定期贷款,7.296%,(3个月。美元期限SOFR + 3.00%),10/24/31 | 648 | 653,342 | |
| TMF Group Holding BV,定期贷款,7.029%-7.035%,(3个月。美元期限SOFR + 2.75%),5/3/28 | 369 | 371,717 | |
| $ 20,055,295 | |||
| 建筑材料— 1.2% | |||
| Knife River HoldCo,定期贷款,6.31%,(3个月。美元期限SOFR + 2.00%),3/8/32 | 249 | $ 250,622 | |
| Quikrete Holdings,Inc.: | |||
| 定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),3/19/29 | 2,419 | 2,422,980 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 建筑材料(续) | |||
| Quikrete Holdings,Inc.: (续) | |||
| 定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),2/10/32 | 1,746 | $ 1,746,279 | |
| $ 4,419,881 | |||
| 消费金融— 0.3% | |||
| CPI Holdco B LLC,定期贷款,6.356%,(1个月。美元期限SOFR + 2.00%),5/19/31 | 1,216 | $ 1,215,910 | |
| $ 1,215,910 | |||
| 必需消费品分销和零售— 0.1% | |||
| Cardenas Markets,Inc.,定期贷款,11.146%,(3个月。美元期限SOFR + 6.75%),8/1/29 | 391 | $ 361,877 | |
| $ 361,877 | |||
| 容器和包装— 1.7% | |||
| Altium Packaging LLC,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),6/11/31 | 470 | $ 467,605 | |
| Berlin Packaging LLC,定期贷款,7.558%,(3个月。美元期限SOFR + 3.25%),6/7/31 | 1,753 | 1,759,091 | |
| Clydesdale Acquisition Holdings,Inc.,定期贷款,7.531%,(1个月。美元期限SOFR + 3.18%),4/13/29 | 2,037 | 2,038,938 | |
| Pretium PKG Holdings,Inc.,定期贷款-第二留置权,11.312%,(3个月。美元期限SOFR + 6.75%),10/1/29 | 300 | 50,571 | |
| Proampac PG Borrower LLC,定期贷款,8.318%-8.324%,(3个月。美元期限SOFR + 4.00%),9/15/28 | 1,108 | 1,113,009 | |
| Trivium Packaging BV,定期贷款,6.48%,(3个月。EURIBOR + 4.50%),5/28/30 | 欧元 | 575 | 659,162 |
| $ 6,088,376 | |||
| 分销商— 0.5% | |||
| Parts Europe SA,定期贷款,5.274%,(3个月。EURIBOR + 3.25%),2/3/31 | 欧元 | 1,475 | $ 1,695,077 |
| Phillips Feed Service,Inc.,定期贷款,11.456%,(1个月。美元期限SOFR + 7.00%),11/13/26(3) | 99 | 60,533 | |
| $ 1,755,610 | |||
| 多元化消费服务— 2.0% | |||
| Ascend Learning LLC: | |||
| 定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),12/11/28 | 1,522 | $ 1,524,456 | |
| 定期贷款-第二留置权,10.206%,(1个月。美元期限SOFR + 5.75%),12/10/29 | 940 | 942,161 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 多元化消费服务(续) | |||
| 赋格金融BV,定期贷款,7.097%,(1个月。美元期限SOFR + 2.75%),1/9/32 | 496 | $ 498,850 | |
| KUEHG Corp.,定期贷款,7.041%,(3个月。美元期限SOFR + 2.75%),6/12/30 | 1,417 | 1,419,670 | |
| Lernen Bidco Ltd.,定期贷款,8.083%,(3个月。美元期限SOFR + 3.75%),10/27/31 | 522 | 526,513 | |
| Spring Education Group,Inc.,定期贷款,8.296%,(3个月。美元期限SOFR + 4.00%),10/4/30 | 838 | 844,848 | |
| Wand NewCo 3,Inc.,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),1/30/31 | 1,560 | 1,558,193 | |
| $ 7,314,691 | |||
| 多元化金融服务— 0.4% | |||
| Concorde Midco Ltd.,定期贷款,5.809%,(6个月。EURIBOR + 3.50%),3/1/30 | 欧元 | 525 | $ 594,636 |
| Sandy BidCo BV,定期贷款,6.261%,(6个月。EURIBOR + 3.85%),8/17/29 | 欧元 | 925 | 1,051,461 |
| $ 1,646,097 | |||
| 多元化电信服务— 2.8% | |||
| Altice France SA,定期贷款,9.818%,(3个月。美元期限SOFR + 5.50%),8/15/28 | 1,168 | $ 1,088,730 | |
| Anuvu Holdings 2 LLC: | |||
| 定期贷款,12.664%,(3个月。美元期限SOFR + 8.25%),3/23/26(3) | 1,087 | 19,993 | |
| 定期贷款,14.413%,(3个月。美元期限SOFR + 10.00%),8.413%现金,6.00% PIK,9/27/27(3) | 423 | 423,123 | |
| Level 3 Financing,Inc.,定期贷款,8.606%,(1个月。美元期限SOFR + 4.25%),3/27/32 | 2,100 | 2,121,819 | |
| Lumen Technologies, Inc.,定期贷款,6.821%,(1个月。美元期限SOFR + 2.35%),4/15/30 | 990 | 985,503 | |
| Virgin Media Bristol LLC,定期贷款,7.706%,(1个月。美元期限SOFR + 3.25%),1/31/29 | 4,200 | 4,180,680 | |
| Zayo集团控股有限公司,定期贷款,5.151%,(1个月。EURIBOR + 3.25%),3/9/27 | 欧元 | 1,365 | 1,466,891 |
| $ 10,286,739 | |||
| 电力公用事业— 1.2% | |||
| Kohler Energy Co. LLC,定期贷款,8.046%,(3个月。美元期限SOFR + 3.75%),5/1/31 | 2,130 | $ 2,142,560 | |
| MRP买方有限责任公司: | |||
| 定期贷款,7.568%,(3个月。美元期限SOFR + 3.25%),6/4/32 | 1,929 | 1,899,896 | |
| 定期贷款,6/4/32(7) | 246 | 241,805 | |
| $ 4,284,261 | |||
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 电气设备— 1.1% | |||
| Nvent Electric PLC,定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),1/30/32 | 1,125 | $ 1,132,386 | |
| WEC美国控股有限公司,定期贷款,6.579%,(1个月。美元期限SOFR + 2.25%),1/27/31 | 3,069 | 3,074,631 | |
| $ 4,207,017 | |||
| 电子设备、仪器及元件— 2.2% | |||
| 张伯伦集团: | |||
| 定期贷款,7.706%,(1个月。美元期限SOFR + 3.25%),11/3/28 | 2,439 | $ 2,442,733 | |
| 定期贷款,9/8/32(9) | 150 | 150,124 | |
| Creation Technologies,Inc.,定期贷款,10.047%,(3个月。美元期限SOFR + 5.50%),10/5/28 | 1,309 | 1,306,927 | |
| 英格麦克,定期贷款,6.56%,(3个月。美元期限SOFR + 2.25%),9/22/31 | 1,225 | 1,232,451 | |
| Range Red Operating,Inc.: | |||
| 定期贷款,12.422%,(1个月。美元期限SOFR + 8.00%),10/1/29 | 175 | 173,931 | |
| 定期贷款-第二留置权,12.422%,(1个月。美元期限SOFR + 8.00%),10/1/29 | 732 | 729,614 | |
| Verifone Systems, Inc.,定期贷款,10.07%,(3个月。美元期限SOFR + 5.50%),8/18/28 | 450 | 435,665 | |
| Verisure Holding AB: | |||
| 定期贷款,4.98%,(3个月。EURIBOR + 3.00%),3/27/28 | 欧元 | 775 | 887,901 |
| 定期贷款,5.194%,(3个月。EURIBOR + 3.25%),5/30/30 | 欧元 | 229 | 262,360 |
| Viavi Solutions,Inc.,定期贷款,6/15/32(9) | 675 | 678,378 | |
| $ 8,300,084 | |||
| 能源设备与服务— 0.4% | |||
| Ameriforge Group,Inc.,定期贷款,15.473%,(1个月。美元期限SOFR + 11.00%),4.473%现金,11.00% PIK,12/31/25(3) | 64 | $ 8,558 | |
| PG Investment Co. 59 SARL,定期贷款,7.046%,(3个月。美元期限SOFR + 2.75%),3/26/31 | 1,390 | 1,396,582 | |
| $ 1,405,140 | |||
| 工程建筑— 2.1% | |||
| American Residential Services LLC,定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),2/2/32 | 552 | $ 553,899 | |
| Artera Services LLC,定期贷款,8.796%,(3个月。美元期限SOFR + 4.50%),2/15/31 | 420 | 350,099 | |
| Azuria Water Solutions,Inc.: | |||
| 定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),5/17/28 | 1,693 | 1,701,560 | |
| 定期贷款,5/17/28(7) | 68 | 68,516 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 工程&建筑(续) | |||
| Construction Partners, Inc.,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),11/3/31 | 522 | $ 525,423 | |
| Crown Subsea Communications Holding,Inc.,定期贷款,1/30/31(9) | 1,400 | 1,411,088 | |
| Northstar Group Services,Inc.,定期贷款,8.881%,(6个月。美元期限SOFR + 4.75%),5/31/30 | 2,230 | 2,246,064 | |
| Platea BC Bidco AB: | |||
| 定期贷款,5.48%,(3个月。EURIBOR + 3.50%),4/3/31 | 欧元 | 708 | 813,592 |
| 定期贷款,5.48%,(3个月。EURIBOR + 3.50%),4/3/31(7) | 欧元 | 142 | 162,718 |
| $ 7,832,959 | |||
| 娱乐— 2.2% | |||
| City Football Group Ltd.,定期贷款,7.971%,(1个月。美元期限SOFR + 3.50%),7/22/30 | 1,234 | $ 1,234,763 | |
| Dorna Sports SL,定期贷款,7/29/32(9) | 欧元 | 225 | 257,814 |
| EOC Borrower LLC,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),3/24/32 | 3,000 | 3,010,785 | |
| Pretzel Parent,Inc.,定期贷款,8.856%,(1个月。美元期限SOFR + 4.50%),10/1/31 | 973 | 974,508 | |
| Renaissance Holding Corp.,定期贷款,8.356%,(1个月。美元期限SOFR + 4.00%),4/5/30 | 1,475 | 1,364,232 | |
| Varsity Brands,Inc.,定期贷款,7.58%,(3个月。美元期限SOFR + 3.25%),8/26/31 | 998 | 1,001,365 | |
| Vue Entertainment International Ltd.,定期贷款,10.759%,(6个月。EURIBOR + 8.50%),2.359%现金,8.40% PIK,12/31/27 | 欧元 | 289 | 205,893 |
| Vue International Bidco PLC,定期贷款,10.259%,(6个月。EURIBOR + 8.00%),6/30/27 | 欧元 | 69 | 78,078 |
| $ 8,127,438 | |||
| 金融服务— 1.7% | |||
| NCR Atleos LLC,定期贷款,8.058%,(3个月。美元期限SOFR + 3.75%),4/16/29 | 565 | $ 571,411 | |
| Nuvei Technologies Corp.,定期贷款,7.108%,(1个月。美元期限SOFR + 2.75%),11/17/31 | 524 | 524,719 | |
| Orion U.S. Finco,Inc.,定期贷款,5/20/32(9) | 750 | 754,376 | |
| Planet U.S. Buyer LLC,定期贷款,7.33%,(3个月。美元期限SOFR + 3.00%),2/7/31 | 1,213 | 1,219,724 | |
| Stepstone Group Midco 2 GmbH,定期贷款,8.608%-8.651%,(3个月。美元期限SOFR + 4.50%),12/19/31 | 825 | 804,119 | |
| Synechron,Inc.,定期贷款,8.058%,(3个月。美元期限SOFR + 3.75%),10/3/31 | 873 | 873,904 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 金融服务(续) | |||
| Walker & Dunlop, Inc.,定期贷款,6.34%,(1个月。美元期限SOFR + 2.00%),3/14/32 | 723 | $ 726,803 | |
| WEX,定期贷款,6.106%,(1个月。美元期限SOFR + 1.75%),3/5/32 | 848 | 847,701 | |
| $ 6,322,757 | |||
| 食品— 1.8% | |||
| CHG PPC Parent LLC,定期贷款,7.471%,(1个月。美元期限SOFR + 3.00%),12/8/28 | 387 | $ 388,093 | |
| 德尔蒙特食品公司: | |||
| DIP贷款,5.329%,(3个月。美元期限SOFR + 1.00%),4/2/26 | 283 | 261,568 | |
| 定期贷款,5.292%,(3个月。美元期限SOFR + 1.00%),4/2/26 | 344 | 240,894 | |
| 定期贷款,12.429%,(3个月。美元期限SOFR + 8.15%),8/2/28 | 216 | 97,657 | |
| 定期贷款,15.474%,(3个月。美元期限SOFR + 11.00%),12.474%现金,3.00% PIK,8/2/28 | 243 | 109,869 | |
| 定期贷款-第二留置权,0.00%,8/2/28(8) | 880 | 103,394 | |
| Newly Weds Foods,Inc.,定期贷款,6.59%,(1个月。美元期限SOFR + 2.25%),3/15/32 | 1,225 | 1,228,062 | |
| Nomad Foods U.S. LLC,定期贷款,6.535%,(6个月。美元期限SOFR + 2.50%),11/12/29 | 1,960 | 1,964,738 | |
| POP Bidco SAS,定期贷款,6.583%,(6个月。EURIBOR + 4.50%),11/26/31 | 欧元 | 1,225 | 1,406,490 |
| United Petfood Finance BV,定期贷款,5.171%,(6个月。EURIBOR + 2.75%),2/26/32 | 欧元 | 700 | 799,423 |
| $ 6,600,188 | |||
| 燃气公用事业— 0.7% | |||
| CQP Holdco LP,定期贷款,6.296%,(3个月。美元期限SOFR + 2.00%),12/31/30 | 2,600 | $ 2,605,964 | |
| $ 2,605,964 | |||
| 地面运输—0.2% | |||
| America Holdings,Inc.的Student Transportation: | |||
| 定期贷款,7.564%,(3个月。美元期限SOFR + 3.25%),6/24/32(7) | 60 | $ 60,356 | |
| 定期贷款,7.571%,(3个月。美元期限SOFR + 3.25%),6/24/32 | 840 | 844,986 | |
| $ 905,342 | |||
| 医疗保健设备和用品— 1.7% | |||
| Bayou Intermediate II LLC,定期贷款,9.07%,(3个月。美元期限SOFR + 4.50%),8/2/28 | 1,509 | $ 1,513,748 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 保健设备和用品(续) | |||
| Journey Personal Care Corp.,定期贷款,8.046%,(3个月。美元期限SOFR + 3.75%),3/1/28 | 2,451 | $ 2,413,783 | |
| Medline Borrower LP,定期贷款,6.356%,(1个月。美元期限SOFR + 2.00%),10/23/30 | 2,204 | 2,209,367 | |
| $ 6,136,898 | |||
| 医疗保健提供者和服务— 8.6% | |||
| AEA International Holdings(Lux)SARL,定期贷款,7.046%,(3个月。美元期限SOFR + 2.75%),9/7/28 | 1,576 | $ 1,587,825 | |
| Biogroup-LCD,定期贷款,5.388%,(3个月。EURIBOR + 3.25%),2/9/28 | 欧元 | 225 | 253,753 |
| BW NHHC Holdco,Inc.,定期贷款-第二留置权,12.296%,(3个月。美元期限SOFR + 8.00%),10.046%现金,2.25% PIK,1/15/26 | 1,398 | 1,275,919 | |
| Cano Health LLC,定期贷款,13.796%,(3个月。美元期限SOFR + 9.50%),6/28/29 | 500 | 426,542 | |
| CCRR Parent,Inc.,定期贷款,8.697%,(3个月。美元期限SOFR + 4.25%),3/6/28 | 2,505 | 876,756 | |
| Ceva Sante Animale,定期贷款,7.05%,(3个月。美元期限SOFR + 2.75%),11/8/30 | 395 | 396,868 | |
| CHG Healthcare Services,Inc.,定期贷款,7.333%,(3个月。美元期限SOFR + 3.00%),9/29/28 | 2,016 | 2,017,291 | |
| CNT Holdings I Corp.,定期贷款,6.558%,(3个月。美元期限SOFR + 2.25%),11/8/32 | 1,493 | 1,497,030 | |
| Concentra Health Services,Inc.,定期贷款,6.356%,(1个月。美元期限SOFR + 2.00%),7/26/31 | 373 | 375,577 | |
| Electron BidCo,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),11/1/28 | 956 | 959,017 | |
| Ensemble RCM LLC,定期贷款,7.308%,(3个月。美元期限SOFR + 3.00%),8/1/29 | 1,440 | 1,447,812 | |
| Hanger, Inc.: | |||
| 定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),10/23/31 | 1,149 | 1,153,737 | |
| 定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),10/23/31(7) | 148 | 148,866 | |
| IVC收购有限公司: | |||
| 定期贷款,6.014%,(3个月。EURIBOR + 4.00%),12/12/28 | 欧元 | 1,325 | 1,521,608 |
| 定期贷款,8.046%,(3个月。美元期限SOFR + 3.75%),12/12/28 | 1,034 | 1,041,068 | |
| Medical Solutions Holdings,Inc.,定期贷款,7.908%,(3个月。美元期限SOFR + 3.50%),11/1/28 | 2,429 | 1,349,176 | |
| Midwest Physician Administrative Services LLC,定期贷款,7.557%,(3个月。美元期限SOFR + 3.00%),3/12/28 | 880 | 806,392 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 医疗保健提供者及服务(续) | |||
| National Mentor Holdings,Inc.: | |||
| 定期贷款,8.146%-8.206%,(1个月。美元期限SOFR + 3.75%,3个月。美元期限SOFR + 3.75%),3/2/28 | 1,983 | $ 1,937,969 | |
| 定期贷款,8.146%,(3个月。美元期限SOFR + 3.75%),3/2/28 | 59 | 57,398 | |
| Option Care Health, Inc.,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),10/27/28 | 338 | 340,072 | |
| Pacific Dental Services LLC,定期贷款,7.101%,(1个月。美元期限SOFR + 2.75%),3/15/31 | 1,212 | 1,218,555 | |
| Phoenix Guarantor,Inc.,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),2/21/31 | 1,620 | 1,623,149 | |
| Radnet Management,Inc.,定期贷款,6.58%,(3个月。美元期限SOFR + 2.25%),4/18/31 | 718 | 719,767 | |
| Raven Acquisition Holdings LLC: | |||
| 定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),11/19/31 | 1,490 | 1,490,792 | |
| 定期贷款,11/19/31(7) | 107 | 106,752 | |
| 精选医疗集团股份有限公司,定期贷款,6.356%,(1个月。美元期限SOFR + 2.00%),12/3/31 | 970 | 970,125 | |
| 健全住院医师,定期贷款-第二留置权,9.557%,(3个月。美元期限SOFR + 5.00%),8.057%现金,1.50% PIK,6/28/28 | 371 | 349,199 | |
| Surgery Center Holdings,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),12/19/30 | 2,176 | 2,185,238 | |
| Synlab Bondco PLC: | |||
| 定期贷款,4.551%,(6个月。EURIBOR + 2.50%),7/1/27 | 欧元 | 300 | 343,288 |
| 定期贷款,5.694%,(3个月。EURIBOR + 3.75%),4/16/31 | 欧元 | 525 | 602,575 |
| TTF Holdings LLC,定期贷款,8.002%,(6个月。美元期限SOFR + 3.75%),7/18/31 | 1,399 | 1,390,599 | |
| U.S. Anesthesia Partners,Inc.,定期贷款,8.687%,(1个月。美元期限SOFR + 4.25%),10/1/28 | 1,388 | 1,375,877 | |
| $ 31,846,592 | |||
| 康养科技— 2.9% | |||
| athenahealth Group,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),2/15/29 | 1,749 | $ 1,750,116 | |
| Certara LP,定期贷款,7.296%,(3个月。美元期限SOFR + 3.00%),6/26/31 | 926 | 930,903 | |
| Imprivata, Inc.,定期贷款,7.321%,(3个月。美元期限SOFR + 3.00%),12/1/27 | 2,564 | 2,573,800 | |
| PointClickCare Technologies,Inc.,定期贷款,7.082%,(3个月。美元期限SOFR + 2.75%),11/3/31 | 1,222 | 1,224,754 | |
| Press Ganey控股公司,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),4/30/31 | 1,390 | 1,391,098 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 康养科技(续) | |||
| Project Ruby Ultimate Parent Corp.,定期贷款,7.215%,(1个月。美元期限SOFR + 2.75%),3/10/28 | 1,080 | $ 1,082,898 | |
| Symplr Software,Inc.,定期贷款,8.908%,(3个月。美元期限SOFR + 4.50%),12/22/27 | 1,060 | 961,190 | |
| Waystar Technologies,Inc.,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),10/22/29 | 913 | 916,319 | |
| $ 10,831,078 | |||
| 酒店、餐厅和休闲—5.2% | |||
| 必泰珠峰集团,定期贷款,5.138%,(3个月。EURIBOR + 3.00%),12/10/31 | 欧元 | 475 | $ 545,664 |
| 凯撒娱乐,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),2/6/31 | 2,296 | 2,296,224 | |
| Fertitta Entertainment LLC,定期贷款,7.601%,(1个月。美元期限SOFR + 3.25%),1/27/29 | 1,955 | 1,958,406 | |
| Flutter Financing BV,定期贷款,6.046%,(3个月。美元期限SOFR + 1.75%),11/30/30 | 1,756 | 1,753,094 | |
| Herschend Entertainment Co. LLC,定期贷款,7.603%,(1个月。美元期限SOFR + 3.25%),5/27/32 | 400 | 403,958 | |
| Horizon U.S. Finco LP,定期贷款,9.058%,(3个月。美元期限SOFR + 4.75%),10/31/31 | 1,543 | 1,522,569 | |
| IRB Holding Corp.,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),12/15/27 | 2,408 | 2,409,791 | |
| Ontario Gaming GTA LP,定期贷款,8.546%,(3个月。美元期限SOFR + 4.25%),8/1/30 | 1,481 | 1,475,667 | |
| Scientific Games Holdings LP,Term Loan,7.286%,(3 mo。美元期限SOFR + 3.00%),4/4/29 | 1,960 | 1,961,536 | |
| 海洋世界 Parks & Entertainment,Inc.,定期贷款,6.356%,(1个月。美元期限SOFR + 2.00%),12/4/31 | 1,710 | 1,711,122 | |
| Voyager Parent LLC,定期贷款,7/1/32(9) | 2,200 | 2,204,708 | |
| 温德姆酒店及度假村公司,定期贷款,6.106%,(1个月。美元期限SOFR + 1.75%),5/24/30 | 786 | 789,853 | |
| $ 19,032,592 | |||
| 家庭耐用品— 2.0% | |||
| ACProducts,Inc.,定期贷款,8.807%,(3个月。美元期限SOFR + 4.25%),5/17/28 | 2,686 | $ 2,039,149 | |
| Libbey Glass,Inc.,定期贷款,10.964%,(3个月。美元期限SOFR + 6.50%),11/22/27 | 652 | 630,461 | |
| Madison Safety & Flow LLC,定期贷款,7.108%,(1个月。美元期限SOFR + 2.75%),9/26/31 | 769 | 773,514 | |
| PHRG Intermediate LLC,定期贷款,8.333%,(3个月。美元期限SOFR + 4.00%),2/20/32 | 975 | 975,814 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 家庭耐用品(续) | |||
| Serta Simmons Bedding LLC: | |||
| 定期贷款,11.91%,(3个月。美元期限SOFR + 7.50%),6/29/28 | 1,422 | $ 1,329,277 | |
| 定期贷款,11.94%,(3个月。美元期限SOFR + 7.50%),6/29/28 | 154 | 154,537 | |
| Somnigroup International,Inc.,定期贷款,6.55%,(1个月。美元期限SOFR + 2.25%),10/24/31 | 1,562 | 1,568,068 | |
| $ 7,470,820 | |||
| 家居用品— 0.4% | |||
| Kronos Acquisition Holdings,Inc.,定期贷款,8.296%,(3个月。美元期限SOFR + 4.00%),7/8/31 | 1,811 | $ 1,551,688 | |
| $ 1,551,688 | |||
| 独立电力和可再生电力生产商— 0.3% | |||
| Invenergy Thermal Operating I LLC: | |||
| 定期贷款,5/17/32(9) | 984 | $ 995,695 | |
| 定期贷款,5/17/32(9) | 66 | 66,380 | |
| $ 1,062,075 | |||
| 保险— 3.5% | |||
| Alera Group,Inc.,定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),5/31/32 | 1,925 | $ 1,935,713 | |
| Alliant Holdings Intermediate LLC,定期贷款,7.103%,(1个月。美元期限SOFR + 2.75%),9/19/31 | 1,617 | 1,619,293 | |
| AmWINS Group,Inc.,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),1/30/32 | 507 | 507,915 | |
| Broadstreet Partners,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),6/13/31 | 1,609 | 1,611,758 | |
| Financiere CEP SAS,定期贷款,5.901%,(1个月。EURIBOR + 4.00%),6/18/27 | 欧元 | 500 | 572,485 |
| IMA Financial Group,Inc.,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),11/1/28 | 1,047 | 1,050,111 | |
| Ryan Specialty Group LLC,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),9/15/31 | 1,219 | 1,221,922 | |
| Siaci Saint Honore,定期贷款,7/23/32(9) | 欧元 | 1,100 | 1,254,667 |
| Trucordia Insurance Holdings LLC,定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),6/17/32 | 900 | 906,471 | |
| Truist Insurance Holdings LLC: | |||
| 定期贷款,7.046%,(3个月。美元期限SOFR + 2.75%),5/6/31 | 506 | 506,803 | |
| 定期贷款-第二留置权,9.046%,(3个月。美元期限SOFR + 4.75%),5/6/32 | 263 | 269,342 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 保险(续) | |||
| USI,定期贷款,6.546%,(3个月。美元期限SOFR + 2.25%),9/29/30 | 1,485 | $ 1,484,670 | |
| $ 12,941,150 | |||
| 互动媒体与服务— 1.8% | |||
| Aragorn Parent Corp.,定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),12/15/28 | 1,290 | $ 1,301,716 | |
| Arches Buyer,Inc.,定期贷款,7.706%,(1个月。美元期限SOFR + 3.25%),12/6/27 | 1,949 | 1,950,354 | |
| Foundational Education Group,Inc.,定期贷款,8.221%,(1个月。美元期限SOFR + 3.75%),8/31/28 | 1,423 | 1,302,388 | |
| Twitter, Inc.,定期贷款,10.958%,(3个月。美元期限SOFR + 6.50%),10/26/29 | 2,233 | 2,179,786 | |
| $ 6,734,244 | |||
| IT服务— 5.9% | |||
| Asurion LLC: | |||
| 定期贷款,7.721%,(1个月。美元期限SOFR + 3.25%),7/31/27 | 1,440 | $ 1,441,261 | |
| 定期贷款,8.456%,(1个月。美元期限SOFR + 4.00%),8/19/28 | 1,079 | 1,071,554 | |
| 定期贷款,8.606%,(1个月。美元期限SOFR + 4.25%),9/19/30 | 1,130 | 1,113,716 | |
| 定期贷款-第二留置权,9.721%,(1个月。美元期限SOFR + 5.25%),1/31/28 | 1,830 | 1,764,962 | |
| 定期贷款-第二留置权,9.721%,(1个月。美元期限SOFR + 5.25%),1/20/29 | 1,400 | 1,319,941 | |
| Endure Digital,Inc.,定期贷款,7.942%,(1个月。美元期限SOFR + 3.50%),2/10/28 | 3,924 | 2,894,062 | |
| Gainwell Acquisition Corp.,定期贷款,8.396%,(3个月。美元期限SOFR + 4.00%),10/1/27 | 1,432 | 1,414,341 | |
| Go Daddy Operating Co. LLC: | |||
| 定期贷款,6.106%,(1个月。美元期限SOFR + 1.75%),11/9/29 | 1,789 | 1,792,488 | |
| 定期贷款,6.106%,(1个月。美元期限SOFR + 1.75%),5/30/31 | 347 | 347,167 | |
| NAB Holdings LLC,定期贷款,6.796%,(3个月。美元期限SOFR + 2.50%),11/23/28 | 3,094 | 3,067,498 | |
| Plano HoldCo,Inc.,定期贷款,7.796%,(3个月。美元期限SOFR + 3.50%),10/2/31 | 574 | 557,789 | |
| RackSpace Finance LLC: | |||
| 定期贷款,10.711%,(1个月。美元期限SOFR + 6.25%),5/15/28 | 1,718 | 1,740,866 | |
| 定期贷款-第二留置权,7.211%,(1个月。美元期限SOFR + 2.75%),5/15/28 | 3,663 | 1,921,563 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| IT服务(续) | |||
| Sedgwick Claims Management Services,Inc.,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),7/31/31 | 1,110 | $ 1,112,387 | |
| Shift4 Payments LLC,定期贷款,7.079%,(3个月。美元期限SOFR + 2.75%),6/30/32 | 275 | 277,120 | |
| $ 21,836,715 | |||
| 休闲用品— 0.4% | |||
| Recess Holdings,Inc.,定期贷款,8.069%,(3个月。美元期限SOFR + 3.75%),2/20/30 | 1,284 | $ 1,290,722 | |
| $ 1,290,722 | |||
| 生命科学工具与服务— 0.4% | |||
| Loire Finco Luxembourg SARL: | |||
| 定期贷款,6.026%,(3个月。EURIBOR + 4.00%),1/21/30 | 欧元 | 475 | $ 546,208 |
| 定期贷款,8.308%,(3个月。美元期限SOFR + 4.00%),1/21/30 | 310 | 313,649 | |
| Sotera Health Holdings LLC,定期贷款,7.546%,(3个月。美元期限SOFR + 3.25%),5/30/31 | 769 | 772,557 | |
| $ 1,632,414 | |||
| 机械— 9.4% | |||
| AAG美国GSI Bidco,Inc.,定期贷款,9.296%,(3个月。美元期限SOFR + 5.00%),10/31/31 | 499 | $ 499,373 | |
| AI Aqua Merger Sub,Inc.,定期贷款,7.322%,(1个月。美元期限SOFR + 3.00%),7/31/28 | 2,145 | 2,146,628 | |
| American Trailer World Corp.,定期贷款,8.206%,(1个月。美元期限SOFR + 3.75%),3/3/28 | 1,261 | 1,056,457 | |
| Apex Tool Group LLC: | |||
| 定期贷款,14.323%,(3个月。美元期限SOFR + 14.32%),7.50%现金,6.823% PIK,2/8/30 | 1,251 | 963,145 | |
| 定期贷款-第二留置权,9.708%,(3个月。美元期限SOFR + 5.25%),2/8/29 | 525 | 456,664 | |
| 克拉克设备公司,定期贷款,6.296%,(3个月。美元期限SOFR + 2.00%),4/20/29 | 858 | 862,379 | |
| Cleanova U.S. Holdings LLC,定期贷款,9.07%,(3个月。美元期限SOFR + 4.75%),6/14/32 | 575 | 572,125 | |
| Conair Holdings LLC,定期贷款,8.221%,(1个月。美元期限SOFR + 3.75%),5/17/28 | 2,118 | 1,574,891 | |
| CPM Holdings,Inc.,定期贷款,8.829%,(1个月。美元期限SOFR + 4.50%),9/28/28 | 1,880 | 1,851,765 | |
| Crown Equipment Corp.,定期贷款,6.579%,(1个月。美元期限SOFR + 2.25%),10/10/31 | 1,045 | 1,050,303 | |
| Cube Industrials Buyer,Inc.,定期贷款,7.582%,(3个月。美元期限SOFR + 3.25%),10/17/31 | 424 | 426,521 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 机械(续) | |||
| EMRLD Borrower LP: | |||
| 定期贷款,6.833%,(3个月。美元期限SOFR + 2.50%),5/31/30 | 724 | $ 724,986 | |
| 定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),8/4/31 | 1,017 | 1,019,220 | |
| Engineered Machinery Holdings,Inc.,定期贷款,8.057%,(3个月。美元期限SOFR + 3.50%),5/19/28 | 3,382 | 3,403,684 | |
| Filtration Group Corp.,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),10/21/28 | 627 | 629,455 | |
| Gates Global LLC,定期贷款,6.106%,(1个月。美元期限SOFR + 1.75%),6/4/31 | 2,308 | 2,307,090 | |
| Icebox Holdco III,Inc.,定期贷款,8.057%,(3个月。美元期限SOFR + 3.50%),12/22/28 | 702 | 705,778 | |
| 约翰宾技术公司,定期贷款,6.456%,(1个月。美元期限SOFR + 2.00%),1/2/32 | 723 | 726,803 | |
| Madison IAQ LLC,定期贷款,6.702%,(6个月。美元期限SOFR + 2.50%),6/21/28 | 2,406 | 2,410,497 | |
| Pro MacH Group,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),8/31/28 | 1,477 | 1,483,229 | |
| Roper Industrial Products Investment Co. LLC,定期贷款,7.046%,(3个月。美元期限SOFR + 2.75%),11/22/29 | 1,723 | 1,727,749 | |
| SPX Flow,Inc.,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),4/5/29 | 1,535 | 1,540,400 | |
| 特雷克斯股份有限公司,定期贷款,6.308%,(3个月。美元期限SOFR + 2.00%),10/8/31 | 2,344 | 2,351,450 | |
| TK Elevator Midco GmbH: | |||
| 定期贷款,5.333%,(6个月。EURIBOR + 3.25%),4/30/30 | 欧元 | 1,400 | 1,601,977 |
| 定期贷款,7.197%,(6个月。美元期限SOFR + 3.00%),4/30/30 | 1,981 | 1,993,928 | |
| Zephyr German BidCo GmbH,定期贷款,5.098%,(3个月。EURIBOR + 3.15%),3/10/28 | 欧元 | 600 | 685,021 |
| $ 34,771,518 | |||
| 传媒— 1.0% | |||
| ABG Intermediate Holdings 2 LLC: | |||
| 定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),12/21/28 | 741 | $ 740,622 | |
| 定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),2/13/32 | 623 | 622,172 | |
| Charter通信 Operating LLC,定期贷款,6.541%,(3个月。美元期限SOFR + 2.25%),12/15/31 | 572 | 572,769 | |
| Emerald X,Inc.,定期贷款,8.108%,(1个月。美元期限SOFR + 3.75%),1/30/32 | 225 | 227,015 | |
| Fleet Midco I Ltd.,定期贷款,6.805%,(6个月。美元期限SOFR + 2.50%),2/21/31 | 680 | 683,035 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 媒体(续) | |||
| Gray Television, Inc.,定期贷款,7.443%,(1个月。美元期限SOFR + 3.00%),12/1/28 | 427 | $ 427,457 | |
| Hubbard Radio LLC,定期贷款,8.856%,(1个月。美元期限SOFR + 4.50%),9/30/27 | 460 | 262,440 | |
| $ 3,535,510 | |||
| 金属/采矿— 1.2% | |||
| Arsenal AIC Parent LLC,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),8/19/30 | 1,478 | $ 1,483,623 | |
| Novelis Corp.,定期贷款,6.296%,(3个月。美元期限SOFR + 2.00%),3/11/32 | 973 | 977,022 | |
| PMHC II,Inc.,定期贷款,8.729%,(3个月。美元期限SOFR + 4.25%),4/23/29 | 1,785 | 1,514,650 | |
| WireCo WorldGroup,Inc.,定期贷款,8.082%,(3个月。美元期限SOFR + 3.75%),11/13/28 | 366 | 353,942 | |
| $ 4,329,237 | |||
| 石油、天然气和消耗性燃料— 3.3% | |||
| Epic Crude Services LP,定期贷款,6.829%,(3个月。美元期限SOFR + 2.50%),10/15/31 | 582 | $ 585,666 | |
| Freeport LNG Investments LLLP,定期贷款,7.576%,(3个月。美元期限SOFR + 3.25%),12/21/28 | 1,262 | 1,265,236 | |
| GIP Pilot Acquisition Partners LP,定期贷款,6.286%,(3个月。美元期限SOFR + 2.00%),10/4/30 | 471 | 471,263 | |
| Hilcorp Energy I LP,定期贷款,6.343%,(1个月。美元期限SOFR + 2.00%),2/11/30 | 848 | 851,322 | |
| ITT Holdings LLC,定期贷款,6.824%,(1个月。美元期限SOFR + 2.48%),10/11/30 | 811 | 813,277 | |
| Matador Bidco SARL,定期贷款,8.706%,(1个月。美元期限SOFR + 4.25%),7/30/29 | 3,306 | 3,336,900 | |
| Natgasoline LLC,定期贷款,9.856%,(1个月。美元期限SOFR + 5.50%),3/29/30 | 522 | 524,327 | |
| Oryx Midstream Services Permian Basin LLC,定期贷款,6.603%,(1个月。美元期限SOFR + 2.25%),10/5/28 | 864 | 866,565 | |
| Oxbow Carbon LLC,定期贷款,7.856%,(1个月。美元期限SOFR + 3.50%),5/10/30 | 486 | 486,503 | |
| UGI美国能源服务 LLC,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),2/22/30 | 2,335 | 2,348,080 | |
| Whitewater Matterhorn Holdings LLC,定期贷款,6.569%,(3个月。美元期限SOFR + 2.25%),6/16/32 | 500 | 502,707 | |
| $ 12,051,846 | |||
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 客运航空— 0.1% | |||
| WestJet Loyalty LP,定期贷款,7.546%,(3个月。美元期限SOFR + 3.25%),2/14/31 | 494 | $ 494,483 | |
| $ 494,483 | |||
| 个人用品— 0.2% | |||
| Olaplex,Inc.,定期贷款,7.933%,(3个月。美元期限SOFR + 3.50%),2/23/29 | 690 | $ 668,633 | |
| $ 668,633 | |||
| 医药— 1.2% | |||
| Amneal制药 LLC,定期贷款,8/1/32(9) | 550 | $ 551,260 | |
| Bausch Health股份有限公司,定期贷款,10.606%,(1个月。美元期限SOFR + 6.25%),10/8/30 | 875 | 859,622 | |
| Jazz融资Lux SARL,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),5/5/28 | 1,553 | 1,561,116 | |
| 万灵科 International Finance SA,Term Loan-Second Lien,14.00%,(1个月。美元期限SOFR + 9.50%),11/14/28 | 1,284 | 1,320,326 | |
| $ 4,292,324 | |||
| 专业服务— 8.7% | |||
| AAL Delaware Holdco,Inc.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),7/30/31 | 1,470 | $ 1,474,580 | |
| AlixPartners LLP: | |||
| 定期贷款,4.98%,(3个月。EURIBOR + 3.00%),2/4/28 | 欧元 | 479 | 548,589 |
| 定期贷款,6.971%,(1个月。美元期限SOFR + 2.50%),2/4/28 | 539 | 539,607 | |
| Amspec母公司有限责任公司: | |||
| 定期贷款,7.796%,(3个月。美元期限SOFR + 3.50%),12/22/31 | 1,062 | 1,069,629 | |
| 定期贷款,7.8 18%,(3个月。美元期限SOFR + 3.50%),12/22/31(7) | 163 | 164,558 | |
| APFS Staffing Holdings,Inc.,定期贷款,8.606%,(1个月。美元期限SOFR + 4.25%),12/29/28 | 221 | 198,860 | |
| Apleona Holding GmbH,定期贷款,5.458%,(3个月。EURIBOR + 3.45%),4/28/28 | 欧元 | 750 | 861,069 |
| Boots Group Bidco Ltd.,定期贷款,7/16/32(9) | 1,600 | 1,601,008 | |
| Camelot U.S. Acquisition LLC,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),1/31/31 | 2,610 | 2,612,736 | |
| Citrin Cooperman Advisors LLC: | |||
| 定期贷款,7.296%,(3个月。美元期限SOFR + 3.00%),4/1/32 | 1,292 | 1,294,896 | |
| 定期贷款,4/1/32(7) | 83 | 83,542 | |
| CohnReznick LLP: | |||
| 定期贷款,8.296%,(3个月。美元期限SOFR + 4.00%),3/31/32 | 589 | 589,643 | |
| 定期贷款,3/31/32(7) | 136 | 136,491 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 专业服务(续) | |||
| CoreLogic,Inc.,定期贷款,7.971%,(1个月。美元期限SOFR + 3.50%),6/2/28 | 1,792 | $ 1,790,086 | |
| 公司服务有限公司,定期贷款,6.356%,(1个月。美元期限SOFR + 2.00%),11/2/29 | 237 | 236,935 | |
| Deerfield Dakota Holding LLC,定期贷款,8.046%,(3个月。美元期限SOFR + 3.75%),4/9/27 | 2,045 | 2,029,649 | |
| EAB Global,Inc.,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),8/16/30 | 2,187 | 2,181,157 | |
| Employbridge Holding Co.: | |||
| 定期贷款,9.796%,(3个月。美元期限SOFR + 5.50%),1/19/30 | 1,158 | 890,700 | |
| 定期贷款-第二留置权,9.307%,(3个月。美元期限SOFR + 4.75%),1/19/30 | 1,824 | 464,361 | |
| First Advantage Holdings LLC,定期贷款,7.108%,(1个月。美元期限SOFR + 2.75%),10/31/31 | 1,585 | 1,592,783 | |
| Galaxy Bidco Ltd.,定期贷款,6.042%,(6个月。EURIBOR + 4.00%),12/19/29 | 欧元 | 675 | 777,373 |
| Grant Thornton Advisors LLC,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),6/2/31 | 2,333 | 2,337,860 | |
| iSolved,Inc.,定期贷款,7.103%,(1个月。美元期限SOFR + 2.75%),10/14/30 | 494 | 496,164 | |
| Mermaid Bidco,Inc.,定期贷款,7.51%,(3个月。美元期限SOFR + 3.25%),7/3/31 | 1,543 | 1,547,717 | |
| Neptune Bidco U.S.,Inc.,定期贷款,9.429%,(3个月。美元期限SOFR + 5.00%),4/11/29 | 1,808 | 1,741,971 | |
| Techem VerwaltungsGesellschaft 675GmbH,定期贷款,5.638%,(3个月。EURIBOR + 3.50%),7/15/29 | 欧元 | 2,339 | 2,689,966 |
| Tempo Acquisition LLC,定期贷款,6.106%,(1个月。美元期限SOFR + 1.75%),8/31/28 | 1,238 | 1,236,129 | |
| Vaco Holdings LLC,定期贷款,9.446%,(3个月。美元期限SOFR + 5.00%),1/21/29 | 1,221 | 1,094,578 | |
| $ 32,282,637 | |||
| 房地产管理与开发— 0.6% | |||
| Greystar Real Estate Partners LLC,定期贷款,6.814%,(3个月。美元期限SOFR + 2.50%),8/21/30 | 2,071 | $ 2,076,008 | |
| $ 2,076,008 | |||
| 公路和铁路— 1.7% | |||
| Avis Budget Car Rental LLC,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),7/16/32 | 325 | $ 323,934 | |
| First Student Bidco,Inc.: | |||
| 定期贷款,6.796%,(3个月。美元期限SOFR + 2.50%),7/21/28 | 1,250 | 1,252,952 | |
| 定期贷款,6.796%,(3个月。美元期限SOFR + 2.50%),7/21/28 | 383 | 384,152 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 公路铁路(续) | |||
| 赫兹公司: | |||
| 定期贷款,8.064%,(3个月。美元期限SOFR + 3.75%),6/30/28 | 739 | $ 625,721 | |
| 定期贷款,8.07%,(3个月。美元期限SOFR + 3.50%),6/30/28 | 1,230 | 1,046,414 | |
| 定期贷款,8.07%,(3个月。美元期限SOFR + 3.50%),6/30/28 | 241 | 205,426 | |
| Kenan Advantage Group,Inc.,定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),1/25/29 | 2,323 | 2,316,378 | |
| $ 6,154,977 | |||
| 半导体&半导体设备—0.2% | |||
| Altar Bidco,Inc.,定期贷款-第二留置权,9.578%,(12个月。美元期限SOFR + 5.60%),2/1/30 | 450 | $ 433,125 | |
| Bright Bidco BV,定期贷款,0.00厘,10/31/27(8) | 444 | 173,509 | |
| $ 606,634 | |||
| 软件— 17.8% | |||
| Applied Systems,Inc.,定期贷款,6.796%,(3个月。美元期限SOFR + 2.50%),2/24/31 | 639 | $ 639,977 | |
| Astra Acquisition Corp.: | |||
| 定期贷款,0.00%,2/25/28(8) | 523 | 148,593 | |
| 定期贷款,0.00%,10/25/28(8) | 735 | 9,031 | |
| 定期贷款,0.00%,10/25/29(8) | 1,096 | 30,142 | |
| Boost Newco Borrower LLC,定期贷款,6.296%,(3个月。美元期限SOFR + 2.00%),1/31/31 | 2,960 | 2,968,476 | |
| Boxer Parent Co.,Inc.: | |||
| 定期贷款,5.5 11%,(3个月。EURIBOR + 3.50%),7/30/31 | 欧元 | 262 | 300,384 |
| 定期贷款,7.333%,(3个月。美元期限SOFR + 3.00%),7/30/31 | 3,659 | 3,663,152 | |
| Central Parent,Inc.,定期贷款,7.546%,(3个月。美元期限SOFR + 3.25%),7/6/29 | 2,019 | 1,650,831 | |
| Cloud Software Group,Inc.,定期贷款,7.796%,(3个月。美元期限SOFR + 3.50%),3/29/29 | 3,298 | 3,307,780 | |
| Cloudera, Inc.: | |||
| 定期贷款,8.206%,(1个月。美元期限SOFR + 3.75%),10/8/28 | 3,350 | 3,223,722 | |
| 定期贷款-第二留置权,10.456%,(1个月。美元期限SOFR + 6.00%),10/8/29 | 650 | 571,597 | |
| Clover Holdings SPV III LLC,定期贷款,15.00%,12/9/27(10) | 237 | 237,003 | |
| Constant Contact, Inc.,定期贷款,8.579%,(3个月。美元期限SOFR + 4.00%),2/10/28 | 1,236 | 1,197,800 | |
| Cornerstone OnDemand,Inc.,定期贷款,8.221%,(1个月。美元期限SOFR + 3.75%),10/16/28 | 1,113 | 1,053,934 | |
| Dragon Buyer,Inc.,定期贷款,7.296%,(3个月。美元期限SOFR + 3.00%),9/30/31 | 1,393 | 1,396,852 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 软件(续) | |||
| Drake Software LLC,定期贷款,8.546%,(3个月。美元期限SOFR + 4.25%),6/26/31 | 2,034 | $ 2,035,758 | |
| E2open LLC,定期贷款,7.971%,(1个月。美元期限SOFR + 3.50%),2/4/28 | 1,830 | 1,834,960 | |
| ECI Macola Max Holding LLC,定期贷款,7.068%,(3个月。美元期限SOFR + 2.75%),5/9/30 | 1,391 | 1,396,610 | |
| Epicor Software Corp.,定期贷款,7.106%,(1个月。美元期限SOFR + 2.75%),5/30/31 | 3,916 | 3,927,306 | |
| 费哲金融服务 Investment Solutions,Inc.,定期贷款,8.322%,(3个月。美元期限SOFR + 4.00%),2/18/27 | 1,467 | 1,452,498 | |
| Goto Group,Inc.: | |||
| 定期贷款,9.218%,(3个月。美元期限SOFR + 4.75%),4/28/28 | 964 | 852,864 | |
| 定期贷款-第二留置权,9.218%,(3个月。美元期限SOFR + 4.75%),4/28/28 | 611 | 231,305 | |
| Ivanti Software,Inc.: | |||
| 定期贷款,9.016%-9.058%,(3个月。美元期限SOFR + 4.75%),6/1/29 | 609 | 518,183 | |
| 定期贷款,10.016%,(3个月。美元期限SOFR + 5.75%),6/1/29 | 125 | 129,791 | |
| Marcel LUX IV SARL,定期贷款,7.31%,(1个月。美元期限SOFR + 3.00%),11/12/30 | 1,265 | 1,276,534 | |
| McAfee LLC,定期贷款,7.327%,(1个月。美元期限SOFR + 3.00%),3/1/29 | 2,389 | 2,315,434 | |
| OceanKey(U.S.)II Corp.,定期贷款,7.956%,(1个月。美元期限SOFR + 3.50%),12/15/28 | 1,502 | 1,505,867 | |
| OID-OL中间体I LLC: | |||
| 定期贷款,8.708%,(3个月。美元期限SOFR + 4.25%),2/1/29 | 1,596 | 1,340,942 | |
| 定期贷款,10.308%,(3个月。美元期限SOFR + 6.00%),2/1/29 | 390 | 402,894 | |
| Open Text公司,定期贷款,6.106%,(1个月。美元期限SOFR + 1.75%),1/31/30 | 1,265 | 1,266,794 | |
| Polaris Newco LLC,定期贷款,8.32%,(3个月。美元期限SOFR + 3.75%),6/2/28 | 2,575 | 2,530,763 | |
| Project Boost Purchaser LLC,定期贷款,7.069%,(3个月。美元期限SOFR + 2.75%),7/16/31 | 1,469 | 1,470,212 | |
| Proofpoint, Inc.,定期贷款,7.356%,(1个月。美元期限SOFR + 3.00%),8/31/28 | 2,896 | 2,903,995 | |
| Quartz Acquireco LLC,定期贷款,6.546%,(3个月。美元期限SOFR + 2.25%),6/28/30 | 1,477 | 1,478,687 | |
| RealPage,Inc.: | |||
| 定期贷款,7.557%,(3个月。美元期限SOFR + 3.00%),4/24/28 | 3,245 | 3,244,807 | |
| 定期贷款,8.046%,(3个月。美元期限SOFR + 3.75%),4/24/28 | 449 | 450,621 | |
| SabreGLBL,Inc.: | |||
| 定期贷款,7.971%,(1个月。美元期限SOFR + 3.50%),12/17/27 | 127 | 126,611 | |
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 软件(续) | |||
| SabreGLBL,Inc.: (续) | |||
| 定期贷款,7.971%,(1个月。美元期限SOFR + 3.50%),12/17/27 | 389 | $ 388,003 | |
| 定期贷款,8.706%,(1个月。美元期限SOFR + 4.25%),6/30/28 | 93 | 93,093 | |
| 定期贷款,10.456%,(1个月。美元期限SOFR + 6.00%),11/15/29 | 1,230 | 1,231,090 | |
| 定期贷款,10.456%,(1个月。美元期限SOFR + 6.00%),11/15/29 | 541 | 525,242 | |
| SkillSoft Corp.,定期贷款,9.721%,(1个月。美元期限SOFR + 5.25%),7/14/28 | 1,464 | 1,371,069 | |
| SolarWinds Holdings,Inc.,定期贷款,8.34%,(1个月。美元期限SOFR + 4.00%),4/16/32 | 2,100 | 2,079,000 | |
| UKG,Inc.,定期贷款,6.81%,(3个月。美元期限SOFR + 2.50%),2/10/31 | 4,341 | 4,345,107 | |
| Veritas U.S.,Inc.,定期贷款,16.796%,(3个月。美元期限SOFR + 12.50%),12.296%现金,4.50% PIK,12/9/29 | 674 | 681,140 | |
| Vision Solutions,Inc.,定期贷款,8.57%,(3个月。美元期限SOFR + 4.00%),4/24/28 | 1,884 | 1,829,825 | |
| $ 65,636,279 | |||
| 专业零售— 3.5% | |||
| Apro LLC,定期贷款,8.088%,(1个月。美元期限SOFR + 3.75%),7/9/31 | 596 | $ 595,625 | |
| Boels Topholding BV,定期贷款,4.676%,(1个月。EURIBOR + 2.75%),5/23/31 | 欧元 | 496 | 567,683 |
| EG America LLC,定期贷款,2/7/28(9) | 1,400 | 1,406,713 | |
| Great Outdoors Group LLC,定期贷款,7.606%,(1个月。美元期限SOFR + 3.25%),1/23/32 | 2,580 | 2,585,499 | |
| Harbor Freight Tools USA,Inc.,定期贷款,6.606%,(1个月。美元期限SOFR + 2.25%),6/11/31 | 2,302 | 2,255,589 | |
| Homeserve USA Holding Corp.,定期贷款,6.351%,(1个月。美元期限SOFR + 2.00%),10/21/30 | 913 | 913,246 | |
| Hoya Midco LLC,定期贷款,6.558%,(3个月。美元期限SOFR + 2.25%),2/3/29 | 568 | 499,706 | |
| Les Schwab轮胎中心,定期贷款,6.833%-6.856%,(1个月。美元期限SOFR + 2.50%,3个月。美元期限SOFR + 2.50%),4/23/31 | 2,238 | 2,241,728 | |
| LIDS Holdings,Inc.,定期贷款,9.964%,(3个月。美元期限SOFR + 5.50%),12/14/26 | 64 | 63,804 | |
| Speedster Bidco GmbH: | |||
| 定期贷款,5.879%,(6个月。EURIBOR + 3.50%),12/10/31 | 欧元 | 875 | 1,004,486 |
| 定期贷款,7.546%,(3个月。美元期限SOFR + 3.25%),12/10/31 | 848 | 851,758 | |
| $ 12,985,837 | |||
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 贸易公司和分销商— 4.5% | |||
| CD & R Hydra Buyer,Inc.,定期贷款,8.456%,(1个月。美元期限SOFR + 4.00%),3/25/31 | 1,111 | $ 1,111,115 | |
| Core & Main LP,定期贷款,6.27%,(6个月。美元期限SOFR + 2.00%),2/9/31 | 370 | 371,947 | |
| DXP企业,Inc.,定期贷款,8.106%,(1个月。美元期限SOFR + 3.75%),10/11/30 | 688 | 692,703 | |
| Foundation Building Materials Holding Co. LLC,定期贷款,8.308%,(3个月。美元期限SOFR + 4.00%),1/29/31 | 1,009 | 976,345 | |
| Herc Holdings,Inc.,定期贷款,6.322%,(1个月。美元期限SOFR + 2.00%),6/2/32 | 375 | 377,032 | |
| Kodiak Building Partners,Inc.,定期贷款,8.041%,(3个月。美元期限SOFR + 3.75%),12/4/31 | 500 | 484,685 | |
| Paint Intermediate III LLC,定期贷款,7.299%,(3个月。美元期限SOFR + 3.00%),10/9/31 | 524 | 524,507 | |
| Park River Holdings,Inc.,定期贷款,7.802%,(3个月。美元期限SOFR + 3.25%),12/28/27 | 1,696 | 1,674,553 | |
| Patagonia Bidco Ltd.,定期贷款,9.709%,(3个月。英镑SONIA + 5.25%),11/1/28 | 英镑 | 1,325 | 1,567,718 |
| 坎珀AB: | |||
| 定期贷款,5.689%,(3个月。EURIBOR + 3.75%),3/29/30 | 欧元 | 375 | 430,520 |
| 定期贷款,3/29/30(9) | 欧元 | 400 | 459,221 |
| Spin Holdco,Inc.,定期贷款,8.577%,(3个月。美元期限SOFR + 4.00%),3/4/28 | 4,069 | 3,609,027 | |
| White Cap Buyer LLC,定期贷款,7.577%,(1个月。美元期限SOFR + 3.25%),10/19/29 | 3,382 | 3,381,830 | |
| Windsor Holdings III LLC,定期贷款,7.103%,(1个月。美元期限SOFR + 2.75%),8/1/30 | 1,130 | 1,132,612 | |
| $ 16,793,815 | |||
| 交通基建— 1.2% | |||
| Brown Group Holding LLC: | |||
| 定期贷款,6.808%-6.856%,(1个月。美元期限SOFR + 2.50%,3个月。美元期限SOFR + 2.50%),7/1/31 | 644 | $ 645,405 | |
| 定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),7/1/31 | 2,114 | 2,119,518 | |
| KKR Apple Bidco LLC,定期贷款,6.856%,(1个月。美元期限SOFR + 2.50%),9/23/31 | 1,741 | 1,747,446 | |
| $ 4,512,369 | |||
| 借款人/说明 |
校长 金额* (000s略) |
价值 | |
| 无线电信服务— 0.4% | |||
| Digicel International Finance Ltd.,定期贷款,14.106%,(3个月。美元期限SOFR + 9.65%),11.856%现金,2.25% PIK,5/25/27 | 1,531 | $ 1,538,553 | |
| $ 1,538,553 | |||
| 高级浮动利率贷款总额 (确定费用529,673,836美元) |
$ 514,286,692 | ||
| 认股权证— 0.0% |
| 安全 | 股份 | 价值 | |
| 医疗保健— 0.0% | |||
| Cano Health, Inc.,exp. 6/28/29(3)(4) | 3,360 | $ 0 | |
| 认股权证总数 (确定成本0美元) |
$ 0 | ||
| 短期投资— 3.0% |
| 安全 | 股份 | 价值 | |
| 摩根士丹利机构流动性基金-政府投资组合,机构类,4.22%(11) | 11,051,830 | $ 11,051,830 | |
| 短期投资总额 (确定费用11,051,830美元) |
$ 11,051,830 | ||
| 投资总额— 154.5% (确定费用587,481,288美元) |
$ 571,345,764 | ||
| 减去未提供资金的贷款承诺—(0.3)% | $ (1,090,288) | ||
| 净投资— 154.2% (确定费用586,391,000美元) |
$ 570,255,476 | ||
| 其他资产,减负债—(54.2)% | $(200,553,574) | ||
| 适用于普通股的净资产— 100.0% | $ 369,701,902 | ||
| 投资组合中每个投资类别显示的百分比基于适用于普通股的净资产。 | |
| † | 金额低于0.05%或(0.05)%,视情况而定。 |
| * | 除非另有说明,以美元计。 |
| (1) | 经修订的1933年《证券法》第144A条规定的免于登记的证券。这些证券可能会依赖豁免登记(通常是向合格的机构买家)在某些交易中出售。截至2025年7月31日,这些证券的总价值为37,404,381美元,占信托适用于普通股的净资产的10.1%。 |
| (2) | 可变费率安全。所述利率代表2025年7月31日生效的利率。 |
| (3) | 证券使用重要的不可观察输入值进行估值,在公允价值层次中被归类为第3级。 |
| (4) | 非收入产生的安全性。 |
| (5) | 担保是在一笔高级贷款的重组中获得的,可能会受到转售限制。 |
| (6) | 高级浮动利率贷款(Senior Loans)通常需要从超额现金流中提前还款,或者允许借款人在他们选择时偿还。借款人的偿还程度,无论是作为合同要求还是在他们选择时,都无法准确预测。因此,实际剩余期限可能大大低于所显示的规定期限。然而,高级贷款的预期平均期限通常约为两到四年。高级贷款的利率通常是通过参考基准贷款利率定期重新确定的,再加上利差。这些基础贷款利率主要是有担保隔夜融资利率(“SOFR”),其次是一家或多家美国主要银行提供的最优惠利率(“最优惠利率”)。基础贷款利率可能会受到最低利率或最低利率的限制。SOFR的利率一般为1或3个月期限,也可能会受到信用利差调整的影响。高级贷款通常受到合同限制,必须满足这些限制才能购买或出售。 |
| (7) | 未提供资金或部分未提供资金的贷款承诺。所述利率反映了已提供资金部分(如有)的参考利率和利差的加权平均值,以及未提供资金的贷款部分的承诺费。截至2025年7月31日,未提供资金的贷款承诺总价值为1,092,535美元。 |
| (8) | 发行人在利息和/或本金支付方面违约或已宣布破产,并且不产生收入。对于浮动利率证券,利率已调整以反映非应计状态。 |
| (9) | 这笔高级贷款将在2025年7月31日后结算,届时利率将确定。 |
| (10) | 固定利率贷款。 |
| (11) | 可能被视为关联投资公司。显示的利率是截至2025年7月31日的年化七日收益率。 |
| 远期外币兑换合约(OTC) | |||||||
| 购买的货币 | 已售货币 | 交易对手 | 结算 日期 |
未实现 升值 |
未实现 (折旧) |
||
| 美元 | 10,132,599 | 欧元 | 8,613,275 | 渣打银行 | 8/4/25 | $303,135 | $ — |
| 英镑 | 100,000 | 美元 | 137,578 | 花旗银行,N.A。 | 8/29/25 | — | (5,481) |
| 美元 | 735,235 | 欧元 | 644,368 | 道富银行和信托公司 | 8/29/25 | — | (1,337) |
| 美元 | 1,524,896 | 欧元 | 1,342,312 | 道富银行和信托公司 | 8/29/25 | — | (9,490) |
| 美元 | 3,796,034 | 欧元 | 3,340,865 | 道富银行和信托公司 | 8/29/25 | — | (22,881) |
| 美元 | 4,463,425 | 欧元 | 3,927,640 | 道富银行和信托公司 | 8/29/25 | — | (26,226) |
| 美元 | 1,758,338 | 英镑 | 1,305,198 | 渣打银行 | 8/29/25 | 34,214 | — |
| 美元 | 9,877,156 | 欧元 | 8,613,274 | 渣打银行 | 9/2/25 | 28,778 | — |
| 美元 | 9,045,592 | 欧元 | 7,685,968 | 道富银行和信托公司 | 9/30/25 | 241,242 | — |
| $607,369 | $(65,415) | ||||||
| 简称: | |
| DIP | –债务人管有 |
| 欧元同业拆借利率 | –欧元银行同业拆借利率 |
| 场外交易 | –场外交易 |
| PCL | –大众有限公司 |
| PIK | –实物支付 |
| SOFR | –有担保隔夜融资利率 |
| 索尼娅 | –英镑隔夜银行间平均 |
| 货币简称: | |
| 欧元 | –欧元 |
| 英镑 | –英镑 |
| 美元 | –美元 |
| 姓名 | 价值, 开始 期间 |
采购 | 销售 收益 |
净实现 收益(亏损) |
变化 未实现 赞赏 (折旧) |
价值,结束 期间 |
股息 收入 |
股票, 期末 |
| 短期投资 | ||||||||
| 流动性基金,机构类(1) | $7,255,919 | $104,996,346 | $(101,200,435) | $ — | $ — | $11,051,830 | $222,042 | 11,051,830 |
| (1) | 代表投资于摩根士丹利机构流动资金基金-政府投资组合。 |
| • | Level 1 –相同投资在活跃市场的报价 |
| • | 第2级–其他重要的可观察输入值(包括类似投资的报价、利率、提前还款速度、信用风险等) |
| • | 第3级–重大不可观察输入值(包括基金在确定投资公允价值时的自身假设) |
| 资产说明 | 1级 | 2级 | 3级* | 合计 |
| 资产支持证券 | $ — | $ 22,071,493 | $ — | $ 22,071,493 |
| 普通股 | 37,789 | 4,590,840 | 1,064,558 | 5,693,187 |
| 公司债 | — | 17,906,647 | — | 17,906,647 |
| 优先股 | — | 335,915 | — | 335,915 |
| 高级浮动利率贷款(减去未提供资金的贷款承诺) | — | 512,370,062 | 826,342 | 513,196,404 |
| 认股权证 | — | — | 0 | 0 |
| 短期投资 | 11,051,830 | — | — | 11,051,830 |
| 投资总额 | $11,089,619 | $557,274,957 | $1,890,900 | $570,255,476 |
| 远期外币兑换合约 | $ — | $ 607,369 | $ — | $ 607,369 |
| 合计 | $11,089,619 | $557,882,326 | $1,890,900 | $570,862,845 |
| 负债说明 | ||||
| 远期外币兑换合约 | $ — | $ (65,415) | $ — | $ (65,415) |
| 合计 | $ — | $ (65,415) | $ — | $ (65,415) |
| * | 第3级资产的不可观察输入,无论是单独还是集体,都没有对信托产生重大影响。 |