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Holdings (Monthly) Guide ↗

iShares iBoxx $ High Yield Corporate Bond ETF

· iShares Trust
Monthly Holdings $20.2B AUM 786 positions Period May 2026 Filed Jul 24, 2026 EDGAR ↗ ← All Funds
All 99 New 428 Added 786 Reduced 111 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 BlackRock Funds III 066922519 Feb 2026 2,043,650,109 -607,557,372 $2.04B -22.9% 12.69% STIV
2 CLOUD SOFTWARE GRP INC 18912UAA0 Feb 2026 55,384,000 -3,447,000 $54.7M -5.4% 0.34% DBT
3 QUIKRETE HOLDINGS INC 74843PAA8 Feb 2026 52,157,000 -10,021,000 $53.1M -17.7% 0.33% DBT
4 CLOUD SOFTWARE GRP INC 88632QAE3 Feb 2026 53,332,000 -5,759,000 $53.0M -8.6% 0.33% DBT
5 DISH NETWORK CORP 25470MAG4 Feb 2026 49,644,000 -5,100,000 $51.2M -9.5% 0.32% DBT
6 HUB INTERNATIONAL LTD 44332PAH4 Feb 2026 46,078,000 -2,886,000 $47.3M -6.0% 0.29% DBT
7 BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES 066922477 Feb 2026 47,080,000 -160,530,000 $47.1M -77.3% 0.29% STIV
8 VENTURE GLOBAL LNG INC 92332YAC5 Feb 2026 42,050,000 -806,000 $45.8M -0.3% 0.28% DBT
9 ASURION LLC/ASURION CO 045941AA9 Feb 2026 42,794,000 -12,795,000 $44.7M -23.5% 0.28% DBT
10 CRC INSURANCE GROUP LLC 69867RAA5 Feb 2026 44,429,000 -2,625,000 $44.5M -6.9% 0.28% DBT
11 WULF COMPUTE LLC 982911AA7 Feb 2026 40,448,386 -8,407,614 $42.5M -17.8% 0.26% DBT
12 EMRLD BOR / EMRLD CO-ISS 29103CAA6 Feb 2026 40,981,000 -2,537,000 $41.9M -6.9% 0.26% DBT
13 AMERICAN AIRLINES/AADVAN 00253XAB7 Feb 2026 41,418,801 -138,000 $41.4M -1.6% 0.26% DBT
14 1011778 BC / NEW RED FIN 68245XAM1 Feb 2026 40,225,000 -3,968,000 $38.2M -10.0% 0.24% DBT
15 TRANSDIGM INC 893647BU0 Feb 2026 36,442,000 -5,647,000 $37.2M -14.1% 0.23% DBT
16 CCO HLDGS LLC/CAP CORP 1248EPCD3 Feb 2026 39,142,000 -4,497,000 $37.0M -12.2% 0.23% DBT
17 NEPTUNE BIDCO US INC 640695AA0 Feb 2026 34,788,000 -4,091,000 $35.6M -8.6% 0.22% DBT
18 CCO HLDGS LLC/CAP CORP 1248EPCE1 Feb 2026 38,203,000 -445,000 $35.5M -3.6% 0.22% DBT
19 NISSAN MOTOR CO 654744AC5 Feb 2026 35,793,000 -4,146,000 $35.3M -11.0% 0.22% DBT
20 DISCOVERY HOLDINGS INC 55903VBQ5 Feb 2026 38,507,000 -176,000 $35.0M -1.4% 0.22% DBT
21 CCO HLDGS LLC/CAP CORP 1248EPCK7 Feb 2026 38,497,000 -3,880,000 $34.9M -11.7% 0.22% DBT
22 APLD COMPUTECO LLC 00202DAA5 Feb 2026 32,102,000 -220,000 $34.7M +2.2% 0.22% DBT
23 MAUSER PACKAGING SOLUT 57763RAE7 Feb 2026 33,844,000 -7,059,000 $34.3M -18.1% 0.21% DBT
24 CCO HLDGS LLC/CAP CORP 1248EPBX0 Feb 2026 34,467,000 -2,578,000 $34.1M -7.7% 0.21% DBT
25 NISSAN MOTOR CO 654744AD3 Feb 2026 35,967,000 -84,000 $33.7M -1.6% 0.21% DBT
26 CCO HLDGS LLC/CAP CORP 1248EPCN1 Feb 2026 38,318,000 -3,446,000 $33.6M -12.0% 0.21% DBT
27 VENTURE GLOBAL LNG INC 92332YAB7 Feb 2026 32,055,000 -1,162,000 $33.4M -1.8% 0.21% DBT
28 ALLIED UNIVERSAL HOLDCO 019576AD9 Feb 2026 31,347,000 -3,478,000 $32.8M -10.9% 0.20% DBT
29 STAPLES INC 855030AQ5 Feb 2026 34,330,000 -1,698,000 $32.7M -1.3% 0.20% DBT
30 BEACH ACQUISITION BIDCO 07337JAC1 Feb 2026 29,474,048 -5,326,000 $32.6M -15.0% 0.20% DBT
31 UKG INC 90279XAA0 Feb 2026 33,066,000 -5,801,000 $32.5M -13.7% 0.20% DBT
32 ATHENAHEALTH GROUP INC 60337JAA4 Feb 2026 33,388,000 -1,717,000 $32.2M -2.6% 0.20% DBT
33 LEVEL 3 FINANCING INC 527298CN1 Feb 2026 31,027,000 -7,362,000 $32.1M -19.5% 0.20% DBT
34 QXO BUILDING PRODUCTS 74825NAA5 Feb 2026 31,473,000 -3,912,000 $32.0M -12.4% 0.20% DBT
35 TRANSDIGM INC 893647BR7 Feb 2026 31,535,000 -1,060,000 $32.0M -3.7% 0.20% DBT
36 NRG ENERGY INC 629377DD1 Feb 2026 32,117,000 -1,485,000 $31.9M -6.7% 0.20% DBT
37 MEDLINE BORROWER LP 62482BAB8 Feb 2026 31,642,000 -4,734,000 $31.6M -13.1% 0.20% DBT
38 ECHOSTAR CORP 278768AA4 Feb 2026 30,539,633 -7,592,000 $31.2M -19.1% 0.19% DBT
39 WINDSTREAM SERVICES/ESCR 97381AAA0 Feb 2026 29,332,000 -4,577,000 $30.9M -13.0% 0.19% DBT
40 CONNECT FINCO SARL/CONNE 20752TAB0 Feb 2026 28,819,000 -1,971,000 $30.4M -6.9% 0.19% DBT
41 VENTURE GLOBAL LNG INC 92332YAD3 Feb 2026 28,212,000 -1,995,000 $30.1M -5.8% 0.19% DBT
42 RAKUTEN GROUP INC 75102WAK4 Feb 2026 27,405,000 -937,000 $29.9M -4.8% 0.19% DBT
43 TRANSDIGM INC 893647BV8 Feb 2026 28,698,000 -2,909,000 $29.5M -9.9% 0.18% DBT
44 DIRECTV FIN LLC/COINC 25461LAD4 Feb 2026 27,773,000 -2,545,000 $29.1M -6.2% 0.18% DBT
45 CVS HEALTH CORP 126650EH9 Feb 2026 27,855,000 -4,575,000 $29.0M -14.9% 0.18% DBT
46 VENTURE GLOBAL LNG INC 92332YAA9 Feb 2026 28,216,000 -4,183,000 $28.8M -13.3% 0.18% DBT
47 ROCKET COS INC 77311WAB7 Feb 2026 28,109,000 -1,467,000 $28.6M -6.5% 0.18% DBT
48 VENTURE GLOBAL PLAQUE 922966AC0 Feb 2026 27,257,000 -1,673,000 $28.5M -6.4% 0.18% DBT
49 BLOCK INC 852234AS2 Feb 2026 27,831,000 -2,070,000 $28.4M -7.7% 0.18% DBT
50 VENTURE GLOBAL PLAQUE 922966AD8 Feb 2026 26,593,000 -2,338,000 $28.2M -8.4% 0.18% DBT
51 TRANSDIGM INC 893647CA3 Feb 2026 27,499,000 -1,621,000 $28.2M -6.8% 0.17% DBT
52 JANE STREET GRP/JSG FIN 47077WAE8 Feb 2026 27,232,000 -2,077,000 $28.0M -6.9% 0.17% DBT
53 VOLTAGRID LLC 92874BAA3 Feb 2026 26,870,000 -2,979,000 $28.0M -10.2% 0.17% DBT
54 TENNECO INC 880349AU9 Feb 2026 27,252,000 -2,137,000 $27.3M -7.0% 0.17% DBT
55 LEVEL 3 FINANCING INC 527298CM3 Feb 2026 26,472,000 -4,741,000 $27.3M -15.6% 0.17% DBT
56 CAESARS ENTERTAIN INC 12769GAB6 Feb 2026 26,864,000 -4,090,000 $27.2M -14.0% 0.17% DBT
57 PETSMART LLC/PETSMART FI 71677KAC2 Feb 2026 26,869,000 -2,642,000 $27.1M -9.3% 0.17% DBT
58 HUB INTERNATIONAL LTD 44332PAJ0 Feb 2026 26,324,000 -898,000 $26.9M -2.9% 0.17% DBT
59 IQVIA INC 46266TAG3 Feb 2026 26,226,000 -5,249,000 $26.8M -17.3% 0.17% DBT
60 TENET HEALTHCARE CORP 88033GDQ0 Feb 2026 26,499,000 -572,000 $26.8M -3.1% 0.17% DBT
61 SIRIUS XM RADIO LLC 82967NBJ6 Feb 2026 27,383,000 -1,272,000 $26.7M -4.7% 0.17% DBT
62 ROCKET COS INC 77311WAA9 Feb 2026 26,239,000 -4,610,000 $26.7M -15.7% 0.17% DBT
63 VODAFONE GROUP PLC 92857WBQ2 Feb 2026 25,646,000 -6,507,000 $26.6M -21.8% 0.17% DBT
64 SS&C TECHNOLOGIES INC 78466CAC0 Feb 2026 26,153,000 -1,974,000 $26.2M -6.8% 0.16% DBT
65 JETBLUE AIRWAYS/LOYALTY 476920AA1 Feb 2026 28,337,000 -2,663,000 $26.1M -17.4% 0.16% DBT
66 CHS/COMMUNITY HEALTH SYS 12543DBQ2 Feb 2026 24,665,000 -675,000 $25.9M -3.1% 0.16% DBT
67 ORGANON & CO/ORGANON FOR 68622TAA9 Feb 2026 26,129,000 -4,683,000 $25.8M -14.7% 0.16% DBT
68 CHS/COMMUNITY HEALTH SYS 12543DBN9 Feb 2026 23,651,000 -3,430,000 $25.5M -12.9% 0.16% DBT
69 VOYAGER PARENT LLC 92921EAA0 Feb 2026 23,969,000 -2,155,000 $25.4M -8.9% 0.16% DBT
70 HERC HOLDINGS INC 42704LAF1 Feb 2026 24,368,000 -3,934,000 $25.3M -14.6% 0.16% DBT
71 ALTICE FRANCE SA 02090DAD0 Feb 2026 25,852,076 -1,550,000 $25.1M -4.4% 0.16% DBT
72 CARVANA CO 146869AM4 Feb 2026 22,281,208 -3,738,000 $24.6M -14.0% 0.15% DBT
73 INGRAM MICRO INC 45258LAA5 Feb 2026 24,968,000 -980,000 $24.5M -3.6% 0.15% DBT
74 NCL CORPORATION LTD 62886HBR1 Feb 2026 24,635,000 -2,378,000 $24.4M -12.0% 0.15% DBT
75 VENTURE GLOBAL PLAQUE 922966AE6 Feb 2026 23,402,000 -1,730,000 $24.0M -7.9% 0.15% DBT
76 CLOUD SOFTWARE GRP INC 18912UAC6 Feb 2026 24,315,000 -2,424,000 $23.9M -10.7% 0.15% DBT
77 JANE STREET GRP/JSG FIN 47077WAD0 Feb 2026 23,038,000 -1,649,000 $23.1M -6.8% 0.14% DBT
78 CCO HLDGS LLC/CAP CORP 1248EPCU5 Feb 2026 23,573,000 -1,181,000 $23.0M -9.0% 0.14% DBT
79 ELECTRICITE DE FRANCE SA 28504KAA5 Feb 2026 19,685,000 -866,000 $23.0M -5.7% 0.14% DBT
80 PRIME HEALTHCARE SERVICE 74165HAC2 Feb 2026 21,713,000 -379,000 $22.7M -1.5% 0.14% DBT
81 ORGANON & CO/ORGANON FOR 68622TAB7 Feb 2026 22,800,000 -4,552,000 $22.6M -6.8% 0.14% DBT
82 MPT OPER PARTNERSP/FINL 55342UAQ7 Feb 2026 21,303,000 -1,105,000 $22.2M -7.5% 0.14% DBT
83 SHIFT4 PAYMENTS LLC/FIN 82453AAB3 Feb 2026 22,125,000 -1,734,000 $22.1M -5.4% 0.14% DBT
84 VIKING CRUISES LTD 92676XAH0 Feb 2026 21,862,000 -2,777,000 $21.9M -12.9% 0.14% DBT
85 ZF NA CAPITAL 98877DAH8 Feb 2026 21,545,000 -1,715,000 $21.8M -9.0% 0.14% DBT
86 DIRECTV FINANCING LLC 254945AA6 Feb 2026 21,180,000 -1,339,000 $21.7M -3.6% 0.13% DBT
87 OLYMPUS WTR US HLDG CORP 681639AE0 Feb 2026 21,793,000 -904,000 $21.5M -4.6% 0.13% DBT
88 CCO HLDGS LLC/CAP CORP 1248EPCP6 Feb 2026 25,732,000 -2,531,000 $21.5M -12.8% 0.13% DBT
89 FAIR ISAAC CORP 303250AG9 Feb 2026 21,272,000 -1,396,000 $21.0M -8.0% 0.13% DBT
90 CAESARS ENTERTAIN INC 12769GAC4 Feb 2026 21,582,000 -1,225,000 $21.0M -9.2% 0.13% DBT
91 AVANTOR FUNDING INC 05352TAA7 Feb 2026 21,175,000 -2,799,000 $20.9M -11.9% 0.13% DBT
92 CARVANA CO 146869AN2 Feb 2026 20,075,313 -2,796,000 $20.8M -12.6% 0.13% DBT
93 CCO HLDGS LLC/CAP CORP 1248EPCB7 Feb 2026 21,190,000 -919,000 $20.8M -5.6% 0.13% DBT
94 NOVELIS CORP 670001AE6 Feb 2026 21,488,000 -1,603,000 $20.7M -7.3% 0.13% DBT
95 CCO HLDGS LLC/CAP CORP 1248EPCS0 Feb 2026 20,596,000 -907,000 $20.7M -5.0% 0.13% DBT
96 ALLIANT HOLD / CO-ISSUER 01883LAF0 Feb 2026 20,381,000 -40,000 $20.7M -0.2% 0.13% DBT
97 SM ENERGY CO 17888HAB9 Feb 2026 19,723,000 -227,000 $20.6M -1.3% 0.13% DBT
98 CLEVELAND-CLIFFS INC 185899AP6 Feb 2026 20,282,000 -227,000 $20.5M -1.5% 0.13% DBT
99 TENET HEALTHCARE CORP 88033GDK3 Feb 2026 20,340,000 -6,711,000 $20.4M -24.7% 0.13% DBT
100 ENTEGRIS INC 29365BAA1 Feb 2026 20,518,000 -3,386,000 $20.4M -14.7% 0.13% DBT
101 UNITI SERVICES LLC 97382BAB5 Feb 2026 19,364,000 -1,552,000 $20.4M -6.3% 0.13% DBT
102 PG&E CORP 69331CAM0 Feb 2026 20,002,000 -1,156,000 $20.3M -7.1% 0.13% DBT
103 STANDARD INDUSTRI INC/NY 853496AG2 Feb 2026 21,316,000 -4,013,000 $20.3M -16.8% 0.13% DBT
104 CCO HLDGS LLC/CAP CORP 1248EPCL5 Feb 2026 23,599,000 -1,427,000 $20.2M -9.8% 0.13% DBT
105 ALTICE FINANCING SA 02154CAH6 Feb 2026 27,472,000 -945,000 $19.9M +1.3% 0.12% DBT
106 VENTURE GLOBAL PLAQUE 922966AB2 Feb 2026 17,554,000 -801,000 $19.7M -5.3% 0.12% DBT
107 MCAFEE CORP 579063AB4 Feb 2026 23,045,000 -6,967,000 $19.7M -19.7% 0.12% DBT
108 VENTURE GLOBAL LNG INC 92332YAE1 Feb 2026 19,212,000 -2,717,000 $19.7M -11.3% 0.12% DBT
109 CQP HOLDCO LP/BIP-V CHIN 12657NAA8 Feb 2026 19,921,000 -1,493,000 $19.6M -7.9% 0.12% DBT
110 UNITED RENTALS NORTH AM 911365BG8 Feb 2026 19,415,000 -1,687,000 $19.4M -7.9% 0.12% DBT
111 ALTICE FRANCE SA 02090DAE8 Feb 2026 19,803,683 -1,665,000 $19.3M -6.3% 0.12% DBT
112 SINCLAIR TELEVISION GROU 829259BH2 Feb 2026 18,596,000 -3,699,000 $19.1M -17.8% 0.12% DBT
113 NOBLE FINANCE II LLC 65505PAA5 Feb 2026 18,273,000 -2,831,000 $19.0M -13.5% 0.12% DBT
114 DAVITA INC 23918KAT5 Feb 2026 20,342,000 -1,427,000 $18.9M -6.7% 0.12% DBT
115 CHS/COMMUNITY HEALTH SYS 12543DBM1 Feb 2026 20,083,000 -2,098,000 $18.9M -11.3% 0.12% DBT
116 JANE STREET GRP/JSG FIN 47077WAC2 Feb 2026 18,204,000 -1,899,000 $18.9M -9.5% 0.12% DBT
117 BAUSCH + LOMB CORP 071705AA5 Feb 2026 18,209,000 -4,932,000 $18.8M -21.4% 0.12% DBT
118 TRANSDIGM INC 893647BS5 Feb 2026 18,244,000 -2,312,000 $18.8M -12.0% 0.12% DBT
119 ALBERTSONS COS/SAFEWAY 013092AG6 Feb 2026 19,730,000 -334,000 $18.8M -2.5% 0.12% DBT
120 1011778 BC / NEW RED FIN 68245XAH2 Feb 2026 19,159,000 -2,944,000 $18.8M -13.7% 0.12% DBT
121 POST HOLDINGS INC 737446AY0 Feb 2026 18,881,000 -291,000 $18.8M -3.8% 0.12% DBT
122 POST HOLDINGS INC 737446AQ7 Feb 2026 19,192,000 -2,083,000 $18.7M -10.3% 0.12% DBT
123 SIRIUS XM RADIO LLC 82967NBG2 Feb 2026 19,719,000 -1,700,000 $18.6M -8.0% 0.12% DBT
124 TENET HEALTHCARE CORP 88033GDR8 Feb 2026 19,023,000 -1,498,000 $18.4M -8.6% 0.11% DBT
125 TENET HEALTHCARE CORP 88033GDB3 Feb 2026 18,342,000 -1,814,000 $18.4M -8.9% 0.11% DBT
126 VENTURE GLOBAL PLAQUE 922966AF3 Feb 2026 17,495,000 -894,000 $18.3M -5.4% 0.11% DBT
127 MPT OPER PARTNERSP/FINL 55342UAH7 Feb 2026 18,668,000 -370,000 $18.2M -2.4% 0.11% DBT
128 NCR ATLEOS LLC 638962AA8 Feb 2026 16,987,000 -4,898,000 $18.2M -22.6% 0.11% DBT
129 BELL CANADA 0778FPAQ2 Feb 2026 17,470,000 -1,128,000 $18.0M -8.4% 0.11% DBT
130 TENET HEALTHCARE CORP 88033GDU1 Feb 2026 17,427,000 -722,000 $17.9M -4.8% 0.11% DBT
131 CLYDESDALE ACQUISITION 18972EAD7 Feb 2026 18,711,000 -2,459,000 $17.9M -15.9% 0.11% DBT
132 DISH DBS CORP 25470XBD6 Feb 2026 19,800,000 -3,000,000 $17.9M -11.8% 0.11% DBT
133 SIRIUS XM RADIO LLC 82967NBM9 Feb 2026 19,621,000 -817,000 $17.9M -4.5% 0.11% DBT
134 TENET HEALTHCARE CORP 88033GDM9 Feb 2026 18,347,000 -1,267,000 $17.9M -7.4% 0.11% DBT
135 DISCOVERY HOLDINGS INC 55903VBY8 Feb 2026 17,915,000 -1,885,000 $17.9M -8.9% 0.11% DBT
136 IRON MOUNTAIN INC 46284VAJ0 Feb 2026 18,030,000 -2,571,000 $17.8M -12.9% 0.11% DBT
137 WYNN MACAU LTD 98313RAH9 Feb 2026 17,733,000 -961,000 $17.7M -5.3% 0.11% DBT
138 SIRIUS XM RADIO LLC 82967NBC1 Feb 2026 17,715,000 -619,000 $17.6M -3.8% 0.11% DBT
139 ALTICE FRANCE SA 02090DAA6 Feb 2026 17,267,244 -4,861,000 $17.6M -21.7% 0.11% DBT
140 SIRIUS XM RADIO LLC 82967NBA5 Feb 2026 17,557,000 -3,462,000 $17.5M -16.5% 0.11% DBT
141 VZ SECURED FINANCING BV 91845AAA3 Feb 2026 20,095,000 -3,662,000 $17.5M -17.2% 0.11% DBT
142 WESCO DISTRIBUTION INC 95081QAP9 Feb 2026 17,417,000 -4,502,000 $17.5M -20.9% 0.11% DBT
143 WAND NEWCO 3 INC 933940AA6 Feb 2026 16,842,000 -1,258,000 $17.4M -7.8% 0.11% DBT
144 NRG ENERGY INC 629377DC3 Feb 2026 17,582,000 -702,000 $17.4M -6.2% 0.11% DBT
145 BRAND INDUSTRIAL SERVICE 104931AA8 Feb 2026 19,730,000 -1,095,000 $17.3M -10.8% 0.11% DBT
146 NISSAN MOTOR CO 654922AD5 Feb 2026 16,346,000 -1,262,000 $17.3M -9.9% 0.11% DBT
147 RAVEN ACQUISITION HOLDIN 75420NAA1 Feb 2026 17,668,000 -2,565,000 $17.3M -10.8% 0.11% DBT
148 CHART INDUSTRIES INC 16115QAF7 Feb 2026 16,692,000 -5,320,000 $17.3M -24.5% 0.11% DBT
149 AMERICAN AXLE & MFG INC 02406PBD1 Feb 2026 17,215,000 -733,000 $17.3M -5.4% 0.11% DBT
150 TEVA PHARMACEUTICALS NE 88167AAK7 Feb 2026 16,725,000 -1,137,000 $17.2M -7.2% 0.11% DBT
151 VIRGIN MEDIA SECURED FIN 92769XAP0 Feb 2026 17,853,000 -3,787,000 $17.2M -18.4% 0.11% DBT
152 CAESARS ENTERTAIN INC 12769GAA8 Feb 2026 17,693,000 -153,000 $17.0M -2.2% 0.11% DBT
153 VENTURE GLOBAL CALCASIEU 92328MAA1 Feb 2026 17,756,000 -1,661,000 $17.0M -8.6% 0.11% DBT
154 FREEDOM MORTGAGE HOLD 35641AAA6 Feb 2026 16,189,000 -3,137,000 $16.9M -16.4% 0.10% DBT
155 CSC HOLDINGS LLC 126307BN6 Feb 2026 26,641,000 -1,629,000 $16.8M -16.8% 0.10% DBT
156 SMYRNA READY MIX CONCRET 83283WAE3 Feb 2026 15,881,000 -1,209,000 $16.8M -7.8% 0.10% DBT
157 DISCOVERY COMMUNICATIONS 25470DBS7 Feb 2026 16,821,000 -1,161,000 $16.7M -6.3% 0.10% DBT
158 ALLIANT HOLD / CO-ISSUER 01883LAE3 Feb 2026 16,624,000 -3,745,000 $16.7M -18.5% 0.10% DBT
159 RYAN SPECIALTY 78351GAA3 Feb 2026 16,832,000 -59,000 $16.7M -1.7% 0.10% DBT
160 ENERGY TRANSFER LP 29273VBG4 Feb 2026 16,587,000 -467,000 $16.7M -3.1% 0.10% DBT
161 VENTURE GLOBAL CALCASIEU 92328MAB9 Feb 2026 17,792,000 -1,036,000 $16.7M -5.4% 0.10% DBT
162 UNIVISION COMMUNICATIONS 914906AZ5 Feb 2026 16,515,000 -1,549,000 $16.6M -10.1% 0.10% DBT
163 STANDARD BUILDING SOLUTI 853191AC8 Feb 2026 16,567,000 -1,469,000 $16.6M -9.7% 0.10% DBT
164 SBA COMMUNICATIONS CORP 78410GAG9 Feb 2026 17,259,000 -647,000 $16.5M -3.9% 0.10% DBT
165 CCO HLDGS LLC/CAP CORP 1248EPCV3 Feb 2026 16,892,000 -1,487,000 $16.5M -11.6% 0.10% DBT
166 BLOCK INC 852234AT0 Feb 2026 16,373,000 -2,273,000 $16.4M -12.9% 0.10% DBT
167 BELRON UK FINANCE PLC 080782AA3 Feb 2026 16,134,000 -453,000 $16.3M -4.0% 0.10% DBT
168 SABRE GLBL INC 78573NAM4 Feb 2026 18,212,000 -501,000 $16.2M +19.8% 0.10% DBT
169 CLYDESDALE ACQUISITION 18972EAB1 Feb 2026 16,837,000 -83,000 $16.2M -3.9% 0.10% DBT
170 1011778 BC / NEW RED FIN 68245XAR0 Feb 2026 15,885,000 -1,583,000 $16.2M -9.9% 0.10% DBT
171 POST HOLDINGS INC 737446AV6 Feb 2026 16,088,000 -2,358,000 $16.0M -14.6% 0.10% DBT
172 BUILDERS FIRSTSOURCE INC 12008RAP2 Feb 2026 17,403,000 -2,381,000 $16.0M -15.1% 0.10% DBT
173 CHS/COMMUNITY HEALTH SYS 12543DBJ8 Feb 2026 16,094,000 -1,721,000 $15.9M -7.0% 0.10% DBT
174 VENTURE GLOBAL CALCASIEU 92328MAE3 Feb 2026 15,463,000 -1,534,000 $15.9M -9.3% 0.10% DBT
175 CHURCHILL DOWNS INC 12511VAA6 Feb 2026 15,837,000 -5,099,000 $15.8M -24.9% 0.10% DBT
176 COMSTOCK RESOURCES INC 205768AS3 Feb 2026 16,080,000 -2,065,000 $15.8M -12.7% 0.10% DBT
177 ALPHA GENERATION LLC 02073LAA9 Feb 2026 15,420,000 -102,000 $15.8M -2.0% 0.10% DBT
178 SUNRISE FINCO I BV 90320BAA7 Feb 2026 16,604,000 -1,149,000 $15.8M -7.6% 0.10% DBT
179 WEATHERFORD INTERNATIONA 947075AW7 Feb 2026 15,300,000 -1,600,000 $15.8M -10.6% 0.10% DBT
180 HERTZ CORP/THE 428040DC0 Feb 2026 17,176,000 -1,381,000 $15.6M -8.6% 0.10% DBT
181 HERC HOLDINGS INC 42704LAG9 Feb 2026 14,946,000 -2,994,000 $15.6M -17.7% 0.10% DBT
182 SMYRNA READY MIX CONCRET 85236FAA1 Feb 2026 15,532,000 -1,722,000 $15.6M -9.7% 0.10% DBT
183 GRAY MEDIA INC 389375AM8 Feb 2026 14,661,000 -2,705,000 $15.5M -16.4% 0.10% DBT
184 OLYMPUS WTR US HLDG CORP 46150DAA0 Feb 2026 15,875,000 -1,156,000 $15.5M -7.5% 0.10% DBT
185 DAVITA INC 23918KAY4 Feb 2026 14,921,000 -31,000 $15.4M -0.6% 0.10% DBT
186 NCL CORPORATION LTD 62886HBY6 Feb 2026 15,876,000 -1,804,000 $15.3M -13.9% 0.10% DBT
187 WR GRACE HOLDING LLC 92943GAA9 Feb 2026 15,973,000 -1,312,000 $15.3M -7.5% 0.10% DBT
188 CLARIOS GLOBAL LP/US FIN 18060TAE5 Feb 2026 14,941,000 -787,000 $15.3M -6.3% 0.09% DBT
189 VMED O2 UK FINAN 92858RAB6 Feb 2026 18,069,000 -1,546,000 $15.3M -12.6% 0.09% DBT
190 CLEAR CHANNEL OUTDOOR HO 18453HAG1 Feb 2026 14,763,000 -2,009,000 $15.3M -13.8% 0.09% DBT
191 OPAL BIDCO 68348BAA1 Feb 2026 14,960,000 -872,000 $15.2M -6.5% 0.09% DBT
192 BLOCK INC 852234AU7 Feb 2026 15,180,000 -251,000 $15.2M -2.9% 0.09% DBT
193 TRANSDIGM INC 893647BP1 Feb 2026 15,392,000 -2,646,000 $15.2M -15.5% 0.09% DBT
194 ION PLATFORM FINANCE US 46205QAB4 Feb 2026 19,574,000 -3,172,000 $15.1M -16.7% 0.09% DBT
195 ROCKETMTGE CO-ISSUER INC 74841CAB7 Feb 2026 16,220,000 -1,532,000 $15.1M -9.4% 0.09% DBT
196 CHS/COMMUNITY HEALTH SYS 12543DBL3 Feb 2026 16,622,000 -1,305,000 $15.1M -4.6% 0.09% DBT
197 IRON MOUNTAIN INC 46284VAQ4 Feb 2026 14,823,000 -3,482,000 $15.1M -19.3% 0.09% DBT
198 NISSAN MOTOR CO 654922AB9 Feb 2026 14,566,000 -463,000 $15.1M -4.8% 0.09% DBT
199 CRESCENT ENERGY FINANCE 45344LAD5 Feb 2026 14,692,000 -1,639,000 $15.1M -8.6% 0.09% DBT
200 PERFORMANCE FOOD GROUP I 71376LAF7 Feb 2026 14,870,000 -243,000 $15.1M -3.0% 0.09% DBT
201 ROGERS COMMUNICATIONS IN 775109DH1 Feb 2026 14,444,000 -315,000 $15.0M -4.0% 0.09% DBT
202 CELANESE US HOLDINGS LLC 15089QAX2 Feb 2026 14,059,000 -1,103,000 $15.0M -7.4% 0.09% DBT
203 ROGERS COMMUNICATIONS IN 775109DG3 Feb 2026 14,624,000 -585,000 $15.0M -5.8% 0.09% DBT
204 ARDAGH GROUP SA 03969UAA4 Feb 2026 16,132,000 -1,579,000 $14.9M -12.5% 0.09% DBT
205 UNITI GROUP/CSL CAPITAL 91327BAA8 Feb 2026 15,061,000 -1,005,000 $14.9M -4.8% 0.09% DBT
206 SERVICE PROPERTIES TRUST 81761LAC6 Feb 2026 13,989,000 -1,627,000 $14.8M -9.9% 0.09% DBT
207 CELANESE US HOLDINGS LLC 15089QBA1 Feb 2026 14,327,000 -1,955,000 $14.8M -11.4% 0.09% DBT
208 RR DONNELLEY & SONS CO 257867BJ9 Feb 2026 14,213,000 -2,963,000 $14.7M -16.5% 0.09% DBT
209 BUILDERS FIRSTSOURCE INC 12008RAS6 Feb 2026 14,620,000 -780,000 $14.6M -7.8% 0.09% DBT
210 ARAMARK SERVICES INC 038522AQ1 Feb 2026 14,606,000 -359,000 $14.6M -2.6% 0.09% DBT
211 VERSANT MEDIA GROUP INC 925283AA1 Feb 2026 13,970,000 -139,000 $14.5M +0.5% 0.09% DBT
212 VALARIS LTD 91889FAC5 Feb 2026 13,937,000 -2,549,000 $14.5M -16.2% 0.09% DBT
213 USA COM PART/USA COM FIN 91740PAG3 Feb 2026 14,022,000 -571,000 $14.4M -4.3% 0.09% DBT
214 AETHON UN/AETHIN UN FIN 00810GAD6 Feb 2026 13,821,000 -2,430,000 $14.4M -15.6% 0.09% DBT
215 RHP HOTEL PPTY/RHP FINAN 749571AK1 Feb 2026 14,056,000 -780,000 $14.4M -6.0% 0.09% DBT
216 UNIVISION COMMUNICATIONS 914906AV4 Feb 2026 15,132,000 -1,474,000 $14.4M -8.6% 0.09% DBT
217 ACRISURE LLC / FIN INC 00489LAL7 Feb 2026 14,369,000 -630,000 $14.3M -5.9% 0.09% DBT
218 KINETIK HOLDINGS LP 49461MAB6 Feb 2026 14,039,000 -2,798,000 $14.3M -17.4% 0.09% DBT
219 CELANESE US HOLDINGS LLC 15089QAP9 Feb 2026 13,610,000 -1,747,000 $14.3M -11.3% 0.09% DBT
220 EQUIPMENTSHARE.COM INC 29450YAA7 Feb 2026 13,781,000 -2,065,000 $14.3M -13.8% 0.09% DBT
221 FTAI AVIATION INVESTORS 34960PAD3 Feb 2026 14,148,000 -1,311,000 $14.3M -7.7% 0.09% DBT
222 KIOXIA HOLDINGS CORP 49726JAB4 Feb 2026 13,602,000 -3,076,000 $14.3M -18.8% 0.09% DBT
223 KIOXIA HOLDINGS CORP 49726JAA6 Feb 2026 13,846,000 -2,713,000 $14.3M -17.0% 0.09% DBT
224 CELANESE US HOLDINGS LLC 15089QAY0 Feb 2026 13,237,000 -1,482,000 $14.2M -10.0% 0.09% DBT
225 POST HOLDINGS INC 737446AU8 Feb 2026 13,964,000 -1,718,000 $14.2M -12.0% 0.09% DBT
226 HILTON DOMESTIC OPERATIN 432833AL5 Feb 2026 14,906,000 -1,527,000 $14.1M -10.4% 0.09% DBT
227 ALLIED UNIVERSAL 019576AF4 Feb 2026 13,771,000 -1,435,000 $14.1M -11.0% 0.09% DBT
228 CRESCENT ENERGY FINANCE 45344LAE3 Feb 2026 13,860,000 -941,000 $14.1M -4.1% 0.09% DBT
229 STANDARD BUILDING SOLUTI 853191AA2 Feb 2026 13,844,000 -3,547,000 $14.0M -21.5% 0.09% DBT
230 MIDAS OPCO HOLDINGS LLC 59565JAA9 Feb 2026 14,459,000 -563,000 $14.0M +1.6% 0.09% DBT
231 ILIAD HOLDING SAS 449691AF1 Feb 2026 13,092,000 -3,609,000 $13.9M -22.4% 0.09% DBT
232 KINETIK HOLDINGS LP 49461MAA8 Feb 2026 13,777,000 -1,884,000 $13.9M -12.5% 0.09% DBT
233 ADVANCE AUTO PARTS 00751YAK2 Feb 2026 13,458,000 -1,585,000 $13.8M -10.3% 0.09% DBT
234 SUNOCO LP 86765KAF6 Feb 2026 13,800,000 -1,768,000 $13.8M -12.0% 0.09% DBT
235 PG&E CORP 69331CAJ7 Feb 2026 13,962,000 -944,000 $13.8M -7.4% 0.09% DBT
236 ADVANCE AUTO PARTS 00751YAL0 Feb 2026 13,272,000 -1,346,000 $13.8M -7.7% 0.09% DBT
237 BELL CANADA 0778FPAP4 Feb 2026 13,458,830 -252,170 $13.8M -3.7% 0.09% DBT
238 ROCKET COS INC 77311WAD3 Feb 2026 13,256,000 -1,790,000 $13.7M -12.8% 0.09% DBT
239 COMMERCIAL METALS CO 201723AS2 Feb 2026 13,678,000 -3,355,000 $13.7M -21.1% 0.09% DBT
240 QNITY ELECTRONICS INC 74743LAA8 Feb 2026 13,554,000 -2,793,000 $13.7M -18.5% 0.08% DBT
241 STANDARD INDUSTRI INC/NY 853496AH0 Feb 2026 15,004,000 -673,000 $13.6M -5.8% 0.08% DBT
242 STUDIO CITY FINANCE LTD 86389QAG7 Feb 2026 14,206,000 -280,000 $13.6M -2.8% 0.08% DBT
243 SM ENERGY CO 17888HAC7 Feb 2026 12,891,000 -1,845,000 $13.6M -12.6% 0.08% DBT
244 KEHE DIST/FIN / NEXTWAVE 487526AC9 Feb 2026 13,035,000 -3,578,000 $13.6M -21.8% 0.08% DBT
245 US ACUTE CARE SOLUTIONS 90367UAD3 Feb 2026 14,195,000 -736,000 $13.6M -9.0% 0.08% DBT
246 ALLIANT HOLD / CO-ISSUER 01883LAG8 Feb 2026 13,535,000 -655,000 $13.6M -4.7% 0.08% DBT
247 TRANSDIGM INC 893647BT3 Feb 2026 12,990,000 -1,564,000 $13.5M -11.5% 0.08% DBT
248 GARDA WORLD SECURITY 36485MAP4 Feb 2026 12,980,000 -1,313,000 $13.4M -7.9% 0.08% DBT
249 SUNOCO LP 86765KAD1 Feb 2026 13,155,000 -1,457,000 $13.4M -11.1% 0.08% DBT
250 CAESARS ENTERTAIN INC 12769GAD2 Feb 2026 14,922,000 -1,391,000 $13.4M -16.1% 0.08% DBT
251 MADISON IAQ LLC 55760LAB3 Feb 2026 13,362,000 -636,000 $13.4M -4.1% 0.08% DBT
252 UNITED RENTALS NORTH AM 911363AM1 Feb 2026 14,111,000 -1,768,000 $13.3M -12.7% 0.08% DBT
253 IRON MOUNTAIN INC 46284VAF8 Feb 2026 13,576,000 -2,597,000 $13.3M -16.6% 0.08% DBT
254 ROBLOX CORP 771049AA1 Feb 2026 14,113,000 -296,000 $13.3M -3.1% 0.08% DBT
255 XPLR INFRAST OPERATING 98380MAA3 Feb 2026 12,422,000 -198,000 $13.3M -0.3% 0.08% DBT
256 FOCUS FINANCIAL PARTNERS 34417VAA5 Feb 2026 13,200,000 -270,000 $13.3M -1.0% 0.08% DBT
257 CLARIOS GLOBAL LP/US FIN 18060TAD7 Feb 2026 12,840,000 -338,000 $13.3M -3.6% 0.08% DBT
258 HILTON DOMESTIC OPERATIN 432833AS0 Feb 2026 13,144,000 -1,452,000 $13.3M -11.2% 0.08% DBT
259 FERTITTA ENTERTAINMENT 31556TAA7 Feb 2026 13,500,000 -950,000 $13.1M -5.7% 0.08% DBT
260 PERFORMANCE FOOD GROUP I 71376LAE0 Feb 2026 13,564,000 -1,094,000 $13.1M -8.6% 0.08% DBT
261 GEN DIGITAL INC 668771AM0 Feb 2026 13,176,000 -551,000 $13.1M -4.0% 0.08% DBT
262 FORTESCUE TREASURY PTY L 30251GBC0 Feb 2026 13,726,000 -835,000 $13.1M -7.0% 0.08% DBT
263 UNITED RENTALS NORTH AM 911365BR4 Feb 2026 12,760,000 -3,033,000 $13.1M -20.6% 0.08% DBT
264 IRON MOUNTAIN INC 46284VAN1 Feb 2026 13,647,000 -2,647,000 $13.1M -16.8% 0.08% DBT
265 CLEAR CHANNEL OUTDOOR HO 18453HAF3 Feb 2026 12,524,000 -144,000 $13.0M -2.3% 0.08% DBT
266 COMMERCIAL METALS CO 201723AV5 Feb 2026 13,009,000 -2,361,000 $13.0M -17.1% 0.08% DBT
267 GFL ENVIRONMENTAL INC 36168QAQ7 Feb 2026 12,585,000 -3,067,000 $13.0M -20.8% 0.08% DBT
268 PG&E CORP 69331CAH1 Feb 2026 12,990,000 -2,727,000 $12.9M -17.5% 0.08% DBT
269 WYNN MACAU LTD 98313RAE6 Feb 2026 13,083,000 -3,792,000 $12.8M -23.5% 0.08% DBT
270 ONEMAIN FINANCE CORP 682691AN0 Feb 2026 13,094,000 -1,642,000 $12.8M -12.4% 0.08% DBT
271 MPT OPER PARTNERSP/FINL 55342UAM6 Feb 2026 17,930,000 -684,000 $12.8M -10.8% 0.08% DBT
272 MATADOR RESOURCES CO 576485AG1 Feb 2026 12,604,000 -914,000 $12.8M -7.5% 0.08% DBT
273 ICAHN ENTERPRISES/FIN 451102CK1 Feb 2026 12,728,000 -1,770,000 $12.8M -10.8% 0.08% DBT
274 ARDAGH METAL PACKAGING 03969YAB4 Feb 2026 13,435,000 -254,000 $12.7M -2.6% 0.08% DBT
275 PRIME SECSRVC BRW/FINANC 74166MAF3 Feb 2026 12,947,000 -3,722,000 $12.7M -22.6% 0.08% DBT
276 TRANSOCEAN INTERNTNL LTD 893830BZ1 Feb 2026 12,017,000 -326,000 $12.7M -2.9% 0.08% DBT
277 STANDARD INDUSTRI INC/NY 853496AD9 Feb 2026 12,711,000 -481,000 $12.6M -3.8% 0.08% DBT
278 CSC HOLDINGS LLC 126307AZ0 Feb 2026 21,432,000 -3,616,000 $12.6M -20.2% 0.08% DBT
279 ILIAD HOLDING SAS 449691AC8 Feb 2026 12,524,000 -2,887,000 $12.6M -19.1% 0.08% DBT
280 AES CORP/THE 00130HCK9 Feb 2026 12,363,000 -752,000 $12.6M -4.5% 0.08% DBT
281 CLEVELAND-CLIFFS INC 185899AR2 Feb 2026 12,271,000 -972,000 $12.6M -7.3% 0.08% DBT
282 COINBASE GLOBAL INC 19260QAC1 Feb 2026 13,140,000 -938,000 $12.6M -6.2% 0.08% DBT
283 CLEVELAND-CLIFFS INC 185899AQ4 Feb 2026 12,260,000 -875,000 $12.5M -7.4% 0.08% DBT
284 BALL CORP 058498AZ9 Feb 2026 12,281,000 -765,000 $12.5M -7.1% 0.08% DBT
285 MOLINA HEALTHCARE INC 60855RAN0 Feb 2026 12,288,000 -364,000 $12.5M -1.8% 0.08% DBT
286 RADIOLOGY PARTNERS INC 75041VAE4 Feb 2026 12,112,000 -1,289,000 $12.5M -9.0% 0.08% DBT
287 NRG ENERGY INC 629377CR1 Feb 2026 13,405,000 -1,792,000 $12.4M -13.4% 0.08% DBT
288 LIFEPOINT HEALTH INC 53219LAV1 Feb 2026 11,733,000 -1,280,000 $12.4M -10.6% 0.08% DBT
289 CLOUD SOFTWARE GRP INC 18912UAG7 Feb 2026 13,578,000 -1,172,000 $12.4M -11.1% 0.08% DBT
290 HILCORP ENERGY I/HILCORP 431318BG8 Feb 2026 12,196,000 -2,237,000 $12.3M -13.6% 0.08% DBT
291 ACRISURE LLC / FIN INC 00489LAK9 Feb 2026 12,501,000 -888,000 $12.3M -8.0% 0.08% DBT
292 LAMB WESTON HLD 513272AD6 Feb 2026 12,876,000 -302,000 $12.3M -3.6% 0.08% DBT
293 ARCHES BUYER INC 039524AA1 Feb 2026 12,663,000 -1,360,000 $12.3M -9.3% 0.08% DBT
294 IRON MOUNTAIN INC 46284VAC5 Feb 2026 12,315,000 -372,000 $12.3M -2.9% 0.08% DBT
295 CLARIV SCI HLD CORP 18064PAC3 Feb 2026 12,651,000 -116,000 $12.2M +2.7% 0.08% DBT
296 HILTON DOMESTIC OPERATIN 432833AR2 Feb 2026 12,100,000 -2,334,000 $12.2M -17.7% 0.08% DBT
297 POST HOLDINGS INC 737446AR5 Feb 2026 13,027,000 -2,373,000 $12.2M -17.0% 0.08% DBT
298 IRON MOUNTAIN INC 46284VAP6 Feb 2026 11,952,000 -1,721,000 $12.2M -13.0% 0.08% DBT
299 NOVA CHEMICALS CORP 66977WAR0 Feb 2026 12,149,000 -3,542,000 $12.2M -22.7% 0.08% DBT
300 SIX FLAGS ENT/SIX FLAG 83002YAA7 Feb 2026 11,911,000 -373,000 $12.2M -2.4% 0.08% DBT
301 ONEMAIN FINANCE CORP 682691AH3 Feb 2026 11,970,000 -1,864,000 $12.2M -14.0% 0.08% DBT
302 LCM INVESTMENTS HOLDINGS 50190EAC8 Feb 2026 11,633,000 -3,348,000 $12.1M -22.9% 0.08% DBT
303 YUM! BRANDS INC 988498AP6 Feb 2026 12,600,000 -1,088,000 $12.1M -9.9% 0.08% DBT
304 MGM RESORTS INTL 552953CK5 Feb 2026 11,908,000 -287,000 $12.1M -3.6% 0.08% DBT
305 RAKUTEN GROUP INC 75102WAB4 Feb 2026 12,620,000 -1,710,000 $12.0M -12.1% 0.07% DBT
306 GRAY MEDIA INC 389375AN6 Feb 2026 12,231,000 -1,445,000 $12.0M -15.2% 0.07% DBT
307 ALLIED UNIVERSAL 019576AC1 Feb 2026 12,132,000 -1,771,000 $12.0M -12.5% 0.07% DBT
308 NRG ENERGY INC 629377CW0 Feb 2026 11,894,000 -1,885,000 $12.0M -15.1% 0.07% DBT
309 CLEARWAY ENERGY OP LLC 18539UAC9 Feb 2026 12,036,000 -2,326,000 $12.0M -16.5% 0.07% DBT
310 SM ENERGY CO 17888HAD5 Feb 2026 10,734,000 -226,000 $11.9M -1.4% 0.07% DBT
311 SUNOCO LP 86765KAG4 Feb 2026 11,988,000 -1,421,000 $11.9M -11.3% 0.07% DBT
312 COMSTOCK RESOURCES INC 205768AT1 Feb 2026 12,556,000 -1,761,000 $11.9M -13.8% 0.07% DBT
313 GEN DIGITAL INC 668771AK4 Feb 2026 11,812,000 -2,084,000 $11.9M -15.4% 0.07% DBT
314 ALTICE FINANCING SA 02154CAF0 Feb 2026 16,190,000 -930,000 $11.9M -1.4% 0.07% DBT
315 TALLGRASS NRG PRTNR/FIN 87470LAL5 Feb 2026 11,329,000 -746,000 $11.7M -6.4% 0.07% DBT
316 WBI OPERATING LLC 92944BAA9 Feb 2026 11,586,000 -1,474,000 $11.7M -12.0% 0.07% DBT
317 TRONOX INC 897051AC2 Feb 2026 14,671,000 -34,000 $11.7M +2.7% 0.07% DBT
318 SYNCHRONY FINANCIAL 87165BAU7 Feb 2026 11,244,000 -485,000 $11.7M -5.7% 0.07% DBT
319 TELUS CORP 87971MCM3 Feb 2026 11,293,000 -2,052,000 $11.6M -17.3% 0.07% DBT
320 WESCO DISTRIBUTION INC 95081QAR5 Feb 2026 11,250,000 -224,000 $11.6M -2.7% 0.07% DBT
321 WAYFAIR LLC 94419NAA5 Feb 2026 11,286,000 -322,000 $11.6M -3.1% 0.07% DBT
322 MCGRAW-HILL EDUCATION 57767XAA8 Feb 2026 11,631,000 -1,671,000 $11.5M -13.2% 0.07% DBT
323 TRANSOCEAN INTERNTNL LTD 893830BY4 Feb 2026 11,116,000 -1,238,000 $11.5M -10.3% 0.07% DBT
324 CLEVELAND-CLIFFS INC 185899AN1 Feb 2026 11,456,000 -27,000 $11.5M -1.2% 0.07% DBT
325 YUM! BRANDS INC 988498AN1 Feb 2026 12,397,000 -1,359,000 $11.5M -11.6% 0.07% DBT
326 CLEAR CHANNEL OUTDOOR HO 18453HAD8 Feb 2026 11,428,000 -4,459,000 $11.5M -28.3% 0.07% DBT
327 HERC HOLDINGS INC 42704LAE4 Feb 2026 11,149,000 -448,000 $11.4M -4.4% 0.07% DBT
328 YUM! BRANDS INC 988498AR2 Feb 2026 11,441,000 -778,000 $11.4M -7.9% 0.07% DBT
329 WYNN RESORTS FINANCE LLC 983133AA7 Feb 2026 11,495,000 -418,000 $11.4M -4.7% 0.07% DBT
330 CLEVELAND-CLIFFS INC 185899AS0 Feb 2026 11,003,000 -1,987,000 $11.4M -16.2% 0.07% DBT
331 WYNN RESORTS FINANCE LLC 983133AD1 Feb 2026 11,319,000 -1,417,000 $11.4M -12.7% 0.07% DBT
332 MINERAL RESOURCES LTD 603051AE3 Feb 2026 10,904,000 -7,182,000 $11.3M -40.2% 0.07% DBT
333 ROCKET SOFTWARE INC 77314EAB4 Feb 2026 11,207,000 -2,130,000 $11.3M -12.8% 0.07% DBT
334 PENNYMAC FIN SVCS INC 70932MAF4 Feb 2026 11,609,000 -1,620,000 $11.3M -14.7% 0.07% DBT
335 CELANESE US HOLDINGS LLC 15089QBD5 Feb 2026 10,751,000 -1,839,000 $11.2M -13.1% 0.07% DBT
336 CLEAR CHANNEL OUTDOOR HO 18453HAH9 Feb 2026 10,727,000 -2,873,000 $11.2M -23.4% 0.07% DBT
337 ALLISON TRANSMISSION INC 019736AG2 Feb 2026 11,997,000 -280,000 $11.2M -3.7% 0.07% DBT
338 OLYMPUS WTR US HLDG CORP 681639AA8 Feb 2026 11,518,000 -233,000 $11.2M -1.6% 0.07% DBT
339 HILTON GRAND VAC LLC/INC 43284MAA6 Feb 2026 11,531,000 -348,000 $11.2M -3.2% 0.07% DBT
340 OPEN TEXT INC 683720AA4 Feb 2026 12,212,000 -1,761,000 $11.2M -10.8% 0.07% DBT
341 DISCOVERY COMMUNICATIONS 25470DCC1 Feb 2026 11,929,000 -1,013,000 $11.2M -10.6% 0.07% DBT
342 CVS HEALTH CORP 126650EG1 Feb 2026 10,747,000 -263,000 $11.2M -2.3% 0.07% DBT
343 GRAY MEDIA INC 389286AA3 Feb 2026 15,584,000 -1,152,000 $11.2M -14.9% 0.07% DBT
344 AMERICAN AXLE & MFG INC 02406PBC3 Feb 2026 11,102,000 -1,814,000 $11.1M -15.3% 0.07% DBT
345 NISSAN MOTOR CO 654922AC7 Feb 2026 10,626,000 -170,000 $11.1M -3.3% 0.07% DBT
346 SUNOCO LP/FINANCE CORP 86765LAT4 Feb 2026 11,348,000 -791,000 $11.1M -7.1% 0.07% DBT
347 LIVE NATION ENTERTAINMEN 538034AR0 Feb 2026 11,151,000 -131,000 $11.1M -1.5% 0.07% DBT
348 MAGNERA CORP 55939AAA5 Feb 2026 11,463,000 -457,000 $11.1M -5.3% 0.07% DBT
349 BAUSCH HEALTH COS INC 071734AQ0 Feb 2026 10,607,000 -695,000 $11.1M -6.4% 0.07% DBT
350 HILTON DOMESTIC OPERATIN 432833AF8 Feb 2026 11,134,000 -588,000 $11.0M -6.0% 0.07% DBT
351 SIX FLAGS ENTERTAINME 83001AAD4 Feb 2026 11,048,000 -657,000 $11.0M -4.1% 0.07% DBT
352 RB GLOBAL HOLDINGS INC 76774LAC1 Feb 2026 10,561,000 -2,546,000 $11.0M -19.5% 0.07% DBT
353 SUNOCO LP 86765KAK5 Feb 2026 11,306,000 -647,000 $11.0M -6.1% 0.07% DBT
354 MGM RESORTS INTL 552953CH2 Feb 2026 11,014,000 -112,000 $10.9M -1.9% 0.07% DBT
355 SUNOCO LP 86765KAJ8 Feb 2026 11,196,000 -996,000 $10.9M -9.0% 0.07% DBT
356 NCL CORPORATION LTD 62886HBZ3 Feb 2026 11,358,000 -1,753,000 $10.9M -17.6% 0.07% DBT
357 BATH & BODY WORKS INC 501797AW4 Feb 2026 10,686,000 -484,000 $10.9M -4.8% 0.07% DBT
358 PETSMART LLC/PETSMART FI 71677KAD0 Feb 2026 10,795,000 -522,000 $10.9M -4.1% 0.07% DBT
359 MELCO RESORTS FINANCE 58547DAH2 Feb 2026 10,523,000 -865,000 $10.8M -9.2% 0.07% DBT
360 ALBERTSONS COS/SAFEWAY 01309QAA6 Feb 2026 10,703,000 -342,000 $10.8M -3.7% 0.07% DBT
361 ENERGY TRANSFER LP 29273VBH2 Feb 2026 10,587,000 -287,000 $10.8M -2.9% 0.07% DBT
362 B&G FOODS INC 05508WAC9 Feb 2026 10,900,000 -499,000 $10.8M -2.6% 0.07% DBT
363 LITHIA MOTORS INC 536797AG8 Feb 2026 11,236,000 -1,194,000 $10.8M -10.2% 0.07% DBT
364 DISH DBS CORP 25470XBE4 Feb 2026 10,800,000 -825,000 $10.8M -4.8% 0.07% DBT
365 ONEMAIN FINANCE CORP 682691AG5 Feb 2026 10,602,000 -608,000 $10.7M -6.2% 0.07% DBT
366 ALTICE FRANCE SA 02090DAB4 Feb 2026 10,960,170 -2,107,000 $10.7M -15.2% 0.07% DBT
367 LBM ACQUISITION LLC 52109SAB5 Feb 2026 12,719,000 -132,000 $10.7M -10.6% 0.07% DBT
368 PILGRIM'S PRIDE CORP 72147KAH1 Feb 2026 11,786,000 -98,000 $10.7M -3.6% 0.07% DBT
369 FORTESCUE TREASURY PTY L 30251GBE6 Feb 2026 10,334,000 -1,178,000 $10.7M -11.1% 0.07% DBT
370 XPLR INFRAST OPERATING 65342QAM4 Feb 2026 10,278,000 -1,209,000 $10.7M -10.2% 0.07% DBT
371 WAYFAIR LLC 94419NAB3 Feb 2026 10,276,000 -398,000 $10.7M -4.4% 0.07% DBT
372 ONEMAIN FINANCE CORP 682691AK6 Feb 2026 10,610,000 -1,513,000 $10.7M -13.6% 0.07% DBT
373 ZAYO GROUP HOLDINGS INC 98919VAD7 Feb 2026 10,757,975 -1,310,028 $10.7M -2.9% 0.07% DBT
374 SERVICE CORP INTL 817565CH5 Feb 2026 10,575,000 -681,000 $10.7M -7.0% 0.07% DBT
375 ONEMAIN FINANCE CORP 682691AL4 Feb 2026 10,667,000 -718,000 $10.6M -7.0% 0.07% DBT
376 CLEAR CHANNEL OUTDOOR HO 18453HAC0 Feb 2026 10,584,000 -2,768,000 $10.6M -21.2% 0.07% DBT
377 ION PLAT FIN US/SARL 46206AAB8 Feb 2026 11,354,000 -106,000 $10.6M -1.4% 0.07% DBT
378 VIRGIN MEDIA SECURED FIN 92769XAR6 Feb 2026 12,181,000 -901,000 $10.6M -10.9% 0.07% DBT
379 ZF NA CAPITAL 98877DAF2 Feb 2026 10,612,000 -2,158,000 $10.6M -18.0% 0.07% DBT
380 WESCO DISTRIBUTION INC 95081QAS3 Feb 2026 10,278,000 -257,000 $10.5M -3.9% 0.07% DBT
381 CHORD ENERGY CORP 674215AQ1 Feb 2026 10,406,000 -1,255,000 $10.5M -11.4% 0.07% DBT
382 ONEMAIN FINANCE CORP 682691AM2 Feb 2026 10,791,000 -1,310,000 $10.5M -12.1% 0.07% DBT
383 HESS MIDSTREAM OPERATION 428102AH0 Feb 2026 10,410,000 -621,000 $10.5M -6.2% 0.07% DBT
384 DIRECTV FINANCING LLC 25461LAB8 Feb 2026 10,259,000 -1,045,000 $10.5M -6.9% 0.07% DBT
385 SM ENERGY CO 78454LAY6 Feb 2026 10,262,000 -44,000 $10.5M +0.1% 0.07% DBT
386 BOYD GAMING CORP 103304BV2 Feb 2026 10,880,000 -1,553,000 $10.5M -13.6% 0.07% DBT
387 VIRGIN MEDIA FINANCE PLC 92769VAJ8 Feb 2026 12,718,000 -1,039,000 $10.5M -9.2% 0.06% DBT
388 QNITY ELECTRONICS INC 74743LAB6 Feb 2026 10,252,000 -1,794,000 $10.5M -16.3% 0.06% DBT
389 BUILDERS FIRSTSOURCE INC 12008RAT4 Feb 2026 10,308,000 -474,000 $10.4M -7.3% 0.06% DBT
390 NOVELIS CORP 670001AN6 Feb 2026 10,312,000 -677,000 $10.4M -6.3% 0.06% DBT
391 TELUS CORP 87971MCL5 Feb 2026 10,262,000 -290,000 $10.4M -4.4% 0.06% DBT
392 SOMNIGROUP INTL INC 88023UAJ0 Feb 2026 11,327,000 -165,000 $10.4M -3.7% 0.06% DBT
393 AMERICAN AIRLINES INC 023771T32 Feb 2026 10,236,000 -1,559,000 $10.4M -13.5% 0.06% DBT
394 GRAY MEDIA INC 389375AP1 Feb 2026 10,448,000 -978,000 $10.4M -12.2% 0.06% DBT
395 JONES DESLAURIERS INSURA 48020RAB1 Feb 2026 10,149,000 -777,000 $10.4M -8.6% 0.06% DBT
396 RITHM CAPITAL CORP 64828TAB8 Feb 2026 10,323,000 -621,000 $10.3M -6.0% 0.06% DBT
397 ONEMAIN FINANCE CORP 682691AE0 Feb 2026 9,947,000 -842,000 $10.3M -8.3% 0.06% DBT
398 WR GRACE HOLDING LLC 92943GAF8 Feb 2026 10,419,000 -751,000 $10.3M -8.4% 0.06% DBT
399 OSAIC HOLDINGS INC 00791GAC1 Feb 2026 10,146,000 -260,000 $10.3M -0.6% 0.06% DBT
400 ALLIED UNIVERSAL HOLDCO 049362AA4 Feb 2026 10,474,000 -1,155,000 $10.3M -10.5% 0.06% DBT
401 VIKING CRUISES LTD 92676XAG2 Feb 2026 9,793,000 -1,814,000 $10.3M -16.5% 0.06% DBT
402 ONEMAIN FINANCE CORP 682691AF7 Feb 2026 9,986,000 -1,419,000 $10.3M -12.8% 0.06% DBT
403 ALCOA NEDERLAND HOLDING 013822AH4 Feb 2026 9,823,000 -3,420,000 $10.3M -26.8% 0.06% DBT
404 KODIAK GAS SERVICES LLC 50012LAD6 Feb 2026 10,041,000 -694,000 $10.2M -7.6% 0.06% DBT
405 AVIS BUDGET CAR/FINANCE 053773BJ5 Feb 2026 9,900,000 -214,000 $10.2M +0.1% 0.06% DBT
406 NEWELL BRANDS INC 651229BF2 Feb 2026 10,310,000 -814,000 $10.2M -8.6% 0.06% DBT
407 CELANESE US HOLDINGS LLC 15089QAN4 Feb 2026 9,696,000 -2,742,000 $10.2M -22.7% 0.06% DBT
408 DELEK LOG PART/FINANCE 24665FAD4 Feb 2026 9,726,000 -6,904,000 $10.1M -41.6% 0.06% DBT
409 IHEARTCOMMUNICATIONS INC 45174HBJ5 Feb 2026 10,419,606 -104,000 $10.1M +8.0% 0.06% DBT
410 SERVICE CORP INTL 817565CG7 Feb 2026 10,737,000 -683,000 $10.1M -7.1% 0.06% DBT
411 MATADOR RESOURCES CO 576485AH9 Feb 2026 10,054,000 -1,105,000 $10.1M -10.9% 0.06% DBT
412 EUSHI FINANCE INC 29882DAC7 Feb 2026 10,177,000 -206,000 $10.1M -3.2% 0.06% DBT
413 HILTON DOMESTIC OPERATIN 432833AJ0 Feb 2026 10,431,000 -1,802,000 $10.1M -15.3% 0.06% DBT
414 WAYFAIR LLC 94419NAC1 Feb 2026 9,936,000 -75,000 $10.1M -1.2% 0.06% DBT
415 NRG ENERGY INC 629377CY6 Feb 2026 10,063,000 -2,358,000 $10.1M -19.0% 0.06% DBT
416 INEOS FINANCE PLC 44984WAJ6 Feb 2026 10,122,000 -161,000 $10.1M +10.1% 0.06% DBT
417 HOWARD MIDSTREAM ENERGY 442722AD6 Feb 2026 9,949,000 -1,235,000 $10.1M -13.0% 0.06% DBT
418 CSC HOLDINGS LLC 126307BH9 Feb 2026 17,966,000 -2,305,000 $10.1M -17.5% 0.06% DBT
419 SUNOCO LP/FINANCE CORP 86765LAZ0 Feb 2026 10,336,000 -1,636,000 $10.0M -14.2% 0.06% DBT
420 NISSAN MOTOR ACCEPTANCE 65480CAK1 Feb 2026 10,054,000 -1,094,000 $10.0M -10.6% 0.06% DBT
421 SOMNIGROUP INTL INC 88023UAH4 Feb 2026 10,441,000 -1,061,000 $10.0M -10.2% 0.06% DBT
422 CHORD ENERGY CORP 674215AN8 Feb 2026 9,765,000 -1,533,000 $10.0M -14.2% 0.06% DBT
423 ENERGIZER HOLDINGS INC 29272WAD1 Feb 2026 10,398,000 -1,358,000 $10.0M -12.4% 0.06% DBT
424 ONEMAIN FINANCE CORP 682691AA8 Feb 2026 10,856,000 -1,841,000 $10.0M -14.5% 0.06% DBT
425 ARETEC GROUP INC 04020JAA4 Feb 2026 9,412,000 -1,594,000 $10.0M -14.6% 0.06% DBT
426 NISSAN MOTOR ACCEPTANCE 65480CAF2 Feb 2026 9,729,000 -562,000 $10.0M -6.4% 0.06% DBT
427 BRIGHTSTAR LOTTERY PLC 460599AE3 Feb 2026 10,034,000 -844,000 $10.0M -7.8% 0.06% DBT
428 SERVICE CORP INTL 817565CF9 Feb 2026 10,746,000 -1,447,000 $10.0M -12.9% 0.06% DBT
429 ROCKETMTGE CO-ISSUER INC 77313LAB9 Feb 2026 11,120,000 -968,000 $10.0M -10.0% 0.06% DBT
430 TELUS CORP 87971MCR2 Feb 2026 10,010,000 -528,000 $10.0M -6.2% 0.06% DBT
431 MATCH GROUP HLD II LLC 57667JAC6 Feb 2026 10,137,000 -722,000 $10.0M -8.0% 0.06% DBT
432 EG GLOBAL FINANCE PLC 28228PAC5 Feb 2026 9,314,000 -9,377,000 $9.9M -50.6% 0.06% DBT
433 OPEN TEXT CORP 683715AD8 Feb 2026 10,795,000 -1,518,000 $9.9M -10.3% 0.06% DBT
434 VMED O2 UK FINANCING I 92858RAE0 Feb 2026 11,240,000 -896,000 $9.9M -14.0% 0.06% DBT
435 PERRIGO FINANCE UNLIMITE 71429MAC9 Feb 2026 10,328,000 -635,000 $9.9M -6.9% 0.06% DBT
436 EW SCRIPPS CO 811054AH8 Feb 2026 10,290,000 -470,000 $9.8M -9.0% 0.06% DBT
437 BOMBARDIER INC 097751CA7 Feb 2026 9,248,000 -2,291,000 $9.8M -20.5% 0.06% DBT
438 MCGRAW-HILL EDUCATION 57767XAB6 Feb 2026 9,763,000 -1,055,000 $9.8M -8.6% 0.06% DBT
439 TRANSOCEAN INTERNTNL LTD 893830BX6 Feb 2026 9,342,550 -2,587,900 $9.8M -21.5% 0.06% DBT
440 ZAYO GROUP HOLDINGS INC 98919VAC9 Feb 2026 9,745,116 -8,591,284 $9.8M -45.4% 0.06% DBT
441 ROCKET COS INC 77311WAC5 Feb 2026 9,519,000 -985,000 $9.7M -9.6% 0.06% DBT
442 DELEK LOG PART/FINANCE 24665FAE2 Feb 2026 9,442,000 -261,000 $9.7M -2.7% 0.06% DBT
443 VMED O2 UK FINANCING I 92858RAD2 Feb 2026 10,374,000 -457,000 $9.7M -10.1% 0.06% DBT
444 GEO GROUP INC/THE 36162JAH9 Feb 2026 8,987,000 -1,210,000 $9.7M -11.2% 0.06% DBT
445 ALPHA GENERATION LLC 02073LAC5 Feb 2026 9,773,000 -1,192,000 $9.7M -12.8% 0.06% DBT
446 CLARIOS GLOBAL LP/US FIN 18060TAC9 Feb 2026 9,509,000 -2,903,000 $9.7M -23.7% 0.06% DBT
447 CELANESE US HOLDINGS LLC 15089QAW4 Feb 2026 9,288,000 -1,987,000 $9.7M -18.3% 0.06% DBT
448 TALLGRASS NRG PRTNR/FIN 87470LAJ0 Feb 2026 9,641,000 -750,000 $9.7M -8.0% 0.06% DBT
449 CELANESE US HOLDINGS LLC 15089QAZ7 Feb 2026 9,429,000 -2,290,000 $9.7M -19.4% 0.06% DBT
450 PERRIGO FINANCE UNLIMITE 71429MAD7 Feb 2026 10,136,000 -388,000 $9.7M -6.1% 0.06% DBT
451 SUNOCO LP 86765KAB5 Feb 2026 9,345,000 -1,748,000 $9.6M -16.2% 0.06% DBT
452 ICAHN ENTERPRISES/FIN 451102CJ4 Feb 2026 10,134,000 -1,262,000 $9.6M -10.9% 0.06% DBT
453 AVIENT CORP 05368VAA4 Feb 2026 9,446,000 -3,588,000 $9.6M -28.2% 0.06% DBT
454 GFL ENVIRONMENTAL INC 36168QAN4 Feb 2026 9,764,000 -792,000 $9.6M -8.3% 0.06% DBT
455 CLEAN HARBORS INC 184496AR8 Feb 2026 9,560,000 -221,000 $9.6M -3.9% 0.06% DBT
456 ZF NA CAPITAL 98877DAG0 Feb 2026 9,777,000 -321,000 $9.6M -5.1% 0.06% DBT
457 NRG ENERGY INC 629377CE0 Feb 2026 9,577,000 -2,596,000 $9.6M -21.2% 0.06% DBT
458 GARDA WORLD SECURITY 36485MAQ2 Feb 2026 9,360,000 -669,000 $9.5M -7.5% 0.06% DBT
459 LCPR SR SECURED FIN DAC 50201DAA1 Feb 2026 14,681,000 -4,225,000 $9.5M -28.8% 0.06% DBT
460 UNITI GRP/UNITI HLD/CSL 91327AAB8 Feb 2026 9,734,000 -233,000 $9.5M +0.3% 0.06% DBT
461 CHS/COMMUNITY HEALTH SYS 12543DBK5 Feb 2026 10,269,000 -4,405,000 $9.4M -29.8% 0.06% DBT
462 ICAHN ENTERPRISES/FIN 451102CF2 Feb 2026 9,471,000 -994,000 $9.4M -8.7% 0.06% DBT
463 PILGRIM'S PRIDE CORP 72147KAK4 Feb 2026 8,993,000 -5,230,000 $9.4M -38.8% 0.06% DBT
464 COINBASE GLOBAL INC 19260QAD9 Feb 2026 10,632,000 -363,000 $9.4M -2.1% 0.06% DBT
465 BUILDERS FIRSTSOURCE INC 12008RAR8 Feb 2026 9,293,000 -222,000 $9.4M -4.1% 0.06% DBT
466 UNITED RENTALS NORTH AM 911365BN3 Feb 2026 9,784,000 -180,000 $9.4M -3.4% 0.06% DBT
467 LIFEPOINT HEALTH INC 53219LAY5 Feb 2026 8,888,000 -1,810,000 $9.3M -19.5% 0.06% DBT
468 FERRELLGAS LP/FERRELLGAS 315292AU6 Feb 2026 8,852,000 -131,000 $9.3M +0.1% 0.06% DBT
469 BURFORD CAPITAL GLBL FIN 12116LAE9 Feb 2026 9,646,000 -653,000 $9.3M -11.5% 0.06% DBT
470 IRON MOUNTAIN INFO MGMT 46285MAA8 Feb 2026 9,585,000 -1,551,000 $9.2M -14.3% 0.06% DBT
471 RADIOLOGY PARTNERS INC 75041VAC8 Feb 2026 9,325,583 -1,010,002 $9.2M -3.6% 0.06% DBT
472 ARSENAL AIC PARENT LLC 04288BAB6 Feb 2026 8,778,000 -2,663,000 $9.2M -23.9% 0.06% DBT
473 METHANEX CORP 59151KAM0 Feb 2026 9,191,000 -2,243,000 $9.2M -19.9% 0.06% DBT
474 TRANSDIGM INC 893647BQ9 Feb 2026 9,289,000 -2,375,000 $9.2M -21.2% 0.06% DBT
475 YUM! BRANDS INC 988498AL5 Feb 2026 9,253,000 -450,000 $9.1M -6.0% 0.06% DBT
476 NABORS INDUSTRIES INC 62957HAP0 Feb 2026 8,703,000 -1,884,000 $9.1M -18.0% 0.06% DBT
477 ROCKETMTGE CO-ISSUER INC 74841CAA9 Feb 2026 9,485,000 -1,932,000 $9.1M -17.0% 0.06% DBT
478 ANYWHERE REAL EST/CO-ISS 75606DAS0 Feb 2026 9,008,200 -271,000 $9.1M -3.2% 0.06% DBT
479 GEO GROUP INC/THE 36162JAG1 Feb 2026 8,648,000 -2,004,000 $9.0M -18.8% 0.06% DBT
480 OWENS-BROCKWAY 69073TAU7 Feb 2026 9,158,000 -882,000 $9.0M -11.1% 0.06% DBT
481 ASBURY AUTOMOTIVE GROUP 043436AX2 Feb 2026 9,401,000 -129,000 $9.0M -3.3% 0.06% DBT
482 ARCOSA INC 039653AC4 Feb 2026 8,562,000 -253,000 $8.9M -4.0% 0.06% DBT
483 ZF NA CAPITAL 98877DAE5 Feb 2026 8,766,000 -491,000 $8.8M -6.9% 0.05% DBT
484 1011778 BC / NEW RED FIN 68245XAP4 Feb 2026 9,148,000 -2,510,000 $8.8M -21.9% 0.05% DBT
485 ION PLAT FIN US/SARL 46206AAD4 Feb 2026 9,524,000 -839,000 $8.8M -8.2% 0.05% DBT
486 WBI OPERATING LLC 92944BAB7 Feb 2026 8,683,000 -258,000 $8.8M -3.4% 0.05% DBT
487 TALOS PRODUCTION INC 87485LAE4 Feb 2026 8,260,000 -429,000 $8.8M -5.3% 0.05% DBT
488 RHP HOTEL PPTY/RHP FINAN 749571AL9 Feb 2026 8,532,000 -341,000 $8.8M -5.1% 0.05% DBT
489 1011778 BC / NEW RED FIN 68245XAJ8 Feb 2026 8,843,000 -1,155,000 $8.7M -12.0% 0.05% DBT
490 WHIRLPOOL CORP 963320AW6 Feb 2026 9,238,000 -1,254,000 $8.7M -15.5% 0.05% DBT
491 GROUP 1 AUTOMOTIVE INC 398905AN9 Feb 2026 8,986,000 -1,890,000 $8.7M -18.0% 0.05% DBT
492 PENNYMAC FIN SVCS INC 70932MAH0 Feb 2026 9,117,000 -828,000 $8.7M -11.2% 0.05% DBT
493 CSC HOLDINGS LLC 126307BM8 Feb 2026 13,171,000 -1,509,000 $8.7M -25.1% 0.05% DBT
494 KFC HLD/PIZZA HUT/TACO 48250NAC9 Feb 2026 8,713,000 -1,443,000 $8.7M -14.2% 0.05% DBT
495 ANTERO MIDSTREAM PART/FI 03690AAH9 Feb 2026 8,674,000 -2,733,000 $8.7M -24.0% 0.05% DBT
496 PENNYMAC FIN SVCS INC 70932MAE7 Feb 2026 8,549,000 -327,000 $8.6M -5.2% 0.05% DBT
497 SOUTH BOW CAN INFRA HOLD 836720AJ1 Feb 2026 8,077,000 -834,000 $8.6M -8.7% 0.05% DBT
498 GAP INC/THE 364760AQ1 Feb 2026 9,503,000 -2,003,000 $8.6M -19.5% 0.05% DBT
499 NOVA CHEMICALS CORP 66977WAU3 Feb 2026 8,175,000 -2,421,000 $8.6M -23.6% 0.05% DBT
500 UNITED RENTALS NORTH AM 911365BP8 Feb 2026 9,292,000 -1,271,000 $8.6M -13.7% 0.05% DBT
501 CREDIT ACCEPTANC 225310AQ4 Feb 2026 8,220,000 -2,973,000 $8.6M -26.6% 0.05% DBT
502 LIVE NATION ENTERTAINMEN 538034AV1 Feb 2026 8,524,000 -11,244,000 $8.5M -57.0% 0.05% DBT
503 TOPBUILD CORP 89055FAD5 Feb 2026 8,447,000 -1,528,000 $8.5M -15.0% 0.05% DBT
504 PENNYMAC FIN SVCS INC 70932MAB3 Feb 2026 8,923,000 -481,000 $8.5M -5.6% 0.05% DBT
505 OLIN CORP 680665AN6 Feb 2026 8,533,000 -428,000 $8.5M -3.2% 0.05% DBT
506 AMERICAN AXLE & MFG INC 02406PBB5 Feb 2026 8,584,000 -1,279,000 $8.4M -12.6% 0.05% DBT
507 ABC SUPPLY CO INC 024747AF4 Feb 2026 8,561,000 -53,000 $8.4M -1.1% 0.05% DBT
508 HILCORP ENERGY I/HILCORP 431318BC7 Feb 2026 7,870,000 -988,000 $8.4M -10.3% 0.05% DBT
509 NABORS INDUSTRIES INC 62957HAQ8 Feb 2026 7,996,000 -820,000 $8.4M -8.5% 0.05% DBT
510 CRESCENT ENERGY FINANCE 45344LAG8 Feb 2026 7,985,000 -216,000 $8.4M -1.1% 0.05% DBT
511 SUBURBAN PROPANE PARTNRS 864486AL9 Feb 2026 8,704,000 -553,000 $8.3M -6.3% 0.05% DBT
512 ASCENT RESOURCES/ARU FIN 04364VAX1 Feb 2026 8,111,000 -487,000 $8.3M -6.9% 0.05% DBT
513 GENESIS ENERGY LP/FIN 37185LAP7 Feb 2026 8,000,000 -995,000 $8.3M -11.4% 0.05% DBT
514 MARRIOTT OWNERSHIP RESOR 57164PAK2 Feb 2026 8,460,000 -2,290,000 $8.3M -20.3% 0.05% DBT
515 UNITED RENTALS NORTH AM 911365BL7 Feb 2026 8,291,000 -1,362,000 $8.3M -14.9% 0.05% DBT
516 PRIMO / TRITON WATER HLD 74168RAC7 Feb 2026 8,259,000 -3,553,000 $8.3M -29.8% 0.05% DBT
517 CHS/COMMUNITY HEALTH SYS 12543DBH2 Feb 2026 8,315,000 -64,000 $8.3M -1.2% 0.05% DBT
518 STAPLES INC 855030AS1 Feb 2026 10,701,936 -1,016,000 $8.2M -0.1% 0.05% DBT
519 IHEARTCOMMUNICATIONS INC 45174HBM8 Feb 2026 8,964,100 -1,265,000 $8.2M +0.6% 0.05% DBT
520 IRON MOUNTAIN INC 46284VAL5 Feb 2026 8,249,000 -912,000 $8.2M -10.5% 0.05% DBT
521 ARDAGH METAL PACKAGING 03969YAD0 Feb 2026 8,049,000 -429,000 $8.1M -6.4% 0.05% DBT
522 AVIS BUDGET CAR/FINANCE 053773BF3 Feb 2026 8,268,000 -210,000 $8.1M +0.2% 0.05% DBT
523 NCL CORPORATION LTD 62886HBG5 Feb 2026 7,746,000 -941,000 $8.1M -12.6% 0.05% DBT
524 FXI HOLDINGS INC 36120RAG4 Feb 2026 9,637,904 -1,790,000 $8.1M -24.2% 0.05% DBT
525 ONEMAIN FINANCE CORP 682691AJ9 Feb 2026 8,082,000 -1,118,000 $8.0M -13.3% 0.05% DBT
526 LITHIA MOTORS INC 536797AJ2 Feb 2026 8,119,000 -1,065,000 $8.0M -12.9% 0.05% DBT
527 NISSAN MOTOR ACCEPTANCE 654740BT5 Feb 2026 8,458,000 -810,000 $8.0M -8.9% 0.05% DBT
528 DISCOVERY COMMUNICATIONS 25470DCA5 Feb 2026 8,044,000 -1,612,000 $8.0M -15.8% 0.05% DBT
529 KENNEDY-WILSON INC 489399AM7 Feb 2026 7,903,000 -536,000 $8.0M -2.8% 0.05% DBT
530 MPH ACQUISITION HOLDINGS 553283AG7 Feb 2026 9,816,754 -1,133,000 $7.9M -1.3% 0.05% DBT
531 KENNEDY-WILSON INC 489399AN5 Feb 2026 7,809,000 -690,000 $7.9M -4.3% 0.05% DBT
532 HERC HOLDINGS INC 42704LAH7 Feb 2026 7,880,000 -245,000 $7.9M -4.2% 0.05% DBT
533 XPO INC 983793AK6 Feb 2026 7,614,000 -965,000 $7.9M -12.2% 0.05% DBT
534 ANTERO MIDSTREAM PART/FI 03690AAN6 Feb 2026 7,955,000 -234,000 $7.9M -5.3% 0.05% DBT
535 HESS MIDSTREAM OPERATION 428102AG2 Feb 2026 7,662,000 -245,000 $7.9M -4.0% 0.05% DBT
536 WHIRLPOOL CORP 963320BD7 Feb 2026 8,338,000 -336,000 $7.8M -10.0% 0.05% DBT
537 MINERAL RESOURCES LTD 603051AD5 Feb 2026 7,558,000 -2,239,000 $7.8M -22.9% 0.05% DBT
538 CLYDESDALE ACQUISITION 18972EAA3 Feb 2026 7,893,000 -368,000 $7.8M -6.4% 0.05% DBT
539 UNITED RENTALS NORTH AM 911365BM5 Feb 2026 7,875,000 -1,348,000 $7.8M -15.0% 0.05% DBT
540 LAMB WESTON HLD 513272AE4 Feb 2026 8,328,000 -705,000 $7.8M -9.5% 0.05% DBT
541 CHEMOURS CO 163851AF5 Feb 2026 7,765,000 -3,375,000 $7.8M -30.8% 0.05% DBT
542 GRAY MEDIA INC 389375AL0 Feb 2026 10,140,000 -2,000,000 $7.7M -21.7% 0.05% DBT
543 TAYLOR MORRISON COMM 87724RAK8 Feb 2026 7,676,000 -194,000 $7.7M -5.1% 0.05% DBT
544 ICAHN ENTERPRISES/FIN 451102CC9 Feb 2026 8,896,000 -1,646,000 $7.7M -14.2% 0.05% DBT
545 WHIRLPOOL CORP 963320BE5 Feb 2026 8,473,000 -607,000 $7.7M -15.2% 0.05% DBT
546 CELANESE US HOLDINGS LLC 15089QBC7 Feb 2026 7,422,000 -1,832,000 $7.7M -19.2% 0.05% DBT
547 SNAP INC 83304AAM8 Feb 2026 7,802,000 -399,000 $7.7M -5.8% 0.05% DBT
548 STARWOOD PROPERTY TRUST 85571BBD6 Feb 2026 7,498,000 -344,000 $7.7M -5.9% 0.05% DBT
549 EQUIPMENTSHARE.COM INC 29450YAB5 Feb 2026 7,292,000 -1,701,000 $7.7M -20.3% 0.05% DBT
550 HILCORP ENERGY I/HILCORP 431318AS3 Feb 2026 7,615,000 -1,695,000 $7.6M -18.6% 0.05% DBT
551 STONEX GROUP INC 861896AA6 Feb 2026 7,258,000 -2,854,000 $7.6M -28.8% 0.05% DBT
552 FMC CORP 302491AZ8 Feb 2026 10,197,000 -419,000 $7.6M +9.3% 0.05% DBT
553 CSC HOLDINGS LLC 126307BB2 Feb 2026 13,344,000 -2,273,000 $7.6M -20.0% 0.05% DBT
554 BROOKFIELD RESID PROPERT 11283YAB6 Feb 2026 7,581,000 -2,200,000 $7.6M -22.5% 0.05% DBT
555 ALLY FINANCIAL INC 02005NBS8 Feb 2026 7,325,000 -700,000 $7.6M -9.5% 0.05% DBT
556 SERVICE PROPERTIES TRUST 81761LAE2 Feb 2026 7,305,000 -791,000 $7.6M -7.1% 0.05% DBT
557 IHEARTCOMMUNICATIONS INC 45174HBL0 Feb 2026 8,883,605 -729,000 $7.5M +6.4% 0.05% DBT
558 JAGUAR LAND ROVER AUTOMO 47010BAK0 Feb 2026 7,481,000 -1,099,000 $7.5M -12.8% 0.05% DBT
559 PRA GROUP INC 69354NAF3 Feb 2026 7,282,000 -783,000 $7.5M -8.9% 0.05% DBT
560 CHEMOURS CO 163851AH1 Feb 2026 7,762,000 -534,000 $7.4M -5.2% 0.05% DBT
561 GOODYEAR TIRE & RUBBER 382550BR1 Feb 2026 8,375,000 -128,000 $7.4M -8.2% 0.05% DBT
562 CUSHMAN & WAKEFIELD US 23166MAA1 Feb 2026 7,431,000 -3,091,000 $7.4M -29.6% 0.05% DBT
563 FIRSTCASH INC 31944TAA8 Feb 2026 7,410,000 -3,289,000 $7.4M -30.5% 0.05% DBT
564 JANE STREET GRP/JSG FIN 47077WAA6 Feb 2026 7,563,000 -1,752,000 $7.4M -18.5% 0.05% DBT
565 ONEMAIN FINANCE CORP 682691AC4 Feb 2026 7,624,000 -1,601,000 $7.4M -17.4% 0.05% DBT
566 ACRISURE LLC / FIN INC 004961AA6 Feb 2026 7,631,000 -72,000 $7.4M -2.4% 0.05% DBT
567 MADISON IAQ LLC 55760LAA5 Feb 2026 7,458,000 -388,000 $7.4M -4.9% 0.05% DBT
568 RAKUTEN GROUP INC 75102WAM0 Feb 2026 7,126,000 -910,000 $7.3M -11.8% 0.05% DBT
569 PARK INTERMED HOLDINGS 70052LAD5 Feb 2026 7,172,000 -43,000 $7.3M -1.6% 0.05% DBT
570 AZORRA FINANCE 05480AAA3 Feb 2026 7,059,000 -1,133,000 $7.3M -14.9% 0.05% DBT
571 STARWOOD PROPERTY TRUST 85571BBG9 Feb 2026 7,325,000 -696,000 $7.3M -9.9% 0.05% DBT
572 NAVIENT CORP 63938CAP3 Feb 2026 6,836,000 -411,000 $7.3M -5.1% 0.05% DBT
573 NCL FINANCE LTD 62888HAA7 Feb 2026 7,154,000 -883,000 $7.2M -12.4% 0.04% DBT
574 GARDA WORLD SECURITY 36485MAL3 Feb 2026 7,384,000 -332,000 $7.2M -4.3% 0.04% DBT
575 CSC HOLDINGS LLC 126307AS6 Feb 2026 11,380,000 -2,994,000 $7.2M -30.3% 0.04% DBT
576 FIBERCOP SPA 683879AF7 Feb 2026 7,153,000 -45,000 $7.2M -1.6% 0.04% DBT
577 PBF HOLDING CO LLC 69318FAL2 Feb 2026 7,034,000 -995,000 $7.2M -10.4% 0.04% DBT
578 CALIFORNIA RESOURCES CRP 13057QAK3 Feb 2026 6,895,000 -2,752,000 $7.2M -28.9% 0.04% DBT
579 ANTERO MIDSTREAM PART/FI 03690AAF3 Feb 2026 7,187,000 -1,224,000 $7.2M -14.4% 0.04% DBT
580 GOEASY LTD 380355AJ6 Feb 2026 7,637,000 -1,316,000 $7.2M -14.4% 0.04% DBT
581 HESS MIDSTREAM OPERATION 428104AA1 Feb 2026 7,197,000 -2,410,000 $7.2M -25.3% 0.04% DBT
582 HILCORP ENERGY I/HILCORP 431318AU8 Feb 2026 7,197,000 -437,000 $7.2M -6.2% 0.04% DBT
583 MELCO RESORTS FINANCE 58547DAJ8 Feb 2026 7,240,000 -730,000 $7.2M -10.0% 0.04% DBT
584 TRANSDIGM INC 893647BZ9 Feb 2026 6,996,000 -1,256,000 $7.2M -16.1% 0.04% DBT
585 FREEDOM MORTGAGE CORP 35640YAL1 Feb 2026 6,600,000 -1,708,000 $7.1M -21.0% 0.04% DBT
586 PARK RIVER HOLDINGS INC 70082LAD9 Feb 2026 7,364,000 -456,000 $7.1M -4.8% 0.04% DBT
587 TRIVIUM PACKAGING FIN 89686QAD8 Feb 2026 6,740,000 -1,874,000 $7.1M -22.8% 0.04% DBT
588 ORGANON & CO/ORGANON FOR 68622FAB7 Feb 2026 6,630,000 -988,000 $7.1M +0.3% 0.04% DBT
589 LAMAR MEDIA CORP 513075BR1 Feb 2026 7,230,000 -1,473,000 $7.1M -17.0% 0.04% DBT
590 HILCORP ENERGY I/HILCORP 431318AZ7 Feb 2026 7,196,000 -32,000 $7.1M +0.8% 0.04% DBT
591 PILGRIM'S PRIDE CORP 72147KAL2 Feb 2026 6,549,000 -543,000 $7.1M -10.8% 0.04% DBT
592 WR GRACE HOLDING LLC 92943GAH4 Feb 2026 7,134,000 -963,000 $7.1M -14.0% 0.04% DBT
593 RHP HOTEL PPTY/RHP FINAN 749571AG0 Feb 2026 7,199,000 -1,892,000 $7.1M -21.0% 0.04% DBT
594 HILTON DOMESTIC OPERATIN 432833AP6 Feb 2026 6,951,000 -504,000 $7.0M -7.6% 0.04% DBT
595 MACY'S RETAIL HLDGS LLC 55617LAS1 Feb 2026 6,738,000 -406,000 $7.0M -6.0% 0.04% DBT
596 SUNOCO LP 86765KAL3 Feb 2026 6,887,000 -765,000 $7.0M -11.2% 0.04% DBT
597 RB GLOBAL HOLDINGS INC 76774LAB3 Feb 2026 6,906,000 -2,307,000 $7.0M -25.1% 0.04% DBT
598 STARWOOD PROPERTY TRUST 85571BBE4 Feb 2026 6,868,000 -932,000 $7.0M -13.7% 0.04% DBT
599 ARDAGH METAL PACKAGING 03969YAA6 Feb 2026 7,303,000 -193,000 $7.0M -3.2% 0.04% DBT
600 CSC HOLDINGS LLC 126307BA4 Feb 2026 28,003,000 -3,175,000 $7.0M -41.7% 0.04% DBT
601 CHART INDUSTRIES INC 16115QAG5 Feb 2026 6,644,000 -2,453,000 $7.0M -27.0% 0.04% DBT
602 ARSENAL AIC PARENT LLC 04288BAC4 Feb 2026 6,470,000 -2,450,000 $7.0M -28.9% 0.04% DBT
603 STARWOOD PROPERTY TRUST 85571BBF1 Feb 2026 6,995,000 -1,200,000 $7.0M -15.0% 0.04% DBT
604 CENTURY COMMUNITIES 156504AN2 Feb 2026 7,041,000 -558,000 $7.0M -9.6% 0.04% DBT
605 LITHIA MOTORS INC 536797AF0 Feb 2026 7,363,000 -1,359,000 $7.0M -16.8% 0.04% DBT
606 HA SUSTAINABLE INF CAP 41068XAG5 Feb 2026 6,536,000 -355,000 $7.0M -3.9% 0.04% DBT
607 ANYWHERE RE GRP/REALOGY 75606DAV3 Feb 2026 6,471,000 -465,000 $7.0M -6.9% 0.04% DBT
608 CENTRAL GARDEN & PET CO 153527AN6 Feb 2026 7,341,000 -97,000 $7.0M -3.0% 0.04% DBT
609 JEFFERIES FIN LLC / JFIN 47232MAG7 Feb 2026 7,040,000 -458,000 $6.9M -4.9% 0.04% DBT
610 ALLY FINANCIAL INC 02005NBY5 Feb 2026 6,990,000 -1,442,000 $6.9M -17.7% 0.04% DBT
611 LBM ACQUISITION LLC 05552BAA4 Feb 2026 11,175,000 -1,463,000 $6.9M -28.2% 0.04% DBT
612 ORGANON & CO/ORGANON FOR 68622FAA9 Feb 2026 6,423,000 -1,283,000 $6.8M -8.5% 0.04% DBT
613 SENSATA TECHNOLOGIES INC 81728UAC8 Feb 2026 6,601,000 -847,000 $6.8M -12.3% 0.04% DBT
614 GLOBAL ATLANTIC FIN CO 37959GAG2 Feb 2026 6,726,000 -1,691,000 $6.8M -15.5% 0.04% DBT
615 GLOBAL AUTO HO/AAG FH UK 00033GAB1 Feb 2026 7,233,000 -666,000 $6.8M -7.1% 0.04% DBT
616 CSC HOLDINGS LLC 126307BD8 Feb 2026 28,452,000 -4,190,000 $6.8M -43.7% 0.04% DBT
617 IQVIA INC 46266TAA6 Feb 2026 6,786,000 -6,940,000 $6.8M -50.5% 0.04% DBT
618 GROUP 1 AUTOMOTIVE INC 398905AQ2 Feb 2026 6,653,000 -1,110,000 $6.8M -14.8% 0.04% DBT
619 GFL ENVIRONMENTAL INC 36168QAP9 Feb 2026 6,945,000 -456,000 $6.8M -7.0% 0.04% DBT
620 BATH & BODY WORKS INC 501797AR5 Feb 2026 6,652,000 -2,101,000 $6.8M -24.2% 0.04% DBT
621 TENET HEALTHCARE CORP 88033GDH0 Feb 2026 6,802,000 -144,000 $6.8M -2.5% 0.04% DBT
622 GETTY IMAGES INC 374276AR4 Feb 2026 7,586,000 -1,914,000 $6.7M -19.8% 0.04% DBT
623 SONIC AUTOMOTIVE INC 83545GBE1 Feb 2026 7,040,000 -1,334,000 $6.7M -16.9% 0.04% DBT
624 TAYLOR MORRISON COMM 87724RAJ1 Feb 2026 6,787,000 -811,000 $6.7M -12.3% 0.04% DBT
625 EDISON INTERNATIONAL 281020AX5 Feb 2026 6,577,000 -771,000 $6.7M -12.1% 0.04% DBT
626 ADVANCE AUTO PARTS 00751YAE6 Feb 2026 7,132,000 -613,000 $6.7M -7.9% 0.04% DBT
627 NEWELL BRANDS INC 651229BD7 Feb 2026 6,638,000 -1,616,000 $6.6M -20.6% 0.04% DBT
628 CSC HOLDINGS LLC 126307BF3 Feb 2026 11,848,000 -744,000 $6.6M -11.6% 0.04% DBT
629 VISTAJET MALTA/VM HOLDS 92841HAA0 Feb 2026 6,674,000 -2,481,000 $6.6M -29.7% 0.04% DBT
630 ALUMINA PTY LTD 02220AAB3 Feb 2026 6,481,000 -14,000 $6.6M -1.5% 0.04% DBT
631 CHOBANI LLC/FINANCE CORP 17027NAC6 Feb 2026 6,429,000 -1,480,000 $6.6M -19.2% 0.04% DBT
632 FTAI AVIATION INVESTORS 34960PAE1 Feb 2026 6,325,000 -2,191,000 $6.6M -26.3% 0.04% DBT
633 FIBERCOP SPA 683879AH3 Feb 2026 6,548,000 -738,000 $6.6M -11.5% 0.04% DBT
634 ROCKIES EXPRESS PIPELINE 77340RAU1 Feb 2026 6,360,000 -3,000 $6.6M -1.2% 0.04% DBT
635 ASCENT RESOURCES/ARU FIN 04364VBA0 Feb 2026 6,451,000 -751,000 $6.6M -11.5% 0.04% DBT
636 DIVERSIFIED HEALTHCARE T 81721MAM1 Feb 2026 6,753,000 -1,189,000 $6.6M -15.0% 0.04% DBT
637 US FOODS INC 90290MAH4 Feb 2026 6,331,000 -2,047,000 $6.6M -24.9% 0.04% DBT
638 WILLIAMS SCOTSMAN INC 96949VAM5 Feb 2026 6,405,000 -750,000 $6.6M -11.1% 0.04% DBT
639 STARWOOD PROPERTY TRUST 85571BBC8 Feb 2026 6,506,000 -56,000 $6.6M -2.3% 0.04% DBT
640 HILCORP ENERGY I/HILCORP 431318AY0 Feb 2026 6,594,000 -769,000 $6.5M -9.6% 0.04% DBT
641 AVIS BUDGET CAR/FINANCE 053773BG1 Feb 2026 6,646,000 -193,000 $6.5M -2.0% 0.04% DBT
642 ADIENT GLOBAL HOLDINGS 00687YAB1 Feb 2026 6,418,000 -580,000 $6.5M -8.5% 0.04% DBT
643 ARCHES BUYER INC 039524AB9 Feb 2026 6,753,000 -585,000 $6.5M -5.6% 0.04% DBT
644 HILCORP ENERGY I/HILCORP 431318BE3 Feb 2026 6,518,000 -1,294,000 $6.5M -14.8% 0.04% DBT
645 DIVERSIFIED HEALTHCARE T 25525PAB3 Feb 2026 7,124,000 -316,000 $6.5M -3.2% 0.04% DBT
646 FIBERCOP SPA 683879AD2 Feb 2026 6,717,000 -299,000 $6.4M -6.3% 0.04% DBT
647 MATTAMY GROUP CORP 57701RAQ5 Feb 2026 6,749,000 -1,221,000 $6.4M -17.8% 0.04% DBT
648 GLOBAL ATLANTIC FIN CO 37959GAH0 Feb 2026 6,502,000 -245,000 $6.4M -0.1% 0.04% DBT
649 FIBERCOP SPA 683879AB6 Feb 2026 6,410,000 -421,000 $6.4M -7.5% 0.04% DBT
650 RR DONNELLEY & SONS CO 257867BK6 Feb 2026 6,203,000 -2,217,000 $6.4M -25.5% 0.04% DBT
651 HUDSON PACIFIC PROPERTIE 44409MAB2 Feb 2026 6,820,000 -554,000 $6.4M -2.4% 0.04% DBT
652 LIGHT & WONDER INTL INC 80874YBE9 Feb 2026 6,250,000 -2,530,000 $6.4M -29.0% 0.04% DBT
653 Seagate Data Storage Technology Pte Ltd 81180LAQ8 Feb 2026 6,106,000 -2,388,000 $6.4M -28.5% 0.04% DBT
654 BURFORD CAPITAL GLBL FIN 12116LAJ8 Feb 2026 7,306,000 -536,000 $6.4M -16.5% 0.04% DBT
655 LCPR SR SECURED FIN DAC 50201DAD5 Feb 2026 10,134,000 -3,125,000 $6.3M -29.3% 0.04% DBT
656 SIX FLAGS/CANADA WON 150190AE6 Feb 2026 6,542,000 -602,000 $6.3M -7.7% 0.04% DBT
657 CENTURY COMMUNITIES 156504AM4 Feb 2026 6,712,000 -483,000 $6.3M -7.6% 0.04% DBT
658 NRG ENERGY INC 629377CQ3 Feb 2026 6,628,000 -797,000 $6.3M -11.4% 0.04% DBT
659 WRANGLER HOLDCO CORP 37441QAA9 Feb 2026 6,154,000 -555,000 $6.3M -9.4% 0.04% DBT
660 CLYDESDALE ACQUISITION 18972EAC9 Feb 2026 6,422,000 -638,000 $6.3M -11.9% 0.04% DBT
661 NRG ENERGY INC 629377CS9 Feb 2026 6,840,000 -506,000 $6.3M -8.5% 0.04% DBT
662 NEWELL BRANDS INC 651229BC9 Feb 2026 6,189,000 -1,827,000 $6.3M -22.9% 0.04% DBT
663 UNITI GROUP/CSL CAPITAL 91327BAB6 Feb 2026 6,280,000 -2,687,000 $6.3M -30.0% 0.04% DBT
664 US FOODS INC 90290MAG6 Feb 2026 6,106,000 -3,855,000 $6.3M -39.0% 0.04% DBT
665 GENESIS ENERGY LP/FIN 37185LAN2 Feb 2026 5,973,000 -1,546,000 $6.3M -20.8% 0.04% DBT
666 MATCH GROUP HLD II LLC 57665RAL0 Feb 2026 6,606,000 -1,714,000 $6.2M -21.4% 0.04% DBT
667 US FOODS INC 90290MAJ0 Feb 2026 6,206,000 -390,000 $6.2M -7.7% 0.04% DBT
668 EDGEWELL PERSONAL CARE 28035QAB8 Feb 2026 6,483,000 -623,000 $6.2M -9.6% 0.04% DBT
669 GOEASY LTD 380355AH0 Feb 2026 6,317,000 -33,000 $6.2M -1.7% 0.04% DBT
670 CAMELOT RETURN MERGER SU 13323NAA0 Feb 2026 10,108,000 -398,000 $6.2M -21.8% 0.04% DBT
671 Seagate Data Storage Technology Pte Ltd 81180LAM7 Feb 2026 5,926,000 -3,559,000 $6.2M -38.1% 0.04% DBT
672 LGI HOMES INC 50187TAH9 Feb 2026 5,953,000 -1,832,000 $6.2M -24.1% 0.04% DBT
673 EUSHI FINANCE INC 29882DAB9 Feb 2026 5,903,000 -632,000 $6.1M -10.7% 0.04% DBT
674 CHARLES RIVER LABORATORI 159864AJ6 Feb 2026 6,543,000 -863,000 $6.1M -12.2% 0.04% DBT
675 AES CORP/THE 00130HCL7 Feb 2026 6,213,000 -1,229,000 $6.1M -15.0% 0.04% DBT
676 CROWN AMERICAS LLC 228180AB1 Feb 2026 6,100,000 -129,000 $6.1M -3.9% 0.04% DBT
677 TOPBUILD CORP 89055FAC7 Feb 2026 6,074,000 -313,000 $6.1M +1.0% 0.04% DBT
678 ION PLAT FIN US/SARL 46206AAF9 Feb 2026 6,653,000 -609,000 $6.1M -9.2% 0.04% DBT
679 ZIGGO BOND CO BV 98953GAD7 Feb 2026 7,003,000 -431,000 $6.1M -5.1% 0.04% DBT
680 ADIENT GLOBAL HOLDINGS 00687YAC9 Feb 2026 5,812,000 -3,029,000 $6.1M -34.5% 0.04% DBT
681 AMERICAN NATIONAL GROUP 025676AR8 Feb 2026 6,175,000 -166,000 $6.1M -3.7% 0.04% DBT
682 TALLGRASS NRG PRTNR/FIN 87470LAK7 Feb 2026 6,052,000 -101,000 $6.1M -2.5% 0.04% DBT
683 ALLISON TRANSMISSION INC 019736AH0 Feb 2026 6,023,000 -106,000 $6.0M -3.6% 0.04% DBT
684 SCOTTS MIRACLE-GRO CO 810186AX4 Feb 2026 6,462,000 -459,000 $6.0M -8.1% 0.04% DBT
685 IHO VERWALTUNGS GMBH 44963BAF5 Feb 2026 5,785,000 -1,420,000 $6.0M -21.2% 0.04% DBT
686 BURFORD CAPITAL GLBL FIN 12116LAG4 Feb 2026 6,981,000 -1,309,000 $6.0M -24.5% 0.04% DBT
687 VIRGIN MEDI O2 VI DAC 92769UAA9 Feb 2026 6,898,000 -679,000 $5.9M -14.4% 0.04% DBT
688 BUCKEYE PARTNERS LP 118230AU5 Feb 2026 5,997,000 -164,000 $5.9M -3.4% 0.04% DBT
689 SENSATA TECH INC 81728UAA2 Feb 2026 6,085,000 -517,000 $5.9M -8.4% 0.04% DBT
690 1011778 BC / NEW RED FIN 68245XAT6 Feb 2026 5,788,000 -1,424,000 $5.8M -20.4% 0.04% DBT
691 SABRE GLBL INC 78573NAN2 Feb 2026 6,568,000 -240,000 $5.8M +17.8% 0.04% DBT
692 SUNOCO LP/FINANCE CORP 86765KAA7 Feb 2026 5,663,000 -1,963,000 $5.8M -26.0% 0.04% DBT
693 CVR ENERGY INC 12662PAJ7 Feb 2026 5,777,000 -1,208,000 $5.8M -15.4% 0.04% DBT
694 AXALTA COATING SYSTEMS D 05455JAA5 Feb 2026 5,529,000 -3,726,000 $5.8M -40.9% 0.04% DBT
695 AZORRA FINANCE 05480AAC9 Feb 2026 5,954,000 -461,000 $5.8M -8.9% 0.04% DBT
696 HERTZ CORP/THE 428040DB2 Feb 2026 12,966,000 -1,382,000 $5.7M -22.9% 0.04% DBT
697 ACRISURE LLC / FIN INC 00489LAH6 Feb 2026 6,086,000 -494,000 $5.7M -6.6% 0.04% DBT
698 ALUMINA PTY LTD 02220AAA5 Feb 2026 5,592,000 -1,059,000 $5.7M -17.0% 0.04% DBT
699 STENA INTERNATIONAL SA 85858EAE3 Feb 2026 5,577,000 -29,000 $5.7M -2.5% 0.04% DBT
700 HILTON DOMESTIC OPERATIN 432833AQ4 Feb 2026 5,555,000 -1,836,000 $5.7M -25.8% 0.04% DBT
701 WILLIAMS SCOTSMAN INC 96950GAE2 Feb 2026 5,703,000 -1,879,000 $5.7M -25.0% 0.04% DBT
702 KOHL'S CORPORATION 500255AX2 Feb 2026 6,621,000 -825,000 $5.7M -10.2% 0.04% DBT
703 NOVA CHEMICALS CORP 66977WAS8 Feb 2026 5,771,000 -3,360,000 $5.6M -37.1% 0.04% DBT
704 SCRIPPS ESCROW II INC 81105DAA3 Feb 2026 6,074,000 -1,385,000 $5.6M -20.0% 0.03% DBT
705 XPO INC 98379KAB8 Feb 2026 5,438,000 -1,063,000 $5.6M -17.0% 0.03% DBT
706 MPH ACQUISITION HOLDINGS 553283AE2 Feb 2026 9,248,985 -1,692,000 $5.6M -20.7% 0.03% DBT
707 VIKING CRUISES LTD 92676XAF4 Feb 2026 5,519,000 -2,866,000 $5.5M -34.0% 0.03% DBT
708 ACADIA HEALTHCARE CO INC 00404AAN9 Feb 2026 5,519,000 -393,000 $5.5M -6.5% 0.03% DBT
709 MURPHY OIL USA INC 626738AF5 Feb 2026 5,888,000 -1,138,000 $5.5M -16.8% 0.03% DBT
710 ALLIANT HOLD / CO-ISSUER 01883LAD5 Feb 2026 5,615,000 -1,106,000 $5.5M -16.4% 0.03% DBT
711 SOUTH BOW CAN INFRA HOLD 836720AG7 Feb 2026 5,237,000 -531,000 $5.5M -8.8% 0.03% DBT
712 BURFORD CAPITAL GLBL FIN 12116LAA7 Feb 2026 5,536,000 -744,000 $5.4M -12.7% 0.03% DBT
713 MACY'S RETAIL HLDGS LLC 55617LAR3 Feb 2026 5,439,020 -1,140,980 $5.4M -17.7% 0.03% DBT
714 ENCOMPASS HEALTH CORP 29261AAE0 Feb 2026 5,577,000 -101,000 $5.4M -2.8% 0.03% DBT
715 SABRE GLBL INC 78573NAL6 Feb 2026 5,985,000 -1,146,000 $5.4M +3.0% 0.03% DBT
716 WILLIAMS SCOTSMAN INC 96949VAL7 Feb 2026 5,137,000 -2,312,000 $5.4M -31.1% 0.03% DBT
717 INEOS FINANCE PLC 44984WAH0 Feb 2026 5,315,000 -757,000 $5.3M -5.0% 0.03% DBT
718 SERVICE PROPERTIES TRUST 44106MAX0 Feb 2026 5,504,000 -182,000 $5.3M -1.3% 0.03% DBT
719 LIVE NATION ENTERTAINMEN 538034AX7 Feb 2026 5,401,000 -761,000 $5.3M -12.6% 0.03% DBT
720 COMSTOCK RESOURCES INC 205768AU8 Feb 2026 5,356,000 -1,198,000 $5.3M -19.2% 0.03% DBT
721 GOEASY LTD 380355AR8 Feb 2026 5,964,000 -90,000 $5.3M +0.9% 0.03% DBT
722 CUSHMAN & WAKEFIELD US 23166MAC7 Feb 2026 4,959,000 -1,525,000 $5.2M -23.6% 0.03% DBT
723 NORDSTROM INC 655664AY6 Feb 2026 5,673,000 -1,196,000 $5.2M -18.3% 0.03% DBT
724 ENERGIZER HOLDINGS INC 29272WAG4 Feb 2026 5,464,000 -854,000 $5.2M -15.4% 0.03% DBT
725 ASHTON WOODS USA/FINANCE 045086AP0 Feb 2026 5,464,000 -515,000 $5.2M -9.1% 0.03% DBT
726 OUTFRONT MEDIA CAP LLC/C 69007TAG9 Feb 2026 4,959,000 -3,161,000 $5.2M -39.4% 0.03% DBT
727 GARDA WORLD SECURITY 36485MAM1 Feb 2026 5,047,000 -692,000 $5.1M -12.3% 0.03% DBT
728 MERCER INTL INC 588056BB6 Feb 2026 10,625,000 -1,080,000 $5.1M -29.4% 0.03% DBT
729 BRINK'S CO/THE 109696AC8 Feb 2026 4,946,000 -78,000 $5.1M -2.0% 0.03% DBT
730 ION PLAT FIN US/SARL 46206AAA0 Feb 2026 5,241,000 -1,101,000 $5.0M -15.8% 0.03% DBT
731 LAMAR MEDIA CORP 513075CA7 Feb 2026 5,042,000 -1,815,000 $5.0M -27.5% 0.03% DBT
732 ARCOSA INC 039653AA8 Feb 2026 5,057,000 -181,000 $4.9M -4.2% 0.03% DBT
733 SM ENERGY CO 78454LAW0 Feb 2026 4,918,000 -2,121,000 $4.9M -30.4% 0.03% DBT
734 SCOTTS MIRACLE-GRO CO 810186AS5 Feb 2026 5,046,000 -528,000 $4.9M -10.5% 0.03% DBT
735 GOEASY LTD 380355AN7 Feb 2026 5,446,000 -407,000 $4.9M -5.6% 0.03% DBT
736 MERLIN ENTERTAINMENTS GR 59010UAA5 Feb 2026 5,807,000 -1,185,000 $4.9M -14.7% 0.03% DBT
737 XEROX HOLDINGS CORP 98421MAB2 Feb 2026 8,295,000 -1,550,000 $4.9M +30.6% 0.03% DBT
738 ICAHN ENTERPRISES/FIN 451102BZ9 Feb 2026 4,917,000 -15,876,000 $4.9M -76.3% 0.03% DBT
739 GOEASY LTD 380355AM9 Feb 2026 5,419,000 -335,000 $4.8M -4.8% 0.03% DBT
740 CENTRAL GARDEN & PET CO 153527AP1 Feb 2026 5,145,000 -276,000 $4.8M -6.4% 0.03% DBT
741 ASCENT RESOURCES/ARU FIN 04364VAU7 Feb 2026 4,842,000 -1,441,000 $4.8M -23.2% 0.03% DBT
742 MELCO RESORTS FINANCE 58547DAC3 Feb 2026 4,835,000 -1,205,000 $4.8M -19.9% 0.03% DBT
743 ENERGY TRANSFER LP 29273VBC3 Feb 2026 4,678,000 -1,384,000 $4.8M -23.3% 0.03% DBT
744 STUDIO CITY FINANCE LTD 86389QAF9 Feb 2026 4,822,000 -650,000 $4.8M -12.0% 0.03% DBT
745 PRA GROUP INC 69354NAE6 Feb 2026 4,710,000 -2,019,000 $4.8M -29.2% 0.03% DBT
746 RHP HOTEL PPTY/RHP FINAN 749571AJ4 Feb 2026 4,539,000 -1,762,000 $4.6M -28.3% 0.03% DBT
747 JONES DESLAURIERS INSURA 48020RAE5 Feb 2026 4,968,000 -1,576,000 $4.6M -24.1% 0.03% DBT
748 NISSAN MOTOR ACCEPTANCE 65480CAG0 Feb 2026 4,610,000 -1,115,000 $4.6M -20.1% 0.03% DBT
749 GGAM FINANCE LTD 36170JAE6 Feb 2026 4,498,000 -683,000 $4.6M -13.9% 0.03% DBT
750 GGAM FINANCE LTD 36170JAD8 Feb 2026 4,426,000 -779,000 $4.5M -15.2% 0.03% DBT
751 TEAM HEALTH HOLDINGS INC 87817AAE7 Feb 2026 4,524,000 -2,145,000 $4.5M -32.4% 0.03% DBT
752 PRESTIGE BRANDS INC 74112BAL9 Feb 2026 4,527,000 -1,858,000 $4.5M -29.2% 0.03% DBT
753 CSC HOLDINGS LLC 126307AY3 Feb 2026 13,488,000 -1,674,000 $4.5M -47.2% 0.03% DBT
754 TRONOX INC 897051AD0 Feb 2026 4,413,000 -720,000 $4.5M -11.4% 0.03% DBT
755 DISCOVERY COMMUNICATIONS 25470DBZ1 Feb 2026 5,341,000 -1,052,000 $4.4M -16.2% 0.03% DBT
756 BAUSCH HEALTH COS INC 071734AH0 Feb 2026 5,200,000 -445,000 $4.4M -10.9% 0.03% DBT
757 OLYMPUS WTR US HLDG CORP 681639AB6 Feb 2026 4,466,000 -1,543,000 $4.4M -25.6% 0.03% DBT
758 UNITED WHOLESALE MTGE LL 913229AC4 Feb 2026 4,354,000 -3,136,000 $4.3M -41.8% 0.03% DBT
759 ENTEGRIS INC 29362UAD6 Feb 2026 4,518,000 -1,472,000 $4.3M -24.8% 0.03% DBT
760 BAUSCH HEALTH COS INC 071734AM9 Feb 2026 6,036,000 -84,000 $4.2M -9.3% 0.03% DBT
761 COGENT COMMS GRP / FIN 19240CAE3 Feb 2026 4,174,000 -1,420,000 $4.2M -24.0% 0.03% DBT
762 SUNOCO LP/FINANCE CORP 86765LAN7 Feb 2026 4,114,000 -1,954,000 $4.1M -32.1% 0.03% DBT
763 TOPBUILD CORP 89055FAB9 Feb 2026 4,141,000 -928,000 $4.1M -16.2% 0.03% DBT
764 ACCENDRA HEALTH INC 690732AF9 Feb 2026 5,104,000 -1,436,000 $4.0M -5.2% 0.02% DBT
765 DIRECTV FIN LLC/COINC 25461LAA0 Feb 2026 3,814,000 -23,168,000 $3.8M -85.9% 0.02% DBT
766 DISCOVERY COMMUNICATIONS 25470DBY4 Feb 2026 5,065,000 -1,211,000 $3.8M -22.6% 0.02% DBT
767 ATI INC 01741RAN2 Feb 2026 3,602,000 -5,000,000 $3.7M -58.5% 0.02% DBT
768 NOVA CHEMICALS CORP 66977WAV1 Feb 2026 3,474,000 -122,000 $3.7M -4.5% 0.02% DBT
769 MOTION BONDCO DAC 61978XAA5 Feb 2026 3,794,000 -679,000 $3.6M -13.7% 0.02% DBT
770 ENTEGRIS INC 29362UAC8 Feb 2026 3,682,000 -690,000 $3.6M -16.2% 0.02% DBT
771 SUNOCO LP 86765KAH2 Feb 2026 3,607,000 -3,011,000 $3.6M -45.6% 0.02% DBT
772 MOTION FINCO SARL 61980LAB5 Feb 2026 4,049,000 -675,000 $3.3M -11.6% 0.02% DBT
773 ACCENDRA HEALTH INC 690732AG7 Feb 2026 5,530,000 -1,915,000 $3.3M -6.8% 0.02% DBT
774 BAUSCH HEALTH COS INC 071734AL1 Feb 2026 5,240,000 -830,000 $3.0M -24.8% 0.02% DBT
775 SAKS GLOBAL ENTERPRISES LLC 81881KAG4 Feb 2026 6,731,417 -4,898,480 $3.0M -14.6% 0.02% LON
776 GLOBAL AIR LEASE CO LTD 37960JAC2 Feb 2026 2,699,000 -15,821,000 $2.8M -85.6% 0.02% DBT
777 MERCER INTL INC 588056BC4 Feb 2026 5,258,000 -220,000 $2.7M -28.1% 0.02% DBT
778 TEVA PHARMACEUTICAL INDU 88167AAP6 Feb 2026 1,928,000 -7,923,000 $1.9M -80.4% 0.01% DBT
779 AMERIGAS PART/FIN CORP 030981AM6 Feb 2026 1,465,000 -6,507,000 $1.5M -81.8% 0.01% DBT
780 FXI HOLDINGS INC 36120RAJ8 Feb 2026 5,392,097 -1,137,945 $1.4M -61.9% 0.01% DBT
781 BRIGHTLINE EAST LLC 093536AA8 Feb 2026 12,534,000 -4,600,000 $1.1M -74.2% 0.01% DBT
782 CSC HOLDINGS LLC 126307BK2 Feb 2026 4,796,000 -2,525,000 $1.1M -58.0% 0.01% DBT
783 NUSTAR LOGISTICS LP 67059TAH8 Feb 2026 860,000 -4,399,000 $893K -83.9% 0.01% DBT
784 LEVEL 3 FINANCING INC 527298BT9 Feb 2026 400,000 -6,907,000 $388K -94.3% 0.00% DBT
785 Incora Top Holdco LLC 45338U101 Feb 2026 10,656 -192,451 $69K -94.6% 0.00% EC
786 CSC HOLDINGS LLC 126307AQ0 Feb 2026 0 -18,888,000 $0 -100.0% 0.00% DBT