Holding | Rating | % Fund |
---|---|---|
Teva | BB | 1.9% |
Cco Holdings Llc | BB | 1.9% |
First Quantum Minerals | B | 1.7% |
Navient | BB | 1.6% |
Frontier Communications Holdings Llc | BB | 1.5% |
Holding | Rating | % Fund |
---|---|---|
Genesis Energy | B | 1.4% |
Cloud Software Group | B | 1.3% |
Service Properties | BB | 1.3% |
Gray Communication Systems | BB | 1.3% |
Sirius XM Radio | BB | 1.3% |
Asset type | % Fund |
---|---|
Corporates | 95.2% |
AAA, BBB | 5.0% |
BB | 54.5% |
B | 27.1% |
CCC & below | 8.6% |
Not Rated | 0.0% |
Equity | 0.5% |
Cash & Equivalent | 2.4% |
Derivatives | 0.0% |
AAA, BBB | 0.0% |
Derivatives | 0.0% |
Equity Warrants | 0.0% |
Government Related | 0.7% |
Preferred | 0.0% |
Treasuries | 1.1% |
Sector | % Fund |
---|---|
Derivatives | 0.0% |
Equity | 0.5% |
Equity Warrants | 0.0% |
Government Related | 0.7% |
Preferred | 0.0% |
Treasuries | 1.1% |
Financial Institutions | 18.9% |
Industrial | 74.7% |
Utility | 1.6% |
Cash & equivalents | 2.4% |
Rating | % Fund |
---|---|
AAA, BBB | 6.1% |
BB | 55.2% |
B | 27.1% |
CCC & below | 8.6% |
Not Rated | 0.0% |
Preferred | 0.0% |
Equity Warrants | 0.0% |
Equity | 0.5% |
Derivatives | 0.0% |
Cash & Equivalent | 2.4% |