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Holdings (Monthly) Guide ↗

Columbia Balanced Fund

· Columbia Funds Series Trust I
Monthly Holdings $10.7B AUM 204 positions Period May 2026 Filed Jul 29, 2026 EDGAR ↗ ← All Funds
All 116 New 204 Added 353 Reduced 74 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 COLUMBIA SHORT TERM CASH FUND 19766H239 Feb 2026 436,659,187 +85,359,782 $436.5M +24.3% 4.16% STIV
2 Micron Technology Inc 595112103 Feb 2026 117,287 +59,090 $113.9M +374.5% 1.09% EC
3 TE Connectivity PLC 000000000 Feb 2026 533,351 +529,203 $113.8M +5578.5% 1.09% EC
4 Morgan Stanley 617446448 Feb 2026 464,058 +77,915 $96.5M +50.1% 0.92% EC
5 Dell Technologies Inc 24703L202 Feb 2026 228,676 +12,132 $96.3M +200.2% 0.92% EC
6 JPMorgan Chase & Co 46625H100 Feb 2026 216,159 +5,626 $64.7M +2.3% 0.62% EC
7 Palo Alto Networks Inc 697435105 Feb 2026 226,951 +90,110 $63.9M +213.7% 0.61% EC
8 Charles Schwab Corp/The 808513105 Feb 2026 689,355 +74,173 $60.2M +2.8% 0.57% EC
9 Block Inc 852234103 Feb 2026 757,013 +366,943 $57.3M +130.7% 0.55% EC
10 Walt Disney Co/The 254687106 Feb 2026 521,528 +50,064 $53.1M +6.2% 0.51% EC
11 Okta Inc 679295105 Feb 2026 385,007 +41,545 $47.5M +90.6% 0.45% EC
12 DoorDash Inc 25809K105 Feb 2026 267,735 +93,352 $42.6M +38.6% 0.41% EC
13 S&P Global Inc 78409V104 Feb 2026 99,941 +37,276 $42.4M +53.0% 0.40% EC
14 GE Vernova Inc 36828A101 Feb 2026 41,785 +8,663 $40.5M +39.8% 0.39% EC
15 Synopsys Inc 871607107 Feb 2026 81,760 +9,609 $38.9M +30.2% 0.37% EC
16 International Flavors & Fragrances Inc 459506101 Feb 2026 490,136 +133,433 $37.3M +27.1% 0.36% EC
17 PulteGroup Inc 745867101 Feb 2026 310,387 +60,957 $36.7M +7.2% 0.35% EC
18 Intercontinental Exchange Inc 45866F104 Feb 2026 220,184 +30,401 $32.6M +4.5% 0.31% EC
19 Take-Two Interactive Software Inc 874054109 Feb 2026 143,830 +44,398 $32.2M +53.3% 0.31% EC
20 IQVIA Holdings Inc 46266C105 Feb 2026 138,562 +85,450 $25.2M +165.8% 0.24% EC
21 Boston Scientific Corp 101137107 Feb 2026 464,265 +44,950 $22.4M -30.4% 0.21% EC
22 ABBOTT LABORATORIES 002824BU3 Feb 2026 7,671,000 +3,440,000 $7.5M +76.4% 0.07% DBT
23 MERCK & CO INC 58933YBZ7 Feb 2026 5,951,000 +3,502,000 $5.8M +136.2% 0.06% DBT
24 GE HEALTHCARE TECH INC 36266GAD9 Feb 2026 4,168,000 +1,646,000 $4.1M +63.2% 0.04% DBT
25 ROYAL BANK OF CANADA 78017DAC2 Feb 2026 2,374,000 +420,000 $2.4M +18.9% 0.02% DBT
26 ROYAL BANK OF CANADA 78017DAM0 Feb 2026 1,479,000 +289,000 $1.5M +21.5% 0.01% DBT
27 TRANSDIGM INC 893647BY2 Feb 2026 1,238,000 +606,000 $1.3M +93.8% 0.01% DBT
28 CCO HLDGS LLC/CAP CORP 1248EPCE1 Feb 2026 1,289,000 +435,000 $1.2M +47.3% 0.01% DBT
29 SV RNO PROPERTY OWNER 1 78488XAA2 Feb 2026 1,048,000 +309,000 $1.0M +39.4% 0.01% DBT
30 CLOUD SOFTWARE GRP INC 18912UAA0 Feb 2026 1,023,000 +199,000 $1.0M +25.9% 0.01% DBT
31 WR GRACE HOLDING LLC 92943GAA9 Feb 2026 1,009,000 +257,000 $967K +34.2% 0.01% DBT
32 MEDLINE BORROWER LP 62482BAB8 Feb 2026 940,000 +239,000 $939K +33.8% 0.01% DBT
33 1261229 BC LTD 68288AAA5 Feb 2026 896,000 +310,000 $917K +50.7% 0.01% DBT
34 MCAFEE CORP 579063AB4 Feb 2026 1,053,000 +212,000 $901K +30.9% 0.01% DBT
35 CLEARWAY ENERGY OP LLC 18539UAD7 Feb 2026 953,000 +228,000 $889K +29.4% 0.01% DBT
36 SIX FLAGS ENTERTAINME 83001AAD4 Feb 2026 879,000 +193,000 $877K +30.2% 0.01% DBT
37 ZF NA CAPITAL 98877DAG0 Feb 2026 892,000 +392,000 $875K +74.5% 0.01% DBT
38 ALLIANT HOLD / CO-ISSUER 01883LAF0 Feb 2026 861,000 +303,000 $874K +54.2% 0.01% DBT
39 ARDAGH METAL PACKAGING 03969YAB4 Feb 2026 913,000 +263,000 $865K +39.6% 0.01% DBT
40 HUB INTERNATIONAL LTD 44332PAJ0 Feb 2026 823,000 +446,000 $843K +119.2% 0.01% DBT
41 BEACH ACQUISITION BIDCO 07337JAC1 Feb 2026 732,457 +275,000 $810K +60.3% 0.01% DBT
42 ION PLAT FIN US/SARL 46206AAA0 Feb 2026 849,000 +503,000 $805K +149.0% 0.01% DBT
43 IRON MOUNTAIN INC 46284VAG6 Feb 2026 798,000 +615,000 $796K +336.2% 0.01% DBT
44 XPLR INFRAST OPERATING 98379YAA0 Feb 2026 752,000 +366,000 $794K +98.6% 0.01% DBT
45 STAR PARENT INC 855170AA4 Feb 2026 751,000 +208,000 $790K +43.4% 0.01% DBT
46 KAISER ALUMINUM CORP 483007AM2 Feb 2026 793,000 +385,000 $789K +91.2% 0.01% DBT
47 WASTE PRO USA INC 94107JAC7 Feb 2026 769,000 +382,000 $788K +95.5% 0.01% DBT
48 CRC INSURANCE GROUP LLC 69867RAA5 Feb 2026 782,000 +421,000 $784K +113.4% 0.01% DBT
49 WATCO COS LLC/FINANCE CO 941130AD8 Feb 2026 758,000 +214,000 $781K +36.5% 0.01% DBT
50 GGAM FINANCE LTD 36170JAD8 Feb 2026 760,000 +418,000 $780K +121.1% 0.01% DBT
51 ARDONAGH GROUP FINANCE 039956AA5 Feb 2026 797,000 +193,000 $778K +30.3% 0.01% DBT
52 APLD COMPUTECO LLC 00202DAA5 Feb 2026 719,000 +145,000 $776K +28.8% 0.01% DBT
53 ONEMAIN FINANCE CORP 682691AH3 Feb 2026 740,000 +312,000 $752K +71.9% 0.01% DBT
54 SIMMONS FOOD INC/SIMMONS 82873MAA1 Feb 2026 755,000 +441,000 $730K +141.4% 0.01% DBT
55 MADISON IAQ LLC 55760LAB3 Feb 2026 714,000 +244,000 $714K +52.3% 0.01% DBT
56 MARRIOTT OWNERSHIP RESOR 57164PAK2 Feb 2026 719,000 +257,000 $704K +57.4% 0.01% DBT
57 PROVIDENT FDG/PFG FIN 74387UAK7 Feb 2026 663,000 +223,000 $694K +51.5% 0.01% DBT
58 UWM HOLDINGS LLC 903522AA8 Feb 2026 714,000 +398,000 $677K +115.9% 0.01% DBT
59 CLARIV SCI HLD CORP 18064PAD1 Feb 2026 733,000 +104,000 $670K +29.7% 0.01% DBT
60 TENET HEALTHCARE CORP 88033GDW7 Feb 2026 671,000 +80,000 $668K +11.6% 0.01% DBT
61 PRIMO / TRITON WATER HLD 74168RAC7 Feb 2026 640,000 +371,000 $642K +138.5% 0.01% DBT
62 BROADSTREET PARTNERS GRP 11135RAA3 Feb 2026 644,000 +211,000 $636K +51.6% 0.01% DBT
63 ARCHES BUYER INC 039524AB9 Feb 2026 653,000 +17,000 $633K +5.5% 0.01% DBT
64 SURGERY CENTER HOLDINGS 86881WAF9 Feb 2026 630,000 +105,000 $632K +20.5% 0.01% DBT
65 ANTERO MIDSTREAM PART/FI 03690AAK2 Feb 2026 615,000 +263,000 $628K +71.8% 0.01% DBT
66 WR GRACE HOLDING LLC 92943GAF8 Feb 2026 632,000 +172,000 $627K +34.9% 0.01% DBT
67 EMRLD BOR / EMRLD CO-ISS 29103CAA6 Feb 2026 612,000 +84,000 $626K +14.5% 0.01% DBT
68 ARDONAGH FINCO LTD 039853AA4 Feb 2026 621,000 +143,000 $626K +27.8% 0.01% DBT
69 ALLIANT HOLD / CO-ISSUER 01883LAH6 Feb 2026 629,000 +254,000 $624K +67.9% 0.01% DBT
70 TRANSMONTAIGNE PARTNERS 89377AAA3 Feb 2026 602,000 +166,000 $620K +36.0% 0.01% DBT
71 WESCO DISTRIBUTION INC 95081QAS3 Feb 2026 601,000 +215,000 $617K +53.2% 0.01% DBT
72 WHITE CAP SUPPLY HOLDING 96467GAC2 Feb 2026 619,000 +245,000 $617K +62.3% 0.01% DBT
73 WEX INC 96208TAD6 Feb 2026 619,000 +294,000 $616K +88.8% 0.01% DBT
74 SC GAMES HOLDIN/US FINCO 80874DAA4 Feb 2026 707,000 +178,000 $614K +27.9% 0.01% DBT
75 HILTON GRAND VAC LLC/INC 43283QAC4 Feb 2026 601,000 +277,000 $612K +85.0% 0.01% DBT
76 SUNOCO LP 86765KAD1 Feb 2026 601,000 +236,000 $611K +62.7% 0.01% DBT
77 SNAP INC 83304AAL0 Feb 2026 611,000 +299,000 $606K +94.8% 0.01% DBT
78 VENTURE GLOBAL LNG INC 92332YAD3 Feb 2026 566,000 +409,000 $605K +263.8% 0.01% DBT
79 OLYMPUS WTR US HLDG CORP 681639AE0 Feb 2026 597,000 +334,000 $589K +125.0% 0.01% DBT
80 TRANSDIGM INC 893647BW6 Feb 2026 566,000 +377,000 $572K +197.5% 0.01% DBT
81 PENN ENTERTAINMENT INC 707569AV1 Feb 2026 586,000 +250,000 $561K +77.0% 0.01% DBT
82 NOVELIS CORP 670001AE6 Feb 2026 579,000 +180,000 $559K +44.5% 0.01% DBT
83 ONEMAIN FINANCE CORP 682691AM2 Feb 2026 570,000 +209,000 $557K +55.4% 0.01% DBT
84 LCM INVESTMENTS HOLDINGS 50190EAC8 Feb 2026 531,000 +173,000 $554K +47.0% 0.01% DBT
85 DELEK LOG PART/FINANCE 24665FAE2 Feb 2026 535,000 +14,000 $552K +2.4% 0.01% DBT
86 NCR VOYIX CORP 62886EAY4 Feb 2026 561,000 +105,000 $551K +22.9% 0.01% DBT
87 AMENTUM HOLDINGS INC 02352BAA3 Feb 2026 532,000 +161,000 $551K +41.7% 0.01% DBT
88 HUB INTERNATIONAL LTD 44332PAH4 Feb 2026 535,000 +238,000 $550K +79.6% 0.01% DBT
89 POST HOLDINGS INC 737446AY0 Feb 2026 549,000 +300,000 $545K +115.4% 0.01% DBT
90 NISSAN MOTOR CO 654922AD5 Feb 2026 512,000 +96,000 $544K +20.0% 0.01% DBT
91 NOVELIS CORP 670001AN6 Feb 2026 538,000 +335,000 $543K +164.9% 0.01% DBT
92 GENESEE & WYOMING INC 371559AB1 Feb 2026 532,000 +165,000 $540K +42.8% 0.01% DBT
93 AMERICAN AXLE & MFG INC 02406PBD1 Feb 2026 537,000 +126,000 $538K +29.0% 0.01% DBT
94 DISCOVERY HOLDINGS INC 55903VBW2 Feb 2026 732,000 +143,000 $536K +29.4% 0.01% DBT
95 CLYDESDALE ACQUISITION 18972EAB1 Feb 2026 547,000 +125,000 $526K +24.7% 0.01% DBT
96 UNITED WHOLESALE MTGE LL 913229AA8 Feb 2026 538,000 +176,000 $514K +44.8% 0.00% DBT
97 NEPTUNE BIDCO US INC 640695AA0 Feb 2026 493,000 +22,000 $504K +6.7% 0.00% DBT
98 ACRISURE LLC / FIN INC 00489LAK9 Feb 2026 511,000 +386,000 $504K +302.5% 0.00% DBT
99 POST HOLDINGS INC 737446AR5 Feb 2026 527,000 +322,000 $495K +152.3% 0.00% DBT
100 ACRISURE LLC / FIN INC 00489LAL7 Feb 2026 494,000 +304,000 $494K +155.2% 0.00% DBT
101 COREWEAVE INC 21873SAC2 Feb 2026 483,000 +263,000 $490K +130.2% 0.00% DBT
102 HIGHTOWER HOLDING LLC 43118DAA8 Feb 2026 490,000 +108,000 $488K +29.0% 0.00% DBT
103 SIX FLAGS/CAN WON/MILLEN 83003AAA8 Feb 2026 467,000 +219,000 $480K +91.5% 0.00% DBT
104 SCIENCE APPLICATIONS INT 808625AB3 Feb 2026 486,000 +230,000 $480K +89.2% 0.00% DBT
105 FERTITTA ENTERTAINMENT 31556TAC3 Feb 2026 489,000 +85,000 $477K +25.1% 0.00% DBT
106 CINEMARK USA INC 172441BF3 Feb 2026 478,000 +381,000 $476K +390.6% 0.00% DBT
107 STANDARD BUILDING SOLUTI 853191AA2 Feb 2026 468,000 +326,000 $474K +224.3% 0.00% DBT
108 PERMIAN RESOURC OPTG LLC 71424VAA8 Feb 2026 454,000 +85,000 $473K +22.2% 0.00% DBT
109 AVANTOR FUNDING INC 05352TAB5 Feb 2026 498,000 +98,000 $472K +23.9% 0.00% DBT
110 CHARLES RIVER LABORATORI 159864AG2 Feb 2026 492,000 +250,000 $471K +102.2% 0.00% DBT
111 SUNOCO LP/FINANCE CORP 86765LAZ0 Feb 2026 485,000 +307,000 $471K +170.2% 0.00% DBT
112 CHS/COMMUNITY HEALTH SYS 12543DBM1 Feb 2026 492,000 +125,000 $464K +31.5% 0.00% DBT
113 IHO VERWALTUNGS GMBH 44963BAG3 Feb 2026 440,000 +89,000 $459K +22.7% 0.00% DBT
114 ZI TECH LLC/ZI FIN CORP 98981BAA0 Feb 2026 557,000 +80,000 $437K +6.1% 0.00% DBT
115 NCL CORPORATION LTD 62886HBY6 Feb 2026 446,000 +164,000 $431K +51.6% 0.00% DBT
116 KODIAK GAS SERVICES LLC 50012LAE4 Feb 2026 415,000 +301,000 $427K +258.3% 0.00% DBT
117 HIGHTOWER HOLDING LLC 43118DAB6 Feb 2026 412,000 +50,000 $426K +13.4% 0.00% DBT
118 VIKING CRUISES LTD 92676XAH0 Feb 2026 417,000 +78,000 $417K +20.6% 0.00% DBT
119 ACADIA HEALTHCARE CO INC 00404AAQ2 Feb 2026 399,000 +72,000 $409K +21.3% 0.00% DBT
120 QUIKRETE HOLDINGS INC 74843PAB6 Feb 2026 402,000 +153,000 $408K +57.7% 0.00% DBT
121 TRANSDIGM INC 893647BS5 Feb 2026 395,000 +73,000 $407K +21.5% 0.00% DBT
122 WOLVERINE WORLD WIDE 978097AG8 Feb 2026 427,000 +85,000 $403K +24.9% 0.00% DBT
123 UKG INC 90279XAA0 Feb 2026 408,000 +69,000 $401K +22.0% 0.00% DBT
124 XPLR INFRAST OPERATING 98380MAA3 Feb 2026 374,000 +227,000 $401K +157.7% 0.00% DBT
125 NRG ENERGY INC 629377DD1 Feb 2026 402,000 +183,000 $399K +79.2% 0.00% DBT
126 ROCKET COS INC 77311WAA9 Feb 2026 391,000 +262,000 $397K +200.2% 0.00% DBT
127 BLACK PEARL COMPUTE LLC 09216NAA8 Feb 2026 390,000 +90,000 $397K +29.1% 0.00% DBT
128 CACI INTERNATIONAL INC 127190AE6 Feb 2026 387,000 +127,000 $396K +47.6% 0.00% DBT
129 BOYNE USA INC 103557AC8 Feb 2026 400,000 +149,000 $394K +58.3% 0.00% DBT
130 HEALTHEQUITY INC 42226AAA5 Feb 2026 404,000 +128,000 $393K +46.4% 0.00% DBT
131 HERC HOLDINGS INC 42704LAF1 Feb 2026 378,000 +158,000 $393K +70.5% 0.00% DBT
132 ARCHROCK SERVICES/PARTNE 03958CAA7 Feb 2026 393,000 +289,000 $392K +272.8% 0.00% DBT
133 ABC SUPPLY CO INC 024747AG2 Feb 2026 412,000 +77,000 $392K +21.0% 0.00% DBT
134 HILTON DOMESTIC OPERATIN 432833AS0 Feb 2026 388,000 +248,000 $392K +173.2% 0.00% DBT
135 FOCUS FINANCIAL PARTNERS 34417VAA5 Feb 2026 388,000 +70,000 $391K +23.0% 0.00% DBT
136 TENET HEALTHCARE CORP 88033GDK3 Feb 2026 390,000 +170,000 $391K +77.0% 0.00% DBT
137 ALBERTSONS COS/SAFEWAY 01309QAE8 Feb 2026 399,000 +142,000 $389K +51.0% 0.00% DBT
138 CAESARS ENTERTAIN INC 12769GAA8 Feb 2026 404,000 +161,000 $389K +63.9% 0.00% DBT
139 QXO BUILDING PRODUCTS 74825NAA5 Feb 2026 378,000 +104,000 $385K +35.7% 0.00% DBT
140 CLARIOS GLOBAL LP/US FIN 18060TAE5 Feb 2026 375,000 +106,000 $384K +37.6% 0.00% DBT
141 LIGHT & WONDER INTL INC 531968AB1 Feb 2026 388,000 +114,000 $384K +39.5% 0.00% DBT
142 CNX RESOURCES CORP 12653CAM0 Feb 2026 383,000 +238,000 $377K +159.5% 0.00% DBT
143 UWM HOLDINGS LLC 903522AB6 Feb 2026 408,000 +6,000 $375K -3.4% 0.00% DBT
144 WILLIAMS SCOTSMAN INC 96949VAN3 Feb 2026 364,000 +178,000 $375K +94.5% 0.00% DBT
145 CSC HOLDINGS LLC 126307AZ0 Feb 2026 627,000 +119,000 $370K +15.5% 0.00% DBT
146 NRG ENERGY INC 629377CY6 Feb 2026 365,000 +76,000 $365K +26.1% 0.00% DBT
147 AVIS BUDGET CAR/FINANCE 053773BH9 Feb 2026 362,000 +147,000 $365K +71.2% 0.00% DBT
148 HILCORP ENERGY I/HILCORP 431318BC7 Feb 2026 340,000 +166,000 $362K +97.2% 0.00% DBT
149 VENTURE GLOBAL PLAQUE 922966AF3 Feb 2026 344,000 +214,000 $359K +162.5% 0.00% DBT
150 US FOODS INC 90290MAG6 Feb 2026 348,000 +150,000 $357K +74.7% 0.00% DBT
151 MATADOR RESOURCES CO 576485AJ5 Feb 2026 360,000 +276,000 $355K +322.6% 0.00% DBT
152 RIVERS ENT BORROWER LLC 76884GAA3 Feb 2026 352,000 +156,000 $355K +77.1% 0.00% DBT
153 LEVEL 3 FINANCING INC 527298CQ4 Feb 2026 319,000 +73,000 $345K +34.6% 0.00% DBT
154 WINDSTREAM SERVICES/ESCR 97381AAA0 Feb 2026 324,000 +77,000 $342K +31.7% 0.00% DBT
155 VIRGIN MEDIA SECURED FIN 92769XAP0 Feb 2026 355,000 +96,000 $342K +35.6% 0.00% DBT
156 ACADIA HEALTHCARE CO INC 00404AAP4 Feb 2026 337,000 +101,000 $330K +42.8% 0.00% DBT
157 AVIS BUDGET CAR/FINANCE 053773BJ5 Feb 2026 316,000 +183,000 $326K +142.4% 0.00% DBT
158 LBM ACQUISITION LLC 52109SAB5 Feb 2026 383,000 +81,000 $320K +13.7% 0.00% DBT
159 VENTURE GLOBAL CALCASIEU 92328MAB9 Feb 2026 341,000 +85,000 $320K +33.2% 0.00% DBT
160 GROUP 1 AUTOMOTIVE INC 398905AQ2 Feb 2026 311,000 +128,000 $316K +68.6% 0.00% DBT
161 CHS/COMMUNITY HEALTH SYS 12543DBJ8 Feb 2026 320,000 +81,000 $316K +37.0% 0.00% DBT
162 WESCO DISTRIBUTION INC 95081QAP9 Feb 2026 314,000 +121,000 $315K +61.7% 0.00% DBT
163 ALLIANT HOLD / CO-ISSUER 01883LAD5 Feb 2026 322,000 +125,000 $314K +63.2% 0.00% DBT
164 ASBURY AUTOMOTIVE GROUP 043436AW4 Feb 2026 323,000 +112,000 $314K +51.0% 0.00% DBT
165 OLYMPUS WTR US HLDG CORP 681639AB6 Feb 2026 320,000 +132,000 $314K +69.9% 0.00% DBT
166 SUNOCO LP 86765KAE9 Feb 2026 300,000 +73,000 $313K +33.2% 0.00% DBT
167 NEWELL BRANDS INC 651229BF2 Feb 2026 315,000 +129,000 $311K +66.7% 0.00% DBT
168 ATI INC 01741RAM4 Feb 2026 313,000 +112,000 $310K +53.6% 0.00% DBT
169 USA COM PART/USA COM FIN 91740PAG3 Feb 2026 301,000 +55,000 $310K +22.0% 0.00% DBT
170 RHP HOTEL PPTY/RHP FINAN 749571AL9 Feb 2026 290,000 +150,000 $298K +104.8% 0.00% DBT
171 CAESARS ENTERTAIN INC 12769GAD2 Feb 2026 303,000 +3,000 $271K -7.5% 0.00% DBT
172 SIX FLAGS ENT/SIX FLAG 83002YAA7 Feb 2026 262,000 +61,000 $268K +31.0% 0.00% DBT
173 HERC HOLDINGS INC 42704LAK0 Feb 2026 269,000 +189,000 $267K +232.1% 0.00% DBT
174 CLEARWAY ENERGY OP LLC 18539UAC9 Feb 2026 268,000 +83,000 $266K +44.2% 0.00% DBT
175 ACRISURE LLC / FIN INC 00489LAH6 Feb 2026 274,000 +102,000 $258K +60.9% 0.00% DBT
176 CELANESE US HOLDINGS LLC 15089QAZ7 Feb 2026 245,000 +75,000 $251K +44.5% 0.00% DBT
177 ADVANCE AUTO PARTS 00751YAL0 Feb 2026 240,000 +122,000 $250K +106.4% 0.00% DBT
178 VENTURE GLOBAL PLAQUE 922966AA4 Feb 2026 225,000 +71,000 $248K +45.3% 0.00% DBT
179 NCL CORPORATION LTD 62886HBZ3 Feb 2026 256,000 +37,000 $246K +11.1% 0.00% DBT
180 ARCHROCK PARTNERS LP/FIN 03959KAD2 Feb 2026 235,000 +50,000 $241K +25.2% 0.00% DBT
181 NABORS INDUSTRIES INC 62957HAR6 Feb 2026 230,000 +25,000 $240K +13.8% 0.00% DBT
182 FLASH COMPUTE LLC 33853QAA9 Feb 2026 232,000 +46,000 $239K +25.7% 0.00% DBT
183 ADVANCE AUTO PARTS 00751YAK2 Feb 2026 233,000 +117,000 $239K +101.4% 0.00% DBT
184 CELANESE US HOLDINGS LLC 15089QAY0 Feb 2026 221,000 +76,000 $237K +52.3% 0.00% DBT
185 WULF COMPUTE LLC 982911AA7 Feb 2026 222,000 +62,000 $234K +37.9% 0.00% DBT
186 MATCH GROUP HLD II LLC 57667JAA0 Feb 2026 260,000 +238,000 $233K +1068.1% 0.00% DBT
187 OPAL BIDCO 68348BAA1 Feb 2026 229,000 +74,000 $233K +46.0% 0.00% DBT
188 CROSSCOUNTRY INTER 22757VAA8 Feb 2026 235,000 +84,000 $232K +53.8% 0.00% DBT
189 GRAY MEDIA INC 389375AN6 Feb 2026 229,000 +55,000 $226K +24.8% 0.00% DBT
190 MATCH GROUP HLD II LLC 57665RAN6 Feb 2026 209,000 +70,000 $206K +50.0% 0.00% DBT
191 CRESCENT ENERGY FINANCE 516806AK2 Feb 2026 183,000 +123,000 $189K +209.3% 0.00% DBT
192 TRANSOCEAN INTERNTNL LTD 893830BZ1 Feb 2026 178,000 +60,000 $188K +50.6% 0.00% DBT
193 HILCORP ENERGY I/HILCORP 431318AU8 Feb 2026 175,000 +72,000 $175K +69.1% 0.00% DBT
194 GRAY MEDIA INC 389375AP1 Feb 2026 173,000 +64,000 $172K +52.4% 0.00% DBT
195 SUNOCO LP 86765KAM1 Feb 2026 171,000 +64,000 $170K +58.6% 0.00% DBT
196 UNITI GROUP/CSL CAPITAL 91327CAA6 Feb 2026 153,000 +46,000 $160K +47.7% 0.00% DBT
197 COLUMBUS MCKINNON CORP 199333AK1 Feb 2026 156,000 +84,000 $158K +112.9% 0.00% DBT
198 CLYDESDALE ACQUISITION 18972EAD7 Feb 2026 156,000 +30,000 $150K +18.2% 0.00% DBT
199 CRESCENT ENERGY FINANCE 45344LAE3 Feb 2026 140,000 +75,000 $142K +120.2% 0.00% DBT
200 LBM ACQUISITION LLC 05552BAA4 Feb 2026 202,000 +57,000 $124K +12.5% 0.00% DBT
201 CRESCENT ENERGY FINANCE 45344LAD5 Feb 2026 120,000 +60,000 $123K +102.7% 0.00% DBT
202 BAUSCH HEALTH COS INC 071734AN7 Feb 2026 103,000 +87,000 $95K +541.2% 0.00% DBT
203 GRAY MEDIA INC 389286AA3 Feb 2026 121,000 +98,000 $87K +377.4% 0.00% DBT
204 BAUSCH HEALTH COS INC 071734AK3 Feb 2026 102,000 +48,000 $73K +70.2% 0.00% DBT