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Holdings (Monthly) Guide ↗

Goldman Sachs Access High Yield Corporate Bond ETF

· Goldman Sachs ETF Trust
Monthly Holdings $136M AUM 987 positions Period Feb 2026 Filed Apr 28, 2026 EDGAR ↗ ← All Funds
All 274 New 187 Added 18 Reduced 58 Exited · Feb 2026 vs Nov 2025
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Goldman Sachs Trust FGTXX Feb 2026 2,741,574 +1,507,623 $2.7M +122.2% 2.01% STIV
2 CLOUD SOFTWARE GROUP HOLDINGS INC 88632QAE3 Feb 2026 573,000 +260,000 $563K +78.7% 0.41% DBT
3 Virgin Media Secured Finance PLC 92769XAR6 Feb 2026 600,000 +400,000 $548K +196.3% 0.40% DBT
4 1261229 Bc Ltd. 68288AAA5 Feb 2026 500,000 $518K +0.0% 0.38% DBT
5 Venture Global LNG Inc. 92332YAA9 Feb 2026 472,000 +100,000 $486K +27.2% 0.36% DBT
6 Cloud Software Group Inc. 18912UAA0 Feb 2026 487,000 +190,000 $480K +56.2% 0.35% DBT
7 DISH DBS Corporation 25470XBB0 Feb 2026 450,000 $434K +3.2% 0.32% DBT
8 1011778 B.C. ULC 68245XAM1 Feb 2026 438,000 +205,000 $422K +90.2% 0.31% DBT
9 TransDigm, Inc. 893647BZ9 400,000 NEW $414K 0.30% DBT
10 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCK7 Feb 2026 442,000 +100,000 $413K +31.0% 0.30% DBT
11 Directv Financing LLC/Directv Financing Co-Obligor Inc. 25461LAD4 Feb 2026 401,000 +100,000 $412K +37.5% 0.30% DBT
12 EUSHI Finance Inc. 29882DAB9 385,000 NEW $407K 0.30% DBT
13 Mauser Packaging Solutions Holding Co. 57763RAE7 Feb 2026 389,000 +100,000 $398K +43.1% 0.29% DBT
14 ASURION LLC 045941AB7 400,000 NEW $398K 0.29% DBT
15 Venture Global Plaquemines Lng LLC 922966AD8 Feb 2026 373,000 +200,000 $398K +120.8% 0.29% DBT
16 Organon & Co 68622TAB7 Feb 2026 436,000 +200,000 $389K +97.2% 0.29% DBT
17 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPBX0 Feb 2026 380,000 +150,000 $379K +66.0% 0.28% DBT
18 Ball Corporation 058498AZ9 Feb 2026 366,000 +195,000 $379K +114.8% 0.28% DBT
19 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCN1 Feb 2026 413,000 +165,000 $378K +68.4% 0.28% DBT
20 Bombardier Inc. 097751AL5 Feb 2026 335,000 $377K +0.3% 0.28% DBT
21 ALBERTSONS COMPANIES INC 013092AE1 Feb 2026 376,000 $374K -0.5% 0.27% DBT
22 Block Inc 852234AS2 Feb 2026 359,000 +180,000 $371K +98.2% 0.27% DBT
23 CQP HOLDCO LP 12657NAA8 Feb 2026 370,000 $370K +0.9% 0.27% DBT
24 WULF Compute LLC 982911AA7 330,000 NEW $349K 0.26% DBT
25 Neptune BidCo US Inc. 640695AC6 345,000 NEW $349K 0.26% DBT
26 WarnerMedia Holdings Inc. 55903VBQ5 Feb 2026 377,000 $347K +0.1% 0.26% DBT
27 NRG Energy, Inc. 629377CH3 Feb 2026 342,000 $344K -0.2% 0.25% DBT
28 Molina Healthcare, Inc. 60855RAK6 370,000 NEW $338K 0.25% DBT
29 Quikrete Holdings Inc 74843PAA8 Feb 2026 320,000 $333K -0.4% 0.24% DBT
30 Carnival Corporation 143658BX9 Feb 2026 320,000 $331K +0.7% 0.24% DBT
31 TransDigm, Inc. 893647BV8 Feb 2026 319,000 $331K +0.0% 0.24% DBT
32 Venture Global LNG Inc. 92332YAC5 Feb 2026 307,000 +45,000 $330K +19.3% 0.24% DBT
33 Sunoco LP 86765KAJ8 335,000 NEW $330K 0.24% DBT
34 AMERICAN AIRLINES INC 00253XAB7 Feb 2026 319,000 +115,000 $324K +57.1% 0.24% DBT
35 CHS/Community Health Systems Inc 12543DBQ2 306,000 NEW $324K 0.24% DBT
36 SS&C Technologies, Inc. 78466CAC0 Feb 2026 322,000 $321K -0.1% 0.24% DBT
37 Davita Inc 23918KAS7 Feb 2026 322,000 $315K +0.6% 0.23% DBT
38 Celanese US Holdings Llc 15089QAP9 Feb 2026 299,000 +152,000 $315K +109.6% 0.23% DBT
39 Sirius Xm Radio Inc 82967NBJ6 321,000 NEW $314K 0.23% DBT
40 Carvana Co 146869AM4 Feb 2026 284,074 +100,000 $314K +50.9% 0.23% DBT
41 Navient Corporation 63938CAM0 Feb 2026 336,000 $314K -4.8% 0.23% DBT
42 Venture Global LNG Inc. 92332YAD3 Feb 2026 295,000 +150,000 $313K +106.9% 0.23% DBT
43 Venture Global LNG Inc. 92332YAB7 Feb 2026 303,000 +120,000 $312K +70.1% 0.23% DBT
44 Carvana Co 146869AN2 Feb 2026 293,900 +100,000 $307K +51.2% 0.23% DBT
45 First Quantum Minerals Ltd. 335934AX3 288,000 NEW $303K 0.22% DBT
46 Nissan Motor Acceptance Co LLC 65480CAH8 300,000 NEW $300K 0.22% DBT
47 Talen Energy Supply LLC 87422VAM0 Feb 2026 295,000 +100,000 $300K +50.7% 0.22% DBT
48 Cloud Software Group Inc. 18912UAG7 Feb 2026 315,000 +195,000 $298K +151.5% 0.22% DBT
49 HUB International Ltd. 44332PAH4 Feb 2026 287,000 +100,000 $297K +51.5% 0.22% DBT
50 ALLIANT HOLDINGS INTERMEDIATE LLC 01883LAB9 Feb 2026 299,000 $296K -0.1% 0.22% DBT
51 Viking Cruises, Ltd. 92676XAF4 Feb 2026 295,000 +195,000 $296K +193.7% 0.22% DBT
52 Rakuten Group Inc. 75102WAK4 Feb 2026 265,000 $295K -0.2% 0.22% DBT
53 Venture Global Plaquemines Lng LLC 922966AB2 Feb 2026 257,000 +75,000 $292K +43.9% 0.21% DBT
54 United Rentals (North America), Inc. 911365BG8 Feb 2026 291,000 +95,000 $291K +47.9% 0.21% DBT
55 Post Holdings Inc. 737446AR5 Feb 2026 301,000 $289K +1.7% 0.21% DBT
56 Altice France SAS 02090DAC2 296,920 NEW $288K 0.21% DBT
57 Comstock Resources, Inc. 205768AU8 Feb 2026 288,000 +155,000 $287K +116.0% 0.21% DBT
58 Alcoa Nederland Holding B.V. 013822AH4 Feb 2026 270,000 $287K +0.1% 0.21% DBT
59 EMRLD BORROWER LP 29103CAA6 Feb 2026 276,000 $286K +0.0% 0.21% DBT
60 EchoStar Corp. 278768AC0 Feb 2026 260,676 -40,000 $284K -14.3% 0.21% DBT
61 Celanese US Holdings Llc 15089QAY0 Feb 2026 263,000 +100,000 $284K +66.4% 0.21% DBT
62 PETSMART LLC 71677KAC2 Feb 2026 280,000 $284K +0.0% 0.21% DBT
63 ARDAGH METAL PACKAGING FINANCE USA LLC 03969YAB4 Feb 2026 295,000 $281K +2.4% 0.21% DBT
64 Madison IAQ LLC 55760LAA5 Feb 2026 284,000 +100,000 $281K +55.7% 0.21% DBT
65 Open Text Holdings Inc 683720AC0 Feb 2026 319,000 $280K -5.6% 0.21% DBT
66 Iqvia Inc 46266TAA6 Feb 2026 280,000 $280K +0.1% 0.21% DBT
67 Team Health Holdings Inc. 87817AAB3 Feb 2026 264,510 +105,000 $279K +64.2% 0.20% DBT
68 TransDigm, Inc. 893647BS5 Feb 2026 266,000 $277K -0.2% 0.20% DBT
69 Sunoco LP 86765KAB5 Feb 2026 266,000 $277K -0.1% 0.20% DBT
70 Olympus Water US Holding Corp. 681639AA8 Feb 2026 280,000 $273K +1.3% 0.20% DBT
71 Mineral Resources Ltd. 603051AE3 Feb 2026 258,000 +145,000 $271K +128.0% 0.20% DBT
72 Hilton Domestic Operating Co Inc. 432833AL5 Feb 2026 280,000 $270K +0.3% 0.20% DBT
73 Vistra Operations Co LLC 92840VAH5 Feb 2026 270,000 $268K +0.5% 0.20% DBT
74 Univision Communications Inc. 914906AY8 Feb 2026 259,000 $267K +0.0% 0.20% DBT
75 Venture Global Plaquemines Lng LLC 922966AC0 Feb 2026 253,000 +80,000 $267K +49.4% 0.20% DBT
76 CSC Holdings, LLC 126307AQ0 Feb 2026 315,000 $266K -2.6% 0.20% DBT
77 XPLR Infrastructure Operating Partners LP 65342QAB8 Feb 2026 266,000 $265K +1.1% 0.19% DBT
78 Novelis Corporation 670001AH9 Feb 2026 289,000 +200,000 $264K +225.6% 0.19% DBT
79 Hilton Grand Vacations Borrower Escrow LLC/ Hilton Grand Vacations Borrower Escrow Inc 43284MAB4 Feb 2026 280,000 +190,000 $264K +216.6% 0.19% DBT
80 ALLIANT HOLDINGS INTERMEDIATE LLC 01883LAF0 Feb 2026 259,000 $263K -2.6% 0.19% DBT
81 Hilton Domestic Operating Co Inc. 432833AP6 Feb 2026 257,000 +135,000 $263K +110.4% 0.19% DBT
82 Rithm Capital Corp. 64828TAB8 260,000 NEW $262K 0.19% DBT
83 CHS/Community Health Systems Inc 12543DBM1 Feb 2026 272,000 $261K +1.3% 0.19% DBT
84 1011778 B.C. ULC 68245XAH2 Feb 2026 263,000 +70,000 $261K +36.4% 0.19% DBT
85 AVIS BUDGET CAR RENTAL LLC 053773BE6 Feb 2026 260,000 $261K +0.4% 0.19% DBT
86 Cloud Software Group Inc. 18912UAC6 Feb 2026 257,000 +135,000 $259K +100.9% 0.19% DBT
87 PG&E Corporation 69331CAM0 Feb 2026 250,000 +110,000 $259K +78.3% 0.19% DBT
88 Iqvia Inc 46266TAD0 Feb 2026 250,000 $259K -0.4% 0.19% DBT
89 Avantor Funding Inc 05352TAA7 Feb 2026 260,000 $259K +0.3% 0.19% DBT
90 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCL5 Feb 2026 289,000 +60,000 $259K +28.0% 0.19% DBT
91 Sunoco LP 86765KAD1 Feb 2026 250,000 $258K +0.6% 0.19% DBT
92 American Airlines Pass Through Trust 2016-3A 023771T32 Feb 2026 252,000 +100,000 $258K +65.6% 0.19% DBT
93 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCB7 Feb 2026 258,000 +100,000 $257K +63.9% 0.19% DBT
94 Cooper-Standard Automotive Inc. 216762AH7 Feb 2026 250,000 $257K -1.7% 0.19% DBT
95 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCS0 Feb 2026 253,000 +150,000 $257K +145.3% 0.19% DBT
96 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCP6 Feb 2026 295,000 $257K +2.2% 0.19% DBT
97 Chart Industries Inc 16115QAF7 Feb 2026 246,000 +135,000 $256K +120.8% 0.19% DBT
98 MPT OPERATING PARTNERSHIP LP 55342UAQ7 Feb 2026 237,000 +50,000 $254K +28.8% 0.19% DBT
99 HUB International Ltd. 44332PAJ0 Feb 2026 249,000 +79,000 $254K +43.5% 0.19% DBT
100 W. R. Grace Holdings Llc 92943GAF8 Feb 2026 250,000 $254K +2.1% 0.19% DBT
101 CONNECT FINCO SARL 20752TAB0 Feb 2026 235,000 $250K +0.4% 0.18% DBT
102 American Axle & Manufacturing, Inc. 02406PBA7 Feb 2026 249,000 $250K +0.1% 0.18% DBT
103 Bausch Plus Lomb Corp. 071705AA5 240,000 NEW $249K 0.18% DBT
104 UNITI SERVICES LLC 97381AAA0 Feb 2026 235,000 +50,000 $248K +28.7% 0.18% DBT
105 Organon & Co 68622TAA9 Feb 2026 252,000 $248K +0.8% 0.18% DBT
106 CDI ESCROW ISSUER INC 12511VAA6 Feb 2026 246,000 $248K +0.1% 0.18% DBT
107 Perrigo Finance Unlimited Co. 71429MAC9 Feb 2026 250,000 $247K +2.3% 0.18% DBT
108 Sirius Xm Radio Inc 82967NBG2 Feb 2026 262,000 +90,000 $247K +51.7% 0.18% DBT
109 Neptune BidCo US Inc. 640695AA0 245,000 NEW $247K 0.18% DBT
110 Caesars Entertainment Inc. 12769GAC4 Feb 2026 239,000 +125,000 $244K +110.2% 0.18% DBT
111 SM ENERGY COMPANY 17888HAA1 Feb 2026 235,000 +105,000 $243K +80.8% 0.18% DBT
112 WarnerMedia Holdings Inc. 55903VBW2 Feb 2026 336,000 $242K -10.1% 0.18% DBT
113 DISH Network Corporation 25470MAG4 Feb 2026 234,000 $242K -1.3% 0.18% DBT
114 RESORTS WORLD LAS VEGAS LLC 76120HAD9 Feb 2026 235,000 $239K +2.5% 0.18% DBT
115 Rogers Communications Inc. 775109DH1 Feb 2026 225,000 +85,000 $239K +61.5% 0.18% DBT
116 STANDARD BUILDING SOLUTIONS INC 853496AH0 Feb 2026 258,000 +105,000 $239K +70.0% 0.18% DBT
117 TransDigm, Inc. 893647BT3 Feb 2026 228,000 $239K +0.0% 0.18% DBT
118 Seagate Data Storage Technology Pte. Ltd. 81180LAR6 Feb 2026 213,000 $239K -1.1% 0.18% DBT
119 CoreWeave Inc. 21873SAC2 Feb 2026 245,000 +95,000 $236K +73.9% 0.17% DBT
120 Allied Universal Holdco LLC / Allied Universal Finance Corporation 019576AD9 Feb 2026 223,000 $236K +0.6% 0.17% DBT
121 ION PLATFORM FINANCE US INC 46205QAB4 293,000 NEW $236K 0.17% DBT
122 OneMain Financial Corporation 682691AC4 Feb 2026 243,000 $235K +0.0% 0.17% DBT
123 MGM Resorts International 552953CK5 Feb 2026 228,000 $235K +0.9% 0.17% DBT
124 Kinetik Holdings LP 49461MAB6 Feb 2026 228,000 $235K +0.1% 0.17% DBT
125 Level 3 Financing, Inc. 527298CN1 Feb 2026 226,000 $234K +0.9% 0.17% DBT
126 Altice Financing S.A. 02154CAH6 Feb 2026 335,000 $233K -6.1% 0.17% DBT
127 INEOS Finance PLC 44984WAH0 250,000 NEW $233K 0.17% DBT
128 Rocket Companies Inc 77311WAC5 225,000 NEW $231K 0.17% DBT
129 NGL ENERGY OPERATING LLC 62922LAD0 Feb 2026 218,000 $230K +1.4% 0.17% DBT
130 TransDigm, Inc. 893647BY2 Feb 2026 224,000 $229K -0.4% 0.17% DBT
131 Hilton Domestic Operating Co Inc. 432833AN1 Feb 2026 245,000 +125,000 $228K +103.9% 0.17% DBT
132 UNITED RENTALS (NORTH AMERICA) INC 911363AM1 Feb 2026 236,000 +100,000 $228K +75.1% 0.17% DBT
133 Univision Communications Inc. 914906BA9 215,000 NEW $228K 0.17% DBT
134 Gen Digital Inc 668771AK4 Feb 2026 223,000 $226K -0.5% 0.17% DBT
135 Sirius Xm Radio Inc 82967NBC1 Feb 2026 225,000 +125,000 $226K +124.4% 0.17% DBT
136 Nissan Motor Co Ltd. 654744AD3 Feb 2026 237,000 $225K +1.0% 0.17% DBT
137 Sirius Xm Radio Inc 82967NBM9 245,000 NEW $224K 0.16% DBT
138 Somnigroup International Inc. 88023UAH4 Feb 2026 230,000 $224K +0.1% 0.16% DBT
139 Cleveland-Cliffs Inc 185899AP6 Feb 2026 220,000 +150,000 $224K +210.8% 0.16% DBT
140 Olympus Water US Holding Corp. 681639AE0 223,000 NEW $224K 0.16% DBT
141 Yum! Brands Inc. 988498AL5 Feb 2026 222,000 +100,000 $223K +82.4% 0.16% DBT
142 OneMain Financial Corporation 85172FAR0 Feb 2026 224,000 +100,000 $222K +79.5% 0.16% DBT
143 Bausch Health Companies Inc. 071734AR8 220,000 NEW $222K 0.16% DBT
144 JANE STREET GROUP LLC 47077WAD0 Feb 2026 220,000 $222K -1.3% 0.16% DBT
145 MPT OPERATING PARTNERSHIP LP 55342UAM6 Feb 2026 287,000 +100,000 $221K +60.0% 0.16% DBT
146 Virgin Media Secured Finance PLC 92769XAP0 Feb 2026 225,000 $220K -0.2% 0.16% DBT
147 Service Corporation International 817565CE2 Feb 2026 217,000 $219K +0.1% 0.16% DBT
148 Nissan Motor Co Ltd. 654922AD5 200,000 NEW $219K 0.16% DBT
149 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCQ4 Feb 2026 234,000 +135,000 $218K +138.9% 0.16% DBT
150 Topbuild Corporation 89055FAB9 Feb 2026 225,000 +100,000 $218K +80.7% 0.16% DBT
151 SM ENERGY COMPANY 17888HAB9 Feb 2026 207,000 $217K +1.0% 0.16% DBT
152 Tenet Healthcare Corporation 88033GDM9 Feb 2026 220,000 $217K +0.3% 0.16% DBT
153 SOTHEBY'S 83600GAA2 225,000 NEW $216K 0.16% DBT
154 Caesars Entertainment Inc. 12769GAD2 220,000 NEW $216K 0.16% DBT
155 CHS/Community Health Systems Inc 12543DBJ8 Feb 2026 223,000 +50,000 $215K +36.7% 0.16% DBT
156 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCE1 Feb 2026 225,000 $215K +1.9% 0.16% DBT
157 VZ Secured Financing BV 91845AAA3 Feb 2026 240,000 $215K -1.8% 0.16% DBT
158 ILIAD HOLDING SAS 449691AF1 Feb 2026 200,000 $214K -0.3% 0.16% DBT
159 Smyrna Ready Mix Concrete LLC 83283WAE3 Feb 2026 201,000 $214K +0.0% 0.16% DBT
160 Molina Healthcare, Inc. 60855RAM2 Feb 2026 215,000 $212K -1.6% 0.16% DBT
161 GENESIS ENERGY LP 37185LAR3 200,000 NEW $212K 0.16% DBT
162 PG&E Corporation 69331CAJ7 Feb 2026 211,000 +55,000 $211K +36.6% 0.16% DBT
163 Crescent Energy Finance LLC 45344LAE3 Feb 2026 212,000 $211K +4.5% 0.15% DBT
164 First Quantum Minerals Ltd. 335934AU9 Feb 2026 200,000 $210K +0.0% 0.15% DBT
165 Iron Mountain Inc. 46284VAN1 Feb 2026 217,000 $210K +0.9% 0.15% DBT
166 Carnival Corporation 143658CA8 Feb 2026 202,000 $210K +1.5% 0.15% DBT
167 Rocket Software Inc 77314EAB4 Feb 2026 215,000 $209K -5.7% 0.15% DBT
168 Crescent Energy Finance LLC 45344LAD5 206,000 NEW $209K 0.15% DBT
169 Fiesta Purchaser Inc. 31659AAA4 Feb 2026 202,000 +100,000 $209K +94.5% 0.15% DBT
170 SCIH Salt Holdings Inc. 78433BAB4 Feb 2026 208,000 $208K -0.6% 0.15% DBT
171 ARCHROCK PARTNERS LP 03959KAD2 Feb 2026 200,000 $208K +1.5% 0.15% DBT
172 Kioxia Holdings Corp. 49726JAA6 Feb 2026 200,000 $208K +1.0% 0.15% DBT
173 SBA Communications Corp. 78410GAG9 Feb 2026 215,000 +115,000 $208K +117.0% 0.15% DBT
174 StoneX Escrow Issuer LLC 86189AAA7 Feb 2026 200,000 $208K -0.2% 0.15% DBT
175 Axalta Coating Systems LLC 05453GAC9 Feb 2026 215,000 $207K -0.8% 0.15% DBT
176 NOVA Chemicals Corp. 66977WAU3 Feb 2026 194,000 +100,000 $207K +105.2% 0.15% DBT
177 WarnerMedia Holdings Inc. 55903VBY8 Feb 2026 208,000 $207K +2.1% 0.15% DBT
178 CITIBANK NA 683879AH3 Feb 2026 200,000 $207K +2.1% 0.15% DBT
179 Garda World Security Corporation 36485MAP4 Feb 2026 201,000 +50,000 $207K +33.4% 0.15% DBT
180 Clydesdale Acquisition Holdings Inc. 18972EAB1 Feb 2026 207,000 +75,000 $206K +55.8% 0.15% DBT
181 W. R. Grace Holdings Llc 92943GAA9 215,000 NEW $206K 0.15% DBT
182 CoreWeave Inc. 21873SAB4 Feb 2026 209,000 +25,000 $206K +20.6% 0.15% DBT
183 Toledo Hospital 889184AC1 Feb 2026 202,000 $206K -0.4% 0.15% DBT
184 GLOBAL AUTO HOLDINGS LTD 00033YAA4 Feb 2026 200,000 $205K -0.2% 0.15% DBT
185 Burford Capital Global Finance LLC 12116LAE9 Feb 2026 200,000 $205K -2.0% 0.15% DBT
186 Charles River Laboratories International, Inc. 159864AJ6 Feb 2026 215,000 $203K +0.4% 0.15% DBT
187 Tenet Healthcare Corporation 88033GDW7 200,000 NEW $202K 0.15% DBT
188 FMG Resources (August 2006) Pty Ltd. 30251GBC0 Feb 2026 208,000 $202K +0.5% 0.15% DBT
189 Vistra Operations Co LLC 92840VAB8 Feb 2026 202,000 +100,000 $202K +98.0% 0.15% DBT
190 Allison Transmission Inc. 019736AG2 Feb 2026 211,000 $201K +1.9% 0.15% DBT
191 Quikrete Holdings Inc 74843PAB6 Feb 2026 193,000 +63,000 $201K +47.6% 0.15% DBT
192 Hertz Corp. 428040DC0 Feb 2026 218,000 $201K -7.8% 0.15% DBT
193 Nustar Logistics, L.P. 67059TAE5 Feb 2026 198,000 $200K +0.2% 0.15% DBT
194 Allison Transmission Inc. 019736AE7 Feb 2026 200,000 +100,000 $200K +100.8% 0.15% DBT
195 Cablevision Lightpath Llc 12687GAB5 Feb 2026 200,000 $200K +1.8% 0.15% DBT
196 Brightstar Lottery PLC 460599AE3 Feb 2026 200,000 $200K -0.4% 0.15% DBT
197 Lamb Weston Holdings Inc 513272AD6 Feb 2026 205,000 +100,000 $199K +95.2% 0.15% DBT
198 ALLIED UNIVERSAL HOLDCO LLC 019576AC1 Feb 2026 200,000 $199K +1.5% 0.15% DBT
199 TransDigm, Inc. 893647BP1 Feb 2026 199,000 $199K +0.8% 0.15% DBT
200 Amsted Industries Incorporated 032177AJ6 Feb 2026 200,000 +100,000 $198K +101.5% 0.15% DBT
201 Freedom Mortgage Holdings LLC 35641AAA6 Feb 2026 189,000 +100,000 $198K +110.6% 0.15% DBT
202 NRG Energy, Inc. 629377CX8 Feb 2026 191,000 $198K +0.7% 0.15% DBT
203 ALLIED UNIVERSAL HOLDCO LLC 019579AA9 Feb 2026 200,000 $198K +0.5% 0.15% DBT
204 Pennymac Financial Services Inc 70932MAH0 Feb 2026 200,000 $198K -4.5% 0.15% DBT
205 VZ Secured Financing BV 91845AAB1 200,000 NEW $197K 0.15% DBT
206 Match Group Holdings II LLC 57667JAA0 Feb 2026 218,000 $197K -1.0% 0.14% DBT
207 Sensata Technologies BV 81725WAK9 200,000 NEW $197K 0.14% DBT
208 GLOBAL PARTNERS LP 37954FAJ3 195,000 NEW $197K 0.14% DBT
209 LCM Investments Holdings II LLC 50190EAA2 Feb 2026 199,000 $197K +0.6% 0.14% DBT
210 GO DADDY OPERATING CO LLC 38016LAA3 Feb 2026 197,000 +100,000 $197K +102.1% 0.14% DBT
211 Newell Brands Inc. 651229BC9 Feb 2026 193,000 +100,000 $196K +110.1% 0.14% DBT
212 Wesco Distribution, Inc. 95081QAQ7 Feb 2026 189,000 $194K -0.2% 0.14% DBT
213 Paramount Global 92553PBC5 Feb 2026 235,000 +125,000 $194K +81.6% 0.14% DBT
214 US Foods Inc 90290MAD3 Feb 2026 195,000 $194K -0.1% 0.14% DBT
215 Ashton Woods (USA) LLC/Ashton Woods Finance Co. 045086AM7 200,000 NEW $194K 0.14% DBT
216 COMMUNITY HEALTH SYSTEMS INC 12543DBN9 Feb 2026 179,000 -48,000 $194K -20.8% 0.14% DBT
217 Gray Media Inc. 389375AM8 Feb 2026 181,000 +80,000 $194K +78.2% 0.14% DBT
218 Ardagh Group SA / Ardagh Packaging Finance PLC 03969UAA4 200,000 NEW $194K 0.14% DBT
219 Bausch Health Companies Inc. 071734AK3 Feb 2026 244,000 +70,000 $194K +34.7% 0.14% DBT
220 Sunrise Finco l B.V 90320BAA7 Feb 2026 200,000 $194K +1.1% 0.14% DBT
221 ACRISURE LLC 00489LAL7 Feb 2026 190,000 +100,000 $194K +106.1% 0.14% DBT
222 JEFFERIES FINANCE LLC 47232MAF9 Feb 2026 200,000 $193K +1.4% 0.14% DBT
223 The Scotts Miracle-Gro Company 810186AW6 Feb 2026 203,000 $193K +1.7% 0.14% DBT
224 OUTFRONT MEDIA CAPITAL LLC (CBS OUTDOOR AMERICAS CAPITAL LLC) 69007TAC8 Feb 2026 196,000 +90,000 $193K +86.3% 0.14% DBT
225 Nissan Motor Acceptance Co LLC 65480CAD7 Feb 2026 205,000 +100,000 $192K +98.6% 0.14% DBT
226 Herc Holdings Inc 42704LAK0 191,000 NEW $192K 0.14% DBT
227 United Wholesale Mortgage LLC 913229AA8 195,000 NEW $192K 0.14% DBT
228 Williams Scotsman Inc. 96949VAM5 Feb 2026 185,000 $191K -0.1% 0.14% DBT
229 CVS Health Corp 126650EG1 Feb 2026 183,000 $191K +0.7% 0.14% DBT
230 Altice France SAS 02090DAE8 197,947 NEW $191K 0.14% DBT
231 Clear Channel Outdoor Holdings Inc. 18453HAC0 Feb 2026 189,000 +55,000 $191K +41.7% 0.14% DBT
232 Advance Auto Parts Inc. 00751YAG1 Feb 2026 213,000 $190K +3.6% 0.14% DBT
233 Univision Communications Inc. 914906AV4 Feb 2026 200,000 +95,000 $190K +90.2% 0.14% DBT
234 FERTITTA ENTERTAINMENT LLC 31556TAA7 Feb 2026 197,000 +115,000 $190K +140.2% 0.14% DBT
235 Motion Bondco Designated Activity Company 61978XAA5 200,000 NEW $190K 0.14% DBT
236 Altice France SAS 02090DAD0 Feb 2026 197,947 +47,947 $190K +29.6% 0.14% DBT
237 Ziggo B.V. 98955DAA8 200,000 NEW $189K 0.14% DBT
238 1011778 B.C. ULC 68245XAJ8 Feb 2026 189,000 $189K +0.3% 0.14% DBT
239 R.R. Donnelley & Sons Co. 257867BJ9 Feb 2026 183,000 $188K +0.4% 0.14% DBT
240 Osaic Holdings Inc. 00791GAB3 Feb 2026 185,000 +105,000 $187K +126.5% 0.14% DBT
241 Clydesdale Acquisition Holdings Inc. 18972EAD7 184,000 NEW $186K 0.14% DBT
242 Zayo Group Holdings Inc 98919VAC9 190,000 NEW $186K 0.14% DBT
243 Transocean International Ltd. 893830BY4 Feb 2026 178,000 +85,000 $186K +96.3% 0.14% DBT
244 Service Properties Trust 81761LAD4 Feb 2026 177,000 +65,000 $186K +68.5% 0.14% DBT
245 NCL Corporation Ltd. 62886HBG5 Feb 2026 173,000 $185K +0.7% 0.14% DBT
246 Herc Holdings Inc 42704LAG9 Feb 2026 175,000 $185K -0.1% 0.14% DBT
247 ROCKET MORTGAGE LLC 77313LAB9 Feb 2026 200,000 $185K -0.3% 0.14% DBT
248 CVS Health Corp 126650EH9 Feb 2026 174,000 $182K -0.2% 0.13% DBT
249 CSC Holdings, LLC 126307AS6 Feb 2026 250,000 $181K -1.4% 0.13% DBT
250 Telecom Italia Capital S.A. 87927VAR9 Feb 2026 163,000 $181K +2.0% 0.13% DBT
251 Davita Inc 23918KAT5 Feb 2026 193,000 $181K +0.9% 0.13% DBT
252 Whirlpool Corp. 963320BA3 Feb 2026 190,000 $181K -0.8% 0.13% DBT
253 Kennedy Wilson Inc 489399AN5 186,000 NEW $180K 0.13% DBT
254 DISH DBS Corporation 25470XBE4 Feb 2026 185,000 $180K -0.6% 0.13% DBT
255 Adapthealth Llc 00653VAA9 180,000 NEW $180K 0.13% DBT
256 Light & Wonder International Inc. 531968AA3 Feb 2026 172,000 $180K -0.5% 0.13% DBT
257 WYNN LAS VEGAS LLC 983130AX3 Feb 2026 179,000 $180K -0.1% 0.13% DBT
258 Snap Inc 83304AAL0 180,000 NEW $179K 0.13% DBT
259 Service Properties Trust 81761LAC6 Feb 2026 170,000 $179K -0.1% 0.13% DBT
260 AES Corp. 00130HCK9 Feb 2026 176,000 $178K -1.0% 0.13% DBT
261 RHP HOTEL PROPERTIES LP 749571AK1 Feb 2026 171,000 $177K +0.1% 0.13% DBT
262 Chord Energy Corp. 674215AN8 170,000 NEW $177K 0.13% DBT
263 Arsenal AIC Parent LLC 04288BAC4 Feb 2026 160,000 +50,000 $176K +45.6% 0.13% DBT
264 Tegna Inc 87901JAJ4 Feb 2026 176,000 $176K +0.8% 0.13% DBT
265 Gen Digital Inc 668771AM0 175,000 NEW $175K 0.13% DBT
266 CVR Energy Inc. 12662PAJ7 178,000 NEW $175K 0.13% DBT
267 Boyd Gaming Corporation 103304BU4 Feb 2026 174,000 +100,000 $174K +135.7% 0.13% DBT
268 XPO CNW INC 12612WAB0 Feb 2026 160,000 +150,000 $174K +1518.6% 0.13% DBT
269 NOVA Chemicals Corp. 66977WAR0 Feb 2026 173,000 $174K +0.1% 0.13% DBT
270 US Foods Inc 90290MAE1 Feb 2026 175,000 +100,000 $174K +134.8% 0.13% DBT
271 NRG Energy, Inc. 629377CR1 Feb 2026 183,000 $174K +1.5% 0.13% DBT
272 Clarivate Science Holdings Corp. 18064PAC3 Feb 2026 185,000 +120,000 $173K +175.1% 0.13% DBT
273 Clean Harbors, Inc. 184496AQ0 Feb 2026 169,000 $173K -0.4% 0.13% DBT
274 Service Corporation International 817565CH5 Feb 2026 170,000 $173K -0.1% 0.13% DBT
275 Block Inc 852234AP8 Feb 2026 184,000 $173K +0.3% 0.13% DBT
276 Yum! Brands Inc. 988498AR2 Feb 2026 170,000 $173K +0.2% 0.13% DBT
277 Fair Isaac Corporation 303250AG9 170,000 NEW $173K 0.13% DBT
278 Compass Group Diversified Holdings LLC 20451RAB8 Feb 2026 184,109 -30,000 $172K -12.5% 0.13% DBT
279 Nexstar Media Inc. 65343HAA9 Feb 2026 172,000 $172K +0.1% 0.13% DBT
280 Williams Scotsman Inc. 96949VAN3 Feb 2026 165,000 +115,000 $171K +230.8% 0.13% DBT
281 Service Properties Trust 44106MAX0 180,000 NEW $171K 0.13% DBT
282 Caesars Entertainment Inc. 12769GAA8 Feb 2026 174,000 $171K +3.8% 0.13% DBT
283 1011778 B.C. ULC 68245XAR0 165,000 NEW $171K 0.13% DBT
284 Univision Communications Inc. 914906AZ5 Feb 2026 166,000 $171K -0.7% 0.13% DBT
285 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCD3 Feb 2026 176,000 $170K +1.4% 0.13% DBT
286 Tenet Healthcare Corporation 88033GDB3 Feb 2026 170,000 $170K +0.1% 0.12% DBT
287 Cleveland-Cliffs Inc 18683KAC5 200,000 NEW $170K 0.12% DBT
288 Fortress Transportation & Infrastructure Investors LLC 34960PAD3 Feb 2026 169,000 $169K -0.4% 0.12% DBT
289 Wrangler Holdco Corp. 37441QAA9 Feb 2026 162,000 $169K -0.6% 0.12% DBT
290 Navient Corporation 78442FAZ1 Feb 2026 205,000 +100,000 $169K +78.5% 0.12% DBT
291 SUBURBAN PROPANE PARTNERS LP 864486AM7 170,000 NEW $169K 0.12% DBT
292 Yum! Brands Inc. 988498AP6 Feb 2026 170,000 $169K -0.1% 0.12% DBT
293 Virgin Media Finance PLC 92769VAJ8 200,000 NEW $169K 0.12% DBT
294 Live Nation Entertainment, Inc. 538034AR0 Feb 2026 168,000 $169K +0.2% 0.12% DBT
295 ARCHROCK PARTNERS LP 03959KAC4 Feb 2026 168,000 +75,000 $168K +80.0% 0.12% DBT
296 Iron Mountain Inc. 46284VAE1 Feb 2026 168,000 +120,000 $168K +250.0% 0.12% DBT
297 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCV3 165,000 NEW $168K 0.12% DBT
298 ANTERO MIDSTREAM PARTNERS LP 03690AAK2 Feb 2026 162,000 $168K +0.1% 0.12% DBT
299 VISTAJET MALTA FINANCE PLC 92840JAD1 Feb 2026 165,000 $166K -0.5% 0.12% DBT
300 Amwins Group Inc 031921AB5 Feb 2026 170,000 $166K -0.3% 0.12% DBT
301 ASCENT RESOURCES UTICA HOLDINGS LLC 04364VAU7 Feb 2026 165,000 $166K +0.1% 0.12% DBT
302 GoEasy Limited 380355AH0 Feb 2026 166,000 $165K -3.6% 0.12% DBT
303 1011778 B.C. ULC 68245XAP4 Feb 2026 171,000 $165K -0.5% 0.12% DBT
304 Clearway Energy Operating LLC 18539UAC9 165,000 NEW $165K 0.12% DBT
305 XPO Inc 98379KAB8 Feb 2026 158,000 $165K -0.5% 0.12% DBT
306 Bausch Health Companies Inc. 071734AN7 Feb 2026 177,000 $164K +1.8% 0.12% DBT
307 Post Holdings Inc. 737446AX2 Feb 2026 160,000 +100,000 $164K +169.0% 0.12% DBT
308 Tenet Healthcare Corporation 88033GAV2 Feb 2026 150,000 +100,000 $164K +200.3% 0.12% DBT
309 Discovery Communications, LLC 25470DCC1 Feb 2026 168,000 $164K +4.6% 0.12% DBT
310 Staples, Inc. 855030AQ5 Feb 2026 177,000 $164K -6.3% 0.12% DBT
311 MICHAELS COMPANIES INC (THE) 55916AAB0 Feb 2026 162,000 +25,000 $163K +31.4% 0.12% DBT
312 Jefferson Capital Holdings LLC 472481AB6 155,000 NEW $163K 0.12% DBT
313 OneMain Financial Corporation 682691AA8 Feb 2026 176,000 +45,000 $163K +32.2% 0.12% DBT
314 LD Holdings Group LLC 521088AD6 Feb 2026 170,000 +50,000 $162K +37.7% 0.12% DBT
315 NCL Corporation Ltd. 62886HBZ3 Feb 2026 160,000 $162K +2.6% 0.12% DBT
316 Archrock Services LP / Archrock Partners Finance Corp. 03958CAA7 160,000 NEW $162K 0.12% DBT
317 Credit Acceptance Corporation of Michigan 225310AS0 Feb 2026 162,000 $161K -0.1% 0.12% DBT
318 Hudson Pacific Properties LP 44409MAA4 Feb 2026 169,000 $161K -0.3% 0.12% DBT
319 PRIME SECURITY SERVICES BORROWER LLC 74166MAF3 Feb 2026 162,000 $160K +0.9% 0.12% DBT
320 Cleveland-Cliffs Inc 185899AR2 Feb 2026 155,000 $160K -0.6% 0.12% DBT
321 Nabors Industries, Inc. 62957HAP0 Feb 2026 152,000 $160K +0.1% 0.12% DBT
322 United States Steel Corporation 912909AD0 Feb 2026 150,000 +100,000 $159K +198.6% 0.12% DBT
323 Tenet Healthcare Corporation 88033GDK3 Feb 2026 159,000 $159K -0.2% 0.12% DBT
324 Sonic Automotive, Inc. 83545GBE1 163,000 NEW $158K 0.12% DBT
325 Axon Enterprise Inc 05464CAD3 Feb 2026 152,000 +100,000 $158K +191.6% 0.12% DBT
326 HOWARD HUGHES CORP (THE) 44267DAF4 Feb 2026 165,000 $157K +0.1% 0.12% DBT
327 Venture Global LNG Inc. 92332YAE1 155,000 NEW $157K 0.12% DBT
328 LifePoint Health, Inc 53219LAY5 Feb 2026 145,000 $157K +0.8% 0.12% DBT
329 Rogers Communications Inc. 775109DG3 Feb 2026 150,000 $157K +0.6% 0.12% DBT
330 Pennymac Financial Services Inc 70932MAE7 Feb 2026 152,000 $157K -1.8% 0.12% DBT
331 GENESIS ENERGY LP 37185LAP7 Feb 2026 150,000 $157K +0.1% 0.12% DBT
332 JANE STREET GROUP LLC 47077WAC2 Feb 2026 150,000 $156K -1.3% 0.11% DBT
333 Tenet Healthcare Corporation 88033GDU1 Feb 2026 150,000 $156K -0.2% 0.11% DBT
334 FERRELLGAS FINANCE CORP 315292AU6 150,000 NEW $156K 0.11% DBT
335 Caesars Entertainment Inc. 12769GAB6 Feb 2026 152,000 $156K -1.4% 0.11% DBT
336 PARK INTERMEDIATE HOLDINGS LLC 70052LAC7 Feb 2026 158,000 $155K +1.2% 0.11% DBT
337 Wesco Distribution, Inc. 95081QAR5 Feb 2026 149,000 $155K -0.5% 0.11% DBT
338 ZF North America Capital, Inc. 98877DAD7 150,000 NEW $155K 0.11% DBT
339 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCT8 150,000 NEW $155K 0.11% DBT
340 TransDigm, Inc. 893647BR7 Feb 2026 152,000 $155K -0.4% 0.11% DBT
341 ICAHN ENTERPRISES LP 451102CC9 Feb 2026 180,000 +100,000 $154K +122.4% 0.11% DBT
342 ZF North America Capital, Inc. 98877DAE5 150,000 NEW $154K 0.11% DBT
343 Radiology Partners Inc. 75041VAE4 150,000 NEW $154K 0.11% DBT
344 Travel Plus Leisure Co 98310WAN8 Feb 2026 150,000 +50,000 $152K +50.2% 0.11% DBT
345 ZF North America Capital, Inc. 98877DAF2 Feb 2026 150,000 $152K +4.0% 0.11% DBT
346 United Rentals (North America), Inc. 911365BP8 Feb 2026 160,000 +50,000 $152K +46.6% 0.11% DBT
347 Uniti Service LLC/ Uniti Group Finance 2019 Inc/CSL Capital LLC 91327BAA8 Feb 2026 155,000 +25,000 $152K +22.0% 0.11% DBT
348 CSC Holdings, LLC 126307BH9 Feb 2026 250,000 $151K +5.7% 0.11% DBT
349 ALLIANT HOLDINGS INTERMEDIATE LLC 01883LAG8 150,000 NEW $151K 0.11% DBT
350 FERTITTA ENTERTAINMENT LLC 31556TAC3 Feb 2026 160,000 $151K +0.5% 0.11% DBT
351 Boyd Gaming Corporation 103304BV2 Feb 2026 154,000 +100,000 $151K +185.5% 0.11% DBT
352 Performance Food Group Inc 71376LAF7 Feb 2026 146,000 +43,000 $151K +41.9% 0.11% DBT
353 ZF North America Capital, Inc. 98877DAG0 Feb 2026 150,000 $151K +6.4% 0.11% DBT
354 Global Infrastructure Solutions Inc. 37960XAA5 Feb 2026 150,000 $150K +0.1% 0.11% DBT
355 ALBERTSONS COMPANIES INC 01309QAD0 150,000 NEW $150K 0.11% DBT
356 Smyrna Ready Mix Concrete LLC 85236FAA1 Feb 2026 150,000 $150K -0.6% 0.11% DBT
357 DISH DBS Corporation 25470XBD6 Feb 2026 168,000 $150K +5.6% 0.11% DBT
358 CSC Holdings, LLC 126307BF3 Feb 2026 250,000 $149K +6.2% 0.11% DBT
359 FMC Corp. 302491AY1 200,000 NEW $149K 0.11% DBT
360 Huntsman International LLC 44701QBG6 Feb 2026 155,000 +105,000 $149K +230.7% 0.11% DBT
361 OneMain Financial Corporation 682691AM2 Feb 2026 150,000 +100,000 $149K +194.8% 0.11% DBT
362 Teleflex Incorporated 879369AF3 Feb 2026 149,000 $148K -0.4% 0.11% DBT
363 Mauser Packaging Solutions Holding Co. 57763RAF4 149,000 NEW $147K 0.11% DBT
364 Coinbase Global Inc 19260QAC1 Feb 2026 154,000 +100,000 $147K +188.6% 0.11% DBT
365 Permian Resources Operating, LLC 71424VAA8 Feb 2026 140,000 $147K +0.6% 0.11% DBT
366 Nordstrom, Inc. 655664AR1 Feb 2026 194,000 +60,000 $146K +46.7% 0.11% DBT
367 Marriott Ownership Resorts Inc 57164PAK2 150,000 NEW $146K 0.11% DBT
368 Kaiser Aluminium Corporation 483007AL4 Feb 2026 150,000 $146K +1.2% 0.11% DBT
369 Ball Corporation 058498AW6 Feb 2026 156,000 $145K +0.7% 0.11% DBT
370 iHeartCommunications Inc 45174HBM8 Feb 2026 181,500 +50,000 $145K +28.8% 0.11% DBT
371 Iron Mountain Inc. 46284VAJ0 Feb 2026 145,000 +45,000 $145K +45.4% 0.11% DBT
372 Post Holdings Inc. 737446AY0 142,000 NEW $145K 0.11% DBT
373 Hologic Inc 436440AP6 Feb 2026 145,000 $144K +0.4% 0.11% DBT
374 ANYWHERE REAL ESTATE GROUP LLC 75606DAL5 Feb 2026 146,000 $144K +2.1% 0.11% DBT
375 Firstcash Inc 33767DAB1 Feb 2026 146,000 $144K -0.4% 0.11% DBT
376 E.W. SCRIPPS COMPANY (THE) 81105DAA3 Feb 2026 153,000 $144K +0.9% 0.11% DBT
377 Clear Channel Outdoor Holdings Inc. 18453HAD8 Feb 2026 142,000 +50,000 $144K +57.3% 0.11% DBT
378 ACRISURE LLC 00489LAF0 150,000 NEW $143K 0.11% DBT
379 HILTON GRAND VACATIONS BORROWER ESCROW LLC 43283QAC4 Feb 2026 140,000 $143K +0.4% 0.11% DBT
380 Commercial Metals Company 201723AP8 150,000 NEW $143K 0.10% DBT
381 ATI Inc 01741RAH5 Feb 2026 142,000 $142K +0.0% 0.10% DBT
382 GEO Group Inc 36162JAG1 Feb 2026 136,000 $142K -1.2% 0.10% DBT
383 Sinclair Television Group, Inc. 829259BH2 Feb 2026 136,000 $142K +0.1% 0.10% DBT
384 Adient Global Holdings Ltd 00687YAC9 135,000 NEW $141K 0.10% DBT
385 Novelis Corporation 670001AE6 Feb 2026 145,000 $141K +0.9% 0.10% DBT
386 Sensata Technologies Inc 81728UAB0 Feb 2026 149,000 $141K +0.7% 0.10% DBT
387 Tenet Healthcare Corporation 88033GDH0 Feb 2026 141,000 +55,000 $141K +63.9% 0.10% DBT
388 Whirlpool Corp. 963320BE5 141,000 NEW $141K 0.10% DBT
389 Millrose Properties Inc. 601137AA0 Feb 2026 137,000 $140K +0.5% 0.10% DBT
390 Owens Brockway Glass Container Inc. 69073TAT0 140,000 NEW $140K 0.10% DBT
391 Gray Media Inc. 389286AA3 Feb 2026 177,000 $140K +4.6% 0.10% DBT
392 CHS/Community Health Systems Inc 12543DBK5 Feb 2026 152,000 +80,000 $140K +117.6% 0.10% DBT
393 Clearway Energy Operating LLC 18539UAD7 Feb 2026 147,000 $140K +2.2% 0.10% DBT
394 Snap Inc 83304AAM8 Feb 2026 140,000 $139K -2.9% 0.10% DBT
395 Equipmentshare Com Inc. 29450YAB5 Feb 2026 130,000 +85,000 $139K +199.4% 0.10% DBT
396 Weatherford International Ltd Bermuda 947075AU1 Feb 2026 136,000 $139K +0.5% 0.10% DBT
397 Hilton Domestic Operating Co Inc. 432833AF8 Feb 2026 139,000 +100,000 $139K +255.5% 0.10% DBT
398 ACRISURE LLC 00489LAM5 Feb 2026 139,000 $139K -4.2% 0.10% DBT
399 HERBALIFE INTERNATIONAL INC 40390DAC9 Feb 2026 144,000 +50,000 $139K +55.6% 0.10% DBT
400 Whirlpool Corp. 963320AY2 164,000 NEW $137K 0.10% DBT
401 Bread Financial Holdings Inc 018581AQ1 134,000 NEW $137K 0.10% DBT
402 Encompass Health Corporation 29261AAB6 Feb 2026 137,000 $136K -0.1% 0.10% DBT
403 OneMain Financial Corporation 682691AJ9 135,000 NEW $136K 0.10% DBT
404 American Axle & Manufacturing, Inc. 02406PBB5 Feb 2026 139,000 +45,000 $136K +51.3% 0.10% DBT
405 PARK INTERMEDIATE HOLDINGS LLC 70052LAB9 Feb 2026 135,000 $135K +0.1% 0.10% DBT
406 McGraw-Hill Education Inc. 57767XAA8 Feb 2026 135,000 $135K -0.1% 0.10% DBT
407 Terex Corporation 880779BB8 Feb 2026 131,000 $135K +0.4% 0.10% DBT
408 Goodyear Tire & Rubber Co. The 382550BR1 140,000 NEW $134K 0.10% DBT
409 ALLIANT HOLDINGS INTERMEDIATE LLC 01883LAA1 Feb 2026 133,000 $133K -0.4% 0.10% DBT
410 Spirit AeroSystems Inc 85205TAK6 Feb 2026 132,000 +100,000 $133K +312.7% 0.10% DBT
411 Clydesdale Acquisition Holdings Inc. 18972EAC9 131,000 NEW $133K 0.10% DBT
412 South Bow Canadian Infrastructure Holdings Ltd. 836720AJ1 Feb 2026 125,000 $133K +0.1% 0.10% DBT
413 United Rentals (North America), Inc. 911365BR4 Feb 2026 127,000 $133K -0.4% 0.10% DBT
414 ACRISURE LLC 00489LAH6 Feb 2026 142,000 +50,000 $133K +46.3% 0.10% DBT
415 Uniti Service LLC/ Uniti Group Finance 2019 Inc/CSL Capital LLC 91327BAB6 Feb 2026 132,000 $132K +1.5% 0.10% DBT
416 RHP HOTEL PROPERTIES LP 749571AG0 Feb 2026 134,000 $132K +0.5% 0.10% DBT
417 VISTAJET MALTA FINANCE PLC 92841HAA0 Feb 2026 128,000 +45,000 $132K +53.7% 0.10% DBT
418 Tenet Healthcare Corporation 88033GDQ0 Feb 2026 129,000 $132K -0.1% 0.10% DBT
419 Staples, Inc. 855030AS1 Feb 2026 185,000 +105,000 $131K +106.5% 0.10% DBT
420 Ryan Specialty LLC 78351GAA3 130,000 NEW $131K 0.10% DBT
421 Olin Corporation 680665AK2 Feb 2026 134,000 +50,000 $131K +58.5% 0.10% DBT
422 Directv Financing LLC/Directv Financing Co-Obligor Inc. 25461LAA0 Feb 2026 130,000 $130K +0.0% 0.10% DBT
423 BIG RIVER STEEL LLC 08949LAB6 Feb 2026 130,000 $130K +0.1% 0.10% DBT
424 Match Group Holdings II LLC 57665RAN6 Feb 2026 131,000 +90,000 $130K +219.5% 0.10% DBT
425 Avient Corporation 05368VAA4 Feb 2026 126,000 $130K -0.2% 0.10% DBT
426 STANDARD INDUSTRIES LTD 853496AD9 130,000 NEW $130K 0.10% DBT
427 Live Nation Entertainment, Inc. 538034AX7 Feb 2026 131,000 +80,000 $129K +158.5% 0.10% DBT
428 Wynn Resorts Finance Llc / Wynn Resorts Capital Corp 983133AC3 Feb 2026 119,000 $129K +0.2% 0.09% DBT
429 Goodyear Tire & Rubber Co. The 382550BG5 Feb 2026 129,000 $129K +0.1% 0.09% DBT
430 STANDARD BUILDING SOLUTIONS INC 853496AG2 Feb 2026 133,000 +25,000 $129K +22.7% 0.09% DBT
431 Flash Compute LLC 33853QAA9 125,000 NEW $128K 0.09% DBT
432 Coinbase Global Inc 19260QAD9 Feb 2026 147,000 +85,000 $128K +132.8% 0.09% DBT
433 Builders Firstsource, Inc. 12008RAP2 Feb 2026 133,000 $127K +0.5% 0.09% DBT
434 1011778 B.C. ULC 68245XAT6 125,000 NEW $127K 0.09% DBT
435 Rocket Companies Inc 77311WAB7 Feb 2026 123,000 $127K -1.4% 0.09% DBT
436 Zayo Group Holdings Inc 98919VAD7 140,000 NEW $127K 0.09% DBT
437 Vail Resorts, Inc. 91879QAQ2 125,000 NEW $127K 0.09% DBT
438 Kennedy Wilson Inc 489399AM7 Feb 2026 130,000 $127K +1.8% 0.09% DBT
439 Freedom Mortgage Holdings LLC 35641AAB4 Feb 2026 122,000 +50,000 $126K +63.5% 0.09% DBT
440 Discovery Communications, LLC 25470DBZ1 Feb 2026 150,000 +50,000 $126K +40.8% 0.09% DBT
441 Ncl Finance Limited 62888HAA7 Feb 2026 122,000 +100,000 $126K +458.6% 0.09% DBT
442 Travel Plus Leisure Co 894164AA0 Feb 2026 128,000 +25,000 $126K +24.9% 0.09% DBT
443 Equipmentshare Com Inc. 29450YAC3 Feb 2026 118,000 +65,000 $126K +131.3% 0.09% DBT
444 MICHAELS COMPANIES INC (THE) 55916AAA2 Feb 2026 125,000 +25,000 $126K +32.5% 0.09% DBT
445 Wesco Distribution, Inc. 95081QAP9 Feb 2026 124,000 $125K -0.5% 0.09% DBT
446 TransDigm, Inc. 893647BQ9 Feb 2026 125,000 $125K +0.4% 0.09% DBT
447 Arches Buyer Inc 039524AB9 Feb 2026 132,000 +60,000 $125K +76.3% 0.09% DBT
448 ASCENT RESOURCES UTICA HOLDINGS LLC 04364VBA0 120,000 NEW $125K 0.09% DBT
449 Getty Images Inc. 374276AM5 Feb 2026 140,000 +60,000 $125K +61.8% 0.09% DBT
450 Sealed Air Corp. 81211KAK6 Feb 2026 120,000 -95,000 $124K -45.2% 0.09% DBT
451 Cleveland-Cliffs Inc 185899AL5 Feb 2026 130,000 +100,000 $123K +332.8% 0.09% DBT
452 Fortress Transportation & Infrastructure Investors LLC 34960PAE1 Feb 2026 116,000 $123K -0.4% 0.09% DBT
453 LBM Acquisition LLC 05552BAA4 Feb 2026 160,000 +80,000 $123K +71.0% 0.09% DBT
454 BROOKFIELD RESIDENTIAL PROPERTIES ULC 11283YAD2 Feb 2026 130,000 +60,000 $122K +87.5% 0.09% DBT
455 Ashland Inc. 044209AM6 Feb 2026 115,000 $121K +1.8% 0.09% DBT
456 UWN Holdings LLC 903522AB6 125,000 NEW $121K 0.09% DBT
457 Sinclair Television Group, Inc. 829259BG4 110,000 NEW $121K 0.09% DBT
458 USA COMPRESSION PARTNERS LP 91740PAG3 Feb 2026 117,000 $121K -0.6% 0.09% DBT
459 Bath & Body Works Inc 501797AL8 Feb 2026 118,000 $121K +2.1% 0.09% DBT
460 Wynn Resorts Finance Llc / Wynn Resorts Capital Corp 983133AA7 Feb 2026 119,000 $120K +0.0% 0.09% DBT
461 Sabre Financial Borrower LLC 78573XAA8 124,000 NEW $120K 0.09% DBT
462 CASCADES INC 14739LAB8 120,000 NEW $120K 0.09% DBT
463 NRG Energy, Inc. 629377CQ3 Feb 2026 124,000 $119K +0.9% 0.09% DBT
464 GENESIS ENERGY LP 37185LAQ5 Feb 2026 114,000 $119K +1.6% 0.09% DBT
465 OneMain Financial Corporation 682691AB6 Feb 2026 120,000 $118K -0.1% 0.09% DBT
466 Asbury Automotive Group, Inc. 043436AX2 Feb 2026 121,000 $118K +0.1% 0.09% DBT
467 Yum! Brands Inc. 988498AN1 Feb 2026 124,000 $118K +0.1% 0.09% DBT
468 Rockies Express Pipeline LLC 77340RAR8 Feb 2026 118,000 $118K -0.5% 0.09% DBT
469 ATI Inc 01741RAN2 Feb 2026 112,000 +70,000 $117K +164.1% 0.09% DBT
470 CP Atlas Buyer Inc. 12597YAC3 Feb 2026 117,000 $117K -1.1% 0.09% DBT
471 Diversified Healthcare Trust 25525PAB3 Feb 2026 129,000 +60,000 $117K +91.7% 0.09% DBT
472 CALUMET SPECIALTY PRODUCTS PARTNERS LP 131477BA8 110,000 NEW $117K 0.09% DBT
473 Cornerstone Building Brands Inc 13323NAA0 Feb 2026 154,000 $117K -9.4% 0.09% DBT
474 Transocean International Ltd. 893830AT6 120,000 NEW $117K 0.09% DBT
475 Pennymac Financial Services Inc 70932MAC1 Feb 2026 119,000 $116K -3.3% 0.09% DBT
476 Talos Prodtn Inc 87485LAE4 Feb 2026 109,000 +25,000 $116K +30.5% 0.09% DBT
477 Brandywine Operating Partnership L.P. 105340AS2 Feb 2026 109,000 $116K -2.1% 0.09% DBT
478 MPH Acquisition Holdings LLC 553283AE2 Feb 2026 180,675 +65,675 $116K +14.6% 0.08% DBT
479 HOWARD HUGHES CORP (THE) 44267DAE7 Feb 2026 119,000 $115K +0.0% 0.08% DBT
480 SUNOCO LP 86765LAN7 115,000 NEW $115K 0.08% DBT
481 Iron Mountain Inc. 46284VAL5 115,000 NEW $115K 0.08% DBT
482 The Chemours Company LLC 163851AF5 Feb 2026 114,000 $115K +3.5% 0.08% DBT
483 Cushman & Wakefield U S Borrower LLC 23166MAA1 Feb 2026 114,000 $115K -0.6% 0.08% DBT
484 Bristow Group Inc 11040GAA1 115,000 NEW $115K 0.08% DBT
485 Goodyear Tire & Rubber Co. The 382550BK6 Feb 2026 120,000 $114K +1.3% 0.08% DBT
486 The Gap Inc. 364760AQ1 Feb 2026 122,000 $114K +0.5% 0.08% DBT
487 CVR Energy Inc. 12662PAD0 Feb 2026 114,000 +64,000 $114K +130.9% 0.08% DBT
488 Carnival Corporation 143658BY7 110,000 NEW $114K 0.08% DBT
489 Taylor Morrison Communities Inc 87724RAK8 110,000 NEW $114K 0.08% DBT
490 Buckeye Partners LP 118230AU5 Feb 2026 114,000 $114K +0.1% 0.08% DBT
491 Radiology Partners Inc. 75041VAC8 Feb 2026 120,624 +70,624 $113K +133.2% 0.08% DBT
492 GEO Group Inc 36162JAH9 Feb 2026 105,000 $113K -1.7% 0.08% DBT
493 Commercial Metals Company 201723AV5 110,000 NEW $113K 0.08% DBT
494 Sunoco LP 86765KAK5 115,000 NEW $113K 0.08% DBT
495 Cnx Midstream Partners Lp 12654AAA9 115,000 NEW $113K 0.08% DBT
496 Diversified Healthcare Trust 25525PAE7 Feb 2026 108,000 +35,000 $112K +51.6% 0.08% DBT
497 California Resources Corporation 13057QAL1 110,000 NEW $112K 0.08% DBT
498 SM ENERGY COMPANY 17888HAC7 105,000 NEW $111K 0.08% DBT
499 Rockies Express Pipeline LLC 77340RAM9 Feb 2026 108,000 $111K -1.0% 0.08% DBT
500 AMN Healthcare Inc. 00175PAD5 110,000 NEW $111K 0.08% DBT
501 TransAlta Corporation 89346DAL1 110,000 NEW $111K 0.08% DBT
502 Match Group Holdings II LLC 57665RAJ5 110,000 NEW $111K 0.08% DBT
503 SBA Communications Corp. 78410GAD6 Feb 2026 111,000 $111K +0.0% 0.08% DBT
504 Enova International Inc. 29357KAH6 Feb 2026 104,000 $110K +0.0% 0.08% DBT
505 Pitney Bowes Inc. 724479AP5 110,000 NEW $110K 0.08% DBT
506 PRA Group Inc. 69354NAD8 Feb 2026 119,000 $110K +0.1% 0.08% DBT
507 Patrick Industries Inc. 703343AD5 110,000 NEW $110K 0.08% DBT
508 CHS/Community Health Systems Inc 12543DBL3 Feb 2026 123,000 +45,000 $109K +67.4% 0.08% DBT
509 Prestige Brands, Inc. 74112BAM7 Feb 2026 116,000 $109K +1.1% 0.08% DBT
510 Rockies Express Pipeline LLC 77340RAD9 100,000 NEW $109K 0.08% DBT
511 PERMIAN RESOURCES OPERATING LLC 27034RAA1 Feb 2026 108,000 $109K -0.7% 0.08% DBT
512 Wayfair LLC 94419NAB3 Feb 2026 103,000 +25,000 $108K +30.3% 0.08% DBT
513 Clear Channel Outdoor Holdings Inc. 18453HAH9 Feb 2026 100,000 $108K +2.6% 0.08% DBT
514 Discovery Communications, LLC 25470DBY4 135,000 NEW $108K 0.08% DBT
515 Trinet Group Inc 896288AC1 110,000 NEW $107K 0.08% DBT
516 AMERIGAS PARTNERS LP 030981AP9 Feb 2026 100,000 $107K +1.3% 0.08% DBT
517 Arbor Realty Senior Incorporated 03881NAJ6 115,000 NEW $107K 0.08% DBT
518 Entegris Inc 29362UAC8 Feb 2026 107,000 $106K +1.1% 0.08% DBT
519 StoneX Group Inc 861896AA6 100,000 NEW $106K 0.08% DBT
520 Central Parent Inc. / Central Merger Sub Inc. 15477CAA3 Feb 2026 167,000 +50,000 $106K +9.6% 0.08% DBT
521 Mohegan Escrow Issuer LLC 60832QAB6 100,000 NEW $106K 0.08% DBT
522 ATI Inc 01741RAM4 105,000 NEW $106K 0.08% DBT
523 Chart Industries Inc 16115QAG5 Feb 2026 100,000 $106K -1.3% 0.08% DBT
524 ATI Inc 01741RAL6 105,000 NEW $105K 0.08% DBT
525 Rakuten Group Inc. 75102WAG3 Feb 2026 100,000 $105K -2.2% 0.08% DBT
526 AMN Healthcare Inc. 00175PAC7 110,000 NEW $105K 0.08% DBT
527 Equipmentshare Com Inc. 29450YAA7 Feb 2026 100,000 $105K +2.4% 0.08% DBT
528 ViaSat, Inc. 92552VAN0 Feb 2026 106,000 $105K +1.5% 0.08% DBT
529 Enova International Inc. 29357KAK9 100,000 NEW $105K 0.08% DBT
530 Arcosa Inc 039653AC4 100,000 NEW $105K 0.08% DBT
531 Lamar Media Corp. 513075BZ3 Feb 2026 111,000 $105K +0.4% 0.08% DBT
532 Starwood Property Trust, Inc. 85571BBB0 Feb 2026 100,000 $105K -1.4% 0.08% DBT
533 Carnival Corporation 143658BZ4 100,000 NEW $105K 0.08% DBT
534 ADT Security Corp. 00109LAA1 Feb 2026 107,000 +25,000 $105K +31.0% 0.08% DBT
535 Wesco Distribution, Inc. 95081QAS3 100,000 NEW $104K 0.08% DBT
536 Hightower Holding LLC 43118DAB6 100,000 NEW $104K 0.08% DBT
537 Rocket Companies Inc 77311WAD3 100,000 NEW $104K 0.08% DBT
538 McGraw-Hill Education Inc. 57767XAB6 105,000 NEW $104K 0.08% DBT
539 CHOBANI LLC 17027NAC6 Feb 2026 100,000 $104K -0.2% 0.08% DBT
540 New Home Company Inc 645370AG2 100,000 NEW $104K 0.08% DBT
541 Talos Prodtn Inc 87485LAD6 100,000 NEW $104K 0.08% DBT
542 Jones Deslauriers Insurance Management Inc. 48020RAB1 100,000 NEW $104K 0.08% DBT
543 RRD Inter Holdings Inc. 780934AA3 Feb 2026 100,590 +62,297 $104K +163.3% 0.08% DBT
544 DELEK LOGISTICS PARTNERS LP 24665FAE2 100,000 NEW $104K 0.08% DBT
545 Axon Enterprise Inc 05464CAC5 100,000 NEW $103K 0.08% DBT
546 Tenet Healthcare Corporation 88033GDV9 100,000 NEW $103K 0.08% DBT
547 Permian Resources Operating, LLC 71424VAB6 Feb 2026 100,000 $103K +0.9% 0.08% DBT
548 US Foods Inc 90290MAG6 Feb 2026 100,000 $103K -0.1% 0.08% DBT
549 Owens Brockway Glass Container Inc. 69073TAV5 Feb 2026 102,000 $103K +0.1% 0.08% DBT
550 Acadia Healthcare Company, Inc. 00404AAQ2 100,000 NEW $103K 0.08% DBT
551 ALBERTSONS COMPANIES INC 01309QAB4 100,000 NEW $103K 0.08% DBT
552 MGM Resorts International 552953CJ8 100,000 NEW $103K 0.08% DBT
553 NCL Corporation Ltd. 62886HBP5 100,000 NEW $103K 0.08% DBT
554 Starwood Property Trust, Inc. 85571BBC8 100,000 NEW $103K 0.08% DBT
555 HILCORP ENERGY I LP 431318AV6 Feb 2026 105,000 $103K +3.3% 0.08% DBT
556 TALLGRASS ENERGY PARTNERS LP 87470LAJ0 Feb 2026 101,000 $102K +1.4% 0.08% DBT
557 Resideo Funding Inc. 76119LAD3 Feb 2026 100,000 $102K -0.1% 0.08% DBT
558 Entegris Inc 29365BAB9 Feb 2026 100,000 $102K +0.1% 0.08% DBT
559 Hilton Domestic Operating Co Inc. 432833AS0 100,000 NEW $102K 0.08% DBT
560 Beazer Homes USA Inc. 07556QBU8 Feb 2026 100,000 $102K +0.4% 0.08% DBT
561 Station Casinos LLC 857691AJ8 100,000 NEW $102K 0.08% DBT
562 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPCU5 100,000 NEW $102K 0.08% DBT
563 Garda World Security Corporation 36485MAN9 100,000 NEW $102K 0.08% DBT
564 Cobra Acquisitionco LLC 19106CAB2 Feb 2026 100,000 $102K +1.2% 0.08% DBT
565 ION PLATFORM FINANCE US INC 46206AAF9 110,000 NEW $102K 0.08% DBT
566 Advanced Drainage System Inc 00790RAB0 100,000 NEW $102K 0.08% DBT
567 Post Holdings Inc. 737446AV6 100,000 NEW $102K 0.08% DBT
568 Lithia Motors Incorporated 536797AG8 Feb 2026 105,000 $102K +0.6% 0.07% DBT
569 PBF HOLDING CO LLC 69318FAM0 Feb 2026 96,000 +35,000 $102K +58.1% 0.07% DBT
570 Block Inc 852234AT0 100,000 NEW $102K 0.07% DBT
571 Uniti Service LLC / Uniti Fiber Holdings Inc. / Uniti Group Finance 2019 Inc. / CSL Capital LLC 91327TAC5 Feb 2026 100,000 $102K +5.6% 0.07% DBT
572 Vistra Operations Co LLC 92840VAP7 Feb 2026 96,000 $102K -0.5% 0.07% DBT
573 Alpha Generation LLC 02073LAC5 100,000 NEW $102K 0.07% DBT
574 SIX FLAGS ENTERTAINMENT CORP 83003AAA8 100,000 NEW $101K 0.07% DBT
575 TransAlta Corporation 89346DAE7 Feb 2026 100,000 $101K +0.6% 0.07% DBT
576 Prospect Capital Corp. 74348TAW2 Feb 2026 114,000 $101K -0.1% 0.07% DBT
577 ANTERO MIDSTREAM PARTNERS LP 03690AAM8 100,000 NEW $101K 0.07% DBT
578 E.W. SCRIPPS COMPANY (THE) 81105DAB1 130,000 NEW $101K 0.07% DBT
579 EUSHI Finance Inc. 29882DAC7 100,000 NEW $101K 0.07% DBT
580 Builders Firstsource, Inc. 12008RAR8 Feb 2026 98,000 $101K -1.1% 0.07% DBT
581 PRA Group Inc. 69354NAE6 Feb 2026 100,000 $101K -1.1% 0.07% DBT
582 AVIS BUDGET CAR RENTAL LLC 053773BF3 Feb 2026 105,000 +25,000 $101K +30.1% 0.07% DBT
583 Starwood Property Trust, Inc. 85571BBF1 100,000 NEW $101K 0.07% DBT
584 Crescent Energy Finance LLC 45344LAH6 100,000 NEW $101K 0.07% DBT
585 United Rentals (North America), Inc. 911365BS2 100,000 NEW $101K 0.07% DBT
586 PBF HOLDING CO LLC 69318FAL2 100,000 NEW $101K 0.07% DBT
587 GFL Environmental Holdings (US) Inc. 36273TAA8 100,000 NEW $100K 0.07% DBT
588 Light & Wonder International Inc. 531968AB1 100,000 NEW $100K 0.07% DBT
589 SM Energy Co. 78454LAW0 Feb 2026 100,000 $100K -0.6% 0.07% DBT
590 WEEKLEY HOMES LLC 948565AF3 100,000 NEW $100K 0.07% DBT
591 NRG Energy, Inc. 629377CY6 100,000 NEW $100K 0.07% DBT
592 PRIMO WATER HOLDINGS INC 74168RAC7 100,000 NEW $100K 0.07% DBT
593 Directv Financing LLC/Directv Financing Co-Obligor Inc. 25461LAB8 100,000 NEW $100K 0.07% DBT
594 Darling Ingredients, Inc 237266AH4 Feb 2026 100,000 $100K +0.3% 0.07% DBT
595 MGM Resorts International 552953CH2 100,000 NEW $100K 0.07% DBT
596 Newell Brands Inc. 651229BD7 Feb 2026 98,000 $100K +3.5% 0.07% DBT
597 NRG Energy, Inc. 629377CE0 100,000 NEW $100K 0.07% DBT
598 Forestar Group Inc. 346232AE1 100,000 NEW $100K 0.07% DBT
599 Blue Racer Midstream, LLC / Blue Racer Finance Corp 095796AJ7 Feb 2026 96,000 $100K -0.2% 0.07% DBT
600 Murphy Oil Corporation 626717AP7 100,000 NEW $100K 0.07% DBT
601 PG&E Corporation 69331CAH1 100,000 NEW $100K 0.07% DBT
602 OneMain Financial Corporation 682691AN0 100,000 NEW $100K 0.07% DBT
603 Asbury Automotive Group, Inc. 043436AU8 100,000 NEW $100K 0.07% DBT
604 Shea Homes Limited Partnership 82088KAK4 100,000 NEW $100K 0.07% DBT
605 Marriott Ownership Resorts Inc 57164PAF3 Feb 2026 100,000 $99K +1.7% 0.07% DBT
606 AVIS BUDGET CAR RENTAL LLC 053773BH9 100,000 NEW $99K 0.07% DBT
607 CCO Holdings, LLC/ CCO Holdings Capital Corp. 1248EPBT9 Feb 2026 99,000 -230,000 $99K -69.8% 0.07% DBT
608 Starwood Property Trust, Inc. 85571BAY1 100,000 NEW $99K 0.07% DBT
609 DPL Inc. 233293AQ2 100,000 NEW $99K 0.07% DBT
610 GFL Environmental Inc. 36168QAL8 Feb 2026 100,000 $99K +0.3% 0.07% DBT
611 HILCORP ENERGY I LP 431318AY0 100,000 NEW $99K 0.07% DBT
612 Matador Resources Company 576485AH9 Feb 2026 97,000 $99K +1.7% 0.07% DBT
613 Arcosa Inc 039653AA8 100,000 NEW $99K 0.07% DBT
614 Tenet Healthcare Corporation 88033GDR8 100,000 NEW $99K 0.07% DBT
615 Brandywine Operating Partnership L.P. 105340AQ6 100,000 NEW $99K 0.07% DBT
616 GFL Environmental Inc. 36168QAP9 100,000 NEW $98K 0.07% DBT
617 Freedom Mortgage Corporation 35640YAL1 Feb 2026 90,000 $98K -1.8% 0.07% DBT
618 MPT OPERATING PARTNERSHIP LP 55342UAH7 Feb 2026 100,000 $98K +1.4% 0.07% DBT
619 Murphy Oil Corporation 626717AG7 Feb 2026 111,000 +30,000 $98K +39.2% 0.07% DBT
620 TALLGRASS ENERGY PARTNERS LP 87470LAD3 Feb 2026 98,000 $98K -0.1% 0.07% DBT
621 Bath & Body Works Inc 501797AR5 Feb 2026 96,000 $98K -0.2% 0.07% DBT
622 Ryan Specialty LLC 78351MAA0 100,000 NEW $98K 0.07% DBT
623 Commercial Metals Company 201723AQ6 100,000 NEW $97K 0.07% DBT
624 Compass Group Diversified Holdings LLC 20451RAC6 110,000 NEW $97K 0.07% DBT
625 FERRELLGAS ESCROW LLC 315289AC2 Feb 2026 100,000 +50,000 $97K +103.1% 0.07% DBT
626 Open Text Corp 683715AC0 Feb 2026 101,000 $97K -1.9% 0.07% DBT
627 AMC Networks Inc 00164VAG8 Feb 2026 90,000 $97K +2.3% 0.07% DBT
628 ADT Security Corp. 74166NAA2 Feb 2026 99,000 $97K +0.4% 0.07% DBT
629 M/I Homes Inc. 55305BAV3 100,000 NEW $96K 0.07% DBT
630 Twilio Inc 90138FAC6 100,000 NEW $96K 0.07% DBT
631 Pennymac Financial Services Inc 70932MAB3 100,000 NEW $96K 0.07% DBT
632 ROCKET MORTGAGE LLC 74841CAA9 100,000 NEW $96K 0.07% DBT
633 Goto Group Inc. 38349YAA3 120,000 NEW $96K 0.07% DBT
634 Lamar Media Corp. 513075BR1 Feb 2026 97,000 $96K +0.4% 0.07% DBT
635 KB Home 48666KAZ2 Feb 2026 100,000 $96K +1.3% 0.07% DBT
636 Nissan Motor Acceptance Co LLC 654740BT5 100,000 NEW $95K 0.07% DBT
637 Post Holdings Inc. 737446AQ7 Feb 2026 97,000 $95K +0.8% 0.07% DBT
638 Sabre GLBL Inc. 78573NAL6 Feb 2026 130,000 -28,000 $95K -31.7% 0.07% DBT
639 HILCORP ENERGY I LP 431318BE3 Feb 2026 97,000 $95K +4.2% 0.07% DBT
640 HILCORP ENERGY I LP 431318BC7 Feb 2026 90,000 $95K +2.7% 0.07% DBT
641 Topbuild Corporation 89055FAC7 100,000 NEW $95K 0.07% DBT
642 Iron Mountain Inc. 46284VAP6 Feb 2026 92,000 $95K +0.2% 0.07% DBT
643 GFL Environmental Inc. 36168QAQ7 Feb 2026 90,000 $95K +0.2% 0.07% DBT
644 Brandywine Operating Partnership L.P. 105340AP8 100,000 NEW $94K 0.07% DBT
645 DELEK LOGISTICS PARTNERS LP 24665FAD4 Feb 2026 90,000 $94K -0.4% 0.07% DBT
646 Kodiak Gas Services LLC 50012LAD6 Feb 2026 91,000 $94K +0.9% 0.07% DBT
647 GFL Environmental Inc. 36168QAN4 Feb 2026 94,000 $94K -0.4% 0.07% DBT
648 LBM Acquisition LLC 52109SAB5 100,000 NEW $94K 0.07% DBT
649 CLARIOS GLOBAL LP 18060TAD7 Feb 2026 89,000 $94K +1.2% 0.07% DBT
650 Bath & Body Works Inc 501797AM6 Feb 2026 93,000 $93K +1.5% 0.07% DBT
651 Advance Auto Parts Inc. 00751YAE6 Feb 2026 100,000 $93K +2.0% 0.07% DBT
652 Carnival Corporation 143658CB6 Feb 2026 92,000 $93K +0.7% 0.07% DBT
653 Kodiak Gas Services LLC 50012LAC8 90,000 NEW $93K 0.07% DBT
654 Graphic Packaging International LLC 38869AAE7 Feb 2026 92,000 $93K -0.9% 0.07% DBT
655 Bausch Health Companies Inc. 071734AQ0 Feb 2026 89,000 $93K -0.2% 0.07% DBT
656 Vermilion Energy Inc. 923725AE5 Feb 2026 95,000 +35,000 $93K +63.1% 0.07% DBT
657 WarnerMedia Holdings Inc. 55903VBC6 110,000 NEW $93K 0.07% DBT
658 Standard Building Solutions Inc. 853191AC8 Feb 2026 91,000 $93K -0.7% 0.07% DBT
659 CSC Holdings, LLC 126307BA4 Feb 2026 240,000 $93K +3.3% 0.07% DBT
660 Station Casinos LLC 857691AG4 Feb 2026 93,000 $93K +1.0% 0.07% DBT
661 LGI Homes Inc 50187TAF3 Feb 2026 100,000 $93K +2.8% 0.07% DBT
662 Viking Cruises, Ltd. 92676XAG2 Feb 2026 87,000 $93K -0.6% 0.07% DBT
663 ION PLATFORM FINANCE US INC 46206AAC6 100,000 NEW $93K 0.07% DBT
664 Nabors Industries, Inc. 62957HAQ8 Feb 2026 89,000 +50,000 $93K +141.9% 0.07% DBT
665 V.F. Corp 918204AT5 Feb 2026 93,000 $92K +4.5% 0.07% DBT
666 ICAHN ENTERPRISES LP 451102BZ9 Feb 2026 93,000 $92K +0.4% 0.07% DBT
667 Hilton Domestic Operating Co Inc. 432833AJ0 Feb 2026 94,000 $92K +0.3% 0.07% DBT
668 ICAHN ENTERPRISES LP 451102CF2 Feb 2026 93,000 $92K -1.5% 0.07% DBT
669 TALLGRASS ENERGY PARTNERS LP 87470LAK7 Feb 2026 91,000 $92K +1.9% 0.07% DBT
670 Level 3 Financing, Inc. 527298BT9 Feb 2026 98,000 $92K +5.1% 0.07% DBT
671 Arches Buyer Inc 039524AA1 Feb 2026 94,000 $91K -1.5% 0.07% DBT
672 Transocean International Ltd. 893830BZ1 Feb 2026 86,000 +50,000 $91K +150.4% 0.07% DBT
673 LifePoint Health, Inc 53219LAU3 Feb 2026 93,000 $91K +0.8% 0.07% DBT
674 Mattamy Group Corp 57701RAM4 Feb 2026 93,000 $91K +0.8% 0.07% DBT
675 Bombardier Inc. 097751CC3 Feb 2026 86,000 $91K -0.1% 0.07% DBT
676 ASCENT RESOURCES UTICA HOLDINGS LLC 04364VAK9 75,000 NEW $90K 0.07% DBT
677 Trinet Group Inc 896288AA5 100,000 NEW $90K 0.07% DBT
678 ALLIANT HOLDINGS INTERMEDIATE LLC 01883LAE3 Feb 2026 89,000 $90K -1.1% 0.07% DBT
679 Avantor Funding Inc 05352TAB5 Feb 2026 94,000 $90K -0.1% 0.07% DBT
680 CHS/Community Health Systems Inc 12543DBH2 Feb 2026 90,000 $90K -0.4% 0.07% DBT
681 Level 3 Financing, Inc. 527298BS1 95,000 NEW $90K 0.07% DBT
682 Starwood Property Trust, Inc. 85571BBD6 Feb 2026 86,000 $89K -1.1% 0.07% DBT
683 HILCORP ENERGY I LP 431318AU8 Feb 2026 89,000 $89K +1.9% 0.07% DBT
684 XPO Inc 983793AK6 Feb 2026 85,000 $89K -0.6% 0.07% DBT
685 Yum! Brands Inc. 988498AD3 79,000 NEW $88K 0.07% DBT
686 Lamar Media Corp. 513075BT7 Feb 2026 91,000 $88K +0.3% 0.06% DBT
687 Newell Brands Inc. 651229BE5 Feb 2026 88,000 $88K +5.5% 0.06% DBT
688 Wayfair LLC 94419NAA5 85,000 NEW $88K 0.06% DBT
689 Clydesdale Acquisition Holdings Inc. 18972EAA3 Feb 2026 87,000 $88K -0.4% 0.06% DBT
690 OneMain Financial Corporation 682691AE0 Feb 2026 84,000 $88K -1.3% 0.06% DBT
691 Prairie Acquiror LP 73943NAA4 Feb 2026 84,000 $88K +1.3% 0.06% DBT
692 EchoStar Corp. 278768AA4 86,000 NEW $87K 0.06% DBT
693 RHP HOTEL PROPERTIES LP 749571AJ4 Feb 2026 85,000 $87K -0.2% 0.06% DBT
694 B&G Foods, Inc. 05508WAB1 Feb 2026 90,000 $87K -1.3% 0.06% DBT
695 JELD-WEN, Inc. 475795AD2 Feb 2026 105,000 -30,000 $87K -25.8% 0.06% DBT
696 Lumen Technologies Inc 156700BD7 90,000 NEW $87K 0.06% DBT
697 HILCORP ENERGY I LP 431318BG8 Feb 2026 87,000 $86K +3.9% 0.06% DBT
698 Iron Mountain Inc. 46284VAC5 Feb 2026 86,000 $86K +0.2% 0.06% DBT
699 Bath & Body Works Inc 501797AW4 Feb 2026 84,000 $86K +0.5% 0.06% DBT
700 Murphy Oil USA Inc 626738AF5 Feb 2026 91,000 $86K +0.1% 0.06% DBT
701 Fair Isaac Corporation 303250AF1 Feb 2026 87,000 $86K -0.4% 0.06% DBT
702 RHP HOTEL PROPERTIES LP 749571AF2 Feb 2026 85,000 $85K +0.1% 0.06% DBT
703 Adapthealth Llc 00653VAC5 Feb 2026 88,000 $85K +0.3% 0.06% DBT
704 Gray Media Inc. 389375AL0 Feb 2026 103,000 +35,000 $85K +60.8% 0.06% DBT
705 MACY'S RETAIL HOLDINGS LLC 55616XAJ6 Feb 2026 115,000 +30,000 $85K +38.1% 0.06% DBT
706 UWN Holdings LLC 903522AA8 Feb 2026 85,000 $85K -2.0% 0.06% DBT
707 Magnera Corp. 377320AA4 90,000 NEW $84K 0.06% DBT
708 Sabre GLBL Inc. 78573NAN2 115,000 NEW $84K 0.06% DBT
709 Newell Brands Inc. 651229AY2 Feb 2026 95,000 +35,000 $83K +67.9% 0.06% DBT
710 Bausch Health Companies Inc. 071734AH0 Feb 2026 95,000 +25,000 $83K +30.5% 0.06% DBT
711 The Gap Inc. 364760AP3 Feb 2026 87,000 $83K +0.1% 0.06% DBT
712 NRG Energy, Inc. 629377CW0 80,000 NEW $82K 0.06% DBT
713 XPLR Infrastructure Operating Partners LP 98379YAA0 79,000 NEW $82K 0.06% DBT
714 Firstcash Inc 33767DAD7 Feb 2026 79,000 $82K -0.7% 0.06% DBT
715 MACY'S RETAIL HOLDINGS LLC 55616XAG2 Feb 2026 98,000 $82K +3.1% 0.06% DBT
716 Crescent Energy Finance LLC 516806AK2 Feb 2026 80,000 $82K +5.2% 0.06% DBT
717 The Chemours Company LLC 163851AH1 Feb 2026 86,000 +50,000 $82K +153.2% 0.06% DBT
718 GrafTech Global Enterprises Inc. 38431AAB2 Feb 2026 135,000 +55,000 $81K +16.4% 0.06% DBT
719 ICAHN ENTERPRISES LP 451102CJ4 Feb 2026 84,000 $80K -0.8% 0.06% DBT
720 Lumen Technologies Inc 156700AT3 Feb 2026 85,000 +35,000 $80K +65.8% 0.06% DBT
721 Sabre GLBL Inc. 78573NAM4 110,000 NEW $80K 0.06% DBT
722 COGENT COMMUNICATIONS GROUP LLC 19240WAB5 Feb 2026 90,000 +40,000 $80K +75.6% 0.06% DBT
723 Northern Oil And Gas, Inc. 665530AB7 Feb 2026 76,000 $79K +2.2% 0.06% DBT
724 Freedom Mortgage Holdings LLC 35641AAD0 Feb 2026 80,000 $79K -4.8% 0.06% DBT
725 Tronox Incorporated 897051AD0 Feb 2026 80,000 +30,000 $78K +66.1% 0.06% DBT
726 Neptune BidCo US Inc. 640695AD4 80,000 NEW $78K 0.06% DBT
727 SM Energy Co. 78454LAP5 Feb 2026 78,000 $78K +0.1% 0.06% DBT
728 Buckeye Partners LP 118230AP6 Feb 2026 85,000 $78K -0.7% 0.06% DBT
729 Discovery Communications, LLC 25470DCA5 Feb 2026 78,000 $78K +2.3% 0.06% DBT
730 Station Casinos LLC 857691AH2 80,000 NEW $77K 0.06% DBT
731 Edgewell Personal Care Co 28035QAA0 Feb 2026 77,000 $77K +0.1% 0.06% DBT
732 Qnity Electronics Inc. 74743LAA8 Feb 2026 75,000 $77K -0.6% 0.06% DBT
733 Bausch Health Companies Inc. 071734AM9 Feb 2026 100,000 +50,000 $76K +90.6% 0.06% DBT
734 Cinemark USA Inc. 172441BF3 Feb 2026 76,000 $76K +0.1% 0.06% DBT
735 ViaSat, Inc. 92552VAL4 Feb 2026 76,000 $76K +0.0% 0.06% DBT
736 The Chemours Company LLC 163851AE8 Feb 2026 75,000 $76K +1.1% 0.06% DBT
737 Harvest Midstream I LP 417558AA1 Feb 2026 75,000 $76K -0.4% 0.06% DBT
738 The Scotts Miracle-Gro Company 810186AX4 80,000 NEW $76K 0.06% DBT
739 Olin Corporation 680665AL0 Feb 2026 75,000 $75K +0.0% 0.06% DBT
740 Crescent Energy Finance LLC 45344LAG8 Feb 2026 73,000 $75K +4.8% 0.06% DBT
741 NCR Voyix Corporation 62886EAY4 Feb 2026 76,000 $75K -1.3% 0.05% DBT
742 Navient Corporation 63938CAL2 77,000 NEW $75K 0.05% DBT
743 Edgewell Personal Care Co 28035QAB8 Feb 2026 77,000 $74K +2.0% 0.05% DBT
744 Resideo Funding Inc. 76119LAB7 Feb 2026 77,000 $74K +0.6% 0.05% DBT
745 Methanex Corporation 59151KAJ7 Feb 2026 81,000 +20,000 $74K +38.3% 0.05% DBT
746 Magnera Corp. 55939AAA5 Feb 2026 75,000 +25,000 $74K +54.1% 0.05% DBT
747 COGENT COMMUNICATIONS GROUP LLC 19240WAA7 75,000 NEW $74K 0.05% DBT
748 Olin Corporation 680665AN6 75,000 NEW $73K 0.05% DBT
749 Six Flags Entertainment Corp. 83001AAD4 Feb 2026 74,000 +25,000 $73K +55.8% 0.05% DBT
750 Xerox Corp. 984121CS0 Feb 2026 100,000 $72K -29.3% 0.05% DBT
751 Park River Holdings Inc 70082LAD9 75,000 NEW $72K 0.05% DBT
752 Kohl's Corp. 500255AV6 Feb 2026 108,000 -25,000 $72K -22.6% 0.05% DBT
753 K Hovnanian Enterprises Inc 48251UAQ1 Feb 2026 70,000 $72K -0.4% 0.05% DBT
754 AVIS BUDGET CAR RENTAL LLC 053773BG1 Feb 2026 73,000 $72K +1.0% 0.05% DBT
755 Topbuild Corporation 89055FAD5 70,000 NEW $71K 0.05% DBT
756 OneMain Financial Corporation 682691AG5 Feb 2026 69,000 $71K -1.7% 0.05% DBT
757 Post Holdings Inc. 737446AU8 Feb 2026 68,000 $70K -0.1% 0.05% DBT
758 Dana Inc. 235825AH9 Feb 2026 73,000 -72,000 $70K -50.9% 0.05% DBT
759 FXI Holdings Inc 36120RAJ8 120,000 NEW $70K 0.05% DBT
760 NOVA Chemicals Corp. 66977WAV1 Feb 2026 65,000 $69K +0.8% 0.05% DBT
761 Light & Wonder International Inc. 80874YBE9 Feb 2026 67,000 $69K -0.1% 0.05% DBT
762 JANE STREET GROUP LLC 47077WAE8 Feb 2026 67,000 $69K -1.9% 0.05% DBT
763 Sinclair Television Group, Inc. 829259BF6 Feb 2026 84,000 +25,000 $67K +45.8% 0.05% DBT
764 Goodyear Tire & Rubber Co. The 382550BJ9 Feb 2026 68,000 $65K +0.8% 0.05% DBT
765 Rogers Communications Inc. 775109BS9 65,000 NEW $65K 0.05% DBT
766 ANTERO MIDSTREAM PARTNERS LP 03690AAH9 Feb 2026 65,000 $65K -0.2% 0.05% DBT
767 Sinclair Television Group, Inc. 829259AY6 Feb 2026 73,000 $65K +1.6% 0.05% DBT
768 Central Parent LLC / CDK Global II LLC / CDK Financing Co. 154915AA0 Feb 2026 100,000 $64K -24.4% 0.05% DBT
769 Freedom Mortgage Corporation 35640YAJ6 Feb 2026 64,000 $64K -0.1% 0.05% DBT
770 SUNOCO LP 86765LAZ0 Feb 2026 65,000 $64K +0.4% 0.05% DBT
771 Methanex Corporation 59151KAL2 Feb 2026 62,000 $63K +0.7% 0.05% DBT
772 Buckeye Partners LP 118230AR2 Feb 2026 63,000 $63K +0.5% 0.05% DBT
773 Gray Media Inc. 389375AN6 60,000 NEW $63K 0.05% DBT
774 HUB International Ltd. 44332PAG6 Feb 2026 63,000 $62K -1.7% 0.05% DBT
775 Builders Firstsource, Inc. 12008RAS6 Feb 2026 60,000 $62K -1.1% 0.05% DBT
776 The Chemours Company LLC 163851AJ7 60,000 NEW $61K 0.05% DBT
777 Paramount Global 92556HAE7 Feb 2026 77,000 $61K -18.8% 0.04% DBT
778 Perrigo Finance Unlimited Co. 71429MAD7 Feb 2026 62,000 $61K +0.6% 0.04% DBT
779 GoEasy Limited 380355AR8 Feb 2026 70,000 $61K -8.2% 0.04% DBT
780 Nissan Motor Acceptance Co LLC 65480CAF2 Feb 2026 58,000 $60K +0.4% 0.04% DBT
781 Jones Deslauriers Insurance Management Inc. 48020RAE5 Feb 2026 65,000 -30,000 $60K -35.3% 0.04% DBT
782 Artera Services LLC 04302XAA2 Feb 2026 72,000 $60K -2.9% 0.04% DBT
783 iHeartCommunications Inc 45174HBL0 Feb 2026 80,000 +50,000 $60K +139.7% 0.04% DBT
784 PRIMO WATER HOLDINGS INC 74168RAB9 60,000 NEW $59K 0.04% DBT
785 Seagate Data Storage Technology Pte. Ltd. 81180LAM7 Feb 2026 56,000 $59K -0.8% 0.04% DBT
786 Kinetik Holdings LP 49461MAA8 Feb 2026 58,000 $59K +0.4% 0.04% DBT
787 ViaSat, Inc. 92552VAR1 Feb 2026 59,000 $58K +4.9% 0.04% DBT
788 NCR Voyix Corporation 62886EBA5 Feb 2026 59,000 $58K -0.9% 0.04% DBT
789 Global Infrastructure Solutions Inc. 37960XAB3 55,000 NEW $58K 0.04% DBT
790 QVC, Inc. 747262BA0 Feb 2026 135,000 +85,000 $58K +185.8% 0.04% DBT
791 Graphic Packaging International LLC 38869AAD9 Feb 2026 61,000 $58K +0.7% 0.04% DBT
792 Newfold Digital Holdings Group Inc. 650929AA0 Feb 2026 90,000 $58K -3.6% 0.04% DBT
793 CNX Resources Corporation 12653CAL2 55,000 NEW $58K 0.04% DBT
794 UNITI SERVICES LLC 97382BAB5 55,000 NEW $57K 0.04% DBT
795 ACRISURE LLC 00489LAK9 Feb 2026 57,000 $57K -4.1% 0.04% DBT
796 EnerSys 29275YAF9 Feb 2026 55,000 $57K -0.2% 0.04% DBT
797 Iron Mountain Information Management Servces Inc 46285MAA8 Feb 2026 58,000 $56K +0.5% 0.04% DBT
798 FXI Holdings Inc 36120RAG4 60,000 NEW $56K 0.04% DBT
799 SEALED AIR CORP 812127AB4 Feb 2026 54,000 $56K -0.1% 0.04% DBT
800 Newell Brands Inc. 651229AX4 Feb 2026 56,000 $56K +7.9% 0.04% DBT
801 Chobani Holdco II LLC 169918AA7 Feb 2026 52,375 $56K +0.6% 0.04% DBT
802 WBI Operations LLC 92944BAB7 Feb 2026 55,000 $56K +1.6% 0.04% DBT
803 CP Atlas Buyer Inc. 12597YAD1 61,600 NEW $55K 0.04% DBT
804 Nissan Motor Acceptance Co LLC 65480CAL9 55,000 NEW $55K 0.04% DBT
805 AMC Entertainment Holdings Inc 00165CBA1 Feb 2026 75,000 -25,000 $55K -38.7% 0.04% DBT
806 Diversified Healthcare Trust 81721MAM1 Feb 2026 56,000 $55K +1.7% 0.04% DBT
807 ANYWHERE REAL ESTATE GROUP LLC 75606DAV3 Feb 2026 50,000 $54K -0.3% 0.04% DBT
808 Clarivate Science Holdings Corp. 18064PAD1 65,000 NEW $54K 0.04% DBT
809 Transocean International Ltd. 893814AA1 50,000 NEW $54K 0.04% DBT
810 Telecom Italia Capital S.A. 87927VAF5 Feb 2026 50,000 $53K +0.9% 0.04% DBT
811 Navient Corporation 63938CAP3 50,000 NEW $53K 0.04% DBT
812 iHeartCommunications Inc 45174HBJ5 Feb 2026 59,000 $53K -3.5% 0.04% DBT
813 Mineral Resources Ltd. 603051AF0 50,000 NEW $53K 0.04% DBT
814 California Resources Corporation 13057QAK3 Feb 2026 50,000 $53K +0.2% 0.04% DBT
815 Williams Scotsman Inc. 96949VAL7 50,000 NEW $52K 0.04% DBT
816 Weatherford International Ltd Bermuda 947075AW7 Feb 2026 50,000 $52K +2.2% 0.04% DBT
817 Embarq Corp. 29078EAA3 Feb 2026 135,000 +25,000 $52K +22.3% 0.04% DBT
818 Cinemark USA Inc. 172441BH9 50,000 NEW $52K 0.04% DBT
819 BROOKFIELD RESIDENTIAL PROPERTIES ULC 11283YAB6 Feb 2026 52,000 $52K +0.0% 0.04% DBT
820 Alpha Generation LLC 02073LAA9 Feb 2026 50,000 $52K +0.7% 0.04% DBT
821 Qnity Electronics Inc. 74743LAB6 Feb 2026 50,000 $52K +0.2% 0.04% DBT
822 Gray Media Inc. 389375AP1 Feb 2026 50,000 $52K +2.9% 0.04% DBT
823 Talen Energy Supply LLC 87422VAN8 50,000 NEW $51K 0.04% DBT
824 Whirlpool Corp. 96332HCG2 Feb 2026 61,000 -25,000 $51K -28.9% 0.04% DBT
825 OneMain Financial Corporation 682691AK6 50,000 NEW $51K 0.04% DBT
826 ION PLATFORM FINANCE US INC 46206AAE2 55,000 NEW $51K 0.04% DBT
827 AMC Networks Inc 00164VAK9 Feb 2026 50,000 $51K -4.6% 0.04% DBT
828 SLM Corp. 78442PGF7 Feb 2026 50,000 $51K -1.8% 0.04% DBT
829 USA COMPRESSION PARTNERS LP 91740PAH1 Feb 2026 50,000 $51K +1.0% 0.04% DBT
830 Nordstrom, Inc. 655664AY6 Feb 2026 54,000 $51K +1.9% 0.04% DBT
831 Encore Capital Group Inc. 292554AS1 Feb 2026 50,000 $51K +0.9% 0.04% DBT
832 MACY'S RETAIL HOLDINGS LLC 55617LAR3 50,000 NEW $50K 0.04% DBT
833 Sunoco LP 86765KAG4 50,000 NEW $50K 0.04% DBT
834 Service Properties Trust 81761LAE2 Feb 2026 50,000 $50K +4.0% 0.04% DBT
835 TerraForm Power Operating, LLC 88104LAE3 Feb 2026 50,000 $50K +0.1% 0.04% DBT
836 Osaic Holdings Inc. 00791GAC1 50,000 NEW $50K 0.04% DBT
837 SM ENERGY COMPANY 17888HAD5 45,000 NEW $50K 0.04% DBT
838 CrossCountry Intermediate HoldCo LLC 22757VAB6 50,000 NEW $50K 0.04% DBT
839 ICAHN ENTERPRISES LP 451102CK1 50,000 NEW $49K 0.04% DBT
840 ACRISURE LLC 004961AA6 50,000 NEW $49K 0.04% DBT
841 LGI Homes Inc 50187TAK2 50,000 NEW $49K 0.04% DBT
842 Energizer Holdings Inc 29272WAG4 50,000 NEW $49K 0.04% DBT
843 Transocean Titan Financing Ltd. 89386MAA6 47,667 NEW $49K 0.04% DBT
844 AES Corp. 00130HCL7 50,000 NEW $49K 0.04% DBT
845 CALUMET SPECIALTY PRODUCTS PARTNERS LP 131477AW1 Feb 2026 47,000 $48K +2.6% 0.04% DBT
846 Comstock Resources, Inc. 205768AT1 Feb 2026 50,000 $48K -0.5% 0.04% DBT
847 ANYWHERE REAL ESTATE GROUP LLC 75606DAQ4 50,000 NEW $47K 0.03% DBT
848 Twilio Inc 90138FAD4 50,000 NEW $47K 0.03% DBT
849 Goodyear Tire & Rubber Co. The 382550BN0 Feb 2026 48,000 $47K +1.3% 0.03% DBT
850 Buckeye Partners LP 118230AM3 Feb 2026 50,000 -50,000 $47K -50.3% 0.03% DBT
851 Churchill Downs Inc 171484AG3 Feb 2026 47,000 $47K +0.2% 0.03% DBT
852 Kronos Acquisition Holdings Inc 50106GAJ1 Feb 2026 106,000 +80,000 $47K +312.4% 0.03% DBT
853 Crocs Inc 227046AB5 Feb 2026 50,000 $47K +1.4% 0.03% DBT
854 VISTAJET MALTA FINANCE PLC 92840JAB5 50,000 NEW $47K 0.03% DBT
855 Seagate Data Storage Technology Pte. Ltd. 81180LAS4 Feb 2026 45,000 $46K +0.4% 0.03% DBT
856 CLARIOS GLOBAL LP 18060TAC9 Feb 2026 45,000 $46K +0.0% 0.03% DBT
857 Match Group Holdings II LLC 57665RAG1 Feb 2026 46,000 $46K +0.1% 0.03% DBT
858 Science Applications International Corp. 808625AB3 46,000 NEW $46K 0.03% DBT
859 Permian Resources Operating, LLC 19416MAB5 Feb 2026 45,000 $45K -0.1% 0.03% DBT
860 Park River Holdings Inc 70082LAC1 45,000 NEW $45K 0.03% DBT
861 Service Corporation International 817565CD4 Feb 2026 45,000 $45K +0.2% 0.03% DBT
862 MPH Acquisition Holdings LLC 553283AF9 50,000 NEW $45K 0.03% DBT
863 iHeartCommunications Inc 45174HBG1 Feb 2026 50,000 $45K -1.1% 0.03% DBT
864 Iron Mountain Inc. 46284VAF8 Feb 2026 45,000 $45K +0.3% 0.03% DBT
865 LD Holdings Group LLC 521088AC8 Feb 2026 50,000 -35,000 $45K -42.9% 0.03% DBT
866 Mercer International Inc. 588056BC4 Feb 2026 63,000 $44K -4.6% 0.03% DBT
867 Builders Firstsource, Inc. 12008RAN7 Feb 2026 44,000 $44K -0.5% 0.03% DBT
868 Xerox Corp. 984121CB7 150,000 NEW $44K 0.03% DBT
869 PREMIER ENTERTAINMENT SUB LLC 74052HAA2 Feb 2026 60,000 $43K +33.4% 0.03% DBT
870 TALLGRASS ENERGY PARTNERS LP 87470LAL5 Feb 2026 41,000 $42K +0.1% 0.03% DBT
871 Open Text Corp 683715AD8 Feb 2026 47,000 $42K -4.9% 0.03% DBT
872 Bombardier Inc. 097751CD1 40,000 NEW $42K 0.03% DBT
873 Clear Channel Outdoor Holdings Inc. 18453HAG1 40,000 NEW $42K 0.03% DBT
874 Hudson Pacific Properties LP 44409MAC0 50,000 NEW $42K 0.03% DBT
875 LifePoint Health, Inc 53219LAX7 40,000 NEW $42K 0.03% DBT
876 NCL Corporation Ltd. 62886HBR1 40,000 NEW $41K 0.03% DBT
877 Garda World Security Corporation 36485MAQ2 40,000 NEW $41K 0.03% DBT
878 Hertz Corp. 428040DA4 Feb 2026 45,000 -70,000 $41K -63.3% 0.03% DBT
879 Hudson Pacific Properties LP 44409MAB2 Feb 2026 46,000 $41K -2.9% 0.03% DBT
880 AMC Networks Inc 00164VAF0 Feb 2026 46,000 +40,000 $41K +675.4% 0.03% DBT
881 Somnigroup International Inc. 88023UAJ0 Feb 2026 43,000 $41K +0.8% 0.03% DBT
882 Univision Communications Inc. 914906AX0 40,000 NEW $40K 0.03% DBT
883 Cornerstone Building Brands Inc 21925DAB5 55,000 NEW $40K 0.03% DBT
884 Buckeye Partners LP 118230AQ4 Feb 2026 40,000 $40K -0.4% 0.03% DBT
885 MEDICAL PROPERTIES TRUST INC 55342UAJ3 45,000 NEW $39K 0.03% DBT
886 Hologic Inc 436440AM3 Feb 2026 39,000 $39K -0.3% 0.03% DBT
887 ANTERO MIDSTREAM PARTNERS LP 03690AAF3 Feb 2026 39,000 $39K -0.3% 0.03% DBT
888 SS&C Technologies, Inc. 78466CAD8 Feb 2026 38,000 $39K -1.8% 0.03% DBT
889 Muvico LLC 62844JAE8 40,000 NEW $38K 0.03% DBT
890 Lamb Weston Holdings Inc 513272AE4 40,000 NEW $38K 0.03% DBT
891 Transocean International Ltd. 893830BX6 Feb 2026 35,000 -2,500 $37K -6.8% 0.03% DBT
892 TransDigm, Inc. 893647BU0 Feb 2026 35,000 $36K -0.4% 0.03% DBT
893 Bausch Health Companies Inc. 071734AJ6 50,000 NEW $35K 0.03% DBT
894 Iron Mountain Inc. 46284VAG6 Feb 2026 35,000 $35K +0.5% 0.03% DBT
895 Tegna Inc 87901JAH8 35,000 NEW $35K 0.03% DBT
896 Tronox Incorporated 897051AC2 Feb 2026 45,000 $35K +22.0% 0.03% DBT
897 OI European Group B.V. 67777LAD5 35,000 NEW $34K 0.02% DBT
898 Service Corporation International 817565CG7 35,000 NEW $33K 0.02% DBT
899 Accendra Health Inc. 690732AG7 Feb 2026 68,000 -25,000 $33K -45.4% 0.02% DBT
900 Crown Americas LLC 228180AB1 Feb 2026 32,000 $33K +0.6% 0.02% DBT
901 Xerox Corp. 984121CT8 65,000 NEW $33K 0.02% DBT
902 BROOKFIELD PROPERTIES RETAIL HOLDING LLC 11284DAC9 Feb 2026 32,000 $32K +0.9% 0.02% DBT
903 HILCORP ENERGY I LP 431318AS3 Feb 2026 31,000 $31K +0.2% 0.02% DBT
904 Northern Oil And Gas, Inc. 665531AL3 30,000 NEW $31K 0.02% DBT
905 WBI Operations LLC 92944BAA9 30,000 NEW $31K 0.02% DBT
906 AVIS BUDGET GROUP INC 053773BK2 30,000 NEW $30K 0.02% DBT
907 Amwins Group Inc 031921AC3 Feb 2026 27,000 $27K -0.9% 0.02% DBT
908 Pennymac Financial Services Inc 70932MAD9 Feb 2026 26,000 $27K -1.6% 0.02% DBT
909 Azorra Finance Ltd. 05480AAB1 25,000 NEW $26K 0.02% DBT
910 Hertz Corp. 428040DB2 50,000 NEW $26K 0.02% DBT
911 Bread Financial Holdings Inc 018581AR9 25,000 NEW $26K 0.02% DBT
912 Matador Resources Company 576485AF3 25,000 NEW $26K 0.02% DBT
913 Toledo Hospital 889184AA5 Feb 2026 27,000 $23K -1.3% 0.02% DBT
914 Kronos Acquisition Holdings Inc 50106GAG7 Feb 2026 30,000 $21K +1.7% 0.02% DBT
915 LIBERTY INTERACTIVE LLC 530715AJ0 Feb 2026 429,000 +370,000 $20K +431.4% 0.01% DBT
916 Deluxe Corporation 248019AW1 Feb 2026 19,000 $20K -0.5% 0.01% DBT
917 Bausch Health Companies Inc. 071734AL1 Feb 2026 30,000 +25,000 $20K +480.1% 0.01% DBT
918 Taylor Morrison Communities Inc 87724RAB8 Feb 2026 19,000 $19K -0.2% 0.01% DBT
919 MPH Acquisition Holdings LLC 553283AG7 Feb 2026 25,000 -25,000 $18K -58.3% 0.01% DBT
920 Service Properties Trust 44106MBB7 Feb 2026 19,000 $17K +7.0% 0.01% DBT
921 Xerox Holdings Corporation 98421MAC0 60,000 NEW $17K 0.01% DBT
922 Open Text Holdings Inc 683720AA4 Feb 2026 19,000 $17K -5.2% 0.01% DBT
923 WarnerMedia Holdings Inc. 55903VBU6 25,000 NEW $17K 0.01% DBT
924 Mercer International Inc. 588056BB6 25,000 NEW $16K 0.01% DBT
925 ALLIANT HOLDINGS INTERMEDIATE LLC 01883LAD5 Feb 2026 14,000 $14K -0.9% 0.01% DBT
926 Vistra Operations Co LLC 92840VAR3 Feb 2026 12,000 $13K +0.1% 0.01% DBT
927 Constellation Energy Generation LLC 210385AJ9 11,000 NEW $11K 0.01% DBT
928 HLF FINANCING SARL LLC 40390DAD7 Feb 2026 8,000 $9K -1.4% 0.01% DBT
929 Saks Global Enterprises LLC 79380MAB1 Feb 2026 65,000 $203 -99.1% 0.00% DBT
MEDLINE BORROWER LP 62482BAA0 413,000 SOLD $0.4M
FIRST QUANTUM MINERALS L 335934AV7 266,000 SOLD $0.3M
SPIRIT AEROSYSTEMS INC 85205TAN0 235,000 SOLD $0.2M
CALPINE CORP 131347CR5 254,000 SOLD $0.2M
MEDLINE BORROWER LP 62482BAB8 207,000 SOLD $0.2M
MIDCAP FINANCIAL ISSR TR 59567LAA2 200,000 SOLD $0.2M
AMERICAN AIRLINES INC 023771T40 188,000 SOLD $0.2M
FRONTIER COMMUNICATIONS 35906ABF4 193,000 SOLD $0.2M
BAYTEX ENERGY CORP 07317QAJ4 181,000 SOLD $0.2M
HERC HOLDINGS INC 42704LAA2 185,000 SOLD $0.2M
SIX FLAGS ENTERTAINME 83001AAC6 185,000 SOLD $0.2M
HILTON DOMESTIC OPERATIN 432833AH4 174,000 SOLD $0.2M
MERLIN ENTERTAINMENTS GR 59010UAA5 200,000 SOLD $0.2M
CELANESE US HOLDINGS LLC 15089QAM6 158,000 SOLD $0.2M
PERFORMANCE FOOD GROUP I 69346VAA7 144,000 SOLD $0.1M
MATTAMY GROUP CORP 57701RAJ1 144,000 SOLD $0.1M
LEVEL 3 FINANCING INC 527298CB7 150,000 SOLD $0.1M
FRONTIER COMMUNICATIONS 35908MAB6 133,000 SOLD $0.1M
WR GRACE HOLDING LLC 92943GAD3 132,000 SOLD $0.1M
LUMEN TECHNOLOGIES INC 550241AC7 131,000 SOLD $0.1M
COMMSCOPE LLC 20338QAA1 121,000 SOLD $0.1M
WHIRLPOOL CORP 963320AX4 154,000 SOLD $0.1M
MAUSER PACKAGING SOLUT 57763RAC1 124,000 SOLD $0.1M
FRONTIER COMMUNICATIONS 35908MAA8 114,000 SOLD $0.1M
CALPINE CORP 131347CQ7 111,000 SOLD $0.1M
PIKE CORP 721283AB5 102,000 SOLD $0.1M
CNX RESOURCES CORP 12653CAJ7 103,000 SOLD $0.1M
UNITED RENTALS NORTH AM 911365BF0 99,000 SOLD $0.1M
POST HOLDINGS INC 737446AP9 98,000 SOLD $0.1M
COMMSCOPE TECH LLC 20338HAB9 97,000 SOLD $0.1M
COMMSCOPE LLC 203372AX5 94,000 SOLD $0.1M
COMMSCOPE LLC 20338MAA0 88,000 SOLD $0.1M
OFFICE PPTY INCOME TRST 67623CAJ8 100,000 SOLD $0.1M
SABRE GLBL INC 78573NAJ1 86,000 SOLD $0.1M
RANGE RESOURCES CORP 75281ABK4 80,000 SOLD $0.1M
LEVEL 3 FINANCING INC 527298CD3 77,000 SOLD $0.1M
AG ISSUER LLC 00119LAA9 70,000 SOLD $0.1M
FRONTIER COMMUNICATIONS 35908MAD2 61,000 SOLD $0.1M
FRONTIER COMMUNICATIONS 35906ABG2 63,000 SOLD $0.1M
LABL INC 50168QAF2 100,000 SOLD $0.1M
CALPINE CORP 131347CP9 59,000 SOLD $0.1M
SPIRIT AEROSYSTEMS INC 85205TAR1 48,000 SOLD $0.1M
CALPINE CORP 131347CN4 52,000 SOLD $0.1M
LUMEN TECHNOLOGIES INC 550241AK9 50,000 SOLD $0.1M
HILLENBRAND INC 431571AE8 50,000 SOLD $0.1M
SUBURBAN PROPANE PARTNRS 864486AK1 50,000 SOLD $0.1M
LABL INC 50168QAC9 73,000 SOLD $0.0M
TKC HOLDINGS INC 87256YAC7 45,000 SOLD $0.0M
LABL INC 50168AAA8 67,000 SOLD $0.0M
SGUS LLC 81880AAA0 50,000 SOLD $0.0M
FRONTIER COMMUNICATIONS 35908MAE0 35,000 SOLD $0.0M
LEVEL 3 FINANCING INC 527298CF8 41,000 SOLD $0.0M
FRONTIER COMMUNICATIONS 35906ABE7 35,000 SOLD $0.0M
LEVEL 3 FINANCING INC 527298CH4 37,000 SOLD $0.0M
HOWARD HUGHES CORP 44267DAD9 27,000 SOLD $0.0M
LABL INC 50168QAD7 42,000 SOLD $0.0M
QVC INC 747262AM5 42,000 SOLD $0.0M
NEW FORTRESS ENERGY INC 644393AC4 101,000 SOLD $0.0M