NPORT-EX 2 NPORT_5214_44744035_0725.htm EDGAR HTML
MMT-Q3
Quarterly Report
July 31, 2025
MFS® Multimarket
Income Trust

Portfolio of Investments
7/31/25 (unaudited)
The Portfolio of Investments is a complete list of all securities owned by your fund. It is categorized by broad-based asset classes.
Issuer
 
 
Shares/Par
Value ($)
Bonds – 131.2%
Aerospace & Defense – 2.3%
Axon Enterprise, Inc., 6.125%,3/15/2030(n)
 
$
600,000
$612,781
Axon Enterprise, Inc., 6.25%,3/15/2033(n)
 
 
193,000
197,723
Boeing Co., 6.388%,5/01/2031
 
 
134,000
144,164
Boeing Co., 5.805%,5/01/2050
 
 
534,000
515,357
Bombardier, Inc., 7.5%,2/01/2029(n)
 
 
314,000
326,087
Bombardier, Inc., 8.75%,11/15/2030(n)
 
 
243,000
261,498
Bombardier, Inc., 7.25%,7/01/2031(n)
 
 
252,000
263,140
Bombardier, Inc., 7%,6/01/2032(n)
 
 
263,000
272,071
Bombardier, Inc., 6.75%,6/15/2033(n)
 
 
260,000
267,233
Huntington Ingalls Industries, Inc., 4.2%,5/01/2030
 
 
230,000
223,629
Huntington Ingalls Industries, Inc., 5.749%,1/15/2035
 
 
286,000
294,002
TransDigm, Inc., 6.75%,8/15/2028(n)
 
 
309,000
315,292
TransDigm, Inc., 4.625%,1/15/2029
 
 
566,000
553,386
TransDigm, Inc., 6.375%,3/01/2029(n)
 
 
302,000
309,082
TransDigm, Inc., 6.875%,12/15/2030(n)
 
 
861,000
892,316
TransDigm, Inc., 6.375%,5/31/2033(n)
 
 
987,000
993,269
 
 
 
$6,441,030
Asset-Backed & Securitized – 3.8%
3650R Commercial Mortgage Trust, 2021-PF1, XA, 1.109%,11/15/2054(i)
 
$
3,658,070
$139,383
AA Bond Co. Ltd., 6.85%,7/31/2050
 
GBP
220,000
304,121
Angel Oak Mortgage Trust, 2024-13, A1, 5.464%,12/26/2069(n)
 
$
288,494
288,280
Arbor Realty Trust, Inc., CLO, 2022-FL1, D, FLR, 7.339% (SOFR - 30 day + 3%),1/15/2037(n)
 
 
600,000
598,496
AREIT 2022-CRE6 Trust, D, FLR, 7.197% (SOFR - 30 day + 2.85%),1/20/2037(n)
 
 
126,000
123,165
ARI Fleet Lease Trust, 2023-B, A2, 6.05%,7/15/2032(n)
 
 
49,502
49,865
Bain Capital Credit CLO Ltd., 2021-7A, BR, FLR, 5.832% (SOFR - 3mo. + 1.5%),1/22/2035(n)
 
 
390,025
389,132
Bayview Financial Revolving Mortgage Loan Trust, FLR, 6.067% ((SOFR - 1mo. + 0.11448%) + 1.6%),12/28/2040(n)
 
 
204,404
421,347
BBCMS Mortgage Trust, 2020-C7, XA, 1.593%,4/15/2053(i)
 
 
953,650
45,192
BBCMS Mortgage Trust, 2021-C10, XA, 1.329%,7/15/2054(i)
 
 
915,990
47,673
BBCMS Mortgage Trust, 2021-C9, XA, 1.696%,2/15/2054(i)
 
 
6,390,337
423,638
Benchmark 2021-B23 Mortgage Trust, XA, 1.255%,2/15/2054(i)
 
 
3,989,563
195,136
Benchmark 2021-B24 Mortgage Trust, XA, 1.133%,3/15/2054(i)
 
 
2,026,373
83,797
Benchmark 2021-B26 Mortgage Trust, XA, 0.88%,6/15/2054(i)
 
 
6,880,950
238,223
Benchmark 2021-B27 Mortgage Trust, XA, 1.233%,7/15/2054(i)
 
 
6,923,032
357,003
Benchmark 2022-B36 Mortgage Trust, XA, 0.809%,7/15/2055(i)
 
 
8,707,449
353,643
BSPRT 2021-FL7 Issuer Ltd., C, FLR, 6.756% ((SOFR - 1mo. + 0.11448%) + 2.3%),12/15/2038(n)
 
 
100,000
99,295
Business Jet Securities LLC, 2024-1A, B, 6.924%,5/15/2039(n)
 
 
81,013
82,619
Business Jet Securities LLC, 2024-2A, A, 5.364%,9/15/2039(n)
 
 
133,092
132,614
CF Hippolyta Issuer LLC, 2020-1, B1, 2.28%,7/15/2060(n)
 
 
89,945
69,227
Chesapeake Funding II LLC, 2023-1A, A1, 5.65%,5/15/2035(n)
 
 
81,876
82,303
Colt Funding LLC, 2024-1, A2, 5.987%,2/25/2069(n)
 
 
91,955
92,102
Colt Funding LLC, 2024-6, A1, 5.39%,11/25/2069(n)
 
 
237,409
237,130
Commercial Mortgage Pass-Through Certificates, 2021-BN32, XA, 0.87%,4/15/2054(i)
 
 
3,587,963
109,590
Crest Ltd., CDO, 7% (0.001% Cash or 7% PIK),1/28/2040(a)(d)(p)
 
 
4,586,320
46
ELM Trust, 2024-ELM, D10, 6.847%,6/10/2039(n)
 
 
100,000
100,199
Enterprise Fleet Financing 2024-3 LLC, A2, 5.31%,4/20/2027(n)
 
 
72,321
72,589
EQT Trust, 2024-EXTR, B, 5.654%,7/05/2041(n)
 
 
169,941
171,668
LoanCore 2021-CRE5 Ltd., B, FLR, 6.456% ((SOFR - 1mo. + 0.11448%) + 2.0%),7/15/2036(n)
 
 
464,500
463,350
LoanCore 2025-CRE8 Ltd., B, FLR, 6.184% (SOFR - 1mo. + 1.8412%),8/17/2042(n)
 
 
300,000
297,750
M&T Bank Auto Receivables Trust, 2025-1, A-2A, 4.63%,5/15/2028(n)
 
 
176,000
176,129
MF1 2021-FL5 Ltd., C, FLR, 6.157% ((SOFR - 1mo. + 0.11448%) + 1.7%),7/15/2036(n)
 
 
401,500
400,455
MF1 2021-FL5 Ltd., D, FLR, 6.958% ((SOFR - 1mo. + 0.11448%) + 2.5%),7/15/2036(n)
 
 
745,000
742,570
MF1 2021-FL6 Ltd., B, FLR, 6.114% ((SOFR - 1mo. + 0.11448%) + 1.65%),7/16/2036(n)
 
 
1,000,000
997,523
MF1 2024-FL14 LLC, A, FLR, 6.087% (SOFR - 1mo. + 1.737%),3/19/2039(n)
 
 
200,000
200,184
MF1 2024-FL14 LLC, AS, FLR, 6.59% (SOFR - 1mo. + 2.24%),3/19/2039(n)
 
 
100,000
100,114
MF1 2024-FL14 LLC, B, FLR, 7.039% (SOFR - 1mo. + 2.689%),3/19/2039(n)
 
 
328,594
329,267
1

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Asset-Backed & Securitized – continued
Morgan Stanley Capital I Trust, 2021-L5, XA, 1.276%,5/15/2054(i)
 
$
1,803,485
$86,962
Morgan Stanley Capital I Trust, 2021-L6, XA, 1.172%,6/15/2054(i)
 
 
2,650,127
112,199
Navistar Financial Dealer Note Master Owner Trust, 2023-1, A, 6.18%,8/25/2028(n)
 
 
239,000
239,232
Navistar Financial Dealer Note Master Owner Trust, 2023-1, B, 6.48%,8/25/2028(n)
 
 
56,000
56,045
New Residential Mortgage Loan Trust, 2024-NQM3, A-1, 5.53%,5/25/2065(n)
 
 
271,903
272,789
OBX Trust, 2024-NQM1, A1, 5.928%,11/25/2063(n)
 
 
83,793
84,116
OBX Trust, 2024-NQM1, A2, 6.253%,11/25/2063(n)
 
 
69,733
69,936
TPG Real Estate Finance, 2021-FL4, B, FLR, 6.307% ((SOFR - 1mo. + 0.11448%) + 1.85%),3/15/2038(n)
 
 
340,000
338,712
Wells Fargo Commercial Mortgage Trust, 2021-C59, XA, 1.491%,4/15/2054(i)
 
 
2,263,442
136,971
Wells Fargo Commercial Mortgage Trust, 2021-C60, XA, 1.493%,8/15/2054(i)
 
 
1,922,675
123,197
 
 
 
$10,534,977
Automotive – 2.4%
Allison Transmission, Inc., 3.75%,1/30/2031(n)
 
$
910,000
$831,685
Benteler International AG, 7.25%,6/15/2031
 
EUR
320,000
387,372
Clarios Global LP/Clarios U.S. Finance Co., 4.75%,6/15/2031
 
 
114,000
131,541
Clarios Global LP/Clarios US Finance Co., 6.75%,2/15/2030(n)
 
$
321,000
330,961
Clarios Global LP/Clarios US Finance Co., 4.75%,6/15/2031(n)
 
EUR
279,000
321,930
Dealer Tire LLC/DT Issuer LLC, 8%,2/01/2028(n)
 
$
479,000
468,971
Dornoch Debt Merger Sub, Inc., 6.625%,10/15/2029(n)
 
 
566,000
446,710
Ford Motor Credit Co. LLC, 6.95%,6/10/2026
 
 
281,000
284,178
Hyundai Capital America, 5.25%,1/08/2027(n)
 
 
244,000
246,083
Hyundai Capital America, 6.375%,4/08/2030(n)
 
 
228,000
241,900
J.B. Poindexter & Co., Inc., 8.75%,12/15/2031(n)
 
 
385,000
393,754
New Flyer Holdings, Inc., 9.25%,7/01/2030(n)
 
 
396,000
421,438
Real Hero Merger Sub 2, Inc., 6.25%,2/01/2029(n)
 
 
442,000
303,745
Stellantis N.V., 4.625%,6/06/2035
 
EUR
460,000
518,272
Volkswagen Bank GmbH, 3.5%,6/19/2031
 
 
300,000
343,949
Volkswagen International Finance N.V., 5.994%,5/15/2174
 
 
300,000
352,572
Wabash National Corp., 4.5%,10/15/2028(n)
 
$
550,000
492,285
 
 
 
$6,517,346
Broadcasting – 2.0%
Arqiva Broadcast Finance PLC, 8.625%,7/01/2030
 
GBP
372,000
$497,696
Banijay Group S.A.S., 8.125%,5/01/2029(n)
 
$
600,000
622,211
Dotdash Meredith, Inc., 7.625%,6/15/2032(n)
 
 
399,000
388,925
Gray Media, Inc., 9.625%,7/15/2032(n)
 
 
388,000
391,403
Gray Media, Inc., 7.25%,8/15/2033(n)
 
 
244,000
242,717
Midas OpCo Holdings LLC, 5.625%,8/15/2029(n)
 
 
595,000
572,698
Prosus N.V., 3.061%,7/13/2031(n)
 
 
325,000
289,436
Prosus N.V., 4.343%,7/15/2035
 
EUR
325,000
371,791
Scripps Escrow II, Inc., 3.875%,1/15/2029(n)
 
$
203,000
180,218
Sinclair Television Group, Inc., 8.125%,2/15/2033(n)
 
 
530,000
540,605
Univision Communications, Inc., 8%,8/15/2028(n)
 
 
304,000
312,304
Univision Communications, Inc., 8.5%,7/31/2031(n)
 
 
555,000
563,641
WMG Acquisition Corp., 3.75%,12/01/2029(n)
 
 
263,000
246,897
WMG Acquisition Corp., 3.875%,7/15/2030(n)
 
 
337,000
314,535
 
 
 
$5,535,077
Brokerage & Asset Managers – 2.4%
AG TTMT Escrow Issuer LLC, 8.625%,9/30/2027(n)
 
$
622,000
$639,098
Aretec Escrow Issuer 2, Inc., 10%,8/15/2030(n)
 
 
505,000
550,662
Aretec Escrow Issuer, Inc., 7.5%,4/01/2029(n)
 
 
214,000
214,008
Charles Schwab Corp., 6.136% to 8/24/2033, FLR (SOFR - 1 day + 2.01%) to8/24/2034
 
 
466,000
502,888
Citadel Securities Global Holdings LLC, 5.5%,6/18/2030(n)
 
 
500,000
504,366
Hightower Holding LLC, 6.75%,4/15/2029(n)
 
 
374,000
372,130
Hightower Holding LLC, 9.125%,1/31/2030(n)
 
 
228,000
242,308
Jane Street Group/JSG Finance, Inc., 6.125%,11/01/2032(n)
 
 
1,542,000
1,529,917
Low Income Investment Fund, 3.386%,7/01/2026
 
 
185,000
181,337
2

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Brokerage & Asset Managers – continued
Low Income Investment Fund, 3.711%,7/01/2029
 
$
490,000
$462,604
LPL Holdings, Inc., 4%,3/15/2029(n)
 
 
654,000
634,013
Nomura Holdings, Inc., 7% to 1/15/2031, FLR (CMT - 5yr. + 3.084%) to1/15/2174
 
 
271,000
274,402
Osaic Holdings, Inc., 6.75%,8/01/2032(n)
 
 
161,000
162,942
Osaic Holdings, Inc., 8%,8/01/2033(n)
 
 
280,000
284,539
 
 
 
$6,555,214
Building – 3.4%
AmeriTex Holdco Intermediate LLC, 10.25%,10/15/2028(n)
 
$
500,000
$530,612
AmeriTex Holdco Intermediate LLC, 7.625%,8/15/2033(n)
 
 
528,000
536,960
BCPE Ulysses Intermediate, Inc., 7.75% (7.75% Cash or 8.5% PIK),4/01/2027(n)(p)
 
 
197,000
196,969
Builders FirstSource, Inc., 6.75%,5/15/2035(n)
 
 
346,000
354,754
CEMEX S.A.B. de C.V., 7.2%,12/29/2049(n)
 
 
217,000
221,546
Cornerstone Building Brands, Inc., 6.125%,1/15/2029(n)
 
 
438,000
322,522
Cornerstone Building Brands, Inc., 9.5%,8/15/2029(n)
 
 
230,000
210,827
Ferguson Enterprises, Inc., 5%,10/03/2034
 
 
452,000
446,251
Foundation Building Materials LLC, 6%,3/01/2029(n)
 
 
620,000
581,489
GYP Holding III Corp., 4.625%,5/01/2029(n)
 
 
538,000
543,128
JH North America Holdings, Inc., 5.875%,1/31/2031(n)
 
 
285,000
285,976
JH North America Holdings, Inc., 6.125%,7/31/2032(n)
 
 
285,000
287,954
Knife River Corp., 7.75%,5/01/2031(n)
 
 
617,000
647,396
LBM Acquisition LLC, 6.25%,1/15/2029(n)
 
 
383,000
336,082
Miter Brands Acquisition Holdco, Inc., 6.75%,4/01/2032(n)
 
 
162,000
165,400
MIWD Holdco II LLC/MIWD Finance Co., 5.5%,2/01/2030(n)
 
 
604,000
574,913
New Enterprise Stone & Lime Co., Inc., 9.75%,7/15/2028(n)
 
 
193,000
193,482
Patrick Industries, Inc., 6.375%,11/01/2032(n)
 
 
746,000
746,498
Quikrete Holdings, Inc., 6.375%,3/01/2032(n)
 
 
596,000
611,255
Standard Building Solutions, Inc., 6.5%,8/15/2032(n)
 
 
312,000
318,601
Standard Industries, Inc., 4.75%,1/15/2028(n)
 
 
157,000
154,843
Standard Industries, Inc., 4.375%,7/15/2030(n)
 
 
317,000
300,116
Vulcan Materials Co., 5.7%,12/01/2054
 
 
207,000
204,713
White Cap Buyer LLC, 6.875%,10/15/2028(n)
 
 
671,000
669,185
 
 
 
$9,441,472
Business Services – 2.3%
Accenture Capital, Inc., 4.25%,10/04/2031
 
$
311,000
$306,258
Accenture Capital, Inc., 4.5%,10/04/2034
 
 
196,000
189,671
ams OSRAM AG, 10.5%,3/30/2029
 
EUR
618,000
751,904
athenahealth, Inc., 6.5%,2/15/2030(n)
 
$
550,000
540,679
CACI International, Inc., 6.375%,6/15/2033(n)
 
 
596,000
609,435
Engineering Ingegneria Informatica S.p.A., 11.125%,5/15/2028
 
EUR
180,000
217,537
Engineering Ingegneria Informatica S.p.A., 8.625%,2/15/2030
 
 
100,000
123,272
Fiserv Funding ULC, 3.5%,6/15/2032
 
 
370,000
422,087
Fiserv, Inc., 4.4%,7/01/2049
 
$
508,000
405,751
Iron Mountain, Inc., 5.25%,3/15/2028(n)
 
 
464,000
461,638
Iron Mountain, Inc., 5.625%,7/15/2032(n)
 
 
421,000
415,510
Iron Mountain, Inc., 6.25%,1/15/2033(n)
 
 
365,000
371,234
Mastercard, Inc., 3.85%,3/26/2050
 
 
150,000
116,713
Nexi S.p.A., 3.875%,5/21/2031
 
EUR
200,000
232,166
Paychex, Inc., 5.1%,4/15/2030
 
$
151,000
154,274
Paychex, Inc., 5.35%,4/15/2032
 
 
311,000
318,785
Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc., 6.75%,8/15/2032(n)
 
 
576,000
595,005
Visa, Inc., 3.875%,5/15/2044
 
EUR
210,000
240,290
 
 
 
$6,472,209
Cable TV – 3.3%
Cable One, Inc., 4%,11/15/2030(n)
 
$
537,000
$413,511
CCO Holdings LLC/CCO Holdings Capital Corp., 4.75%,3/01/2030(n)
 
 
1,679,000
1,595,375
CCO Holdings LLC/CCO Holdings Capital Corp., 4.5%,8/15/2030(n)
 
 
1,062,000
993,629
3

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Cable TV – continued
CCO Holdings LLC/CCO Holdings Capital Corp., 4.5%,5/01/2032
 
$
344,000
$312,133
CCO Holdings LLC/CCO Holdings Capital Corp., 4.25%,1/15/2034(n)
 
 
335,000
288,654
Charter Communications Operating LLC/Charter Communications Operating Capital Corp., 6.1%,6/01/2029
 
 
306,000
319,206
Charter Communications Operating LLC/Charter Communications Operating Capital Corp., 6.65%,2/01/2034
 
 
123,000
130,386
Charter Communications Operating LLC/Charter Communications Operating Capital Corp., 6.484%,10/23/2045
 
 
322,000
313,296
CSC Holdings LLC, 5.375%,2/01/2028(n)
 
 
700,000
643,656
CSC Holdings LLC, 5.75%,1/15/2030(n)
 
 
350,000
172,563
CSC Holdings LLC, 4.125%,12/01/2030(n)
 
 
250,000
168,060
DIRECTV Financing LLC, 8.875%,2/01/2030(n)
 
 
227,000
221,028
DIRECTV Holdings LLC/DIRECTV Financing Co., Inc., 10%,2/15/2031(n)
 
 
149,000
143,692
DISH DBS Corp., 7.75%,7/01/2026
 
 
347,000
308,396
DISH DBS Corp., 5.125%,6/01/2029
 
 
336,000
249,467
DISH Network Corp., 11.75%,11/15/2027(n)
 
 
325,000
338,468
EchoStar Corp., 10.75%,11/30/2029
 
 
516,194
543,940
Eutelsat S.A., 1.5%,10/13/2028
 
EUR
400,000
420,243
Videotron Ltd., 3.625%,6/15/2029(n)
 
$
511,000
487,099
Virgin Media Finance PLC, 5%,7/15/2030(n)
 
 
473,000
426,378
Ziggo Bond Finance B.V., 5.125%,2/28/2030(n)
 
 
837,000
730,211
 
 
 
$9,219,391
Chemicals – 1.7%
Arkema S.A., 4.25%,5/27/2173
 
EUR
200,000
$229,981
Cerdia Finanz GmbH, 9.375%,10/03/2031(n)
 
$
437,000
457,338
Chemours Co., 4.625%,11/15/2029(n)
 
 
738,000
625,058
Chemours Co., 8%,1/15/2033(n)
 
 
202,000
187,905
Consolidated Energy Finance S.A., 6.5%,5/15/2026(n)
 
 
150,000
146,678
Consolidated Energy Finance S.A., 5.625%,10/15/2028(n)
 
 
700,000
586,167
Maxam Prill S.à r.l., 6%,7/15/2030
 
EUR
535,000
608,389
Maxam Prill S.à r.l., 6%,7/15/2030(n)
 
 
509,000
578,823
SCIH Salt Holdings, Inc., 6.625%,5/01/2029(n)
 
$
696,000
688,050
SNF Group SACA, 3.375%,3/15/2030(n)
 
 
709,000
651,077
 
 
 
$4,759,466
Computer Software – 1.2%
Amentum Escrow Corp., 7.25%,8/01/2032(n)
 
$
660,000
$682,751
Cloud Software Group, Inc., 9%,9/30/2029(n)
 
 
146,000
151,090
Cloud Software Group, Inc., 8.25%,6/30/2032(n)
 
 
647,000
688,946
Fair Isaac Corp., 6%,5/15/2033(n)
 
 
514,000
516,414
Microsoft Corp., 2.525%,6/01/2050
 
 
529,000
325,418
Neptune Bidco U.S., Inc., 9.29%,4/15/2029(n)
 
 
507,000
490,664
Oracle Corp., 4%,7/15/2046
 
 
319,000
243,646
Sage Group PLC, 2.875%,2/08/2034
 
GBP
292,000
322,312
 
 
 
$3,421,241
Computer Software - Systems – 0.9%
Sabre GLBL, Inc., 8.625%,6/01/2027(n)
 
$
283,000
$287,500
Sabre GLBL, Inc., 10.75%,11/15/2029(n)
 
 
192,000
197,754
Sabre GLBL, Inc., 11.125%,7/15/2030(n)
 
 
151,000
159,192
SS&C Technologies Holdings, Inc., 5.5%,9/30/2027(n)
 
 
611,000
611,133
SS&C Technologies Holdings, Inc., 6.5%,6/01/2032(n)
 
 
175,000
179,942
Virtusa Corp., 7.125%,12/15/2028(n)
 
 
330,000
315,278
Zebra Technologies Corp., A, 6.5%,6/01/2032(n)
 
 
616,000
631,386
 
 
 
$2,382,185
Conglomerates – 1.4%
Amsted Industries, Inc., 6.375%,3/15/2033(n)
 
$
387,000
$393,176
BWX Technologies, Inc., 4.125%,6/30/2028(n)
 
 
162,000
156,781
Emerald Debt Merger, 6.625%,12/15/2030(n)
 
 
546,000
556,707
Gates Corp., 6.875%,7/01/2029(n)
 
 
399,000
410,603
4

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Conglomerates – continued
Grupo KUO S.A.B. de C.V., 5.75%,7/07/2027(n)
 
$
358,000
$352,701
Husky Injection Molding Systems Ltd., 9%,2/15/2029(n)
 
 
404,000
416,902
Regal Rexnord Corp., 6.05%,4/15/2028
 
 
424,000
436,785
Regal Rexnord Corp., 6.3%,2/15/2030
 
 
178,000
186,329
Siemens Financieringsmaatschappij N.V., 4%,5/27/2045
 
EUR
200,000
230,350
SPX Flow, Inc., 8.75%,4/01/2030(n)
 
$
551,000
569,076
Westinghouse Air Brake Technologies Corp., 5.611%,3/11/2034
 
 
215,000
222,289
 
 
 
$3,931,699
Construction – 0.7%
Empire Communities Corp., 9.75%,5/01/2029(n)
 
$
580,000
$591,500
Mattamy Group Corp., 5.25%,12/15/2027(n)
 
 
180,000
178,707
Mattamy Group Corp., 4.625%,3/01/2030(n)
 
 
413,000
396,216
New Home Co., 8.5%,11/01/2030(n)
 
 
407,000
415,535
Weekley Homes LLC/Weekley Finance Corp., 4.875%,9/15/2028(n)
 
 
426,000
409,917
 
 
 
$1,991,875
Consumer Products – 2.3%
Acushnet Co., 7.375%,10/15/2028(n)
 
$
507,000
$528,188
Amer Sports Co., 6.75%,2/16/2031(n)
 
 
662,000
688,418
CD&R Smokey Buyer, Inc./Radio Systems Corp., 9.5%,10/15/2029(n)
 
 
396,000
328,680
Champ Acquisition Corp., 8.375%,12/01/2031(n)
 
 
459,000
485,597
Energizer Holdings, Inc., 4.375%,3/31/2029(n)
 
 
397,000
376,376
Kenvue, Inc., 5.05%,3/22/2053
 
 
278,000
254,996
L'Oréal S.A., 5%,5/20/2035(n)
 
 
276,000
278,390
MajorDrive Holdings IV LLC, 6.375%,6/01/2029(n)
 
 
218,000
179,820
Newell Brands, Inc., 8.5%,6/01/2028(n)
 
 
252,000
264,064
Newell Brands, Inc., 6.375%,5/15/2030
 
 
546,000
529,095
Newell Brands, Inc., 6.625%,5/15/2032
 
 
305,000
291,680
Opal Bidco S.A.S., 5.5%,3/31/2032(n)
 
EUR
240,000
282,124
Opal Bidco S.A.S., 6.5%,3/31/2032(n)
 
$
254,000
256,549
Perrigo Finance Unlimited Co., 6.125%,9/30/2032
 
 
724,000
731,577
Prestige Consumer Healthcare, Inc., 5.125%,1/15/2028(n)
 
 
433,000
429,390
Prestige Consumer Healthcare, Inc., 3.75%,4/01/2031(n)
 
 
490,000
448,402
 
 
 
$6,353,346
Consumer Services – 2.4%
Allied Universal Holdco LLC, 6.875%,6/15/2030(n)
 
$
247,000
$252,870
Allied Universal Holdco LLC, 7.875%,2/15/2031(n)
 
 
562,000
589,334
Anywhere Real Estate Group LLC/Realogy Co-Issuer Corp., 9.75%,4/15/2030(n)
 
 
196,000
204,114
Arches Buyer, Inc., 6.125%,12/01/2028(n)
 
 
600,000
572,627
Booking Holdings, Inc., 4.125%,5/09/2038
 
EUR
280,000
325,225
Eurofins Scientific SE, 3.875%,2/05/2033(w)
 
 
130,000
148,993
Garda World Security Corp., 8.375%,11/15/2032(n)
 
$
600,000
618,049
GoDaddy, Inc., 3.5%,3/01/2029(n)
 
 
726,000
681,420
Pluxee N.V., 3.75%,9/04/2032
 
EUR
300,000
345,426
Raven Acquisition Holdings LLC, 6.875%,11/15/2031(n)
 
$
652,000
658,537
Realogy Group LLC/Realogy Co-Issuer Corp., 5.25%,4/15/2030(n)
 
 
419,000
351,792
Service Corp. International, 5.75%,10/15/2032
 
 
991,000
993,349
Toll Road Investors Partnership II LP, Capital Appreciation, NPFG, 0%,2/15/2027(n)
 
 
353,000
319,532
TriNet Group, Inc., 3.5%,3/01/2029(n)
 
 
449,000
417,618
TriNet Group, Inc., 7.125%,8/15/2031(n)
 
 
100,000
102,905
 
 
 
$6,581,791
Containers – 0.8%
Ball Corp., 6%,6/15/2029
 
$
368,000
$374,543
Ball Corp., 2.875%,8/15/2030
 
 
796,000
715,039
Clydesdale Acquisition Holdings, Inc., 8.75%,4/15/2030(n)
 
 
419,000
427,622
5

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Containers – continued
Owens-Brockway Glass Container, Inc., 7.25%,5/15/2031(n)
 
$
563,000
$569,326
 
 
 
$2,086,530
Electrical Equipment – 0.2%
CommScope LLC, 4.75%,9/01/2029(n)
 
$
149,000
$144,686
CommScope LLC, 9.5%,12/15/2031(n)
 
 
254,000
267,479
CommScope Technologies LLC, 5%,3/15/2027(n)
 
 
251,000
245,789
 
 
 
$657,954
Electronics – 0.5%
Broadcom, Inc., 4.55%,2/15/2032
 
$
423,000
$417,364
Broadcom, Inc., 5.2%,7/15/2035
 
 
254,000
255,202
Diebold Nixdorf, Inc., 7.75%,3/31/2030(n)
 
 
450,000
477,444
Intel Corp., 5.7%,2/10/2053
 
 
258,000
232,284
 
 
 
$1,382,294
Emerging Market Quasi-Sovereign – 5.8%
Abu Dhabi Developmental Holding Co. PJSC, 5.5%,5/08/2034(n)
 
$
944,000
$985,143
Bank Gospodarstwa Krajowego (Republic of Poland), 5.75%,7/09/2034(n)
 
 
940,000
973,276
CEZ A.S. (Czech Republic), 4.125%,4/30/2033
 
EUR
370,000
431,504
Chile Electricity Lux MPC II S.à r.l., 5.58%,10/20/2035(n)
 
$
507,325
512,398
Corporacion Financiera de Desarrollo S.A. (Republic of Peru), 5.5%,5/06/2030(n)
 
 
200,000
202,180
Czech Republic, 3.75%,7/28/2030
 
EUR
209,000
243,775
Development Bank of Kazakhstan JSC, 5.25%,10/23/2029(n)
 
$
200,000
202,443
Development Bank of Kazakhstan JSC, 5.625%,4/07/2030(n)
 
 
881,000
897,505
Empresa Nacional del Petroleo (Republic of Chile), 5.95%,7/30/2034(n)
 
 
425,000
433,798
Eskom Holdings SOC Ltd. (Republic of South Africa), 6.35%,8/10/2028(n)
 
 
1,052,000
1,069,087
Export-Import Bank of India, 3.375%,8/05/2026
 
 
1,366,000
1,348,300
Indian Railway Finance Corp., 2.8%,2/10/2031(n)
 
 
700,000
630,878
Magyar Export-Import Bank PLC (Republic of Hungary), 6.125%,12/04/2027(n)
 
 
490,000
501,607
Navoi Mining & Metallurgical Co. (Republic of Uzbekistan), 6.7%,10/17/2028
 
 
538,000
550,235
OCP S.A. (Kingdom of Morocco), 6.75%,5/02/2034(n)
 
 
285,000
296,420
OCP S.A. (Kingdom of Morocco), 5.125%,6/23/2051(n)
 
 
600,000
460,673
Office Cherifien des Phosphates S.A. (Kingdom of Morocco), 6.875%,4/25/2044(n)
 
 
373,000
364,561
Petroleos Mexicanos, 6.49%,1/23/2027
 
 
904,000
905,642
Petroleos Mexicanos, 6.7%,2/16/2032
 
 
499,000
475,646
Petroleos Mexicanos, 6.75%,9/21/2047
 
 
634,000
491,111
PETRONAS Capital Ltd. (Federation of Malaysia), 4.95%,1/03/2031(n)
 
 
534,000
542,664
PETRONAS Capital Ltd. (Federation of Malaysia), 5.34%,4/03/2035(n)
 
 
462,000
469,056
PT Perusahaan Listrik Negara (Republic of Indonesia), 4%,6/30/2050(n)
 
 
488,000
351,856
Qatar Petroleum, 3.125%,7/12/2041
 
 
355,000
264,787
Republic of Hungary, 4.375%,6/27/2030
 
EUR
442,000
516,772
Saudi Arabian Oil Co., 5.75%,7/17/2054(n)
 
$
410,000
385,311
State Oil Company of the Azerbaijan Republic, 6.95%,3/18/2030
 
 
1,152,000
1,224,740
Uzbek Industrial and Construction Bank ATB (Republic of Uzbekistan), 8.95%,7/24/2029(n)
 
 
388,000
410,454
 
 
 
$16,141,822
Emerging Market Sovereign – 8.5%
Dominican Republic, 5.5%,2/22/2029(n)
 
$
747,000
$745,655
Dominican Republic, 5.875%,1/30/2060(n)
 
 
927,000
778,958
Eagle Funding LuxCo. S.à r.l. (United Mexican States), 5.5%,8/17/2030(n)
 
 
805,000
808,622
Federal Republic of Nigeria, 7.875%,2/16/2032
 
 
320,000
310,994
Hellenic Republic (Republic of Greece), 3.625%,6/15/2035(n)
 
EUR
2,664,000
3,108,654
Kingdom of Morocco, 1.375%,3/30/2026
 
 
758,000
857,257
Kingdom of Morocco, 3%,12/15/2032(n)
 
$
448,000
381,177
Kingdom of Saudi Arabia, 5.125%,1/13/2028(n)
 
 
363,000
369,329
Oriental Republic of Uruguay, 8.25%,5/21/2031
 
UYU
11,700,000
289,187
Oriental Republic of Uruguay, 9.75%,7/20/2033
 
 
10,000,000
267,704
Republic of Albania, 4.75%,2/14/2035(n)
 
EUR
171,000
196,232
6

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Emerging Market Sovereign – continued
Republic of Angola, 8.25%,5/09/2028
 
$
491,000
$475,684
Republic of Angola, 9.375%,5/08/2048
 
 
400,000
323,792
Republic of Argentina, 4.125%,7/09/2035
 
 
1,047,289
691,211
Republic of Bulgaria, 5%,3/05/2037
 
 
408,000
397,625
Republic of Chile, 3.1%,1/22/2061
 
 
672,000
402,192
Republic of Costa Rica, 7.3%,11/13/2054
 
 
391,000
406,151
Republic of Cote d'Ivoire, 5.25%,3/22/2030
 
EUR
802,000
890,887
Republic of Guatemala, 6.05%,8/06/2031(n)
 
$
420,000
428,060
Republic of Guatemala, 6.125%,6/01/2050(n)
 
 
564,000
514,994
Republic of Hungary, 5.5%,6/16/2034(n)
 
 
970,000
958,666
Republic of Hungary, 6%,9/26/2035(n)
 
 
333,000
335,314
Republic of India, 7.18%,8/14/2033
 
INR
58,000,000
690,170
Republic of Paraguay, 5.6%,3/13/2048
 
$
1,049,000
943,051
Republic of Peru, 5.375%,2/08/2035
 
 
422,000
420,131
Republic of Peru, 6.85%,8/12/2035
 
PEN
2,000,000
571,530
Republic of Romania, 6.375%,1/30/2034
 
$
554,000
552,290
Republic of Romania, 5.625%,2/22/2036
 
EUR
360,000
401,717
Republic of Serbia, 1.65%,3/03/2033
 
 
115,000
109,305
Republic of Serbia, 6%,6/12/2034(n)
 
$
689,000
702,664
Republic of Serbia, 2.05%,9/23/2036(n)
 
EUR
456,000
402,075
Republic of South Africa, 7.1%,11/19/2036(n)
 
$
475,000
471,731
Republic of South Africa, 7.3%,4/20/2052
 
 
396,000
357,350
Republic of Turkey, 4.75%,1/26/2026
 
 
521,000
520,095
Republic of Turkey, 7.625%,5/15/2034
 
 
540,000
559,308
Republic of Turkey, 6.5%,1/03/2035
 
 
308,000
294,918
Sultanate of Oman, 6%,8/01/2029
 
 
406,000
426,341
Sultanate of Oman, 7%,1/25/2051
 
 
600,000
664,613
United Mexican States, 4.75%,4/27/2032
 
 
736,000
698,147
United Mexican States, 5.85%,7/02/2032
 
 
408,000
410,448
United Mexican States, 3.771%,5/24/2061
 
 
430,000
251,335
 
 
 
$23,385,564
Energy - Independent – 3.4%
Chord Energy Corp., 6.75%,3/15/2033(n)
 
$
470,000
$479,411
Civitas Resources, Inc., 8.375%,7/01/2028(n)
 
 
309,000
317,753
Civitas Resources, Inc., 8.625%,11/01/2030(n)
 
 
185,000
188,743
Civitas Resources, Inc., 8.75%,7/01/2031(n)
 
 
311,000
314,837
CNX Resources Corp., 7.25%,3/01/2032(n)
 
 
403,000
415,495
Comstock Resources, Inc., 6.75%,3/01/2029(n)
 
 
808,000
798,869
Gulfport Energy Corp., 6.75%,9/01/2029(n)
 
 
617,000
627,032
Kraken Oil & Gas Partners LLC, 7.625%,8/15/2029(n)
 
 
344,000
337,266
Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp., 6.875%,12/01/2032(n)
 
 
602,000
608,270
Matador Resources Co., 6.875%,4/15/2028(n)
 
 
561,000
570,186
Matador Resources Co., 6.5%,4/15/2032(n)
 
 
199,000
199,587
Occidental Petroleum Corp., 6.45%,9/15/2036
 
 
395,000
402,007
Permian Resources Operating LLC, 5.875%,7/01/2029(n)
 
 
532,000
532,325
Permian Resources Operating LLC, 7%,1/15/2032(n)
 
 
333,000
343,862
Permian Resources Operating LLC, 6.25%,2/01/2033(n)
 
 
142,000
142,845
Pioneer Natural Resources Co., 2.15%,1/15/2031
 
 
286,000
253,084
Sitio Royalties Operating Partnership LP, 7.875%,11/01/2028(n)
 
 
540,000
563,392
Tengizchevroil Finance Co. International Ltd., 4%,8/15/2026(n)
 
 
422,000
416,987
Tengizchevroil Finance Co. International Ltd., 4%,8/15/2026
 
 
1,025,000
1,012,825
Vital Energy, Inc., 7.875%,4/15/2032(n)
 
 
477,000
418,668
Wildfire Intermediate Holdings LLC, 7.5%,10/15/2029(n)
 
 
394,000
392,046
 
 
 
$9,335,490
7

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Energy - Integrated – 0.8%
BP Capital Markets B.V., 0.933%,12/04/2040
 
EUR
190,000
$138,579
BP Capital Markets PLC, 6%,2/19/2173
 
GBP
280,000
374,441
Exxon Mobil Corp., 1.408%,6/26/2039
 
EUR
450,000
374,405
Orlen S.A., 6%,1/30/2035
 
$
542,000
556,788
TotalEnergies Capital International S.A., 3.647%,7/01/2035
 
EUR
600,000
689,502
 
 
 
$2,133,715
Entertainment – 1.6%
Carnival Corp., 5.75%,1/15/2030
 
EUR
200,000
$247,624
Life Time, Inc., 6%,11/15/2031(n)
 
$
626,000
630,620
Lindblad Expeditions Holdings, Inc., 9%,5/15/2028(n)
 
 
501,000
522,137
NCL Corp. Ltd., 5.875%,3/15/2026(n)
 
 
49,000
49,088
NCL Corp. Ltd., 6.25%,3/01/2030(n)
 
 
618,000
625,425
NCL Corp. Ltd., 6.75%,2/01/2032(n)
 
 
335,000
344,085
Royal Caribbean Cruises Ltd., 6%,2/01/2033(n)
 
 
485,000
493,004
Six Flags Entertainment Corp., 6.625%,5/01/2032(n)
 
 
700,000
712,815
Viking Cruises Ltd. Co., 5.875%,9/15/2027(n)
 
 
192,000
191,876
Viking Ocean Cruises Ship VII Ltd., 5.625%,2/15/2029(n)
 
 
656,000
651,647
 
 
 
$4,468,321
Financial Institutions – 5.5%
Avation Capital S.A., 8.25% (8.25% Cash or 9% PIK),10/31/2026(n)(p)
 
$
626,867
$618,675
Avolon Holdings Funding Ltd., 4.375%,5/01/2026(n)
 
 
388,000
385,981
Azorra Finance Ltd., 7.75%,4/15/2030(n)
 
 
759,000
790,512
Azorra Finance Ltd., 7.25%,1/15/2031(n)
 
 
202,000
206,167
Corporacion Inmobiliaria Vesta S.A.B. de C.V., 3.625%,5/13/2031
 
 
320,000
286,321
Credit Acceptance Corp., 9.25%,12/15/2028(n)
 
 
243,000
256,993
Credit Acceptance Corp., 6.625%,3/15/2030(n)
 
 
408,000
413,169
Fastighets AB Balder, 4%,2/19/2032
 
EUR
440,000
502,723
Freedom Mortgage Corp., 7.625%,5/01/2026(n)
 
$
387,000
388,679
Freedom Mortgage Holdings LLC, 9.25%,2/01/2029(n)
 
 
457,000
476,325
FTAI Aviation Ltd., 5.5%,5/01/2028(n)
 
 
581,000
579,597
FTAI Aviation Ltd., 7.875%,12/01/2030(n)
 
 
383,000
406,083
Global Aircraft Leasing Co. Ltd., 8.75%,9/01/2027(n)
 
 
481,000
496,699
Heimstaden Bostad AB, 8.375%,1/29/2030
 
EUR
434,000
514,475
Icahn Enterprises LP/Icahn Enterprises Finance Corp., 9.75%,1/15/2029
 
$
480,000
484,800
Icahn Enterprises LP/Ichan Enterprises Finance Corp., 10%,11/15/2029(n)
 
 
204,000
206,535
Jefferson Capital Holdings LLC, 8.25%,5/15/2030(n)
 
 
495,000
516,455
LFS TopCo LLC, 8.75%,7/15/2030(n)
 
 
492,000
475,880
Macquarie AirFinance Holdings Ltd., 5.15%,3/17/2030(n)
 
 
86,000
85,928
Macquarie AirFinance Holdings Ltd., 6.5%,3/26/2031(n)
 
 
275,000
291,109
Muthoot Finance Ltd., 7.125%,2/14/2028(n)
 
 
226,000
231,260
Nationstar Mortgage Holdings, Inc., 6%,1/15/2027(n)
 
 
465,000
465,482
Nationstar Mortgage Holdings, Inc., 6.5%,8/01/2029(n)
 
 
422,000
431,626
OneMain Finance Corp., 6.625%,5/15/2029
 
 
513,000
523,920
OneMain Finance Corp., 5.375%,11/15/2029
 
 
412,000
403,984
OneMain Finance Corp., 7.5%,5/15/2031
 
 
197,000
205,307
PennyMac Financial Services, Inc., 6.875%,2/15/2033(n)
 
 
1,042,000
1,062,018
Phoenix Aviation Capital, 9.25%,7/15/2030(n)
 
 
345,000
361,493
Rocket Cos., Inc., 6.125%,8/01/2030(n)
 
 
493,000
499,879
Rocket Cos., Inc., 6.375%,8/01/2033(n)
 
 
493,000
502,852
Rocket Cos., Inc., 4%,10/15/2033(n)
 
 
160,000
141,557
Rocket Mortgage Co-Issuer, Inc., 3.875%,3/01/2031(n)
 
 
219,000
202,009
Shriram Finance Ltd., 6.15%,4/03/2028(n)
 
 
731,000
735,681
Shurgard Luxembourg S.à r.l., 4%,5/27/2035
 
EUR
300,000
341,845
TrueNoord Capital DAC, 8.75%,3/01/2030(n)
 
$
289,000
299,732
Walker & Dunlop, Inc., 6.625%,4/01/2033(n)
 
 
453,000
461,847
 
 
 
$15,253,598
8

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Food & Beverages – 4.0%
Anheuser-Busch InBev S.A., 4.125%,5/19/2045
 
EUR
110,000
$124,731
Anheuser-Busch InBev Worldwide, Inc., 4.375%,4/15/2038
 
$
260,000
241,221
Anheuser-Busch InBev Worldwide, Inc., 5.55%,1/23/2049
 
 
331,000
325,402
Bacardi Ltd., 5.15%,5/15/2038(n)
 
 
530,000
491,997
Bacardi-Martini B.V., 5.4%,6/15/2033(n)
 
 
126,000
126,151
Central American Bottling Corp., 5.25%,4/27/2029(n)
 
 
691,000
671,312
Fiesta Purchaser, Inc., 7.875%,3/01/2031(n)
 
 
179,000
189,134
Fiesta Purchaser, Inc., 9.625%,9/15/2032(n)
 
 
320,000
338,166
Flowers Foods, Inc., 5.75%,3/15/2035
 
 
384,000
390,992
Flowers Foods, Inc., 6.2%,3/15/2055
 
 
125,000
122,204
Gruma S.A.B. de C.V., 5.39%,12/09/2034(n)
 
 
200,000
201,500
JBS USA Holding S.à r.l./JBS USA Food Co./JBS USA Foods Group Holdings, Inc., 5.5%,1/15/2036(n)
 
 
521,000
518,879
JBS USA Lux S.A./JBS USA Food Co./JBS USA Finance, Inc., 3.625%,1/15/2032
 
 
1,000,000
914,555
JBS USA Lux S.A./JBS USA Food Co./JBS USA Finance, Inc., 6.5%,12/01/2052
 
 
306,000
312,744
Kraft Heinz Foods Co., 4.375%,6/01/2046
 
 
549,000
436,177
Mars, Inc., 4.8%,3/01/2030(n)
 
 
251,000
253,492
Mars, Inc., 5.2%,3/01/2035(n)
 
 
577,000
579,762
Mars, Inc., 5.7%,5/01/2055(n)
 
 
387,000
381,870
Performance Food Group Co., 5.5%,10/15/2027(n)
 
 
454,000
453,302
Performance Food Group Co., 6.125%,9/15/2032(n)
 
 
338,000
343,235
Post Holdings, Inc., 4.625%,4/15/2030(n)
 
 
882,000
842,489
Post Holdings, Inc., 6.25%,10/15/2034(n)
 
 
243,000
243,304
Primo Water Holdings Inc./Triton Water Holdings, 4.375%,4/30/2029(n)
 
 
875,000
844,027
Sudzucker International Finance B.V., 5.95% to 8/28/2030, FLR (EUR ICE Swap Rate - 5yr. + 3.699%) to 8/28/2035, FLR (EUR
ICE Swap Rate - 5yr. + 3.949%) to 8/28/2050, FLR (EUR ICE Swap Rate - 5yr. + 4.699%) to5/28/2174
 
EUR
300,000
341,185
U.S. Foods Holding Corp., 4.75%,2/15/2029(n)
 
$
834,000
816,768
U.S. Foods Holding Corp., 5.75%,4/15/2033(n)
 
 
131,000
129,795
Viking Baked Goods Acquisition Corp., 8.625%,11/01/2031(n)
 
 
419,000
410,837
 
 
 
$11,045,231
Forest & Paper Products – 1.1%
Graphic Packaging International LLC, 1.512%,4/15/2026(n)
 
$
521,000
$507,616
Graphic Packaging International LLC, 6.375%,7/15/2032(n)
 
 
666,000
674,034
Mondi Finance PLC, 3.75%,5/18/2033
 
EUR
390,000
449,782
Smurfit Kappa Treasury Co., 7.5%,11/20/2025
 
$
350,000
352,718
Stora Enso Oyj, 7.25%,4/15/2036(n)
 
 
444,000
478,212
Veritiv Operating Co., 10.5%,11/30/2030(n)
 
 
464,000
502,919
 
 
 
$2,965,281
Gaming & Lodging – 3.3%
CCM Merger, Inc., 6.375%,5/01/2026(n)
 
$
541,000
$540,837
CDI Escrow Issuer, Inc., 5.75%,4/01/2030(n)
 
 
1,034,000
1,031,446
Flutter Treasury DAC, 6.375%,4/29/2029(n)
 
 
514,000
528,608
Flutter Treasury DAC, 5.875%,6/04/2031(n)
 
 
400,000
402,638
Flutter Treasury DAC, 6.125%,6/04/2031
 
GBP
320,000
424,175
Hilton Domestic Operating Co., Inc., 4.875%,1/15/2030
 
$
1,016,000
1,002,051
Hilton Domestic Operating Co., Inc., 3.625%,2/15/2032(n)
 
 
564,000
508,517
Hilton Domestic Operating Co., Inc., 5.875%,3/15/2033(n)
 
 
240,000
241,801
Marriott International, Inc., 2.85%,4/15/2031
 
 
282,000
255,636
Melco Resorts Finance Limited, 5.375%,12/04/2029
 
 
856,000
816,256
Sands China Ltd., 4.375%,6/18/2030
 
 
320,000
308,959
Whitbread Group PLC, 5.5%,5/31/2032
 
GBP
157,000
205,707
Wyndham Hotels & Resorts, Inc., 4.375%,8/15/2028(n)
 
$
684,000
663,764
Wynn Macau Ltd., 5.625%,8/26/2028(n)
 
 
1,524,000
1,507,304
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 5.125%,10/01/2029(n)
 
 
639,000
634,073
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 7.125%,2/15/2031(n)
 
 
133,000
141,460
 
 
 
$9,213,232
9

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Industrial – 1.3%
AECOM, 6%,8/01/2033(n)
 
$
734,000
$739,967
APi Escrow Corp., 4.75%,10/15/2029(n)
 
 
918,000
884,252
Booz Allen Hamilton, Inc., 5.95%,4/15/2035
 
 
341,000
348,147
Brundage-Bone Concrete Pumping Holdings, Inc., 7.5%,2/01/2032(n)
 
 
302,000
300,614
Prysmian S.p.A., 5.25% to 8/21/2030, FLR (EUR ICE Swap Rate - 5yr. + 3.012%) to 8/21/2035, FLR (EUR ICE Swap Rate - 5yr.
+ 3.262%) to 8/21/2050, FLR (EUR ICE Swap Rate - 5yr. + 4.012%) to8/21/2173
 
EUR
270,000
320,836
Trustees of the University of Pennsylvania, 2.396%,10/01/2050
 
$
966,000
559,672
WSP Global, Inc., 5.548%,11/22/2030
 
CAD
695,000
537,240
 
 
 
$3,690,728
Insurance – 1.3%
Allianz SE, 3.2% to 4/30/2028, FLR (CMT - 5yr. + 2.165%) to4/30/2171(n)
 
$
600,000
$547,609
Aviva PLC, 4.625%,8/28/2056
 
EUR
530,000
619,167
Corebridge Financial, Inc., 4.35%,4/05/2042
 
$
351,000
293,781
Generali, 4.135%,6/18/2036
 
EUR
290,000
331,752
MetLife, Inc., 5.3%,12/15/2034
 
$
419,000
428,506
Nippon Life Insurance Co., 4.114% to 1/23/2035, FLR (EUR ICE Swap Rate - 5yr. + 2.6%) to1/23/2055
 
EUR
170,000
194,504
Northwestern Mutual Life Insurance Co., 6.17%,5/29/2055(n)
 
$
646,000
673,832
Sammons Financial Group, Inc., 6.875%,4/15/2034(n)
 
 
476,000
510,892
 
 
 
$3,600,043
Insurance - Health – 0.6%
Elevance Health, Inc., 5.375%,6/15/2034
 
$
239,000
$242,038
Humana, Inc., 5.375%,4/15/2031
 
 
196,000
199,930
Humana, Inc., 5.55%,5/01/2035
 
 
531,000
531,887
UnitedHealth Group, Inc., 5.15%,7/15/2034
 
 
565,000
566,628
 
 
 
$1,540,483
Insurance - Property & Casualty – 3.3%
Acrisure LLC/Acrisure Finance, Inc., 8.25%,2/01/2029(n)
 
$
397,000
$410,834
Acrisure LLC/Acrisure Finance, Inc., 6%,8/01/2029(n)
 
 
460,000
448,696
Acrisure LLC/Acrisure Finance, Inc., 7.5%,11/06/2030(n)
 
 
148,000
152,896
Acrisure LLC/Acrisure Finance, Inc., 6.75%,7/01/2032(n)
 
 
303,000
306,787
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 5.875%,11/01/2029(n)
 
 
410,000
403,742
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 7%,1/15/2031(n)
 
 
403,000
414,394
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 6.5%,10/01/2031(n)
 
 
758,000
769,009
American International Group, Inc., 5.125%,3/27/2033
 
 
356,000
360,362
AmWINS Group Benefits, Inc., 6.375%,2/15/2029(n)
 
 
254,000
258,655
AmWINS Group Benefits, Inc., 4.875%,6/30/2029(n)
 
 
357,000
346,749
Amynta Agency Borrower, Inc., 7.5%,7/15/2033(n)
 
 
342,000
343,003
Arthur J. Gallagher & Co., 5%,2/15/2032
 
 
79,000
79,648
Arthur J. Gallagher & Co., 6.5%,2/15/2034
 
 
109,000
118,921
Arthur J. Gallagher & Co., 5.75%,3/02/2053
 
 
238,000
230,557
Baldwin Insurance Group Holdings LLC, 7.125%,5/15/2031(n)
 
 
753,000
777,446
Fairfax Financial Holdings Ltd., 4.25%,12/06/2027
 
CAD
672,000
493,034
Fairfax Financial Holdings Ltd., 5.75%,5/20/2035(n)
 
$
443,000
446,629
Fairfax Financial Holdings Ltd., 6.35%,3/22/2054
 
 
402,000
405,283
Hub International Ltd., 5.625%,12/01/2029(n)
 
 
275,000
273,049
Hub International Ltd., 7.25%,6/15/2030(n)
 
 
593,000
618,165
Hub International Ltd., 7.375%,1/31/2032(n)
 
 
237,000
246,776
Marsh & McLennan Cos., Inc., 5.4%,3/15/2055
 
 
319,000
304,313
Panther Escrow Issuer, 7.125%,6/01/2031(n)
 
 
867,000
896,563
 
 
 
$9,105,511
Interactive Media Services – 0.2%
Snap, Inc., 6.875%,3/01/2033(n)
 
$
622,000
$637,768
10

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
International Market Quasi-Sovereign – 1.1%
Electricite de France S.A., 4.625%,5/07/2045
 
EUR
200,000
$225,400
Electricite de France S.A., 6.5%,11/08/2064
 
GBP
300,000
372,963
EnBW International Finance B.V. (Federal Republic of Germany), 3.75%,11/20/2035
 
EUR
280,000
321,192
Landsbankinn hf. (Republic of Iceland), 3.75%,10/08/2029
 
 
435,000
503,475
Logicor Financing S.à r.l. (Grand Duchy of Luxembourg), 3.75%,7/14/2032
 
 
460,000
521,633
Ontario Teachers' Cadillac Fairview Properties, 2.5%,10/15/2031(n)
 
$
425,000
371,796
P3 Group S.à r.l. (Grand Duchy of Luxembourg), 4%,4/19/2032
 
EUR
280,000
321,932
Wolf Midstream Canada LP, 6.4%,7/18/2029(n)
 
CAD
519,000
386,272
 
 
 
$3,024,663
International Market Sovereign – 4.9%
Commonwealth of Australia, 1.75%,11/21/2032
 
AUD
5,770,000
$3,188,401
Commonwealth of Australia, 3.5%,12/21/2034
 
 
7,269,000
4,416,129
Government of Bermuda, 2.375%,8/20/2030(n)
 
$
239,000
212,438
Government of Bermuda, 5%,7/15/2032(n)
 
 
731,000
724,224
Republic of Italy, 4.15%,10/01/2039(n)
 
EUR
4,168,000
4,922,138
 
 
 
$13,463,330
Internet – 0.1%
Alphabet, Inc., 4%,5/06/2054
 
EUR
199,000
$224,685
Local Authorities – 0.3%
Alliander N.V., 3.5%,5/06/2037
 
EUR
290,000
$330,084
Province of Alberta, 1.65%,6/01/2031
 
CAD
553,000
362,695
Province of British Columbia, 2.95%,6/18/2050
 
 
405,000
219,327
 
 
 
$912,106
Machinery & Tools – 0.5%
Manitowoc Co., Inc., 9.25%,10/01/2031(n)
 
$
405,000
$430,312
Ritchie Bros Holdings, Inc., 7.75%,3/15/2031(n)
 
 
1,014,000
1,062,664
 
 
 
$1,492,976
Major Banks – 7.3%
Alpha Bank S.A., 4.308% to 7/23/2031, FLR (EUR ICE Swap Rate - 5yr. + 1.93%) to7/23/2036
 
EUR
370,000
$425,219
Bank of America Corp., 5.202% to 4/25/2028, FLR (SOFR - 1 day + 1.63%) to4/25/2029
 
$
349,000
355,507
Bank of America Corp., 2.687% to 4/22/2031, FLR (SOFR - 1 day + 1.32%) to4/22/2032
 
 
409,000
366,744
Bank of America Corp., 5.425% to 8/15/2034, FLR (SOFR - 1 day + 1.913%) to8/15/2035
 
 
361,000
361,651
Bank of America Corp., 5.464% to 5/09/2035, FLR (SOFR - 1 day + 1.64%) to5/09/2036
 
 
326,000
333,574
Bank of Ireland Group PLC, 3.625%,5/19/2032
 
EUR
200,000
231,425
Barclays PLC, 4.973%,5/31/2036
 
 
400,000
482,795
BNP Paribas S.A., 5.283% to 11/19/2029, FLR (SOFR - 1 day + 1.28%) to11/19/2030(n)
 
$
467,000
475,736
Citigroup, Inc., 4.296% to 7/23/2035, FLR (EURIBOR - 3mo. + 1.611%) to7/23/2036
 
EUR
440,000
508,773
Citigroup, Inc., 6.875% to 8/15/2030, FLR (CMT - 5yr. + 2.89%) to11/15/2173
 
$
439,000
442,731
Commonwealth Bank of Australia, 2.688%,3/11/2031(n)
 
 
688,000
613,073
Credit Agricole S.A., 3.75%,5/27/2035
 
EUR
400,000
458,727
Danske Bank A.S., 1.549%,9/10/2027(n)
 
$
361,000
348,958
Danske Bank A.S., 4.613% to 10/02/2029, FLR (CMT - 1yr. + 1.1%) to10/02/2030(n)
 
 
390,000
388,810
Danske Bank A.S., 3.5%,5/26/2033
 
EUR
430,000
493,340
Deutsche Bank AG, 5.373% to 1/10/2028, FLR (SOFR - 1 day + 1.21%) to1/10/2029
 
$
440,000
447,329
Deutsche Bank AG, 4.95% to 8/04/2030, FLR (SOFR - 1 day + 1.3%) to8/04/2031(w)
 
 
253,000
253,419
Erste Group Bank AG, 6.375%,11/20/2173
 
EUR
400,000
470,905
Goldman Sachs Group, Inc., 4.692% to 10/23/2029, FLR (SOFR - 1 day + 1.135%) to10/23/2030
 
$
216,000
215,834
Goldman Sachs Group, Inc., 5.016% to 10/23/2034, FLR (SOFR - 1 day + 1.42%) to10/23/2035
 
 
495,000
488,229
HSBC Holdings PLC, 5.13% to 3/03/2030, FLR (SOFR - 1 day + 1.29%) to3/03/2031
 
 
347,000
351,798
HSBC Holdings PLC, 4.191%,5/19/2036
 
EUR
410,000
478,457
JPMorgan Chase & Co., 5.581% to 4/22/2029, FLR (SOFR - 1 day + 1.16%) to4/22/2030
 
$
343,000
355,564
JPMorgan Chase & Co., 4.603% to 10/22/2029, FLR (SOFR - 1 day + 1.04%) to10/22/2030
 
 
546,000
547,209
JPMorgan Chase & Co., 1.953% to 2/04/2031, FLR (SOFR - 1 day + 1.065%) to2/04/2032
 
 
639,000
554,367
JPMorgan Chase & Co., 5.502% to 1/24/2035, FLR (SOFR - 1 day + 1.315%) to1/24/2036
 
 
312,000
320,099
11

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Major Banks – continued
mBank S.A., 4.034% to 9/27/2029, FLR (EURIBOR - 3mo. + 1.75%) to9/27/2030
 
EUR
400,000
$464,622
mBank S.A., 4.778% to 9/25/2030, FLR (EUR ICE Swap Rate - 5yr. +2.5%) to9/25/2035
 
 
500,000
578,023
Mitsubishi UFJ Financial Group, Inc., 2.494% to 10/13/2031, FLR (CMT - 1yr. + 0.97%) to10/13/2032
 
$
550,000
481,222
Morgan Stanley, 1.593% to 5/04/2026, FLR (SOFR - 1 day + 0.879%) to5/04/2027
 
 
312,000
304,961
Morgan Stanley, 3.622% to 4/01/2030, FLR (SOFR - 1 day + 3.12%) to4/01/2031
 
 
550,000
526,814
Morgan Stanley, 5.424% to 7/21/2033, FLR (SOFR - 1 day + 1.88%) to7/21/2034
 
 
489,000
500,790
Nationwide Building Society, 4%,7/30/2035
 
EUR
320,000
372,238
Nationwide Building Society, 7.875%,12/10/2173
 
GBP
320,000
435,553
NatWest Group PLC, 7.5% to 8/28/2032, FLR (GBP Government Yield - 5yr. + 3.294%) to3/31/2074
 
 
360,000
478,703
PNC Financial Services Group, Inc., 5.676% to 1/22/2034, FLR (SOFR - 1 day + 1.902%) to1/22/2035
 
$
287,000
297,779
PNC Financial Services Group, Inc., 5.575% to 1/29/2035, FLR (SOFR - 1 day + 1.394%) to1/29/2036
 
 
176,000
180,485
UBS Group AG, 2.746% to 2/11/2032, FLR (CMT - 1yr. + 1.1%) to2/11/2033(n)
 
 
711,000
620,557
UBS Group AG, 4.375% to 2/10/2031, FLR (CMT - 1yr. + 3.313%) to8/10/2171(n)
 
 
579,000
518,931
UBS Group AG, 7% to 8/05/2035, FLR (USD SOFR ICE Swap Rate - 5yr. + 3.296%) to8/05/2172(n)(w)
 
 
249,000
249,000
Unicaja Banco S.A., 3.5% to 6/30/2030, FLR (EUR ICE Swap Rate - 1yr. + 1.35%) to6/30/2031
 
EUR
400,000
459,066
Unicaja Banco S.A., 4.875% to 5/18/2027, FLR (EUR Swap Rate - 5yr. + 5.02%) to2/18/2174
 
 
400,000
456,754
UniCredit S.p.A., 2.569% to 9/22/2025, FLR (CMT - 1yr. + 2.3%) to9/22/2026(n)
 
$
530,000
528,106
UniCredit S.p.A., 3.725%,6/10/2035
 
EUR
640,000
734,388
UniCredit S.p.A., 5.625% to 6/03/2033, FLR (EUR ICE Swap Rate - 5yr. +3.299%) to6/03/2073
 
 
320,000
359,984
Wells Fargo & Co., 5.244% to 1/24/2030, FLR (SOFR - 1 day + 1.11%) to1/24/2031
 
$
366,000
374,716
Wells Fargo & Co., 3.35% to 3/02/2032, FLR (SOFR - 1 day + 1.5%) to3/02/2033
 
 
556,000
508,979
 
 
 
$20,201,944
Medical & Health Technology & Services – 3.1%
180 Medical, Inc., 3.875%,10/15/2029(n)
 
$
765,000
$724,267
Acadia Healthcare Co., Inc., 7.375%,3/15/2033(n)
 
 
401,000
412,868
Bausch & Lomb Escrow Corp., 8.375%,10/01/2028(n)
 
 
437,000
455,616
Becton, Dickinson and Co., 4.874%,2/08/2029
 
 
496,000
501,888
CHS/Community Health Systems, Inc., 6.125%,4/01/2030(n)
 
 
295,000
208,519
CHS/Community Health Systems, Inc., 5.25%,5/15/2030(n)
 
 
1,190,000
1,040,982
Concentra, Inc., 6.875%,7/15/2032(n)
 
 
543,000
557,927
Encompass Health Corp., 5.75%,9/15/2025
 
 
52,000
51,935
Encompass Health Corp., 4.75%,2/01/2030
 
 
643,000
628,499
Encompass Health Corp., 4.625%,4/01/2031
 
 
202,000
192,928
IQVIA, Inc., 5%,5/15/2027(n)
 
 
454,000
451,391
IQVIA, Inc., 6.5%,5/15/2030(n)
 
 
400,000
412,414
IQVIA, Inc., 6.25%,6/01/2032(n)
 
 
273,000
279,949
Lifepoint Health, Inc., 9.875%,8/15/2030(n)
 
 
301,000
324,414
Lifepoint Health, Inc., 11%,10/15/2030(n)
 
 
322,000
353,909
Lifepoint Health, Inc., 10%,6/01/2032(n)
 
 
212,000
220,084
New York Society for the Relief of the Ruptured & Crippled, 2.667%,10/01/2050
 
 
318,000
188,298
ProMedica Toledo Hospital, B, AGM, 6.015%,11/15/2048
 
 
205,000
195,768
Surgery Center Holdings, Inc., 7.25%,4/15/2032(n)
 
 
527,000
541,865
Thermo Fisher Scientific Finance I B.V., 2%,10/18/2051
 
EUR
330,000
244,694
U.S. Acute Care Solutions LLC, 9.75%,5/15/2029(n)
 
$
515,000
526,186
 
 
 
$8,514,401
Medical Equipment – 0.9%
Insulet Corp., 6.5%,4/01/2033(n)
 
$
594,000
$610,587
Medline Borrower LP, 3.875%,4/01/2029(n)
 
 
256,000
244,141
Medline Borrower LP, 5.25%,10/01/2029(n)
 
 
723,000
708,874
Medline Borrower LP/Medline Co-Issuer, Inc., 6.25%,4/01/2029(n)
 
 
480,000
489,428
Stryker Corp., 5.2%,2/10/2035
 
 
370,000
375,753
 
 
 
$2,428,783
Metals & Mining – 2.2%
Baffinland Iron Mines Corp./Baffinland Iron Mines LP, 8.75%,7/15/2026(n)
 
$
535,000
$504,322
Cleveland-Cliffs, Inc., 7%,3/15/2032(n)
 
 
338,000
329,756
FMG Resources Ltd., 4.375%,4/01/2031(n)
 
 
1,519,000
1,423,152
12

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Metals & Mining – continued
Glencore Capital Finance DAC, 3.75%,2/04/2032
 
EUR
470,000
$542,114
Mineral Resources Ltd., 9.25%,10/01/2028(n)
 
$
641,000
669,943
Novelis, Inc., 4.75%,1/30/2030(n)
 
 
576,000
551,754
Novelis, Inc., 6.875%,1/30/2030(n)
 
 
308,000
317,377
Novelis, Inc., 3.875%,8/15/2031(n)
 
 
315,000
282,548
Petra Diamonds US$ Treasury PLC, 9.75%,3/08/2026(z)
 
 
263,919
144,490
Rio Tinto Finance (USA) PLC, 5%,3/14/2032
 
 
372,000
377,804
Samarco Mineracao S.A., 9% PIK to 12/30/2025, (4% Cash + 5% PIK) to 12/30/2026, (5.5% Cash + 3.5% PIK) to
12/30/2027, 9.25% Cash to 12/30/2029, 9.5% Cash to6/30/2031(p)
 
 
440,222
435,976
Taseko Mines Ltd., 8.25%,5/01/2030(n)
 
 
496,000
517,890
 
 
 
$6,097,126
Midstream – 5.6%
Buckeye Partners LP, 6.75%,2/01/2030(n)
 
$
450,000
$465,864
Buckeye Partners LP, 5.85%,11/15/2043
 
 
170,000
151,139
Cheniere Energy Partners LP, 5.55%,10/30/2035(n)
 
 
475,000
477,395
Columbia Pipelines Operating Co. LLC, 6.036%,11/15/2033(n)
 
 
169,000
177,646
Columbia Pipelines Operating Co. LLC, 6.544%,11/15/2053(n)
 
 
379,000
391,413
Delek Logistics Partners LP/Delek Logistics Corp., 8.625%,3/15/2029(n)
 
 
627,000
652,525
Delek Logistics Partners LP/Delek Logistics Corp., 7.375%,6/30/2033(n)
 
 
268,000
264,927
Eastern Energy Gas Holdings LLC, 5.65%,10/15/2054
 
 
396,000
379,106
Energy Transfer LP, 5.95%,5/15/2054
 
 
273,000
258,046
Galaxy Pipeline Assets Bidco Ltd., 2.16%,3/31/2034(n)
 
 
16
14
Genesis Energy LP/Genesis Energy Finance Corp., 8.25%,1/15/2029
 
 
755,000
787,464
NFE Financing LLC, 12%,11/15/2029(n)
 
 
348,036
123,299
NuStar Logistics LP, 6.375%,10/01/2030
 
 
599,000
617,087
Pembina Pipeline Corp., 4.81%,3/25/2044
 
CAD
617,000
418,216
Peru LNG, 5.375%,3/22/2030
 
$
872,570
831,336
Plains All American Pipeline LP, 5.7%,9/15/2034
 
 
452,000
458,464
Prairie Acquiror LP, 9%,8/01/2029(n)
 
 
456,000
472,320
Rockies Express Pipeline LLC, 4.95%,7/15/2029(n)
 
 
59,000
57,847
Rockies Express Pipeline LLC, 6.75%,3/15/2033(n)
 
 
264,000
274,244
Rockies Express Pipeline LLC, 7.5%,7/15/2038(n)
 
 
203,000
208,844
Rockies Express Pipeline LLC, 6.875%,4/15/2040(n)
 
 
595,000
598,925
Sunoco LP, 7.25%,5/01/2032(n)
 
 
658,000
689,581
Tallgrass Energy Partners LP, 5.5%,1/15/2028(n)
 
 
854,000
846,331
Tallgrass Energy Partners LP, 7.375%,2/15/2029(n)
 
 
334,000
342,691
Targa Resources Corp., 4.2%,2/01/2033
 
 
131,000
122,474
Targa Resources Corp., 4.95%,4/15/2052
 
 
325,000
269,451
TransMontaigne Partners LLC, 8.5%,6/15/2030(n)
 
 
347,000
362,732
Venture Global Calcasieu Pass LLC, 4.125%,8/15/2031(n)
 
 
624,000
576,380
Venture Global LNG, Inc., 8.125%,6/01/2028(n)
 
 
441,000
456,573
Venture Global LNG, Inc., 9.5%,2/01/2029(n)
 
 
542,000
591,094
Venture Global LNG, Inc., 7%,1/15/2030(n)
 
 
254,000
257,560
Venture Global LNG, Inc., 8.375%,6/01/2031(n)
 
 
758,000
784,043
Venture Global LNG, Inc., 9% to 9/30/2029, FLR (CMT - 5yr. + 5.44%) to3/30/2173(n)
 
 
622,000
622,159
Venture Global Plaquemines LNG LLC, 7.5%,5/01/2033(n)
 
 
176,000
190,070
Venture Global Plaquemines LNG LLC, 6.5%,1/15/2034(n)
 
 
664,000
683,091
Venture Global Plaquemines LNG LLC, 6.75%,1/15/2036(n)
 
 
603,000
620,309
 
 
 
$15,480,660
Municipals – 0.5%
Massachusetts Educational Financing Authority, Education Loan Rev., Taxable, A, 2.641%,7/01/2037
 
$
435,000
$406,433
Michigan Finance Authority, Hospital Rev., Taxable (Trinity Health Credit Group), 3.384%,12/01/2040
 
 
605,000
500,439
National Finance Authority, NH, Utility Refunding Rev., Taxable (Wheeling Power Co. Project), A, 6.89%,4/01/2034
 
 
355,000
365,906
 
 
 
$1,272,778
Natural Gas - Distribution – 0.2%
Boston Gas Co., 5.843%,1/10/2035(n)
 
$
594,000
$618,152
13

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Natural Gas - Pipeline – 0.1%
APA Infrastructure Ltd., 5.125%,9/16/2034(n)
 
$
254,000
$251,073
APA Infrastructure Ltd., 5.75%,9/16/2044(n)
 
 
136,000
130,775
 
 
 
$381,848
Network & Telecom – 1.1%
Altice Financing S.A., 5.75%,8/15/2029(n)
 
$
240,000
$183,811
Frontier Communications Holdings LLC, 6.75%,5/01/2029(n)
 
 
500,000
504,782
Iliad Holding S.A.S., 7%,10/15/2028(n)
 
 
640,000
649,597
Iliad Holding S.A.S., 5.375%,4/15/2030(n)
 
EUR
100,000
118,090
Iliad Holding S.A.S., 6.875%,4/15/2031(n)
 
 
233,000
285,898
NTT Finance Corp., 5.171%,7/16/2032(n)
 
$
549,000
553,739
NTT Finance Corp., 3.678%,7/16/2033
 
EUR
170,000
196,566
NTT Finance Corp., 4.091%,7/16/2037
 
 
127,000
148,509
TDC Net A/S, 5%,8/09/2032
 
 
100,000
118,686
Windstream Services LLC/Windstream Escrow, 8.25%,10/01/2031(n)
 
$
199,000
208,331
 
 
 
$2,968,009
Oil Services – 0.6%
Nabors Industries, Inc., 8.875%,8/15/2031(n)
 
$
591,000
$473,851
U.S.A. Compression Partners LP/Finance Co., 7.125%,3/15/2029(n)
 
 
639,000
653,220
Valaris Ltd., 8.375%,4/30/2030(n)
 
 
413,000
426,584
 
 
 
$1,553,655
Oils – 0.2%
Marathon Petroleum Corp., 5.7%,3/01/2035
 
$
185,000
$187,701
Raizen Fuels Finance S.A., 6.45%,3/05/2034(n)
 
 
402,000
398,956
 
 
 
$586,657
Other Banks & Diversified Financials – 2.7%
AIB Group PLC, 6.608% to 9/13/2028, FLR (SOFR - 1 day + 2.33%) to9/13/2029(n)
 
$
621,000
$655,380
AIB Group PLC, 3.75% to 3/20/2032, FLR (EUR ICE Swap Rate - 1yr. + 1.25%) to3/20/2033
 
EUR
430,000
499,182
AIB Group PLC, 5.871% to 3/28/2034, FLR (SOFR - 1 day + 1.91%) to3/28/2035(n)
 
$
400,000
411,867
American Express Co., 3.433%,5/20/2032
 
EUR
410,000
472,142
BPCE S.A., 2.277% to 1/20/2031, FLR (SOFR - 1 day + 1.312%) to1/20/2032(n)
 
$
500,000
433,629
BPCE S.A., 3.875% to 2/26/2035, FLR (EURIBOR - 3mo. + 1.45%) to2/26/2036
 
EUR
200,000
228,646
CaixaBank S.A., 3.375%,6/26/2035
 
 
500,000
567,728
CaixaBank S.A., 3.75%,1/27/2036
 
 
300,000
343,684
Commerzbank AG, 3.625%,1/14/2032
 
 
300,000
347,632
Commerzbank AG, 3.75% to 6/06/2033, FLR (EURIBOR - 3mo. + 1.43%) to6/06/2034
 
 
300,000
343,698
Commerzbank AG, 4.125% to 6/30/2032, FLR (EUR ICE Swap Rate - 5yr. +1.83%) to6/30/2037
 
 
500,000
573,353
Deutsche Bank AG, 3% to 6/16/2028, FLR (EURIBOR - 3mo. + 1.05%) to6/16/2029
 
 
200,000
228,818
Deutsche Bank AG, 7.125% to 4/30/2031, FLR (EUR ICE Swap Rate - 5yr. + 4.6%) to4/30/2173
 
 
400,000
472,382
Islandsbanki hf. (Republic of Iceland), 3.875%,9/20/2030
 
 
310,000
361,759
M&T Bank Corp., 6.082% to 3/13/2031, FLR (SOFR - 1 day + 2.26%) to3/13/2032
 
$
239,000
251,497
Manufacturers and Traders Trust Co., 4.7%,1/27/2028
 
 
359,000
361,180
PKO Bank Polski S.A., 3.875% to 9/12/2026, FLR (EURIBOR - 3mo. + 1.4%) to9/12/2027
 
EUR
340,000
392,664
PKO Bank Polski S.A., 3.625%,6/30/2031
 
 
350,000
400,649
Truist Financial Corp., 5.711% to 1/24/2034, FLR (SOFR - 1 day + 1.922%) to1/24/2035
 
$
174,000
180,041
 
 
 
$7,525,931
Pharmaceuticals – 1.3%
1261229 B.C. Ltd., 10%,4/15/2032(n)
 
$
400,000
$407,236
AbbVie, Inc., 4.875%,3/15/2030
 
 
243,000
247,907
AbbVie, Inc., 5.35%,3/15/2044
 
 
226,000
220,763
AbbVie, Inc., 5.4%,3/15/2054
 
 
282,000
271,739
Bausch Health Co., Inc., 4.875%,6/01/2028(n)
 
 
386,000
341,610
Bausch Health Co., Inc., 5.25%,1/30/2030(n)
 
 
214,000
137,638
Biogen, Inc., 5.05%,1/15/2031
 
 
334,000
338,529
Eli Lilly & Co., 5.5%,2/12/2055
 
 
418,000
416,028
14

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Pharmaceuticals – continued
Grifols S.A., 7.125%,5/01/2030
 
EUR
325,000
$391,361
Roche Holdings, Inc., 5.593%,11/13/2033(n)
 
$
599,000
632,209
Sandoz Finance B.V., 4%,3/26/2035
 
EUR
210,000
245,009
 
 
 
$3,650,029
Pollution Control – 0.5%
GFL Environmental, Inc., 4%,8/01/2028(n)
 
$
530,000
$513,675
GFL Environmental, Inc., 3.5%,9/01/2028(n)
 
 
179,000
172,577
GFL Environmental, Inc., 6.75%,1/15/2031(n)
 
 
395,000
409,354
Wrangler Holdco Corp., 6.625%,4/01/2032(n)
 
 
238,000
245,893
 
 
 
$1,341,499
Precious Metals & Minerals – 0.7%
Eldorado Gold Corp., 6.25%,9/01/2029(n)
 
$
608,000
$607,551
IAMGOLD Corp., 5.75%,10/15/2028(n)
 
 
401,000
396,580
New Gold, Inc., 6.875%,4/01/2032(n)
 
 
475,000
487,461
Northern Star Resources Ltd. Co., 6.125%,4/11/2033(n)
 
 
346,000
358,631
 
 
 
$1,850,223
Printing & Publishing – 0.3%
Informa PLC, 3.375%,6/09/2031
 
EUR
230,000
$263,092
News Corp., 3.875%,5/15/2029(n)
 
$
520,000
496,491
 
 
 
$759,583
Railroad & Shipping – 0.3%
Burlington Northern Sante Fe LLC, 5.5%,3/15/2055
 
$
472,000
$460,779
Union Pacific Corp., 3.25%,2/05/2050
 
 
651,000
444,684
 
 
 
$905,463
Real Estate - Healthcare – 0.2%
MPT Operating Partnership LP/MPT Finance Corp., REIT, 5%,10/15/2027
 
$
200,000
$183,481
MPT Operating Partnership LP/MPT Finance Corp., REIT, 8.5%,2/15/2032(n)
 
 
363,000
377,304
 
 
 
$560,785
Real Estate - Office – 0.3%
Boston Properties LP, REIT, 3.65%,2/01/2026
 
$
69,000
$68,630
Boston Properties LP, REIT, 2.75%,10/01/2026
 
 
204,000
199,559
Corporate Office Property LP, REIT, 2.25%,3/15/2026
 
 
245,000
240,724
Corporate Office Property LP, REIT, 2%,1/15/2029
 
 
95,000
86,743
Cousins Properties, Inc., REIT, 5.875%,10/01/2034
 
 
224,000
230,462
 
 
 
$826,118
Real Estate - Other – 0.8%
EPR Properties, REIT, 3.6%,11/15/2031
 
$
127,000
$114,701
Park Intermediate Holdings LLC, 4.875%,5/15/2029(n)
 
 
514,000
494,440
RHP Hotel Properties LP/RHP Finance Corp., 7.25%,7/15/2028(n)
 
 
859,000
885,832
RHP Hotel Properties LP/RHP Finance Corp., 6.5%,4/01/2032(n)
 
 
96,000
98,031
XHR LP, REIT, 4.875%,6/01/2029(n)
 
 
637,000
614,819
 
 
 
$2,207,823
Real Estate - Retail – 0.7%
Choice Properties, REIT, 5.03%,2/28/2031
 
CAD
639,000
$481,676
Hammerson PLC, 5.875%,10/08/2036
 
GBP
278,000
360,345
STORE Capital Corp., REIT, 4.625%,3/15/2029
 
$
256,000
251,949
STORE Capital Corp., REIT, 2.75%,11/18/2030
 
 
347,000
308,139
STORE Capital Corp., REIT, 2.7%,12/01/2031
 
 
266,000
226,442
WEA Finance LLC, REIT, 2.875%,1/15/2027(n)
 
 
271,000
263,606
 
 
 
$1,892,157
15

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Restaurants – 0.8%
1011778 B.C. ULC/New Red Finance, Inc., 6.125%,6/15/2029(n)
 
$
635,000
$649,016
1011778 B.C. ULC/New Red Finance, Inc., 4%,10/15/2030(n)
 
 
364,000
337,250
Fertitta Entertainment LLC, 6.75%,1/15/2030(n)
 
 
589,000
554,148
New Red Finance, Inc., 5.625%,9/15/2029(n)
 
 
351,000
353,095
Punch Finance PLC, 7.875%,12/30/2030
 
GBP
315,000
425,307
 
 
 
$2,318,816
Retailers – 1.6%
Beach Acquisition Bidco LLC, 5.25%,7/15/2032
 
EUR
381,000
$442,394
Beach Acquisition Bidco LLC, 10% (10% Cash or 10.75% PIK),7/15/2033(n)(p)
 
$
486,000
506,691
El Corte Inglés S.A., 3.5%,7/24/2033
 
EUR
100,000
112,960
Home Depot, Inc., 4.875%,2/15/2044
 
$
129,000
118,405
Home Depot, Inc., 3.625%,4/15/2052
 
 
379,000
274,878
L Brands, Inc., 6.625%,10/01/2030(n)
 
 
660,000
675,570
Macy’s Retail Holdings LLC, 5.875%,3/15/2030(n)
 
 
34,000
33,569
Macy's Retail Holdings LLC, 7.375%,8/01/2033(n)
 
 
486,000
487,851
Mavis Tire Express Services Corp., 6.5%,5/15/2029(n)
 
 
362,000
357,677
Maxeda DIY Holding B.V., 5.875%,10/01/2026
 
EUR
310,000
333,906
Parkland Corp., 4.625%,5/01/2030(n)
 
$
598,000
573,467
Parkland Corp., 6.625%,8/15/2032(n)
 
 
102,000
104,258
Penske Automotive Group Co., 3.75%,6/15/2029
 
 
554,000
524,406
 
 
 
$4,546,032
Specialty Chemicals – 0.4%
International Flavors & Fragrances, Inc., 5%,9/26/2048
 
$
251,000
$214,298
Linde PLC, 3.4%,2/14/2036
 
EUR
200,000
225,654
Linde PLC, 3.25%,2/18/2037
 
 
500,000
556,138
 
 
 
$996,090
Specialty Stores – 0.9%
Carvana Co., 9% (9% Cash or 12% PIK) to 8/15/2025, 9% Cash to12/01/2028(n)(p)
 
$
173,602
$177,585
Carvana Co., 14% (9% Cash or 14% PIK) to 8/15/2025, 9% Cash to6/01/2031(n)(p)
 
 
815,425
969,679
DICK'S Sporting Goods, 4.1%,1/15/2052
 
 
332,000
236,885
Michael Cos., Inc., 5.25%,5/01/2028(n)
 
 
287,000
227,583
Michael Cos., Inc., 7.875%,5/01/2029(n)
 
 
322,000
213,574
PetSmart, Inc./PetSmart Finance Corp., 7.75%,2/15/2029(n)
 
 
555,000
543,113
Richemont International S.A., 1.625%,5/26/2040
 
EUR
210,000
179,798
 
 
 
$2,548,217
Supermarkets – 1.1%
Albertsons Cos. LLC/Safeway, Inc., 6.25%,3/15/2033(n)
 
$
1,067,000
$1,087,567
KeHE Distributors LLC/KeHE Finance Corp., 9%,2/15/2029(n)
 
 
692,000
722,178
Kroger Co., 5.5%,9/15/2054
 
 
328,000
309,513
Ocado Group PLC, 10.5%,8/08/2029
 
GBP
317,000
424,862
Tesco Corporate Treasury Services PLC, 3.375%,5/06/2032
 
EUR
220,000
251,494
Tesco Corporate Treasury Services PLC, 5.125%,5/22/2034
 
GBP
200,000
258,056
 
 
 
$3,053,670
Supranational – 0.1%
Corporacion Andina de Fomento, 6.75%,12/17/2173(n)
 
$
200,000
$203,503
Telecommunications - Wireless – 1.7%
Altice France S.A., 8.125%,2/01/2027(n)
 
$
289,000
$267,823
Altice France S.A., 5.5%,1/15/2028(n)
 
 
683,000
607,016
Altice France S.A., 5.125%,7/15/2029(n)
 
 
200,000
173,000
American Tower Corp., 3.625%,5/30/2032
 
EUR
330,000
382,389
Cellnex Finance Co. S.A., 3.5%,5/22/2032
 
 
300,000
344,882
Millicom International Cellular S.A., 4.5%,4/27/2031(n)
 
$
625,000
575,880
TDF Infrastructure S.A.S., 3.625%,12/16/2030
 
EUR
300,000
340,607
16

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Telecommunications - Wireless – continued
Telefónica Celular del Paraguay S.A., 5.875%,4/15/2027(n)
 
$
576,000
$577,728
T-Mobile USA, Inc., 3.875%,4/15/2030
 
 
126,000
122,123
T-Mobile USA, Inc., 5.05%,7/15/2033
 
 
390,000
390,606
T-Mobile USA, Inc., 5.75%,1/15/2034
 
 
113,000
117,924
Zegona Finance PLC, 6.75%,7/15/2029(n)
 
EUR
100,000
120,912
Zegona Finance PLC, 8.625%,7/15/2029(n)
 
$
531,000
565,249
 
 
 
$4,586,139
Telephone Services – 0.9%
Deutsche Telekom AG, 3.625%,2/03/2045
 
EUR
220,000
$235,790
Level 3 Financing, Inc., 11%,11/15/2029(n)
 
$
270,623
306,826
Level 3 Financing, Inc., 3.875%,10/15/2030(n)
 
 
375,703
322,165
Level 3 Financing, Inc., 6.875%,6/30/2033(n)
 
 
266,522
270,081
TELUS Corp., 2.85%,11/13/2031
 
CAD
912,000
615,245
Uniti Group/CSL Capital Co., 6.5%,2/15/2029(n)
 
$
494,000
480,572
Uniti Group/CSL Capital Co., 8.625%,6/15/2032(n)
 
 
266,000
269,797
 
 
 
$2,500,476
Tobacco – 0.7%
B.A.T. International Finance PLC, 4.125%,4/12/2032
 
EUR
265,000
$311,836
Imperial Brands Finance PLC, 5.5%,2/01/2030(n)
 
$
445,000
457,511
Japan Tobacco, Inc., 5.25%,6/15/2030(n)
 
 
566,000
580,938
Turning Point Brands, Inc., 7.625%,3/15/2032(n)
 
 
571,000
598,142
 
 
 
$1,948,427
Transportation - Services – 1.0%
Aeroporti Di Roma S.p.A, 3.625%,6/15/2032
 
EUR
420,000
$483,042
Avis Budget Finance PLC, 7.25%,7/31/2030(n)
 
 
447,000
523,348
DSV Finance B.V., 3.375%,11/06/2034
 
 
100,000
113,226
Element Fleet Management Corp., 6.271%,6/26/2026(n)
 
$
238,000
241,031
Element Fleet Management Corp., 6.319%,12/04/2028(n)
 
 
111,000
116,589
Element Fleet Management Corp., 5.037%,3/25/2030(n)
 
 
409,000
412,519
Heathrow Funding Ltd., 6%,3/05/2032
 
GBP
300,000
400,107
Heathrow Funding Ltd., 3.875%,1/16/2038
 
EUR
420,000
479,037
 
 
 
$2,768,899
U.S. Treasury Obligations – 3.9%
U.S. Treasury Bonds, 2.375%,2/15/2042(f)
 
$
9,432,000
$6,792,514
U.S. Treasury Bonds, 4.75%,2/15/2045
 
 
206,000
202,492
U.S. Treasury Bonds, 4.625%,5/15/2054(f)
 
 
3,890,000
3,723,003
 
 
 
$10,718,009
Utilities - Electric Power – 6.2%
Adani Electricity Mumbai Ltd., 3.949%,2/12/2030(n)
 
$
720,000
$661,222
AEP Transmission Co. LLC, 5.375%,6/15/2035
 
 
368,000
374,011
Amprion GmbH, 3.875%,6/05/2036
 
EUR
300,000
346,268
Berkshire Hathaway Energy Co., 5.15%,11/15/2043
 
$
94,000
88,766
Berkshire Hathaway Energy Co., 4.6%,5/01/2053
 
 
79,000
66,194
Bruce Power LP, 2.68%,12/21/2028
 
CAD
264,000
185,991
Bruce Power LP, 4.7%,6/21/2031
 
 
238,000
178,117
Bruce Power LP, 4.27%,12/21/2034
 
 
594,000
422,783
Calpine Corp., 4.5%,2/15/2028(n)
 
$
570,000
563,803
Clearway Energy Operating LLC, 3.75%,2/15/2031(n)
 
 
998,000
910,933
ContourGlobal Power Holdings S.A., 6.75%,2/28/2030(n)
 
 
344,000
352,600
Duke Energy Florida LLC, 6.2%,11/15/2053
 
 
366,000
390,047
E.ON International Finance B.V., 5.875%,10/30/2037
 
GBP
300,000
398,166
Edison International, 4.7%,8/15/2025
 
$
420,000
419,935
Enel Finance International N.V., 2.5%,7/12/2031(n)
 
 
284,000
250,174
17

Portfolio of Investments (unaudited) – continued
Issuer
 
 
Shares/Par
Value ($)
Bonds – continued
Utilities - Electric Power – continued
Enel S.p.A., 4.5% to 1/14/2033, FLR (EUR ICE Swap Rate - 5yr. + 2.196%) to 1/14/2038, FLR (EUR ICE Swap Rate - 5yr. +
2.446%) to 1/14/2053, FLR (EUR ICE Swap Rate - 5yr. + 3.446%) to1/14/2174
 
EUR
320,000
$369,572
ENGIE Energia Chile S.A., 6.375%,4/17/2034(n)
 
$
200,000
209,805
Entergy Corp., 0.9%,9/15/2025
 
 
561,000
558,431
EPH Financing International A.S., 4.625%,7/02/2032
 
EUR
434,000
504,018
Eversource Energy, 5.5%,1/01/2034
 
$
493,000
501,448
Georgia Power Co., 4.95%,5/17/2033
 
 
363,000
364,654
Hydro One, Inc., 4.25%,1/04/2035
 
CAD
728,000
527,826
Jersey Central Power & Light Co., 2.75%,3/01/2032(n)
 
$
186,000
163,085
Jersey Central Power & Light Co., 5.1%,1/15/2035
 
 
388,000
386,400
National Grid North America, Inc., 3.917%,6/03/2035
 
EUR
410,000
471,175
NextEra Energy Capital Holdings, Inc., 5.749%,9/01/2025
 
$
409,000
409,254
Northern States Power Co. of Minnesota, 5.05%,5/15/2035
 
 
349,000
350,834
Oncor Electric Delivery Co. LLC, 5.35%,4/01/2035(n)
 
 
475,000
484,350
Pacific Gas & Electric Co., 6.1%,1/15/2029
 
 
121,000
125,142
Pacific Gas & Electric Co., 6.4%,6/15/2033
 
 
86,000
90,738
Pacific Gas & Electric Co., 5.9%,10/01/2054
 
 
70,000
65,611
PG&E Corp., 5.25%,7/01/2030
 
 
877,000
841,224
PG&E Corp., 7.375% to 3/15/2030, FLR (CMT - 5yr. + 3.883%) to3/15/2055
 
 
251,000
242,211
PPL Electric Utilities Corp. 1st Mortgage, 5.25%,5/15/2053
 
 
512,000
487,261
PSEG Power LLC, 5.2%,5/15/2030(n)
 
 
503,000
513,942
Southern California Edison Co., 5.45%,3/01/2035
 
 
192,000
191,246
Star Energy Geothermal (Wayang Windu) Ltd., 6.75%,4/24/2033
 
 
587,986
602,064
Terna Rete Elettrica Nazionale S.p.A., 3%,7/22/2031
 
EUR
420,000
477,045
TerraForm Global Operating LLC, 6.125%,3/01/2026(n)
 
$
151,000
150,063
TerraForm Power Operating LLC, 5%,1/31/2028(n)
 
 
589,000
581,069
TerraForm Power Operating LLC, 4.75%,1/15/2030(n)
 
 
141,000
135,162
Xcel Energy, Inc., 5.5%,3/15/2034
 
 
184,000
186,820
Xcel Energy, Inc., 5.6%,4/15/2035
 
 
58,000
59,076
XPLR Infrastructure Operating Partners LP, 4.5%,9/15/2027(n)
 
 
423,000
409,498
XPLR Infrastructure Operating Partners LP, 7.25%,1/15/2029(n)
 
 
581,000
592,506
XPLR Infrastructure Operating Partners LP, 8.375%,1/15/2031(n)
 
 
349,000
366,066
XPLR Infrastructure Operating Partners LP, 8.625%,3/15/2033(n)
 
 
122,000
129,219
 
 
 
$17,155,825
Utilities - Gas – 0.4%
EP Infrastructure A.S., 2.045%,10/09/2028
 
EUR
1,123,000
$1,236,650
Utilities - Water – 0.3%
Severn Trent Utilities Finance PLC, 3.875%,8/04/2035
 
EUR
340,000
$392,512
Severn Trent Utilities Finance PLC, 3.875%,8/04/2037(w)
 
 
310,000
352,270
 
 
 
$744,782
Total Bonds
$362,848,803
Common Stocks – 0.0%
Oil Services – 0.0%
LTRI Holdings LP (a)(u)
 
520
$77,901
 
Strike
Price
First
Exercise
 
 
Warrants – 0.0%
 
 
Other Banks & Diversified Financials – 0.0%
Avation Capital S.A. (1 share for 1 warrant, Expiration 10/31/26) (a)
GBP1.14
N/A
7,000
$4,299
 
 
 
 
Mutual Funds (h) – 1.9%
Money Market Funds – 1.9%
MFS Institutional Money Market Portfolio, 4.35% (v)
 
 
5,302,089
$5,302,089
18

Portfolio of Investments (unaudited) – continued
Underlying/Expiration Date/Exercise Price
Put/Call
Counterparty
Notional
Amount
Par Amount/
Number of
Contracts
Value ($)
Purchased Options – 0.0%
Market Index Securities – 0.0%
iTraxx Europe Crossover Series 43 Index Credit Default Swap - Fund pays
5%, Fund receives notional amount upon a defined credit event of an
index constituent – August 2025 @ 3.25%
Put
Merrill Lynch International
$6,587,808
EUR
5,230,000
$3,204
Written Options (see table below) – (0.0)%
$(979
)
 
Other Assets, Less Liabilities – (33.1)%
(91,537,954
)
Net Assets – 100.0%
$276,697,363
(a)
Non-income producing security.
(d)
In default.
(f)
All or a portion of the security has been segregated as collateral for open futures contracts.
(h)
An affiliated issuer, which may be considered one in which the fund owns 5% or more of the outstanding voting securities, or a company which is under
common control. At period end, the aggregate values of the fund's investments in affiliated issuers and in unaffiliated issuers were $5,302,089 and
$362,934,207, respectively.
(i)
Interest only security for which the fund receives interest on notional principal (Par amount). Par amount shown is the notional principal and does not reflect
the cost of the security.
(n)
Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in
transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate value of these securities was $215,517,409,
representing 77.9% of net assets.
(p)
Payment-in-kind (PIK) security for which interest income may be received in additional securities and/or cash.
(u)
The security was valued using significant unobservable inputs and is considered level 3 under the fair value hierarchy.
(v)
Affiliated issuer that is available only to investment companies managed by MFS. The rate quoted for the MFS Institutional Money Market Portfolio is the
annualized seven-day yield of the fund at period end.
(w)
When-issued security.
(z)
Restricted securities are not registered under the Securities Act of 1933 and are subject to legal restrictions on resale. These securities generally may be
resold in transactions exempt from registration or to the public if the securities are subsequently registered. Disposal of these securities may involve
time-consuming negotiations and prompt sale at an acceptable price may be difficult. The fund holds the following restricted securities:
Restricted Securities
Acquisition
Date
Cost
Value
Petra Diamonds US$ Treasury PLC, 9.75%, 3/08/2026
3/09/21-7/26/21
$259,292
$144,490
% of Net assets
 
 
0.1%
The following abbreviations are used in this report and are defined:
AGM
Assured Guaranty Municipal
CDO
Collateralized Debt Obligation
CLO
Collateralized Loan Obligation
CMT
Constant Maturity Treasury
EURIBOR
Euro Interbank Offered Rate
FLR
Floating Rate. Interest rate resets periodically based on the parenthetically disclosed reference rate plus a spread (if any). The period-end rate
reported may not be the current rate. All reference rates are USD unless otherwise noted.
ICE
Intercontinental Exchange
NPFG
National Public Finance Guarantee Corp.
REIT
Real Estate Investment Trust
SOFR
Secured Overnight Financing Rate
Abbreviations indicate amounts shown in currencies other than the U.S. dollar. All amounts are stated in U.S. dollars unless otherwise
indicated. A list of abbreviations is shown below:
AUD
Australian Dollar
BRL
Brazilian Real
CAD
Canadian Dollar
CHF
Swiss Franc
CNH
Chinese Yuan Renminbi (Offshore)
CZK
Czech Koruna
EUR
Euro
GBP
British Pound
HUF
Hungarian Forint
IDR
Indonesian Rupiah
19

Portfolio of Investments (unaudited) – continued
INR
Indian Rupee
JPY
Japanese Yen
KRW
South Korean Won
MXN
Mexican Peso
NOK
Norwegian Krone
NZD
New Zealand Dollar
PEN
Peruvian Nuevo Sol
SEK
Swedish Krona
SGD
Singapore Dollar
UYU
Uruguayan Peso
Derivative Contracts at 7/31/25
Written Options
Underlying
Put/
Call
Counterparty
Par Amount/
Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
Liability Derivatives
Market Index Securities
 
 
iTraxx Europe Crossover Series 43 Index Credit
Default Swap - Fund pays 5%, Fund receives
notional amount upon a defined credit event of
an index constituent
Put
Merrill Lynch International
EUR (5,230,000)
$(6,587,808
)
3.75%
August – 2025
$(979
)
Forward Foreign Currency Exchange Contracts
Currency
Purchased
Currency
Sold
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
Asset Derivatives
AUD
99,784
USD
64,202
JPMorgan Chase Bank N.A.
10/17/2025
$12
BRL
3,902,623
USD
675,896
Citibank N.A.
9/02/2025
15,757
USD
3,254,368
AUD
4,950,718
State Street Corp.
10/17/2025
68,394
USD
7,756,044
AUD
11,899,820
UBS AG
10/17/2025
98,060
USD
6,314,193
CAD
8,628,253
Merrill Lynch International
10/17/2025
63,757
USD
655,594
CHF
516,332
JPMorgan Chase Bank N.A.
10/17/2025
14,089
USD
538,349
CHF
423,914
State Street Corp.
10/17/2025
11,667
USD
752,566
CNH
5,371,660
Barclays Bank PLC
10/17/2025
3,399
USD
313,683
CNH
2,238,815
BNP Paribas
10/17/2025
1,443
USD
313,639
CNH
2,238,815
State Street Corp.
10/17/2025
693
USD
30,584,300
EUR
26,115,539
Barclays Bank PLC
10/17/2025
635,405
USD
280,736
EUR
237,790
BNP Paribas
10/17/2025
8,042
USD
10,709,943
EUR
9,140,439
Citibank N.A.
10/17/2025
227,830
USD
8,843,817
EUR
7,551,577
Deutsche Bank AG
10/17/2025
183,787
USD
1,135,193
EUR
965,033
HSBC Bank
10/17/2025
28,510
USD
374,019
EUR
317,654
JPMorgan Chase Bank N.A.
10/17/2025
9,738
USD
360,842
EUR
309,268
Merrill Lynch International
10/17/2025
6,178
USD
1,991,379
EUR
1,700,639
State Street Corp.
10/17/2025
41,113
USD
1,963,512
GBP
1,457,216
Goldman Sachs International
10/17/2025
37,677
USD
2,776,043
GBP
2,060,740
HSBC Bank
10/17/2025
52,601
USD
1,109,171
GBP
823,286
State Street Corp.
10/17/2025
21,129
USD
8,809
HUF
3,034,928
State Street Corp.
10/17/2025
182
USD
1,354,937
IDR
22,210,676,932
Barclays Bank PLC
8/05/2025
5,185
USD
675,090
INR
59,355,245
Barclays Bank PLC
10/31/2025
281
USD
682,828
INR
59,355,245
Citibank N.A.
8/07/2025
5,379
USD
2,054,541
JPY
300,976,428
JPMorgan Chase Bank N.A.
10/17/2025
42,207
USD
2,613
MXN
49,555
State Street Corp.
10/17/2025
7
USD
1,349,674
NOK
13,729,037
Merrill Lynch International
10/17/2025
21,064
20

Portfolio of Investments (unaudited) – continued
Forward Foreign Currency Exchange Contracts − continued
Currency
Purchased
Currency
Sold
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
Asset Derivatives − continued
USD
61,268
SEK
587,355
State Street Corp.
10/17/2025
$981
 
 
$1,604,567
Liability Derivatives
AUD
1,133,504
USD
743,970
JPMorgan Chase Bank N.A.
10/17/2025
$(14,517
)
AUD
2,315,817
USD
1,507,184
State Street Corp.
10/17/2025
(16,868
)
AUD
2,659,073
USD
1,745,594
UBS AG
10/17/2025
(34,380
)
CHF
273,762
USD
347,743
Deutsche Bank AG
10/17/2025
(7,614
)
CHF
116,967
USD
148,566
HSBC Bank
10/17/2025
(3,243
)
CZK
635,956
USD
30,030
Merrill Lynch International
10/17/2025
(444
)
EUR
1,903,278
USD
2,244,589
HSBC Bank
10/17/2025
(61,939
)
EUR
913,876
USD
1,074,909
Merrill Lynch International
10/17/2025
(26,891
)
EUR
945,751
USD
1,112,416
State Street Corp.
10/17/2025
(27,844
)
EUR
449,502
USD
516,102
UBS AG
10/17/2025
(619
)
IDR
22,210,676,932
USD
1,361,541
Barclays Bank PLC
8/05/2025
(11,788
)
IDR
22,210,676,932
USD
1,350,982
Barclays Bank PLC
10/31/2025
(4,247
)
INR
59,355,245
USD
678,077
Barclays Bank PLC
8/07/2025
(628
)
JPY
108,640,795
USD
744,568
HSBC Bank
10/17/2025
(18,194
)
JPY
191,814,719
USD
1,314,539
JPMorgan Chase Bank N.A.
10/17/2025
(32,062
)
MXN
25,678,947
USD
1,371,166
Citibank N.A.
10/17/2025
(20,709
)
NOK
13,630,734
USD
1,347,290
Citibank N.A.
10/17/2025
(28,194
)
NZD
1,029,780
USD
618,176
State Street Corp.
10/17/2025
(9,926
)
PEN
140,575
USD
39,325
Barclays Bank PLC
10/21/2025
(282
)
SEK
590,731
USD
61,599
HSBC Bank
10/17/2025
(965
)
SGD
8,426
USD
6,600
Barclays Bank PLC
10/17/2025
(74
)
USD
16,087
KRW
22,263,706
Citibank N.A.
10/21/2025
(38
)
USD
36,268
KRW
50,186,865
JPMorgan Chase Bank N.A.
10/21/2025
(80
)
 
 
$(321,546
)
Futures Contracts
Description
Long/
Short
Currency
Contracts
Notional
Amount
Expiration
Date
Value/Unrealized
Appreciation
(Depreciation)
Asset Derivatives
Interest Rate Futures
Canadian Treasury Bond 10 yr
Short
CAD
14
$1,217,725
September – 2025
$7,234
Euro-Bobl 5 yr
Short
EUR
90
12,044,562
September – 2025
38,337
Euro-Bund 10 yr
Short
EUR
110
16,281,493
September – 2025
124,291
Euro-Buxl 30 yr
Short
EUR
19
2,545,126
September – 2025
67,378
Euro-Schatz 2 yr
Short
EUR
125
15,270,675
September – 2025
57,478
U.S. Treasury Bond 30 yr
Long
USD
25
2,854,687
September – 2025
63,007
U.S. Treasury Ultra Note 10 yr
Long
USD
4
452,313
September – 2025
110
 
 
$357,835
Liability Derivatives
Interest Rate Futures
Long Gilt 10 yr
Short
GBP
12
$1,460,533
September – 2025
$(26,217
)
U.S. Treasury Note 10 yr
Short
USD
36
3,998,250
September – 2025
(22,355
)
U.S. Treasury Note 2 yr
Long
USD
37
7,658,422
September – 2025
(15,984
)
U.S. Treasury Note 5 yr
Short
USD
88
9,519,125
September – 2025
(18,296
)
21

Portfolio of Investments (unaudited) – continued
Futures Contracts − continued
Description
Long/
Short
Currency
Contracts
Notional
Amount
Expiration
Date
Value/Unrealized
Appreciation
(Depreciation)
Liability Derivatives − continued
Interest Rate Futures  − continued
U.S. Treasury Ultra Bond 30 yr
Short
USD
47
$5,513,687
September – 2025
$(75,524
)
 
 
$(158,376
)
At July 31, 2025, the fund had liquid securities with an aggregate value of $1,446,552 to cover any collateral or margin obligations for certain derivative contracts.
See attached supplemental information. For more information see notes to financial statements as disclosed in the most recent semiannual or annual report.
22

Supplemental Information
7/31/25 (unaudited)
The fund is an investment company and accordingly follows the investment company accounting and reporting guidance of the Financial
Accounting Standards Board (FASB) Accounting Standards Codification Topic 946 Financial Services - Investment Companies.
(1) Investment Valuations
Subject to its oversight, the fund's Board of Trustees has delegated primary responsibility for determining or causing to be determined the value of the fund’s investments to MFS as the fund's adviser, pursuant to the fund’s valuation policy and procedures which have been adopted by the adviser and approved by the Board. In accordance with Rule 2a-5 under the Investment Company Act of 1940, the Board of Trustees designated the adviser as the “valuation designee” of the fund. If the adviser, as valuation designee, determines that reliable market quotations are not readily available for an investment, the investment is valued at fair value as determined in good faith by the adviser in accordance with the adviser’s fair valuation policy and procedures.
Under the fund's valuation policy and procedures, equity securities, including restricted equity securities, are generally valued at the last sale or official closing price on their primary market or exchange as provided by a third-party pricing service. Equity securities, for which there were no sales reported that day, are generally valued at the last quoted daily bid quotation on their primary market or exchange as provided
by a third-party pricing service. Debt instruments and floating rate loans, including restricted debt instruments, are generally valued at an
evaluated or composite bid as provided by a third-party pricing service. Short-term instruments with a maturity at issuance of 60 days or less
may be valued at amortized cost, which approximates market value. Exchange-traded options are generally valued at the last sale or official closing price on their primary exchange as provided by a third-party pricing service. Exchange-traded options for which there were no sales reported that day are generally valued at the last daily bid quotation on their primary exchange as provided by a third-party pricing service. For put options, the position may be valued at the last daily ask quotation if there are no trades reported during the day. Options not traded on an exchange are generally valued at a broker/dealer bid quotation. Foreign currency options are generally valued at valuations provided
by a third-party pricing service. Futures contracts are generally valued at last posted settlement price on their primary exchange as provided by a third-party pricing service. Futures contracts for which there were no trades that day for a particular position are generally valued at the
closing bid quotation on their primary exchange as provided by a third-party pricing service. Forward foreign currency exchange contracts are generally valued at the mean of bid and asked prices for the time period interpolated from rates provided by a third-party pricing service for
proximate time periods. Open-end investment companies are generally valued at net asset value per share. The values of foreign securities and other assets and liabilities expressed in foreign currencies are converted to U.S. dollars using the mean of bid and asked prices for rates provided by a third-party pricing service.
Under the fund’s valuation policy and procedures, market quotations are not considered to be readily available for debt instruments, floating rate loans, and many types of derivatives. These investments are generally valued at fair value based on information from third-party pricing services or otherwise determined by the adviser in accordance with the adviser’s fair valuation policy and procedures. Securities and other assets generally valued on the basis of information from a third-party pricing service may also be valued at a broker/dealer bid quotation. In determining values, third-party pricing services can utilize both transaction data and market information such as yield, quality, coupon rate, maturity, type of issue, trading characteristics, spreads and other market data. Pricing services generally value debt instruments assuming orderly transactions of institutional round lot sizes, but a fund may hold or transact in such securities in smaller, odd lot sizes. In instances where a fund holds an odd lot size position in a debt instrument, such position will typically be valued using the pricing agent’s institutional round lot price for the debt instrument. Odd lots may trade at lower prices than institutional round lots, and the fund may receive different prices when it sells odd lot positions than it would receive for sales of institutional round lot positions. An investment may also be valued at fair value if the adviser determines that the investment’s value has been materially affected by events occurring after the close of the exchange or market on which the investment is principally traded (such as foreign exchange or market) and prior to the determination of the fund’s net asset value, or after the halt of trading of a specific security where trading does not resume prior to the close of the exchange or market on which the security is principally traded. The adviser generally relies on third-party pricing services or other information (such as the correlation with price movements of similar securities in the same or other markets; the type, cost and investment characteristics of the security; the business and financial condition of the issuer; and trading and other market data) to assist in determining whether to fair value and at what value to fair value an investment. The value of an investment for purposes of calculating the fund’s net asset value can differ depending on the source and method used to determine value. When fair valuation is used, the value of an investment used to determine the fund’s net asset value may differ from quoted or published prices for the same investment. There can be no assurance that the fund could obtain the fair value assigned to an investment if it were to sell the investment at the same time at which the fund determines its net
asset value per share.
Various inputs are used in determining the value of the fund's assets or liabilities. These inputs are categorized into three broad levels. In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, an investment's level within the fair value hierarchy is based on the lowest level of input that is significant to the fair value measurement. The fund's assessment of the significance of a particular input to the fair value measurement in its entirety requires judgment, and considers factors specific to the investment. Level 1 includes unadjusted quoted prices in active markets for identical assets or liabilities. Level 2 includes other significant observable market-based inputs (including quoted prices for similar securities, interest rates, prepayment speed, and credit risk).
23

Supplemental Information (unaudited) – continued
Level 3 includes significant unobservable inputs, which may include the adviser's own assumptions in determining the fair value of investments. Other financial instruments are derivative instruments, such as futures contracts, forward foreign currency exchange contracts, and written options. The following is a summary of the levels used as of July 31, 2025 in valuing the fund's assets and liabilities:
Financial Instruments
Level 1
Level 2
Level 3
Total
Equity Securities:
United States
$
$
$77,901
$77,901
United Kingdom
4,299
4,299
U.S. Treasury Bonds & U.S. Government Agencies & Equivalents
10,718,009
10,718,009
Non - U.S. Sovereign Debt
56,218,882
56,218,882
Municipal Bonds
1,272,778
1,272,778
U.S. Corporate Bonds
193,195,888
193,195,888
Residential Mortgage-Backed Securities
1,465,700
1,465,700
Commercial Mortgage-Backed Securities
3,990,664
3,990,664
Asset-Backed Securities (including CDOs)
5,078,613
5,078,613
Foreign Bonds
90,911,473
90,911,473
Investment Companies
5,302,089
5,302,089
Total
$5,302,089
$362,856,306
$77,901
$368,236,296
Other Financial Instruments
Futures Contracts – Assets
$357,835
$
$
$357,835
Futures Contracts – Liabilities
(158,376
)
(158,376
)
Forward Foreign Currency Exchange Contracts – Assets
1,604,567
1,604,567
Forward Foreign Currency Exchange Contracts – Liabilities
(321,546
)
(321,546
)
Written Options - Liabilities
(979
)
(979
)
For further information regarding security characteristics, see the Portfolio of Investments.
The following is a reconciliation of level 3 assets for which significant unobservable inputs were used to determine fair value. The table
presents the activity of level 3 securities held at the beginning and the end of the period.
 
Equity
Securities
Balance as of 10/31/24
$118,336
Change in unrealized appreciation or depreciation
44,142
Partial liquidation proceeds
(84,577)
Balance as of 7/31/25
$77,901
The net change in unrealized appreciation or depreciation from investments held as level 3 at July 31, 2025 is $44,142. At July 31, 2025, the
fund held one level 3 security.
(2) Investments in Affiliated Issuers
An affiliated issuer may be considered one in which the fund owns 5% or more of the outstanding voting securities, or a company which is under common control. For the purposes of this report, the following were affiliated issuers for the period ended July 31, 2025:
Affiliated Issuers
Beginning
Value
Purchases
Sales
Proceeds
Realized
Gain
(Loss)
Change in
Unrealized
Appreciation or
Depreciation
Ending
Value
MFS Institutional Money Market Portfolio
$7,218,242
$111,673,049
$113,587,788
$(1,367
)
$(47
)
$5,302,089
Affiliated Issuers
Dividend
Income
Capital Gain
Distributions
MFS Institutional Money Market Portfolio
$196,978
$
24