0001752724-25-202211.txt : 20250825 0001752724-25-202211.hdr.sgml : 20250825 20250825144829 ACCESSION NUMBER: 0001752724-25-202211 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20250630 FILED AS OF DATE: 20250825 DATE AS OF CHANGE: 20250825 PERIOD START: 20260331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BNY MELLON HIGH YIELD STRATEGIES FUND CENTRAL INDEX KEY: 0001057861 ORGANIZATION NAME: EIN: 134001109 STATE OF INCORPORATION: MA FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08703 FILM NUMBER: 251250283 BUSINESS ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. STREET 2: 240 GREENWICH STREET CITY: NEW YORK STATE: NY ZIP: 10286 BUSINESS PHONE: 2129226400 MAIL ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. 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0.344542641256 Long DBT CORP US N 2 2029-04-01 Fixed 7.25000000 N N N N N N ALLWYN ENTERTAINMENT FIN 315700J7ZTIN8XGCX365 Allwyn Entertainment Financing UK PLC 02007VAA8 909000.00000000 PA USD 949076.67000000 0.468353042302 Long DBT CORP GB N 2 2029-04-30 Fixed 7.87500000 N N N N N N CLOUD SOFTWARE GRP INC 04EEB871XLHVNY4RZJ65 Cloud Software Group Inc 88632QAE3 950000.00000000 PA USD 959460.10000000 0.473477086738 Long DBT CORP US N 2 2029-03-31 Fixed 6.50000000 N N N N N N DOTDASH MEREDITH INC 549300R2AA7U9CJUQO13 Dotdash Meredith Inc 25849JAA8 938000.00000000 PA USD 910272.72000000 0.449203959188 Long DBT CORP US N 2 2032-06-15 Fixed 7.62500000 N N N N N N VISTRA OPERATIONS CO LLC 549300ZH5GKBTJZ7NM23 Vistra Operations Co LLC 92840VAP7 1171000.00000000 PA USD 1245421.15000000 0.614593955354 Long DBT CORP US N 2 2031-10-15 Fixed 7.75000000 N N N N N N RAIN CARBON INC 25490038N6JQH7QXUK52 Rain Carbon Inc 75079LAB7 716000.00000000 PA USD 768769.92000000 0.379374756796 Long DBT CORP US N 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74965LAB7 882000.00000000 PA USD 823661.17000000 0.406462646264 Long DBT CORP US N 2 2029-09-15 Fixed 4.00000000 N N N N N N UKG INC 529900FKHWSTQ1GXK240 UKG Inc 90279XAA0 1127000.00000000 PA USD 1170051.40000000 0.577400277724 Long DBT CORP US N 2 2031-02-01 Fixed 6.87500000 N N N N N N CommerceHub Inc 549300V3JZOSIRXFRG67 RITHUM HOLDINGS INC 20084XAF1 323156.25000000 PA USD 321744.06000000 0.158775169706 Long LON CORP US N 2 2027-12-29 Floating 8.41054000 N N N N N N ARDONAGH FINCO LTD 254900D2T84O1K03BA28 Ardonagh Finco Ltd 039853AA4 530000.00000000 PA USD 554506.67000000 0.273639521527 Long DBT CORP JE N 2 2031-02-15 Fixed 7.75000000 N N N N N N AVIS BUDGET CAR/FINANCE N/A Avis Budget Car Rental LLC / Avis Budget Finance Inc 053773BC0 574000.00000000 PA USD 572799.54000000 0.282666738808 Long DBT CORP US N 2 2027-07-15 Fixed 5.75000000 N N N N N N GLOBAL MEDICAL RESPONSE 549300ZFWD4ZFCEJCQ87 Global Medical Response Inc 37960BAB1 2163995.00000000 PA USD 2173408.38000000 1.072539721094 Long DBT CORP US N 2 2028-10-31 Fixed 9.50000000 N N Y N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC Holdings LLC 126307BA4 380000.00000000 PA USD 188332.07000000 0.092938643142 Long DBT CORP US N 2 2030-01-15 Fixed 5.75000000 N N N N N N BEACH ACQUISITION BIDCO 254900F2FNX3GBTB6202 Beach Acquisition Bidco LLC 000000000 470000.00000000 PA 558287.05000000 0.275505074153 Long DBT CORP US N 2 2032-07-15 Fixed 5.25000000 N N N N N N HUB INTERNATIONAL LTD 549300JQT6ATTUNS5E06 HUB International Ltd 44332PAH4 660000.00000000 PA USD 690208.20000000 0.340605896773 Long DBT CORP US N 2 2030-06-15 Fixed 7.25000000 N N N N N N VENTURE GLOBAL LNG INC 54930011XLBUWMQUC829 Venture Global LNG Inc 92332YAF8 2347000.00000000 PA USD 2283980.23000000 1.127105030702 Long DBT CORP US N 2 N/A Fixed 9.00000000 N N N N N N AXON ENTERPRISE INC 549300QP2IEEGFE16681 Axon Enterprise Inc 05464CAD3 837000.00000000 PA USD 863919.29000000 0.426329337307 Long DBT CORP US N 2 2033-03-15 Fixed 6.25000000 N N N N N N RHP HOTEL PPTY/RHP FINAN N/A RHP Hotel Properties LP / RHP Finance Corp 749571AK1 533000.00000000 PA USD 548522.03000000 0.270686204435 Long DBT CORP US N 2 2032-04-01 Fixed 6.50000000 N N N N N N AMERICAN AIRLINES/AADVAN N/A American Airlines Inc/AAdvantage Loyalty IP Ltd 00253XAB7 1275121.00000000 PA USD 1274799.29000000 0.629091563062 Long DBT CORP N/A N 2 2029-04-20 Fixed 5.75000000 N N N N N N SM ENERGY CO 84BUTVXV5ODI6BXNMH43 SM Energy Co 78454LAX8 520000.00000000 PA USD 518540.72000000 0.255890942688 Long DBT CORP US N 2 2029-08-01 Fixed 6.75000000 N N N N N N LADDER CAP FIN LLLP/CORP N/A Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp 505742AR7 186000.00000000 PA USD 194620.17000000 0.096041712534 Long DBT CORP US N 2 2031-07-15 Fixed 7.00000000 N N N N N N Foundation Building Materials Inc 549300ZVE6MONHB01I28 FOUNDATION BUILDING MATERIALS INC 35039KAD8 433901.52000000 PA USD 425998.00000000 0.210222699199 Long LON CORP US N 2 2031-01-29 Floating 8.29537000 N N N N N N Hexion Holdings Corporation 549300LBB370MUHGLV84 HEXION HOLDINGS CORP 00217XAE6 683078.00000000 PA USD 682435.91000000 0.336770405098 Long LON CORP US N 2 2029-03-15 Floating 8.31176000 N N N N N N Inovie Group N/A INOVIE SASU 000000000 1000000.00000000 PA 1137705.34000000 0.561438052452 Long LON CORP FR N 2 2028-03-03 Floating 0.00000000 N N N N N N SGL GROUP APS 636700YQKGLXCPPUYE74 SGL Group ApS 000000000 405000.00000000 PA 475612.22000000 0.234706464961 Long DBT CORP DK N 2 2031-02-24 Floating 6.29900000 N N N N N N UNITI GROUP/CSL CAPITAL N/A Uniti Group LP / Uniti Group Finance 2019 Inc / CSL Capital LLC 91327TAA9 463000.00000000 PA USD 491146.93000000 0.242372577636 Long DBT CORP US N 2 2028-02-15 Fixed 10.50000000 N N N N N N Inmar Inc 549300N1ML5MXXFIDZ25 INMAR INC 000000000 443770.00000000 PA USD 448023.54000000 0.221091925041 Long LON CORP US N 2 2031-10-30 Floating 8.80213000 N N N N N N NORTHRIVER MIDSTREAM FIN 549300SOLNLY3BL6GF18 Northriver Midstream Finance LP 66679NAB6 690000.00000000 PA USD 715097.37000000 0.352888274855 Long DBT CORP CA N 2 2032-07-15 Fixed 6.75000000 N N N N N N TRANSDIGM INC 88Q84GB3X55CF5OC7582 TransDigm Inc 893647BS5 870000.00000000 PA USD 903323.40000000 0.445774589078 Long DBT CORP US N 2 2030-12-15 Fixed 6.87500000 N N N N N N Gray Television Inc 529900TM5726KDN7UU35 GRAY TELEVISION INC 389376BC7 503609.01000000 PA USD 504283.85000000 0.248855422114 Long LON CORP US N 2 2029-06-04 Floating 9.57413000 N N N N N N ENTEGRIS INC IYX6OWO7BT5DKO3BYG52 Entegris Inc 29365BAB9 1360000.00000000 PA USD 1382935.04000000 0.682454699145 Long DBT CORP US N 2 2030-06-15 Fixed 5.95000000 N N N N N N 2025-08-25 BNY Mellon High Yield Strategies Fund James Windels James Windels Treasurer XXXX NPORT-EX 2 1060500BNYM063025.htm EDGAR HTML
STATEMENT OF INVESTMENTS
June 30, 2025 (Unaudited)
Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3%
Advertising — 1.1%
Clear Channel Outdoor
Holdings, Inc., Sr. Scd.
Notes(b),(c)
5.13
8/15/2027
692,000
684,560
Dotdash Meredith, Inc., Sr. Scd.
Bonds(b),(c)
7.63
6/15/2032
938,000
910,273
Neptune BidCo US, Inc., Sr.
Scd. Notes(b),(c)
9.29
4/15/2029
757,000
737,696
 
2,332,529
Aerospace & Defense — 3.0%
AAR Escrow Issuer LLC, Gtd.
Notes(b),(c)
6.75
3/15/2029
737,000
764,260
Bombardier, Inc., Sr. Unscd.
Notes(b),(c)
6.75
6/15/2033
700,000
726,216
Goat Holdco LLC, Sr. Scd.
Notes(b),(c)
6.75
2/1/2032
1,469,000
1,494,671
TransDigm, Inc., Gtd.
Notes(b),(c)
6.38
5/31/2033
867,000
869,953
TransDigm, Inc., Sr. Scd.
Notes(b),(c)
6.38
3/1/2029
650,000
667,675
TransDigm, Inc., Sr. Scd.
Notes(b),(c)
6.75
8/15/2028
478,000
488,702
TransDigm, Inc., Sr. Scd.
Notes(b),(c)
6.88
12/15/2030
870,000
903,323
TransDigm, Inc., Sr. Scd.
Notes(b)
7.13
12/1/2031
220,000
230,773
 
6,145,573
Airlines — 1.6%
American Airlines,
Inc./AAdvantage Loyalty IP
Ltd., Sr. Scd. Notes(b),(c)
5.75
4/20/2029
1,275,121
1,274,799
JetBlue Airways Corp./JetBlue
Loyalty LP, Sr. Scd.
Notes(b),(c)
9.88
9/20/2031
967,000
941,381
United Airlines, Inc., Sr. Scd.
Notes(b),(c)
4.63
4/15/2029
1,016,000
986,897
 
3,203,077
Automobiles & Components — .7%
Clarios Global LP/Clarios US
Finance Co., Sr. Scd.
Notes(b),(c)
6.75
2/15/2030
1,325,000
1,378,778
1

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Banks — .8%
Citigroup, Inc., Jr. Sub. Notes,
Ser. X(c),(d)
3.88
2/18/2026
1,171,000
1,157,806
Freedom Mortgage Corp., Sr.
Unscd. Notes(b)
6.63
1/15/2027
409,000
410,016
 
1,567,822
Building Materials — 2.8%
Builders FirstSource, Inc., Gtd.
Notes(b),(c)
4.25
2/1/2032
724,000
671,267
Camelot Return Merger Sub,
Inc., Sr. Scd. Notes(b),(c)
8.75
8/1/2028
1,311,000
1,210,027
Cornerstone Building Brands,
Inc., Sr. Scd. Notes(b)
9.50
8/15/2029
460,000
423,290
EMRLD Borrower LP/Emerald
Co-Issuer, Inc., Sr. Scd.
Notes(b),(c)
6.63
12/15/2030
1,721,000
1,761,309
Quikrete Holdings, Inc., Sr.
Scd. Notes(b),(c)
6.38
3/1/2032
851,000
875,632
Quikrete Holdings, Inc., Sr.
Unscd. Notes(b)
6.75
3/1/2033
170,000
175,517
Standard Industries, Inc., Sr.
Unscd. Notes(b),(c)
4.75
1/15/2028
497,000
491,835
 
5,608,877
Chemicals — 2.3%
Celanese US Holdings LLC,
Gtd. Notes
6.75
4/15/2033
560,000
566,270
Celanese US Holdings LLC,
Gtd. Notes(c)
7.20
11/15/2033
259,000
275,106
Innophos Holdings, Inc.,
Bonds(b)
11.50
6/15/2029
107,000
108,146
Itelyum Regeneration SpA, Sr.
Scd. Bonds(b)
EUR
5.75
4/15/2030
440,000
523,734
Olympus Water US Holding
Corp., Sr. Scd. Notes(b)
7.25
6/15/2031
400,000
408,336
Olympus Water US Holding
Corp., Sr. Scd. Notes(b)
EUR
9.63
11/15/2028
460,000
570,389
Olympus Water US Holding
Corp., Sr. Scd. Notes(b),(c)
9.75
11/15/2028
387,000
408,006
2


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Chemicals — 2.3% (continued)
Rain Carbon, Inc., Sr. Scd.
Notes(b),(c)
12.25
9/1/2029
716,000
768,770
WR Grace Holdings LLC, Sr.
Unscd. Notes(b),(c)
5.63
8/15/2029
1,207,000
1,093,694
 
4,722,451
Collateralized Loan Obligations Debt — 2.2%
ASSURANT II Ltd. CLO, Ser.
2018-2A, Cl. E, (3 Month
TSFR +5.86%)(b),(e)
10.13
4/20/2031
500,000
500,064
Crown Point 8 Ltd. CLO, Ser.
2019-8A, Cl. ER, (3 Month
TSFR +7.39%)(b),(c),(e)
11.66
10/20/2034
2,375,000
2,384,441
Diameter Capital 3 Ltd. CLO,
Ser. 2022-3A, Cl. DR,
(3 Month TSFR
+5.25%)(b),(e)
9.51
1/15/2038
400,000
401,708
Rockford Tower Ltd. CLO, Ser.
2022-2A, Cl. ER, (3 Month
TSFR +8.12%)(b),(e)
12.39
10/20/2035
500,000
496,202
Trimaran Cavu Ltd. CLO, Ser.
2019-1A, Cl. ER, (3 Month
TSFR +6.00%)(b),(e)
10.27
1/20/2037
700,000
681,725
 
4,464,140
Commercial & Professional Services — 7.3%
Albion Financing
1 Sarl/Aggreko Holdings,
Inc., Sr. Scd. Notes(b),(c)
7.00
5/21/2030
1,147,000
1,173,412
Allied Universal Holdco
LLC/Allied Universal
Finance Corp., Sr. Scd.
Notes(b)
6.88
6/15/2030
540,000
547,832
Allied Universal Holdco
LLC/Allied Universal
Finance Corp., Sr. Unscd.
Notes(b),(c)
6.00
6/1/2029
710,000
691,171
Allied Universal Holdco
LLC/Allied Universal
Finance Corp./Atlas Luxco
4 Sarl, Sr. Scd. Bonds(b)
GBP
4.88
6/1/2028
520,000
687,355
Avis Budget Car Rental
LLC/Avis Budget Finance,
Inc., Gtd. Notes(b)
5.75
7/15/2027
574,000
572,800
3

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Commercial & Professional Services — 7.3% (continued)
BCP V Modular Services
Finance II PLC, Sr. Scd.
Bonds(b)
GBP
6.13
11/30/2028
370,000
492,709
Belron UK Finance PLC, Sr.
Scd. Notes(b)
5.75
10/15/2029
570,000
575,169
Herc Holdings, Inc., Sr. Unscd.
Notes(b),(c)
7.00
6/15/2030
651,000
680,284
House of HR Group BV, Sr. Scd.
Bonds(b)
EUR
9.00
11/3/2029
595,000
698,920
Prime Security Services
Borrower LLC/Prime
Finance, Inc., Scd.
Notes(b),(c)
6.25
1/15/2028
1,429,000
1,432,524
Raven Acquisition Holdings
LLC, Sr. Scd. Notes(b),(c)
6.88
11/15/2031
1,775,000
1,779,512
United Rentals North America,
Inc., Gtd. Notes
3.75
1/15/2032
998,000
917,444
Verisure Midholding AB, Gtd.
Notes(b)
EUR
5.25
2/15/2029
2,200,000
2,607,735
Veritiv Operating Co., Sr. Scd.
Notes(b),(c)
10.50
11/30/2030
591,000
640,493
Wand NewCo 3, Inc., Sr. Scd.
Notes(b),(c)
7.63
1/30/2032
1,225,000
1,288,491
 
14,785,851
Consumer Discretionary — 6.8%
Allwyn Entertainment
Financing UK PLC, Sr. Scd.
Notes(b),(c)
7.88
4/30/2029
909,000
949,077
Ashton Woods USA
LLC/Ashton Woods Finance
Co., Sr. Unscd. Notes(b),(c)
4.63
4/1/2030
640,000
611,063
Carnival Corp., Gtd. Notes(b),(c)
6.00
5/1/2029
1,920,000
1,941,249
Carnival Corp., Gtd. Notes(b),(c)
6.13
2/15/2033
855,000
875,329
Flutter Treasury DAC, Sr. Scd.
Bonds(b)
5.88
6/4/2031
577,000
581,688
Flutter Treasury DAC, Sr. Scd.
Bonds(b)
GBP
6.13
6/4/2031
410,000
567,858
Hilton Domestic Operating Co.,
Inc., Gtd. Notes(b),(c)
4.00
5/1/2031
650,000
611,552
4


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Consumer Discretionary — 6.8% (continued)
International Game
Technology PLC, Sr. Scd.
Notes(b),(c)
5.25
1/15/2029
548,000
543,429
Maison Finco PLC, Sr. Scd.
Bonds(b)
GBP
6.00
10/31/2027
400,000
543,893
Midwest Gaming Borrower
LLC/Midwest Gaming
Finance Corp., Sr. Scd.
Notes(b),(c)
4.88
5/1/2029
985,000
949,433
Mohegan Tribal Gaming
Authority/MS Digital
Entertainment Holdings
LLC, Sr. Scd. Notes(b),(c)
8.25
4/15/2030
795,000
821,190
NCL Corp. Ltd., Sr. Scd.
Notes(b),(c)
5.88
2/15/2027
556,000
558,704
NCL Corp. Ltd., Sr. Unscd.
Notes(b),(c)
6.75
2/1/2032
1,341,000
1,370,842
Royal Caribbean Cruises Ltd.,
Sr. Unscd. Notes(b),(c)
6.00
2/1/2033
1,078,000
1,099,454
Station Casinos LLC, Gtd.
Notes(b)
4.63
12/1/2031
637,000
597,097
Warnermedia Holdings, Inc.,
Gtd. Notes
5.14
3/15/2052
73,000
45,077
Windsor Holdings III LLC, Sr.
Scd. Notes(b)
8.50
6/15/2030
470,000
504,252
Wolseley Group Finco PLC, Sr.
Scd. Bonds(b)
GBP
9.75
1/31/2031
400,000
556,850
 
13,728,037
Consumer Durables & Apparel — .9%
Beach Acquisition Bidco LLC,
Sr. Scd. Bonds(b)
EUR
5.25
7/15/2032
470,000
558,287
Beach Acquisition Bidco LLC,
Sr. Unscd. Notes(b),(f)
10.00
7/15/2033
668,000
694,062
S&S Holdings LLC, Sr. Scd.
Notes(b)
8.38
10/1/2031
540,000
528,181
 
1,780,530
Diversified Financials — 8.0%
AG Issuer LLC, Sr. Scd.
Notes(b),(c)
6.25
3/1/2028
978,000
978,800
Encore Capital Group, Inc., Sr.
Scd. Notes(b)
GBP
4.25
6/1/2028
805,000
1,055,224
5

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Diversified Financials — 8.0% (continued)
Encore Capital Group, Inc., Sr.
Scd. Notes(b)
8.50
5/15/2030
520,000
558,178
Freedom Mortgage Holdings
LLC, Sr. Unscd. Notes(b)
9.13
5/15/2031
429,000
442,742
Freedom Mortgage Holdings
LLC, Sr. Unscd. Notes(b),(c)
9.25
2/1/2029
432,000
449,032
Garfunkelux Holdco 3 SA, Sr.
Scd. Bonds(b)
EUR
9.00
9/1/2028
150,406
167,692
Garfunkelux Holdco 3 SA, Sr.
Scd. Bonds(b)
EUR
9.50
11/1/2028
594,557
601,139
Garfunkelux Holdco 4 SA,
Unscd. Bonds(b),(f)
EUR
10.50
5/1/2030
121,274
36,312
Icahn Enterprises LP/Icahn
Enterprises Finance Corp.,
Sr. Scd. Notes
5.25
5/15/2027
1,439,000
1,395,515
Jane Street Group/JSG
Finance, Inc., Sr. Scd.
Notes(b),(c)
6.13
11/1/2032
907,000
916,225
Jane Street Group/JSG
Finance, Inc., Sr. Scd.
Notes(b),(c)
7.13
4/30/2031
1,050,000
1,105,526
Nationstar Mortgage Holdings,
Inc., Gtd. Notes(b)
5.75
11/15/2031
934,000
949,310
Nationstar Mortgage Holdings,
Inc., Gtd. Notes(b)
6.50
8/1/2029
550,000
562,144
OneMain Finance Corp., Gtd.
Notes(c)
7.50
5/15/2031
275,000
287,531
OneMain Finance Corp., Gtd.
Notes(c)
7.88
3/15/2030
773,000
821,919
PennyMac Financial Services,
Inc., Gtd. Notes(b),(c)
7.13
11/15/2030
646,000
669,921
PennyMac Financial Services,
Inc., Gtd. Notes(b),(c)
7.88
12/15/2029
917,000
974,407
PHH Escrow Issuer LLC/PHH
Corp., Sr. Unscd. Notes(b),(c)
9.88
11/1/2029
808,000
806,699
Rocket Cos., Inc., Gtd. Notes(b)
6.13
8/1/2030
522,000
532,260
6


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Diversified Financials — 8.0% (continued)
Rocket Mortgage LLC/Rocket
Mortgage Co-Issuer, Inc.,
Gtd. Notes(b),(c)
4.00
10/15/2033
878,000
786,125
VFH Parent LLC/Valor Co-
Issuer, Inc., Sr. Scd.
Bonds(b),(c)
7.50
6/15/2031
2,087,000
2,191,640
 
16,288,341
Electronic Components — .6%
WESCO Distribution, Inc., Gtd.
Notes(b)
6.38
3/15/2033
354,000
366,139
WESCO Distribution, Inc., Gtd.
Notes(b),(c)
6.63
3/15/2032
747,000
777,194
 
1,143,333
Energy — 13.1%
Aethon United BR LP/Aethon
United Finance Corp., Sr.
Unscd. Notes(b),(c)
7.50
10/1/2029
1,001,000
1,050,729
Antero Resources Corp., Gtd.
Notes(b),(c)
5.38
3/1/2030
835,000
840,868
Aris Water Holdings LLC, Gtd.
Notes(b),(c)
7.25
4/1/2030
910,000
939,628
Blue Racer Midstream
LLC/Blue Racer Finance
Corp., Sr. Unscd. Notes(b),(c)
7.00
7/15/2029
1,041,000
1,087,100
CITGO Petroleum Corp., Sr.
Scd. Notes(b),(c)
8.38
1/15/2029
780,000
813,266
Comstock Resources, Inc., Gtd.
Notes(b),(c)
6.75
3/1/2029
1,790,000
1,795,359
CQP Holdco LP/BIP-V Chinook
Holdco LLC, Sr. Scd.
Notes(b),(c)
5.50
6/15/2031
1,450,000
1,433,436
Encino Acquisition Partners
Holdings LLC, Sr. Unscd.
Notes(b),(c)
8.75
5/1/2031
789,000
871,960
Energy Transfer LP, Jr. Sub.
Notes, Ser. B(c),(d)
6.63
2/15/2028
1,730,000
1,728,432
Gulfport Energy Operating
Corp., Gtd. Notes(b),(c)
6.75
9/1/2029
1,466,000
1,504,267
Matador Resources Co., Gtd.
Notes(b),(c)
6.50
4/15/2032
575,000
575,679
7

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Energy — 13.1% (continued)
Moss Creek Resources
Holdings, Inc., Sr. Unscd.
Notes(b),(c)
8.25
9/1/2031
405,000
394,243
Noble Finance II LLC, Gtd.
Notes(b),(c)
8.00
4/15/2030
683,000
696,030
Northern Oil & Gas, Inc., Sr.
Unscd. Notes(b),(c)
8.13
3/1/2028
475,000
479,563
Northern Oil & Gas, Inc., Sr.
Unscd. Notes(b),(c)
8.75
6/15/2031
1,587,000
1,637,379
Northriver Midstream Finance
LP, Sr. Scd. Notes(b),(c)
6.75
7/15/2032
690,000
715,097
Rockies Express Pipeline LLC,
Sr. Unscd. Notes(b),(c)
4.80
5/15/2030
1,396,000
1,354,363
SM Energy Co., Sr. Unscd.
Notes(b)
6.75
8/1/2029
520,000
518,541
TGNR Intermediate Holdings
LLC, Sr. Unscd. Notes(b),(c)
5.50
10/15/2029
2,354,000
2,282,850
Venture Global Calcasieu Pass
LLC, Sr. Scd. Notes(b),(c)
3.88
11/1/2033
573,000
501,552
Venture Global Calcasieu Pass
LLC, Sr. Scd. Notes(b)
4.13
8/15/2031
597,000
553,011
Venture Global LNG, Inc., Jr.
Sub. Notes(b),(c),(d)
9.00
9/30/2029
2,347,000
2,283,980
Venture Global LNG, Inc., Sr.
Scd. Notes(b),(c)
8.13
6/1/2028
1,042,000
1,077,604
Venture Global LNG, Inc., Sr.
Scd. Notes(b),(c)
8.38
6/1/2031
926,000
962,439
Venture Global Plaquemines
LNG LLC, Sr. Scd. Notes(b)
6.50
1/15/2034
547,000
547,000
 
26,644,376
Environmental Control — 1.6%
Luna 2 5SARL, Sr. Scd.
Bonds(b)
EUR
5.50
7/1/2032
268,000
322,229
Madison IAQ LLC, Sr. Scd.
Notes(b)
4.13
6/30/2028
376,000
365,548
Madison IAQ LLC, Sr. Unscd.
Notes(b)
5.88
6/30/2029
438,000
431,167
8


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Environmental Control — 1.6% (continued)
Reworld Holding Corp., Gtd.
Notes
5.00
9/1/2030
1,022,000
968,156
Waste Pro USA, Inc., Sr. Unscd.
Notes(b),(c)
7.00
2/1/2033
1,038,000
1,080,161
 
3,167,261
Food Products — 2.7%
Bellis Acquisition Co. PLC, Sr.
Scd. Bonds(b)
GBP
8.13
5/14/2030
630,000
816,667
Fiesta Purchaser, Inc., Sr. Scd.
Notes(b),(c)
7.88
3/1/2031
470,000
499,279
Fiesta Purchaser, Inc., Sr.
Unscd. Notes(b),(c)
9.63
9/15/2032
722,000
763,636
Post Holdings, Inc., Gtd.
Notes(b)
4.63
4/15/2030
1,523,000
1,465,528
Post Holdings, Inc., Gtd.
Notes(b)
5.50
12/15/2029
760,000
757,199
Simmons Foods,
Inc./Simmons Prepared
Foods, Inc./Simmons Pet
Food, Inc./Simmons Feed,
Scd. Notes(b)
4.63
3/1/2029
1,186,000
1,120,798
 
5,423,107
Forest Products & Paper — .1%
Mercer International, Inc., Sr.
Unscd. Notes(b)
12.88
10/1/2028
257,000
260,987
Health Care — 11.3%
1261229 BC Ltd., Sr. Scd.
Notes(b),(c)
10.00
4/15/2032
1,324,000
1,336,565
Bausch + Lomb Corp., Sr. Scd.
Bonds, (3 Month EURIBOR
+3.88%)(b),(e)
EUR
5.87
1/15/2031
436,000
517,771
Bausch Health Cos., Inc., Sr.
Scd. Notes(b),(c)
11.00
9/30/2028
1,042,000
1,032,320
Cheplapharm Arzneimittel
GmbH, Sr. Scd. Notes(b),(c)
5.50
1/15/2028
700,000
677,118
CHS/Community Health
Systems, Inc., Scd. Notes(b)
6.88
4/15/2029
337,000
268,987
CHS/Community Health
Systems, Inc., Sr. Scd.
Notes(b),(c)
5.25
5/15/2030
762,000
676,425
9

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Health Care — 11.3% (continued)
CHS/Community Health
Systems, Inc., Sr. Scd.
Notes(b),(c)
10.88
1/15/2032
1,264,000
1,341,252
Cidron Aida Finco Sarl, Sr. Scd.
Bonds(b)
EUR
7.00
10/27/2031
360,000
434,354
Dolcetto Holdco SpA, Sr. Scd.
Bonds(b)
EUR
5.63
7/14/2032
381,000
452,620
Global Medical Response, Inc.,
Sr. Scd. Notes(b),(c),(f)
9.50
10/31/2028
2,163,995
2,173,408
HAH Group Holding Co. LLC,
Sr. Scd. Notes(b),(c)
9.75
10/1/2031
919,000
911,766
Insulet Corp., Sr. Unscd.
Notes(b),(c)
6.50
4/1/2033
858,000
895,144
IQVIA, Inc., Gtd. Notes(b),(c)
6.25
6/1/2032
698,000
717,173
LifePoint Health, Inc., Sr. Scd.
Notes(b)
8.38
2/15/2032
530,000
565,170
LifePoint Health, Inc., Sr. Scd.
Notes(b),(c)
9.88
8/15/2030
660,000
714,752
LifePoint Health, Inc., Sr.
Unscd. Notes(b),(c)
10.00
6/1/2032
484,000
499,931
Medline Borrower LP, Sr. Scd.
Notes(b),(c)
3.88
4/1/2029
780,000
748,750
Medline Borrower LP, Sr.
Unscd. Notes(b),(c)
5.25
10/1/2029
554,000
550,086
Option Care Health, Inc., Gtd.
Notes(b),(c)
4.38
10/31/2029
1,159,000
1,116,363
Organon & Co./Organon
Foreign Debt Co-Issuer BV,
Sr. Scd. Notes(b)
6.75
5/15/2034
579,000
556,764
Radiology Partners, Inc., Sr.
Scd. Notes(b)
8.50
7/15/2032
873,000
876,125
Ray Financing LLC, Sr. Scd.
Bonds(b)
EUR
6.50
7/15/2031
710,000
875,076
Select Medical Corp., Gtd.
Notes(b)
6.25
12/1/2032
392,000
394,599
Sotera Health Holdings LLC,
Sr. Scd. Notes(b),(c)
7.38
6/1/2031
664,000
691,684
Tenet Healthcare Corp., Sr.
Scd. Notes(c)
4.25
6/1/2029
692,000
671,639
Tenet Healthcare Corp., Sr.
Scd. Notes
4.63
6/15/2028
828,000
818,226
10


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Health Care — 11.3% (continued)
Tenet Healthcare Corp., Sr.
Scd. Notes(c)
6.75
5/15/2031
890,000
921,354
US Acute Care Solutions LLC,
Sr. Scd. Notes(b),(c)
9.75
5/15/2029
1,340,000
1,383,802
 
22,819,224
Industrial — 3.7%
Arcosa, Inc., Gtd. Notes(b)
6.88
8/15/2032
680,000
706,143
Assemblin Caverion Group AB,
Sr. Scd. Bonds(b)
EUR
6.25
7/1/2030
360,000
437,506
Axon Enterprise, Inc., Sr.
Unscd. Notes(b),(c)
6.25
3/15/2033
837,000
863,919
CEME SpA, Sr. Scd. Bonds,
(3 Month EURIBOR
+4.50%)(b),(e)
EUR
6.48
9/30/2031
640,000
755,938
Chart Industries, Inc., Sr. Scd.
Notes(b),(c)
7.50
1/1/2030
905,000
948,599
CTEC II GmbH, Sr. Unscd.
Bonds(b)
EUR
5.25
2/15/2030
489,000
492,896
Dycom Industries, Inc., Gtd.
Notes(b),(c)
4.50
4/15/2029
874,000
851,340
GrafTech Finance, Inc., Scd.
Notes(b),(c)
4.63
12/23/2029
1,009,000
696,210
GrafTech Global Enterprises,
Inc., Scd. Notes(b)
9.88
12/23/2029
179,000
142,305
Husky Injection Molding
Systems Ltd./Titan Co-
Borrower LLC, Sr. Scd.
Notes(b),(c)
9.00
2/15/2029
602,000
630,172
TK Elevator US Newco, Inc., Sr.
Scd. Notes(b),(c)
5.25
7/15/2027
1,000,000
999,964
 
7,524,992
Information Technology — 4.6%
AthenaHealth Group, Inc., Sr.
Unscd. Notes(b),(c)
6.50
2/15/2030
2,398,000
2,362,547
Central Parent, Inc./CDK
Global, Inc., Sr. Scd. Notes(b)
7.25
6/15/2029
340,000
277,579
Cloud Software Group, Inc.,
Scd. Notes(b)
9.00
9/30/2029
397,000
411,870
Cloud Software Group, Inc., Sr.
Scd. Notes(b),(c)
6.50
3/31/2029
950,000
959,460
11

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Information Technology — 4.6% (continued)
CoreWeave, Inc., Gtd.
Notes(b),(c)
9.25
6/1/2030
719,000
735,669
Elastic NV, Sr. Unscd.
Notes(b),(c)
4.13
7/15/2029
1,438,000
1,375,276
Ellucian Holdings, Inc., Sr. Scd.
Notes(b),(c)
6.50
12/1/2029
1,213,000
1,243,560
SS&C Technologies, Inc., Gtd.
Notes(b)
6.50
6/1/2032
480,000
498,733
TeamSystem SpA, Sr. Scd.
Bonds(b)
EUR
5.00
7/1/2031
249,000
293,427
UKG, Inc., Sr. Scd. Notes(b),(c)
6.88
2/1/2031
1,127,000
1,170,051
 
9,328,172
Insurance — 6.1%
Acrisure LLC/Acrisure Finance,
Inc., Sr. Scd. Bonds(b)
6.75
7/1/2032
1,550,000
1,573,324
Acrisure LLC/Acrisure Finance,
Inc., Sr. Unscd. Notes(b),(c)
8.25
2/1/2029
786,000
813,980
Alliant Holdings Intermediate
LLC/Alliant Holdings Co-
Issuer, Sr. Scd. Notes(b),(c)
6.75
4/15/2028
666,000
677,475
Alliant Holdings Intermediate
LLC/Alliant Holdings Co-
Issuer, Sr. Scd. Notes(b),(c)
7.00
1/15/2031
972,000
1,006,180
Alliant Holdings Intermediate
LLC/Alliant Holdings Co-
Issuer, Sr. Unscd. Notes(b),(c)
7.38
10/1/2032
703,000
725,541
APH Somerset Investor
2 LLC/APH2 Somerset
Investor
2 LLC/APH3 Somerset
Inves, Sr. Unscd. Notes(b),(c)
7.88
11/1/2029
1,460,000
1,494,675
Ardonagh Finco Ltd., Sr. Scd.
Bonds(b)
EUR
6.88
2/15/2031
980,000
1,189,073
Ardonagh Finco Ltd., Sr. Scd.
Notes(b),(c)
7.75
2/15/2031
530,000
554,507
Ardonagh Group Finance Ltd.,
Sr. Unscd. Notes(b),(c)
8.88
2/15/2032
789,000
830,898
Global Atlantic Fin Co., Gtd.
Notes(b),(c)
7.95
6/15/2033
674,000
763,830
12


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Insurance — 6.1% (continued)
Howden UK Refinance
PLC/Howden UK Refinance
2 PLC/Howden US
Refinance LLC, Sr. Scd.
Notes(b)
7.25
2/15/2031
530,000
549,245
Howden UK Refinance
PLC/Howden UK Refinance
2 PLC/Howden US
Refinance LLC, Sr. Unscd.
Notes(b)
8.13
2/15/2032
380,000
397,102
HUB International Ltd., Sr. Scd.
Notes(b),(c)
7.25
6/15/2030
660,000
690,208
Panther Escrow Issuer LLC, Sr.
Scd. Notes(b),(c)
7.13
6/1/2031
1,086,000
1,128,795
 
12,394,833
Internet Software & Services — 3.7%
Arches Buyer, Inc., Sr. Unscd.
Notes(b),(c)
6.13
12/1/2028
1,258,000
1,158,123
Cablevision Lightpath LLC, Sr.
Scd. Notes(b),(c)
3.88
9/15/2027
790,000
761,909
Cogent Communications
Group LLC, Gtd. Notes(b),(c)
7.00
6/15/2027
581,000
584,185
Gen Digital, Inc., Gtd.
Notes(b),(c)
6.25
4/1/2033
1,520,000
1,564,600
Gen Digital, Inc., Gtd. Notes(b)
6.75
9/30/2027
807,000
821,955
Match Group Holdings II LLC,
Sr. Unscd. Notes(b),(c)
4.13
8/1/2030
907,000
848,790
Rakuten Group, Inc., Sr. Unscd.
Notes(b),(c)
9.75
4/15/2029
625,000
686,359
United Group BV, Sr. Scd.
Bonds(b)
EUR
5.25
2/1/2030
360,000
420,783
United Group BV, Sr. Scd.
Bonds(b)
EUR
6.50
10/31/2031
510,000
609,127
 
7,455,831
Materials — 1.8%
Clydesdale Acquisition
Holdings, Inc., Gtd.
Notes(b),(c)
8.75
4/15/2030
1,378,000
1,410,402
Clydesdale Acquisition
Holdings, Inc., Sr. Scd.
Notes(b),(c)
6.88
1/15/2030
573,000
586,481
13

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Materials — 1.8% (continued)
LABL, Inc., Sr. Scd. Notes(b)
9.50
11/1/2028
450,000
416,533
Mauser Packaging Solutions
Holding Co., Sr. Scd.
Bonds(b),(c)
7.88
4/15/2027
668,000
679,785
Sealed Air Corp., Gtd.
Notes(b),(c)
5.00
4/15/2029
620,000
613,723
 
3,706,924
Media — 6.2%
CCO Holdings LLC/CCO
Holdings Capital Corp., Sr.
Unscd. Notes(b),(c)
4.25
1/15/2034
1,684,000
1,500,127
CCO Holdings LLC/CCO
Holdings Capital Corp., Sr.
Unscd. Notes(c)
4.50
5/1/2032
1,693,000
1,577,652
CCO Holdings LLC/CCO
Holdings Capital Corp., Sr.
Unscd. Notes(b),(c)
5.00
2/1/2028
1,557,000
1,543,719
CCO Holdings LLC/CCO
Holdings Capital Corp., Sr.
Unscd. Notes(b),(c)
5.38
6/1/2029
799,000
796,634
CSC Holdings LLC, Gtd.
Notes(b),(c)
5.50
4/15/2027
512,000
489,263
CSC Holdings LLC, Gtd.
Notes(b),(c)
11.25
5/15/2028
375,000
373,878
CSC Holdings LLC, Gtd.
Notes(b),(c)
11.75
1/31/2029
1,623,000
1,544,740
CSC Holdings LLC, Sr. Unscd.
Notes(b),(c)
5.75
1/15/2030
380,000
188,332
Sinclair Television Group, Inc.,
Sr. Scd. Bonds(b),(c)
8.13
2/15/2033
1,079,000
1,090,962
Sirius XM Radio LLC, Gtd.
Notes(b),(c)
4.00
7/15/2028
1,010,000
970,750
Sirius XM Radio LLC, Gtd.
Notes(b)
5.00
8/1/2027
1,100,000
1,091,353
Sunrise FinCo I BV, Sr. Scd.
Notes(b),(c)
4.88
7/15/2031
770,000
728,709
Virgin Media Secured Finance
PLC, Sr. Scd. Notes(b)
5.50
5/15/2029
667,000
656,466
 
12,552,585
14


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Metals & Mining — 2.6%
Arsenal AIC Parent LLC, Sr.
Scd. Notes(b),(c)
8.00
10/1/2030
1,140,000
1,218,022
Cleveland-Cliffs, Inc., Gtd.
Notes(b),(c)
6.88
11/1/2029
530,000
522,280
Cleveland-Cliffs, Inc., Gtd.
Notes(b),(c)
7.50
9/15/2031
348,000
335,924
First Quantum Minerals Ltd.,
Scd. Notes(b),(c)
9.38
3/1/2029
1,167,000
1,240,051
FMG Resources August
2006 Pty Ltd., Sr. Unscd.
Notes(b),(c)
6.13
4/15/2032
690,000
702,334
Samarco Mineracao SA, Sr.
Unscd. Notes(b),(f)
9.50
6/30/2031
136,137
133,915
Samarco Mineracao SA, Sr.
Unscd. Notes(f)
9.50
6/30/2031
642,757
632,268
Taseko Mines Ltd., Sr. Scd.
Notes(b)
8.25
5/1/2030
538,000
563,893
 
5,348,687
Real Estate — 4.5%
CoreLogic, Inc., Sr. Scd.
Notes(b)
4.50
5/1/2028
627,000
598,630
Iron Mountain, Inc., Gtd.
Notes(b)
4.88
9/15/2029
705,000
693,141
Iron Mountain, Inc., Gtd.
Notes(b)
5.00
7/15/2028
686,000
681,072
Ladder Capital Finance
Holdings LLP/Ladder
Capital Finance Corp., Gtd.
Notes(b),(c)
7.00
7/15/2031
186,000
194,620
Park Intermediate Holdings
LLC/PK Domestic Property
LLC/PK Finance Co-Issuer,
Sr. Scd. Notes(b)
4.88
5/15/2029
742,000
719,391
RHP Hotel Properties LP/RHP
Finance Corp., Gtd.
Notes(b),(c)
6.50
4/1/2032
533,000
548,522
Rithm Capital Corp., Sr. Unscd.
Notes(b),(c)
8.00
4/1/2029
1,547,000
1,564,121
Rithm Capital Corp., Sr. Unscd.
Notes(b)
8.00
7/15/2030
659,000
662,799
15

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Real Estate — 4.5% (continued)
RLJ Lodging Trust LP, Sr. Scd.
Notes(b),(c)
4.00
9/15/2029
882,000
823,661
Starwood Property Trust, Inc.,
Sr. Unscd. Notes(b)
4.38
1/15/2027
331,000
328,142
Starwood Property Trust, Inc.,
Sr. Unscd. Notes(b),(c)
7.25
4/1/2029
663,000
698,186
Uniti Group LP/Uniti Fiber
Holdings, Inc./CSL Capital
LLC, Gtd. Notes(b)
6.00
1/15/2030
611,000
573,030
Uniti Group LP/Uniti Group
Finance 2019, Inc./CSL
Capital LLC, Gtd. Notes(b)
8.63
6/15/2032
523,000
528,757
Uniti Group LP/Uniti Group
Finance 2019, Inc./CSL
Capital LLC, Sr. Scd. Notes(b)
10.50
2/15/2028
463,000
491,147
 
9,105,219
Retailing — 4.6%
Carvana Co., Sr. Scd.
Notes(b),(c),(f)
9.00
6/1/2030
295,400
310,837
Carvana Co., Sr. Scd.
Notes(b),(c),(f)
9.00
6/1/2031
860,000
1,019,652
Fertitta Entertainment
LLC/Fertitta Entertainment
Finance Co., Inc., Gtd.
Notes(b),(c)
6.75
1/15/2030
446,000
411,929
Fertitta Entertainment
LLC/Fertitta Entertainment
Finance Co., Inc., Sr. Scd.
Notes(b),(c)
4.63
1/15/2029
461,000
441,842
Foundation Building
Materials, Inc., Gtd.
Notes(b),(c)
6.00
3/1/2029
1,498,000
1,375,276
GYP Holdings III Corp., Gtd.
Notes(b),(c)
4.63
5/1/2029
0
0
PetSmart, Inc./PetSmart
Finance Corp., Gtd. Notes(b)
7.75
2/15/2029
563,000
547,643
PetSmart, Inc./PetSmart
Finance Corp., Sr. Scd.
Notes(b),(c)
4.75
2/15/2028
1,179,000
1,150,721
QXO Building Products, Inc.,
Sr. Scd. Bonds(b),(c)
6.75
4/30/2032
660,000
681,583
16


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Retailing — 4.6% (continued)
Saks Global Enterprises LLC,
Sr. Scd. Notes(b)
11.00
12/15/2029
951,000
361,380
Specialty Building Products
Holdings LLC/SBP Finance
Corp., Sr. Scd. Notes(b)
7.75
10/15/2029
518,000
509,521
Staples, Inc., Sr. Scd. Notes(b)
10.75
9/1/2029
515,000
489,984
Walgreens Boots Alliance, Inc.,
Sr. Unscd. Notes
4.80
11/18/2044
741,000
708,329
White Cap Buyer LLC, Sr.
Unscd. Notes(b),(c)
6.88
10/15/2028
1,235,000
1,234,065
 
9,242,762
Semiconductors & Semiconductor Equipment — .7%
Entegris, Inc., Gtd. Notes(b),(c)
5.95
6/15/2030
1,360,000
1,382,935
Technology Hardware & Equipment — .6%
Virtusa Corp., Sr. Unscd.
Notes(b),(c)
7.13
12/15/2028
1,279,000
1,220,074
Telecommunication Services — 6.0%
Altice France SA, Sr. Scd.
Notes(b),(c)
8.13
2/1/2027
1,473,000
1,326,812
CommScope Technologies
LLC, Gtd. Notes(b)
5.00
3/15/2027
294,000
286,607
Consolidated
Communications, Inc., Sr.
Scd. Notes(b)
6.50
10/1/2028
763,000
778,476
Fibercop SpA, Sr. Scd.
Notes(b),(c)
7.72
6/4/2038
1,085,000
1,079,568
Frontier Communications
Holdings LLC, Scd.
Notes(b),(c)
6.75
5/1/2029
920,000
932,674
Iliad Holding SASU, Sr. Scd.
Notes(b)
7.00
10/15/2028
531,000
541,117
Iliad Holding SASU, Sr. Scd.
Notes(b)
7.00
4/15/2032
400,000
410,332
Iliad Holding SASU, Sr. Scd.
Notes(b),(c)
8.50
4/15/2031
509,000
544,897
Level 3 Financing, Inc., Gtd.
Notes(b)
3.75
7/15/2029
361,000
305,496
Level 3 Financing, Inc., Scd.
Notes(b),(c)
10.00
10/15/2032
698,000
706,154
Level 3 Financing, Inc., Sr. Scd.
Bonds(b)
6.88
6/30/2033
1,377,000
1,402,121
17

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Telecommunication Services — 6.0% (continued)
Level 3 Financing, Inc., Sr. Scd.
Notes(b)
10.75
12/15/2030
319,000
362,464
Lumen Technologies, Inc., Sr.
Scd. Notes(b)
4.13
4/15/2029
232,175
226,661
Lumen Technologies, Inc., Sr.
Scd. Notes(b),(c)
10.00
10/15/2032
380,000
388,550
Lumen Technologies, Inc., Sr.
Unscd. Bonds, Ser. P(c)
7.60
9/15/2039
914,000
780,867
Lumen Technologies, Inc., Sr.
Unscd. Notes(b)
5.38
6/15/2029
676,000
606,228
Windstream Services
LLC/Windstream Escrow
Finance Corp., Sr. Scd.
Notes(b),(c)
8.25
10/1/2031
1,446,000
1,515,612
 
12,194,636
Transportation — 1.2%
Beacon Mobility Corp., Sr. Scd.
Notes(b)
7.25
8/1/2030
1,035,000
1,057,586
SGL Group ApS, Sr. Scd. Bonds,
(3 Month EURIBOR
+4.25%)(e)
EUR
6.30
2/24/2031
405,000
475,612
Stonepeak Nile Parent LLC, Sr.
Scd. Notes(b),(c)
7.25
3/15/2032
843,000
894,175
 
2,427,373
Utilities — 5.1%
California Buyer
Ltd./Atlantica Sustainable
Infrastructure PLC, Sr.
Unscd. Notes(b),(c)
6.38
2/15/2032
1,420,000
1,423,578
ContourGlobal Power
Holdings SA, Sr. Scd.
Bonds(b),(c)
6.75
2/28/2030
1,331,000
1,373,073
NRG Energy, Inc., Gtd.
Notes(b),(c)
3.88
2/15/2032
650,000
597,353
NRG Energy, Inc., Gtd.
Notes(b),(c)
6.25
11/1/2034
589,000
600,470
NRG Energy, Inc., Jr. Sub.
Bonds(b),(d)
10.25
3/15/2028
490,000
544,425
PG&E Corp., Sr. Scd. Notes(c)
5.00
7/1/2028
325,000
316,770
PG&E Corp., Sr. Scd. Notes
5.25
7/1/2030
694,000
661,568
18


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)(a)
Value ($)
Bonds and Notes — 118.3% (continued)
Utilities — 5.1% (continued)
Venture Global Plaquemines
LNG LLC, Sr. Scd. Notes(b)
7.50
5/1/2033
696,000
745,776
Vistra Corp., Jr. Sub.
Notes(b),(d)
7.00
12/15/2026
447,000
452,667
Vistra Operations Co. LLC, Gtd.
Notes(b)
4.38
5/1/2029
76,000
74,123
Vistra Operations Co. LLC, Gtd.
Notes(b)
6.88
4/15/2032
474,000
495,867
Vistra Operations Co. LLC, Gtd.
Notes(b),(c)
7.75
10/15/2031
1,171,000
1,245,421
XPLR Infrastructure Operating
Partners LP, Gtd. Notes(b),(c)
3.88
10/15/2026
827,000
808,489
XPLR Infrastructure Operating
Partners LP, Gtd. Notes(b)
8.38
1/15/2031
634,000
677,672
XPLR Infrastructure Operating
Partners LP, Gtd. Notes(b)
8.63
3/15/2033
354,000
379,682
 
10,396,934
Total Bonds and Notes
(cost $231,373,247)
239,746,251
Convertible Bonds and Notes — .3%
Diversified Financials —
.1%
Riot Platforms, Inc., Sr. Unscd.
Notes(b)
0.75
1/15/2030
160,000
166,400
Utilities — .2%
PG&E Corp., Sr. Scd. Notes
4.25
12/1/2027
541,000
538,187
Total Convertible Bonds and
Notes
(cost $699,891)
704,587
 
 
 

 
Principal
Amount ($)
 
Fixed Rate Loan Interests — 1.2%
Technology Hardware &
Equipment — 1.2%
X Corp., Tranche Term Loan B-3
(cost $2,473,032)
9.50
10/29/2029
2,479,533
2,414,445
19

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)
Value ($)
Floating Rate Loan Interests — 10.8%
Automobiles & Components — .5%
First Brands Group LLC,
2021 First Lien Term Loan,
(3 Month TSFR +5.26%)(e)
9.54
3/30/2027
265,154
251,242
First Brands Group LLC,
2022 Incremental Term Loan,
(3 Month TSFR +5.26%)(e)
9.54
3/30/2027
782,333
740,447
 
991,689
Chemicals — .3%
Hexion Holdings Corp.,
2024 Refinancing Term Loan,
(1 Month TSFR +4.00%)(e)
8.31
3/15/2029
683,078
682,436
Commercial & Professional Services — .6%
Catawba Nation Gaming
Authority, Term Loan B,
(3 Month TSFR +4.75%)(e)
9.05
3/29/2032
349,000
353,799
Vaco Holdings LLC, Initial Term
Loan, (3 Month TSFR
+5.00%)(e)
9.45
1/22/2029
822,225
755,830
 
1,109,629
Energy — .6%
WaterBridge Midstream
Operating LLC, Term Loan B,
(3 Month TSFR +5.01%)(e)
9.31
6/27/2029
1,187,662
1,184,479
Food Products — .4%
Max US BidCo, Inc., Initial Term
Loan, (1 Month TSFR
+5.00%)(e)
9.33
10/2/2030
825,421
820,262
Food Service — .3%
Golden State Foods LLC, Initial
Term Loan, (1 Month TSFR
+4.25%)(e)
8.56
12/4/2031
518,098
521,232
Health Care — 1.2%
Alvogen Pharma US, Inc., Second
Lien Term Loan, (3 Month
TSFR +10.50%)(e),(f)
14.80
3/1/2029
398
139
Inovie Group, Senior Facility
Term Loan B, (3 Month
EURIBOR +4.00%)(e)
EUR
5.98
3/3/2028
1,000,000
1,137,705
20


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)
Value ($)
Floating Rate Loan Interests — 10.8% (continued)
Health Care — 1.2% (continued)
Team Health Holdings, Inc.,
Extended Term Loan, (3 Month
TSFR +5.25%)(e)
9.53
3/2/2027
563,462
561,523
US Anesthesia Partners, Inc.,
Initial Term Loan, (1 Month
TSFR +4.36%)(e)
8.69
10/2/2028
692,802
685,559
 
2,384,926
Information Technology — 2.2%
Ascend Learning LLC, Second
Lien Initial Term Loan,
(1 Month TSFR +5.85%)(e)
10.18
12/10/2029
821,422
824,502
Flash Charm, Inc., 2024 Term
Loan B-2, (3 Month TSFR
+3.50%)(e)
7.78
3/2/2028
401,963
378,055
HS Purchaser LLC, First Lien 7th
Amendment Refinancing Term
Loan, (3 Month TSFR
+4.10%)(e)
8.38
11/30/2026
651,818
622,672
Inmar, Inc., 2025 First Lien Term
Loan, (1 Month TSFR
+4.50%)(e)
8.80
10/30/2031
442,661
446,903
Polaris Newco LLC, First Lien
Euro Term Loan, (1 Month
EURIBOR +3.75%)(e)
EUR
5.68
6/5/2028
987,153
1,114,851
Rithum Holdings, Inc., First Lien
Term Loan, (3 Month TSFR
+4.15%)(e)
8.41
12/2/2027
322,312
320,904
Starlight Parent LLC, Term Loan,
(3 Month TSFR +4.00%)(e)
8.26
4/16/2032
800,000
784,168
 
4,492,055
Insurance — .3%
OneDigital Borrower LLC, Second
Lien Initial Term Loan,
(1 Month TSFR +5.25%)(e)
9.58
7/2/2032
664,000
666,490
Internet Software & Services — 1.0%
MH Sub I LLC, 2023 May New
Term Loan, (1 Month TSFR
+4.25%)(e)
8.58
5/3/2028
851,960
800,842
21

STATEMENT OF INVESTMENTS (Unaudited) (continued)

Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)
Value ($)
Floating Rate Loan Interests — 10.8% (continued)
Internet Software & Services — 1.0% (continued)
MH Sub I LLC, Second Lien Term
Loan, (1 Month TSFR
+6.25%)(e)
10.58
2/23/2029
570,000
503,595
StubHub Holdco Sub LLC,
Extended USD Term Loan B,
(1 Month TSFR +4.75%)(e)
9.08
3/15/2030
665,130
647,391
 
1,951,828
Materials — .5%
LABL, Inc., Initial Euro Term
Loan, (1 Month EURIBOR
+5.00%)(e)
EUR
6.93
10/30/2028
987,212
1,020,916
Media — .3%
Gray Media, Inc., Term Loan F,
(1 Month TSFR +5.25%)(e)
9.57
6/4/2029
503,609
504,284
Real Estate — .8%
CoreLogic, Inc., First Lien Initial
Term Loan, (1 Month TSFR
+3.61%)(e)
7.94
6/2/2028
675,375
669,361
Emeria SASU, Facility Term Loan
B, (3 Month EURIBOR
+3.50%)(e)
EUR
5.53
3/27/2028
1,000,000
1,035,259
 
1,704,620
Retailing — .4%
Foundation Building Materials,
Inc., 2024 Incremental Term
Loan, (3 Month TSFR
+4.00%)(e)
8.28
1/29/2031
433,901
425,998
Staples, Inc., Closing Date Term
Loan, (3 Month TSFR
+5.75%)(e)
10.03
9/10/2029
506,147
468,366
 
894,364
Technology Hardware & Equipment — .3%
Peraton Corp., First Lien Term
Loan B, (1 Month TSFR
+3.85%)(e)
8.18
2/1/2028
637,534
564,616
Telecommunication Services — 1.1%
Altice France SA, USD Term Loan
B-14, (3 Month TSFR
+5.50%)(e)
9.76
8/31/2028
880,421
799,959
22


Description
 
Coupon
Rate (%)
Maturity
Date
Principal
Amount ($)
Value ($)
Floating Rate Loan Interests — 10.8% (continued)
Telecommunication Services — 1.1% (continued)
CommScope, Inc., Initial Term
Loan, (1 Month TSFR
+5.25%)(e)
9.58
12/17/2029
666,000
675,087
Zayo Group Holdings, Inc., Initial
Dollar Term Loan, (1 Month
TSFR +3.11%)(e)
7.44
3/9/2027
870,000
829,802
 
2,304,848
Total Floating Rate Loan
Interests
(cost $21,456,781)
21,798,674
 
 
 
 
Shares
 
Exchange-Traded Funds — 2.3%
Registered Investment Companies — 2.3%
iShares 10+ Year Investment Grade Corporate Bond ETF
10,860
545,281
iShares iBoxx $ High Yield Corporate Bond ETF
18,790
1,515,414
iShares iBoxx $ Investment Grade Corporate Bond ETF
11,030
1,208,998
SPDR Bloomberg High Yield Bond ETF
15,530
1,510,603
Total Exchange-Traded Funds
(cost $4,631,613)
4,780,296
 
 
1-Day
Yield (%)
 
 
 
Investment Companies — 2.9%
Registered Investment Companies — 2.9%
Dreyfus Institutional Preferred Government
Plus Money Market Fund, Institutional
Shares(g)
(cost $5,825,536)
4.47
5,825,536
5,825,536
Total Investments (cost $266,460,100)
 
   135.8%
275,269,789
Liabilities, Less Cash and Receivables
 
   (35.8%)
(72,567,037)
Net Assets
   100.0%
202,702,752
ETF—Exchange-Traded Fund
EUR—Euro
EURIBOR—Euro Interbank Offered Rate
GBP—British Pound
SPDR—Standard & Poor’s Depository Receipt
TSFR—Term Secured Overnight Financing Rate Reference Rates
23

STATEMENT OF INVESTMENTS (Unaudited) (continued)
USD—United States Dollar
(a)
Amount stated in U.S. Dollars unless otherwise noted above.
(b)
Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities
may be resold in transactions exempt from registration, normally to qualified institutional buyers. At
June 30, 2025, these securities amounted to $224,185,110 or 110.6% of net assets.
(c)
Security, or a portion thereof, has been pledged as collateral for the fund’s Revolving Credit and Security
Agreement.
(d)
Security is a perpetual bond with no specified maturity date. Maturity date shown is next reset date of the
bond.
(e)
Variable rate security—Interest rate resets periodically and the rate shown is the interest rate in effect at
period end. Security description also includes the reference rate and spread if published and available.
(f)
Payment-in-kind security and interest may be paid in additional par.
(g)
Investment in affiliated issuer. The investment objective of this investment company is publicly available
and can be found within the investment company’s prospectus.
Forward Foreign Currency Exchange Contracts
Counterparty/
Purchased
Currency
Purchased
Currency
Amounts
Currency
Sold
Sold
Currency
Amounts
Settlement
Date
Unrealized
(Depreciation) ($)
Barclays Capital, Inc.
United States
Dollar
587,229
Euro
500,000
7/22/2025
(2,651)
Goldman Sachs & Co. LLC
United States
Dollar
5,377,499
British Pound
3,965,000
7/22/2025
(65,618)
United States
Dollar
14,636,297
Euro
12,630,000
7/22/2025
(264,055)
United States
Dollar
581,295
Euro
500,000
7/22/2025
(8,584)
Gross Unrealized Depreciation
(340,908)
See notes to statement of investments.
24

Statement of Investments
BNY Mellon High Yield Strategies Fund
June 30, 2025 (Unaudited)

The following is a summary of the inputs used as of June 30, 2025 in valuing the fund’s investments:
 
Level 1 -
Unadjusted
Quoted Prices
Level 2- Other
Significant
Observable Inputs
Level 3-
Significant
Unobservable
Inputs
Total
Assets ($)
Investments in
Securities:
Collateralized Loan
Obligations
4,464,140
4,464,140
Convertible
Corporate Bonds and
Notes
704,587
704,587
Corporate Bonds and
Notes
235,282,111
235,282,111
Exchange-Traded
Funds
4,780,296
4,780,296
Fixed Rate Loan
Interests
2,414,445
2,414,445
Floating Rate Loan
Interests
21,798,674
21,798,674
Investment
Companies
5,825,536
5,825,536
 
10,605,832
264,663,957
275,269,789
Liabilities ($)
Other Financial
Instruments:
Forward Foreign
Currency Exchange
Contracts††
(340,908)
(340,908)
 
(340,908)
(340,908)
See Statement of Investments for additional detailed categorizations, if any.
††
Amount shown represents unrealized appreciation (depreciation) at period end, but only variation margin
on exchange-traded and centrally cleared derivatives, if any, are reported in the Statement of Assets and
Liabilities.
25

The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission (“SEC”) under authority of federal laws are also sources of authoritative GAAP for SEC registrants. The fund is an investment company and applies the accounting and reporting guidance of the FASB ASC Topic 946 Financial Services-Investment Companies. The fund’s financial statements are prepared in accordance with GAAP, which may require the use of management estimates and assumptions. Actual results could differ from those estimates.
The fair value of a financial instrument is the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price). GAAP establishes a fair value hierarchy that prioritizes the inputs of valuation techniques used to measure fair value. This hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements).
Additionally, GAAP provides guidance on determining whether the volume and activity in a market has decreased significantly and whether such a decrease in activity results in transactions that are not orderly. GAAP requires enhanced disclosures around valuation inputs and techniques used during annual and interim periods.
Various inputs are used in determining the value of the fund’s investments relating to fair value measurements. These inputs are summarized in the three broad levels listed below:
Level 1—unadjusted quoted prices in active markets for identical investments.
Level 2—other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.).
Level 3—significant unobservable inputs (including the fund’s own assumptions in determining the fair value of investments).
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the fund’s investments are as follows:
The fund’s Board of Trustees (the “Board”) has designated the Adviser as the fund’s valuation designee to make all fair value determinations with respect to the fund’s portfolio investments, subject to the Board’s oversight and pursuant to Rule 2a-5 under the Act.
Investments in debt securities and floating rate loan interests, excluding short-term investments (other than U.S. Treasury Bills) and forward foreign currency exchange
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contracts (forward contracts), are valued each business day by one or more independent pricing services (each, a Service) approved by the Board. Investments for which quoted bid prices are readily available and are representative of the bid side of the market in the judgment of a Service are valued at the mean between the quoted bid prices (as obtained by a Service from dealers in such securities) and asked prices (as calculated by a Service based upon its evaluation of the market for such securities). Securities are valued as determined by a Service, based on methods which include consideration of the following: yields or prices of securities of comparable quality, coupon, maturity and type; indications as to values from dealers; and general market conditions. The Services are engaged under the general supervision of the Board. These securities are generally categorized within Level 2 of the fair value hierarchy.
Investments in exchange-traded funds are valued at the last sales price on the securities exchange or national securities market on which such securities are primarily traded. Securities listed on the National Market System for which market quotations are available are valued at the official closing price or, if there is no official closing price that day, at the last sales price. For open short positions, asked prices are used for valuation purposes. Bid price is used when no asked price is available. Registered investment companies that are not traded on an exchange are valued at their net asset value. All of the preceding securities are generally categorized within Level 1 of the fair value hierarchy.
Securities not listed on an exchange or the national securities market, or securities for which there were no transactions, are valued at the average of the most recent bid and asked prices. These securities are generally categorized within Level 2 of the fair value hierarchy.
Fair valuing of securities may be determined with the assistance of a Service using calculations based on indices of domestic securities and other appropriate indicators, such as prices of relevant American Depositary Receipts and futures. Utilizing these techniques may result in transfers between Level 1 and Level 2 of the fair value hierarchy.
When market quotations or official closing prices are not readily available, or are determined not to accurately reflect fair value, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded (for example, a foreign exchange or market), but before the fund calculates its net asset value, the fund may value these investments at fair value as determined in accordance with the procedures approved by the Board. Certain factors may be considered when fair valuing investments such as: fundamental analytical data, the nature and duration of restrictions on disposition, an evaluation of the forces that influence the market in which the securities are purchased and sold, and public trading in similar securities of the issuer or comparable issuers. These securities are either categorized within Level 2 or 3 of the fair value hierarchy depending on the relevant inputs used.
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For securities where observable inputs are limited, assumptions about market activity and risk are used and such securities are generally categorized within Level 3 of the fair value hierarchy.
Investments denominated in foreign currencies are translated to U.S. dollars at the prevailing rates of exchange.
Forward contracts are valued at the forward rate and are generally categorized within Level 2 of the fair value hierarchy.
Floating Rate Loan Interests: Floating rate instruments are loans and other securities with interest rates that adjust or “float” periodically. Floating rate loans are made by banks and other financial institutions to their corporate clients. The rates of interest on the loans adjust periodically by reference to a base lending rate, plus a premium or credit spread. Floating rate loans reset on periodic set dates, typically 30 to 90 days, but not to exceed one year. The fund may invest in multiple series or tranches of a loan. A different series or tranche may have varying terms and carry different associated risks.
Derivatives: A derivative is a financial instrument whose performance is derived from the performance of another asset. Each type of derivative instrument that was held by the fund at June 30, 2025 is discussed below.
Forward Foreign Currency Exchange Contracts: The fund enters into forward contracts in order to hedge its exposure to changes in foreign currency exchange rates on its foreign portfolio holdings, to settle foreign currency transactions or as a part of its investment strategy. When executing forward contracts, the fund is obligated to buy or sell a foreign currency at a specified rate on a certain date in the future. With respect to sales of forward contracts, the fund incurs a loss if the value of the contract increases between the date the forward contract is opened and the date the forward contract is closed. The fund realizes a gain if the value of the contract decreases between those dates. With respect to purchases of forward contracts, the fund incurs a loss if the value of the contract decreases between the date the forward contract is opened and the date the forward contract is closed. The fund realizes a gain if the value of the contract increases between those dates. Any realized or unrealized gains or losses which occurred during the period are reflected in the Statement of Operations. The fund is exposed to foreign currency risk as a result of changes in value of underlying financial instruments. The fund is also exposed to credit risk associated with counterparty non-performance on these forward contracts, which is generally limited to the unrealized gain on each open contract. This risk may be mitigated by Master Agreements, if any, between the fund and the counterparty and the posting of collateral, if any, by the counterparty to the fund to cover the fund’s exposure to the counterparty. Forward contracts open at June 30, 2025 are set forth in the Statement of Investments.
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At June 30, 2025, accumulated net unrealized appreciation on investments inclusive of derivative contracts was $8,468,781, consisting of $9,941,533 gross unrealized appreciation and $1,472,752 gross unrealized depreciation.
At June 30, 2025, the cost of investments for federal income tax purposes was substantially the same as the cost for financial reporting purposes (see the Statement of Investments).
Additional investment related disclosures are hereby incorporated by reference to the annual and semi-annual reports previously filed with the SEC on Form N-CSR.
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