Pender Corporate Bond Fund Holdings

Asset Allocation (%)
US Corporate Bonds 47.1
Canadian Corporate Bonds 20.2
Government Bonds 7.9
Foreign Corporate Bonds 7.4
US Equities 4.6
Canadian Equities 4.5
Term Loans 4.0
Closed End Funds 2.6
Cash 1.7
Asset Allocation (%)
US Corporate Bonds 47.1
Canadian Corporate Bonds 20.2
Government Bonds 7.9
Foreign Corporate Bonds 7.4
US Equities 4.6
Canadian Equities 4.5
Term Loans 4.0
Closed End Funds 2.6
Cash 1.7
Sector Allocation (%)
Energy 13.5
Healthcare 12.6
Industrials 10.1
Materials 9.9
Communication Services 8.2
Diversified Financials 7.9
Government Bonds 7.9
Information Technology 7.7
Consumer Discretionary 7.6
Insurance 3.2
Utilities 3.1
Consumer Staples 2.9
Closed End Funds 2.6
Real Estate 1.1
Cash 1.7
Sector Allocation (%)
Energy 13.5
Healthcare 12.6
Industrials 10.1
Materials 9.9
Communication Services 8.2
Diversified Financials 7.9
Government Bonds 7.9
Information Technology 7.7
Consumer Discretionary 7.6
Insurance 3.2
Utilities 3.1
Consumer Staples 2.9
Closed End Funds 2.6
Real Estate 1.1
Cash 1.7
Currency Allocation (%)
United States 79.4
Canadian 20.6
Currency Allocation (%)
United States 79.4
Canadian 20.6
Top 10 Holdings Maturity Date Coupon Rate (%) Fund (%)
Esperion Therapeutics, Inc. 15-Nov-25 4.000% 2.9
OPKO Health, Inc. 15-Jan-29 3.750% 2.3
Verisign, Inc. 15-Jul-27 4.750% 2.2
First Majestic Silver Corp. 15-Jan-27 0.375% 2.1
Liberty Tripadvisor Holdings, Inc. 27-Mar-25 0.500% 2.0
Waste Management of Canada Corporation 23-Sep-26 2.600% 2.0
Lucid Group, Inc. 15-Dec-26 1.25% 1.9
Rivian Holdings, LLC 15-Oct-26 11.215% 1.9
Emergent BioSolutions Inc. 15-Aug-28 3.875% 1.8
Petroleum Geo-Services AS 31-Mar-27 13.50% 1.7
Total Percentage of Top 10 Holdings 20.8%
Total Net Assets of Fund $1570.78M