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TCW Multisector Credit Income ETF (MUSE) is an ETF managed by Independent / Boutique. Its largest position is AVOLON TLB BORROWER 1 US LLC (null), representing 0.88% of fund assets.

TCW Multisector Credit Income ETF Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
MUSE
Type:
ETF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 25, 2026
Showing 50 out of 99 holdings
Holding Weight Market Value Shares
-
AVOLON TLB BORROWER 1 US LLC
0.88% $347,387.69 345,625
-
TCP SUNBELT ACQUISITION CO
0.88% $346,057.03 345,625
-
DELIVERY HERO SE
0.87% $343,861.79 344,724
-
SOUTH FIELD LLC
0.73% $287,779.71 286,170
-
MAGNITE, INC.
0.71% $277,551.66 280,214
-
PEER HOLDING III BV
0.64% $250,531.25 250,000
-
OAK HILL CREDIT PARTNERS
0.64% $250,521.00 250,000
-
GOLDENTREE LOAN MANAGEMENT US CLO 11 LTD.
0.64% $250,271.75 250,000
-
SIXTH STREET CLO XVI, LTD.
0.64% $250,189.00 250,000
-
ROCKT 2020-1A A1 V/R 01/20/36
0.64% $250,052.50 250,000
-
TRANSDIGM TL-M 8/13/2032
0.63% $249,455.21 248,750
-
HEARTLAND DENTAL LLC
0.63% $248,622.49 248,125
-
GIH BORROWER LLC
0.63% $247,800.78 246,875
-
WEC US HOLDINGS LTD
0.63% $247,053.17 246,241
-
AIR CANADA
0.63% $246,325.12 246,233
-
CLEANOVA US HOLDINGS, LLC
0.63% $246,262.50 248,750
-
THERMOSTAT PURCHASER III, INC.
0.62% $243,919.33 248,106
-
SURF HOLDINGS LLC
0.61% $239,482.11 246,730
-
AIR COMM CORPORATION LLC
0.60% $237,354.15 236,100
-
PRIORITY PAYME 07/22/2032
0.60% $236,655.65 243,160
-
PELICAN PRODUCTS, INC.
0.60% $236,013.80 248,701
-
ASP DREAM (DBA FULLBLOOM)
0.59% $233,213.38 246,787
-
TIBCO SOFTWA/CITRIX/CLOUD SOFTW 8/25 COV-LITE TLB
0.58% $229,640.00 247,506
-
BEAR MOUNTAIN PARK CLO LTD
0.57% $225,354.38 225,000
-
JUPITER BUYER, INC.
0.57% $223,147.54 221,899
-
GLATFELTER CORP
0.55% $217,106.82 224,865
-
Xerox Holdings Corp
0.51% $200,147.72 280,909
-
STATE STREET GLOBAL ADVISORS
0.50% $196,659.16 196,659
-
PROJECT ALPHA INTERMEDIATE HOLDING, INC.
0.50% $195,515.08 247,487
-
MH SUB I LLC
0.48% $190,287.65 205,945
-
UNITED NATURAL FOODS INC
0.48% $188,098.04 186,744
-
TCW CENTRAL CASH FUND
0.44% $171,341.12 171,341
-
BLACKHAWK NETWORK HOLDINGS INC
0.43% $171,060.71 172,384
-
RENAISSANCE HOLDING CORP.
0.43% $168,222.35 246,222
-
FUGUE FINANCE BV
0.42% $166,698.55 166,991
-
ASTRION (ENGINEERING RESEARCH AND CONSULTING)
0.41% $162,965.89 204,560
-
TKO WORLDWIDE 11/21/2031
0.38% $150,194.68 149,623
-
BCPE EMPIRE HOLDINGS INC
0.38% $150,046.50 150,000
-
ZIGGO FINANCING PARTNERSHIP
0.38% $148,987.50 150,000
-
BCPE NORTH STAR TERM LOAN 1ST LIEN /
0.37% $147,382.05 147,682
-
QuidelOrtho Corp
0.36% $140,696.21 148,101
-
ASURION LLC
0.33% $128,118.25 130,000
-
Legence Corp.
0.32% $125,495.99 124,772
-
OPAL BIDCO SAS
0.32% $125,022.99 124,375
-
VOYAGER PARENT, LLC
0.32% $124,571.67 124,376
-
HOLDING SOCOTEC
0.32% $124,078.56 123,750
-
TRANS UNION LLC
0.31% $123,591.80 123,438
-
CHARTER COMMUNIC 12/15/31
0.31% $123,508.48 123,438
-
GREAT CANADIAN GAMING CORPORATION
0.31% $122,187.50 125,000
-
DERMATOLOGY INTERMEDIATE HOLDINGS III INC
0.30% $116,534.06 121,866
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