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Market/Bond Market

Bonds

Highest Yield Bonds

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G
GREEL
GREE 8.5% 20261031
YTM %
32.95%
Maturity Date
2026-10-31
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P
PRHIZ
PRHI 9.75% 20280930
YTM %
23.96%
Maturity Date
2028-09-30
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R
RILYT
RILY 6% 20280131
YTM %
20.41%
Maturity Date
2028-01-31
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R
RILYZ
RILY 5.25% 20280831
YTM %
19.38%
Maturity Date
2028-08-31
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R
RILYG
RILY 5% 20261231
YTM %
13.19%
Maturity Date
2026-12-31
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R
RILYN
RILY 6.5% 20260930
YTM %
11.91%
Maturity Date
2026-09-30
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A
ADAMH
ADAM 9.875% 20301001
YTM %
9.79%
Maturity Date
2030-10-01
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A
ADAMG
ADAM 9.125% 20300401
YTM %
9.70%
Maturity Date
2030-04-01

Hot Bonds

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R
RILYZ
RILY 5.25% 20280831
YTM %
19.38%
Maturity Date
2028-08-31
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A
ATLCZ
ATLC 9.25% 20290131
YTM %
9.23%
Maturity Date
2029-01-31
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R
RILYN
RILY 6.5% 20260930
YTM %
11.91%
Maturity Date
2026-09-30
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X
XELLL
XEL 6.25% 20851015
YTM %
6.36%
Maturity Date
2085-10-15
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R
RILYG
RILY 5% 20261231
YTM %
13.19%
Maturity Date
2026-12-31
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R
RILYT
RILY 6% 20280131
YTM %
20.41%
Maturity Date
2028-01-31
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B
BHFAL
BHF 6.25% 20580915
YTM %
9.46%
Maturity Date
2058-09-15
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H
HWCPZ
HWC 6.25% 20600615
YTM %
7.12%
Maturity Date
2060-06-15

Short-term

SYMBOL
Yield to maturity
Maturity date
  • logo
    R
    RILY 5.5% 20260331
    RILYK
    5.99%
    2026-03-31
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    G
    GAIN 5% 20260501
    GAINN
    2.82%
    2026-05-01
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    G
    GECC 5.875% 20260630
    GECCO
    5.39%
    2026-06-30
  • logo
    R
    RILY 6.5% 20260930
    RILYN
    11.91%
    2026-09-30
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    G
    GREE 8.5% 20261031
    GREEL
    32.95%
    2026-10-31
SYMBOL
Yield to maturity
Maturity date
  • logo
    A
    ATLC 6.125% 20261130
    ATLCL
    6.08%
    2026-11-30
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    S
    SSSS 6% 20261230
    SSSSL
    5.67%
    2026-12-30
  • logo
    R
    RILY 5% 20261231
    RILYG
    13.19%
    2026-12-31
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    H
    HNNA 4.875% 20261231
    HNNAZ
    5.54%
    2026-12-31
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    S
    SWKH 9% 20270131
    SWKHL
    6.75%
    2027-01-31

Long-term

SYMBOL
Yield to maturity
Maturity date
  • logo
    X
    XEL 6.25% 20851015
    XELLL
    6.36%
    2085-10-15
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    T
    TMUS 5.5% 20700601
    TMUSI
    6.41%
    2070-06-01
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    T
    TMUS 5.5% 20700301
    TMUSZ
    6.51%
    2070-03-01
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    T
    TMUS 6.25% 20690901
    TMUSL
    6.45%
    2069-09-01
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    T
    TPG 6.95% 20640315
    TPGXL
    7.00%
    2064-03-15
SYMBOL
Yield to maturity
Maturity date
  • logo
    C
    CG 4.625% 20610515
    CGABL
    6.76%
    2061-05-15
  • logo
    H
    HWC 6.25% 20600615
    HWCPZ
    7.12%
    2060-06-15
  • logo
    B
    BHF 6.25% 20580915
    BHFAL
    9.46%
    2058-09-15
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    D
    DHC 6.25% 20460201
    DHCNL
    9.38%
    2046-02-01
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    J
    NAVI 6% 20431215
    JSM
    8.83%
    2043-12-15
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