Delaware High-Yield Opportunities Fund

Holdings as of 07/30/2010 (all share classes)

Portfolio holdings are as of the date noted above and are subject to change at any time. Holdings may not be representative of current or future investments and may not include the entire investment portfolio. Holdings information is made available to the public 30 calendar days after the most recent quarter-end.

Holdings data is for informational purposes only, and is not intended as a recommendation, offer, or solicitation for the purchase or sale of any specific security. By accessing the portfolio holdings, you agree not to reproduce, distribute or disseminate the portfolio holdings, in whole or part. In no event shall the Delaware Family of Funds or its affiliates have any liability relating to the use of the portfolio holdings.

Unlike the Fund's regulatory filings, the portfolio data and its presentation in this document is not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, it may differ from that provided in the complete portfolio of investments in the annual and semiannual report to shareholders filed with the SEC on Form N-CSR, and the complete portfolio of investments filed in the first and third quarter on Form N-Q.

SEC description # Holdings Portfolio % Market value Income rate Maturity date Nasdaq symbol
ACCELLENT INC 1,467,000.000.32$1,485,337.5010.5012/01/201300430XAB3
AES CORP/THE 300,000.000.07$315,000.007.7503/01/2014AES
AES CORP/THE 1,706,000.000.40$1,814,757.508.0006/01/2020AES
AFFINION GROUP INC 869,000.000.20$923,312.5011.5010/15/2015AFFINI
AK STEEL CORP 2,074,000.000.46$2,092,147.507.6205/15/2020AKS
ALERE INC 1,357,000.000.30$1,384,140.009.0005/15/2016IMA
ALGOMA ACQUISITION CORP 2,408,000.000.47$2,137,100.009.8806/15/2015AGACN
ALION SCIENCE & TECHNOLOGY - W 1,835.000.00$18.350.00N/A016275158
ALION SCIENCE AND TECHNOLOGY C 1,808,980.000.39$1,790,890.2012.0011/01/2014ALISCI
ALLEGIANCE TELECOM INC 2,300,000.000.00$0.0011.7502/15/2011ALGXQ
ALLIANCE HEALTHCARE SERVICES I 107,528.000.10$451,617.600.00N/AAIQ
ALLIANCE ONE INTERNATIONAL INC 1,849,000.000.42$1,920,648.7510.0007/15/2016AOI
ALLISON TRANSMISSION 144A 2,567,000.000.61$2,772,360.0011.0011/01/2015019736AA5
ALLY FINANCIAL INC 2,800.000.50$2,299,587.641.75N/AALLY
AMERICAN AXLE & MFG INC 3,334,000.000.68$3,117,290.007.8803/01/201702406PAF7
AMERICAN INTERNATIONAL GROUP I 4,110,000.000.78$3,585,975.008.1805/15/2058AIG
AMERICAN PETROLEUM TANKERS LLC 2,289,000.000.50$2,300,445.0010.2505/01/2015AMPETR
AMES TRUE TEMPER 1,466,000.000.32$1,476,995.0010.0007/15/2012031042AB0
AMH HOLDINGS INC 2,212,000.000.50$2,278,360.0011.2503/01/2014SIDE
ANTERO RESOURCES FINANCE CORP 1,586,000.000.36$1,661,335.009.3812/01/2017ANTERO
APPLETON PAPERS INC 1,879,000.000.41$1,869,605.0010.5006/15/2015APPPAP
AQUILEX HOLDINGS LLC/AQUILEX F 2,085,000.000.47$2,157,975.0011.1212/15/2016AQUILE
ARVINMERITOR INC 1,291,000.000.31$1,413,645.0010.6203/15/2018ARM
ARVINMERITOR INC 2,240,000.000.50$2,262,400.008.1209/15/2015ARM
ASHTEAD CAPITAL 144A 1,995,000.000.44$2,024,925.009.0008/15/2016045054AA1
ASPECT SOFTWARE INC 2,363,000.000.53$2,427,982.5010.6205/15/2017CRTO
AVADO BRANDS (RESTRICTED) 10,210.000.00$0.000.00N/A05336N996
BAUSCH & LOMB INC 1,081,000.000.25$1,145,860.009.8811/01/2015BOL
BEAZER HOMES USA INC 803,000.000.16$734,745.009.1206/15/2018BZH
BEAZER HOMES USA INC 1,710,000.000.34$1,543,275.008.1206/15/2016BZH
BIOMET INC 2,041,000.000.50$2,298,676.2511.6210/15/2017BMET
BIOSCRIP INC 2,248,000.000.50$2,292,960.0010.2510/01/2015BIOS
BURLINGTON COAT FACTORY INVEST 4,272,000.001.01$4,613,760.0014.5010/15/2014BCFACT
CABLEVISION SYSTEMS CORP 270,000.000.06$286,875.008.0004/15/2020CVC
CABLEVISION SYSTEMS CORP 628,000.000.15$677,455.008.6209/15/2017CVC
CALPINE CORP ESCROW TRACKING 2,490,000.000.00$0.250.00N/A131ESC9B3
CASELLA WASTE SYSTEMS INC 1,286,000.000.31$1,409,777.5011.0007/15/2014CWST
CASELLA WASTE SYSTEMS INC 2,142,000.000.47$2,158,065.009.7502/01/2013CWST
CASH -512,312.52-0.11-$512,312.520.0012/15/2038US-CASH
CCO HOLDINGS LLC / CCO HOLDING 518,000.000.12$545,195.007.8804/30/2018CCMM
CCO HOLDINGS LLC / CCO HOLDING 653,000.000.15$693,812.508.1204/30/2020CCMM
CEMEX ESPANA SA 1,605,000.000.32$1,448,512.509.2505/12/2020CEMEX
CEMEX FINANCE LLC 2,130,000.000.46$2,082,075.009.5012/14/2016CEMEX
CENTURY ALUMINUM CO 1,849,500.000.39$1,794,199.958.0005/15/2014CENX
CENTURY COMM TRACKING 4,250,000.000.00$0.000.00N/A156ESCAG0
CHARTER COMMUNICATIONS OPERATI 1,027,000.000.25$1,155,375.0010.8809/15/2014CHTR
CHESAPEAKE ENERGY CORP 175,000.000.04$185,937.507.2512/15/2018CHK
CHESAPEAKE ENERGY CORP 1,226,000.000.30$1,382,315.009.5002/15/2015CHK
CKE RESTAURANTS INC 2,190,000.000.49$2,239,275.0011.3807/15/2018CKR
CLEAR CHANNEL COMMUNICATIONS I 1,328,000.000.22$1,020,900.0010.7508/01/2016CCU
CLEARWIRE COMMUNICATIONS LLC/C 2,079,000.000.48$2,188,147.5012.0012/01/2015CLWR
CLEARWIRE CORP 3,417,000.000.79$3,587,850.0012.0012/01/2015CLWR
COLUMBUS INTERNATIONAL INC 2,905,000.000.71$3,242,706.2511.5011/20/2014COLUIF
COMPLETE PRODUCTION SERVICES I 1,112,000.000.25$1,131,460.008.0012/15/2016CPX
COPANO ENERGY LLC / COPANO ENE 1,008,000.000.22$1,028,160.007.7506/01/2018CPNO
COTT BEVERAGES INC 1,271,000.000.29$1,318,662.508.3811/15/2017BCB
CRICKET COMMUNICATIONS INC 2,318,000.000.54$2,491,850.0010.0007/15/2015LEAP
CROSSTEX ENERGY LP / CROSSTEX 1,785,000.000.41$1,874,250.008.8802/15/2018XTEX
DAE AVIATION HOLDINGS INC 2,064,000.000.45$2,074,320.0011.2508/01/2015DAEAVI
DAVE & BUSTER'S INC 2,084,000.000.47$2,167,360.0011.0006/01/2018DAB
DEAN FOODS 1,346,000.000.28$1,295,525.007.0006/01/2016242370AA2
DEAN FOODS CO/OLD 375,000.000.08$348,281.256.9010/15/2017242361AB9
DELTA AIR LINES INC 99.000.00$1,176.120.00N/ADAL
DELTA AIR LINES INC 2,124,000.000.51$2,339,055.0011.7503/15/2015DAL
DIGICEL GROUP 144A 1,025,000.000.23$1,040,375.009.1201/15/201525380WAB2
DIGICEL GROUP LTD 1,005,000.000.23$1,032,637.508.2509/01/2017DLLTD
DIGICEL GROUP LTD 1,075,000.000.25$1,155,625.0010.5004/15/2018DLLTD
DIGICEL GROUP LTD 1,225,000.000.27$1,251,031.258.8801/15/2015DLLTD
DIRECTV 19,150.000.16$711,614.000.00N/ADTV
DISH DBS CORP 2,029,000.000.47$2,165,957.507.8809/01/2019DISH
DJO FINANCE LLC / DJO FINANCE 2,817,000.000.65$2,971,935.0011.7511/15/2014REABLE
DRUMMOND CO INC 1,999,000.000.46$2,118,940.009.0010/15/2014DRUMCO
DRYSHIPS INC 1,500,000.000.28$1,286,250.005.0012/01/2014DRYS
DYNCORP INTERNATIONAL INC 1,080,000.000.24$1,121,850.0010.3807/01/2017DCP
DYNEGY HOLDINGS INC 2,236,000.000.34$1,576,380.007.7506/01/2019DYN
E*TRADE FINANCIAL CORP 4,114,000.001.02$4,648,820.0012.5011/30/2017ETFC
EDISON MISSION ENERGY 389,000.000.06$264,520.007.2005/15/2019EIX
EDISON MISSION ENERGY 1,027,000.000.15$703,495.007.0005/15/2017EIX
ELWOOD ENERGY LLC 1,465,969.310.30$1,392,670.848.1607/05/2026ELWOOD
ENERGY FUTURE HOLDINGS CORP 889,000.000.14$626,745.0011.3811/01/2017TXU
ENERGY FUTURE HOLDINGS TERM B2 1,486,605.310.25$1,163,699.773.7310/10/2014LN363469
EQUINOX HOLDINGS INC 2,199,000.000.49$2,253,975.009.5002/01/2016EQUNOX
ESSAR STEEL ALGOMA INC 250,000.000.05$241,562.509.3803/15/2015ALGCN
EXPRESS LLC & EXPRESS FINANCE 1,550,000.000.35$1,619,750.008.7503/01/2018EXPR
FELCOR LODGING LP 1,833,000.000.43$1,961,310.0010.0010/01/2014FCH
FHLB-DN 8-2-10 4,519,023.490.99$4,519,015.960.0608/02/20100802PFDIS
FIRST DATA CORP 1,046,000.000.18$847,260.009.8809/24/2015FDC
FIRST DATA CORP 2,830,000.000.40$1,825,350.0011.2503/31/2016FDC
FLEXTRONICS INTERNATIONAL 49,950.000.07$310,689.000.00N/AFLEX
FMG FINANCE PTY LTD 4,199,000.001.05$4,807,855.0010.6209/01/201630250BAC3
FORD MOTOR CO 3,768,000.000.80$3,673,800.007.4507/16/2031F
FORD MOTOR CREDIT CO LLC 2,875,000.000.75$3,425,053.6312.0005/15/2015F
GCI INC 1,073,000.000.24$1,115,920.008.6211/15/2019GNCMA
GENERAL MARITIME CORP 2,121,000.000.49$2,242,957.5012.0011/15/2017GMR
GENWORTH FINANCIAL 4,411,000.000.70$3,220,030.006.1511/15/206637247DAG1
GEOEYE INC 7,900.000.06$272,708.000.00N/AGEOY
GLOBAL CROSSING LTD 3,065,000.000.75$3,417,475.0012.0009/15/2015GLBC
GLOBAL GEOPHYSICAL SERVICES IN 1,052,000.000.23$1,046,740.0010.5005/01/2017GGS
GMAC INC 2,343,000.000.50$2,287,353.758.0012/31/2018GMAC
GRAY TELEVISION INC 2,542,000.000.55$2,529,290.0010.5006/29/2015GTN
GXS WORLDWIDE INC 2,138,000.000.45$2,063,170.009.7506/15/2015GXSWLD
HARRAH'S OPERATING CO INC 1,581,000.000.29$1,337,921.2510.0012/15/2018HET
HARRAH'S OPERATING CO INC 2,930,000.000.54$2,479,512.5010.0012/15/2018HET
HARRAHS CHESTER DOWNS TERM LOA 896,562.500.20$904,407.4212.3812/31/2016HET
HBOS CAPITAL FUNDING LP 2,901,000.000.50$2,262,780.006.0706/29/204940411CAA0
HCA INC/DE 493,000.000.12$533,672.509.2511/15/2016HCA
HEADWATERS INC 2,016,000.000.45$2,056,320.0011.3811/01/2014HW
HELIX ENERGY SOLUTIONS GROUP I 2,935,000.000.63$2,861,625.009.5001/15/2016HLX
HERCULES OFFSHORE INC 2,232,000.000.44$2,008,800.0010.5010/15/2017HERO
HEXION SPECIALTY 2,826,000.000.62$2,829,532.509.7511/15/2014428303AH4
HILCORP ENERGY I LP/HILCORP FI 2,487,000.000.56$2,574,045.008.0002/15/2020HILCRP
HOLLY CORP 1,677,000.000.38$1,754,561.259.8806/15/2017HOC
ILFC E-CAPITAL TRUST II 3,450,000.000.52$2,363,250.006.2512/21/2065AIG
INTELSAT 1,471,000.000.31$1,412,160.006.5011/01/201345820EAH5
INTELSAT BERMUDA LTD 4,921,000.001.15$5,240,865.0011.2502/04/2017INTEL
INTELSAT LUXEMBOURG SA 2,510,563.000.58$2,673,749.6011.5002/04/2017INTEL
INTERFACE INC 195,000.000.04$202,068.759.5002/01/2014458665AJ5
INTERFACE INC 674,000.000.17$764,990.0011.3811/01/2013IFSIA
INTERNATIONAL COAL GROUP INC 2,213,000.000.50$2,307,052.509.1204/01/2018ICOUS
INTERNATIONAL LEASE FINANCE CO 1,156,000.000.26$1,182,010.008.7503/15/2017AIG
INTERNATIONAL WIRE GROUP INC 2,135,000.000.47$2,156,350.009.7504/15/2015WIREG
INTERTAPE POLYMER US INC 1,266,000.000.23$1,031,790.008.5008/01/2014ITP
INVENTIV HEALTH INC 2,495,000.000.56$2,538,662.5010.0008/15/2018VTIV
JOHNSONDIVERSEY HOLDINGS INC 4,804,508.751.18$5,381,049.8010.5005/15/2020JONDIV
K HOVNANIAN ENTERPRISES INC 941,000.000.15$668,110.007.5005/15/2016442488AZ5
K HOVNANIAN ENTERPRISES INC 2,046,000.000.34$1,554,960.006.2501/15/2015442488AU6
KANSAS CITY SOUTHERN DE MEXICO 225,000.000.06$271,687.5012.5004/01/2016KSU
KANSAS CITY SOUTHERN DE MEXICO 1,600,000.000.37$1,704,000.008.0002/01/2018KSU
KEY ENERGY SERVICES INC 1,863,000.000.42$1,928,205.008.3812/01/2014KEG
LANDRY'S RESTAURANTS INC 2,976,000.000.70$3,199,200.0011.6212/01/2015LNY
LANTHEUS MEDICAL IMAGING INC 1,300,000.000.29$1,326,000.009.7505/15/2017LMDIMG
LEAP WIRELESS INTERNATIONAL IN 1,403,000.000.27$1,217,102.504.5007/15/2014LEAP CB1
LEVEL 3 FINANCING INC 2,539,000.000.51$2,326,358.7510.0002/01/2018LVLT
LIBERTY MUTUAL GROUP 2,921,000.000.53$2,430,476.477.0003/15/203753079EAQ7
LINN ENERGY LLC/LINN ENERGY FI 1,999,000.000.47$2,133,932.508.6204/15/2020LINE
LIVE NATION ENTERTAINMENT INC 1,365,000.000.25$1,151,718.752.8807/15/2027LYV CB1
LONG TERM RECEIVABLES -2,031,943.28-0.44-$2,031,943.280.00N/ASECNCAHUS
LYONDELL CHEMICAL CO 2,300,000.000.54$2,486,875.0011.0005/01/2018LYO
M/I HOMES INC 975,000.000.21$972,562.506.8804/01/2012MHO
MACDERMID INC 4,331,000.000.98$4,460,930.009.5004/15/2017MRD
MAGNACHIP SEMICONDUCTOR SA / M 1,690,000.000.39$1,766,050.0010.5004/15/2018MX
MANITOWOC CO INC/THE 2,218,000.000.50$2,273,450.009.5002/15/2018MTW
MCE FINANCE LTD 2,180,000.000.51$2,329,875.0010.2505/15/2018MPEL
MDC PARTNERS INC 1,082,000.000.26$1,184,790.0011.0011/01/2016MDCA
METROPCS WIRELESS INC 197,000.000.04$206,850.009.2511/01/2014PCS
MGM MIRAGE 795,000.000.20$930,150.0013.0011/15/2013MGM
MGM MIRAGE 6,119,000.001.27$5,813,050.0011.3803/01/2018MGM
MILLAR WESTERN 2,436,000.000.47$2,155,860.007.7511/15/2013599908AE0
MIRANT 2.50% CNV (ESCROW) 1,685,000.000.00$0.000.00N/A6046759B6
MIRANT AMERICAS GENERATION LLC 2,275,000.000.48$2,172,625.008.5010/01/2021MIR
MIRANT CORP 1,775.000.00$19,471.750.00N/AMIR
MOBILE MINI INC 22,073.000.08$378,331.220.00N/AMINI
MOHEGAN TRIBAL GAMING AUTHORIT 539,000.000.08$355,740.006.8802/15/2015608328AR1
MOHEGAN TRIBAL GAMING AUTHORIT 1,366,000.000.21$949,370.007.1208/15/2014608328AP5
MURRAY ENERGY CORP 2,185,000.000.50$2,272,400.0010.2510/15/2015MURREN
NCL CORP LTD 2,390,000.000.58$2,667,837.5011.7511/15/2016STRC
NEWPAGE CORP 192,000.000.04$178,800.0011.3812/31/2014NEWPAG
NEWPAGE CORP 2,075,000.000.42$1,932,343.7511.3812/31/2014NEWPAG
NEXSTAR BROADCASTING INC / MIS 2,238,000.000.51$2,316,330.008.8804/15/2017NXST
NFR ENERGY LLC/NFR ENERGY FINA 2,472,000.000.56$2,533,800.009.7502/15/2017NFREGY
NIELSEN FINANCE LLC / NIELSEN 206,000.000.05$232,265.0011.6202/01/2014VNU
NIELSEN FINANCE LLC / NIELSEN 329,000.000.08$370,947.5011.5005/01/2016VNU
NIELSEN FINANCE LLC / NIELSEN 2,614,000.000.56$2,561,720.000.0008/01/201665409QAJ1
NII CAPITAL CORP 1,799,000.000.44$1,996,890.0010.0008/15/2016NIHD
NORANDA ALUMINIUM ACQUISITION 1,499,747.000.26$1,196,048.235.3705/15/2015NRNDA
NORCRAFT COS LP/NORCRAFT FINAN 1,472,000.000.34$1,552,960.0010.5012/15/2015NORCFT
NORCRAFT HOLDINGS LP/NORCRAFT 1,928,000.000.40$1,814,730.009.7509/01/2012NORCFT
NORTHWEST AIRLNS ESCROW (STUB) 575,000.000.00$2,587.5010.0002/01/201166799ADP5
NOVASEP HOLDING SAS 2,115,000.000.42$1,914,075.009.7512/15/2016NOVASP
NOVELIS INC/GA 957,000.000.24$1,081,410.0011.5002/15/2015HINDAL
NOVELIS INC/GA 1,007,000.000.23$1,034,692.508.2502/15/201567000XAB2
NUVEEN INVESTMENTS INC 7,320,000.001.58$7,228,500.0010.5011/15/2015NUVINV
NXP BV / NXP FUNDING LLC 3,500,000.000.75$3,438,750.009.5010/15/2015NXPBV
OPTI CANADA INC 1,897,000.000.36$1,650,390.007.8812/15/2014OPCCN
OPTI CANADA INC 2,581,000.000.49$2,255,148.758.2512/15/2014OPCCN
OSI RESTAURANT PARTNERS INC 1,578,000.000.34$1,542,495.0010.0006/15/2015OSI
PAETEC HOLDING CORP 628,000.000.14$652,335.008.8806/30/2017PAET
PAETEC HOLDING CORP 1,171,000.000.26$1,176,855.009.5007/15/2015PAET
PE PAPER ESCROW GMBH 1,055,000.000.26$1,188,776.1112.0008/01/2014SAPSJ
PENINSULA GAMING LLC 2,443,000.000.56$2,552,935.0010.7508/15/2017PENGAM
PENSON WORLDWIDE INC 2,492,000.000.54$2,479,540.0012.5005/15/2017PNSN
PETROHAWK ENERGY CORP 140,000.000.03$156,800.0010.5008/01/2014HAWK
PETROHAWK ENERGY CORP 2,208,000.000.50$2,296,320.007.8806/01/2015HAWK
PETROLEUM DEVELOPMENT CORP 2,071,000.000.48$2,205,615.0012.0002/15/2018PETD
PINNACLE ENTERTAINMENT INC 1,386,000.000.30$1,361,745.008.7505/15/2020PNK
PINNACLE FOODS FINANCE LLC / P 1,670,000.000.39$1,791,075.0010.6204/01/201772347QAD5
PIONEER DRILLING CO 1,122,000.000.25$1,133,220.009.8803/15/2018PDC
PLASTIPAK HOLDINGS INC 912,000.000.22$1,028,280.0010.6208/15/2019PLASPK
PLY GEM INDUSTRIES INC 2,502,000.000.57$2,589,570.0013.1207/15/2014PLYGEM
PORT TOWNSEND (REST) PREFERRED 657.000.00$0.000.00N/A735999005
PORT TOWNSEND (RESTRICTED) 3,285.000.00$32.850.00N/A73545Q101
PORT TOWNSEND PRIVATE NOTE 962,901.580.15$698,103.657.3208/27/2012735999015
PORT TOWNSEND WARRANT 657.000.00$6.570.00N/A735999025
PQ CORP TERM LOAN 2,504,000.000.50$2,306,359.286.7307/30/2015PQCOR
PREGIS CORP 4,617,000.001.00$4,588,143.7513.3810/15/2013PREGIS
PRIMUS TELECOMMUNICATIONS HOLD 2,038,000.000.45$2,068,570.0013.0012/15/2016PMUG
PUGET SOUND ENERGY INC 1,391,000.000.28$1,299,778.226.9706/01/2067PSD
QUICKSILVER RESOURCES INC 2,939,000.000.63$2,894,915.007.1204/01/201674837RAC8
QUIKSILVER INC 3,340,000.000.69$3,156,300.006.8804/15/2015ZQK
QUINTILES TRANSNATIONAL CORP 992,000.000.22$1,016,800.009.5012/30/2014QTRN
RABOBANK NEDERLAND NV 2,589,000.000.72$3,279,038.4011.0012/29/2049RABOBK
RADIATION THERAPY SERVICES INC 2,328,000.000.51$2,322,180.009.8804/15/2017RTSX
RADNET MANAGEMENT INC 2,438,000.000.48$2,172,867.5010.3804/01/2018RDNT
RBS GLOBAL/REXNORD COR 2,174,000.000.51$2,337,050.0011.7508/01/201675524DAD2
RITE AID CORP 1,374,000.000.25$1,157,595.009.3812/15/2015767754BQ6
RSC EQUIPMENT RENTAL INC 1,919,000.000.43$1,981,367.509.5012/01/2014RSC
RSC EQUIPMENT RENTAL INC/RSC H 215,000.000.05$220,912.5010.2511/15/2019RRR
RYERSON INC 932,000.000.19$872,585.007.7211/01/2014RYI
RYERSON INC 2,159,000.000.50$2,272,347.5012.2511/01/2015RYI
SANDRIDGE ENERGY INC 1,770,000.000.41$1,893,900.009.8805/15/2016SD
SANDRIDGE ENERGY INC 1,814,000.000.41$1,859,350.008.7501/15/2020SD
SANMINA-SCI CORP 2,001,000.000.45$2,046,022.508.1203/01/2016800907AK3
SECURITIZED NET CASH - ACR1 11,412,489.922.50$11,412,489.920.00N/ASECCASHAC
SECURITY LENDING COLLATERAL 542,043.320.00$23,036.840.00N/ASECLENDPL
SELECT MEDICAL CORP 1,600,000.000.34$1,540,000.007.6202/01/2015SELMED
SERVICEMASTER CO/THE 1,987,000.000.46$2,093,801.2510.7507/15/2015SVM
SHINGLE SPRINGS 2,687,000.000.48$2,216,775.009.3806/15/201582459AAA9
SINCLAIR TELEVISION GROUP INC 1,519,000.000.35$1,594,950.009.2511/01/2017SBGI
SITEL LLC/SITEL FINANCE CORP 2,243,000.000.40$1,805,615.0011.5004/01/2018SITEL
SMITHFIELD FOODS 1,731,000.000.37$1,698,543.757.7507/01/2017832248AQ1
SOLO CUP CO 1,208,000.000.24$1,099,280.008.5002/15/2014834260AB7
SPRINT CAPITAL 4,558,000.001.02$4,643,462.508.7503/15/2032852060AT9
STANDARD PACIFIC CORP 1,051,000.000.25$1,135,080.0010.7509/15/2016SPF
STANDARD PACIFIC CORP 2,010,000.000.44$1,999,950.006.0010/01/2012SPF CB1
STEEL DYNAMICS INC 1,720,000.000.39$1,769,450.007.6203/15/2020STLD
SUNGARD DATA SYSTEMS INC 2,033,000.000.47$2,144,815.0010.2508/15/2015SDSINC
SUSSER HOLDINGS LLC / SUSSER F 2,203,000.000.50$2,291,120.008.5005/15/2016SUSS
SWIFT TRANSPORTATION CO INC 1,250,000.000.27$1,237,500.0012.5005/15/2017870757AB7
TECK RESOURCES LTD 484,000.000.13$586,299.6910.2505/15/2016TCKCN
TELCORDIA TECHNOLOGIES INC 2,762,000.000.59$2,689,497.5011.0005/01/2018TELCOR
TELESAT CANADA / TELESAT LLC 1,107,000.000.28$1,273,050.0011.0011/01/2015TELSAT
TELESAT CANADA / TELESAT LLC 2,893,000.000.74$3,384,810.0012.5011/01/2017TELSAT
TERREMARK WORLDWIDE INC 1,800,000.000.45$2,061,000.0012.0006/15/2017TMRK
TEXAS COMPETITIVE ELECTRIC HOL 1,668,000.000.25$1,125,900.0010.5011/01/2015TXU
THERMADYNE HOLDINGS CORP 2,252,000.000.50$2,291,410.0011.5002/01/2014THMD
TOPS MARKETS LLC 1,954,000.000.46$2,081,010.0010.1210/15/2015TOMA
TRIMAS CORP 1,662,000.000.37$1,705,627.509.7512/15/2017TRS
TXU CORP 1,438,000.000.18$822,452.605.5511/15/2014873168AL2
UMBRELLA ACQ 144A 2,618,983.000.52$2,380,000.809.7503/15/2015904201AA8
UNITED AIR LINES INC 2,773,000.000.66$2,991,373.7512.0011/01/2013UAUA
UNIVERSAL HOSPITAL SERVICES IN 864,000.000.19$879,120.008.5006/01/2015UHOS
UPC HOLDING BV 1,500,000.000.34$1,575,000.009.8804/15/2018LBTYA
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USG CORP 397,000.000.09$416,850.009.7508/01/2014USG
USGEN ESCROW TRACKING POSITION 1,950,000.000.00$0.000.00N/A91799ALA7
VERSO PAPER HOLDINGS LLC / VER 2,129,000.000.43$1,974,647.5011.3808/01/201692531XAF9
VIASAT INC 1,047,000.000.25$1,128,142.508.8809/15/2016VSAT
VIRGIN MEDIA FINANCE PLC 1,245,000.000.30$1,357,050.008.3810/15/2019VMED
VISKASE COS INC 573,000.000.13$584,460.009.8801/15/2018VKSC
VISKASE COS INC 1,982,000.000.44$2,021,640.009.8801/15/2018VKSC
WEST CORP/OLD 2,320,000.000.54$2,465,000.0011.0010/15/2016952355AF2
WIND ACQUISITION 144A 955,000.000.22$1,014,687.5012.0012/01/201597314XAA2
WIND ACQUISITION FINANCE SA 2,230,000.000.52$2,380,525.0011.7507/15/2017WINDIM
XL CAPITAL LTD 1,366,000.000.23$1,051,820.006.5012/31/2049XL
XM SATELLITE RADIO HOLDINGS IN 4,971,000.001.24$5,654,512.5013.0008/01/2013XMSR
YANKEE ACQUISITION CORP/MA 2,073,000.000.47$2,166,285.009.7502/15/2017YCC
ZIONS BANCORPORATION 295,000.000.06$279,298.925.6505/15/2014ZION