3465365|NYSE|RDN|750236101|Radian Group Inc.|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/04/2024|06/04/2024|06/20/2024|0.245|0.245||||||USD||||||||||||||||N|||05/22/2024 3479173|NYSE|CLCO|G2415A113|Cool Company Ltd.|Common Shares|Common Stock||Y|CASH|QUARTERLY|05/21/2024|05/22/2024|05/31/2024|05/31/2024|06/10/2024|0.41|0.41||||||USD||||||||||||||||N|||05/22/2024 3496667|NYSE ARCA|MNBD|00162Q411|ALPS ETF Trust|ALPS Intermediate Municipal Bond ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.07433|0.07433||||||USD||||||||||||||||N|||05/22/2024 3496669|NYSE ARCA|SMTH|00162Q346|ALPS ETF Trust|ALPS Smith Core Plus Bond ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.09912|0.09912||||||USD||||||||||||||||N|||05/22/2024 3496671|NYSE ARCA|RFCI|00162Q536|ALPS ETF Trust|RiverFront Dynamic Core Income ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.08847|0.08847||||||USD||||||||||||||||N|||05/22/2024 3496673|NYSE ARCA|RFDA|00162Q528|ALPS ETF Trust|RiverFront Dynamic US Dividend Advantage ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.16052|0.16052||||||USD||||||||||||||||N|||05/22/2024 3496675|NYSE ARCA|RIGS|00162Q783|ALPS ETF Trust|RiverFront Strategic Income Fund|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.08262|0.08262||||||USD||||||||||||||||N|||05/22/2024 3496677|NYSE ARCA|SRHR|210322301|Elevation Series Trust|SRH REIT Covered Call ETF|ETF||N|CASH|MONTHLY|05/22/2024|05/22/2024|05/23/2024|05/24/2024|05/28/2024|0.40263|0.40263||||||USD||||||||||||||||N|||05/22/2024 3496679|NYSE ARCA|NETL|26922A248|ETF Series Solutions|NETLease Corporate Real Estate ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.1|0.1||||||USD||||||||||||||||N|||05/22/2024 3496681|NYSE ARCA|SIXA|301505681|Exchange Traded Concepts Trust|ETC 6 Meridian Mega Cap Equity ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.046105|0.046105|0|0||||USD||||||||||||||||N|||05/22/2024 3496683|NYSE ARCA|SIXH|301505665|Exchange Traded Concepts Trust|ETC 6 Meridian Hedged Equity Index Option ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.042735|0.042735|0|0||||USD||||||||||||||||N|||05/22/2024 3496685|NYSE ARCA|SIXL|301505699|Exchange Traded Concepts Trust|ETC 6 Meridian Low Beta Equity ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.041188|0.041188|0|0||||USD||||||||||||||||N|||05/22/2024 3496687|NYSE ARCA|SIXS|301505673|Exchange Traded Concepts Trust|ETC 6 Meridian Small Cap Equity ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0.069755|0.069755|0|0||||USD||||||||||||||||N|||05/22/2024 3496689|NYSE ARCA|SXQG|301505616|Exchange Traded Concepts Trust|ETC 6 Meridian Quality Growth ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/28/2024|0|0|0|0||||USD|||||||||||||||05/22/2024|Y|Distribution submitted with final rate of 0|No distribution|05/22/2024 3496691|NYSE ARCA|GDVD|66538H195|Northern Lights Fund Trust IV|Copper Place Global Dividend Growth ETF|ETF||N|CASH|MONTHLY|||05/23/2024|05/24/2024|05/29/2024|0.0821|0.0821||||||USD||||||||||||||||N|||05/22/2024 3496693|NYSE ARCA|PRMN|66538R516|Northern Lights Fund Trust III|PlanRock Market Neutral Income ETF|ETF||N|CASH|MONTHLY|05/22/2024|05/22/2024|05/23/2024|05/24/2024|05/29/2024|0|0||||||USD|||||||||||||||05/22/2024|Y|Distribution submitted with final rate of 0|No distribution|05/22/2024 3496695|NYSE ARCA|FLRT|69374H428|Pacer Funds Trust|Pacer Pacific Asset Floating Rate High Income ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/29/2024|0.21071545|0.21071545||||||USD||||||||||||||||N|||05/22/2024 3496697|NYSE ARCA|PTBD|69374H642|Pacer Funds Trust|Pacer Trendpilot US Bond ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/29/2024|0.08715628|0.08715628||||||USD||||||||||||||||N|||05/22/2024 3496699|NYSE ARCA|USAI|69374H634|Pacer Funds Trust|Pacer American Energy Independence ETF|ETF||N|CASH|MONTHLY|05/22/2024||05/23/2024|05/24/2024|05/29/2024|0.12|0.12||||||USD||||||||||||||||N|||05/22/2024 3501220|NYSE|SAP|803054204|SAP SE|American Depositary Shares (Each representing One Common Share)|ADS Common|1 ADS : 1 Common Share|Y|CASH|ANNUALLY|04/10/2024|04/10/2024|05/16/2024|05/17/2024|05/28/2024|2.385152|2.385152||||||USD|APPROXIMATE|||||||||||||||N||Final $2.391312, less applicable tax/fees.|05/22/2024 3502440|NYSE|FMS|358029106|Fresenius Medical Care AG|American Depositary Shares (Each representing 1/2 of an Ordinary Share)|ADS Common|1 ADS : 1/2 Ordinary Share|Y|CASH|ANNUALLY|04/15/2024|04/15/2024|05/17/2024|05/20/2024|06/03/2024|0.634151|0.634151||||||USD|APPROXIMATE|||||||||||||||N||Final $0.642838. Taxable Interim dividend, less applicable fees. Shareholder approved 5/16/2024.|05/22/2024 3503013|NYSE|PBR|71654V408|Petroleo Brasileiro S.A.-Petrobras|American Depositary Shares(Each representing 2 Common Shares)|ADS Common|1 ADS : 2 Common Share|Y|CASH|QUARTERLY|04/16/2024|04/16/2024|04/26/2024|04/29/2024||0.4168446|0.4168446||||||USD|APPROXIMATE|||||||||||||||N||Final $0.2237 Pay date 5/28/2024. Less applicable tax/fees. $0.2157916 (Revised from $0.2084223) Pay date 6/27/2024|05/22/2024 3503017|NYSE|PBR A|71654V101|Petroleo Brasileiro S.A.-Petrobras|American Depository Shares (Each representing 2 Preferred Shares)|ADS Common|1 ADS : 2 Preferred Share|Y|CASH|AD_HOC|04/16/2024|04/16/2024|04/26/2024|04/29/2024||0.4168446|0.4168446||||||USD|APPROXIMATE|||||||||||||||N||Final $0.2237 Pay date 5/28/2024. Less applicable tax/fees. $0.2157916 (Revised from $0.2084223) Pay date 6/27/2024|05/22/2024 3506667|NYSE|PBR|71654V408|Petroleo Brasileiro S.A.-Petrobras|American Depositary Shares(Each representing 2 Common Shares)|ADS Common|1 ADS : 2 Common Share|Y|CASH|QUARTERLY|04/26/2024|04/26/2024|05/03/2024|05/06/2024||0.6811062|0.6811062||||||USD|APPROXIMATE|||||||||||||||N||Source revised from Special to Regular $0.6811062. Dividend will be paid out in two installments. 1st installment Final $0.3454679 pay date 5/28/2024 (apx $0.3405531) less applicable tax. 2nd installment $0.3405531 pay date 6/27/2024|05/22/2024 3506670|NYSE|PBR A|71654V101|Petroleo Brasileiro S.A.-Petrobras|American Depository Shares (Each representing 2 Preferred Shares)|ADS Common|1 ADS : 2 Preferred Share|Y|CASH|AD_HOC|04/26/2024|04/26/2024|05/03/2024|05/06/2024||0.6811062|0.6811062||||||USD|APPROXIMATE|||||||||||||||N||Source revised from Special to Regular $0.6811062. Dividend will be paid out in two installments. 1st installment Final $0.3454679 pay date 5/28/2024 (apx $0.3405531), less applicable tax. 2nd installment $0.3405531 pay date 6/27/2024|05/22/2024 3523504|NYSE|VLTO|92338C103|Veralto Corporation|Common Stock|Common Stock||N|CASH|QUARTERLY|05/21/2024|05/22/2024|06/28/2024|06/28/2024|07/31/2024|0.09|0.09||||||USD||||||||||||||||N|||05/22/2024 3523650|NYSE|EQH|29452E101|Equitable Holdings Inc.|Common stock $0.01 par value per share|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/03/2024|06/03/2024|06/10/2024|0.24|0.24||||||USD||||||||||||||||N|||05/22/2024 3523664|NYSE|EQH PRA|29452E200|Equitable Holdings Inc.|Depositary Shares each representing a 1/1000th interest in a share of Fixed Rate Noncumulative Perpetual Preferred Stock Series A|Preferred Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/04/2024|06/04/2024|06/17/2024|0.328125|0.328125||||||USD||||||||||||||||N|||05/22/2024 3523668|NYSE|EQH PRC|29452E408|Equitable Holdings Inc.|Depositary Shares each representing a 1/1000th interest in a share of Fixed Rate Noncumulative Perpetual Preferred Stock Series C|Preferred Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/04/2024|06/04/2024|06/17/2024|0.26875|0.26875||||||USD||||||||||||||||N|||05/22/2024 3523772|NYSE|VFC|918204108|VF Corporation|Common Stock|Common Stock||N|CASH|QUARTERLY|05/14/2024|05/22/2024|06/10/2024|06/10/2024|06/20/2024|0.09|0.09||||||USD||||||||||||||||N|||05/22/2024 3524001|NYSE|BWG|10537L104|BrandywineGLOBAL — Global Income Opportunities Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.08|0.08||||||USD||||||||||||||||N|||05/22/2024 3524003|NYSE|BWG|10537L104|BrandywineGLOBAL — Global Income Opportunities Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.08|0.08||||||USD||||||||||||||||N|||05/22/2024 3524005|NYSE|BWG|10537L104|BrandywineGLOBAL — Global Income Opportunities Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.08|0.08||||||USD||||||||||||||||N|||05/22/2024 3524007|NYSE|SCD|50208A102|LMP Capital and Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.113|0.113||||||USD||||||||||||||||N|||05/22/2024 3524009|NYSE|SCD|50208A102|LMP Capital and Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.113|0.113||||||USD||||||||||||||||N|||05/22/2024 3524011|NYSE|SCD|50208A102|LMP Capital and Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.113|0.113||||||USD||||||||||||||||N|||05/22/2024 3524013|NYSE|EMD|95766A101|Western Asset Emerging Markets Debt Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.0845|0.0845||||||USD||||||||||||||||N|||05/22/2024 3524015|NYSE|EMD|95766A101|Western Asset Emerging Markets Debt Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.0845|0.0845||||||USD||||||||||||||||N|||05/22/2024 3524017|NYSE|EMD|95766A101|Western Asset Emerging Markets Debt Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.0845|0.0845||||||USD||||||||||||||||N|||05/22/2024 3524019|NYSE|WDI|95790K109|Western Asset Diversified Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.1485|0.1485||||||USD||||||||||||||||N|||05/22/2024 3524021|NYSE|WDI|95790K109|Western Asset Diversified Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.1485|0.1485||||||USD||||||||||||||||N|||05/22/2024 3524023|NYSE|WDI|95790K109|Western Asset Diversified Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.1485|0.1485||||||USD||||||||||||||||N|||05/22/2024 3524025|NYSE|HIX|95766J102|Western Asset High Income Fund II Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.049|0.049||||||USD||||||||||||||||N|||05/22/2024 3524027|NYSE|HIX|95766J102|Western Asset High Income Fund II Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.049|0.049||||||USD||||||||||||||||N|||05/22/2024 3524029|NYSE|HIX|95766J102|Western Asset High Income Fund II Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.049|0.049||||||USD||||||||||||||||N|||05/22/2024 3524031|NYSE|HIO|95766K109|Western Asset High Income Opportunity Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.0355|0.0355||||||USD||||||||||||||||N|||05/22/2024 3524033|NYSE|HIO|95766K109|Western Asset High Income Opportunity Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.0355|0.0355||||||USD||||||||||||||||N|||05/22/2024 3524035|NYSE|HIO|95766K109|Western Asset High Income Opportunity Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.0355|0.0355||||||USD||||||||||||||||N|||05/22/2024 3524037|NYSE|HYI|95768B107|Western Asset High Yield Defined Opportunity Fund Inc.|Common Stock $0.001 par value|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.095|0.095||||||USD||||||||||||||||N|||05/22/2024 3524039|NYSE|HYI|95768B107|Western Asset High Yield Defined Opportunity Fund Inc.|Common Stock $0.001 par value|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.095|0.095||||||USD||||||||||||||||N|||05/22/2024 3524041|NYSE|HYI|95768B107|Western Asset High Yield Defined Opportunity Fund Inc.|Common Stock $0.001 par value|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.095|0.095||||||USD||||||||||||||||N|||05/22/2024 3524043|NYSE|EHI|95766B109|Western Asset Global High Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.07|0.07||||||USD||||||||||||||||N|||05/22/2024 3524045|NYSE|EHI|95766B109|Western Asset Global High Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.07|0.07||||||USD||||||||||||||||N|||05/22/2024 3524047|NYSE|EHI|95766B109|Western Asset Global High Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.07|0.07||||||USD||||||||||||||||N|||05/22/2024 3524049|NYSE|GDO|95790C107|Western Asset Global Corporate Defined Opportunity Fund Inc.|Common Stock $0.001 par value|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.122|0.122||||||USD||||||||||||||||N|||05/22/2024 3524051|NYSE|GDO|95790C107|Western Asset Global Corporate Defined Opportunity Fund Inc.|Common Stock $0.001 par value|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.122|0.122||||||USD||||||||||||||||N|||05/22/2024 3524053|NYSE|GDO|95790C107|Western Asset Global Corporate Defined Opportunity Fund Inc.|Common Stock $0.001 par value|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.122|0.122||||||USD||||||||||||||||N|||05/22/2024 3524055|NYSE|IGI|95790A101|Western Asset Investment Grade Defined Opportunity Trust Inc.|Common Stock $0.001 par value.|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.071|0.071||||||USD||||||||||||||||N|||05/22/2024 3524057|NYSE|IGI|95790A101|Western Asset Investment Grade Defined Opportunity Trust Inc.|Common Stock $0.001 par value.|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.071|0.071||||||USD||||||||||||||||N|||05/22/2024 3524059|NYSE|IGI|95790A101|Western Asset Investment Grade Defined Opportunity Trust Inc.|Common Stock $0.001 par value.|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.071|0.071||||||USD||||||||||||||||N|||05/22/2024 3524061|NYSE|DMO|95790B109|Western Asset Mortgage Opportunity Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.13|0.13||||||USD||||||||||||||||N|||05/22/2024 3524063|NYSE|DMO|95790B109|Western Asset Mortgage Opportunity Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.13|0.13||||||USD||||||||||||||||N|||05/22/2024 3524065|NYSE|DMO|95790B109|Western Asset Mortgage Opportunity Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.13|0.13||||||USD||||||||||||||||N|||05/22/2024 3524067|NYSE|SBI|958435109|Western Asset Intermediate Muni Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.042|0.042||||||USD||||||||||||||||N|||05/22/2024 3524069|NYSE|SBI|958435109|Western Asset Intermediate Muni Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.042|0.042||||||USD||||||||||||||||N|||05/22/2024 3524071|NYSE|SBI|958435109|Western Asset Intermediate Muni Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.042|0.042||||||USD||||||||||||||||N|||05/22/2024 3524073|NYSE|MMU|95766M105|Western Asset Managed Municipals Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.0545|0.0545||||||USD||||||||||||||||N|||05/22/2024 3524075|NYSE|MMU|95766M105|Western Asset Managed Municipals Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.0545|0.0545||||||USD||||||||||||||||N|||05/22/2024 3524077|NYSE|MMU|95766M105|Western Asset Managed Municipals Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.0545|0.0545||||||USD||||||||||||||||N|||05/22/2024 3524079|NYSE|MHF|95766N103|Western Asset Municipal High Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.034|0.034||||||USD||||||||||||||||N|||05/22/2024 3524081|NYSE|MHF|95766N103|Western Asset Municipal High Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.034|0.034||||||USD||||||||||||||||N|||05/22/2024 3524083|NYSE|MHF|95766N103|Western Asset Municipal High Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.034|0.034||||||USD||||||||||||||||N|||05/22/2024 3524169|NYSE|PAI|95766T100|Western Asset Investment Grade Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.0515|0.0515||||||USD||||||||||||||||N|||05/22/2024 3524171|NYSE|PAI|95766T100|Western Asset Investment Grade Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.0515|0.0515||||||USD||||||||||||||||N|||05/22/2024 3524173|NYSE|PAI|95766T100|Western Asset Investment Grade Income Fund Inc.|Common Stock|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.0515|0.0515||||||USD||||||||||||||||N|||05/22/2024 3524175|NYSE|WEA|957664105|Western Asset Premier Bond Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|07/01/2024|0.07|0.07||||||USD||||||||||||||||N|||05/22/2024 3524177|NYSE|WEA|957664105|Western Asset Premier Bond Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|08/01/2024|0.07|0.07||||||USD||||||||||||||||N|||05/22/2024 3524179|NYSE|WEA|957664105|Western Asset Premier Bond Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|09/03/2024|0.07|0.07||||||USD||||||||||||||||N|||05/22/2024 3524181|NYSE|WIA|95766Q106|Western Asset Inflation-Linked Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|06/28/2024|0.05|0.05||||||USD||||||||||||||||N|||05/22/2024 3524183|NYSE|WIA|95766Q106|Western Asset Inflation-Linked Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|07/31/2024|0.05|0.05||||||USD||||||||||||||||N|||05/22/2024 3524185|NYSE|WIA|95766Q106|Western Asset Inflation-Linked Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|08/30/2024|0.05|0.05||||||USD||||||||||||||||N|||05/22/2024 3524187|NYSE|WIW|95766R104|Western Asset Inflation-Linked Opportunities & Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|06/21/2024|06/21/2024|06/28/2024|0.0605|0.0605||||||USD||||||||||||||||N|||05/22/2024 3524189|NYSE|WIW|95766R104|Western Asset Inflation-Linked Opportunities & Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|07/24/2024|07/24/2024|07/31/2024|0.0605|0.0605||||||USD||||||||||||||||N|||05/22/2024 3524191|NYSE|WIW|95766R104|Western Asset Inflation-Linked Opportunities & Income Fund|Common Shares of Beneficial Interest|Common Stock||N|CASH|MONTHLY|05/22/2024|05/22/2024|08/23/2024|08/23/2024|08/30/2024|0.0605|0.0605||||||USD||||||||||||||||N|||05/22/2024 3524256|NYSE|BRC|104674106|Brady Corporation|Class A Nonvoting Common Stock|Common Stock||N|CASH|QUARTERLY|05/20/2024|05/21/2024|07/10/2024|07/10/2024|07/31/2024|0.235|0.235||||||USD||||||||||||||||N|||05/22/2024 3524260|NYSE|BGS|05508R106|B&G Foods Inc.|Common Stock|Common Stock||N|CASH|QUARTERLY|05/21/2024|05/21/2024|06/28/2024|06/28/2024|07/30/2024|0.19|0.19||||||USD||||||||||||||||N|||05/22/2024 3524264|NYSE|MDV PRA|60784B200|Modiv Industrial Inc.|7.375% Series A Cumulative Redeemable Perpetual Preferred Stock|Preferred Stock||N|CASH|QUARTERLY|05/01/2024|05/22/2024|06/28/2024|06/28/2024|07/15/2024|0.4609375|0.4609375||||||USD||||||||||||||||N|||05/22/2024 3524268|NYSE|MDV|60784B101|Modiv Industrial Inc.|Class C Common Stock|Common Stock||N|CASH|MONTHLY|05/01/2024|05/22/2024|07/31/2024|07/31/2024|08/26/2024|0.09583|0.09583||||||USD||||||||||||||||N|||05/22/2024 3524272|NYSE|MDV|60784B101|Modiv Industrial Inc.|Class C Common Stock|Common Stock||N|CASH|MONTHLY|05/01/2024|05/22/2024|08/30/2024|08/30/2024|09/25/2024|0.09583|0.09583||||||USD||||||||||||||||N|||05/22/2024 3524276|NYSE|MDV|60784B101|Modiv Industrial Inc.|Class C Common Stock|Common Stock||N|CASH|MONTHLY|05/01/2024|05/22/2024|09/30/2024|09/30/2024|10/25/2024|0.09583|0.09583||||||USD||||||||||||||||N|||05/22/2024 3524450|NYSE ARCA|GENM|84858T780|Spinnaker ETF Series|Genter Capital Municipal Quality Intermediate ETF|ETF||N|CASH|MONTHLY|||05/30/2024|05/30/2024|05/31/2024||||||||USD||||||||||||||||N||Amount TBA|05/22/2024 3524453|NYSE ARCA|GENT|84858T798|Spinnaker ETF Series|Genter Capital Taxable Quality Intermediate ETF|ETF||N|CASH|MONTHLY|||05/30/2024|05/30/2024|05/31/2024||||||||USD||||||||||||||||N||Amount TBA|05/22/2024 3524456|NYSE ARCA|GENM|84858T780|Spinnaker ETF Series|Genter Capital Municipal Quality Intermediate ETF|ETF||N|CASH|MONTHLY|||06/28/2024|06/28/2024|07/01/2024||||||||USD||||||||||||||||N||Amount TBA|05/22/2024 3524460|NYSE ARCA|GENT|84858T798|Spinnaker ETF Series|Genter Capital Taxable Quality Intermediate ETF|ETF||N|CASH|MONTHLY|||06/28/2024|06/28/2024|07/01/2024||||||||USD||||||||||||||||N||Amount TBA|05/22/2024 3524464|NYSE|ENS|29275Y102|EnerSys|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/14/2024|06/14/2024|06/28/2024|0.225|0.225||||||USD||||||||||||||||N|||05/22/2024 3524546|NYSE|A|00846U101|Agilent Technologies Inc.|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|07/02/2024|07/02/2024|07/24/2024|0.236|0.236||||||USD||||||||||||||||N|||05/22/2024 3524563|NYSE|KRC|49427F108|Kilroy Realty Corporation|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/28/2024|06/28/2024|07/10/2024|0.54|0.54||||||USD||||||||||||||||N|||05/22/2024 3524567|NYSE|HMN|440327104|Horace Mann Educators Corporation|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/13/2024|06/13/2024|06/28/2024|0.34|0.34||||||USD||||||||||||||||N|||05/22/2024 3524572|NYSE|ZTS|98978V103|Zoetis Inc.|Class A common stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|07/18/2024|07/18/2024|09/04/2024|0.432|0.432||||||USD||||||||||||||||N|||05/22/2024 3524576|NYSE|JWN|655664100|Nordstrom Inc.|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/04/2024|06/04/2024|06/19/2024|0.19|0.19||||||USD||||||||||||||||N|||05/22/2024 3524578|NYSE|ATH PRA|04686J861|Athene Holding Ltd.|Depositary Shares each representing a 1/1000th interest in a 6.35% Fixed-to-Floating Rate Perpetual Non-Cumulative Preference Share Series A|Preferred Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/14/2024|06/15/2024|07/01/2024|0.396875|0.396875||||||USD||||||||||||||||N|||05/22/2024 3524582|NYSE|ATH PRB|04686J200|Athene Holding Ltd.|Depositary Shares each representing a 1/1000th interest in a 5.625% Fixed-Rate Perpetual Non-Cumulative Preference Share Series B|Preferred Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/14/2024|06/15/2024|07/01/2024|0.3515625|0.3515625||||||USD||||||||||||||||N|||05/22/2024 3524586|NYSE|ATH PRC|04686J309|Athene Holding Ltd.|Depositary Shares each representing a 1/1000th interest in a 6.375% Fixed-Rate Reset Perpetual Non-Cumulative Preference Share Series C|Preferred Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/14/2024|06/15/2024|07/01/2024|0.3984375|0.3984375||||||USD||||||||||||||||N|||05/22/2024 3524590|NYSE|ATH PRD|04686J408|Athene Holding Ltd.|Depositary Shares each representing a 1/1000th interest in a 4.875% Fixed-Rate Perpetual Non-Cumulative Preference Share Series D|Preferred Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/14/2024|06/15/2024|07/01/2024|0.3046875|0.3046875||||||USD||||||||||||||||N|||05/22/2024 3524594|NYSE|ATH PRE|04686J507|Athene Holding Ltd.|Depositary Shares Each Representing a 1/1000th Interest in a 7.750% Fixed-Rate Reset Perpetual Non-Cumulative Preference Share Series E|Preferred Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/14/2024|06/15/2024|07/01/2024|0.484375|0.484375||||||USD||||||||||||||||N|||05/22/2024 3524598|NYSE American|CIX|20563P101|CompX International Inc.|Class A Common stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/10/2024|06/10/2024|06/18/2024|0.3|0.3||||||USD||||||||||||||||N|||05/22/2024 3524606|NYSE|TKC|900111204|Turkcell Iletisim Hizmetleri A.S.|American Depositary Shares (Each representing 2 1/2 Tradable Shares)|ADS Common|1 ADS : 2 1/2 Shares|Y|CASH|ANNUALLY|05/22/2024|05/22/2024|12/06/2024|12/06/2024|12/16/2024|0.221581|0.221581||||||USD|APPROXIMATE|||||||||||||||N||Less applicable tax and fees.|05/22/2024 3524609|NYSE|UVV|913456109|Universal Corporation|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|07/08/2024|07/08/2024|08/05/2024|0.81|0.81||||||USD||||||||||||||||N|||05/22/2024 3524620|NYSE American|CET|155123102|Central Securities Corp|Common Stock|Common Stock||N|CASH|SEMI_ANNUALLY|05/22/2024|05/22/2024|06/14/2024|06/14/2024|06/26/2024|0.2|0.08|0.12|||||USD||||||||||||||||N|||05/22/2024 3524630|NYSE|CCI|22822V101|Crown Castle Inc.|Common Stock|Common Stock||N|CASH|QUARTERLY|05/22/2024|05/22/2024|06/14/2024|06/14/2024|06/28/2024|1.565|1.565||||||USD||||||||||||||||N|||05/22/2024