C000067978 Holdings — JNL/PPM America High Yield Bond Fund

All 333 reported holdings of JNL/PPM America High Yield Bond Fund (C000067978) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
JNL Government Money Market Fund5.87%$89.16M
Jackson National Asset Management, LLC4.46%$67.65M
Carnival Corporation1.49%$22.65M
Citgo Petroleum Corporation0.97%$14.66M
Big Sky Funding LLC0.91%$13.75M
Marb Bondco PLC0.74%$11.21M
Five Point Operating Company, LP0.74%$11.17M
Rand Parent, LLC0.73%$11.11M
Carnival Corporation0.73%$11.10M
Ahead DB Holdings, LLC0.67%$10.19M
Optics BidCo S.p.A.0.67%$10.15M
Athenahealth Group Inc.0.65%$9.91M
Credit Acceptance Corporation0.65%$9.84M
Infinity Natural Resources, Inc.0.65%$9.84M
1261229 B.C. Ltd.0.64%$9.79M
Weekley Homes, LLC0.64%$9.69M
PHH Escrow Issuer LLC0.62%$9.40M
Voyager Parent, LLC0.62%$9.39M
Freedom Mortgage Holdings LLC0.61%$9.32M
SM Energy Company0.59%$8.93M
Imola Merger Corporation0.58%$8.86M
First Quantum Minerals Ltd0.58%$8.73M
Hybar LLC0.56%$8.44M
Entegris Escrow Corporation0.55%$8.32M
Global Aviation Leasing Co., Ltd.0.54%$8.22M
Cimpress NV0.54%$8.21M
CMG Media Corporation0.53%$8.07M
CCO Holdings, LLC0.53%$8.02M
AMS-Osram AG0.51%$7.73M
Beach Acquisition Bidco, LLC0.51%$7.73M
Iridium Satellite LLC0.51%$7.70M
Vantor Holdings Inc0.51%$7.69M
A&K Travel Group Holdings Ltd.0.50%$7.61M
PR RNO Property Owner 1, LLC0.50%$7.61M
Herbalife International, Inc.0.50%$7.58M
Cloud Software Group, Inc.0.50%$7.58M
SLM Corporation0.50%$7.57M
Commercial Metals Company0.50%$7.56M
TKC Holdings, Inc.0.50%$7.54M
Caesars Entertainment, Inc.0.50%$7.53M
Raven Acquisition Holding LLC0.50%$7.53M
Fortress Intermediate 3, Inc.0.50%$7.53M
GOGO Intermediate Holdings LLC0.50%$7.52M
Rocket Software, Inc.0.50%$7.52M
Cotiviti Corporation0.50%$7.52M
Brightstar Lottery PLC0.49%$7.51M
Columbus McKinnon Corporation0.49%$7.46M
Cloud Software Group, Inc.0.49%$7.45M
Sunoco LP0.49%$7.44M
PG&E Corporation0.49%$7.41M
ADT Security Corporation, The0.49%$7.41M
Rocket Software, Inc.0.49%$7.38M
Smyrna Ready Mix Concrete, LLC0.48%$7.36M
Transmontaigne Partners LLC0.47%$7.21M
Cipher Compute LLC0.47%$7.20M
Hilcorp Energy I, L.P.0.47%$7.16M
Kimmeridge Texas Gas, LLC0.46%$6.97M
Jane Street Group, LLC0.46%$6.96M
Open Text Corporation0.46%$6.94M
Vistra Corp.0.45%$6.84M
Vistra Operations Company LLC0.45%$6.83M
Wynn Macau, Limited0.44%$6.74M
RHP Hotel Properties, LP0.44%$6.70M
Onesky Flight, LLC0.44%$6.66M
Howden UK Refinance 2 PLC0.44%$6.64M
Talen Energy Supply, LLC0.43%$6.57M
Bip-V Chinook0.43%$6.53M
BRE RC Pitney Road PA LP0.43%$6.47M
Air Canada0.42%$6.41M
ZF North America Capital, Inc.0.42%$6.32M
Mineral Resources Limited0.41%$6.29M
CrossCountry Intermediate HoldCo, LLC0.41%$6.25M
Phillips 660.41%$6.24M
Synergy Infrastructure Holdings, LLC0.40%$6.12M
Level 3 Financing, Inc.0.40%$6.12M
DIRECTV Financing, LLC0.40%$6.11M
Greystar Real Estate Partners, LLC0.40%$6.07M
Aretec Escrow Issuer 2 Inc.0.40%$6.05M
Virgin Media O2 Vendor Financing Notes VI Designated Activity Company0.40%$6.01M
Caturus Energy, LLC0.39%$5.98M
Gray Media, Inc.0.39%$5.94M
Radiology Partners, Inc.0.39%$5.88M
Service Properties Trust0.39%$5.88M
Amentum Escrow Corp.0.39%$5.87M
Hut 8 DC LLC0.38%$5.83M
WULF Compute LLC0.38%$5.80M
Excelerate Energy Limited Partnership0.38%$5.73M
First Quantum Minerals Ltd0.37%$5.67M
UBS Group AG0.37%$5.58M
PetSmart, LLC0.37%$5.58M
Altice France0.37%$5.56M
Maya0.37%$5.56M
Manitowoc Company, Inc., The0.36%$5.46M
Advance Auto Parts, Inc.0.36%$5.41M
SV RNO Property Owner 1 LLC0.36%$5.40M
Wynn Macau, Limited0.35%$5.37M
United Natural Foods, Inc.0.35%$5.33M
Brundage-Bone Concrete Pumping Holdings, Inc.0.35%$5.29M
NGL Energy Operating LLC0.35%$5.26M
Grifols Escrow Issuer S.A.0.35%$5.24M
Nexstar Media Inc.0.34%$5.21M
TransDigm Inc.0.34%$5.17M
CCO Holdings, LLC0.34%$5.15M
Venture Global LNG, Inc.0.34%$5.13M
Service Properties Trust0.34%$5.10M
Allied Universal Holdco LLC0.34%$5.10M
Maxam Prill S.a r.l.0.34%$5.10M
CMG Media Corporation0.34%$5.09M
Pilgrim's Pride Corporation0.33%$5.08M
Tenneco LLC0.33%$5.05M
Humana Inc.0.33%$5.04M
Jacobs Entertainment, Inc.0.33%$5.03M
A + N Real Estate & Business Management Corporation0.33%$5.03M
Community Health Systems, Inc.0.33%$5.03M
Global Medical Response, Inc.0.33%$5.02M
UBS Group AG0.33%$5.02M
PennyMac Financial Services, Inc.0.33%$5.00M
Energy Transfer LP0.33%$4.99M
ZF North America Capital, Inc.0.33%$4.98M
FMC Corporation0.33%$4.94M
Mplx LP0.32%$4.91M
Venture Global LNG, Inc.0.32%$4.88M
Allied Universal Holdco LLC0.32%$4.87M
Ally Financial Inc.0.32%$4.87M
Goldman Sachs Group, Inc., The0.32%$4.87M
Community Health Systems, Inc.0.31%$4.76M
Citigroup Inc.0.31%$4.71M
Star Parent, Inc.0.31%$4.70M
Rocket Companies, Inc.0.30%$4.62M
Discovery Global Holdings, Inc.0.30%$4.61M
Aethon United BR LP0.30%$4.60M
Toronto-Dominion Bank, The0.30%$4.53M
Herc Holdings Inc.0.30%$4.50M
Blackfin Pipeline LLC0.29%$4.45M
Talen Energy Supply, LLC0.29%$4.44M
Coty Inc.0.29%$4.41M
EG Global Finance PLC0.29%$4.39M
Alliant Holdings Intermediate, LLC0.29%$4.37M
Mineral Resources Limited0.29%$4.36M
Kodiak Gas Services, LLC0.28%$4.33M
Genesee & Wyoming Inc.0.28%$4.29M
Community Health Systems, Inc.0.28%$4.25M
Entegris, Inc.0.28%$4.24M
Howard Hughes Corporation, The0.28%$4.24M
Nexstar Media Inc.0.28%$4.23M
Beacon Funding Trust0.28%$4.23M
Barclays PLC0.27%$4.16M
Maya0.27%$4.16M
Boeing Company, The0.27%$4.15M
FMC Corporation0.27%$4.08M
Regal Rexnord Corporation0.27%$4.07M
Connect Finco S.a.r.l.0.27%$4.04M
CSC Holdings, LLC0.27%$4.04M
Global Atlantic Financial Company0.27%$4.02M
Advantage Sales & Marketing Inc.0.26%$4.02M
Gobierno de la Provincia de Buenos Aires0.26%$3.99M
Vistra Corp.0.26%$3.98M
IHOL-Verwaltungs-GmbH0.26%$3.96M
Citadel Securities Global Holdings LLC0.26%$3.95M
Citadel Securities Global Holdings LLC0.26%$3.94M
Community Health Systems, Inc.0.26%$3.88M
JBS USA Lux S.A.0.25%$3.86M
Olympus Water US Holding Corporation0.25%$3.83M
Coreweave, Inc.0.25%$3.83M
Presidence de la Republique de Cote d'Ivoire0.25%$3.82M
Grupo Nutresa S.A.0.25%$3.81M
TransDigm Inc.0.25%$3.80M
Stonepeak Nile Parent LLC0.25%$3.80M
Venture Global Calcasieu Pass, LLC0.25%$3.80M
Open Text Corporation0.25%$3.80M
Staples, Inc.0.25%$3.80M
Amneal Pharmaceuticals LLC0.25%$3.79M
Gaia Purchaser, Inc.0.25%$3.79M
Altice France0.25%$3.78M
Bingo Holdings I LLC0.25%$3.78M
VistaJet Group Holding S.A.0.25%$3.78M
PRA Group, Inc.0.25%$3.76M
Lifepoint Health, Inc.0.25%$3.76M
SolarWinds Holdings, Inc.0.25%$3.75M
Sempra0.25%$3.74M
Rocket Software, Inc.0.25%$3.74M
Focus Financial Partners, LLC0.25%$3.74M
Coreweave, Inc.0.25%$3.72M
Aretec Group, Inc.0.24%$3.72M
First Citizens BancShares, Inc.0.24%$3.71M
ITT Holdings LLC0.24%$3.69M
Mineral Resources Limited0.24%$3.68M
Ahead DB Holdings, LLC0.24%$3.68M
Oak-Eagle AcquireCo, Inc.0.24%$3.68M
PetSmart, LLC0.24%$3.68M
Crescent Energy Finance LLC0.24%$3.68M
Osaic Holdings, Inc.0.24%$3.67M
Bond US Bidco 1 Inc.0.24%$3.62M
CSC Holdings, LLC0.24%$3.59M
Autokiniton US Holdings, Inc.0.24%$3.58M
CCO Holdings, LLC0.24%$3.58M
Teva Pharmaceutical Finance Netherlands III B.V.0.23%$3.56M
Aretec Group, Inc.0.23%$3.56M
Ineos Finance PLC0.23%$3.55M
Level 3 Financing, Inc.0.23%$3.55M
Bread Financial Payments, Inc.0.23%$3.52M
Rivers Enterprise Borrower, LLC0.23%$3.51M
Howard Hughes Corporation, The0.23%$3.49M
Watco Companies, L.L.C.0.23%$3.45M
CrossCountry Intermediate HoldCo, LLC0.23%$3.45M
ViaSat, Inc.0.22%$3.37M
Kinetik Holdings LP0.22%$3.36M
Ally Financial Inc.0.22%$3.31M
Fortress Transportation And Infrastructure Investors LLC0.22%$3.30M
Univision Communications Inc.0.22%$3.28M
United Airlines Pass Through Certificates, Series 2015-10.21%$3.26M
United Airlines Holdings, Inc.0.21%$3.26M
Pitney Bowes Inc.0.21%$3.21M
Freedom Mortgage Corporation0.21%$3.19M
Bread Financial Payments, Inc.0.21%$3.19M
Queen Mergerco, Inc.0.21%$3.19M
CCO Holdings, LLC0.21%$3.18M
Transportadora de Gas del Sur S.A.0.21%$3.16M
Fortescue Treasury Pty Ltd0.21%$3.12M
Ford Motor Credit Company LLC0.20%$3.11M
Kodiak Gas Services, LLC0.20%$3.09M
Bombardier Inc.0.20%$3.06M
MPH Acquisition Holdings LLC0.20%$3.06M
Deutsche Bank Aktiengesellschaft0.20%$3.05M
United Airlines Holdings, Inc.0.20%$3.03M
Royal Caribbean Cruises Ltd.0.20%$3.00M
Cyprium Corporation0.20%$2.99M
Carnival Corporation0.20%$2.98M
TKC Holdings, Inc.0.19%$2.96M
Champ Acquisition Corporation0.19%$2.95M
IHOL-Verwaltungs-GmbH0.19%$2.94M
Rocket Companies, Inc.0.19%$2.94M
Wesco Distribution, Inc.0.19%$2.90M
Wesco Distribution, Inc.0.19%$2.89M
ViaSat, Inc.0.19%$2.89M
ViaSat, Inc.0.19%$2.87M
Celanese US Holdings LLC0.19%$2.85M
Grupo Nutresa S.A.0.18%$2.77M
Rocket Companies, Inc.0.18%$2.75M
Wesco Distribution, Inc.0.18%$2.70M
Energy Transfer LP0.18%$2.67M
Celanese US Holdings LLC0.17%$2.65M
Pilgrim's Pride Corporation0.17%$2.60M
PennyMac Financial Services, Inc.0.17%$2.57M
Qnity Electronics, Inc.0.17%$2.55M
Hilcorp Energy I, L.P.0.17%$2.54M
CCO Holdings, LLC0.17%$2.53M
Entegris Escrow Corporation0.17%$2.51M
Teva Pharmaceutical Finance Netherlands III B.V.0.16%$2.48M
OneMain Finance Corporation0.16%$2.47M
CCO Holdings, LLC0.16%$2.47M
Alliant Holdings Intermediate, LLC0.16%$2.44M
Herbalife International, Inc.0.16%$2.41M
Tenet Healthcare Corporation0.16%$2.40M
Trivium Packaging Finance B.V.0.16%$2.39M
Univision Communications Inc.0.16%$2.39M
Herc Holdings Inc.0.15%$2.34M
LuxCo 30.15%$2.33M
Venture Global Plaquemines LNG, LLC0.15%$2.25M
NRG Energy, Inc.0.15%$2.23M
ION Platform Finance S.a r.l.0.14%$2.18M
TransDigm Inc.0.14%$2.08M
Fortress Transportation And Infrastructure Investors LLC0.14%$2.08M
Venture Global LNG, Inc.0.14%$2.07M
Ford Motor Company0.14%$2.07M
DIRECTV Financing, LLC0.14%$2.07M
Venture Global LNG, Inc.0.14%$2.07M
RHP Hotel Properties, LP0.13%$2.04M
MPH Acquisition Holdings LLC0.13%$2.03M
Herc Holdings Inc.0.13%$2.01M
Allen Media, LLC0.13%$2.00M
OneMain Finance Corporation0.13%$1.91M
Phillips 660.13%$1.90M
NextEra Energy Capital Holdings, Inc.0.12%$1.89M
Advance Auto Parts, Inc.0.12%$1.89M
Acrisure, LLC0.12%$1.86M
TransDigm Inc.0.12%$1.85M
Tenet Healthcare Corporation0.12%$1.80M
Sabre GLBL Inc.0.12%$1.79M
Univision Communications Inc.0.12%$1.76M
Sabre GLBL Inc.0.12%$1.75M
DIRECTV Financing, LLC0.12%$1.75M
OneMain Finance Corporation0.11%$1.62M
NRG Energy, Inc.0.11%$1.60M
IHOL-Verwaltungs-GmbH0.10%$1.58M
Altice France0.10%$1.57M
Maya0.10%$1.53M
Level 3 Financing, Inc.0.10%$1.51M
First Quantum Minerals Ltd0.10%$1.50M
Venture Global Plaquemines LNG, LLC0.10%$1.47M
Freedom Mortgage Corporation0.10%$1.45M
Energy Transfer LP0.09%$1.41M
ION Platform Finance S.a r.l.0.09%$1.39M
NextEra Energy Capital Holdings, Inc.0.08%$1.29M
RHP Hotel Properties, LP0.08%$1.24M
CCO Holdings, LLC0.08%$1.20M
Bausch Health Companies Inc.0.07%$1.13M
Macy's Retail Holdings, LLC0.07%$1.06M
Venture Global Plaquemines LNG, LLC0.07%$1.03M
Vistra Operations Company LLC0.07%$1.00M
Gray Media, Inc.0.06%$960.97K
Resorts World Las Vegas LLC0.06%$879.61K
Sabre GLBL Inc.0.06%$868.85K
Rocket Companies, Inc.0.05%$820.77K
Oak-Eagle AcquireCo, Inc.0.05%$782.67K
Acrisure, LLC0.05%$777.68K
Global Infrastructure Solutions Inc.0.05%$760.78K
DIRECTV Financing, LLC0.05%$726.09K
Open Text Corporation0.05%$720.68K
Meridian Arc Holdco LLC0.04%$626.26K
Transocean Aquila Limited0.04%$617.18K
First Quantum Minerals Ltd0.04%$600.56K
QXO Building Products, Inc.0.04%$597.60K
Coreweave Financing DDTL V LLC0.04%$583.91K
Credit Acceptance Corporation0.03%$505.03K
Nexstar Media Group, Inc.0.03%$494.25K
QXO Building Products, Inc.0.02%$353.70K
JH North America Holdings Inc.0.02%$308.50K
Liberty Media Corporation0.02%$279.56K
Cyprium Corporation0.02%$261.33K
Venture Global Plaquemines LNG, LLC0.02%$259.70K
JH North America Holdings Inc.0.01%$211.91K
Aventiv Technologies, LLC0.01%$177.11K
Chicago Mercantile Exchange0.01%$148.72K
Aventiv Technologies, LLC0.01%$135.22K
Altice Financing S.A.0.01%$99.27K
Aventiv Technologies, LLC0.00%$70.34K
Aventiv Technologies, LLC0.00%$5.69K
Prairie Provident Resources Inc.0.00%$2.50K
Venture Global LNG, Inc.0.00%$2.13K
Ascent Resources - Marcellus, LLC0.00%$939
New Cotai LLC0.00%$0
Washington Mutual Bank, FA0.00%$120

C000067978 overview: performance, fees, allocation and SEC filings