Xtrackers High Beta High Yield Bond ETF
HYUP
#2963
ETF rang
€26.8 M
Capitalisation boursière
🇺🇸 US
Marché
35,75 €
Prix de l'action
-0.02%
Changement (1 jour)
-6.41%
Changement (1 an)

Xtrackers High Beta High Yield Bond ETF - Composition

Composition de l'ETF au 29 Janvier, 2026

Nombre de participations : 681

Liste complète de la composition

Poids %NomSymboleISINActions détenuesPays
0.74%1261229 BC LTD 10 4/15/2032--US68288AAA51227000US
0.64%Cloud Software Group Inc 9 09/30/2029US431429001US18912UAA07201000US
0.64%Picard Midco Inc 6.5 03/31/202988632QAE3US88632QAE35203000US
0.57%Asurion Llc/Asurion Co 8 12/31/2032--US045941AA96174000US
0.56%Wulf Compute Llc 7.75 10/15/2030--US982911AA70171000US
0.52%VENTURE GLOBAL LNG INC 9.5 2/1/2029US471975001US92332YAC57155000US
0.50%Panther Escrow Issuer Llc 7.125 06/01/2031--US69867RAA59154000US
0.45%Level 3 Financing Inc 6.875 6/30/2033--US527298CM39138000US
0.44%Nissan Motor Co Ltd 4.81 9/17/2030654744AD3US654744AD34149000JP
0.44%Mauser Packaging Solut 7.875 4/15/2030--US57763RAE71137000US
0.43%CCO Holdings LLC 4.50 08/15/20301248EPCE1US1248EPCE15148000US
0.43%Neptune Bidco Us Inc 9.29 04/15/2029US393178001US640695AA01133000US
0.43%CCO Holdings LLC 4.75 03/01/20301248EPCD3US1248EPCD32144000US
0.42%Windstream Services Llc / Windstream Finance Corp 8.25 10/01/2031--US97381AAA07129000US
0.41%CCO Holdings LLC 4.50 05/01/2032BP0737646US1248EPCN14150000US
0.41%Level 3 Financing Inc 7.00 03/31/2034--US527298CN12126000US
0.40%Staples Inc 10.75 9/1/2029--US855030AQ50128000US
0.39%Dish DBS Corp 5.75 12/01/2028US300388001US25470XBF15129000US
0.38%Directv Fin Llc/Coinc 10 2/15/2031--US25461LAD47118000US
0.38%Gol Finance 14.375 06/06/2030--US36254VAN82116000BR
0.37%Venture Global Lng Inc 8.125 06/01/2028US443248001US92332YAA91116000US
0.37%CCO Holdings LLC 4.25 02/01/2031US161577001US1248EPCK74132000US
0.37%Venture Global Plaquemines Lng Llc 6.75 01/15/2036--US922966AD85113000US
0.37%Nrg Energy Inc 6.0 01/15/2036--US629377DD11117000US
0.37%CCO Holdings LLC 5.00 02/01/20281248EPBX0US1248EPBX05118000US
0.36%Connect Holding Ii Llc 10.5 4/3/2031--US20753PAD33118000US
0.36%Warnermedia Holdings Inc 4.28 03/15/2032--US55903VBQ59130000US
0.36%Transdigm Inc 6.75 01/31/2034--US893647CA37109000US
0.35%Coreweave Inc 9.25 06/01/2030--US21873SAB43114000US
0.35%Voltagrid Llc 7.375 11/1/2030--US92874BAA35111000US
0.35%Allied Universal Holdco 7.875 2/15/2031FR486055001US019576AD90105000US
0.34%VENTURE GLOBAL LNG INC 9.875 2/1/2032US471976001US92332YAD31103000US
0.34%Venture Global Lng Inc 8.375 06/01/2031US443249001US92332YAB74106000US
0.34%Minerva Merger Sub Inc 6.50 02/15/2030US315444001US60337JAA43111000US
0.34%RAKUTEN GROUP INC 9.75 4/15/2029--US75102WAK4595000JP
0.33%CHS/Community Health Systems Inc 10.875 01/15/2032US480299001US12543DBN9398000US
0.33%NCL Corporation Ltd 6.75 02/01/2032--US62886HBR12102000US
0.33%Petsmart Llc/Petsmart Finance Corp 7.50 09/15/2032--US71677KAC27102000US
0.31%Jetblue Airways/Loyalty 9.875 9/20/2031--US476920AA1597000US
0.30%Venture Global Plaquemines Lng Llc 6.50 01/15/2034--US922966AC0393000US
0.30%Voyager Parent Llc 9.25 07/01/2032--US92921EAA0190000US
0.29%Connect Finco Sarl 9 09/15/2029--US20752TAB0887000GB
0.29%Virgin Media Secured Finance Plc 5.50 05/15/202992769XAP0US92769XAP0692000GB
0.29%Altice France Sa 6.5 03/15/2032--US02090DAD0393035FR
0.29%TENNECO INC 8 11/17/2028US457186001US880349AU9090000US
0.28%Venture Global Lng Inc 7 01/15/2030--US92332YAE1490000US
0.28%Sirius XM Radio Inc 3.875 01/09/2031US281027001US82967NBM9297000US
0.28%Olympus Wtr Us Hldg Corp 7.25 02/15/2033--US681639AE0088000US
0.27%Bausch Health Cos Inc 11.00 9/30/2028US379764001US071734AQ0484000US
0.27%Ardagh Group Sa 9.5 12/1/2030--US039959AA9880000US
0.27%Condor Merger Sub Inc 7.375 02/15/2030US315406001US579063AB46108000US
0.27%Venture Global Plaque 6.125 12/15/2030--US922966AE6884000US
0.27%Sinclair Television Group Inc 8.125 01/02/1900--US829259BH2683000US
0.27%Univision Communications Inc 9.38 08/01/2032--US914906BA9579000US
0.27%CHS/Community Health Systems Inc 5.25 05/15/2030US315499001US12543DBM1190000US
0.27%Altice France Sa 9.5 11/01/2029--US02090DAA6382333FR
0.27%Snap Inc 6.875 3/1/2033--US83304AAL0882000US
0.27%Ardonagh Group Finance Ltd 8.875 02/15/2032GB486181001US039956AA5982000GB
0.27%Talen Energy Supply Llc 6.25 2/1/2034--US87422VAM0083000US
0.26%Coreweave Inc 9.00 02/01/2031--US21873SAC2686000US
0.26%Prime Healthcare Service 9.375 9/1/2029--US74165HAC2580000US
0.26%Directv Financing Llc 8.875 02/01/2030--US254945AA6681000US
0.25%Clydesdale Acquisition Holdings Inc 6.75 04/15/2032--US18972EAD7678000US
0.25%Mpt Operating Partnership Lp / Mpt Finance Corp 8.5 01/02/1900--US55342UAQ7673000US
0.25%Cleveland-Cliffs Inc 7 03/15/2032US487420001US185899AP6176000US
0.25%Venture Global Plaque 6.5 06/15/2034--US922966AF3475000US
0.24%Zf Na Capital 7.5 03/24/2031--US98877DAH8976000DE
0.24%Venture Global Plaquemines Lng Llc 7.75 05/01/2035--US922966AB2068000US
0.24%Raven Acquisition Holdings Llc 6.875 11/15/2031--US75420NAA1976000US
0.24%Organon Finance 1 LLC 5.125 04/30/2031US260877001US68622TAB7083000US
0.24%CHS/Community Health Systems Inc 6.125 04/01/203012543DBL3US12543DBL3890000US
0.23%Csc Holdings Llc 11.75 01/31/2029US483270001US126307BN62104000US
0.23%Altice Financing SA 5.75 15/08/202902154CAH6US02154CAH60103000LU
0.23%CCO Holdings LLC 4.25 15/01/2034US281005001US1248EPCP6190000US
0.23%US Bonanza Creek Energy Inc 8.75 01/07/2031US450134001US17888HAB9670000US
0.23%Comstock Resources Inc 6.75 03/01/2029US257819001US205768AS3972000US
0.23%Allied Universal Holdco LLC 6.00 06/01/2029019576AC1US019576AC1873000US
0.23%National Mentor Holdings 10.5 12/15/2030--US63688RAF4770000US
0.23%Albion Financing 1 Sarl 7 05/21/2030--US01330AAA4369000LU
0.23%CCO Holdings LLC 5.375 06/01/20291248EPCB7US1248EPCB7573000US
0.22%VMED O2 UK Financing 4.75 15/07/2031GB275493001US92858RAB6978000GB
0.22%CHS/Community Health Systems Inc 6.875 04/15/2029US238587001US12543DBJ8177000US
0.22%CCO Holdings LLC 4.50 06/01/2033US262702001US1248EPCL5783000US
0.22%Builders Firstsource Inc 6.375 03/01/2034US486870001US12008RAS6768000US
0.22%Nrg Energy Inc 5.75 1/15/2034--US629377DC3870000US
0.22%Ardonagh Finco Ltd 7.75 02/15/2031US486180001US039853AA4668000GB
0.22%Kioxia Holdings Corp 6.63 07/24/2033--US49726JAB4467000JP
0.22%CAESARS ENTERTAIN INC 6.5 2/15/2032US486062001US12769GAC4268000US
0.22%Bausch Health Inc 4.875 06/01/2028US268852001US071734AN7275000US
0.22%Newell Brands Inc 8.5 06/01/2028--US651229BG0666000US
0.22%UNIVISION COMMUNICATIONS 8 8/15/2028US455548001US914906AY8067000US
0.22%NGL ENERGY PARTNERS LP 8.375 2/15/2032US486024001US62922LAD0166000US
0.22%Noble Finance 2 Llc 8 04/15/2030US431440001US65505PAA5766000US
0.22%Ion Platform Finance Us 7.875 9/30/2032--US46205QAB4178000US
0.22%Cco Holdings Llc 6.375 09/01/2029US364431001US1248EPCS0168000US
0.21%Univision Communications Inc 8.5 07/31/2031--US914906AZ5565000US
0.21%Altice France Sa 6.875 7/15/2032--US02090DAE8569282FR
0.21%Post Holdings Inc 6.375 3/1/2033--US737446AV6967000US
0.21%CCO Holdings LLC 4.75 02/01/2032US311294001US1248EPCQ4575000US
0.21%Brand Industrial Service 10.375 8/1/2030US455516001US104931AA8569000US
0.21%Nissan Motor Co Ltd 7.50 07/17/2030--US654922AB9763000JP
0.21%First Quantum Minerals Ltd 8.625 6/1/2031--US335934AU9663000CA
0.21%Celanese Us Holdings Llc 6.8 11/15/2030--US15089QAX2562000US
0.21%DISH DBS CORP 5.125 6/1/2029BQ8550700US25470XBD6674000US
0.21%Millrose Properties Inc 6.38 08/01/2030--US601137AA0964000US
0.21%Vedanta Resources Finance Ii Plc 10.875 09/17/2029--US92243XAH4461000GB
0.21%Icahn Enterprises LP 5.25 05/15/2027BG089824US451102BZ9166000US
0.21%Midas OpCo Holdings LLC 5.625 15/08/2029US285025001US59565JAA9767000US
0.21%Nissan Motor Co Ltd 8.13 07/17/2035--US654922AD5361000JP
0.20%Talen Energy Supply Llc 6.5 02/01/2036--US87422VAN8263000US
0.20%Surgery Center Holdings Inc 7.25 04/15/2032--US86881WAF9564000US
0.20%MPT Finance Corp 5.00 10/15/202755342UAH7US55342UAH7766000US
0.20%TRANSOCEAN INC 8.25 05/15/2029--US893830BY4563000CH
0.20%Sirius Xm Radio Inc 4.125 07/01/2030US153742001US82967NBG2568000US
0.20%Univision Communications Inc 4.50 05/01/2029914906AV4US914906AV4267000US
0.20%Mauser Packaging S--US57763RAF4765000US
0.20%Cleveland-Cliffs Inc 7.625 1/15/2034--US18589GAA3161000US
0.20%Post Holdings Inc 6.5 03/15/2036--US737446AY0963000US
0.20%American Axle & Mfg Inc 7.75 10/15/2033--US02406PBD1561000US
0.20%Bip-V Chinook Holdco LLC 5.50 15/06/2031US268858001US12657NAA8163000US
0.20%WAND NEWCO 3 INC 7.625 01/30/2032US483297001US933940AA6059000US
0.20%EG Global Finance Plc 12 11/30/2028GB474614001US28228PAC5957000GB
0.19%Fertitta Entertainment LLC 6.75 01/15/2030US312932001US31556TAC3665000US
0.19%Saavi Energia Luxembourg Sarl 8.875 01/02/1900--US78518PAA3057000MX
0.19%CSC Holdings LLC 5.50 04/15/2027126307AQ0US126307AQ0370000US
0.19%Magic MergeCo Inc 7.875 05/01/2029US260881001US55916AAB0863000US
0.19%Clear Channel Outdoor Holdings Inc 7.13 02/15/2031--US18453HAG1159000US
0.19%Windstream Services Llc 7.5 10/15/2033--US97382BAB5360000US
0.19%Venture Global Plaquemines Lng Llc 7.5 05/01/2033--US922966AA4756000US
0.19%Neptune Bidco Us Inc 10.375 5/15/2031--US640695AC6658000US
0.19%Level 3 Financing Inc 8.5 1/15/2036--US527298CQ4360000US
0.19%Onemain Finance Corp 4.00 09/15/2030US232624001US682691AA8065000US
0.19%Hertz Corporation (The) 12.625 07/15/2029--US428040DC0860000US
0.19%US Clear Channel 7 1/2% due 29 144AUS268863001US18453HAD8961000US
0.19%Gray Television Inc 10.5 07/15/2029--US389375AM8156000US
0.19%Ncl Corporation Ltd 5.875 01/15/2031--US62886HBY6260000US
0.19%Weatherford Internationa 6.75 10/15/2033--US947075AW7958000US
0.19%California Resources Corp 8.25 06/15/2029--US13057QAK3157000US
0.19%Crescent Energy Finance Llc 7.625 04/01/2032US491563001US45344LAD5560000US
0.19%Delek Logistics Partners Lp 8.625 03/15/2029US487468001US24665FAD4257000US
0.19%Caesars Entertainment Inc 6 10/15/2032--US12769GAD2561000US
0.19%Acrisure Llc / Fin Inc 7.5 11/6/2030--US00489LAL7157000US
0.19%Cinemark USA Inc 5.25 15/07/2028US268860001US172441BF3059000US
0.19%CALIFORNIA BUYER/ATLANTI 6.375 02/15/2032--US13005HAA8659000ES
0.19%SMYRNA READY MIX CONCRET 8.875 11/15/2031US474648001US83283WAE3055000US
0.18%Caesars Entertainment Inc 4.625 10/15/2029US289430001US12769GAA8561000US
0.18%Herc Holdings Escrow Inc 7.25 6/15/2033--US42704LAG9555000US
0.18%NGL ENERGY PARTNERS LP 8.125 2/15/2029US486099001US62922LAC2856000US
0.18%Jefferies Finance LLC 5.00 15/08/2028US281063001US47232MAF9560000US
0.18%Global Medical Response 7.375 10/1/2032--US37960BAD7356000US
0.18%Hilton Grand Vacations Borrower Escrow Llc / Hilton Grand Vacations Borrower Esc 6.625 01/15/2032US482494001US43283QAC4256000US
0.18%Studio City Finance Ltd 5 01/15/2029--US86389QAG7359000HK
0.18%Altice France Lux 3 10.0 01/15/2030--US020956AA6759000LU
0.18%LIFEPOINT HEALTH INC 11 10/15/2030US469101001US53219LAW9052000US
0.18%CSC Holdings LLC 6.50 02/01/2029126307AZ0US126307AZ0289000US
0.18%Gray Media Inc 9.63 07/15/2032--US389375AN6455000US
0.18%VMED O2 UK Financing I Plc 4.25 01/31/203192858RAA8US92858RAA8662000GB
0.18%Sunoco Lp 5.875 3/15/2034--US86765KAG4056000US
0.18%Rr Donnelley & Sons Co 9.5 8/1/2029--US257867BJ9754000US
0.18%Uwm Holdings Llc 6.25 03/15/2031--US903522AB6856000US
0.18%First Quantum Minerals Ltd 8 03/01/2033--US335934AW5252000CA
0.18%Sabre Financial Borrower 11.125 06/15/2029--US78573XAA8155000US
0.18%Xplr Infrastructure Operating Partners Lp 8.625 03/15/2033--US98380MAB1953000US
0.17%Olympus Water Us Holding Corp 6.75 08/01/2032--US46150DAA0056000US
0.17%Virgin Media Finance Plc 5.00 07/15/2030GB153749001US92769VAJ8963000GB
0.17%Olympus Water Us Holding Corp 7.25 06/15/2031--US681639AD2754000US
0.17%Vz Secured Financing Bv 7.5 01/15/2033--US91845AAB1755000NL
0.17%Celanese Us Holdings Llc 7.375 02/15/2034--US15089QBD5154000US
0.17%Commercial Metals Co 6.0 12/15/2035--US201723AV5254000US
0.17%ITT Holdings LLC 6.50 08/01/2029US275469001US45074JAA2557000US
0.17%Clarios Global Lp/Us Fin 6.75 09/15/2032--US18060TAE5553000US
0.17%Lbm Acquisition Llc 9.50 06/15/2031--US52109SAB5152000US
0.17%First Quantum Minerals Ltd 7.25 02/15/2034--US335934AX3652000CA
0.17%Avis Budget Car Rental Llc 5.375 03/01/2029US257786001US053773BF3056000US
0.17%Melco Resorts Finance Ltd 5.375 12/04/202958547DAD1US58547DAD1255000HK
0.17%Civitas Resources Inc 8.625 11/1/2030US470885001US17888HAC7951000US
0.17%Celanese Us Holdings Llc 6.75 04/15/2033--US15089QBA1353000US
0.17%VERDE PURCHASER LLC 10.5 11/30/2030US476192001US92339LAA0850000US
0.17%Melco Resorts Finance Ltd 7.625 04/17/2032--US58547DAH2651000HK
0.17%Clarios Global Lp 6.75 02/15/2030--US18060TAD7251000US
0.17%Light & Wonder Intl Inc 6.25 10/01/2033--US531968AB1952000US
0.17%Cloud Software Group Inc 6.63 08/15/2033--US18912UAG7655000US
0.17%Freedom Mortgage Holdings Llc 9.25 02/01/2029US486007001US35641AAA6050000US
0.17%Icahn Enterprises Lp / Icahn Enterprises Finance Corp 10 11/15/2029--US451102CK1452000US
0.16%Nrg Energy Inc 6.25 11/01/2034--US629377CX8351000US
0.16%Uniti Group LP 6.50 02/15/2029US238728001US91327BAA8954000US
0.16%Ion Plat Fin Us/Sarl 9.5 5/30/2029--US46206AAB8954000US
0.16%Equipmentshare.com Inc 9 05/15/2028US439803001US29450YAA7350000US
0.16%Pennymac Financial Services Inc 6.875 05/15/2032--US70932MAG2450000US
0.16%Aston Martin Capital Holdings Ltd 10 03/31/2029JE490188001US04625HAJ8658000JE
0.16%Clear Channel Outdoor Holdings Inc 7.75 04/15/2028US238593001US18453HAC0752000US
0.16%Celanese Us Holdings Llc 6.95 11/15/2033--US15089QAY0849000US
0.16%Hta Group Ltd 7.5 06/04/2029--US40435WAC4750000GB
0.16%Iliad Holding SAS 8.5 4/15/2031--US449691AF1448000FR
0.16%Usa Com Part/Usa Com Fin 6.25 10/1/2033--US91740PAH1051000US
0.16%Sable International Finance Ltd 7.125 10/15/2032--US785712AK6851000PA
0.16%Sabre Glbl Inc 11.25 07/15/2030--US78573NAM4864000US
0.16%Hilcorp Energy I Lp 7.25 02/15/2035--US431318BG8853000US
0.16%Kodiak Gas Services Llc 6.5 10/1/2033--US50012LAD6450000US
0.16%Focus Financial Partners Llc 6.75 09/15/2031--US34417VAA5250000US
0.16%Vital Energy Inc 7.875 04/15/2032US489304001US516806AK2351000US
0.16%MPT Operating Partnership Lp 3.50 03/15/2031US224212001US55342UAM6269000US
0.16%Advance Auto Parts Inc 7.38 08/01/2033--US00751YAL0250000US
0.16%Genmab A/S/Genmab Fin 7.25 12/15/2033--US37230JAB8948000DK
0.16%ZF North America Capital Inc 6.875 4/14/2028DE431449001US98877DAD7549000DE
0.16%Crescent Energy Finance 7.375 1/15/2033--US45344LAE3952000US
0.16%Navient Corp 5.50 03/15/2029US299528001US63938CAM0151000US
0.16%DISH DBS Corp 7.375 07/01/2028ZO2534246US25470XBB0152000US
0.16%Allied Universal 6.875 6/15/2030--US019576AF4948000US
0.16%Alpha Generation Llc 6.75 10/15/2032--US02073LAA9848000US
0.16%Radiology Partners Inc 8.50 07/15/2032--US75041VAE4847000US
0.16%Adt Sec Corp 5.875 10/15/2033--US00109LAB9949000US
0.16%US Gray Escrow II Inc 5.375 11/15/2031US299459001US389286AA3467000US
0.16%HLF FIN SARL LLC/HERBALI 12.25 4/15/2029--US40390DAD7546000US
0.16%KEHE DIST/FIN / NEXTWAVE 9.0 02/15/2029US486074001US487526AC9147000US
0.16%Celanese Us Holdings Llc 6.629 7/15/203215089QAP9US15089QAP9047000US
0.16%Us Acute Care Solutions Llc 9.75 05/15/2029--US90367UAD3749000US
0.16%Versant Media Group Inc 7.25 1/30/2031--US925283AA1248000US
0.15%Cleveland-Cliffs Inc 7.375 05/01/2033--US185899AR2847000US
0.15%Madison LLC 4.125 30/06/2028US271724001US55760LAB3649000US
0.15%Pbf Holding Company Llc 9.875 03/15/2030--US69318FAM0546000US
0.15%Acrisure Llc 8.25 02/01/2029US483298001US00489LAK9847000US
0.15%Usa Compression Partners Lp 7.125 03/15/2029US487452001US91740PAG3747000US
0.15%Onemain Finance Corp 6.75 09/15/2033--US682691AN0248000US
0.15%Nissan Motor Co Ltd 7.75 07/17/2032--US654922AC7046000JP
0.15%Ryman Hospitality Properties 6.5 04/01/2032US492053001US749571AK1547000US
0.15%Service Properties Trust 8.375 06/15/2029--US81761LAD4748000US
0.15%Davita Inc 6.875 9/1/2032--US23918KAW8047000US
0.15%SRM Escrow Issuer LLC 6.00 11/01/2028US220455001US85236FAA1248000US
0.15%Freedom Mortgage Holdings Llc 9.125 05/15/2031--US35641AAB4445000US
0.15%AMS Osram Ag 12.25 03/30/2029AT476155001US03217CAB2845000AT
0.15%MPT Operating Partnership LP 4.625 08/01/202955342UAJ3US55342UAJ3456000US
0.15%PG&E Corp 5.25 07/01/2030US154893001US69331CAJ7148000US
0.15%Cleveland-Cliffs Inc 7.5 01/02/1900--US185899AS0145000US
0.15%Ardagh Metal Packaging Finance Usa Llc 4.00 09/01/2029US257782001US03969YAB4850000US
0.15%Altice Financing SA 5.00 01/15/202802154CAF0US02154CAF0565000LU
0.15%Lcm Investments Holdings Ii Llc 8.25 08/01/2031US453630001US50190EAC8445000US
0.15%Fertitta Entertainment LLC 4.625 01/15/2029US309725001US31556TAA7949000US
0.15%MidCap Financial Issuer Trust 6.50 05/01/2028US262706001US59567LAA2647000US
0.15%TRANSOCEAN INC 8.5 5/15/2031--US893830BZ1046000US
0.15%Clear Channel Outdoor Holdings Inc 7.50 03/15/2033--US18453HAH9344000US
0.15%Advance Auto Parts Inc 7.00 08/01/2030--US00751YAK2946000US
0.15%Community Health Systems Inc 4.75 02/15/2031US238611001US12543DBK5452000US
0.15%CCO HLDGS LLC/CAP CORP 7.375 3/1/2031US412275001US1248EPCT8346000US
0.15%Howden UK Refinance Plc 7.25 2/15/2031GB486098001US44287GAA4045000GB
0.15%Aethon United Br Lp 7.5 10/01/2029--US00810GAD6044000US
0.15%Clear Channel Outdoor Holdings Inc 7.875 04/01/2030US487463001US18453HAF3844000US
0.14%CSC Holdings LLC 5.75 01/15/2030126307BA4US126307BA42120000US
0.14%Onemain Finance Corp 7.125 11/15/2031--US682691AG5044000US
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