Performance

Performance

Growth of Hypothetical $10,000

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Distributions

Record Date Ex-Date Payable Date
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Premium/Discount

  1y 3y 5y 10y Incept.
9.74 -0.48 0.62 2.44 3.26
Market Price (%) 10.09 -0.38 0.64 2.44 3.28
Benchmark (%) 9.85 -0.47 0.72 2.49 3.30
After Tax Pre-Liq. (%) 7.44 -2.16 -1.06 0.61 1.40
After Tax Post-Liq. (%) 6.08 -0.90 -0.07 1.21 1.84
  YTD 1m 3m 6m 1y 3y 5y 10y Incept.
0.77 1.07 0.77 7.92 9.74 -1.42 3.15 27.27 46.98
Market Price (%) -0.25 1.38 -0.25 8.26 10.09 -1.15 3.27 27.27 47.20
Benchmark (%) 0.82 1.08 0.82 7.96 9.85 -1.40 3.63 27.89 47.57
After Tax Pre-Liq. (%) 0.52 0.94 0.52 6.66 7.44 -6.34 -5.20 6.32 18.17
After Tax Post-Liq. (%) 0.49 0.65 0.49 4.85 6.08 -2.67 -0.35 12.82 24.42
  2019 2020 2021 2022 2023
Total Return (%) 15.88 -1.25 3.37 -16.55 11.05
Market Price (%) 15.81 -1.20 3.37 -16.81 12.56
Benchmark (%) 16.09 -0.92 3.42 -16.65 11.09
The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted.

Key Facts

Key Facts

Net Assets of Fund as of Apr 25, 2024 $116,658,978
Fund Inception Apr 03, 2012
Exchange Cboe BZX formerly known as BATS
Asset Class Multi Asset
Benchmark Index Morningstar Multi-Asset High Income Index
Bloomberg Index Ticker MAHIT
Shares Outstanding as of Apr 25, 2024 5,950,000
Distribution Frequency Monthly
Premium/Discount as of Apr 25, 2024 -0.05
CUSIP 46432F875
Closing Price as of Apr 25, 2024 19.60
30 Day Avg. Volume as of Apr 25, 2024 19,521.00
30 Day Median Bid/Ask Spread as of Apr 25, 2024 0.20%
Daily Volume as of Apr 25, 2024 3,509.00

Portfolio Characteristics

Portfolio Characteristics

Number of Holdings as of Apr 25, 2024 9
Equity Beta (3y) as of Mar 31, 2024 0.52
30 Day SEC Yield as of Mar 31, 2024 5.58%
12m Trailing Yield as of Mar 31, 2024 5.96%
Standard Deviation (3y) as of Mar 31, 2024 10.73%
Unsubsidized 30-Day SEC Yield as of Mar 31, 2024 5.58%
This information must be preceded or accompanied by a current prospectus. For standardized performance, please see the Performance section above.

Sustainability Characteristics

Sustainability Characteristics

Sustainability Characteristics provide investors with specific non-traditional metrics. Alongside other metrics and information, these enable investors to evaluate funds on certain environmental, social and governance characteristics. Sustainability Characteristics do not provide an indication of current or future performance nor do they represent the potential risk and reward profile of a fund. They are provided for transparency and for information purposes only. Sustainability Characteristics should not be considered solely or in isolation, but instead are one type of information that investors may wish to consider when assessing a fund. Learn more


This fund does not seek to follow a sustainable, impact or ESG investment strategy. The metrics do not change the fund’s investment objective or constrain the fund’s investable universe, and there is no indication that a sustainable, impact or ESG investment strategy will be adopted by the fund. For more information regarding the fund's investment strategy, please see the fund's prospectus.


Review the MSCI methodologies behind Sustainability Characteristics using the links below.

MSCI ESG Fund Rating (AAA-CCC) as of Apr 21, 2024 A
MSCI ESG % Coverage as of Apr 21, 2024 90.65%
MSCI ESG Quality Score (0-10) as of Apr 21, 2024 6.0
MSCI ESG Quality Score - Peer Percentile as of Apr 21, 2024 22.08%
Fund Lipper Global Classification as of Apr 21, 2024 Alternative Global Macro
Funds in Peer Group as of Apr 21, 2024 77
MSCI Weighted Average Carbon Intensity (Tons CO2E/$M SALES) as of Apr 21, 2024 205.89
MSCI Weighted Average Carbon Intensity % Coverage as of Apr 21, 2024 81.11%
MSCI Implied Temperature Rise (0-3.0+ °C) as of Apr 21, 2024 > 3.0° C
MSCI Implied Temperature Rise % Coverage as of Apr 21, 2024 73.37%

What is the Implied Temperature Rise (ITR) metric? Learn what the metric means, how it is calculated, and about the assumptions and limitations for this forward-looking climate-related metric.

To address climate change, many of the world's major countries have signed the Paris Agreement. The temperature goal of the Paris Agreement is to limit global warming to well below 2°C above pre-industrial levels, and ideally 1.5 °C, which will help us avoid the most severe impacts of climate change.


What is the ITR metric?

The ITR metric is used to provide an indication of alignment to the temperature goal of the Paris Agreement for a company or a portfolio. ITR employs open source 1.55° C decarbonization pathways derived from the Network of Central Banks and Supervisors for Greening the Financial System (NGFS). These pathways can be regional and sector specific and set a net zero target of 2050, in line with GFANZ (Glasgow Financial Alliance for Net Zero) industry standards. We make use of this feature for all GHG scopes. This enhanced ITR model was implemented by MSCI on February 19, 2024.


How is the ITR metric calculated?

The ITR metric is calculated by looking at the current emissions intensity of companies within the fund's portfolio as well as the potential for those companies to reduce its emissions over time. If emissions in the global economy followed the same trend as the emissions of companies within the fund's portfolio, global temperatures would ultimately rise within this band.


Note, only corporate issuers are covered within the calculation. A summary explanation of MSCI’s methodology and assumptions for its ITR metric can be found here.


Because the ITR metric is calculated in part by considering the potential for a company within the fund’s portfolio to reduce its emissions over time, it is forward-looking and prone to limitations. As a result, BlackRock publishes MSCI’s ITR metric for its funds in temperature range bands. The bands help to underscore the underlying uncertainty in the calculations and the variability of the metric.

Thermometer-style chart of yellow to red temperature bands showing an investment’s position relative to the Paris Agreement temperature goals. Metric data source MSCI

What are the key assumptions and limitations of the ITR metric?

This forward-looking metric is calculated based on a model, which is dependent upon multiple assumptions. Also, there are limitations with the data inputs to the model. Importantly, an ITR metric may vary meaningfully across data providers for a variety of reasons due to methodological choices (e.g., differences in time horizons, the scope(s) of emissions included and portfolio aggregation calculations).

There is not a universally accepted way to calculate an ITR. There is not a universally agreed upon set of inputs for the calculation. At present, availability of input data varies across asset classes and markets. To the extent that data becomes more readily available and more accurate over time, we expect that ITR metric methodologies will evolve and may result in different outputs. Funds may change bands as methodologies evolve. Where data is not available, and / or if data changes, the estimation methods vary, particularly those related to a company’s future emissions.


The ITR metric estimates a fund’s alignment with the Paris Agreement temperature goal based on a credibility assessment of stated decarbonization targets. However, there is no guarantee that these estimates will be reached. The ITR metric is not a real time estimate and may change over time, therefore it is prone to variance and may not always reflect a current estimate.


The ITR metric is not an indication or estimate of a fund’s performance or risk. Investors should not rely on this metric when making an investment decision and instead should refer to a fund’s prospectus and governing documents. This estimate and the associated information is not intended as a recommendation to invest in any fund, nor is it intended to indicate any correlation between a fund’s ITR metric and its future investment performance.

All data is from MSCI ESG Fund Ratings as of Apr 21, 2024, based on holdings as of Mar 31, 2024. As such, the fund’s sustainable characteristics may differ from MSCI ESG Fund Ratings from time to time.

To be included in MSCI ESG Fund Ratings, 65% (or 50% for bond funds and money market funds) of the fund’s gross weight must come from securities with ESG coverage by MSCI ESG Research (certain cash positions and other asset types deemed not relevant for ESG analysis by MSCI are removed prior to calculating a fund’s gross weight; the absolute values of short positions are included but treated as uncovered), the fund’s holdings date must be less than one year old, and the fund must have at least ten securities.

Business Involvement

Business Involvement

Business Involvement metrics can help investors gain a more comprehensive view of specific activities in which a fund may be exposed through its investments.


Business Involvement metrics are not indicative of a fund’s investment objective, and, unless otherwise stated in fund documentation and included within a fund’s investment objective, do not change a fund’s investment objective or constrain the fund’s investable universe. For more information regarding a fund's investment strategy, please see the fund's prospectus.


Review the MSCI methodology behind the Business Involvement metrics, using links below.

MSCI - Controversial Weapons as of Apr 25, 2024 0.13%
MSCI - UN Global Compact Violators as of Apr 25, 2024 0.40%
MSCI - Nuclear Weapons as of Apr 25, 2024 0.09%
MSCI - Thermal Coal as of Apr 25, 2024 1.94%
MSCI - Civilian Firearms as of Apr 25, 2024 0.03%
MSCI - Oil Sands as of Apr 25, 2024 0.04%
MSCI - Tobacco as of Apr 25, 2024 0.82%

Business Involvement Coverage as of Apr 25, 2024 75.41%
Percentage of Fund not covered as of Apr 25, 2024 24.59%
BlackRock business involvement exposures as shown above for Thermal Coal and Oil Sands are calculated and reported for companies that generate more than 5% of revenue from thermal coal or oil sands as defined by MSCI ESG Research. For the exposure to companies that generate any revenue from thermal coal or oil sands (at a 0% revenue threshold), as defined by MSCI ESG Research, it is as follows: Thermal Coal 2.76% and for Oil Sands 0.78%.

Business Involvement metrics are calculated by BlackRock using data from MSCI ESG Research which provides a profile of each company’s specific business involvement. BlackRock leverages this data to provide a summed up view across holdings and translates it to a fund's market value exposure to the listed Business Involvement areas above.


Business Involvement metrics are designed only to identify companies where MSCI has conducted research and identified as having involvement in the covered activity. As a result, it is possible there is additional involvement in these covered activities where MSCI does not have coverage. This information should not be used to produce comprehensive lists of companies without involvement. Business Involvement metrics are only displayed if at least 1% of the fund’s gross weight includes securities covered by MSCI ESG Research.

Fees

Fees

as of current prospectus
Management Fee 0.25%
Acquired Fund Fees and Expenses 0.36%
Other Expenses 0.00%
Expense Ratio 0.61%
Fee Waivers 0.01%
Net Expense Ratio 0.60%

The amounts shown above are as of the current prospectus, but may not include extraordinary expenses incurred by the Fund over the past fiscal year. Amounts are rounded to the nearest basis point, which in some cases may be "0.00".

Holdings

Holdings

Ticker Name Sector Asset Class Market Value Weight (%) Notional Value Shares Par Value CUSIP ISIN SEDOL Price Location Exchange Currency Duration YTM (%) FX Rate Maturity Coupon (%) Yield to Call (%) Yield to Worst (%) Real Duration Real YTM (%) Accrual Date Effective Date
Ticker Name Sector Asset Class Market Value Weight (%) Notional Value Shares Par Value CUSIP ISIN SEDOL Price Location Exchange Currency Duration YTM (%) FX Rate Maturity Coupon (%) Mod. Duration Yield to Call (%) Yield to Worst (%) Real Duration Real YTM (%) Accrual Date Effective Date
Holdings are subject to change.



The values shown for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Holdings data shown reflects the investment book of record, which may differ from the accounting book of record used for the purposes of determining the Net Assets of the Fund. Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The calculated values may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent date for which a price is available and may not necessarily be as of the date shown above.

Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures.

Exposure Breakdowns

Exposure Breakdowns

as of Apr 25, 2024

% of Market Value

Type Fund
Geographic exposure relates principally to the domicile of the issuers of the securities held in the product, added together and then expressed as a percentage of the product's total holdings, excluding currency holdings. Percentages do not reflect fair valuation. In some instances, percentages may reflect the location where the issuer of the securities carries out much of their business. Bonds are included in U.S. bond indices when the securities are denominated in U.S. dollars regardless of the domicile of the issuer.
as of Apr 25, 2024

% of Market Value

Type Fund
Allocations are subject to change.

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Literature

Literature

 
 The content contained herein is owned or licensed by BlackRock and/or its third-party information providers and is protected by applicable copyrights, trademarks, service marks, and/or other intellectual property rights. Such content is solely for your personal, non-commercial use. Accordingly, you may not copy, distribute, modify, post, frame or deep link this content. You may download material displayed on this Website for your personal use provided you also retain all copyright and other proprietary notices contained on the materials. Modification or use of the materials for any other purpose violates BlackRock's intellectual property rights. THE PERFORMANCE QUOTED REPRESENTS PAST PERFORMANCE AND DOES NOT GUARANTEE FUTURE RESULTS. INVESTMENT RETURN AND PRINCIPAL VALUE OF AN INVESTMENT WILL FLUCTUATE SO THAT AN INVESTOR'S SHARES, WHEN SOLD OR REDEEMED, MAY BE WORTH MORE OR LESS THAN THE ORIGINAL COST. CURRENT PERFORMANCE MAY BE LOWER OR HIGHER THAN THE PERFORMANCE QUOTED. PERFORMANCE DATA CURRENT TO THE MOST RECENT MONTH END MAY BE OBTAINED BY VISITIN WWW.ISHARES.COM OR WWW.BLACKROCK.COM. For standardized performance, click here. Holdings subject to change. Past distributions not indicative of future distributions. The published NAV uses systematic fair value to price certain foreign assets after the close of the local markets to the price that might have prevailed as of 4:00 p.m., Eastern time, when the Fund is priced. The Non-Fair Value (NFV) NAV will instead use local closing market prices for those foreign assets and foreign exchange rates as of 4:00 p.m., London time. NFV NAVs generally exclude the impact of systematic fair value and currency rate differences, however under the following limited circumstances may incorporate certain fair value adjustments including: when assets have no price or are suspended on a prolonged basis; where derivatives trade outside of the U.S.; if trading in currency is constrained; and for valuing accounting accruals. NFV NAV is displayed for informational purposes only. Investors cannot transact with the Fund at NFV NAV. The values for “price” shown herein generally represent a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The values shown herein for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of the vendor price and may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent practicable date and may not necessarily be as of the date shown above.

Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures.
THIS INFORMATION MUST BE PRECEEDED OR ACCOMPANIED BY A PROSPECTUS. INVESTORS SHOULD READ AND CONSIDER IT CAREFULLY BEFORE INVESTING. INVESTING INVOLVE RISK, INCLUDING POSSIBLE LOSS OF PRINCIPAL. For a current prospectus, click here. This information should not be relied upon as research, investment advice, or a recommendation regarding any products, strategies, or any security in particular. This material is strictly for illustrative, educational, or informational purposes and is subject to change. The iShares Funds are distributed by BlackRock Investments, LLC (together with its affiliates, “BlackRock”). The iShares Funds are not sponsored, endorsed, issued, sold or promoted by Barclays, Bloomberg Finance L.P., BlackRock Index Services, LLC, Cohen & Steers Capital Management, Inc., European Public Real Estate Association (“EPRA® ”), FTSE International Limited (“FTSE”), ICE Data Services, LLC, India Index Services & Products Limited, JPMorgan Chase & Co., Japan Exchange Group, MSCI Inc., Markit Indices Limited, Morningstar, Inc., The NASDAQ OMX Group, Inc., National Association of Real Estate Investment Trusts (“NAREIT”), New York Stock Exchange, Inc., Russell or S&P Dow Jones Indices LLC. None of these companies make any representation regarding the advisability of investing in the Funds. With the exception of BlackRock Index Services, LLC, who is an affiliate, BlackRock Investments, LLC is not affiliated with the companies listed above. Neither FTSE nor NAREIT makes any warranty regarding the FTSE NAREIT Equity REITS Index, FTSE NAREIT All Residential Capped Index or FTSE NAREIT All Mortgage Capped Index; all rights vest in NAREIT. Neither FTSE nor NAREIT makes any warranty regarding the FTSE EPRA/NAREIT Developed Real Estate ex-U.S. Index, FTSE EPRA/NAREIT Developed Europe Index or FTSE EPRA/NAREIT Global REIT Index; all rights vest in FTSE, NAREIT and EPRA.“FTSE®” is a trademark of London Stock Exchange Group companies and is used by FTSE under license. © 2024 BlackRock, Inc. All rights reserved. iSHARES and BLACKROCK are registered trademarks of BlackRock, Inc., or its subsidiaries. All other marks are the property of their respective owners. ICRMH0421U/S-1620308
25-Apr-2024 iShares Morningstar Multi-Asset Income ETF Inception Date Apr 03, 2012 Fund Holdings as of Apr 25, 2024 Number of Securities (excluding cash and derivatives) 9.00 Shares Outstanding 5,950,000.00 Ticker Name Sector Asset Class Market Value Weight (%) Notional Value Shares Par Value CUSIP ISIN SEDOL Price Location Exchange Currency Duration YTM (%) FX Rate Maturity Coupon (%) Mod. Duration Yield to Call (%) Yield to Worst (%) Real Duration Real YTM (%) Accrual Date Effective Date NLY ANNALY CAPITAL MANAGEMENT REIT INC Financials Equity 934796.11 0.8017240863828169 934796.11 50016 50016 035710839 US0357108390 BPMQ7X2 18.69 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- XTSLA BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 781696.44 0.6704187763336974 781696.44 781696 781696 066922477 US0669224778 6922477 1 United States -- USD 0.11 5.12 1 -- 5.33 0.12 -- 5.12 0.12 5.12 -- Feb 04, 2009 PETR4 PETROLEO BRASILEIRO PREF SA Energy Equity 762648.9 0.6540827310282242 762648.9 93347 93347 S26845321 BRPETRACNPR6 2684532 8.17 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Aug 28, 1991 AGNC AGNC INVESTMENT REIT CORP Financials Equity 640113.75 0.5489909573969332 640113.75 69276 69276 00123Q104 US00123Q1040 BYYHJL8 9.24 United States NASDAQ USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- STWD STARWOOD PROPERTY TRUST REIT INC Financials Equity 563502.14 0.4832853212945678 563502.14 29487 29487 85571B105 US85571B1052 B3PQ520 19.11 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Aug 12, 2009 RITM RITHM CAPITAL CORP Financials Equity 536147.76 0.45982494840740595 536147.76 48215 48215 64828T201 US64828T2015 BRJ9GW0 11.12 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- BATS BRITISH AMERICAN TOBACCO Consumer Staples Equity 507750.51 0.43547016230112395 507750.51 17395 17395 S02875805 GB0002875804 0287580 29.19 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Jan 02, 1985 VALE3 CIA VALE DO RIO DOCE SH Materials Equity 456309.87 0.39135230636893853 456309.87 37931 37931 S21962865 BRVALEACNOR0 2196286 12.03 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Nov 01, 1991 TTE TOTALENERGIES Energy Equity 430212.18 0.3689697285553103 430212.18 5901 5901 -- FR0000120271 B15C557 72.91 France Nyse Euronext - Euronext Paris USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 02, 1985 BHP BHP GROUP LTD Materials Equity 415757.16 0.35657243937195526 415757.16 14141 14141 S61446902 AU000000BHP4 6144690 29.4 Australia Asx - All Markets USD 0 -- 1.538579890760828 -- 0 0 -- -- 0 -- -- Jan 02, 1985 WFC WELLS FARGO & COMPANY SERIES L Financial Institutions Equity 378813.06 0.32488748208246093 378813.06 328 328 949746804 US9497468044 B3KRSW9 1154.62 United States New York Stock Exchange Inc. USD 11.53 6.53 1 Dec 31, 2079 7.5 15.31 -- 6.53 15.31 6.53 Apr 17, 2008 Apr 17, 2008 VEDL VEDANTA LTD Materials Equity 375903.69 0.3223922727204969 375903.69 82255 82255 S61360400 INE205A01025 6136040 4.57 India National Stock Exchange Of India USD 0 -- 83.32625 -- 0 0 -- -- 0 -- -- Mar 08, 1989 MBG MERCEDES-BENZ GROUP N AG Consumer Discretionary Equity 370997.16 0.31818420719746016 370997.16 4730 4730 S55290274 DE0007100000 5529027 78.44 Germany Xetra USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 02, 1985 939 CHINA CONSTRUCTION BANK CORP H Financials Equity 360064.78 0.30880809590032415 360064.78 562601 562601 -- CNE1000002H1 B0LMTQ3 0.64 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Oct 27, 2005 RIO RIO TINTO PLC Materials Equity 346338.12 0.29703548171220184 346338.12 5155 5155 S07188758 GB0007188757 0718875 67.19 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Oct 23, 1987 CEZ CEZ Utilities Equity 335489.49 0.2877311982623539 335489.49 9283 9283 S56240302 CZ0005112300 5624030 36.14 Czech Republic Prague Stock Exchange USD 0 -- 23.49435 -- 0 0 -- -- 0 -- -- Nov 03, 1993 VOD VODAFONE GROUP PLC Communication Equity 324465.42 0.27827644940918395 324465.42 377285 377285 -- GB00BH4HKS39 BH4HKS3 0.86 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Oct 26, 1988 ENEL ENEL Utilities Equity 322984.25 0.27700612997554014 322984.25 49766 49766 S71445696 IT0003128367 7144569 6.49 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Nov 02, 1999 2603 EVERGREEN MARINE CORP (TAIWAN) LTD Industrials Equity 320754.62 0.2750938968633145 320754.62 57794 57794 S63245005 TW0002603008 6324500 5.55 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Sep 21, 1987 TNOTE TREASURY NOTE Treasuries Fixed Income 311336.56 0.26701653596265934 311336.56 3143 3143 91282CFW6 US91282CFW64 BNNGQR4 99.07 United States -- USD 1.46 5.13 1 Nov 15, 2025 4.5 1.45 -- 5.13 1.45 5.13 Nov 15, 2022 Nov 15, 2022 C CITIGROUP CAPITAL XIII Financial Institutions Equity 306063.22 0.2624938773331899 306063.22 10288 10288 173080201 US1730802014 B3Z1BZ0 29.75 United States New York Stock Exchange Inc. USD 0.22 10.24 1 Oct 30, 2040 11.95 0 -- -5 2.12 -5 Oct 05, 2010 Oct 05, 2010 TNOTE TREASURY NOTE Treasuries Fixed Income 288161.7 0.24714071142531752 288161.7 2934 2934 91282CGL9 US91282CGL90 BQXLPS4 98.2 United States -- USD 1.71 5.05 1 Feb 15, 2026 4 1.71 -- 5.05 1.71 5.05 Feb 15, 2023 Feb 15, 2023 INGA ING GROEP NV Financials Equity 282190.58 0.24201960461339234 282190.58 17928 17928 -- NL0011821202 BZ57390 15.74 Netherlands Euronext Amsterdam USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Mar 11, 1985 ALB ALBEMARLE CORP Industrial Equity 278927.12 0.239220711401324 278927.12 5253 5253 012653200 US0126532003 BPCTR42 53.1 United States Non-Nms Quotation Service (Nnqs) USD 0.31 13.65 1 Mar 01, 2027 7.25 2.55 -- 13.65 2.55 13.65 Mar 06, 2024 Mar 06, 2024 3988 BANK OF CHINA LTD H Financials Equity 273075.32 0.2342019389026933 273075.32 606834 606834 -- CNE1000001Z5 B154564 0.45 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jun 01, 2006 TEF TELEFONICA SA Communication Equity 270876.26 0.23231592402678522 270876.26 60871 60871 879382109 ES0178430E18 5732524 4.45 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 02, 1985 ENI ENI Energy Equity 269385.64 0.23103749983902952 269385.64 16486 16486 S71450563 IT0003132476 7145056 16.34 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Nov 29, 1995 IBRD INTERNATIONAL BANK FOR RECONSTRUCT MTN Supranational Fixed Income 266911.87 0.2289158810475572 266911.87 2657 2657 459058JF1 US459058JF11 BKXBCW5 100.47 Supranational -- USD 0.02 5.71 1 Aug 19, 2027 6.67 0.06 -- 5.71 0.06 5.71 Aug 19, 2020 Aug 19, 2020 ASII ASTRA INTERNATIONAL Industrials Equity 264522.56 0.22686669903198875 264522.56 853299 853299 -- ID1000122807 B800MQ5 0.31 Indonesia Indonesia Stock Exchange USD 0 -- 16187.5 -- 0 0 -- -- 0 -- -- Apr 06, 1990 1398 INDUSTRIAL AND COMMERCIAL BANK OF Financials Equity 262106.32 0.22479442061131624 262106.32 494540 494540 -- CNE1000003G1 B1G1QD8 0.53 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Oct 27, 2006 IBRD INTERNATIONAL BANK FOR RECONSTRUCT Supranational Fixed Income 255544.16 0.21916641074433266 255544.16 2546 2546 459058KN2 US459058KN26 -- 100.36 Supranational -- USD 0.02 5.72 1 Jan 12, 2027 5.69 0.21 -- 5.72 0.21 5.72 Jan 12, 2023 Jan 12, 2023 ABR ARBOR REALTY TRUST REIT INC Financials Equity 254683.3 0.21842809766234572 254683.3 20310 20310 038923108 US0389231087 B00N2S0 12.54 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Apr 07, 2004 FMG FORTESCUE LTD Materials Equity 249771.32 0.2142153579689481 249771.32 15523 15523 S60862539 AU000000FMG4 6086253 16.09 Australia Asx - All Markets USD 0 -- 1.538579890760828 -- 0 0 -- -- 0 -- -- Oct 30, 1989 NG. NATIONAL GRID PLC Utilities Equity 247401.92 0.21218325168400065 247401.92 18915 18915 -- GB00BDR05C01 BDR05C0 13.08 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Dec 11, 1995 IMB IMPERIAL BRANDS PLC Consumer Staples Equity 246686.13 0.2115693572982057 246686.13 10805 10805 S04544920 GB0004544929 0454492 22.83 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Oct 01, 1996 BXMT BLACKSTONE MORTGAGE TRUST REIT CLA Financials Equity 238919.14 0.2049080298760211 238919.14 13536 13536 09257W100 US09257W1009 B94QHZ0 17.65 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Nov 05, 1984 EBRD EUROPEAN BANK FOR RECONSTRUCTION A MTN Supranational Fixed Income 231487.03 0.1985339109254763 231487.03 2316 2316 29874QEN0 US29874QEN07 BMCRWB7 99.95 Supranational -- USD 0.01 5.65 1 Apr 14, 2026 7.87 0.22 -- 5.65 0.22 5.65 Apr 14, 2021 Apr 14, 2021 ARI APOLLO COMMERCIAL REAL ESTATE FINA Financials Equity 223208.97 0.19143426639387662 223208.97 20802 20802 03762U105 US03762U1051 B4JTYX6 10.73 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Sep 24, 2009 MAYBANK MALAYAN BANKING Financials Equity 217285.35 0.1863538977639954 217285.35 105993 105993 S65563256 MYL1155OO000 6556325 2.05 Malaysia Bursa Malaysia USD 0 -- 4.7775 -- 0 0 -- -- 0 -- -- Jan 02, 1985 BAC BANK OF AMERICA CORP Financial Institutions Equity 214379.3 0.18386153578654474 214379.3 186 186 060505682 US0605056821 B2PB3Z7 1152.49 United States New York Stock Exchange Inc. USD 5.93 6.44 1 Dec 31, 2079 7.25 15.54 -- 6.44 15.54 6.44 Jan 29, 2008 Jan 29, 2008 ADRO ADARO ENERGY INDONESIA Energy Equity 212263.4 0.18204684274682145 212263.4 1326646 1326646 -- ID1000111305 B3BQFC4 0.16 Indonesia Indonesia Stock Exchange USD 0 -- 16187.5 -- 0 0 -- -- 0 -- -- Jul 16, 2008 VOW3 VOLKSWAGEN NON-VOTING PREF AG Consumer Discretionary Equity 212198.67 0.18199132732526974 212198.67 1667 1667 S54971684 DE0007664039 5497168 127.27 Germany Xetra USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- Jan 02, 1990 Jan 02, 1990 TNOTE TREASURY NOTE Treasuries Fixed Income 211496.62 0.1813892169946597 211496.62 2152 2152 91282CGA3 US91282CGA36 BL6JPN5 98.29 United States -- USD 1.54 5.1 1 Dec 15, 2025 4 1.54 -- 5.1 1.54 5.1 Dec 15, 2022 Dec 15, 2022 IBRD INTERNATIONAL BANK FOR RECONSTRUCT Supranational Fixed Income 208259.27 0.17861271691802652 208259.27 2079 2079 459058KK8 US459058KK86 BQB6FZ8 100.18 Supranational -- USD 0.02 5.71 1 Sep 23, 2026 5.99 0.16 -- 5.71 0.16 5.71 Sep 23, 2022 Sep 23, 2022 APO APOLLO GLOBAL MANAGEMENT INC Financial Institutions Equity 208085.04 0.1784632892662892 208085.04 3286 3286 03769M304 US03769M3043 BQVW6Z3 63.32 United States -- USD 0.25 10.66 1 Jul 31, 2026 6.75 2.13 -- 10.66 2.13 10.66 Aug 11, 2023 Aug 11, 2023 SQM.B SOCIEDAD QUIMICA Y MINERA DE CHILE Industrials Equity 205737.43 0.1764498710863257 205737.43 4732 4732 S27183011 CLP8716X1082 2718301 43.48 Chile Santiago Stock Exchange USD 0 -- 949.8 -- 0 0 -- -- 0 -- -- Aug 03, 1993 RC READY CAPITAL CORP Financials Equity 204211.98 0.17514157509055753 204211.98 23473 23473 75574U101 US75574U1016 BDFS3G6 8.7 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- IBRD INTERNATIONAL BANK FOR RECONSTRUCT Supranational Fixed Income 198297.96 0.17006943986167888 198297.96 1979 1979 459058JJ3 US459058JJ33 -- 100.19 Supranational -- USD 0.02 5.65 1 Sep 18, 2025 5.64 0.15 -- 5.65 0.15 5.65 Sep 18, 2020 Sep 18, 2020 IADB INTER-AMERICAN DEVELOPMENT BANK MTN Supranational Fixed Income 197200.37 0.16912809625684413 197200.37 1975 1975 4581X0DY1 US4581X0DY17 BNNWBM2 99.86 Supranational -- USD 0.02 5.71 1 Sep 16, 2026 5.5 0.14 -- 5.71 0.14 5.71 Sep 16, 2021 Sep 16, 2021 CABK CAIXABANK SA Financials Equity 195597.49 0.1677533927361146 195597.49 36424 36424 -- ES0140609019 B283W97 5.37 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Oct 11, 2007 UNTR UNITED TRACTORS Energy Equity 195580.09 0.1677384696967974 195580.09 130387 130387 S62308457 ID1000058407 6230845 1.5 Indonesia Indonesia Stock Exchange USD 0 -- 16187.5 -- 0 0 -- -- 0 -- -- Mar 26, 1990 BNS BANK OF NOVA SCOTIA Financials Equity 192543.01 0.165133730372121 192543.01 4179 4179 064149107 CA0641491075 2076281 46.07 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Dec 18, 1989 TNOTE TREASURY NOTE Treasuries Fixed Income 191306.04 0.16407284807648015 191306.04 2042 2042 91282CAJ0 US91282CAJ09 BMV9TX5 93.69 United States -- USD 1.32 5.15 1 Aug 31, 2025 0.25 1.31 -- 5.15 1.31 5.15 Aug 31, 2020 Aug 31, 2020 TNOTE TREASURY NOTE Treasuries Fixed Income 190093.17 0.1630326350479395 190093.17 1939 1939 91282CGE5 US91282CGE57 BNNMQW7 98.02 United States -- USD 1.63 5.09 1 Jan 15, 2026 3.88 1.62 -- 5.09 1.62 5.09 Jan 15, 2023 Jan 17, 2023 TWO TWO HARBORS INVESTMENT CORP Financials Equity 187780.84 0.16104947461666044 187780.84 15193 15193 90187B804 US90187B8046 BP9S504 12.36 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- NEEXU NEXTERA ENERGY CORPORATE UNITS I Utility Equity 186359.4 0.1598303823748795 186359.4 4572 4572 65339F713 US65339F7134 BQV3827 40.76 United States Non-Nms Quotation Service (Nnqs) USD 0.14 25.04 1 Sep 01, 2025 6.93 1.2 -- 25.04 1.2 25.04 Sep 19, 2022 Sep 19, 2022 3034 NOVATEK MICROELECTRONICS CORP Information Technology Equity 186340.82 0.15981444731335578 186340.82 10171 10171 S63463335 TW0003034005 6346333 18.32 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Apr 24, 2001 ORA ORANGE SA Communication Equity 185728.91 0.15928964518757616 185728.91 16539 16539 S51761773 FR0000133308 5176177 11.23 France Nyse Euronext - Euronext Paris USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- Jan 01, 1998 Oct 20, 1997 PFBCOLOM BANCOLOMBIA PREF SA Financials Equity 183132.81 0.1570631105685367 183132.81 23359 23359 -- COB07PA00086 BJ62LW1 7.84 Colombia Bolsa De Valores De Colombia USD 0 -- 3970.13 -- 0 0 -- -- 0 -- -- Jan 27, 2000 1088 CHINA SHENHUA ENERGY LTD H Energy Equity 183074.33 0.15701295543409602 183074.33 44652 44652 -- CNE1000002R0 B09N7M0 4.1 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jun 15, 2005 386 CHINA PETROLEUM AND CHEMICAL CORP Energy Equity 180994.91 0.1552295493181825 180994.91 296713 296713 S62918198 CNE1000002Q2 6291819 0.61 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Oct 19, 2000 PMT PENNYMAC MORTGAGE INVESTMENT TRUST Financials Equity 180213.85 0.15455967638202944 180213.85 12745 12745 70931T103 US70931T1034 B3V8JL7 14.14 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Jul 30, 2009 LADR LADDER CAPITAL CORP CLASS A Financials Equity 179332.66 0.15380392735812767 179332.66 16605 16605 505743104 US5057431042 BJ367P1 10.8 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- JPM JPMORGAN CHASE & CO Financial Institutions Equity 173297.36 0.14862777682991654 173297.36 6893 6893 48128B648 US48128B6487 BJ2KBT6 25.14 United States -- USD 0.8 6.02 1 Dec 31, 2079 6 16.6 -- 6.02 15.87 6.02 Jan 24, 2019 Jan 24, 2019 COALINDIA COAL INDIA LTD Energy Equity 170982.58 0.14664251516608995 170982.58 31489 31489 -- INE522F01014 B4Z9XF5 5.43 India National Stock Exchange Of India USD 0 -- 83.32625 -- 0 0 -- -- 0 -- -- Nov 04, 2010 CMIG4 CIA ENERGETICA DE MINAS GERAIS PRE Utilities Equity 169207.24 0.14511990202693295 169207.24 69347 69347 -- BRCMIGACNPR3 B1YBRG0 2.44 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Jun 07, 1994 ZURN ZURICH INSURANCE GROUP AG Financials Equity 168648.17 0.14464041791250498 168648.17 348 348 S59838169 CH0011075394 5983816 484.43 Switzerland SIX Swiss Exchange USD 0 -- 0.91365 -- 0 0 -- -- 0 -- -- May 16, 1985 SSE SSE PLC Utilities Equity 166380.35 0.142695431301916 166380.35 8069 8069 S07908734 GB0007908733 0790873 20.62 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Mar 29, 1993 EXX EXXARO RESOURCES LTD Energy Equity 165945.43 0.14232242393066194 165945.43 18196 18196 S64188014 ZAE000084992 6418801 9.12 South Africa Johannesburg Stock Exchange USD 0 -- 19.06 -- 0 0 -- -- 0 -- -- Nov 26, 2001 TNOTE TREASURY NOTE Treasuries Fixed Income 161736.15 0.1387123520377339 161736.15 1659 1659 91282CEQ0 US91282CEQ06 BPSLLX9 97.51 United States -- USD 1.01 5.2 1 May 15, 2025 2.75 1.01 -- 5.2 1.01 5.2 May 15, 2022 May 16, 2022 OPAP GREEK ORGANISATION OF FOOTBALL PRO Consumer Discretionary Equity 159907.16 0.13714372619401563 159907.16 9169 9169 S71072508 GRS419003009 7107250 17.44 Greece Athens Exchange S.A. Cash Market USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Apr 25, 2001 T AT&T INC Industrial Equity 158505.33 0.13594145238907435 158505.33 8001 8001 00206R706 US00206R7061 BLL1ZY7 19.81 United States -- USD 14.33 6.08 1 Dec 31, 2079 4.75 16.45 -- 6.08 15.66 6.08 Feb 18, 2020 Feb 18, 2020 MFA MFA FINANCIAL INC Financials Equity 158128.23 0.13561803410594203 158128.23 15003 15003 55272X607 US55272X6076 BMZM2X1 10.54 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- FORTUM FORTUM Utilities Equity 156525.94 0.13424383659631575 156525.94 12078 12078 S55795504 FI0009007132 5579550 12.96 Finland Nasdaq Omx Helsinki Ltd. USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Dec 18, 1998 JPM JPMORGAN CHASE & CO Financial Institutions Equity 156494.99 0.13421729245454184 156494.99 6308 6308 48128B655 US48128B6552 BFY34D0 24.81 United States New York Stock Exchange Inc. USD 2.29 5.85 1 Dec 31, 2079 5.75 16.31 -- 5.85 16.31 5.85 Sep 21, 2018 Sep 21, 2018 1308 SITC INTERNATIONAL HOLDINGS LTD Industrials Equity 155665.28 0.13350569504351636 155665.28 70757 70757 -- KYG8187G1055 B61X7R5 2.2 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Oct 06, 2010 ASIA ASIAN DEVELOPMENT BANK MTN Supranational Fixed Income 154949.95 0.1328921951748528 154949.95 1526 1526 04517PBE1 US04517PBE16 -- 101.53 Supranational -- USD 0.03 5.73 1 Jun 16, 2026 6.61 0.14 -- 5.73 0.14 5.73 Jun 16, 2021 Jun 16, 2021 1 CK HUTCHISON HOLDINGS LTD Industrials Equity 153913.22 0.13200304790179057 153913.22 31540 31540 -- KYG217651051 BW9P816 4.88 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- -- FBRT FRANKLIN BSP REALTY TRUST INC Financials Equity 153390.56 0.13155479067595677 153390.56 12193 12193 35243J101 US35243J1016 BN14T59 12.58 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Oct 18, 2021 ARI AFRICAN RAINBOW MINERAL LTD Materials Equity 153125.07 0.13132709425593875 153125.07 15359 15359 S60411220 ZAE000054045 6041122 9.97 South Africa Johannesburg Stock Exchange USD 0 -- 19.06 -- 0 0 -- -- 0 -- -- Jan 02, 1985 VAPORES COMPANIA SUDAMERICANA DE VAPORES S Industrials Equity 153116.88 0.13132007013570843 153116.88 1913961 1913961 S21963384 CLP3064M1019 2196338 0.08 Chile Santiago Stock Exchange USD 0 -- 949.8 -- 0 0 -- -- 0 -- -- Jan 04, 1993 1288 AGRICULTURAL BANK OF CHINA LTD H Financials Equity 152777.72 0.13102919093945503 152777.72 339506 339506 -- CNE100000Q43 B60LZR6 0.45 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jul 16, 2010 TNOTE TREASURY NOTE Treasuries Fixed Income 152393.64 0.13069978628767712 152393.64 1543 1543 91282CFP1 US91282CFP14 BPTH5G7 98.77 United States -- USD 1.4 5.13 1 Oct 15, 2025 4.25 1.41 -- 5.13 1.41 5.13 Oct 15, 2022 Oct 17, 2022 KBN KOMMUNALBANKEN AS 144A Owned No Guarantee Fixed Income 150882.49 0.129403754628819 150882.49 1489 1489 50048MDE7 US50048MDE75 -- 101.33 Norway -- USD 0.03 5.83 1 Jun 17, 2026 6.33 0.14 -- 5.83 0.14 5.83 Nov 17, 2021 Nov 17, 2021 ACA CREDIT AGRICOLE SA Financials Equity 150641.41 0.1291969933461419 150641.41 9713 9713 S72626104 FR0000045072 7262610 15.51 France Nyse Euronext - Euronext Paris USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Dec 14, 2001 BAAKOMB KOMERCNI BANK Financials Equity 149354.51 0.12809328878882828 149354.51 4073 4073 S45194495 CZ0008019106 4519449 36.67 Czech Republic Prague Stock Exchange USD 0 -- 23.49435 -- 0 0 -- -- 0 -- -- Nov 03, 1993 TNOTE TREASURY NOTE Treasuries Fixed Income 148006.62 0.12693727640577018 148006.62 1519 1519 91282CEU1 US91282CEU18 BQB7JY8 97.46 United States -- USD 1.09 5.2 1 Jun 15, 2025 2.88 1.09 -- 5.2 1.09 5.2 Jun 15, 2022 Jun 15, 2022 JPM JPMORGAN CHASE NON-CUMULATIVE PREF Financial Institutions Equity 144762.91 0.12415532170097279 144762.91 6877 6877 48128B549 US48128B5497 BND7XB0 21.05 United States New York Stock Exchange Inc. USD 14.14 5.54 1 Dec 31, 2079 4.63 17.29 -- 5.54 17.29 5.54 May 20, 2021 May 20, 2021 BAMI BANCO BPM Financials Equity 144282.05 0.12374291407533768 144282.05 22061 22061 -- IT0005218380 BYMD5K9 6.54 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- -- IADB INTER-AMERICAN DEVELOPMENT BANK MTN Supranational Fixed Income 143363.42 0.12295505478752587 143363.42 1434 1434 4581X0DT2 US4581X0DT22 BLH1X69 99.99 Supranational -- USD 0.02 5.71 1 Feb 10, 2026 5.69 0.04 -- 5.71 0.04 5.71 Feb 10, 2021 Feb 10, 2021 HINDZINC HINDUSTAN ZINC LTD Materials Equity 143218 0.12283033591525565 143218 28991 28991 S61397261 INE267A01025 6139726 4.94 India National Stock Exchange Of India USD 0 -- 83.32625 -- 0 0 -- -- 0 -- -- Feb 21, 1995 TNOTE TREASURY NOTE Treasuries Fixed Income 142874.7 0.1225359060648199 142874.7 1559 1559 91282CCF6 US91282CCF68 BM9BQT8 91.64 United States -- USD 2.03 4.99 1 May 31, 2026 0.75 2.03 -- 4.99 2.03 4.99 May 31, 2021 Jun 01, 2021 NWG NATWEST GROUP PLC Financials Equity 142764.27 0.12244119622391218 142764.27 39438 39438 -- GB00BM8PJY71 BM8PJY7 3.62 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- -- JPM JPMORGAN CHASE AND CO DS REPSTG T Financial Institutions Equity 142650.01 0.12234320159906281 142650.01 7434 7434 48128B523 US48128B5232 BN75VC7 19.19 United States New York Stock Exchange Inc. USD 15.76 5.52 1 Dec 31, 2079 4.2 17.47 -- 5.52 17.47 5.52 Jul 29, 2021 Jul 29, 2021 1171 YANKUANG ENERGY GROUP COMPANY LTD Energy Equity 141901.11 0.12170091055626836 141901.11 64501 64501 S61098935 CNE1000004Q8 6109893 2.2 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- Jan 01, 1998 Apr 01, 1998 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 140077.69 0.12013706180042345 140077.69 1397 1397 06051GHB8 US06051GHB86 BFWSRG1 100.3 United States -- USD 0.03 6.33 1 Feb 05, 2026 6.3 0.02 -- 6.14 0.02 6.14 Feb 05, 2018 Feb 05, 2018 IADB INTER-AMERICAN DEVELOPMENT BANK Supranational Fixed Income 139747.71 0.11985405579387878 139747.71 1401 1401 4581X0DU9 US4581X0DU94 BNNLY86 99.76 Supranational -- USD 0.01 5.82 1 Mar 20, 2028 5.6 0.15 -- 5.82 0.15 5.82 Mar 19, 2021 Mar 19, 2021 GS GOLDMAN SACHS GROUP INC Financial Institutions Equity 139246.46 0.11942416076757258 139246.46 6172 6172 38144G804 US38144G8042 B15CKS5 22.56 United States New York Stock Exchange Inc. USD 0.34 7.22 1 Dec 31, 2079 6.23 15.68 -- 7.22 15.68 7.22 May 24, 2006 May 24, 2006 GOAU4 METALURGICA GERDAU PREF SA Materials Equity 139049.8 0.11925549611745112 139049.8 69179 69179 S26488627 BRGOAUACNPR8 2648862 2.01 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Dec 09, 1992 EIB EUROPEAN INVESTMENT BANK 144A Supranational Fixed Income 138392.47 0.11869173971317809 138392.47 1365 1365 29878TFC3 US29878TFC36 -- 101.39 Supranational -- USD 0.02 5.65 1 Jan 21, 2026 6.31 0.23 -- 5.65 0.23 5.65 Jan 21, 2021 Jan 21, 2021 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 138283.07 0.11859791324758627 138283.07 1372 1372 38141GXD1 US38141GXD14 BFZTKX9 100.79 United States -- USD 0.06 6.49 1 May 15, 2026 6.74 0.05 -- 6.11 0.05 6.11 May 17, 2018 May 17, 2018 CIM CHIMERA INVESTMENT CORP Financials Equity 138126.63 0.11846374311708185 138126.63 33284 33284 16934Q208 US16934Q2084 BVZCNC0 4.15 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- TNOTE TREASURY NOTE (2OLD) Treasuries Fixed Income 138070.53 0.11841562917997306 138070.53 1391 1391 91282CKB6 US91282CKB62 BMG7NL0 99.27 United States -- USD 1.74 5.04 1 Feb 28, 2026 4.63 1.74 -- 5.04 1.74 5.04 Feb 29, 2024 Feb 29, 2024 T AT&T INC Industrial Equity 136959.19 0.11746249294349399 136959.19 6047 6047 00206R300 US00206R3003 BF545Q2 22.65 United States -- USD 12 5.99 1 Nov 01, 2066 5.35 15.3 -- 5.99 15.3 5.99 Oct 27, 2017 Oct 27, 2017 TNOTE TREASURY NOTE Treasuries Fixed Income 136928.35 0.11743604314277323 136928.35 1401 1401 91282CJT9 US91282CJT99 BQPG6W8 97.75 United States -- USD 2.52 4.89 1 Jan 15, 2027 4 2.52 -- 4.89 2.52 4.89 Jan 15, 2024 Jan 16, 2024 BBSE3 BB SEGURIDADE SA Financials Equity 135983.3 0.11662552484928558 135983.3 21968 21968 -- BRBBSEACNOR5 B9N3SQ0 6.19 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Apr 29, 2013 WFC WELLS FARGO & COMPANY Financial Institutions Equity 135030.91 0.11580871143461473 135030.91 6600 6600 94988U151 US94988U1512 BJVB6B7 20.46 United States -- USD 14.31 5.84 1 Dec 31, 2079 4.75 17.12 -- 5.84 16.34 5.84 Jan 27, 2020 Jan 27, 2020 IADB INTER-AMERICAN DEVELOPMENT BANK MTN Supranational Fixed Income 134769.7 0.11558468573921035 134769.7 1345 1345 4581X0EG9 US4581X0EG91 BNDSFS4 100.18 Supranational -- USD 0.02 5.78 1 Oct 04, 2027 5.68 0.19 -- 5.78 0.19 5.78 Oct 04, 2022 Oct 04, 2022 IBRD INTERNATIONAL BANK FOR RECONSTRUCT Supranational Fixed Income 134582.65 0.11542426306655086 134582.65 1350 1350 459058KH5 US459058KH57 -- 99.68 Supranational -- USD 0 5.87 1 Jan 24, 2029 5.61 0.24 -- 5.87 0.24 5.87 Jan 24, 2022 Jan 24, 2022 COF CAPITAL ONE FINANCIAL CORPORATION Financial Institutions Equity 133875.31 0.11481761578893004 133875.31 6858 6858 14040H824 US14040H8245 BGMJPW3 19.52 United States -- USD 13.37 6.47 1 Dec 31, 2079 5 15.11 -- 6.47 15.11 6.47 Sep 11, 2019 Sep 11, 2019 LGEN LEGAL AND GENERAL GROUP PLC Financials Equity 133565.4 0.11455182273635638 133565.4 45899 45899 S05603998 GB0005603997 0560399 2.91 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Jan 02, 1985 DOMREP DOMINICAN REPUBLIC (GOVERNMENT) RegS Treasuries Fixed Income 133438.1 0.11444264440847851 133438.1 73723 73723 -- USP3579ECS48 -- 1.81 Dominican Republic -- USD 6.59 10.3 58.75 Sep 15, 2035 11.25 6.43 -- 10.29 6.35 10.29 Sep 15, 2023 Sep 15, 2023 DANSKE DANSKE BANK Financials Equity 132960.65 0.11403316135549119 132960.65 4569 4569 S45888252 DK0010274414 4588825 29.1 Denmark Omx Nordic Exchange Copenhagen A/S USD 0 -- 6.9616 -- 0 0 -- -- 0 -- -- Jan 02, 1985 GGBR4 GERDAU PREF SA Materials Equity 132038.49 0.11324227457751905 132038.49 37405 37405 S26455170 BRGGBRACNPR8 2645517 3.53 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Dec 07, 1992 BMW3 BMW PREF AG Consumer Discretionary Equity 131594.05 0.11286110241693745 131594.05 1250 1250 S57560302 DE0005190037 5756030 105.25 Germany Xetra USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Dec 06, 1989 T AT&T INC Communications Fixed Income 131591.61 0.1128590097608493 131591.61 1314 1314 00206RGD8 US00206RGD89 -- 100.12 United States -- USD 0.13 5.78 1 Jun 12, 2024 6.76 0.13 -- 5.78 0.13 5.78 Aug 22, 2018 Aug 22, 2018 ARR ARMOUR RESIDENTIAL REIT INC Financials Equity 131362.5 0.11266251450004727 131362.5 7214 7214 042315705 US0423157058 BRJ8H91 18.21 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- URUGUA URUGUAY (ORIENTAL REPUBLIC OF) Treasuries Fixed Income 130960.29 0.11231756072741761 130960.29 52384 52384 917288BM3 US917288BM35 BNNFCY0 2.5 Uruguay -- USD 5.18 9.05 38.36 May 21, 2031 8.25 5.04 -- 9.05 5.04 9.05 May 21, 2021 May 21, 2021 EBRD EUROPEAN BANK FOR RECONSTRUCTION A MTN Supranational Fixed Income 130921.05 0.11228390670081959 130921.05 1308 1308 29874QEK6 US29874QEK67 -- 100.07 Supranational -- USD 0.01 5.61 1 Oct 15, 2024 5.59 0.22 -- 5.61 0.22 5.61 Oct 15, 2020 Oct 15, 2020 DOMREP DOMINICAN REPUBLIC (GOVERNMENT) RegS Treasuries Fixed Income 129591.79 0.11114387226158212 129591.79 63838 63838 -- USP3579ECQ81 BR03BB5 2.03 Dominican Republic -- USD 5.34 10.25 58.75 Feb 03, 2033 13.63 5.26 -- 10.2 5.17 10.2 Feb 03, 2023 Feb 03, 2023 TNOTE TREASURY NOTE (OLD) Treasuries Fixed Income 129343.23 0.1109306957872905 129343.23 1315 1315 91282CKE0 US91282CKE02 BQ2MK50 98.36 United States -- USD 2.67 4.86 1 Mar 15, 2027 4.25 2.67 -- 4.86 2.67 4.86 Mar 15, 2024 Mar 15, 2024 IADB INTER-AMERICAN DEVELOPMENT BANK Supranational Fixed Income 129302.89 0.11089609835016094 129302.89 1293 1293 4581X0ED6 US4581X0ED60 BQ7ZQQ7 100 Supranational -- USD 0.02 5.76 1 Apr 12, 2027 5.6 0.21 -- 5.76 0.21 5.76 Apr 12, 2022 Apr 12, 2022 EFC ELLINGTON FINANCIAL INC Financials Equity 127964.12 0.1097479076980553 127964.12 11031 11031 28852N109 US28852N1090 BJ7MB31 11.6 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 127573.56 0.10941294550060063 127573.56 1275 1275 04685A2X8 US04685A2X87 -- 100.03 United States -- USD 0.01 5.71 1 May 24, 2024 6.04 0.08 -- 5.71 0.08 5.71 May 26, 2021 May 26, 2021 BT/A BT GROUP PLC Communication Equity 126632 0.10860542039143581 126632 96666 96666 S30913578 GB0030913577 3091357 1.31 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Mar 07, 1985 MFC MANULIFE FINANCIAL CORP Financials Equity 125967.01 0.10803509441927947 125967.01 5406 5406 56501R106 CA56501R1064 2492519 23.3 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Sep 24, 1999 GE GENERAL ELECTRIC CO MTN Capital Goods Fixed Income 124522.52 0.106796233438633 124522.52 1243 1243 36962GW75 US36962GW752 B15F8V3 100.2 United States -- USD 0.03 5.99 1 May 05, 2026 5.91 0.02 -- 5.99 0.02 5.99 May 05, 2006 May 05, 2006 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 124271.95 0.10658133309600647 124271.95 1243 1243 2027A0KG3 US2027A0KG30 -- 100.01 Australia -- USD 0.01 5.86 1 Jul 07, 2025 5.72 0.2 -- 5.86 0.2 5.86 Oct 07, 2021 Oct 07, 2021 KTY GRUPA KETY SA Materials Equity 123927.81 0.106286182822983 123927.81 599 599 S52163854 PLKETY000011 5216385 207.04 Poland Warsaw Stock Exchange/Equities/Main Market USD 0 -- 4.03785 -- 0 0 -- -- 0 -- -- Jan 30, 1996 SRG SNAM Utilities Equity 123399.17 0.10583279687444132 123399.17 26943 26943 S72514706 IT0003153415 7251470 4.58 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Dec 06, 2001 DNB DNB BANK Financials Equity 123212.55 0.10567274298953507 123212.55 6499 6499 -- NO0010161896 BNG7113 18.96 Norway Oslo Bors Asa USD 0 -- 10.99505 -- 0 0 -- -- 0 -- -- -- IBRD INTERNATIONAL BANK FOR RECONSTRUCT Supranational Fixed Income 123190.23 0.10565360033220408 123190.23 1235 1235 459058KD4 US459058KD44 BP50HJ7 99.71 Supranational -- USD 0 5.86 1 Nov 22, 2028 5.63 0.07 -- 5.86 0.07 5.86 Nov 22, 2021 Nov 22, 2021 CPPIBC CPPIB CAPITAL INC 144A Owned No Guarantee Fixed Income 122597.32 0.10514509347924206 122597.32 1215 1215 22411VAV0 US22411VAV09 BPGBXJ1 100.94 Canada -- USD 0.03 5.71 1 Apr 04, 2025 6.58 0.19 -- 5.71 0.19 5.71 Apr 04, 2022 Apr 04, 2022 OMV OMV AG Energy Equity 122319.59 0.10490689947294576 122319.59 2615 2615 S46514592 AT0000743059 4651459 46.77 Austria Wiener Boerse Ag USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 13, 1988 TELIA TELIA COMPANY Communication Equity 121907.37 0.10455336066447904 121907.37 51438 51438 S59783845 SE0000667925 5978384 2.37 Sweden Nasdaq Omx Nordic USD 0 -- 10.9134 -- 0 0 -- -- 0 -- -- Jun 13, 2000 SEK SWEDISH EXPORT CREDIT CORP MTN Owned No Guarantee Fixed Income 121854.41 0.10450793973561484 121854.41 1202 1202 87031CAF0 US87031CAF05 BP0PYM9 101.4 Sweden -- USD 0.04 5.83 1 Aug 03, 2026 6.34 0.02 -- 5.83 0.02 5.83 Aug 03, 2022 Aug 03, 2022 APA APA GROUP UNITS Utilities Equity 121374.67 0.10409649267343003 121374.67 22068 22068 S62473061 AU000000APA1 6247306 5.5 Australia Asx - All Markets USD 0 -- 1.538579890760828 -- 0 0 -- -- 0 -- -- Jun 13, 2000 DIB DB ISLAMIC BANK Financials Equity 119844.99 0.10278456883534509 119844.99 79897 79897 S62834528 AED000201015 6283452 1.5 United Arab Emirates Dubai Financial Market USD 0 -- 3.6729 -- 0 0 -- -- 0 -- -- Oct 11, 1995 BRSP BRIGHTSPIRE CAPITAL INC CLASS A Financials Equity 119717.1 0.10267488449636394 119717.1 18913 18913 10949T109 US10949T1097 BN7VBP8 6.33 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- TNOTE TREASURY NOTE Treasuries Fixed Income 119342.88 0.10235393623353241 119342.88 1246 1246 912828M56 US912828M565 BYQ26R6 95.77 United States -- USD 1.49 5.12 1 Nov 15, 2025 2.25 1.48 -- 5.12 1.48 5.12 Nov 15, 2015 Nov 16, 2015 RED REDEIA CORPORACION SA Utilities Equity 118369.8 0.10151937812440914 118369.8 7063 7063 -- ES0173093024 BD6FXN3 16.76 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jul 07, 1999 6176 RADIANT OPTO-ELECTRONICS CORP Information Technology Equity 118190.11 0.10136526772585161 118190.11 19797 19797 S65202780 TW0006176001 6520278 5.97 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Apr 29, 2002 JBSS3 JBS SA Consumer Staples Equity 118007.67 0.10120879880096521 118007.67 27636 27636 -- BRJBSSACNOR8 B1V74X7 4.27 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Mar 29, 2007 NN NN GROUP NV Financials Equity 117951.67 0.1011607706284502 117951.67 2547 2547 -- NL0010773842 BNG8PQ9 46.31 Netherlands Euronext Amsterdam USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jul 02, 2014 PTBA TAMBANG BATUBARA BUKIT ASAM Energy Equity 116928.19 0.10028298716406343 116928.19 649601 649601 S65651275 ID1000094006 6565127 0.18 Indonesia Indonesia Stock Exchange USD 0 -- 16187.5 -- 0 0 -- -- 0 -- -- Dec 23, 2002 T AT&T INC Industrial Equity 116754.98 0.10013443431118263 116754.98 5487 5487 00206R508 US00206R5081 BKPK060 21.28 United States -- USD 13.51 5.96 1 Dec 31, 2079 5 16.79 -- 5.96 15.95 5.96 Dec 12, 2019 Dec 12, 2019 DISH DISH NETWORK CORP 144A Communications Fixed Income 116476.62 0.09989569998794554 116476.62 1152 1152 25470MAG4 US25470MAG42 -- 101.13 United States -- USD 2.31 11.35 1 Nov 15, 2027 11.75 2.71 -- 11.22 2.06 11.22 Nov 15, 2022 Nov 15, 2022 SREN SWISS RE AG Financials Equity 115876.37 0.0993808980138003 115876.37 1064 1064 -- CH0126881561 B545MG5 108.9 Switzerland SIX Swiss Exchange USD 0 -- 0.91365 -- 0 0 -- -- 0 -- -- Dec 04, 1989 ALL ALLSTATE CORPORATION (THE) Financial Institutions Equity 115625.02 0.09916532870734232 115625.02 5258 5258 020002838 US0200028381 BKDKS91 21.99 United States -- USD 13.23 5.81 1 Dec 31, 2079 5.1 17.22 -- 5.81 16.5 5.81 Aug 08, 2019 Aug 08, 2019 EMA EMERA INC Utilities Equity 115595.26 0.09913980516423435 115595.26 3432 3432 290876101 CA2908761018 2650050 33.68 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Oct 09, 1992 MS MORGAN STANLEY Financial Institutions Equity 115048.93 0.09867124745905356 115048.93 4512 4512 61762V853 US61762V8533 BQH5ZL5 25.5 United States -- USD 3.41 6.38 1 Dec 31, 2079 6.5 15.16 -- 5.96 3.09 5.96 Aug 02, 2022 Aug 02, 2022 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 114937.08 0.09857531976091422 114937.08 1146 1146 2027A0KJ7 US2027A0KJ78 -- 100.28 Australia -- USD 0.01 5.88 1 Mar 14, 2025 6.07 0.13 -- 5.88 0.13 5.88 Mar 14, 2022 Mar 14, 2022 JPM JPMORGAN CHASE DRC Financial Institutions Equity 114472.84 0.0981771662107648 114472.84 5560 5560 48128B580 US48128B5802 BM8TGF9 20.59 United States New York Stock Exchange Inc. USD 14.4 5.57 1 Dec 31, 2079 4.55 17.23 -- 5.57 17.23 5.57 Mar 17, 2021 Mar 17, 2021 CMTG CLAROS MORTGAGE TRUST INC Financials Equity 113634.2 0.09745791002151505 113634.2 13291 13291 18270D106 US18270D1063 BNTW041 8.55 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Nov 03, 2021 DUK DUKE ENERGY CORP Utility Equity 113479.64 0.09732535226537363 113479.64 4572 4572 26441C501 US26441C5013 BJXH6L3 24.82 United States New York Stock Exchange Inc. USD 1.28 5.83 1 Dec 31, 2079 5.75 16.39 -- 5.83 16.39 5.83 Mar 29, 2019 Mar 29, 2019 IOC INDIAN OIL CORP LTD Energy Equity 112548.31 0.09652660087415217 112548.31 55171 55171 S62537675 INE242A01010 6253767 2.04 India National Stock Exchange Of India USD 0 -- 83.32625 -- 0 0 -- -- 0 -- -- Mar 20, 1996 MS MORGAN STANLEY DS REPRESENTING F Financial Institutions Equity 111722.31 0.09581818532955581 111722.31 4462 4462 61761J406 US61761J4067 BQT2G00 25.04 United States New York Stock Exchange Inc. USD 0.44 9.28 1 Dec 31, 2079 6.38 0.28 -- 6.46 0.45 6.46 Sep 18, 2014 Sep 18, 2014 MS MORGAN STANLEY Financial Institutions Equity 110770.13 0.0950015520205319 110770.13 5867 5867 61762V861 US61762V8616 BMF4W82 18.88 United States -- USD 15.66 5.64 1 Dec 31, 2079 4.25 17.27 -- 5.64 17.27 5.64 Oct 25, 2021 Oct 25, 2021 MS MORGAN STANLEY Financial Institutions Equity 110274.39 0.0945763826233428 110274.39 4963 4963 61747S504 US61747S5047 B1802M4 22.22 United States New York Stock Exchange Inc. USD 0.19 7.27 1 Dec 31, 2079 6.26 15.82 -- 7.27 15.82 7.27 Jul 06, 2006 Jul 06, 2006 IBRD INTERNATIONAL BANK FOR RECONSTRUCT Supranational Fixed Income 110140.83 0.0944618354318945 110140.83 1101 1101 459058HC0 US459058HC08 -- 100.05 Supranational -- USD 0.02 5.63 1 Aug 06, 2024 5.64 0.03 -- 5.63 0.03 5.63 Aug 06, 2019 Aug 06, 2019 RWT REDWOOD TRUST REIT INC Financials Equity 109678.62 0.09406542290299875 109678.62 19344 19344 758075402 US7580754023 2730877 5.67 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Aug 04, 1995 MS MORGAN STANLEY Financial Institutions Equity 108234.99 0.09282729949785876 108234.99 4463 4463 61762V606 US61762V6065 BYYYY81 24.25 United States New York Stock Exchange Inc. USD 2.63 8.72 1 Dec 31, 2079 5.85 2.5 -- 7.1 2.65 7.1 Jan 31, 2017 Jan 31, 2017 NIB NORDIC INVESTMENT BANK Supranational Fixed Income 108222.68 0.09281674187636484 108222.68 1066 1066 65562QBR5 US65562QBR56 -- 101.5 Supranational -- USD 0.03 5.71 1 May 12, 2026 6.35 0.04 -- 5.71 0.04 5.71 May 12, 2021 May 12, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 107962.56 0.09259365101503263 107962.56 1114 1114 912828XB1 US912828XB14 BXC4FY9 96.88 United States -- USD 1.01 5.21 1 May 15, 2025 2.13 1.01 -- 5.21 1.01 5.21 May 15, 2015 May 15, 2015 IADB INTER-AMERICAN DEVELOPMENT BANK Supranational Fixed Income 107583.89 0.09226888622777803 107583.89 1076 1076 45828RAA3 US45828RAA32 -- 99.98 Supranational -- USD 0.01 5.84 1 Oct 05, 2028 5.68 0.19 -- 5.84 0.19 5.84 Oct 05, 2023 Oct 05, 2023 COF CAPITAL ONE FINANCIAL CORPORATION Financial Institutions Equity 106578.52 0.09140663473132422 106578.52 5715 5715 14040H782 US14040H7825 BK9PWX2 18.65 United States -- USD 13.75 6.5 1 Dec 31, 2079 4.8 15.08 -- 6.5 15.08 6.5 Jan 31, 2020 Jan 31, 2020 IBRD INTERNATIONAL BANK FOR RECONSTRUCT Supranational Fixed Income 106523.35 0.09135931840493756 106523.35 1066 1066 459058KG7 US459058KG74 -- 99.93 Supranational -- USD 0.02 5.69 1 Jun 15, 2026 5.51 0.14 -- 5.69 0.14 5.69 Jan 20, 2022 Jan 20, 2022 2637 WISDOM MARINE LINES LTD Industrials Equity 106155.67 0.09104397914653903 106155.67 51532 51532 -- KYG9721M1033 B429W95 2.06 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Sep 07, 2009 998 CHINA CITIC BANK CORP LTD H Financials Equity 104508.98 0.08963170215727587 104508.98 186623 186623 -- CNE1000001Q4 B1W0JF2 0.56 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Apr 27, 2007 ENELCHILE ENEL CHILE SA Utilities Equity 104149.93 0.08932376438332026 104149.93 1735832 1735832 -- CL0002266774 BYMLZD6 0.06 Chile Santiago Stock Exchange USD 0 -- 949.8 -- 0 0 -- -- 0 -- -- -- 12 HENDERSON LAND DEVELOPMENT LTD Real Estate Equity 103545.08 0.0888050172378613 103545.08 34400 34400 S64205388 HK0012000102 6420538 3.01 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jan 02, 1985 TNOTE TREASURY NOTE Treasuries Fixed Income 103448.18 0.08872191134649157 103448.18 1059 1059 91282CGV7 US91282CGV72 BN6QD47 97.66 United States -- USD 1.87 5.01 1 Apr 15, 2026 3.75 1.87 -- 5.01 1.87 5.01 Apr 15, 2023 Apr 17, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 103227.92 0.0885330062522388 103227.92 1058 1058 91282CEH0 US91282CEH07 BNGDFD1 97.58 United States -- USD 0.94 5.21 1 Apr 15, 2025 2.63 0.94 -- 5.21 0.94 5.21 Apr 15, 2022 Apr 18, 2022 ASIA ASIAN DEVELOPMENT BANK MTN Supranational Fixed Income 102279.43 0.08771953765672524 102279.43 1003 1003 04517PBK7 US04517PBK75 BP92TD7 102.01 Supranational -- USD 0.05 5.75 1 Apr 06, 2027 7.27 0.19 -- 5.75 0.19 5.75 Apr 06, 2022 Apr 06, 2022 RUI RUBIS Utilities Equity 102254.07 0.08769778775574345 102254.07 2959 2959 -- FR0013269123 BDT88L2 34.56 France Nyse Euronext - Euronext Paris USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- -- SO SOUTHERN COMPANY (THE) Utility Equity 101897.99 0.08739239719022303 101897.99 4617 4617 842587800 US8425878001 BKM3QB9 22.07 United States -- USD 13.26 5.68 1 Jan 30, 2080 4.95 16.77 -- 5.68 16.77 5.68 Jan 09, 2020 Jan 09, 2020 ITMG INDO TAMBANGRAYA MEGAH Energy Equity 100936.07 0.08656741040976523 100936.07 65543 65543 -- ID1000108509 B29SK75 1.54 Indonesia Indonesia Stock Exchange USD 0 -- 16187.5 -- 0 0 -- -- 0 -- -- Dec 18, 2007 2388 BOC HONG KONG HOLDINGS LTD Financials Equity 100671.32 0.08634034864774116 100671.32 33225 33225 S65361123 HK2388011192 6536112 3.03 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jul 25, 2002 EBRD EUROPEAN BANK FOR RECONSTRUCTION A MTN Supranational Fixed Income 100050.7 0.0858080764258436 100050.7 1003 1003 29874QEU4 US29874QEU40 BMT7T19 99.71 Supranational -- USD -0.01 5.87 1 Feb 16, 2029 5.64 0.05 -- 5.87 0.05 5.87 Feb 16, 2022 Feb 16, 2022 CSNA3 COMPANHIA SIDERURGICA NACIONAL SA Materials Equity 99373.58 0.08522734720846213 99373.58 36534 36534 -- BRCSNAACNOR6 B019KX8 2.72 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Jan 25, 1994 TNOTE UNITED STATES TREASURY Treasuries Fixed Income 98781.89 0.0847198866835442 98781.89 1015 1015 91282CHB0 US91282CHB00 BRSDHQ4 97.35 United States -- USD 1.92 5 1 May 15, 2026 3.63 1.92 -- 5 1.92 5 May 15, 2023 May 15, 2023 11 HANG SENG BANK LTD Financials Equity 98665.71 0.08462024537849432 98665.71 7601 7601 S64083744 HK0011000095 6408374 12.98 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jan 02, 1985 MS MORGAN STANLEY Financial Institutions Equity 98472.22 0.08445429946599559 98472.22 3888 3888 61762V200 US61762V2007 BF4YJ94 25.33 United States New York Stock Exchange Inc. USD 0.19 9.92 1 Dec 31, 2079 7.13 0.07 -- 5.14 0.22 5.14 Sep 30, 2013 Sep 30, 2013 PHNX PHOENIX GROUP HOLDINGS PLC Financials Equity 97894.42 0.08395875164315324 97894.42 16262 16262 -- GB00BGXQNP29 BGXQNP2 6.02 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- -- ASIA ASIAN DEVELOPMENT BANK MTN Supranational Fixed Income 97735.52 0.0838224717036419 97735.52 961 961 04517PBG6 US04517PBG63 -- 101.7 Supranational -- USD 0.04 5.7 1 Aug 27, 2026 6.34 0.09 -- 5.7 0.09 5.7 Aug 27, 2021 Aug 27, 2021 DX DYNEX CAPITAL REIT INC Financials Equity 96720.03 0.08295154083029789 96720.03 8295 8295 26817Q886 US26817Q8868 BJN4K01 11.66 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- 3323 CHINA NATIONAL BUILDING MATERIAL L Materials Equity 96152.71 0.08246498113688336 96152.71 259872 259872 -- CNE1000002N9 B0Y91C1 0.37 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Mar 23, 2006 MS MORGAN STANLEY DS Financial Institutions Equity 95728.52 0.08210117630654155 95728.52 3796 3796 61763E207 US61763E2072 BH5QGM5 25.22 United States New York Stock Exchange Inc. USD 0.19 9.58 1 Dec 31, 2079 6.88 11.12 -- 6.7 0.21 6.7 Dec 10, 2013 Dec 10, 2013 BRL BRL CASH Cash and/or Derivatives Cash 95451.1 0.08186324817048596 95451.1 4935 4935 -- -- -- 19.34 Brazil -- USD 0 8.86 5.17025 -- 0 0 -- 8.86 0 8.86 -- Jan 01, 1990 MET METLIFE INC Financial Institutions Equity 95237.9 0.08168039805655382 95237.9 4572 4572 59156R850 US59156R8503 BL3BQ19 20.83 United States -- USD 13.95 5.74 1 Dec 31, 2079 4.75 16.81 -- 5.74 16.81 5.74 Jan 15, 2020 Jan 15, 2020 PEY PEYTO EXPLORATION & DEVELOPMENT CO Energy Equity 94421.81 0.08098048178320075 94421.81 8356 8356 717046106 CA7170461064 B6775F5 11.3 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Dec 08, 1997 960 LONGFOR GROUP HOLDINGS LTD Real Estate Equity 94241.7 0.08082601117334935 94241.7 75393 75393 -- KYG5635P1090 B56KLY9 1.25 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Nov 19, 2009 MEDIND MEDLINE BORROWER LP 144A Consumer Non-Cyclical Fixed Income 94044.95 0.0806572693350935 94044.95 1049 1049 62482BAA0 US62482BAA08 -- 89.65 United States -- USD 4.18 6.35 1 Apr 01, 2029 3.88 4.36 -- 6.35 4.36 6.35 Oct 15, 2021 Oct 15, 2021 ACS ACS ACTIVIDADES DE CONSTRUCCION Y Industrials Equity 93789.89 0.0804385181622064 93789.89 2322 2322 -- ES0167050915 B01FLQ6 40.39 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Oct 26, 1990 316 ORIENT OVERSEAS (INTERNATIONAL) LT Industrials Equity 93306.08 0.08002358048105487 93306.08 6912 6912 S66591165 BMG677491539 6659116 13.5 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Aug 07, 1992 NYMT NEW YORK MORTGAGE TRUST REIT INC Financials Equity 92994.09 0.07975600352493063 92994.09 13342 13342 649604840 US6496048405 BR4NQJ4 6.97 United States NASDAQ USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- ET ENERGY TRANSFER FIXED TO FLOATIN Industrial Equity 92916.44 0.07968940731786295 92916.44 3658 3658 29273V605 US29273V6056 BNZGZ86 25.4 United States New York Stock Exchange Inc. USD 0.26 10.86 1 Dec 31, 2079 7.6 0 -- 7.1 0.05 7.1 Feb 15, 2021 Apr 05, 2021 005387 HYUNDAI MOTOR S2 PREF Consumer Discretionary Equity 92566.21 0.07938903398107847 92566.21 809 809 S61482725 KR7005382007 6148272 114.4 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Oct 20, 1999 EGIE3 ENGIE BRASIL ENERGIA SA Utilities Equity 92544.71 0.07937059459341646 92544.71 12193 12193 -- BREGIEACNOR9 BD1WX84 7.59 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- May 23, 2005 AGS AGEAS SA Financials Equity 92527.23 0.07935560294242427 92527.23 1987 1987 -- BE0974264930 B86S2N0 46.56 Belgium Nyse Euronext - Euronext Brussels USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jun 24, 1987 USB US BANCORP Financial Institutions Equity 91948.89 0.07885959199077554 91948.89 4630 4630 902973155 US9029731554 B125QN4 19.86 United States New York Stock Exchange Inc. USD -1.9 8.02 1 Dec 31, 2079 6.19 14.43 -- 8.02 14.43 8.02 Mar 27, 2006 Mar 27, 2006 CMPC EMPRESAS CMPC SA Materials Equity 91796.22 0.07872865518545649 91796.22 47811 47811 S21960158 CL0000001314 2196015 1.92 Chile Santiago Stock Exchange USD 0 -- 949.8 -- 0 0 -- -- 0 -- -- Oct 02, 1992 ATH ATHENE HOLDING DS REPRESENTING P Financial Institutions Equity 91750.59 0.07868952080131615 91750.59 3945 3945 04686J861 US04686J8615 BPSKDY1 23.26 United States New York Stock Exchange Inc. USD 4.12 9.31 1 Dec 31, 2079 6.35 4.14 -- 8.2 4.23 8.2 Jun 10, 2019 Jun 10, 2019 TNOTE TREASURY NOTE (2OLD) Treasuries Fixed Income 91002.22 0.07804768431086871 91002.22 928 928 91282CKA8 US91282CKA89 BS2G197 98.04 United States -- USD 2.6 4.88 1 Feb 15, 2027 4.13 2.59 -- 4.88 2.59 4.88 Feb 15, 2024 Feb 15, 2024 T AT&T INC Industrial Equity 90784.74 0.07786116347232293 90784.74 3797 3797 00206R409 US00206R4092 BDDJDF0 23.91 United States -- USD 8.81 5.96 1 Aug 01, 2067 5.63 15.34 -- 5.96 15.34 5.96 Aug 01, 2018 Aug 01, 2018 AEGON AEGON FUNDING CORPORATION II Financial Institutions Equity 90106.08 0.07727911348019731 90106.08 4230 4230 00775V104 US00775V1044 BK59DD5 21.3 Netherlands -- USD 12.22 6.03 1 Dec 15, 2049 5.1 13.15 -- 6.03 13.15 6.03 Oct 22, 2019 Oct 22, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 89894.51 0.07709766132914374 89894.51 906 906 91282CGR6 US91282CGR60 BQXJJZ3 99.25 United States -- USD 1.78 5.04 1 Mar 15, 2026 4.63 1.78 -- 5.04 1.78 5.04 Mar 15, 2023 Mar 15, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 89824.98 0.07703802920709073 89824.98 989 989 91282CCW9 US91282CCW91 BN4FTY8 90.8 United States -- USD 2.27 4.95 1 Aug 31, 2026 0.75 2.27 -- 4.95 2.27 4.95 Aug 31, 2021 Aug 31, 2021 8 PCCW LTD Communication Equity 89691.27 0.07692335336875178 89691.27 179383 179383 S65740714 HK0008011667 6574071 0.5 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jan 05, 1995 TIBX CLOUD SOFTWARE GROUP INC 144A Technology Fixed Income 89599.01 0.0768442269545333 89599.01 948 948 88632QAE3 US88632QAE35 -- 94.5 United States -- USD 3.8 7.87 1 Mar 31, 2029 6.5 4.09 -- 7.87 4.09 7.87 Sep 30, 2022 Sep 30, 2022 TIBX CLOUD SOFTWARE GROUP INC 144A Technology Fixed Income 89327.38 0.07661126458845738 89327.38 931 931 18912UAA0 US18912UAA07 -- 95.9 United States -- USD 3.76 9.99 1 Sep 30, 2029 9 4.15 -- 9.99 4.15 9.99 Apr 10, 2023 Apr 10, 2023 NAB NATIONAL AUSTRALIA BANK LTD FRN MTN 144A Banking Fixed Income 89092.38 0.07640971779308191 89092.38 891 891 6325C0EA5 US6325C0EA59 -- 99.99 Australia -- USD 0.01 5.89 1 Jan 12, 2025 5.69 0.21 -- 5.89 0.21 5.89 Jan 12, 2022 Jan 12, 2022 GS GOLDMAN SACHS GROUP INC/THE MTN Banking Fixed Income 88979.45 0.07631286383732977 88979.45 864 864 38141GVX9 US38141GVX95 BYY52R9 103.03 United States -- USD 0.28 6.52 1 Oct 28, 2027 7.33 0 -- 6.17 0 6.17 Oct 28, 2016 Oct 28, 2016 F FORD MOTOR COMPANY Industrial Equity 88321.39 0.07574848135152216 88321.39 3679 3679 345370837 US3453708378 BJP1KW2 24.01 United States -- USD 6.75 6.31 1 Dec 01, 2059 6 14.08 -- 6.31 14.08 6.31 Dec 11, 2019 Dec 11, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 87885.32 0.07537448768743968 87885.32 964 964 91282CDK4 US91282CDK45 BP39M24 91.18 United States -- USD 2.49 4.9 1 Nov 30, 2026 1.25 2.49 -- 4.9 2.49 4.9 Nov 30, 2021 Nov 30, 2021 ENG ENAGAS SA Utilities Equity 87859.29 0.07535216316367957 87859.29 5977 5977 S73830721 ES0130960018 7383072 14.7 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jun 26, 2002 MET METLIFE INC Financial Institutions Equity 87336.74 0.07490400027889892 87336.74 3680 3680 59156R876 US59156R8768 BG43LW5 23.73 United States -- USD 9.04 5.97 1 Dec 31, 2079 5.63 16.76 -- 5.97 16.04 5.97 Jun 04, 2018 Jun 04, 2018 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 87325.99 0.0748947805850679 87325.99 875 875 89788MAF9 US89788MAF95 BKPC6N5 99.77 United States -- USD 0.01 6.06 1 Jun 09, 2025 5.73 0.12 -- 6.06 0.12 6.06 Jun 07, 2021 Jun 07, 2021 NTGY NATURGY ENERGY SA Utilities Equity 87220.29 0.07480412740944584 87220.29 3482 3482 S56504228 ES0116870314 5650422 25.05 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 02, 1985 SCHW CHARLES SCHWAB CORPORATION (THE) Financial Institutions Equity 86635.86 0.07430289339403609 86635.86 3472 3472 808513600 US8085136005 BYPFT55 24.95 United States -- USD 1.25 6.02 1 Dec 31, 2079 5.95 16.62 -- 6.02 15.88 6.02 Mar 07, 2016 Mar 07, 2016 EN BOUYGUES SA Industrials Equity 86280.09 0.07399776869875636 86280.09 2246 2246 S40021214 FR0000120503 4002121 38.42 France Nyse Euronext - Euronext Paris USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jul 22, 1988 TNOTE TREASURY NOTE Treasuries Fixed Income 86183.44 0.07391487721887109 86183.44 871 871 91282CHD6 US91282CHD65 BP489V8 98.98 United States -- USD 1.04 5.21 1 May 31, 2025 4.25 1.04 -- 5.21 1.04 5.21 May 31, 2023 May 31, 2023 BPE BPER BANCA Financials Equity 86134.8 0.07387316132045806 86134.8 17023 17023 S41160995 IT0000066123 4116099 5.06 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Mar 03, 1992 XTB XTB SA Financials Equity 85779 0.0735680108958002 85779 5603 5603 -- PLXTRDM00011 BZ059D5 15.31 Poland Warsaw Stock Exchange/Equities/Main Market USD 0 -- 4.03785 -- 0 0 -- -- 0 -- -- Apr 27, 2016 C CITIBANK NA Banking Fixed Income 85434.32 0.07327239749397034 85434.32 850 850 17325FAZ1 US17325FAZ18 -- 100.52 United States -- USD 0.01 5.92 1 Sep 29, 2025 6.13 0.17 -- 5.89 0.17 5.89 Sep 29, 2023 Sep 29, 2023 TFC TRUIST FINANCIAL DRC CORP Financial Institutions Equity 85389.65 0.07323408644993024 85389.65 4229 4229 89832Q695 US89832Q6952 BLD4B13 20.19 United States New York Stock Exchange Inc. USD 13.99 5.94 1 Dec 31, 2079 4.75 16.31 -- 5.94 16.31 5.94 Aug 03, 2020 Aug 03, 2020 FNTN FREENET AG Communication Equity 85213.5 0.07308301211799241 85213.5 2970 2970 -- DE000A0Z2ZZ5 B1SK0S6 28.69 Germany Xetra USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Dec 03, 1999 TNOTE TREASURY NOTE Treasuries Fixed Income 85199.01 0.07307058482835416 85199.01 935 935 91282CDG3 US91282CDG33 BN7DP63 91.13 United States -- USD 2.42 4.92 1 Oct 31, 2026 1.13 2.41 -- 4.92 2.41 4.92 Oct 31, 2021 Nov 01, 2021 SERBGB SERBIA (REPUBLIC OF) Treasuries Fixed Income 84967.45 0.07287198833500459 84967.45 102370 102370 -- RSMFRSD86176 BM8SF37 0.83 Serbia -- USD 6.68 5.84 109.36 Aug 20, 2032 4.5 6.71 -- 5.84 6.71 5.84 Feb 20, 2020 Feb 20, 2020 SPK SPARK NEW ZEALAND LTD Communication Equity 84720.96 0.07266058718780416 84720.96 30150 30150 S68814367 NZTELE0001S4 6881436 2.81 New Zealand New Zealand Exchange Ltd USD 0 -- 1.684778030494482 -- 0 0 -- -- 0 -- -- Jul 23, 1991 TNOTE TREASURY NOTE Treasuries Fixed Income 84457.03 0.07243422869544906 84457.03 930 930 91282CCZ2 US91282CCZ23 BMCV833 90.84 United States -- USD 2.35 4.92 1 Sep 30, 2026 0.88 2.35 -- 4.92 2.35 4.92 Sep 30, 2021 Sep 30, 2021 086790 HANA FINANCIAL GROUP INC Financials Equity 84096.12 0.07212469570004922 84096.12 2043 2043 -- KR7086790003 B0RNRF5 41.16 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Jul 22, 1988 SRE SEMPRA ENERGY Utility Equity 83905.84 0.07196150283101073 83905.84 3490 3490 816851604 US8168516040 BK8LV34 24.04 United States -- USD 7.09 6 1 Jul 01, 2079 5.75 16.01 -- 6 16.01 6 Jun 26, 2019 Jun 26, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 83445.72 0.07156688278212492 83445.72 917 917 91282CDQ1 US91282CDQ15 BPP1JT4 90.98 United States -- USD 2.57 4.88 1 Dec 31, 2026 1.25 2.57 -- 4.88 2.57 4.88 Dec 31, 2021 Dec 31, 2021 F FORD MOTOR COMPANY Industrial Equity 83056.23 0.07123283826582366 83056.23 3429 3429 345370845 US3453708451 BJ029D4 24.22 United States -- USD 5.55 6.46 1 Jun 01, 2059 6.2 13.76 -- 6.46 13.76 6.46 May 28, 2019 May 28, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 82938.02 0.07113145593952011 82938.02 896 896 9128282A7 US9128282A70 BZ56W78 92.54 United States -- USD 2.22 4.96 1 Aug 15, 2026 1.5 2.21 -- 4.96 2.21 4.96 Aug 15, 2016 Aug 15, 2016 RGA REINSURANCE GROUP OF AMERICA INCOR Financial Institutions Equity 82775.88 0.0709923972271704 82775.88 3200 3200 759351885 US7593518852 BMG9SY4 25.87 United States -- USD 3.02 7.68 1 Oct 15, 2052 7.13 2.89 -- 6.12 3.02 6.12 Sep 23, 2022 Sep 23, 2022 KREF KKR REAL ESTATE FINANCE INC TRUST Financials Equity 82542.01 0.0707918195717046 82542.01 8634 8634 48251K100 US48251K1007 BF0YMC2 9.56 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- VENLNG VENTURE GLOBAL LNG INC 144A Energy Fixed Income 82364.78 0.07063981898215399 82364.78 772 772 92332YAC5 US92332YAC57 -- 106.71 United States -- USD 3.62 7.77 1 Feb 01, 2029 9.5 3.67 -- 7.7 3.51 7.7 Oct 24, 2023 Oct 24, 2023 NLY ANNALY CAPITAL MANAGEMENT INC Financial Institutions Equity 81825.41 0.07017723049270007 81825.41 3241 3241 035710870 US0357108705 BD0B1Y4 25.25 United States -- USD 0.15 10.69 1 Dec 31, 2079 10.56 0.03 -- 7.28 0.08 7.28 Jul 31, 2017 Jul 31, 2017 914 ANHUI CONCH CEMENT LTD H Materials Equity 81610.8 0.06999317109799569 81610.8 36762 36762 S60803962 CNE1000001W2 6080396 2.22 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Oct 21, 1997 PSN PERSIMMON PLC Consumer Discretionary Equity 81541.28 0.06993354755240205 81541.28 5090 5090 S06825384 GB0006825383 0682538 16.02 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Apr 29, 1985 6121 SIMPLO TECHNOLOGY LTD Information Technology Equity 81306.72 0.0697323781212392 81306.72 6259 6259 S64219280 TW0006121007 6421928 12.99 Taiwan Gretai Securities Market USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Nov 27, 2001 TNOTE TREASURY NOTE Treasuries Fixed Income 81295.73 0.06972295259238312 81295.73 884 884 91282CBW0 US91282CBW01 BLPKF06 91.94 United States -- USD 1.94 5.01 1 Apr 30, 2026 0.75 1.95 -- 5.01 1.95 5.01 Apr 30, 2021 Apr 30, 2021 BAC BANK OF AMERICA CORP Financial Institutions Equity 81252.74 0.06968608239351848 81252.74 3227 3227 060505229 US0605052291 BFZNM46 25.18 United States New York Stock Exchange Inc. USD 0.76 6.03 1 Dec 31, 2079 6 15.82 -- 6.03 15.82 6.03 May 16, 2018 May 16, 2018 POW POWER CORPORATION OF CANADA Financials Equity 81065.27 0.06952529950956511 81065.27 3033 3033 739239101 CA7392391016 2697701 26.73 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Dec 18, 1989 GS GOLDMAN SACHS GROUP DS REPRESENTIN Financial Institutions Equity 80917.69 0.0693987281220693 80917.69 3242 3242 38148B108 US38148B1089 BLTV2N7 24.96 United States New York Stock Exchange Inc. USD 0.05 9.37 1 Dec 31, 2079 6.38 0 -- 9.37 0.03 9.37 Apr 28, 2014 Apr 28, 2014 DTV DIRECTV FINANCING LLC 144A Communications Fixed Income 80820.89 0.06931570799529337 80820.89 868 868 25461LAA0 US25461LAA08 -- 93.13 United States -- USD 2.85 8.29 1 Aug 15, 2027 5.88 2.89 -- 8.29 2.89 8.29 Aug 02, 2021 Aug 02, 2021 BAC BANK OF AMERICA NA (FRN) Banking Fixed Income 80676.89 0.06919220698025479 80676.89 798 798 06428CAB0 US06428CAB00 -- 101.05 United States -- USD 0.01 6.03 1 Aug 18, 2026 6.36 0.06 -- 6.01 0.06 6.01 Aug 18, 2023 Aug 18, 2023 TRU TRUWORTHS INTERNATIONAL LTD Consumer Discretionary Equity 80429.58 0.06898010256338538 80429.58 21110 21110 S8793H130 ZAE000028296 6113485 3.81 South Africa Johannesburg Stock Exchange USD 0 -- 19.06 -- 0 0 -- -- 0 -- -- May 11, 1998 TNOTE TREASURY NOTE Treasuries Fixed Income 80337.59 0.0689012077135701 80337.59 814 814 91282CJP7 US91282CJP77 BM92T47 98.71 United States -- USD 2.42 4.9 1 Dec 15, 2026 4.38 2.42 -- 4.9 2.42 4.9 Dec 15, 2023 Dec 15, 2023 HBGCN HUB INTERNATIONAL LTD 144A Insurance Fixed Income 79397.73 0.06809514060249948 79397.73 787 787 44332PAH4 US44332PAH47 -- 100.88 United States -- USD 3.66 7.07 1 Jun 15, 2030 7.25 4.77 -- 7 3.44 7 Jun 20, 2023 Jun 20, 2023 8112 SUPREME ELECTRONICS LTD Information Technology Equity 79317.36 0.06802621159848107 79317.36 30743 30743 S67283739 TW0008112004 6728373 2.58 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Jan 05, 2004 TNOTE TREASURY NOTE Treasuries Fixed Income 79183.14 0.06791109836071385 79183.14 797 797 91282CJK8 US91282CJK80 BRBS4G5 99.31 United States -- USD 2.34 4.92 1 Nov 15, 2026 4.63 2.33 -- 4.92 2.33 4.92 Nov 15, 2023 Nov 15, 2023 IFC INTERNATIONAL FINANCE CORP MTN Supranational Fixed Income 79042.84 0.067790770635645 79042.84 790 790 45950KDB3 US45950KDB35 -- 100.11 Supranational -- USD 0.02 5.69 1 Mar 16, 2026 5.89 0.14 -- 5.69 0.14 5.69 Jan 31, 2023 Jan 31, 2023 2404 UNITED INTEGRATED SERVICES LTD Industrials Equity 78636.69 0.06744243773802053 78636.69 6281 6281 S61051363 TW0002404001 6105136 12.52 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Aug 02, 1999 PSPCAP PSP CAPITAL INC 144A Owned No Guarantee Fixed Income 78585.81 0.0673988007127069 78585.81 786 786 69376P2C8 US69376P2C88 -- 99.96 Canada -- USD 0.02 5.75 1 Mar 03, 2025 5.58 0.1 -- 5.75 0.1 5.75 Mar 03, 2022 Mar 03, 2022 TNOTE TREASURY NOTE Treasuries Fixed Income 78432.98 0.06726772668403781 78432.98 843 843 912828U24 US912828U246 BZ1BP78 93.09 United States -- USD 2.42 4.91 1 Nov 15, 2026 2 2.42 -- 4.91 2.42 4.91 Nov 15, 2016 Nov 15, 2016 GS GOLDMAN SACHS GROUP INC Financial Institutions Equity 78268.01 0.06712624083368424 78268.01 3472 3472 38143Y665 US38143Y6656 B07GC93 22.54 United States New York Stock Exchange Inc. USD -0.25 7.32 1 Dec 31, 2079 6.31 15.43 -- 7.32 15.43 7.32 Apr 25, 2005 Apr 25, 2005 EQH EQUITABLE HLDNGS DRC REPRESENTING Financial Institutions Equity 78216.73 0.06708226074999549 78216.73 3593 3593 29452E200 US29452E2000 BKRMRC9 21.77 United States New York Stock Exchange Inc. USD 11.62 6.07 1 Dec 31, 2079 5.25 16.47 -- 6.07 15.8 6.07 Nov 27, 2019 Nov 27, 2019 WFC WELLS FARGO & COMPANY Financial Institutions Equity 77837.22 0.06675677554015316 77837.22 3799 3799 94988U128 US94988U1280 BMYVT83 20.49 United States -- USD 14.1 5.77 1 Dec 31, 2079 4.7 16.74 -- 5.77 16.74 5.77 Oct 28, 2020 Oct 28, 2020 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Utility Equity 77488.49 0.06645768867227533 77488.49 3171 3171 65339K860 US65339K8606 BH3JGK4 24.44 United States -- USD 6.19 5.83 1 Mar 01, 2079 5.65 16.33 -- 5.83 16.33 5.83 Mar 15, 2019 Mar 15, 2019 BKT BANKINTER SA Financials Equity 77402.5 0.06638393969808666 77402.5 9885 9885 S54740089 ES0113679I37 5474008 7.83 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jul 17, 1987 BAC BANK OF AMERICA NA (FRN) Banking Fixed Income 77167.05 0.06618200696203919 77167.05 768 768 06428CAD6 US06428CAD65 -- 100.42 United States -- USD 0.01 5.95 1 Aug 18, 2025 6.12 0.06 -- 5.92 0.06 5.92 Aug 18, 2023 Aug 18, 2023 URUGUA URUGUAY (ORIENTAL REPUBLIC OF) Treasuries Fixed Income 76730.32 0.06580744725163777 76730.32 28210 28210 760942BF8 US760942BF85 -- 2.72 Uruguay -- USD 6.04 9.07 38.36 Jul 20, 2033 9.75 5.94 -- 9.06 5.83 9.06 Jul 20, 2023 Jul 20, 2023 MS MORGAN STANLEY BANK NA Banking Fixed Income 76568.84 0.065668954585607 76568.84 763 763 61690U7V6 US61690U7V66 -- 100.4 United States -- USD 0.01 5.91 1 Jul 16, 2025 6.09 0.22 -- 5.88 0.22 5.88 Jul 21, 2023 Jul 21, 2023 TRTX TPG RE FINANCE TRUST INC Financials Equity 76491.74 0.06560283008380509 76491.74 10131 10131 87266M107 US87266M1071 BF2F1Q0 7.55 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- BAC BANK AMER DS REPRESENTING NON CU Financial Institutions Equity 76244 0.06539035687918245 76244 3302 3302 06053U601 US06053U6010 BJN6RX9 23.09 United States New York Stock Exchange Inc. USD 11.53 5.85 1 Dec 31, 2079 5.38 17.1 -- 5.85 16.35 5.85 Jun 25, 2019 Jun 25, 2019 IADB INTER-AMERICAN DEVELOPMENT BANK MTN Supranational Fixed Income 75979.46 0.0651634752228053 75979.46 762 762 4581X0EC8 US4581X0EC87 BPLGNQ8 99.66 Supranational -- USD 0 5.88 1 Feb 15, 2029 5.64 0.05 -- 5.88 0.05 5.88 Feb 15, 2022 Feb 15, 2022 IGO IGO LTD Materials Equity 75955.58 0.0651429946378114 75955.58 16058 16058 S64395676 AU000000IGO4 6439567 4.73 Australia Asx - All Markets USD 0 -- 1.538579890760828 -- 0 0 -- -- 0 -- -- Jan 18, 2002 EIB EUROPEAN INVESTMENT BANK 144A Supranational Fixed Income 75464.19 0.0647215560004516 75464.19 736 736 29878TFE9 US29878TFE91 -- 102.58 Supranational -- USD 0.05 5.78 1 May 21, 2028 6.34 0.07 -- 5.78 0.07 5.78 May 21, 2021 May 21, 2021 WFC WELLS FARGO & COMPANY Financial Institutions Equity 75430.29 0.06469248180316126 75430.29 4055 4055 95002Y400 US95002Y4008 BP91X65 18.6 United States -- USD 15.56 5.75 1 Dec 31, 2079 4.25 16.91 -- 5.75 16.91 5.75 Jul 27, 2021 Jul 27, 2021 2328 PICC PROPERTY AND CASUALTY LTD H Financials Equity 75018.17 0.06433902875928832 75018.17 58154 58154 S67062505 CNE100000593 6706250 1.29 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Nov 06, 2003 VIVT3 TELEFONICA BRASIL SA Communication Equity 74958.53 0.06428787875555983 74958.53 8130 8130 -- BRVIVTACNOR0 B6XFBX3 9.22 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Sep 23, 1998 055550 SHINHAN FINANCIAL GROUP LTD Financials Equity 74786.23 0.06414010636048241 74786.23 2364 2364 S63975023 KR7055550008 6397502 31.64 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Jan 30, 1992 TEVA TEVA PHARMACEUTICAL FINANCE NETHER Consumer Non-Cyclical Fixed Income 74773.02 0.0641287768576445 74773.02 807 807 88167AAE1 US88167AAE10 BYZ6VH4 92.67 Israel -- USD 2.3 6.45 1 Oct 01, 2026 3.15 2.28 -- 6.45 2.28 6.45 Jul 21, 2016 Jul 21, 2016 MS MORGAN STANLEY MTN Banking Fixed Income 74737.16 0.06409802167431614 74737.16 745 745 61747YEN1 US61747YEN13 -- 100.3 United States -- USD 0 6.27 1 Feb 18, 2026 6.29 0.06 -- 6.07 0.07 6.07 Feb 18, 2022 Feb 18, 2022 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 74631.28 0.06400721412242526 74631.28 746 746 89114TZF2 US89114TZF29 -- 100.04 Canada -- USD 0.01 5.74 1 Sep 10, 2024 5.68 0.12 -- 5.74 0.12 5.74 Sep 10, 2021 Sep 10, 2021 3702 WPG HOLDINGS LTD Information Technology Equity 74560.89 0.06394684442486577 74560.89 28677 28677 -- TW0003702007 B0P6L87 2.6 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- -- TNOTE TREASURY NOTE Treasuries Fixed Income 74253.95 0.06368359858072727 74253.95 748 748 91282CJC6 US91282CJC64 BQGH6H5 99.3 United States -- USD 2.3 4.93 1 Oct 15, 2026 4.63 2.3 -- 4.93 2.3 4.93 Oct 15, 2023 Oct 16, 2023 BWY MAUSER PACKAGING SOLUTIONS HOLDING 144A Capital Goods Fixed Income 74155.47 0.06359913760877588 74155.47 729 729 57763RAD9 US57763RAD98 -- 101.73 United States -- USD 1.99 7.23 1 Apr 15, 2027 7.88 2.61 -- 6.98 1.86 6.98 Apr 16, 2024 Apr 16, 2024 ALL ALLSTATE DEP REPSTG TH NON CUM PE Financial Institutions Equity 73425.09 0.0629727301687489 73425.09 2751 2751 020002788 US0200027888 BNBXR41 26.69 United States Non-Nms Quotation Service (Nnqs) USD 14.38 6.92 1 Dec 31, 2079 7.38 14.07 -- 6.92 14.07 6.92 May 15, 2023 May 15, 2023 SBLK STAR BULK CARRIERS CORP Industrials Equity 72909.52 0.06253055365261384 72909.52 2986 2986 -- MHY8162K2046 BD6NYK1 24.42 United States NASDAQ USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- JPM JPMORGAN CHASE & CO (FRN) Banking Fixed Income 72683.14 0.06233639976522193 72683.14 721 721 46647PCY0 US46647PCY07 -- 100.84 United States -- USD 0.01 6.45 1 Feb 24, 2028 6.52 0.07 -- 6.37 0.07 6.37 Feb 24, 2022 Feb 24, 2022 UBS UBS AG (LONDON BRANCH) 144A Banking Fixed Income 72552.55 0.06222439978220881 72552.55 725 725 902674YL8 US902674YL82 -- 100.05 Switzerland -- USD 0.01 5.78 1 Aug 09, 2024 5.79 0.04 -- 5.78 0.04 5.78 Aug 09, 2021 Aug 09, 2021 APO APOLLO GLOBAL MANAGEMENT INC Financial Institutions Equity 72397.7 0.06209159330874543 72397.7 2743 2743 03769M205 US03769M2052 BQC5ZW1 26.39 United States -- USD 3.61 7.5 1 Sep 15, 2053 7.63 3.75 -- 6.44 3.64 6.44 Aug 23, 2023 Aug 23, 2023 JPM JPMORGAN CHASE BANK NA Banking Fixed Income 72030.23 0.061776434155993834 72030.23 712 712 48125LRV6 US48125LRV61 -- 101.23 United States -- USD 0.02 5.99 1 Dec 08, 2026 6.33 0.11 -- 5.97 0.11 5.97 Dec 08, 2023 Dec 08, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 71787.89 0.06156859223943514 71787.89 723 723 91282CHY0 US91282CHY03 BKPLWF6 99.28 United States -- USD 2.22 4.95 1 Sep 15, 2026 4.63 2.22 -- 4.95 2.22 4.95 Sep 15, 2023 Sep 15, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 71761.6 0.06154604472773122 71761.6 790 790 91282CCP4 US91282CCP41 BMD9ZB3 90.83 United States -- USD 2.19 4.95 1 Jul 31, 2026 0.63 2.2 -- 4.95 2.2 4.95 Jul 31, 2021 Aug 02, 2021 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 71650.42 0.061450691652370174 71650.42 764 764 1248EPBT9 US1248EPBT92 BYM4WW3 93.77 United States -- USD 2.58 7.47 1 May 01, 2027 5.13 2.65 -- 7.47 2.65 7.47 Feb 06, 2017 Feb 06, 2017 JPM JPMORGAN CHASE & CO Financial Institutions Equity 71440.39 0.061270560276060766 71440.39 3307 3307 48128B622 US48128B6222 BK57WX2 21.6 United States -- USD 13.77 5.55 1 Dec 31, 2079 4.75 17.24 -- 5.55 17.24 5.55 Nov 07, 2019 Nov 07, 2019 270 GUANGDONG INVESTMENT LTD Utilities Equity 70887.4 0.060796290648934444 70887.4 150824 150824 S69131688 HK0270001396 6913168 0.47 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Aug 17, 1987 CPFE3 CPFL ENERGIA SA Utilities Equity 70605.55 0.060554563141374536 70605.55 10554 10554 -- BRCPFEACNOR0 B031NN3 6.69 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Oct 01, 2004 AAL AADVANTAGE LOYALTY IP LTD 144A Transportation Fixed Income 70125.1 0.060142507150573905 70125.1 723 723 00253XAB7 US00253XAB73 BM8H783 96.94 United States -- USD 3.18 6.77 1 Apr 20, 2029 5.75 3.2 -- 6.77 3.2 6.77 Mar 24, 2021 Mar 24, 2021 CMS CMS ENERGY CORPORATION Utility Equity 70035.21 0.06006541335722794 70035.21 2879 2879 125896845 US1258968452 BJJP666 24.33 United States -- USD 5.84 6.09 1 Mar 01, 2079 5.88 15.71 -- 6.09 15.71 6.09 Feb 20, 2019 Feb 20, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 69991.37 0.06002781415931619 69991.37 701 701 91282CJB8 US91282CJB81 BMX7M61 99.8 United States -- USD 1.36 5.15 1 Sep 30, 2025 5 1.36 -- 5.15 1.36 5.15 Sep 30, 2023 Oct 02, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 69667.7 0.05975021989863883 69667.7 706 706 91282CHU8 US91282CHU80 BRT3QF5 98.73 United States -- USD 2.15 4.96 1 Aug 15, 2026 4.38 2.15 -- 4.96 2.15 4.96 Aug 15, 2023 Aug 15, 2023 F FORD MOTOR COMPANY Industrial Equity 69654 0.05973847014929141 69654 2743 2743 345370811 US3453708113 BPJK038 25.39 United States -- USD 3.96 6.48 1 Aug 15, 2062 6.5 13.94 -- 6.45 2.92 6.45 Aug 15, 2022 Aug 15, 2022 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 69584.45 0.059678820874319645 69584.45 695 695 83368RBF8 US83368RBF82 -- 100.09 France -- USD 0.01 6.5 1 Jan 21, 2026 6.36 0.23 -- 6.44 0.23 6.44 Jan 19, 2022 Jan 19, 2022 ATH ATHENE HOLDING LTD Financial Institutions Equity 69303.56 0.059437916706859995 69303.56 2784 2784 04686J309 US04686J3095 BMG0ZK2 24.89 United States New York Stock Exchange Inc. USD 1.08 10.31 1 Dec 31, 2079 6.38 1.02 -- 7.22 1.1 7.22 Jun 11, 2020 Jun 11, 2020 NAB NATIONAL AUSTRALIA BANK LTD 144A Banking Fixed Income 69152.12 0.05930803480604441 69152.12 689 689 632525BF7 US632525BF73 -- 100.37 Australia -- USD 0.01 5.88 1 May 13, 2025 6.1 0.05 -- 5.88 0.05 5.88 Jun 13, 2023 Jun 13, 2023 316140 WOORI FINANCIAL GROUP INC Financials Equity 68911.15 0.05910136786442046 68911.15 6756 6756 -- KR7316140003 BGHWH98 10.2 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Nov 19, 2014 QRTEA QURATE RETAIL .0 CUMULATIVE REDEEM Industrial Equity 68789.01 0.058996614989581475 68789.01 1476 1476 74915M308 US74915M3088 BMH2T16 46.6 United States NASDAQ USD 4.27 17.51 1 Mar 15, 2031 8 4.13 -- 17.51 4.13 17.51 Sep 17, 2020 Sep 17, 2020 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 68363.33 0.0586315322667924 68363.33 684 684 14913R2R7 US14913R2R75 -- 100.01 United States -- USD 0.01 5.74 1 Sep 13, 2024 5.6 0.13 -- 5.74 0.13 5.74 Sep 14, 2021 Sep 14, 2021 1988 CHINA MINSHENG BANKING CORP LTD H Financials Equity 68306.25 0.0585825778366646 68306.25 189740 189740 -- CNE100000HF9 B57JY24 0.36 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Nov 26, 2009 C CITIBANK NA (FRN) Banking Fixed Income 68148.05 0.05844689824930971 68148.05 674 674 17325FBD9 US17325FBD96 -- 101.16 United States -- USD 0.02 6.07 1 Dec 04, 2026 6.39 0.1 -- 6.06 0.1 6.06 Dec 04, 2023 Dec 04, 2023 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 67795.13 0.05814421784495263 67795.13 674 674 92343VGE8 US92343VGE83 -- 100.57 United States -- USD 0.01 5.95 1 Mar 20, 2026 6.12 0.15 -- 5.95 0.15 5.95 Mar 22, 2021 Mar 22, 2021 SO SOUTHERN COMPANY (THE) Utility Equity 67788.97 0.05813893474597598 67788.97 3484 3484 842587883 US8425878837 BMGS0L2 19.46 United States -- USD 14.88 5.4 1 Oct 15, 2060 4.2 16.27 -- 5.4 16.27 5.4 Sep 18, 2020 Sep 18, 2020 TISCO.R TISCO FINANCIAL GROUP NON-VOTING D Financials Equity 67604.54 0.05798075910567343 67604.54 26102 26102 -- TH0999010R11 B3KFW10 2.59 Thailand Stock Exchange Of Thailand USD 0 -- 37.0175 -- 0 0 -- -- 0 -- -- Aug 20, 2001 BAC BANK OF AMERICA CORPORATION DEPOSI Financial Institutions Equity 67602.64 0.057979129578391665 67602.64 3105 3105 06055H202 US06055H2022 BKVJXF1 21.77 United States New York Stock Exchange Inc. USD 13.41 5.78 1 Dec 31, 2079 5 17.31 -- 5.78 16.5 5.78 Sep 17, 2019 Sep 17, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 67445.27 0.05784416183716512 67445.27 676 676 91282CHV6 US91282CHV63 BMGC3P9 99.79 United States -- USD 1.28 5.16 1 Aug 31, 2025 5 1.28 -- 5.16 1.28 5.16 Aug 31, 2023 Aug 31, 2023 ROSW ROCHE HOLDINGS INC FRN 144A Consumer Non-Cyclical Fixed Income 67429.85 0.05783093693680474 67429.85 672 672 771196CA8 US771196CA89 -- 100.36 Switzerland -- USD 0.01 5.6 1 Mar 10, 2025 5.89 0.12 -- 5.6 0.12 5.6 Mar 10, 2022 Mar 10, 2022 WFC WELLS FARGO BANK NA (FRN) Banking Fixed Income 67301.03 0.05772045498710147 67301.03 671 671 94988J6J1 US94988J6J16 -- 100.27 United States -- USD 0.01 6.04 1 Jan 15, 2026 6.02 0.22 -- 6.02 0.22 6.02 Jan 23, 2024 Jan 23, 2024 KIO KUMBA IRON ORE LTD Materials Equity 67114.51 0.05756048686678898 67114.51 2812 2812 S4341C103 ZAE000085346 B1G4262 23.87 South Africa Johannesburg Stock Exchange USD 0 -- 19.06 -- 0 0 -- -- 0 -- -- Nov 20, 2006 IBRD INTERNATIONAL BANK FOR RECONSTRUCT MTN Supranational Fixed Income 67083.98 0.05753430293630892 67083.98 671 671 45906M2B6 US45906M2B63 -- 100.04 Supranational -- USD 0.02 5.46 1 Jun 17, 2024 6 0.14 -- 5.46 0.14 5.46 Jun 16, 2020 Jun 16, 2020 TDG TRANSDIGM INC 144A Capital Goods Fixed Income 66809.8 0.0572991535730917 66809.8 675 675 893647BU0 US893647BU00 BNM6H94 98.99 United States -- USD 3.46 6.62 1 Mar 01, 2029 6.38 4.07 -- 6.62 4.07 6.62 Feb 27, 2024 Feb 27, 2024 MET METLIFE INC Financial Institutions Equity 66674.4 0.05718302831311791 66674.4 2769 2769 59156R504 US59156R5046 B0B87W3 24.08 United States New York Stock Exchange Inc. USD -0.02 7.06 1 Dec 31, 2079 6.59 15.86 -- 7.06 15.86 7.06 Jun 13, 2005 Jun 13, 2005 SERBGB SERBIA (REPUBLIC OF) Treasuries Fixed Income 66605.69 0.05712409946073387 66605.69 71619 71619 -- RSMFRSD55940 BDFJY66 0.93 Serbia -- USD 3.39 5.22 109.36 Feb 08, 2028 5.88 3.3 -- 5.22 3.3 5.22 Feb 08, 2018 Feb 08, 2018 TNOTE TREASURY NOTE Treasuries Fixed Income 66471.35 0.057008883305454124 66471.35 676 676 91282CHH7 US91282CHH79 BRXDCY2 98.28 United States -- USD 1.99 4.98 1 Jun 15, 2026 4.13 1.99 -- 4.98 1.99 4.98 Jun 15, 2023 Jun 15, 2023 SBMO SBM OFFSHORE NV Energy Equity 66398.83 0.05694668682204719 66398.83 4394 4394 -- NL0000360618 B156T57 15.11 Netherlands Euronext Amsterdam USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 02, 1985 EIX SCE TRUST VII Utility Equity 66320.54 0.05687954172157933 66320.54 2507 2507 783892201 US7838922018 BLFB156 26.45 United States -- USD 4.19 7.15 1 Dec 31, 2079 7.5 13.59 -- 6.29 3.84 6.29 Nov 22, 2023 Nov 22, 2023 SERBGB SERBIA (REPUBLIC OF) Treasuries Fixed Income 66208.47 0.056783425341333675 66208.47 72757 72757 -- RSMFRSD89592 BKBD201 0.91 Serbia -- USD 1.63 5.06 109.36 Jan 11, 2026 4.5 1.59 -- 5.06 1.59 5.06 Jan 11, 2019 Jan 11, 2019 EMECLI EMRLD BORROWER LP 144A Capital Goods Fixed Income 65997.23 0.05660225621343956 65997.23 667 667 29103CAA6 US29103CAA62 -- 98.94 United States -- USD 4.02 6.82 1 Dec 15, 2030 6.63 5.17 -- 6.82 5.17 6.82 May 19, 2023 May 19, 2023 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 65674.05 0.05632508219927171 65674.05 655 655 63743HFQ0 US63743HFQ02 -- 100.3 United States -- USD 0.02 6.19 1 Feb 05, 2027 6.14 0.02 -- 6.19 0.02 6.19 Feb 05, 2024 Feb 05, 2024 BRES BARWA REAL ESTATE Real Estate Equity 65357.88 0.0560539202831276 65357.88 83792 83792 -- QA000A0KD6J5 B0YTG26 0.78 Qatar Qatar Exchange USD 0 -- 3.641 -- 0 0 -- -- 0 -- -- Feb 09, 2006 BRAP4 BRADESPAR PREF SA Materials Equity 65348.52 0.05604589271715009 65348.52 16135 16135 -- BRBRAPACNPR2 B01SCS4 4.05 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Aug 11, 2000 INTEL INTELSAT JACKSON HOLDINGS SA 144A Communications Fixed Income 65330.92 0.056030798148645374 65330.92 728 728 45824TBC8 US45824TBC80 -- 89.75 Luxembourg -- USD 4.38 8.76 1 Mar 15, 2030 6.5 4.68 -- 8.76 4.68 8.76 Jan 27, 2022 Jan 27, 2022 WFC WELLS FARGO & COMPANY Financial Institutions Equity 65200.83 0.05591922698860114 65200.83 3394 3394 95002Y202 US95002Y2028 BL5C513 19.21 United States New York Stock Exchange Inc. USD 15.11 5.73 1 Dec 31, 2079 4.38 16.92 -- 5.73 16.92 5.73 Feb 01, 2021 Feb 01, 2021 UNIT UNITI GROUP LP 144A Communications Fixed Income 65135.9 0.05586354003786186 65135.9 631 631 91327TAA9 US91327TAA97 -- 103.25 United States -- USD 2.45 9.46 1 Feb 15, 2028 10.5 3.06 -- 9.19 2.43 9.19 Feb 14, 2023 Feb 14, 2023 CHSINC CHS CUMULATIVE REDEEMABLE PREF CLA Industrial Equity 65093.14 0.055826867097562904 65093.14 2460 2460 12542R308 US12542R3084 BF2H7L3 26.46 United States NASDAQ USD 0.15 7.5 1 Dec 31, 2079 7.88 13.06 -- -5 0.1 -5 Sep 26, 2013 Sep 26, 2013 ATH ATHENE HOLDING LTD Financial Institutions Equity 65040.14 0.0557814118628612 65040.14 2626 2626 04686J838 US04686J8383 BSLKYN5 24.77 United States -- USD 3.58 7.77 1 Mar 30, 2064 7.25 3.92 -- 7.77 3.92 7.77 Mar 07, 2024 Mar 07, 2024 WCC WESCO INTERNATIONAL DS REP1 CUM P Industrial Equity 65016.21 0.05576088839557041 65016.21 2462 2462 95082P303 US95082P3038 BLFBXS3 26.41 United States New York Stock Exchange Inc. USD 1.06 13.94 1 Dec 31, 2079 10.63 0.49 -- 6.25 1.07 6.25 Jun 22, 2020 Jun 22, 2020 IG ITALGAS Utilities Equity 64960.17 0.05571282591721789 64960.17 11832 11832 -- IT0005211237 BD2Z8S7 5.49 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Nov 07, 2016 GRND3 GRENDENE SA Consumer Discretionary Equity 64933.34 0.05568981527670758 64933.34 55499 55499 -- BRGRNDACNOR3 B03L0B0 1.17 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Oct 29, 2004 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 64881.73 0.05564555216985937 64881.73 642 642 13607LWU3 US13607LWU33 -- 101.06 Canada -- USD 0.03 6.25 1 Oct 02, 2026 6.55 0.18 -- 6.25 0.18 6.25 Oct 03, 2023 Oct 03, 2023 JPM JPMORGAN CHASE & CO (FRN) Banking Fixed Income 64710.56 0.05549874891469163 64710.56 645 645 46647PCX2 US46647PCX24 -- 100.37 United States -- USD 0.01 6.22 1 Feb 24, 2026 6.26 0.07 -- 5.99 0.08 5.99 Feb 24, 2022 Feb 24, 2022 HSBC HSBC HOLDINGS PLC (FRN) Banking Fixed Income 64699.97 0.05548966644421066 64699.97 636 636 404280DY2 US404280DY28 -- 101.68 United Kingdom -- USD 0.03 6.53 1 Aug 14, 2027 6.91 0.04 -- 6.3 0.04 6.3 Aug 14, 2023 Aug 14, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 64653.8 0.05545006893126392 64653.8 694 694 912828V98 US912828V988 BYPG9T2 93.19 United States -- USD 2.66 4.87 1 Feb 15, 2027 2.25 2.66 -- 4.87 2.66 4.87 Feb 15, 2017 Feb 15, 2017 JXN JACKSON FINANCIAL INC Financial Institutions Equity 64024.72 0.05491054102473283 64024.72 2470 2470 46817M206 US46817M2061 BMW6VL7 25.92 United States -- USD 3.32 8.14 1 Dec 31, 2079 8 3.15 -- 7.14 0.1 7.14 Mar 13, 2023 Mar 13, 2023 MS MORGAN STANLEY BANK NA (FRN) Banking Fixed Income 63985.3 0.054876732621866015 63985.3 635 635 61690U7Z7 US61690U7Z70 -- 100.76 United States -- USD 0.02 6.36 1 Jan 14, 2028 6.39 0.21 -- 6.28 0.21 6.28 Jan 18, 2024 Jan 18, 2024 LIF LABRADOR IRON ORE ROYALTY CORP Materials Equity 63887.68 0.0547930092254211 63887.68 2874 2874 505440107 CA5054401073 B8L02P3 22.23 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Nov 29, 1996 ELPE HELLENIQ ENERGY HOLDINGS S A SA Energy Equity 63822.29 0.05473692775755046 63822.29 7212 7212 S54756580 GRS298343005 5475658 8.85 Greece Athens Exchange S.A. Cash Market USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jul 01, 1998 TNOTE TREASURY NOTE Treasuries Fixed Income 63801.98 0.05471950896855439 63801.98 693 693 91282CEC1 US91282CEC10 BP94LV5 92.11 United States -- USD 2.71 4.88 1 Feb 28, 2027 1.88 2.71 -- 4.88 2.71 4.88 Feb 28, 2022 Feb 28, 2022 ORC ORCHID ISLAND CAPITAL INC Financials Equity 63779.42 0.05470016047619834 63779.42 7602 7602 68571X301 US68571X3017 BMYSHK2 8.39 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- HSBC HSBC HOLDINGS PLC Banking Fixed Income 63692.37 0.05462550239731564 63692.37 631 631 404280BW8 US404280BW89 BGLRQC5 100.96 United Kingdom -- USD 0.14 6.69 1 Sep 12, 2026 6.96 0.12 -- 6.38 0.12 6.38 Sep 12, 2018 Sep 12, 2018 TNOTE TREASURY NOTE Treasuries Fixed Income 63505.19 0.05446496823068423 63505.19 695 695 912828Z78 US912828Z781 BK9RKM3 91.34 United States -- USD 2.65 4.88 1 Jan 31, 2027 1.5 2.64 -- 4.88 2.64 4.88 Jan 31, 2020 Jan 31, 2020 CSMG3 COMPANHIA DE SANEAMENTO DE MINAS G Utilities Equity 63335.76 0.0543196572794482 63335.76 15410 15410 -- BRCSMGACNOR5 B0YBZJ2 4.11 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Feb 08, 2006 BAC BANK OF AMERICA CORP Financial Institutions Equity 63298.2 0.05428744409802563 63298.2 2503 2503 060505179 US0605051798 BF2PL60 25.29 United States -- USD 0.47 6.45 1 Dec 15, 2086 6.45 14.18 -- -5 0.08 -5 Oct 18, 2018 Oct 18, 2018 JPM JPMORGAN CHASE & CO (FRN) Banking Fixed Income 63277.69 0.05426985377984201 63277.69 627 627 46647PDZ6 US46647PDZ62 -- 100.93 United States -- USD 0.02 6.43 1 Jan 23, 2028 6.51 0.23 -- 6.32 0.23 6.32 Jan 23, 2024 Jan 23, 2024 PRU PRUDENTIAL FINANCIAL INC Financial Institutions Equity 63264.01 0.054258121183413346 63264.01 2587 2587 744320805 US7443208050 BG844G9 24.45 United States -- USD 6.07 5.82 1 Aug 15, 2058 5.63 14.7 -- 5.82 14.7 5.82 Aug 13, 2018 Aug 13, 2018 1038 CHEUNG KONG INFRASTRUCTURE HOLDING Utilities Equity 63158.91 0.05416798259535393 63158.91 11081 11081 -- BMG2178K1009 BYVS6J1 5.7 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jul 17, 1996 ABDN ABRDN PLC Financials Equity 63136.47 0.054148737020510415 63136.47 35873 35873 -- GB00BF8Q6K64 BF8Q6K6 1.76 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Jul 10, 2006 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 63020.05 0.05404888988043546 63020.05 629 629 05565ECD5 US05565ECD58 -- 100.23 Germany -- USD 0.01 5.94 1 Aug 11, 2025 5.96 0.04 -- 5.94 0.04 5.94 Aug 11, 2023 Aug 11, 2023 AXP AMERICAN EXPRESS COMPANY (FRN) Banking Fixed Income 62947.7 0.05398683919683795 62947.7 628 628 025816DJ5 US025816DJ56 -- 100.29 United States -- USD 0.02 6.35 1 Jul 28, 2027 6.57 0 -- 6.29 0 6.29 Jul 28, 2023 Jul 28, 2023 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 62924.76 0.05396716479902555 62924.76 627 627 02665WES6 US02665WES61 -- 100.32 United States -- USD 0.01 6.05 1 Oct 03, 2025 6.11 0.18 -- 6.05 0.18 6.05 Oct 04, 2023 Oct 04, 2023 TRPL4 CTEEP COMPANHIA DE TRANSMISSAO DE Utilities Equity 62912.39 0.05395655571877536 62912.39 12892 12892 S24409724 BRTRPLACNPR1 2440972 4.88 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Jul 26, 1999 8016 SITRONIX TECHNOLOGY CORP Information Technology Equity 62910.05 0.053954548827280985 62910.05 7543 7543 S67187724 TW0008016007 6718772 8.34 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Dec 25, 2003 TNOTE TREASURY NOTE Treasuries Fixed Income 62609.56 0.05369683479944108 62609.56 670 670 912828R36 US912828R366 BYZ2XV0 93.48 United States -- USD 1.96 5 1 May 15, 2026 1.63 1.96 -- 5 1.96 5 May 15, 2016 May 16, 2016 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 62600.67 0.05368921032705433 62600.67 750 750 1248EPCD3 US1248EPCD32 BK6WV51 83.49 United States -- USD 4.88 8.38 1 Mar 01, 2030 4.75 4.85 -- 8.38 4.85 8.38 Oct 01, 2019 Oct 01, 2019 USB US BANCORP Financial Institutions Equity 62585.35 0.05367607119128772 62585.35 2662 2662 902973759 US9029737593 BDT6C58 23.51 United States New York Stock Exchange Inc. USD 10.02 5.86 1 Dec 31, 2079 5.5 16.44 -- 5.86 16.44 5.86 Aug 14, 2018 Aug 14, 2018 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL MTN 144A Banking Fixed Income 62513.6 0.053614535095252866 62513.6 625 625 06675FAW7 US06675FAW77 -- 99.95 France -- USD 0.02 5.99 1 Feb 04, 2025 5.75 0.02 -- 5.99 0.02 5.99 Oct 04, 2021 Oct 04, 2021 CU CANADIAN UTILITIES LTD CLASS A Utilities Equity 62480.92 0.05358650722600661 62480.92 2796 2796 136717832 CA1367178326 2172639 22.35 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Dec 18, 1989 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN 144A Banking Fixed Income 62476.55 0.053582759313258566 62476.55 623 623 05252ADH1 US05252ADH14 -- 100.33 Australia -- USD 0.01 5.89 1 Oct 03, 2025 5.96 0.18 -- 5.89 0.18 5.89 Oct 03, 2023 Oct 03, 2023 SYF SYNCHRONY FINANCIAL Financial Institutions Equity 62193.88 0.053340328536029685 62193.88 3430 3430 87165B202 US87165B2025 BK77YC3 18.13 United States -- USD 11.67 7.88 1 Dec 31, 2079 5.63 12.5 -- 7.88 12.5 7.88 Nov 14, 2019 Nov 14, 2019 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 62139.5 0.05329368974993386 62139.5 618 618 44891ACS4 US44891ACS42 -- 100.62 United States -- USD 0.02 6.42 1 Nov 03, 2025 6.66 0.02 -- 6.42 0.02 6.42 Nov 03, 2023 Nov 03, 2023 BPSO BANCA POPOLARE DI SONDRIO Financials Equity 61996.65 0.053171175027723706 61996.65 7779 7779 S41152232 IT0000784196 4115223 7.97 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Sep 09, 1992 TOYOTA TOYOTA MOTOR CREDIT CORP (FLOAT) MTN Consumer Cyclical Fixed Income 61975.39 0.053152941475086764 61975.39 616 616 89236TKV6 US89236TKV60 -- 100.69 United States -- USD 0.02 6.03 1 May 18, 2026 6.23 0.06 -- 6.03 0.06 6.03 May 18, 2023 May 18, 2023 KEY KEYCORP Financial Institutions Equity 61858.82 0.053052965688121144 61858.82 2795 2795 493267843 US4932678430 BPLPQT9 22.13 United States -- USD 2.46 8.53 1 Dec 31, 2079 6.2 2.93 -- 8.53 3.07 8.53 Aug 24, 2022 Aug 24, 2022 HSBC HSBC USA INC Banking Fixed Income 61823.63 0.05302278512757109 61823.63 615 615 40428HA51 US40428HA513 -- 100.51 United States -- USD 0.02 6.26 1 Mar 04, 2027 6.3 0.1 -- 6.26 0.1 6.26 Mar 04, 2024 Mar 04, 2024 NEE NEXTERA ENERGY CAPITAL HOLD (FRN) Electric Fixed Income 61523.65 0.05276550849915945 61523.65 614 614 65339KCR9 US65339KCR95 -- 100.23 United States -- USD 0.01 6.13 1 Jan 29, 2026 6.11 0.01 -- 6.13 0.01 6.13 Jan 31, 2024 Jan 31, 2024 A2A A2A Utilities Equity 61342.29 0.052609965831885847 61342.29 31949 31949 S54991310 IT0001233417 5499131 1.92 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jul 22, 1998 TNOTE TREASURY NOTE Treasuries Fixed Income 61241.86 0.05252383245035581 61241.86 664 664 91282CBT7 US91282CBT71 BMDNPN7 92.24 United States -- USD 1.87 5.02 1 Mar 31, 2026 0.75 1.87 -- 5.02 1.87 5.02 Mar 31, 2021 Mar 31, 2021 USB US BANCORP Financial Institutions Equity 61198.97 0.05248704801608494 61198.97 3511 3511 902973718 US9029737189 BMFDGD2 17.43 United States -- USD 16.56 5.75 1 Dec 31, 2079 4 17.08 -- 5.75 17.08 5.75 Feb 02, 2021 Feb 02, 2021 LNC LINCOLN NATIONAL CORPORATION Financial Institutions Equity 61055.37 0.05236389005942146 61055.37 2246 2246 534187885 US5341878859 BP398R1 27.19 United States -- USD 3.07 8.38 1 Dec 31, 2079 9 11.93 -- 6.72 3.05 6.72 Nov 22, 2022 Nov 22, 2022 TNOTE TREASURY NOTE Treasuries Fixed Income 61016.93 0.052330922149573654 61016.93 626 626 91282CFE6 US91282CFE66 BQHM4C0 97.47 United States -- USD 1.25 5.14 1 Aug 15, 2025 3.13 1.25 -- 5.14 1.25 5.14 Aug 15, 2022 Aug 15, 2022 PEP PEPSICO SINGAPORE FINANCING I PTE Consumer Non-Cyclical Fixed Income 61011.91 0.05232661676696606 61011.91 610 610 713466AE0 US713466AE09 -- 100.01 United States -- USD 0 6.06 1 Feb 16, 2027 5.93 0.05 -- 6.06 0.05 6.06 Feb 16, 2024 Feb 16, 2024 PSA PUBLIC STORAGE OPERATING CO Reits Fixed Income 60819.56 0.05216164857083639 60819.56 606 606 74464AAA9 US74464AAA97 -- 100.38 United States -- USD 0.02 6.05 1 Apr 16, 2027 6.01 0.22 -- 6.05 0.22 6.05 Apr 16, 2024 Apr 16, 2024 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK Banking Fixed Income 60808.98 0.0521525746768148 60808.98 608 608 21688ABE1 US21688ABE10 -- 100.06 Netherlands -- USD 0.01 6.18 1 Mar 05, 2027 6.04 0.1 -- 6.18 0.1 6.18 Mar 05, 2024 Mar 05, 2024 ULTI UKG INC 144A Technology Fixed Income 60787.47 0.052134126712693414 60787.47 607 607 90279XAA0 US90279XAA00 -- 100.15 United States -- USD 4.24 6.84 1 Feb 01, 2031 6.88 5.27 -- 6.83 3.95 6.83 Feb 09, 2024 Feb 09, 2024 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 60768.39 0.0521177628282008 60768.39 603 603 21688AAZ5 US21688AAZ57 -- 100.7 Netherlands -- USD 0.02 6.09 1 Oct 05, 2026 6.22 0.19 -- 6.09 0.19 6.09 Oct 05, 2023 Oct 05, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 60765.13 0.052114966902443674 60765.13 626 626 9128285C0 US9128285C00 BFM0VV0 97.08 United States -- USD 1.37 5.14 1 Sep 30, 2025 3 1.37 -- 5.14 1.37 5.14 Sep 30, 2018 Oct 01, 2018 CHSINC CHS INC Industrial Equity 60749.38 0.05210145897892383 60749.38 2373 2373 12542R803 US12542R8034 BVDPSJ3 25.6 United States NASDAQ USD 0.83 7.36 1 Dec 31, 2079 7.5 13.27 -- 4.92 0.71 4.92 Jan 21, 2015 Jan 21, 2015 IVR INVESCO MORTGAGE CAPITAL REIT INC Financials Equity 60733.51 0.052087848137891454 60733.51 7204 7204 46131B704 US46131B7047 BNBV530 8.43 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- TAEE11 TRANSMISSORA ALIANCA ENERGIA ELETR Utilities Equity 60701.99 0.052060815137933 60701.99 8953 8953 -- BRTAEECDAM10 B1G8KX7 6.78 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Oct 27, 2006 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 60630.75 0.051999716441326414 60630.75 605 605 57629TBR7 US57629TBR77 -- 100.16 United States -- USD 0.01 6.21 1 Jan 29, 2027 6.12 0.01 -- 6.21 0.01 6.21 Jan 29, 2024 Jan 29, 2024 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 60517.81 0.0519028539091149 60517.81 604 604 58769JAN7 US58769JAN72 -- 100.16 Germany -- USD 0.01 6.07 1 Jan 09, 2026 5.99 0.2 -- 6.07 0.2 6.07 Jan 11, 2024 Jan 11, 2024 ATH ATHENE HLDG LTD DEP SHR REPSTG I Financial Institutions Equity 60393.81 0.05179650581283167 60393.81 2323 2323 04686J507 US04686J5074 BPLKV33 26 United States New York Stock Exchange Inc. USD 3.3 8.22 1 Dec 31, 2079 7.75 2.97 -- 6.74 3.12 6.74 Dec 12, 2022 Dec 12, 2022 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 60321.94 0.05173486679928428 60321.94 602 602 02665WFB2 US02665WFB28 -- 100.15 United States -- USD 0.01 5.98 1 Aug 14, 2025 5.94 0.05 -- 5.98 0.05 5.98 Feb 14, 2024 Feb 14, 2024 VENLNG VENTURE GLOBAL LNG INC 144A Energy Fixed Income 60239.56 0.051664213926930956 60239.56 591 591 92332YAB7 US92332YAB74 -- 101.86 United States -- USD 3.68 8.02 1 Jun 01, 2031 8.38 5.13 -- 7.83 3.32 7.83 May 26, 2023 May 26, 2023 MAERSK A A P MOLLER MAERSK Industrials Equity 60200.11 0.05163037979468601 60200.11 44 44 S42530592 DK0010244425 4253059 1368.94 Denmark Omx Nordic Exchange Copenhagen A/S USD 0 -- 6.9616 -- 0 0 -- -- 0 -- -- Mar 29, 1988 VENLNG VENTURE GLOBAL LNG INC 144A Energy Fixed Income 60074.73 0.05152284814700866 60074.73 591 591 92332YAA9 US92332YAA91 -- 101.63 United States -- USD 2.6 7.65 1 Jun 01, 2028 8.13 3.34 -- 7.52 2.62 7.52 May 26, 2023 May 26, 2023 TDG TRANSDIGM INC Capital Goods Fixed Income 60044.55 0.05149696439260682 60044.55 620 620 893647BL0 US893647BL01 -- 96.83 United States -- USD 2.39 6.51 1 Nov 15, 2027 5.5 3.09 -- 6.51 3.09 6.51 May 15, 2020 Jun 12, 2020 CMIN3 CSN MINERACAO SA Materials Equity 60016.64 0.051473027494483715 60016.64 62517 62517 -- BRCMINACNOR2 BKZ72K9 0.96 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Feb 18, 2021 BCULC 1011778 BC UNLIMITED LIABILITY CO 144A Consumer Cyclical Fixed Income 59995.79 0.05145514557668125 59995.79 699 699 68245XAM1 US68245XAM11 -- 85.88 Canada -- USD 5.35 6.73 1 Oct 15, 2030 4 5.5 -- 6.73 5.5 6.73 Oct 05, 2020 Oct 05, 2020 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 59983.13 0.05144428777910911 59983.13 599 599 24422EXJ3 US24422EXJ36 -- 100.19 United States -- USD 0.02 5.83 1 Oct 22, 2025 5.79 0.24 -- 5.83 0.24 5.83 Jan 23, 2024 Jan 23, 2024 AGNC AGNC INVESTMENT CORP Financial Institutions Equity 59963.02 0.051427040519300596 59963.02 2582 2582 00123Q872 US00123Q8722 BK8ZYQ0 23.22 United States -- USD 0.92 10.8 1 Dec 31, 2079 6.13 0.67 -- 14.54 0.88 14.54 Feb 11, 2020 Feb 11, 2020 ICL ICL GROUP LTD Materials Equity 59903.63 0.051376104927056555 59903.63 13051 13051 S64555303 IL0002810146 6455530 4.59 Israel Tel Aviv Stock Exchange USD 0 -- 3.80395 -- 0 0 -- -- 0 -- -- Nov 29, 1994 IADB INTER-AMERICAN DEVELOPMENT BANK MTN Supranational Fixed Income 59766.08 0.05125813572831657 59766.08 597 597 4581X0DR6 US4581X0DR65 -- 100.07 Supranational -- USD 0.01 5.61 1 Feb 04, 2025 5.69 0.02 -- 5.61 0.02 5.61 Nov 04, 2020 Nov 04, 2020 MUFG MITSUBISHI UFJ FINANCIAL GRP (FRN) Banking Fixed Income 59723.73 0.05122181442285209 59723.73 596 596 606822CW2 US606822CW26 -- 100.24 Japan -- USD 0.04 6.32 1 Feb 20, 2026 6.28 0.06 -- 6.18 0.06 6.18 Feb 22, 2023 Feb 22, 2023 WFC WELLS FARGO BANK NA Banking Fixed Income 59469.62 0.05100387801360587 59469.62 587 587 94988J6G7 US94988J6G76 -- 101.24 United States -- USD 0.02 6.06 1 Dec 11, 2026 6.4 0.12 -- 6.04 0.12 6.04 Dec 11, 2023 Dec 11, 2023 HIMX HIMAX TECHNOLOGIES ADR REPTG INC Information Technology Equity 59444.74 0.050982539782674204 59444.74 11985 11985 43289P106 US43289P1066 B126TB6 4.96 Taiwan NASDAQ USD 0 -- 1 -- 0 0 -- -- 0 -- -- Mar 31, 2006 DVA DAVITA INC 144A Consumer Non-Cyclical Fixed Income 59413.06 0.050955369559365714 59413.06 681 681 23918KAS7 US23918KAS78 BMW7NB4 87.2 United States -- USD 5 7.26 1 Jun 01, 2030 4.63 5.03 -- 7.26 5.03 7.26 Jun 09, 2020 Jun 09, 2020 ALL ALLSTATE CORPORATION (THE) Financial Institutions Equity 59296.33 0.05085525654905006 59296.33 2293 2293 020002309 US0200023093 B87XV26 25.86 United States New York Stock Exchange Inc. USD 0.15 8.67 1 Jan 15, 2053 8.76 0.11 -- -5 0.1 -5 Jan 10, 2013 Jan 10, 2013 URUGUA URUGUAY (ORIENTAL REPUBLIC OF) RegS Treasuries Fixed Income 59280.7 0.05084185154304274 59280.7 23157 23157 -- USP80557BV53 BDH4834 2.56 Uruguay -- USD 3.31 9.1 38.36 Mar 15, 2028 8.5 3.21 -- 9.1 3.21 9.1 Sep 15, 2017 Sep 15, 2017 TFC TRUIST FINANCIAL PERPETUAL PREF SE Financial Institutions Equity 59154.44 0.05073356516694016 59154.44 2628 2628 89832Q745 US89832Q7455 BMFYGG8 22.51 United States New York Stock Exchange Inc. USD 12.62 5.88 1 Dec 31, 2079 5.25 16.99 -- 5.88 16.2 5.88 May 27, 2020 May 27, 2020 RBC RBC BEARINGS INC Industrial Equity 58971.53 0.05057669314846301 58971.53 526 526 75524B203 US75524B2034 BP6RTH9 112.16 United States -- USD 0.1 4.46 1 Oct 15, 2024 5 0.49 -- 4.46 0.49 4.46 Sep 24, 2021 Sep 24, 2021 144 CHINA MERCHANTS PORT HOLDINGS LTD Industrials Equity 58685.72 0.05033156936298955 58685.72 44459 44459 S64161391 HK0144000764 6416139 1.32 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Sep 14, 1992 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 58370.26 0.05006101637546125 58370.26 580 580 6944PL2V0 US6944PL2V05 -- 100.65 United States -- USD 0.02 6.21 1 Jul 28, 2026 6.65 0 -- 6.21 0 6.21 Jul 28, 2023 Jul 28, 2023 BMO BANK OF MONTREAL MTN Banking Fixed Income 58290.86 0.04999291928800248 58290.86 579 579 06368LWV4 US06368LWV43 -- 100.61 Canada -- USD 0.02 5.96 1 Sep 25, 2025 6.28 0.16 -- 5.96 0.16 5.96 Sep 25, 2023 Sep 25, 2023 HLAG HAPAG LLOYD AG Industrials Equity 58288.99 0.04999131549009885 58288.99 319 319 -- DE000HLAG475 BYZTSW7 182.44 Germany Xetra USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Oct 30, 2015 NLSN NEPTUNE BIDCO US INC 144A Technology Fixed Income 58217.42 0.04992993377033279 58217.42 620 620 640695AA0 US640695AA01 -- 93.83 United States -- USD 3.71 10.93 1 Apr 15, 2029 9.29 3.84 -- 10.93 3.84 10.93 Nov 16, 2022 Nov 16, 2022 EUR EUR CASH Cash and/or Derivatives Cash 58200.18 0.04991514795436568 58200.18 543 543 -- -- -- 107.13 European Union -- USD 0 3.86 0.933445346774946 -- 0 0 -- 3.86 0 3.86 -- Jan 01, 1989 SANB11 BANCO SANTANDER BRASIL UNITS SA Financials Equity 58172.3 0.049891236785620706 58172.3 11340 11340 -- BRSANBCDAM13 B4V5RY4 5.13 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Oct 07, 2009 GWO GREAT WEST LIFECO INC Financials Equity 58163.79 0.0498839382186903 58163.79 1984 1984 39138C106 CA39138C1068 2384951 29.32 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Dec 18, 1989 BAC BANK OF AMERICA CORP Financial Institutions Equity 57903.11 0.04966036707563294 57903.11 3100 3100 06055H806 US06055H8060 BMH4QB1 18.68 United States New York Stock Exchange Inc. USD 15.49 5.75 1 Dec 31, 2079 4.25 16.84 -- 5.75 16.84 5.75 Oct 26, 2021 Oct 26, 2021 BPCEGP BPCE SA 144A Banking Fixed Income 57900.87 0.04965844594873234 57900.87 576 576 05571AAN5 US05571AAN54 -- 100.6 France -- USD 0.02 6.01 1 Sep 25, 2025 6.29 0.16 -- 6.01 0.16 6.01 Sep 25, 2023 Sep 25, 2023 LOG LOGISTA CIA DE DISTRIBUCION INTEGR Industrials Equity 57753.93 0.04953242345463671 57753.93 2124 2124 -- ES0105027009 BP3QYZ2 27.19 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- -- USB US BANCORP Financial Institutions Equity 57750.97 0.049529884822660915 57750.97 66 66 902973866 US9029738666 B617Z40 880 United States New York Stock Exchange Inc. USD -1.27 7.72 1 Dec 31, 2079 6.61 14.75 -- 7.72 14.75 7.72 Jun 07, 2010 Jun 10, 2010 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 57525.01 0.049336091146562865 57525.01 574 574 64953BBB3 US64953BBB36 -- 100.28 United States -- USD 0.01 5.85 1 May 02, 2025 5.99 0.02 -- 5.85 0.02 5.85 May 02, 2023 May 02, 2023 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 57498.54 0.04931338925859015 57498.54 575 575 86563VAX7 US86563VAX73 -- 100.02 Japan -- USD 0.02 5.92 1 Sep 16, 2024 5.77 0.14 -- 5.92 0.14 5.92 Sep 16, 2021 Sep 16, 2021 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 57247.96 0.049098480339504244 57247.96 571 571 928668BY7 US928668BY79 -- 100.3 Germany -- USD 0.01 6.2 1 Sep 12, 2025 6.26 0.13 -- 6.2 0.13 6.2 Sep 12, 2023 Sep 12, 2023 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN 144A Banking Fixed Income 57161.5 0.04902432827172482 57161.5 570 570 05252ADG3 US05252ADG31 -- 100.37 Australia -- USD 0.01 5.9 1 Jul 03, 2025 6.07 0.18 -- 5.9 0.18 5.9 Jul 03, 2023 Jul 03, 2023 AQNCN ALGONQUIN POWER AND UTILITIES UNIT Utility Equity 57039.83 0.04891997849047659 57039.83 2664 2664 015857873 US0158578734 BMFBWZ0 21.41 Canada Non-Nms Quotation Service (Nnqs) USD 0 50 1 Jun 15, 2024 7.75 0.13 -- 50 0.13 50 Jun 23, 2021 Jun 23, 2021 UBS UBS AG (LONDON BRANCH) Banking Fixed Income 56993.86 0.0488805525067174 56993.86 567 567 902674ZX1 US902674ZX12 -- 100.53 Switzerland -- USD 0.02 6.02 1 Sep 11, 2025 6.26 0.12 -- 6.02 0.12 6.02 Sep 11, 2023 Sep 11, 2023 THC TENET HEALTHCARE CORPORATION Consumer Non-Cyclical Fixed Income 56919.62 0.048816880872297505 56919.62 580 580 88033GDK3 US88033GDK31 -- 98.08 United States -- USD 2.57 6.63 1 Oct 01, 2028 6.13 3.8 -- 6.63 3.8 6.63 Sep 16, 2020 Sep 16, 2020 RF REGIONS FINANCIAL CORPORATION Financial Institutions Equity 56764.61 0.04868393717548409 56764.61 2286 2286 7591EP506 US7591EP5063 BLZHDQ9 24.83 United States New York Stock Exchange Inc. USD 0.37 9.26 1 Dec 31, 2079 6.38 0.21 -- 9.26 0.37 9.26 Apr 29, 2014 Apr 29, 2014 SYF SYNCHRONY FINANCIAL Financial Institutions Equity 56691.1 0.048620891622598764 56691.1 2284 2284 87165B400 US87165B4005 BSNWT01 24.82 United States -- USD 3.88 8.76 1 Dec 31, 2079 8.25 3.91 -- 8.76 3.91 8.76 Feb 23, 2024 Feb 23, 2024 MEDIND MEDLINE BORROWER LP 144A Consumer Non-Cyclical Fixed Income 56627.09 0.04856599370612223 56627.09 612 612 62482BAB8 US62482BAB80 -- 92.48 United States -- USD 4.1 6.93 1 Oct 01, 2029 5.25 4.59 -- 6.93 4.59 6.93 Oct 15, 2021 Oct 15, 2021 CHSINC CHS RESET RATE CUMULATIVE REDEEMAB Industrial Equity 56585.11 0.048529989729654735 56585.11 2258 2258 12542R704 US12542R7044 BQS2V39 25.06 United States NASDAQ USD 0.41 8.06 1 Dec 31, 2079 6.75 0.24 -- 7.35 0.41 7.35 Sep 15, 2014 Sep 15, 2014 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 56517.41 0.04847192709966784 56517.41 565 565 24422EVV8 US24422EVV81 -- 100.01 United States -- USD 0.02 5.64 1 Oct 11, 2024 5.52 0.21 -- 5.64 0.21 5.64 Oct 13, 2021 Oct 13, 2021 ALD ALD SA Industrials Equity 56435.75 0.04840189173238971 56435.75 8987 8987 -- FR0013258662 BF03BV1 6.28 France Nyse Euronext - Euronext Paris USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- -- NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 56356.83 0.04833420631498105 56356.83 561 561 64953BBC1 US64953BBC19 -- 100.39 United States -- USD 0.01 5.83 1 Jun 13, 2025 6.03 0.13 -- 5.83 0.13 5.83 Jun 21, 2023 Jun 21, 2023 BNS BANK OF NOVA SCOTIA (FRN) Banking Fixed Income 56178.6 0.04818134807949267 56178.6 558 558 06418GAB3 US06418GAB32 -- 100.66 Canada -- USD 0.01 5.97 1 Jun 12, 2025 6.42 0.13 -- 5.97 0.13 5.97 Jun 12, 2023 Jun 12, 2023 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 56035.08 0.04805825873450421 56035.08 716 716 1248EPCK7 US1248EPCK74 -- 78.21 United States -- USD 5.6 8.56 1 Feb 01, 2031 4.25 5.51 -- 8.56 5.51 8.56 Jul 09, 2020 Jul 09, 2020 CAT CATERPILLAR FINANCIAL SRVCS (FRN) MTN Capital Goods Fixed Income 56023.31 0.048048164241816675 56023.31 560 560 14913UAK6 US14913UAK60 -- 100.09 United States -- USD 0.01 6.09 1 Feb 27, 2026 5.97 0.08 -- 6.09 0.08 6.09 Feb 27, 2024 Feb 27, 2024 BMO BANK OF MONTREAL MTN Banking Fixed Income 56002.14 0.04803000787731413 56002.14 553 553 06368LNU6 US06368LNU60 -- 101.35 Canada -- USD 0.02 6.13 1 Jun 05, 2026 6.67 0.11 -- 6.13 0.11 6.13 Jun 05, 2023 Jun 05, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 55876.25 0.04792203883020851 55876.25 564 564 91282CHM6 US91282CHM64 BRBP392 99.01 United States -- USD 2.06 4.97 1 Jul 15, 2026 4.5 2.06 -- 4.97 2.06 4.97 Jul 15, 2023 Jul 17, 2023 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 55504.51 0.04760321752930265 55504.51 554 554 2027A0KR9 US2027A0KR94 -- 100.27 Australia -- USD 0.01 5.92 1 Sep 12, 2025 5.96 0.13 -- 5.92 0.13 5.92 Sep 12, 2023 Sep 12, 2023 WRLDPY GTCR W-2 MERGER SUB LLC 144A Technology Fixed Income 55470.92 0.04757440920225302 55470.92 539 539 36268NAA8 US36268NAA81 BL6CM66 103 United States -- USD 3.8 6.93 1 Jan 15, 2031 7.5 5.05 -- 6.74 3.8 6.74 Oct 04, 2023 Oct 04, 2023 GTLS CHART INDS DEPOSITARY TH CONV SER Industrial Equity 55374.81 0.047491980851174134 55374.81 922 922 16115Q407 US16115Q4073 BNTBQN9 60.04 United States Non-Nms Quotation Service (Nnqs) USD 0.18 11.24 1 Dec 15, 2025 6.75 1.58 -- 11.24 1.58 11.24 Dec 13, 2022 Dec 13, 2022 CHTR CCO HOLDINGS LLC Communications Fixed Income 55243.4 0.047379277598492045 55243.4 717 717 1248EPCN1 US1248EPCN14 -- 77.02 United States -- USD 6.23 8.51 1 May 01, 2032 4.5 6.17 -- 8.51 6.17 8.51 May 01, 2021 May 10, 2021 STT STATE STREET CORP Financial Institutions Equity 55167.96 0.04731457678894683 55167.96 2315 2315 857477855 US8574778556 BYPK477 23.83 United States -- USD 1.75 9.26 1 Dec 31, 2079 5.35 1.54 -- 8.48 1.72 8.48 Apr 11, 2016 Apr 11, 2016 GS GOLDMAN SACHS GROUP INC/THE (FRN) Banking Fixed Income 55049.24 0.04721275706321501 55049.24 548 548 38145GAN0 US38145GAN07 -- 100.4 United States -- USD 0.02 6.33 1 Aug 10, 2026 6.6 0.03 -- 6.18 0.04 6.18 Aug 10, 2023 Aug 10, 2023 WDC WESTERN DIGITAL CORPORATION Technology Fixed Income 54997.3 0.04716821093320735 54997.3 569 569 958102AM7 US958102AM75 BFZHJV4 96.67 United States -- USD 1.68 6.73 1 Feb 15, 2026 4.75 1.68 -- 6.73 1.68 6.73 Feb 13, 2018 Feb 13, 2018 SCHW CHARLES SCHWAB CORPORATION (THE) Financial Institutions Equity 54949.15 0.04712691528130381 54949.15 2743 2743 808513865 US8085138654 BMW32F9 20.03 United States New York Stock Exchange Inc. USD 15.48 5.6 1 Dec 31, 2079 4.45 17.85 -- 5.6 16.91 5.6 Mar 30, 2021 Mar 30, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 54891.23 0.047077240428588296 54891.23 590 590 91282CAT8 US91282CAT80 BMYVTV6 93 United States -- USD 1.47 5.11 1 Oct 31, 2025 0.25 1.47 -- 5.11 1.47 5.11 Oct 31, 2020 Nov 02, 2020 CPPIBC CPPIB CAPITAL INC MTN 144A Owned No Guarantee Fixed Income 54743.96 0.0469509349113332 54743.96 538 538 22411VAS7 US22411VAS79 -- 101.71 Canada -- USD 0.04 5.77 1 Mar 11, 2026 6.58 0.13 -- 5.77 0.13 5.77 Jul 27, 2021 Jul 27, 2021 DUK DUKE ENERGY CORP Utility Equity 54687.6 0.046902597986280596 54687.6 2293 2293 26441C402 US26441C4024 BFNR2X9 23.85 United States -- USD 8.63 5.94 1 Sep 15, 2078 5.63 16.11 -- 5.94 16.11 5.94 Sep 17, 2018 Sep 17, 2018 CCL CARNIVAL HOLDINGS (BERMUDA) LTD 144A Consumer Cyclical Fixed Income 54653.7 0.04687352378899026 54653.7 505 505 14366RAA7 US14366RAA77 -- 108.16 United States -- USD 1.29 7.96 1 May 01, 2028 10.38 3.14 -- 6.93 0.92 6.93 Oct 25, 2022 Oct 25, 2022 BANC BANC OF CALIFORNIA INC Financial Institutions Equity 54373.06 0.046632834033015054 54373.06 2397 2397 05990K841 US05990K8412 BMWDYS6 22.68 United States -- USD 2.85 10.2 1 Dec 31, 2079 7.75 2.58 -- 11.72 2.76 11.72 Sep 01, 2023 Nov 30, 2023 PSA PUBLIC STORAGE Financial Institutions Equity 54176.47 0.046464229418109244 54176.47 2627 2627 74460W552 US74460W5528 BLFGL51 20.62 United States New York Stock Exchange Inc. USD 14.68 5.63 1 Dec 31, 2079 4.63 17.76 -- 5.63 16.91 5.63 Jun 17, 2020 Jun 17, 2020 VENLNG VENTURE GLOBAL LNG INC 144A Energy Fixed Income 54070.97 0.046373747771674724 54070.97 511 511 92332YAD3 US92332YAD31 -- 105.76 United States -- USD 3.64 8.82 1 Feb 01, 2032 9.88 5.2 -- 8.36 3.63 8.36 Oct 24, 2023 Oct 24, 2023 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 54036.14 0.04634387596366227 54036.14 594 594 1248EPBX0 US1248EPBX05 BF2KJZ0 90.96 United States -- USD 3.25 7.81 1 Feb 01, 2028 5 3.29 -- 7.81 3.29 7.81 Aug 08, 2017 Aug 08, 2017 TDG TRANSDIGM INC 144A Capital Goods Fixed Income 54019.89 0.04632993921717354 54019.89 544 544 893647BV8 US893647BV82 BNM6HC7 99.3 United States -- USD 4.64 6.74 1 Mar 01, 2032 6.63 5.97 -- 6.74 5.97 6.74 Feb 27, 2024 Feb 27, 2024 AXS AXIS CAPITAL HOLDINGS LTD Financial Institutions Equity 53947.4 0.04626776846314473 53947.4 2564 2564 05461T305 US05461T3059 BD2Z8N2 21.04 United States -- USD 12.46 6.55 1 Dec 31, 2079 5.5 15.27 -- 6.55 14.84 6.55 Nov 07, 2016 Nov 07, 2016 JPM JPMORGAN CHASE & CO FRN Banking Fixed Income 53852.82 0.046186652310350636 53852.82 534 534 46647PDB9 US46647PDB94 -- 100.82 United States -- USD 0.01 6.4 1 Apr 26, 2026 6.67 0 -- 5.99 0 5.99 Apr 26, 2022 Apr 26, 2022 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 53828.12 0.046165468455687766 53828.12 538 538 13607HYE6 US13607HYE60 -- 100.05 Canada -- USD 0.01 5.78 1 Oct 18, 2024 5.73 0.23 -- 5.78 0.23 5.78 Oct 18, 2021 Oct 18, 2021 NFP NFP CORP 144A Brokerage/Asset Managers/Exchanges Fixed Income 53792.37 0.046134807613412564 53792.37 529 529 65342RAD2 US65342RAD26 -- 101.68 United States -- USD 1.14 6.42 1 Aug 15, 2028 6.88 3.64 -- 5.51 1.22 5.51 Aug 10, 2020 Aug 10, 2020 BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 53673.88 0.046033185146246436 53673.88 536739 536739 -- CL0002599166 BMXTX64 0.1 Chile -- USD 0.82 5.75 949.8 Mar 01, 2025 2.5 0.82 -- 5.75 0.82 5.75 Mar 01, 2020 Apr 09, 2020 SIRI.R SANSIRI NON-VOTING DR PCL Real Estate Equity 53351.51 0.045756705825288166 53351.51 1067030 1067030 S63633549 TH0577010R15 6363354 0.05 Thailand Stock Exchange Of Thailand USD 0 -- 37.0175 -- 0 0 -- -- 0 -- -- Aug 20, 2001 COF CAPITAL ONE FINANCIAL CORPORATION Financial Institutions Equity 53220.88 0.04564467153643754 53220.88 3123 3123 14040H758 US14040H7585 BMX47S9 17.04 United States -- USD 14.61 6.48 1 Dec 31, 2079 4.38 15.2 -- 6.48 15.2 6.48 May 04, 2021 May 04, 2021 WSTP WESTPAC BANKING CORP FRN Banking Fixed Income 53136.39 0.04557220903115552 53136.39 527 527 961214FB4 US961214FB49 -- 100.75 Australia -- USD 0.02 5.89 1 Aug 26, 2025 6.34 0.08 -- 5.89 0.08 5.89 May 26, 2022 May 26, 2022 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 53079.92 0.04552377776504976 53079.92 531 531 78016EZY6 US78016EZY66 -- 99.98 Canada -- USD 0.01 5.86 1 Oct 07, 2024 5.66 0.2 -- 5.86 0.2 5.86 Oct 07, 2021 Oct 07, 2021 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 53033.2 0.04548370854683724 53033.2 655 655 1248EPCE1 US1248EPCE15 BKZHNR3 80.99 United States -- USD 5.24 8.45 1 Aug 15, 2030 4.5 5.18 -- 8.45 5.18 8.45 Feb 18, 2020 Feb 18, 2020 BLTN BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 53010.5 0.04546423998404991 53010.5 343 343 -- BRSTNCLTN848 BR1GKX8 154.72 Brazil -- USD 2.07 10.81 5.17025 Jul 01, 2026 0 1.96 -- 10.81 1.96 10.81 Jan 06, 2023 Jan 06, 2023 KEY KEYCORP Financial Institutions Equity 52667.01 0.04516964718088598 52667.01 2315 2315 493267702 US4932677028 BYQR0N5 22.75 United States -- USD 1.96 9.78 1 Dec 31, 2079 6.13 2.15 -- 9.78 2.31 9.78 Dec 12, 2016 Dec 12, 2016 FITB FIFTH THIRD BANCORP DEPOSITARY SHA Financial Institutions Equity 52646.5 0.04515205686270236 52646.5 2083 2083 316773605 US3167736053 BH58353 25.27 United States NASDAQ USD 0.15 9.36 1 Dec 31, 2079 9.28 0.05 -- 4.01 0.08 4.01 Dec 09, 2013 Dec 09, 2013 UBS UBS GROUP AG FRN 144A Banking Fixed Income 52607 0.04511817984816052 52607 522 522 902613AN8 US902613AN82 -- 100.77 Switzerland -- USD 0.01 6.69 1 May 12, 2026 6.92 0.04 -- 6.32 0.04 6.32 May 12, 2022 May 12, 2022 DISH DISH DBS CORP 144A Communications Fixed Income 52469.04 0.04499985901458605 52469.04 684 684 25470XBE4 US25470XBE40 BNRLYV5 76.75 United States -- USD 2.32 16.62 1 Dec 01, 2026 5.25 2.2 -- 16.62 2.2 16.62 Nov 26, 2021 Nov 26, 2021 AAL AADVANTAGE LOYALTY IP LTD 144A Transportation Fixed Income 52462.07 0.044993881222399806 52462.07 529 529 00253XAA9 US00253XAA90 BM8H716 99.23 United States -- USD 1.84 5.96 1 Apr 20, 2026 5.5 1.86 -- 5.96 1.86 5.96 Mar 24, 2021 Mar 24, 2021 RF REGIONS FINANCIAL CORPORATION Financial Institutions Equity 52152.46 0.04472834546360746 52152.46 2391 2391 7591EP704 US7591EP7044 BJMXZX7 21.81 United States New York Stock Exchange Inc. USD 3.63 8.93 1 Dec 31, 2079 5.7 4.24 -- 8.93 4.3 8.93 Apr 30, 2019 Apr 30, 2019 TDG TRANSDIGM INC 144A Capital Goods Fixed Income 52148.65 0.044725077832584566 52148.65 519 519 893647BR7 US893647BR70 -- 100.4 United States -- USD 2.66 6.64 1 Aug 15, 2028 6.75 3.64 -- 6.59 2.49 6.59 Feb 24, 2023 Feb 24, 2023 DOAS.E DOGUS OTOMOTIV SERVIS VE TICARET A Consumer Discretionary Equity 52065.03 0.044653361479268405 52065.03 5475 5475 -- TREDOTO00013 B03MRJ0 9.51 Turkey Istanbul Stock Exchange USD 0 -- 32.526 -- 0 0 -- -- 0 -- -- Jun 17, 2004 WFC WELLS FARGO & COMPANY Financial Institutions Equity 52031.09 0.04462425297614056 52031.09 2202 2202 94988U656 US94988U6560 BYQHXS1 23.63 United States -- USD 9.2 5.99 1 Dec 31, 2079 5.63 16.04 -- 5.99 16.04 5.99 Apr 24, 2017 Apr 24, 2017 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 51947.03 0.044552159258611786 51947.03 519 519 025816CL1 US025816CL12 -- 100.17 United States -- USD -0.01 6.08 1 Nov 04, 2026 5.99 0.02 -- 6.07 0.02 6.07 Nov 04, 2021 Nov 04, 2021 ACRE ARES COMMERCIAL REAL ESTATE REIT C Financials Equity 51942.35 0.04454814547562303 51942.35 7672 7672 04013V108 US04013V1089 B77PWP5 6.77 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- Apr 26, 2012 LLOYDS LLOYDS BANKING GROUP PLC (FRN) Banking Fixed Income 51865.86 0.04448254413784316 51865.86 512 512 53944YAW3 US53944YAW30 -- 101.21 United Kingdom -- USD 0.04 6.68 1 Aug 07, 2027 6.9 0.02 -- 6.5 0.02 6.5 Aug 07, 2023 Aug 07, 2023 INTNED ING GROEP NV (FRN) Banking Fixed Income 51849.97 0.04446891614389202 51849.97 511 511 456837BJ1 US456837BJ19 -- 101.45 Netherlands -- USD 0.02 6.6 1 Sep 11, 2027 6.89 0.11 -- 6.41 0.12 6.41 Sep 11, 2023 Sep 11, 2023 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 51848.21 0.04446740668704155 51848.21 516 516 7425APAB1 US7425APAB16 -- 100.41 United States -- USD 0.01 6.09 1 Aug 28, 2025 6.21 0.09 -- 6.09 0.09 6.09 Aug 31, 2023 Aug 31, 2023 BIR BIRCHCLIFF ENERGY LTD Energy Equity 51816.24 0.04443998774641111 51816.24 12516 12516 090697103 CA0906971035 B0B55N1 4.14 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Feb 22, 2001 TNOTE TREASURY NOTE Treasuries Fixed Income 51798.29 0.044424593001828175 51798.29 565 565 91282CCJ8 US91282CCJ80 BMBYXC7 91.66 United States -- USD 2.1 4.96 1 Jun 30, 2026 0.88 2.11 -- 4.96 2.11 4.96 Jun 30, 2021 Jun 30, 2021 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 51777.62 0.04440686546029451 51777.62 515 515 13607HR38 US13607HR386 -- 100.51 Canada -- USD 0.01 5.87 1 Apr 07, 2025 6.26 0.2 -- 5.87 0.2 5.87 Apr 07, 2022 Apr 07, 2022 C CITIGROUP INC (FRN) Banking Fixed Income 51632.93 0.04428277266955886 51632.93 516 516 172967NR8 US172967NR85 -- 100.07 United States -- USD 0 6.86 1 May 24, 2025 6.71 0.07 -- 5.81 0.08 5.81 May 24, 2022 May 24, 2022 BMW BMW US CAPITAL LLC (FRN) 144A Consumer Cyclical Fixed Income 51583.52 0.04424039638377374 51583.52 515 515 05565ECL7 US05565ECL74 -- 100.11 Germany -- USD 0.01 5.98 1 Apr 02, 2026 5.9 0.18 -- 5.98 0.18 5.98 Apr 02, 2024 Apr 02, 2024 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 51502.34 0.04417077268654574 51502.34 513 513 808513BZ7 US808513BZ79 BPQY851 100.44 United States -- USD 0.01 6.38 1 Mar 03, 2027 6.39 0.1 -- 6.38 0.1 6.38 Mar 03, 2022 Mar 03, 2022 SUMITR SUMITOMO MITSUI TRUST BANK LTD FRN MTN 144A Banking Fixed Income 51426.46 0.0441056945127879 51426.46 509 509 86563VBL2 US86563VBL27 -- 101.08 Japan -- USD 0.03 6.16 1 Sep 14, 2026 6.48 0.13 -- 6.16 0.13 6.16 Sep 14, 2023 Sep 14, 2023 CRBG COREBRIDGE GLOBAL FUNDING MTN 144A Insurance Fixed Income 51220 0.043928624932476325 51220 508 508 00138CAW8 US00138CAW82 -- 100.86 United States -- USD 0.02 6.42 1 Sep 25, 2026 6.63 0.16 -- 6.42 0.16 6.42 Sep 26, 2023 Sep 26, 2023 189 DONGYUE GROUP LTD Materials Equity 50962.16 0.04370748950388223 50962.16 62149 62149 -- KYG2816P1072 B29MXW3 0.82 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Dec 10, 2007 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 50702.97 0.04348519625327214 50702.97 507 507 928668BQ4 US928668BQ46 -- 100.06 Germany -- USD 0.01 5.8 1 Jun 07, 2024 6.28 0.12 -- 5.8 0.12 5.8 Jun 08, 2022 Jun 08, 2022 PROX PROXIMUS NV Communication Equity 50461.45 0.04327805760638242 50461.45 6932 6932 -- BE0003810273 B00D9P6 7.28 Belgium Nyse Euronext - Euronext Brussels USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Mar 22, 2004 VOD VODAFONE GROUP PLC Communications Fixed Income 50421.35 0.04324366600427792 50421.35 497 497 92857WBQ2 US92857WBQ24 BJWZHR1 101.55 United Kingdom -- USD 3.98 8.67 1 Apr 04, 2079 7 4 -- 6.61 3.94 6.61 Apr 04, 2019 Apr 04, 2019 683 KERRY PROPERTIES LTD Real Estate Equity 50415.39 0.043238554434488825 50415.39 27549 27549 S64863145 BMG524401079 6486314 1.83 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Aug 06, 1996 ATHENA ATHENAHEALTH GROUP INC 144A Technology Fixed Income 50351.7 0.04318393096471238 50351.7 564 564 60337JAA4 US60337JAA43 -- 89.33 United States -- USD 4.42 8.89 1 Feb 15, 2030 6.5 4.6 -- 8.89 4.6 8.89 Feb 15, 2022 Feb 15, 2022 JPM JPMORGAN CHASE & CO Banking Fixed Income 50312.99 0.043150731490461385 50312.99 502 502 46647PCF1 US46647PCF18 -- 100.27 United States -- USD 0.01 6.28 1 Apr 22, 2027 6.19 0.23 -- 6.23 0.23 6.23 Apr 22, 2021 Apr 22, 2021 BANPU.R BANPU NON-VOTING DR PCL Energy Equity 50297.87 0.04313776388388233 50297.87 335319 335319 S63683486 TH0148010R15 6368348 0.15 Thailand Stock Exchange Of Thailand USD 0 -- 37.0175 -- 0 0 -- -- 0 -- -- Aug 20, 2001 2202 CHINA VANKE LTD H Real Estate Equity 50231.21 0.04308059320567072 50231.21 100462 100462 -- CNE100001SR9 BN320P8 0.5 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- -- DE JOHN DEERE CAPITAL CORP (FRN) MTN Capital Goods Fixed Income 50201.81 0.043055378415100334 50201.81 499 499 24422EWY1 US24422EWY12 -- 100.68 United States -- USD 0.03 5.94 1 Jun 08, 2026 6.12 0.12 -- 5.94 0.12 5.94 Jun 08, 2023 Jun 08, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 50085.89 0.042955960097994274 50085.89 503 503 91282CJL6 US91282CJL63 BNTC739 99.64 United States -- USD 1.49 5.11 1 Nov 30, 2025 4.88 1.49 -- 5.11 1.49 5.11 Nov 30, 2023 Nov 30, 2023 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 50027.12 0.04290555624623165 50027.12 500 500 05565EBV6 US05565EBV65 -- 100 Germany -- USD 0.01 5.9 1 Aug 12, 2024 5.72 0.05 -- 5.9 0.05 5.9 Aug 12, 2021 Aug 12, 2021 BHF BRIGHTHOUSE FINANCIAL INC Financial Institutions Equity 50003.66 0.04288543587253161 50003.66 2681 2681 10922N707 US10922N7075 BN0TD19 18.65 United States -- USD 12.62 7.25 1 Dec 31, 2079 5.38 13.79 -- 7.25 13.46 7.25 Nov 20, 2020 Nov 20, 2020 BAC BANK OF AMERICA DEP REPRESENTING Financial Institutions Equity 49960.92 0.04284878008515141 49960.92 2029 2029 060505195 US0605051954 BYVQZ09 24.62 United States New York Stock Exchange Inc. USD 1.56 5.97 1 Dec 31, 2079 5.88 16.15 -- 5.97 16.15 5.97 Jul 24, 2018 Jul 24, 2018 NLY ANNALY CAPITAL MANAGEMENT INC Financial Institutions Equity 49865.19 0.04276667763952888 49865.19 1980 1980 035710847 US0357108473 BK4QDZ9 25.19 United States Non-Nms Quotation Service (Nnqs) USD 0.18 10.61 1 Dec 31, 2079 6.75 0.03 -- 5.1 0.18 5.1 Jun 27, 2019 Jun 27, 2019 PSA PUBLIC STORAGE Financial Institutions Equity 49757.5 0.04267431774849064 49757.5 2802 2802 74460W461 US74460W4612 BM91SN6 17.76 United States -- USD 17.29 5.65 1 Dec 31, 2079 4 17.69 -- 5.65 16.85 5.65 Jun 16, 2021 Jun 16, 2021 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 49570.08 0.04251357774683417 49570.08 494 494 66815L2N8 US66815L2N84 -- 100.34 United States -- USD 0.01 5.87 1 Jun 13, 2025 6.03 0.13 -- 5.87 0.13 5.87 Jun 16, 2023 Jun 16, 2023 IGG IG GROUP HOLDINGS PLC Financials Equity 49464.56 0.04242307894748089 49464.56 5406 5406 -- GB00B06QFB75 B06QFB7 9.15 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Apr 28, 2005 ISATLN CONNECT FINCO SARL 144A Communications Fixed Income 49388.22 0.04235760625659168 49388.22 513 513 20752TAA2 US20752TAA25 BKPGWK6 96.35 United Kingdom -- USD 2.04 8.44 1 Oct 01, 2026 6.75 2.18 -- 8.44 2.18 8.44 Oct 07, 2019 Oct 07, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 49379.55 0.04235017046631123 49379.55 505 505 91282CFK2 US91282CFK27 BNHSXS6 97.82 United States -- USD 1.33 5.15 1 Sep 15, 2025 3.5 1.33 -- 5.15 1.33 5.15 Sep 15, 2022 Sep 15, 2022 MS MORGAN STANLEY (FRN) MTN Banking Fixed Income 49370.68 0.04234256314684323 49370.68 492 492 61747YFN0 US61747YFN04 -- 100.4 United States -- USD 0 6.82 1 Apr 13, 2028 5.31 0.22 -- 6.81 0.22 6.81 Apr 19, 2024 Apr 19, 2024 CZR CAESARS ENTERTAINMENT INC 144A Consumer Cyclical Fixed Income 49320.9 0.04229986953206114 49320.9 487 487 28470RAK8 US28470RAK86 BLFBXK5 101.29 United States -- USD 1.32 7.66 1 Jul 01, 2027 8.13 2.7 -- 6.96 1.09 6.96 Jul 06, 2020 Jul 06, 2020 JPM JPMORGAN CHASE & CO Banking Fixed Income 49204.8 0.04220029683868628 49204.8 492 492 46647PCG9 US46647PCG90 -- 100.02 United States -- USD 0.01 6.02 1 Jun 01, 2025 5.87 0.1 -- 5.71 0.1 5.71 Jun 01, 2021 Jun 01, 2021 3618 CHONGQING RURAL COMMERCIAL BANK LT Financials Equity 49173.95 0.04217383846150613 49173.95 114358 114358 -- CNE100000X44 B4Q1Y57 0.43 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Dec 16, 2010 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 49118.33 0.04212613619444748 49118.33 490 490 64953BBK3 US64953BBK35 -- 100.23 United States -- USD 0 5.93 1 Jan 16, 2026 5.89 0.22 -- 5.93 0.22 5.93 Jan 17, 2024 Jan 17, 2024 MAP MAPFRE SA Financials Equity 49093.67 0.04210498664562212 49093.67 20120 20120 -- ES0124244E34 B1G40S0 2.44 Spain Bolsa De Madrid USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 02, 1985 BAC BANK OF AMERICA CORP Financial Institutions Equity 49080.55 0.042093734330918606 49080.55 2563 2563 06055H400 US06055H4002 BMVXBP3 19.15 United States -- USD 15.01 5.79 1 Dec 31, 2079 4.38 16.67 -- 5.79 16.67 5.79 Oct 29, 2020 Oct 29, 2020 CZR CAESARS ENTERTAINMENT INC 144A Consumer Cyclical Fixed Income 48984.26 0.042011151603570926 48984.26 487 487 12769GAB6 US12769GAB68 -- 100.51 United States -- USD 3.49 6.89 1 Feb 15, 2030 7 4.65 -- 6.84 3.25 6.84 Feb 06, 2023 Feb 06, 2023 024110 INDUSTRIAL BANK OF KOREA Financials Equity 48967.29 0.041996597352007004 48967.29 4966 4966 S64629728 KR7024110009 6462972 9.86 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Mar 17, 2000 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 48933.05 0.04196723155509782 48933.05 489 489 6944PL3A5 US6944PL3A58 -- 100.14 United States -- USD 0 6.31 1 Feb 05, 2027 6.2 0.02 -- 6.31 0.02 6.31 Feb 06, 2024 Feb 06, 2024 TDS TELEPHONE AND DATA SYSTEMS INC Industrial Equity 48930.11 0.04196471007604079 48930.11 3215 3215 879433761 US8794337613 BNSNM38 15.22 United States -- USD 9.95 9.92 1 Dec 31, 2079 6 10.08 -- 9.92 9.97 9.92 Aug 16, 2021 Aug 16, 2021 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 48860.7 0.04190518087150031 48860.7 489 489 78016EZR1 US78016EZR16 -- 99.93 Canada -- USD 0.01 6.1 1 Apr 27, 2026 5.92 0 -- 6.1 0 6.1 Apr 27, 2021 Apr 27, 2021 C CITIGROUP INC Banking Fixed Income 48816.58 0.04186734153272599 48816.58 488 488 17327CAP8 US17327CAP86 -- 100.1 United States -- USD 0 6.13 1 Jan 25, 2026 0.69 0.24 -- 6.05 0.24 6.05 Jan 25, 2022 Jan 25, 2022 ADI ANALOG DEVICES INC Technology Fixed Income 48791.88 0.04184615767806312 48791.88 488 488 032654AT2 US032654AT25 BM8JD36 99.99 United States -- USD 0.01 5.76 1 Oct 01, 2024 5.58 0.18 -- 5.76 0.18 5.76 Oct 05, 2021 Oct 05, 2021 THC TENET HEALTHCARE CORPORATION Consumer Non-Cyclical Fixed Income 48791.56 0.04184588323136303 48791.56 499 499 88033GDQ0 US88033GDQ01 BPW9BQ2 97.76 United States -- USD 3.67 6.57 1 Jun 15, 2030 6.13 4.92 -- 6.57 4.92 6.57 Jun 15, 2022 Jun 15, 2022 SEB SKANDINAVISKA ENSKILDA BANKEN AB 144A Banking Fixed Income 48747.76 0.041808318339288796 48747.76 486 486 830505BA0 US830505BA07 -- 100.24 Sweden -- USD 0 6.29 1 Mar 05, 2027 6.22 0.1 -- 6.29 0.1 6.29 Mar 05, 2024 Mar 05, 2024 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN 144A Banking Fixed Income 48603.06 0.04168421697209377 48603.06 483 483 05252ADJ7 US05252ADJ79 -- 100.7 Australia -- USD 0.02 6.03 1 Jan 18, 2027 6.12 0.22 -- 6.03 0.22 6.03 Jan 18, 2024 Jan 18, 2024 WFC WELLS FARGO & COMPANY (FRN) MTN Banking Fixed Income 48594.24 0.041676652534922656 48594.24 483 483 95000U3M3 US95000U3M30 -- 100.56 United States -- USD 0 6.46 1 Apr 22, 2028 6.38 0.23 -- 6.42 0.23 6.42 Apr 22, 2024 Apr 22, 2024 OGN ORGANON & CO 144A Consumer Non-Cyclical Fixed Income 48566.36 0.04165274136617768 48566.36 534 534 68622TAA9 US68622TAA97 -- 90.92 United States -- USD 3.43 6.74 1 Apr 30, 2028 4.13 3.52 -- 6.74 3.52 6.74 Apr 22, 2021 Apr 22, 2021 CHSINC CHS INC Industrial Equity 48507.87 0.04160257765527763 48507.87 1926 1926 12542R506 US12542R5063 BKJ9QV0 25.19 United States Non-Nms Quotation Service (Nnqs) USD 0.15 9.93 1 Dec 31, 2079 7.1 0.04 -- 3.87 0.08 3.87 Mar 11, 2014 Mar 11, 2014 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 48493.66 0.04159039050650195 48493.66 483 483 02665WEX5 US02665WEX56 -- 100.33 United States -- USD 0.01 6.01 1 Jan 09, 2026 6.03 0.2 -- 6.01 0.2 6.01 Jan 10, 2024 Jan 10, 2024 WFC WELLS FARGO & COMPANY FRN MTN Banking Fixed Income 48453.07 0.04155557865788795 48453.07 481 481 95000U2Y8 US95000U2Y86 -- 100.72 United States -- USD 0.02 6.4 1 Apr 25, 2026 1.32 0.24 -- 6.02 0.24 6.02 Apr 25, 2022 Apr 25, 2022 MASSMU MASSMUTUAL GLOBAL FUNDING II (FRN) MTN 144A Insurance Fixed Income 48437.19 0.04154195924039619 48437.19 483 483 57629TBS5 US57629TBS50 -- 100.21 United States -- USD 0.01 6.16 1 Apr 09, 2027 6.06 0.2 -- 6.16 0.2 6.16 Apr 09, 2024 Apr 09, 2024 PSA PUBLIC STORAGE Reits Fixed Income 48359.55 0.041475371609787884 48359.55 482 482 74460WAJ6 US74460WAJ62 -- 100.26 United States -- USD 0.01 5.86 1 Jul 25, 2025 0.6 0.24 -- 5.86 0.24 5.86 Jul 26, 2023 Jul 26, 2023 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 48354.25 0.04147082608631771 48354.25 483 483 24422EXQ7 US24422EXQ78 -- 100.21 United States -- USD 0.02 6.01 1 Apr 19, 2027 5.91 0.22 -- 6.01 0.22 6.01 Apr 19, 2024 Apr 19, 2024 371 BEIJING ENTERPRISES WATER GROUP LT Utilities Equity 48250.03 0.04138144222668354 48250.03 193000 193000 -- BMG0957L1090 B01YCG0 0.25 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Apr 19, 1993 TNOTE TREASURY NOTE Treasuries Fixed Income 48246.14 0.041378105983985614 48246.14 486 486 91282CHL8 US91282CHL81 BQXV164 99.37 United States -- USD 1.12 5.18 1 Jun 30, 2025 4.63 1.12 -- 5.18 1.12 5.18 Jun 30, 2023 Jun 30, 2023 UAL UNITED AIRLINES INC 144A Transportation Fixed Income 48199.54 0.041338139683285625 48199.54 501 501 90932LAG2 US90932LAG23 BMG8799 96.2 United States -- USD 1.81 6.46 1 Apr 15, 2026 4.38 1.85 -- 6.46 1.85 6.46 Apr 21, 2021 Apr 21, 2021 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 48075.44 0.04123170582240862 48075.44 478 478 58769JAD9 US58769JAD90 -- 100.51 Germany -- USD 0.01 5.81 1 Mar 30, 2025 8.39 0.18 -- 5.81 0.18 5.81 Mar 30, 2023 Mar 30, 2023 TPG TPG OPERATING GROUP II LP Financial Institutions Equity 48005.29 0.0411715419598742 48005.29 1827 1827 872652102 US8726521029 BRC7MJ0 26.28 United States -- USD 4.48 6.67 1 Mar 15, 2064 6.95 13.74 -- 6.01 4.1 6.01 Mar 04, 2024 Mar 04, 2024 LH.R LAND AND HOUSE PUBLIC NON-VOTING D Real Estate Equity 47957.65 0.04113068370739893 47957.65 239788 239788 S65819419 TH0143010R16 6581941 0.2 Thailand Stock Exchange Of Thailand USD 0 -- 37.0175 -- 0 0 -- -- 0 -- -- Aug 20, 2001 BMO BANK OF MONTREAL MTN Banking Fixed Income 47865.45 0.041051608751936725 47865.45 479 479 06367WYQ0 US06367WYQ04 -- 100.01 Canada -- USD 0.01 5.45 1 Jul 09, 2024 5.64 0.2 -- 5.45 0.2 5.45 Jul 09, 2021 Jul 12, 2021 SO SOUTHERN COMPANY (THE) Utility Equity 47832.63 0.041023460812259174 47832.63 2064 2064 842587404 US8425874042 BF0WD23 23.18 United States -- USD 12.14 5.71 1 Dec 01, 2077 5.25 16.63 -- 5.71 16.63 5.71 Nov 22, 2017 Nov 22, 2017 NACN NATIONAL BANK OF CANADA MTN Banking Fixed Income 47819.57 0.04101225995631193 47819.57 477 477 63307A2Y0 US63307A2Y02 -- 100.17 Canada -- USD -0.01 6.33 1 Mar 25, 2027 6.26 0.16 -- 6.3 0.16 6.3 Mar 25, 2024 Mar 25, 2024 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 47800.16 0.04099561304865985 47800.16 476 476 743672AB3 US743672AB33 -- 100.32 United States -- USD 0.01 5.99 1 Dec 11, 2024 6.38 0.13 -- 5.99 0.13 5.99 Dec 12, 2022 Dec 12, 2022 RABOBK COOPERATIEVE RABOBANK UA NY (FRN) MTN Banking Fixed Income 47793.1 0.040989558068339205 47793.1 476 476 21688AAX0 US21688AAX00 -- 100.35 Netherlands -- USD 0.01 5.88 1 Jul 18, 2025 6.01 0.22 -- 5.88 0.22 5.88 Jul 18, 2023 Jul 18, 2023 NWL NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 47732.89 0.0409379192064262 47732.89 490 490 651229AW6 US651229AW64 BD3J3H2 97.44 United States -- USD 1.76 6.63 1 Apr 01, 2026 5.7 1.8 -- 6.63 1.8 6.63 Mar 30, 2016 Mar 30, 2016 MBGGR MERCEDES-BENZ FINANCE NA (FRN) 144A Consumer Cyclical Fixed Income 47729.58 0.04093508039837219 47729.58 477 477 58769JAH0 US58769JAH05 -- 99.99 Germany -- USD 0.02 6.08 1 Aug 01, 2025 5.92 0.01 -- 6.08 0.01 6.08 Aug 03, 2023 Aug 03, 2023 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 47724.28 0.040930534874902016 47724.28 473 473 55608PBK9 US55608PBK93 -- 100.84 Australia -- USD 0.01 5.82 1 Mar 21, 2025 6.64 0.15 -- 5.82 0.15 5.82 Mar 21, 2022 Mar 21, 2022 ABNANV ABN AMRO BANK NV (FRN) MTN 144A Banking Fixed Income 47717.22 0.040924479894581374 47717.22 471 471 00084DBB5 US00084DBB55 -- 101.29 Netherlands -- USD 0.02 6.88 1 Sep 18, 2027 7.11 0.13 -- 6.71 0.13 6.71 Sep 18, 2023 Sep 18, 2023 NLY ANNALY CAPITAL MANAGEMENT INC Financial Institutions Equity 47658.27 0.04087392166654995 47658.27 1900 1900 035710862 US0357108622 BF4M2M2 25.08 United States -- USD 0.15 10.06 1 Dec 31, 2079 9.74 0.04 -- 10.06 0.08 10.06 Jan 12, 2018 Jan 12, 2018 SPLS STAPLES INC 144A Consumer Cyclical Fixed Income 47644.67 0.040862257681796306 47644.67 489 489 855030AN2 US855030AN20 BK0L4K0 97.38 United States -- USD 1.66 8.98 1 Apr 15, 2026 7.5 1.78 -- 8.98 1.78 8.98 Apr 16, 2019 Apr 16, 2019 MS MORGAN STANLEY Financial Institutions Equity 47465.1 0.040708250200751306 47465.1 2151 2151 61762V804 US61762V8046 BK6JGG8 22.07 United States -- USD 13.46 5.53 1 Dec 31, 2079 4.88 17.36 -- 5.53 17.36 5.53 Nov 25, 2019 Nov 25, 2019 RAKUTN RAKUTEN GROUP INC 144A Consumer Cyclical Fixed Income 47375.36 0.04063128505429601 47375.36 458 458 75102WAG3 US75102WAG33 -- 103.55 Japan -- USD 2.38 9.76 1 Feb 15, 2027 11.25 2.32 -- 9.76 2.32 9.76 Feb 06, 2024 Feb 06, 2024 NAB NATIONAL AUSTRALIA BANK LTD MTN 144A Banking Fixed Income 47336.06 0.04059757956894173 47336.06 471 471 6325C0EH0 US6325C0EH03 -- 100.48 Australia -- USD 0.01 5.9 1 Jun 09, 2025 6.19 0.12 -- 5.9 0.12 5.9 Jun 09, 2022 Jun 09, 2022 CLVT CLARIVATE PLC Industrial Equity 47179.62 0.040463409438437306 47179.62 1690 1690 -- JE00BM91P354 BM91P35 27.91 Jersey -- USD 0.01 50 1 Jun 01, 2024 5.25 0.11 -- 50 0.11 50 Jun 14, 2021 Jun 14, 2021 BAC BANK OF AMERICA CORP FRN MTN Banking Fixed Income 47089.02 0.040385706716475525 47089.02 469 469 06051GKH1 US06051GKH10 -- 100.41 United States -- USD 0.04 6.39 1 Feb 04, 2028 6.36 0.02 -- 6.37 0.02 6.37 Feb 04, 2022 Feb 04, 2022 ESGR ENSTAR GROUP LTD Financial Institutions Equity 47080.47 0.040378373843707606 47080.47 1859 1859 29359U109 US29359U1097 BFXXB52 25.33 United States -- USD 3.67 8.85 1 Dec 31, 2079 7 3.52 -- 6.99 3.62 6.99 Jun 27, 2018 Jun 27, 2018 ATH ATHENE HOLDING DS REPRESENTING A Financial Institutions Equity 46909.52 0.04023175927064617 46909.52 2671 2671 04686J408 US04686J4085 BMC8G63 17.56 United States New York Stock Exchange Inc. USD 13.36 6.97 1 Dec 31, 2079 4.88 14.22 -- 6.97 14.22 6.97 Dec 18, 2020 Dec 18, 2020 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 46849.03 0.04017988026787058 46849.03 468 468 57629WDF4 US57629WDF41 -- 100.02 United States -- USD 0.01 5.69 1 Oct 21, 2024 5.58 0.23 -- 5.69 0.23 5.69 Oct 21, 2021 Oct 21, 2021 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 46741.55 0.04008770048247928 46741.55 510 510 126307BN6 US126307BN62 -- 91.59 United States -- USD 3.47 14.22 1 Jan 31, 2029 11.75 3.38 -- 14.22 3.38 14.22 Jan 25, 2024 Jan 25, 2024 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 46564.92 0.03993621448049132 46564.92 464 464 64952WES8 US64952WES89 -- 100.3 United States -- USD 0.01 5.77 1 Apr 21, 2025 5.92 0.23 -- 5.77 0.23 5.77 Apr 21, 2022 Apr 21, 2022 WFC WELLS FARGO BANK NA (FRN) Banking Fixed Income 46504.93 0.03988476430068462 46504.93 461 461 94988J6E2 US94988J6E29 -- 100.97 United States -- USD 0.01 6.11 1 Aug 07, 2026 6.4 0.03 -- 6.08 0.03 6.08 Aug 09, 2023 Aug 09, 2023 STANLN STANDARD CHARTERED PLC FRN 144A Banking Fixed Income 46499.63 0.03988021877721445 46499.63 465 465 853254CF5 US853254CF55 -- 100.01 United Kingdom -- USD 0 6.44 1 Nov 23, 2025 6.27 0.07 -- 6.39 0.07 6.39 Nov 23, 2021 Nov 23, 2021 489 DONGFENG MOTOR GROUP LTD H Consumer Discretionary Equity 46478.19 0.0398618308483087 46478.19 122311 122311 -- CNE100000312 B0PH5N3 0.38 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Dec 07, 2005 NSUS NUSTAR LOGISTICS LP Industrial Equity 46413.78 0.03980658987345707 46413.78 1840 1840 67059T204 US67059T2042 B8S0HY0 25.23 United States New York Stock Exchange Inc. USD 0.15 12.61 1 Jan 15, 2043 12.32 7.41 -- 5.34 0.08 5.34 Jan 22, 2013 Jan 22, 2013 C CITIGROUP INC Banking Fixed Income 46406.11 0.03980001172911438 46406.11 464 464 172967MW8 US172967MW89 -- 100 United States -- USD 0 6.16 1 May 01, 2025 6.01 0.01 -- 6.09 0.02 6.09 May 04, 2021 May 04, 2021 BLTN BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 46380.2 0.03977779012286682 46380.2 284 284 -- BRSTNCLTN7U7 -- 163.13 Brazil -- USD 1.61 10.6 5.17025 Jan 01, 2026 0 1.53 -- 10.6 1.53 10.6 Feb 06, 2020 Feb 06, 2020 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 46377.87 0.03977579180783182 46377.87 463 463 24422EXA2 US24422EXA27 -- 100.23 United States -- USD 0.02 5.78 1 Jul 03, 2025 5.83 0.18 -- 5.78 0.18 5.78 Jul 11, 2023 Jul 11, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 46358.47 0.03975915347663912 46358.47 470 470 91282CJS1 US91282CJS17 BRT4MH2 98.66 United States -- USD 1.58 5.09 1 Dec 31, 2025 4.25 1.58 -- 5.09 1.58 5.09 Dec 31, 2023 Jan 02, 2024 POWSOL CLARIOS GLOBAL LP 144A Consumer Cyclical Fixed Income 46353.84 0.039755182575947255 46353.84 463 463 69867DAC2 US69867DAC20 BJ0M440 100.15 United States -- USD 0.08 8.44 1 May 15, 2027 8.5 2.55 -- 6.63 0.08 6.63 Apr 01, 2019 Apr 01, 2019 RGA REINSURANCE GROUP OF AMERICA INCOR Financial Institutions Equity 46309.5 0.03971715455506662 46309.5 1858 1858 759351802 US7593518027 BYT3Q98 24.92 United States -- USD 1.99 9.11 1 Jun 15, 2056 5.75 11.56 -- 6.28 1.95 6.28 Jun 08, 2016 Jun 08, 2016 NSUS NUSTAR ENERGY LP Industrial Equity 46078.72 0.039519227025548526 46078.72 1808 1808 67058H300 US67058H3003 BF0XV77 25.49 United States -- USD 0.37 11.47 1 Dec 31, 2079 11.23 0.01 -- 3.01 0.08 3.01 Apr 28, 2017 Apr 28, 2017 C CITIGROUP INC FRN Banking Fixed Income 46065.53 0.03950791467562936 46065.53 456 456 172967NH0 US172967NH04 -- 100.92 United States -- USD 0.01 6.53 1 Feb 24, 2028 6.62 0.07 -- 6.44 0.07 6.44 Feb 18, 2022 Feb 18, 2022 HBGCN HUB INTERNATIONAL LTD 144A Insurance Fixed Income 45954.52 0.03941270740007774 45954.52 468 468 44332PAJ0 US44332PAJ03 -- 98.21 United States -- USD 4.63 7.68 1 Jan 31, 2032 7.38 5.7 -- 7.68 5.7 7.68 Jan 26, 2024 Jan 26, 2024 BBDBCN BOMBARDIER INC 144A Capital Goods Fixed Income 45747.89 0.03923549201995674 45747.89 458 458 097751BT7 US097751BT78 BHL3S24 99.88 Canada -- USD 0.74 7.92 1 Apr 15, 2027 7.88 2.6 -- 7.92 2.6 7.92 Mar 07, 2019 Mar 07, 2019 JPM JPMORGAN CHASE & CO Banking Fixed Income 45631.44 0.03913561915050366 45631.44 456 456 46647PCL8 US46647PCL85 -- 100.03 United States -- USD 0.01 6.03 1 Jun 23, 2025 5.91 0.16 -- 5.72 0.16 5.72 Jun 23, 2021 Jun 23, 2021 UAL UNITED AIRLINES INC 144A Transportation Fixed Income 45613.24 0.03912000999443628 45613.24 495 495 90932LAH0 US90932LAH06 -- 92.06 United States -- USD 3.9 6.52 1 Apr 15, 2029 4.63 4.33 -- 6.52 4.33 6.52 Apr 21, 2021 Apr 21, 2021 SSNC SS&C TECHNOLOGIES INC 144A Technology Fixed Income 45569.13 0.03908217923212134 45569.13 472 472 78466CAC0 US78466CAC01 BJQ1YJ6 96.64 United States -- USD 2.47 6.61 1 Sep 30, 2027 5.5 3.06 -- 6.61 3.06 6.61 Mar 28, 2019 Mar 28, 2019 C CITIGROUP INC (FRN) Banking Fixed Income 45375.57 0.03891617328440696 45375.57 450 450 172967NM9 US172967NM98 -- 100.83 United States -- USD 0 6.56 1 Mar 17, 2026 6.86 0.13 -- 6.04 0.14 6.04 Mar 17, 2022 Mar 17, 2022 SERBGB SERBIA (REPUBLIC OF) Treasuries Fixed Income 45348.02 0.038892545138821455 45348.02 46273 46273 -- RSMFRSD58761 BN7K7L3 0.98 Serbia -- USD 5.78 5.79 109.36 Oct 26, 2031 7 5.63 -- 5.79 5.63 5.79 Oct 26, 2023 Oct 26, 2023 RITM NEW RESIDENTIAL INVESTMENT CORP Financial Institutions Equity 45319.72 0.03886827375878262 45319.72 2042 2042 64828T706 US64828T7063 BMHVDC2 22.19 United States -- USD 2.02 11.54 1 Dec 31, 2079 7 1.91 -- 11.54 2.17 11.54 Sep 17, 2021 Sep 17, 2021 PRU PRUDENTIAL FINANCIAL INC Financial Institutions Equity 45306.04 0.03885654116235396 45306.04 2315 2315 744320888 US7443208886 BLB2465 19.57 United States -- USD 15.05 5.31 1 Sep 01, 2060 4.13 16.35 -- 5.31 16.35 5.31 Aug 21, 2020 Aug 21, 2020 BPYPM BROOKFIELD PROPERTY PREFERRED PREF Industrial Equity 45258.18 0.03881549422777238 45258.18 3130 3130 -- BMG1624R1079 BMJ0KL5 14.46 United States NASDAQ USD 9.3 10.89 1 Jul 26, 2081 6.25 9.16 -- 10.89 9.16 10.89 Jul 26, 2021 Jul 26, 2021 BNS BANK OF NOVA SCOTIA Banking Fixed Income 45220.28 0.038782989446730975 45220.28 450 450 06417XAK7 US06417XAK72 -- 100.43 Canada -- USD 0.01 5.92 1 Apr 11, 2025 6.21 0.21 -- 5.92 0.21 5.92 Apr 12, 2022 Apr 12, 2022 2636 T3EX GLOBAL HOLDINGS CORP Industrials Equity 45160.14 0.03873141062003361 45160.14 15257 15257 -- TW0002636008 B1W4PC3 2.96 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Apr 23, 2007 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 45004.99 0.0385983468527889 45004.99 446 446 86563VBF5 US86563VBF58 -- 100.83 Japan -- USD 0.03 6.14 1 Mar 09, 2026 6.45 0.12 -- 6.14 0.12 6.14 Mar 09, 2023 Mar 09, 2023 STANLN STANDARD CHARTERED PLC FRN 144A Banking Fixed Income 44902.65 0.03851057536751773 44902.65 446 446 853254CK4 US853254CK41 -- 100.75 United Kingdom -- USD 0.01 6.83 1 Mar 30, 2026 7.07 0.17 -- 6.38 0.17 6.38 Mar 30, 2022 Mar 30, 2022 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 44782.09 0.03840717757326042 44782.09 493 493 12543DBG4 US12543DBG43 BNNTB78 90.78 United States -- USD 2.6 9.34 1 Mar 15, 2027 5.63 2.56 -- 9.34 2.56 9.34 Dec 28, 2020 Dec 28, 2020 AEL AMERICAN EQUITY INVESTMENT LIFE HO Financial Institutions Equity 44759.01 0.038387383105016736 44759.01 1870 1870 025676503 US0256765035 BL4Q3H8 23.93 United States -- USD 0.58 9.45 1 Dec 31, 2079 5.95 0.32 -- 15.4 0.55 15.4 Nov 21, 2019 Nov 21, 2019 ACGL ARCH CAPITAL GROUP LTD. Financial Institutions Equity 44726.53 0.03835952676495803 44726.53 2323 2323 03939A404 US03939A4040 BNYBNX3 19.25 Bermuda -- USD 15.23 5.93 1 Dec 31, 2079 4.55 16.85 -- 5.93 16.15 5.93 Jun 11, 2021 Jun 11, 2021 IM IMOLA MERGER CORP 144A Technology Fixed Income 44712.44 0.03834744253369488 44712.44 489 489 45258LAA5 US45258LAA52 -- 91.5 United States -- USD 3.94 6.76 1 May 15, 2029 4.75 4.28 -- 6.76 4.28 6.76 Apr 22, 2021 Apr 22, 2021 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 44673.24 0.03831382281293438 44673.24 447 447 38141GYQ1 US38141GYQ18 -- 100.05 United States -- USD 0.01 5.87 1 Oct 21, 2024 5.8 0.23 -- 5.31 0.08 5.31 Oct 21, 2021 Oct 21, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 44647.83 0.03829203002965569 44647.83 477 477 91282CEF4 US91282CEF41 BN0XXJ9 93.65 United States -- USD 2.77 4.85 1 Mar 31, 2027 2.5 2.77 -- 4.85 2.77 4.85 Mar 31, 2022 Mar 31, 2022 14 HYSAN DEVELOPMENT LTD Real Estate Equity 44640.7 0.038285915014119404 44640.7 29563 29563 449162106 HK0014000126 6449629 1.51 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Jan 02, 1985 BHF BRIGHTHOUSE FINANCIAL INC Financial Institutions Equity 44603.45 0.03825396770293755 44603.45 1979 1979 10922N301 US10922N3017 BJ0M332 22.54 United States -- USD 8.49 7.37 1 Dec 31, 2079 6.6 13.57 -- 7.37 13.26 7.37 Mar 25, 2019 Mar 25, 2019 JPM JPMORGAN CHASE & CO (FRN) Banking Fixed Income 44588.54 0.038241180202005426 44588.54 445 445 46647PEF9 US46647PEF99 -- 100.27 United States -- USD -0.01 6.36 1 Apr 22, 2028 6.23 0.23 -- 6.32 0.23 6.32 Apr 22, 2024 Apr 22, 2024 C CITIGROUP INC Banking Fixed Income 44555.01 0.03821242333371207 44555.01 446 446 172967MZ1 US172967MZ11 BKWHRP2 99.93 United States -- USD 0 6.28 1 Jun 09, 2027 6.1 0.11 -- 6.28 0.11 6.28 Jun 09, 2021 Jun 09, 2021 NINV NATIONAL INVEST Financials Equity 44521.57 0.03818374365355311 44521.57 55652 55652 S66147174 KW0EQ0200281 6614717 0.8 Kuwait Kuwait Stock Exchange USD 0 -- 0.30785 -- 0 0 -- -- 0 -- -- Mar 13, 1996 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 44514.43 0.03817762006155744 44514.43 444 444 24422EWU9 US24422EWU99 -- 100.31 United States -- USD 0.03 5.87 1 Mar 03, 2026 5.91 0.1 -- 5.87 0.1 5.87 Mar 03, 2023 Mar 03, 2023 EBRD EUROPEAN BANK FOR RECONSTRUCTION A MTN Supranational Fixed Income 44466.78 0.0381367532326228 44466.78 444 444 29875BAK2 US29875BAK26 BQ7X3G0 100.04 Supranational -- USD 0.01 5.81 1 Feb 20, 2028 5.67 0.07 -- 5.81 0.07 5.81 Feb 20, 2024 Feb 20, 2024 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 44424.43 0.03810043192715832 44424.43 441 441 37045XES1 US37045XES18 -- 100.69 United States -- USD 0.04 6.59 1 May 08, 2027 5.62 0.02 -- 6.59 0.02 6.59 Feb 08, 2024 Feb 08, 2024 MCFE MCAFEE CORP 144A Technology Fixed Income 44394.38 0.03807465966672839 44394.38 483 483 579063AB4 US579063AB46 -- 91.91 United States -- USD 4.16 9.2 1 Feb 15, 2030 7.38 4.5 -- 9.2 4.5 9.2 Feb 17, 2022 Feb 17, 2022 AGNC AGNC INVESTMENT CORP Financial Institutions Equity 44328.22 0.03801791781148566 44328.22 1817 1817 00123Q807 US00123Q8078 BK71BY6 24.4 United States -- USD 0.46 10.8 1 Dec 31, 2079 6.5 0.23 -- 12.39 0.44 12.39 Oct 03, 2019 Oct 03, 2019 TCAP.R THANACHART CAPITAL NON-VOTING DR P Financials Equity 44232.7 0.03793599547151007 44232.7 33510 33510 S63619944 TH0083010R14 6361994 1.32 Thailand Stock Exchange Of Thailand USD 0 -- 37.0175 -- 0 0 -- -- 0 -- -- Aug 20, 2001 USM UNITED STATES CELLULAR CORPORATION Industrial Equity 44121.38 0.03784052232571773 44121.38 2320 2320 911684702 US9116847024 BMGR6C2 19.02 United States -- USD 10.57 8.32 1 Sep 01, 2069 6.25 11.76 -- 8.32 11.76 8.32 Aug 12, 2020 Aug 12, 2020 BHF BRIGHTHOUSE FINANCIAL INC Financial Institutions Equity 44070.09 0.037796533665569614 44070.09 1883 1883 10922N509 US10922N5095 BM9JJ93 23.41 United States -- USD 6.84 7.25 1 Dec 31, 2079 6.75 13.79 -- 7.25 13.46 7.25 May 21, 2020 May 21, 2020 CTL QWEST CORP Industrial Equity 44061.55 0.03778920936926107 44061.55 4482 4482 74913G881 US74913G8814 BZ4C835 9.83 United States -- USD 5.97 16.97 1 Sep 01, 2056 6.5 5.87 -- 16.97 5.87 16.97 Aug 22, 2016 Aug 22, 2016 RY ROYAL BANK OF CANADA (FRN) MTN Banking Fixed Income 44053.86 0.037782614071999635 44053.86 436 436 78016HZR4 US78016HZR47 -- 100.95 Canada -- USD 0.02 6.11 1 Jul 20, 2026 6.39 0.23 -- 6.11 0.23 6.11 Jul 20, 2023 Jul 20, 2023 303 VTECH HOLDINGS LTD Information Technology Equity 43913.11 0.037661900406258796 43913.11 7759 7759 S69285609 BMG9400S1329 6928560 5.66 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Feb 10, 1993 SHA SCHAEFFLER PREF AG Consumer Discretionary Equity 43740.66 0.0375139993642907 43740.66 6528 6528 -- DE000SHA0159 BZ1DNL4 6.7 Germany Xetra USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Oct 09, 2015 1378 CHINA HONGQIAO GROUP LTD Materials Equity 43734.48 0.0375086991123953 43734.48 31692 31692 -- KYG211501005 B44ZV94 1.38 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Mar 24, 2011 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 43549.25 0.03734983735534254 43549.25 8201 8201 -- MX0MGO0000Y4 BYNMJL4 5.31 Mexico -- USD 1.68 10.75 17.2605 Mar 05, 2026 5.75 1.71 -- 10.75 1.71 10.75 Sep 17, 2015 Oct 16, 2015 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 43469.22 0.037281199950942964 43469.22 20125 20125 -- TRT011025T16 BKY7LD6 2.16 Turkey -- USD 1.09 42.16 32.526 Oct 01, 2025 12.6 1.1 -- 42.16 1.1 42.16 Oct 07, 2020 Oct 07, 2020 TEN TENNECO INC 144A Consumer Cyclical Fixed Income 43442.51 0.03725829222794518 43442.51 468 468 880349AU9 US880349AU90 -- 92.81 United States -- USD 3.48 10 1 Nov 17, 2028 8 3.64 -- 10 3.64 10 Aug 18, 2023 Aug 18, 2023 WFRD WEATHERFORD INTERNATIONAL LTD 144A Energy Fixed Income 43396.07 0.03721846315059523 43396.07 418 418 947075AU1 US947075AU14 -- 103.75 United States -- USD 1.9 7.83 1 Apr 30, 2030 8.63 4.51 -- 6.97 2.17 6.97 Oct 27, 2021 Oct 27, 2021 WSTP WESTPAC BANKING CORP Banking Fixed Income 43378.01 0.03720297406495914 43378.01 432 432 961214FM0 US961214FM04 -- 100.44 Australia -- USD 0.01 5.93 1 Nov 17, 2025 6.06 0.06 -- 5.93 0.06 5.93 Nov 17, 2023 Nov 17, 2023 KKR KKR GROUP FINANCE CO IX LLC Financial Institutions Equity 43374.34 0.03719982650436753 43374.34 2286 2286 48253M104 US48253M1045 BN2D5N5 18.97 United States -- USD 13.63 6.12 1 Apr 01, 2061 4.63 14.94 -- 6.12 14.94 6.12 Mar 31, 2021 Mar 31, 2021 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 43355.07 0.037183299667146744 43355.07 430 430 55608PBS2 US55608PBS20 -- 100.73 Australia -- USD 0.02 6.4 1 Dec 07, 2026 6.53 0.11 -- 6.4 0.11 6.4 Dec 07, 2023 Dec 07, 2023 SIRI SIRIUS XM RADIO INC 144A Communications Fixed Income 43310.17 0.03714479136454096 43310.17 486 486 82967NBJ6 US82967NBJ63 -- 89.12 United States -- USD 3.69 7.02 1 Jul 15, 2028 4 3.73 -- 7.02 3.73 7.02 Jun 21, 2021 Jun 21, 2021 STANLN STANDARD CHARTERED PLC FRN 144A Banking Fixed Income 43307.43 0.037142441414671476 43307.43 426 426 853254CV0 US853254CV06 -- 101.63 United Kingdom -- USD 0.03 6.88 1 Jul 06, 2027 7.25 0.18 -- 6.64 0.18 6.64 Jul 06, 2023 Jul 06, 2023 HBAN HUNTINGTON BANCSHARES DRC INC Financial Institutions Equity 43176.04 0.037029755314908146 43176.04 2400 2400 446150823 US4461508230 BKPLQ32 17.99 United States NASDAQ USD 14.63 6.27 1 Dec 31, 2079 4.5 15.75 -- 6.27 15.75 6.27 Feb 09, 2021 Feb 09, 2021 VERITS VERITAS US INC 144A Technology Fixed Income 43163.91 0.037019352069683015 43163.91 478 478 92346LAE3 US92346LAE39 -- 90.35 United States -- USD 1.26 15.68 1 Sep 01, 2025 7.5 1.2 -- 15.68 1.2 15.68 Aug 20, 2020 Aug 20, 2020 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 43127.43 0.03698806514587324 43127.43 430 430 38141GYR9 US38141GYR90 -- 100.18 United States -- USD 0 6.36 1 Oct 21, 2027 6.23 0.22 -- 6.34 0.23 6.34 Oct 21, 2021 Oct 21, 2021 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 43009.2 0.036886665666650935 43009.2 430 430 808513BQ7 US808513BQ70 -- 99.91 United States -- USD 0 6.06 1 May 13, 2026 5.86 0.04 -- 6.06 0.04 6.06 May 13, 2021 May 13, 2021 BAC BANK OF AMERICA CORP Banking Fixed Income 42973.91 0.0368563993415071 42973.91 429 429 06051GJV2 US06051GJV23 -- 100.25 United States -- USD 0 6.37 1 Jul 22, 2027 6.28 0.23 -- 6.34 0.23 6.34 Apr 22, 2021 Apr 22, 2021 EIX SCE TRUST VI Financial Institutions Equity 42964.07 0.036847960105479464 42964.07 2222 2222 78410V200 US78410V2007 BDC3P68 19.34 United States -- USD 13.68 6.51 1 Dec 31, 2079 5 15.36 -- 6.51 14.83 6.51 Jun 26, 2017 Jun 26, 2017 KEY KEYCORP Financial Institutions Equity 42899.11 0.03679224742536205 42899.11 2086 2086 493267868 US4932678687 BJHDLJ0 20.57 United States New York Stock Exchange Inc. USD 12.05 6.89 1 Dec 31, 2079 5.63 14.23 -- 6.89 14.23 6.89 Apr 29, 2019 Apr 29, 2019 WFC WELLS FARGO BANK NA (FRN) Banking Fixed Income 42827.45 0.0367307885174616 42827.45 427 427 94988J6C6 US94988J6C62 -- 100.41 United States -- USD 0 5.97 1 Aug 01, 2025 6.15 0.01 -- 5.92 0.01 5.92 Aug 09, 2023 Aug 09, 2023 DTE DTE ENERGY COMPANY Utility Equity 42806.8 0.03671307812884669 42806.8 1841 1841 233331859 US2333318598 BF3L703 23.25 United States -- USD 12.07 5.7 1 Dec 01, 2077 5.25 16.67 -- 5.7 16.67 5.7 Nov 17, 2017 Nov 17, 2017 SHBASS SVENSKA HANDELSBANKEN AB (FRN) MTN 144A Banking Fixed Income 42795.68 0.036703541106018714 42795.68 423 423 86959LAN3 US86959LAN38 -- 101.29 Sweden -- USD 0.03 6.1 1 Jun 15, 2026 6.58 0.13 -- 6.1 0.13 6.1 Jun 15, 2023 Jun 15, 2023 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 42700.39 0.0366218160246088 42700.39 428 428 38141GXX7 US38141GXX77 -- 99.85 United States -- USD 0 6.36 1 Mar 09, 2027 6.14 0.11 -- 6.36 0.11 6.36 Mar 08, 2021 Mar 08, 2021 CG CARLYLE FINANCE LLC Financial Institutions Equity 42589.7 0.03652688319575726 42589.7 2286 2286 14314C105 US14314C1053 BMHV4X0 18.63 United States -- USD 13.46 6.28 1 May 15, 2061 4.63 14.58 -- 6.28 14.58 6.28 May 11, 2021 May 11, 2021 CHSINC CHS INC. (8% CUMULATIVE REDEEMABLE Industrial Equity 42244.38 0.036230720900527216 42244.38 1407 1407 12542R209 US12542R2094 2332756 30.03 United States NASDAQ USD 0.15 6.71 1 Dec 31, 2079 8 14.39 -- -5 14.39 -5 Jan 31, 2003 Jan 29, 2003 OGN ORGANON & CO 144A Consumer Non-Cyclical Fixed Income 42214.36 0.03620497436947542 42214.36 493 493 68622TAB7 US68622TAB70 -- 85.57 United States -- USD 5.38 7.84 1 Apr 30, 2031 5.13 5.5 -- 7.84 5.5 7.84 Apr 21, 2021 Apr 21, 2021 DNORD DAMPSKIBSSELSKABET NORDEN Industrials Equity 42107.12 0.036113000419109184 42107.12 1055 1055 -- DK0060083210 B1WP656 39.9 Denmark Omx Nordic Exchange Copenhagen A/S USD 0 -- 6.9616 -- 0 0 -- -- 0 -- -- Mar 29, 1988 NWG NATWEST MARKETS PLC MTN 144A Banking Fixed Income 42059.84 0.036072450919171516 42059.84 417 417 63906YAF5 US63906YAF51 -- 100.81 United Kingdom -- USD 0.01 6.04 1 Mar 22, 2025 6.78 0.15 -- 6.04 0.15 6.04 Mar 22, 2022 Mar 22, 2022 TNOTE TREASURY NOTE Treasuries Fixed Income 41979.63 0.03600365913850315 41979.63 433 433 9128285J5 US9128285J52 BGN70G5 96.95 United States -- USD 1.43 5.12 1 Oct 31, 2025 3 1.43 -- 5.12 1.43 5.12 Oct 31, 2018 Oct 31, 2018 BNTNF BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 41890.8 0.03592747444985121 41890.8 227 227 -- BRSTNCNTF1Q6 BF4LY56 184.73 Brazil -- USD 3.53 11.35 5.17025 Jan 01, 2029 10 3.34 -- 11.35 3.34 11.35 Jan 01, 2018 Jan 05, 2018 UBER UBER TECHNOLOGIES INC 144A Consumer Cyclical Fixed Income 41852.18 0.035894352163734614 41852.18 415 415 90353TAC4 US90353TAC45 BG87FX2 100.92 United States -- USD 0.54 7.59 1 Nov 01, 2026 8 2.16 -- 6.17 0.48 6.17 Nov 07, 2018 Nov 07, 2018 EDF ELECTRICITE DE FRANCE SA 144A Owned No Guarantee Fixed Income 41803.43 0.03585254192426843 41803.43 384 384 28504KAA5 US28504KAA51 -- 108.95 France -- USD 6.03 8.78 1 Dec 31, 2079 9.13 6.27 -- 7.71 5.98 7.71 Jun 15, 2023 Jun 15, 2023 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 41798.67 0.03584845952960465 41798.67 415 415 55608PBN3 US55608PBN33 -- 100.78 Australia -- USD 0.02 6.35 1 Jun 15, 2026 6.57 0.13 -- 6.35 0.13 6.35 Jun 15, 2023 Jun 15, 2023 VERCST VERICAST MERGER SUB INC 144A Industrial Other Fixed Income 41722.17 0.035782849615365396 41722.17 391 391 92348BAA1 US92348BAA17 -- 106.84 United States -- USD 0.08 7.8 1 Sep 15, 2026 11 2.07 -- -4.67 0.09 -4.67 Aug 23, 2021 Aug 23, 2021 WCC WESCO DISTRIBUTION INC 144A Capital Goods Fixed Income 41531.8 0.035619579558192505 41531.8 415 415 95081QAN4 US95081QAN43 -- 100 United States -- USD 0.31 7.11 1 Jun 15, 2025 7.13 1.05 -- 6.95 0.13 6.95 Jun 12, 2020 Jun 12, 2020 CFG CITIZENS FINANCIAL GROUP INC Financial Institutions Equity 41509.31 0.0356002911010521 41509.31 2123 2123 174610402 US1746104025 BK229B7 19.55 United States -- USD 13.46 6.42 1 Dec 31, 2079 5 15.3 -- 6.42 15.3 6.42 Oct 28, 2019 Oct 28, 2019 BMY BRISTOL-MYERS SQUIBB CO (FRN) Consumer Non-Cyclical Fixed Income 41491.63 0.035585127920872366 41491.63 414 414 110122EM6 US110122EM67 -- 100.24 United States -- USD 0 5.86 1 Feb 20, 2026 5.84 0.07 -- 5.86 0.07 5.86 Feb 22, 2024 Feb 22, 2024 FG F&G ANNUITIES & LIFE INC Financial Institutions Equity 41480.25 0.03557536791010057 41480.25 1595 1595 30190A203 US30190A2033 BNKG9F6 26.01 United States -- USD 4.61 7.71 1 Dec 15, 2053 7.95 11.5 -- 7.21 3.84 7.21 Dec 06, 2023 Dec 06, 2023 USB US BANCORP Financial Institutions Equity 41338.36 0.03545367652799067 41338.36 2116 2116 902973668 US9029736686 BMC7GV5 19.54 United States -- USD 14.77 5.77 1 Dec 31, 2079 4.5 16.88 -- 5.77 16.88 5.77 Feb 09, 2022 Feb 09, 2022 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 41329.28 0.03544588910287574 41329.28 413 413 025816CU1 US025816CU11 -- 100 United States -- USD 0.01 6.01 1 May 03, 2024 6.07 0.02 -- 6.01 0.02 6.01 May 03, 2022 May 03, 2022 ACAFP CREDIT AGRICOLE SA MTN 144A Banking Fixed Income 41258.7 0.03538535645258807 41258.7 407 407 22534PAF0 US22534PAF09 -- 101.28 France -- USD 0.03 6.17 1 Jul 05, 2026 6.61 0.19 -- 6.17 0.19 6.17 Jul 05, 2023 Jul 05, 2023 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 41177.52 0.03531573275536006 41177.52 412 412 89236TJP1 US89236TJP12 -- 100 United States -- USD 0.01 5.78 1 Sep 13, 2024 5.62 0.13 -- 5.78 0.13 5.78 Sep 13, 2021 Sep 13, 2021 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 41165.17 0.03530514082802863 41165.17 410 410 86562MCL2 US86562MCL28 -- 100.44 Japan -- USD 0.03 6.2 1 Jan 14, 2027 6.19 0.21 -- 6.2 0.21 6.2 Jan 14, 2022 Jan 14, 2022 SWEDA SWEDBANK AB MTN 144A Banking Fixed Income 41149.29 0.035291521410536875 41149.29 406 406 870195AA2 US870195AA25 -- 101.46 Sweden -- USD 0.02 6.15 1 Jun 15, 2026 6.71 0.13 -- 6.15 0.13 6.15 Jun 15, 2023 Jun 15, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 41147.1 0.035289643165933166 41147.1 446 446 912828YQ7 US912828YQ73 BKZ7NK6 92.29 United States -- USD 2.4 4.92 1 Oct 31, 2026 1.63 2.39 -- 4.92 2.39 4.92 Oct 31, 2019 Oct 31, 2019 BNTNF BRAZIL FEDERATIVE REPUBLIC OF (GO Treasuries Fixed Income 41101.59 0.035250611699305344 41101.59 217 217 -- BRSTNCNTF1P8 BYYCKC1 189.73 Brazil -- USD 2.24 10.87 5.17025 Jan 01, 2027 10 2.12 -- 10.87 2.12 10.87 Jan 01, 2016 Jan 15, 2016 SOLEIN OLYMPUS WATER US HOLDING CORP 144A Basic Industry Fixed Income 41097.65 0.03524723257431053 41097.65 390 390 25259KAA8 US25259KAA88 -- 105.34 United States -- USD 2.11 8.32 1 Nov 15, 2028 9.75 3.63 -- 7.78 2.64 7.78 Jun 08, 2023 Jun 08, 2023 CVNA CARVANA CO 144A Consumer Cyclical Fixed Income 41079.08 0.035231306089246184 41079.08 418 418 146869AM4 US146869AM47 2LJR0V8 98.25 United States -- USD 4.25 14.39 1 Jun 01, 2031 14 4.27 -- 14.39 4.27 14.39 Sep 01, 2023 Sep 01, 2023 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 40884.6 0.03506451110726907 40884.6 407 407 2027A0KQ1 US2027A0KQ12 -- 100.42 Australia -- USD 0.02 6 1 Mar 13, 2026 6.08 0.13 -- 6 0.13 6 Mar 13, 2023 Mar 13, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 40847.54 0.035032726748815385 40847.54 408 408 78016EYR2 US78016EYR25 -- 100.05 Canada -- USD 0.01 5.87 1 Jan 21, 2025 5.75 0.23 -- 5.87 0.23 5.87 Jan 21, 2022 Jan 21, 2022 DISH DISH DBS CORP 144A Communications Fixed Income 40765.66 0.03496250269943094 40765.66 619 619 25470XBF1 US25470XBF15 -- 65.88 United States -- USD 3.75 16.65 1 Dec 01, 2028 5.75 3.54 -- 16.65 3.54 16.65 Nov 26, 2021 Nov 26, 2021 ANZNZ ANZ NEW ZEALAND INTL LTD (LONDON B MTN 144A Banking Fixed Income 40757.54 0.03495553861441626 40757.54 407 407 00182EBQ1 US00182EBQ17 -- 100.19 New Zealand -- USD 0.01 5.89 1 Feb 18, 2025 5.94 0.06 -- 5.89 0.06 5.89 Feb 18, 2022 Feb 18, 2022 OSB OSB GROUP PLC Financials Equity 40699.18 0.034905486397488125 40699.18 8272 8272 -- GB00BLDRH360 BLDRH36 4.92 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- -- C CITIBANK NA (FRN) Banking Fixed Income 40528.14 0.034758794636292285 40528.14 405 405 17325FBE7 US17325FBE79 -- 100.11 United States -- USD 0.01 5.98 1 Apr 30, 2026 0 0.25 -- 5.98 0.25 5.98 Apr 30, 2024 Apr 30, 2024 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 40475.33 0.03471350235431876 40475.33 7551 7551 -- ZAG000016320 6148788 5.36 South Africa -- USD 2.21 9.56 19.06 Dec 21, 2026 10.5 2.2 -- 9.56 2.2 9.56 May 21, 1998 May 21, 1998 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 40474.17 0.03471250748503095 40474.17 7890 7890 -- MX0MGO0000P2 B6TC406 5.13 Mexico -- USD 5.04 10.02 17.2605 May 29, 2031 7.75 5.1 -- 10.02 5.1 10.02 Jun 23, 2011 Sep 09, 2011 USM UNITED STATES CELLULAR CORPORATION Industrial Equity 40454.57 0.0346956976246507 40454.57 2318 2318 911684884 US9116848840 BNMBT60 17.45 United States -- USD 11.63 7.98 1 Jun 01, 2070 5.5 12.32 -- 7.98 12.32 7.98 May 17, 2021 May 17, 2021 BFCM BANQUE FEDERATIVE DU (FRN) MTN 144A Banking Fixed Income 40438.14 0.03468160650189317 40438.14 398 398 06675DCG5 US06675DCG51 -- 101.49 France -- USD 0.03 6.17 1 Jul 13, 2026 6.72 0.21 -- 6.17 0.21 6.17 Jul 13, 2023 Jul 13, 2023 HIG HARTFORD FINANCIAL SERVICES GROUP Financial Institutions Equity 40411.83 0.03465904183727049 40411.83 1614 1614 416518603 US4165186036 BF5J7D8 25.04 United States New York Stock Exchange Inc. USD 1.21 6.08 1 Dec 31, 2079 6 16.46 -- 6.08 15.74 6.08 Nov 06, 2018 Nov 06, 2018 RNR RENAISSANCERE HOLDINGS LTD Financial Institutions Equity 40377.64 0.034629718922658204 40377.64 2330 2330 -- BMG7498P1279 BKSDN56 17.33 Bermuda -- USD 15.43 6.12 1 Dec 31, 2079 4.2 16.04 -- 6.12 16.04 6.12 Jul 12, 2021 Jul 12, 2021 ETR ENTERGY ARKANSAS LLC Utility Equity 40340.03 0.03459746285893875 40340.03 1899 1899 29364D100 US29364D1000 BZC0L09 21.24 United States -- USD 13.31 5.79 1 Sep 01, 2066 4.88 15.87 -- 5.79 15.87 5.79 Aug 16, 2016 Aug 16, 2016 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 40312.86 0.03457416061880959 40312.86 402 402 89236TLA1 US89236TLA15 -- 100.31 United States -- USD 0.01 5.91 1 Sep 11, 2025 5.98 0.12 -- 5.91 0.12 5.91 Sep 11, 2023 Sep 11, 2023 USM UNITED STATES CELLULAR CORPORATION Industrial Equity 40312.68 0.0345740062425408 40312.68 2317 2317 911684801 US9116848014 BN7J7C1 17.4 United States -- USD 11.61 8 1 Mar 01, 2070 5.5 12.29 -- 8 12.29 8 Dec 02, 2020 Dec 02, 2020 SNV SYNOVUS FINANCIAL CORP. Financial Institutions Equity 40244.3 0.03451536041331622 40244.3 1646 1646 87161C709 US87161C7092 BKFHSG7 24.45 United States -- USD -0.03 9.12 1 Dec 31, 2079 5.88 0.03 -- 9.12 0.17 9.12 Jul 01, 2019 Jul 01, 2019 SHNHAN SHINHAN BANK MTN RegS Banking Fixed Income 40236.98 0.03450908244505176 40236.98 398 398 82460EAP5 US82460EAP51 BLGWDT6 101.21 Korea (South) -- USD 0.25 6.16 1 Apr 24, 2025 7.28 0.24 -- 6.16 0.24 6.16 Apr 24, 2020 Apr 24, 2020 NXST NEXSTAR MEDIA INC 144A Communications Fixed Income 40196.85 0.034474665113569135 40196.85 428 428 65343HAA9 US65343HAA95 BJXR8L7 93.83 United States -- USD 2.71 7.83 1 Jul 15, 2027 5.63 2.83 -- 7.83 2.83 7.83 Jul 03, 2019 Jul 03, 2019 TIHLLC PANTHER ESCROW ISSUER LLC 144A Insurance Fixed Income 40162.03 0.03444480188201605 40162.03 400 400 69867RAA5 US69867RAA59 -- 100.41 United States -- USD 4.48 7.02 1 Jun 01, 2031 7.13 5.49 -- 6.99 4.21 6.99 Apr 08, 2024 Apr 08, 2024 SEB SKANDINAVISKA ENSKILDA BANKEN FRN MTN 144A Banking Fixed Income 40161.1 0.034444004271293925 40161.1 400 400 830505AY9 US830505AY91 -- 100.5 Sweden -- USD 0.02 5.98 1 Jun 09, 2025 6.29 0.12 -- 5.98 0.12 5.98 Jun 09, 2022 Jun 09, 2022 BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 40091.45 0.03438426923172839 40091.45 400915 400915 -- CL0002187822 BZ8VHW0 0.1 Chile -- USD 8.05 6.18 949.8 Mar 01, 2035 5 8.07 -- 6.18 8.07 6.18 Mar 01, 2015 Mar 01, 2015 KEY KEYCORP Financial Institutions Equity 39963.95 0.03427491937466297 39963.95 1968 1968 493267876 US4932678760 BYWLBZ0 20.31 United States -- USD 12.01 7.01 1 Dec 31, 2079 5.65 14 -- 7.01 14 7.01 Jul 30, 2018 Jul 30, 2018 INTNED ING GROEP NV Banking Fixed Income 39838.17 0.03416704466861051 39838.17 397 397 456837AX1 US456837AX12 -- 100.26 Netherlands -- USD 0.03 6.41 1 Apr 01, 2027 6.34 0.17 -- 6.36 0.17 6.36 Apr 01, 2021 Apr 01, 2021 AQNCN ALGONQUIN POWER & UTILITIES CORP Utility Equity 39816.94 0.03414883684535169 39816.94 1598 1598 015857808 US0158578080 BFYWGC0 24.92 Canada -- USD 0.15 9.94 1 Jul 01, 2079 6.2 0.04 -- 9.74 0.17 9.74 May 23, 2019 May 23, 2019 POST OSTERREICHISCHE POST AG Industrials Equity 39751.89 0.03409304697709989 39751.89 1156 1156 -- AT0000APOST4 B1577G7 34.39 Austria Wiener Boerse Ag USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- May 31, 2006 RITM NEW RESIDENTIAL INVESTMENT CORP Financial Institutions Equity 39710.95 0.034057934952407665 39710.95 1781 1781 64828T508 US64828T5083 BLCF612 22.3 United States -- USD 0.77 11.75 1 Dec 31, 2079 6.38 0.48 -- 23.85 0.7 23.85 Feb 14, 2020 Feb 14, 2020 BHF BRIGHTHOUSE FINANCIAL INC Financial Institutions Equity 39553.68 0.033923052975774894 39553.68 1750 1750 10922N202 US10922N2027 BF5JWJ9 22.6 United States -- USD 8.97 6.97 1 Sep 15, 2058 6.25 13.04 -- 6.97 13.04 6.97 Sep 12, 2018 Sep 12, 2018 005830 DB INSURANCE LTD Financials Equity 39529.83 0.03390259812015913 39529.83 567 567 S61559373 KR7005830005 6155937 69.75 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Nov 24, 1993 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 39488.76 0.033867374601495 39488.76 391 391 85172FAN9 US85172FAN96 BDTMS47 100.89 United States -- USD 1.74 6.61 1 Mar 15, 2026 7.13 1.73 -- 6.61 1.73 6.61 May 11, 2018 May 11, 2018 PL PROTECTIVE LIFE GLOBAL FUNDING FRN MTN 144A Insurance Fixed Income 39471.13 0.03385225430361215 39471.13 393 393 74368CBM5 US74368CBM55 -- 100.47 United States -- USD 0.01 5.93 1 Mar 28, 2025 6.31 0.17 -- 5.93 0.17 5.93 Mar 31, 2022 Mar 31, 2022 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 39414.66 0.03380382303750639 39414.66 394 394 38141GYF5 US38141GYF52 -- 100.03 United States -- USD 0.01 5.92 1 Sep 10, 2024 5.83 0.12 -- 5.51 0.08 5.51 Jun 10, 2021 Jun 10, 2021 BAC BANK OF AMERICA DRC CORP Financial Institutions Equity 39326.32 0.033728058595363965 39326.32 2167 2167 06055H608 US06055H6080 BN4Q1G7 18.15 United States New York Stock Exchange Inc. USD 17.29 5.76 1 Dec 31, 2079 4.13 16.82 -- 5.76 16.82 5.76 Jan 28, 2021 Jan 28, 2021 123 YUEXIU PROPERTY COMPANY LTD Real Estate Equity 39202.56 0.0336219163341058 39202.56 75390 75390 -- HK0000745908 BNR5PB4 0.52 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- -- SFRFP ALTICE FRANCE SA (FRANCE) 144A Communications Fixed Income 39182.3 0.03360454042740662 39182.3 604 604 02156LAF8 US02156LAF85 -- 64.88 France -- USD 4.36 15.08 1 Jul 15, 2029 5.13 4.15 -- 15.08 4.15 15.08 Apr 27, 2021 Apr 27, 2021 GBLATL GA GLOBAL FUNDING TRUST MTN 144A Insurance Fixed Income 39146.44 0.03357378524407826 39146.44 392 392 36143L2E4 US36143L2E48 -- 99.99 United States -- USD 0.01 6.02 1 Sep 13, 2024 5.83 0.13 -- 6.02 0.13 6.02 Sep 14, 2021 Sep 14, 2021 BTSG BRIGHTSPRING HEALTH SERVICES UNITS Industrial Equity 38963.91 0.03341723913105747 38963.91 913 913 10950A205 US10950A2050 BPDYYD4 42.66 United States NASDAQ USD 0.15 16.49 1 Feb 01, 2027 6.75 2.39 -- 16.49 2.89 16.49 Jan 30, 2024 Jan 30, 2024 AXP AMERICAN EXPRESS COMPANY (FRN) Banking Fixed Income 38961.15 0.03341487202826923 38961.15 386 386 025816DM8 US025816DM85 -- 100.99 United States -- USD 0.03 6.42 1 Oct 30, 2026 6.7 0.01 -- 6.15 0.01 6.15 Oct 30, 2023 Oct 30, 2023 SHBASS SVENSKA HANDELSBANKEN AB (FRN) MTN 144A Banking Fixed Income 38941.74 0.03339822512061715 38941.74 387 387 86959LAK9 US86959LAK98 -- 100.53 Sweden -- USD 0.02 5.85 1 Jun 10, 2025 6.73 0.12 -- 5.85 0.12 5.85 Jun 10, 2022 Jun 10, 2022 C CITIGROUP INC Banking Fixed Income 38909.98 0.03337098628563364 38909.98 385 385 172967MB4 US172967MB43 BF18S70 100.99 United States -- USD 0.19 6.48 1 Jul 01, 2026 6.81 0.17 -- 6.09 0.18 6.09 Jun 12, 2018 Jun 12, 2018 BNTNF BRAZIL FEDERATIVE REPUBLIC OF Treasuries Fixed Income 38896.32 0.03335927084212373 38896.32 202 202 -- BRSTNCNTF170 BJ0X0K1 192.83 Brazil -- USD 0.63 10.3 5.17025 Jan 01, 2025 10 0.6 -- 10.3 0.6 10.3 Jan 01, 2014 Jan 10, 2014 NYCB NEW YORK COMMUNITY BANCORP INT FXD Financial Institutions Equity 38833.99 0.03330581377082265 38833.99 2442 2442 649445202 US6494452021 BYVLYP2 15.9 United States New York Stock Exchange Inc. USD -0.5 13.65 1 Dec 31, 2079 6.38 2.15 -- 13.65 2.27 13.65 Mar 17, 2017 Mar 17, 2017 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 38772.81 0.033253342992350006 38772.81 19986 19986 -- TRT080328T15 BZ2YS99 1.94 Turkey -- USD 2.64 28.77 32.526 Mar 08, 2028 12.4 2.55 -- 28.77 2.55 28.77 Mar 21, 2018 Mar 21, 2018 ALTICE ALTICE FINANCING SA 144A Communications Fixed Income 38704.04 0.033194362681209705 38704.04 513 513 02154CAH6 US02154CAH60 -- 75.42 Luxembourg -- USD 4.36 12.17 1 Aug 15, 2029 5.75 4.21 -- 12.17 4.21 12.17 Aug 12, 2021 Aug 12, 2021 USB US BANCORP Financial Institutions Equity 38692.11 0.03318413096517213 38692.11 2359 2359 902973734 US9029737346 BMFV904 16.4 United States -- USD 17.56 5.73 1 Dec 31, 2079 3.75 17.22 -- 5.73 17.22 5.73 Oct 27, 2020 Oct 27, 2020 TD TORONTO-DOMINION BANK/THE (FRN) MTN Banking Fixed Income 38685.87 0.03317877925452046 38685.87 387 387 89115A2X9 US89115A2X91 -- 99.97 Canada -- USD 0.01 6.23 1 Apr 05, 2027 6.05 0.18 -- 6.23 0.18 6.23 Apr 05, 2024 Apr 05, 2024 TNOTE TREASURY NOTE Treasuries Fixed Income 38465.46 0.032989745513377015 38465.46 408 408 9128286X3 US9128286X38 BK0Y6D6 94.35 United States -- USD 2 4.99 1 May 31, 2026 2.13 1.99 -- 4.99 1.99 4.99 May 31, 2019 May 31, 2019 NTRS NORTHERN TRUST CORPORATION Financial Institutions Equity 38463.04 0.032987670010207616 38463.04 1829 1829 665859856 US6658598569 BKFVZR9 21.03 United States -- USD 14.01 5.61 1 Dec 31, 2079 4.7 17.17 -- 5.61 17.17 5.61 Nov 05, 2019 Nov 05, 2019 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 38447.65 0.03297447083922537 38447.65 384 384 37045XDN3 US37045XDN30 -- 100.07 United States -- USD 0.01 5.94 1 Oct 15, 2024 5.93 0.22 -- 5.94 0.22 5.94 Oct 15, 2021 Oct 15, 2021 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 38373.53 0.032910902122318 38373.53 381 381 89115A2B7 US89115A2B71 -- 100.63 Canada -- USD 0.01 5.92 1 Jun 06, 2025 6.35 0.11 -- 5.92 0.11 5.92 Jun 08, 2022 Jun 08, 2022 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 38301.18 0.03284885143872049 38301.18 383 383 78016EZV2 US78016EZV28 -- 100.02 Canada -- USD 0.01 5.63 1 Jul 29, 2024 5.71 0.01 -- 5.63 0.01 5.63 Jul 29, 2021 Jul 29, 2021 MET METROPOLITAN LIFE GLOBAL FUNDING I 144A Insurance Fixed Income 38288.83 0.03283825951138906 38288.83 382 382 592179KK0 US592179KK05 -- 100.14 United States -- USD 0.01 5.98 1 Apr 09, 2026 5.88 0.2 -- 5.98 0.2 5.98 Apr 12, 2024 Apr 12, 2024 STANLN STANDARD CHARTERED PLC FRN 144A Banking Fixed Income 38234.13 0.03279134627859315 38234.13 375 375 853254CY4 US853254CY45 -- 101.93 United Kingdom -- USD 0.02 6.99 1 Feb 08, 2028 7.37 0.02 -- 6.81 0.02 6.81 Nov 08, 2023 Nov 08, 2023 COF CAPITAL ONE FINANCIAL CORP FRN Banking Fixed Income 38216.48 0.032776208827791545 38216.48 382 382 14040HCR4 US14040HCR49 -- 100.01 United States -- USD 0 6.8 1 May 09, 2025 6.69 0.03 -- 6.8 0.03 6.8 May 09, 2022 May 09, 2022 MIZUHO MIZUHO FINANCIAL GROUP INC FRN Banking Fixed Income 38084.14 0.032662707964387326 38084.14 379 379 60687YBY4 US60687YBY41 -- 100.37 Japan -- USD 0.03 6.2 1 May 22, 2026 6.3 0.07 -- 6.04 0.07 6.04 Feb 22, 2022 Feb 22, 2022 HSBC HSBC HOLDINGS PLC Banking Fixed Income 38017.08 0.03260519422780061 38017.08 378 378 404280DB2 US404280DB25 BM8HPZ6 100.52 United Kingdom -- USD 0.02 6.63 1 Mar 10, 2026 6.76 0.12 -- 6.29 0.12 6.29 Mar 10, 2022 Mar 10, 2022 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 37651.8 0.03229191331965271 37651.8 374 374 78016HZU7 US78016HZU75 -- 100.67 Canada -- USD 0.02 6.18 1 Jan 19, 2027 6.26 0.22 -- 6.18 0.22 6.18 Jan 19, 2024 Jan 19, 2024 BMO BANK OF MONTREAL MTN Banking Fixed Income 37591.8 0.03224045456338664 37591.8 376 376 06368FAD1 US06368FAD15 -- 99.89 Canada -- USD 0.01 6.17 1 Sep 15, 2026 5.95 0.13 -- 6.17 0.13 6.17 Sep 15, 2021 Sep 15, 2021 JPM JPMORGAN CHASE & CO FRN Banking Fixed Income 37590.04 0.03223894510653617 37590.04 376 376 46647PCS3 US46647PCS39 -- 100.08 United States -- USD 0.01 6.04 1 Dec 10, 2025 5.93 0.12 -- 5.95 0.12 5.95 Dec 10, 2021 Dec 10, 2021 MQGAU MACQUARIE GROUP LTD MTN 144A Banking Fixed Income 37574.16 0.03222532568904441 37574.16 375 375 55607PAE5 US55607PAE51 -- 100.26 Australia -- USD 0 6.34 1 Sep 23, 2027 6.25 0.15 -- 6.3 0.15 6.3 Jun 23, 2021 Jun 23, 2021 REFI CHICAGO ATLANTIC REAL ESTATE FINAN Financials Equity 37572.66 0.03222403922013776 37572.66 2415 2415 167239102 US1672391026 BMZQY71 15.56 United States NASDAQ USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 37534.78 0.0321915515920151 37534.78 341225 341225 -- CL0001974774 BFZD3X2 0.11 Chile -- USD 10.93 6.02 949.8 Jan 01, 2043 6 10.98 -- 6.02 10.98 6.02 Jan 01, 2013 Jan 01, 2013 AGNC AGNC INVESTMENT CORP Financial Institutions Equity 37493.77 0.03215637953210724 37493.77 1467 1467 00123Q500 US00123Q5009 BDH3TH2 25.56 United States -- USD 0.15 10.78 1 Dec 31, 2079 10.7 0.05 -- -5 0.09 -5 Aug 22, 2017 Aug 22, 2017 GTLS CHART INDUSTRIES INC 144A Capital Goods Fixed Income 37466.61 0.03213308586843746 37466.61 366 366 16115QAF7 US16115QAF72 -- 102.23 United States -- USD 3.1 7.02 1 Jan 01, 2030 7.5 4.48 -- 6.8 3.11 6.8 Dec 22, 2022 Dec 22, 2022 RGCARE LIFEPOINT HEALTH INC 144A Consumer Non-Cyclical Fixed Income 37424.82 0.032097244844698135 37424.82 377 377 53219LAR0 US53219LAR06 BGYDGW0 99.25 United States -- USD 1.23 10.08 1 Dec 01, 2026 9.75 2.16 -- 10.08 2.16 10.08 Nov 16, 2018 Nov 16, 2018 SANTAN BANCO SANTANDER SA Banking Fixed Income 37388.87 0.03206641247323538 37388.87 374 374 05971KAN9 US05971KAN90 -- 100.07 Spain -- USD 0.02 5.71 1 May 24, 2024 6.58 0.08 -- 5.71 0.08 5.71 May 24, 2022 May 24, 2022 CAT CATERPILLAR FIN SERVICES CO (FRN) MTN Capital Goods Fixed Income 37364.17 0.03204522861857251 37364.17 373 373 14913UAD2 US14913UAD28 -- 100.26 United States -- USD 0.01 5.74 1 Aug 11, 2025 5.8 0.04 -- 5.74 0.04 5.74 Aug 11, 2023 Aug 11, 2023 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 37305.94 0.03199528789561628 37305.94 374 374 64952WEE9 US64952WEE93 -- 99.71 United States -- USD 0.01 6.11 1 Jun 09, 2026 5.81 0.12 -- 6.11 0.12 6.11 Jun 09, 2021 Jun 09, 2021 AXP AMERICAN EXPRESS COMPANY (FRN) Banking Fixed Income 37226.53 0.031927182231698124 37226.53 371 371 025816DQ9 US025816DQ99 -- 100.39 United States -- USD -0.01 6.4 1 Feb 16, 2028 6.34 0.05 -- 6.36 0.05 6.36 Feb 16, 2024 Feb 16, 2024 MS MORGAN STANLEY BANK NA (FRN) Banking Fixed Income 37194.76 0.03189993482025524 37194.76 367 367 61690U7X2 US61690U7X23 -- 101.33 United States -- USD 0.04 6.06 1 Oct 30, 2026 6.48 0.01 -- 6.03 0.01 6.03 Nov 01, 2023 Nov 01, 2023 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 37168.29 0.031877232932282513 37168.29 368 368 53944YAY9 US53944YAY95 -- 101.06 United Kingdom -- USD 0.03 6.77 1 Jan 05, 2028 6.91 0.18 -- 6.67 0.18 6.67 Jan 05, 2024 Jan 05, 2024 TNOTE TREASURY NOTE Treasuries Fixed Income 37166.7 0.03187586927524146 37166.7 397 397 9128287B0 US9128287B09 BJXXZT2 93.7 United States -- USD 2.08 4.96 1 Jun 30, 2026 1.88 2.08 -- 4.96 2.08 4.96 Jun 30, 2019 Jul 01, 2019 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL 144A Banking Fixed Income 37148.88 0.03186058602463044 37148.88 369 369 06675DCH3 US06675DCH35 -- 100.76 France -- USD 0.02 6.34 1 Jan 23, 2027 6.44 0.23 -- 6.34 0.23 6.34 Jan 23, 2024 Jan 23, 2024 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 37132.34 0.031846400560819756 37132.34 1481 1481 -- PEP01000C5E9 BF8F0J0 25.07 Peru -- USD 6.21 7.17 3.7361 Aug 12, 2032 6.15 6.25 -- 7.17 6.25 7.17 Jul 21, 2017 Jul 21, 2017 JPM JPMORGAN CHASE & CO FRN Banking Fixed Income 37099.47 0.031818209738845325 37099.47 371 371 46647PCQ7 US46647PCQ72 -- 99.92 United States -- USD -0.01 6.46 1 Sep 22, 2027 6.1 0.15 -- 6.46 0.15 6.46 Sep 22, 2021 Sep 22, 2021 UVN UNIVISION COMMUNICATIONS INC 144A Communications Fixed Income 37020.85 0.031750781615218 37020.85 384 384 914906AU6 US914906AU68 -- 96.39 United States -- USD 2.31 7.96 1 Jun 01, 2027 6.63 2.67 -- 7.96 2.67 7.96 Jun 18, 2020 Jun 18, 2020 MBONO MEXICO (UNITED MEXICAN STATES) Treasuries Fixed Income 36964.18 0.03170217881992469 36964.18 6883 6883 -- MX0MGO0000D8 B1QGYR3 5.37 Mexico -- USD 2.59 10.27 17.2605 Jun 03, 2027 7.5 2.63 -- 10.27 2.63 10.27 Dec 28, 2006 Jan 18, 2007 INTNED ING GROEP NV (FRN) Banking Fixed Income 36961.83 0.031700163351970935 36961.83 366 366 456837BD4 US456837BD49 -- 100.92 Netherlands -- USD 0.01 6.65 1 Mar 28, 2026 6.97 0.16 -- 6.09 0.17 6.09 Mar 28, 2022 Mar 28, 2022 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 36925.67 0.031669150874861246 36925.67 363 363 527298BV4 US527298BV47 BS2FMP7 101.63 United States -- USD 3.83 10.56 1 Nov 15, 2029 11 4.07 -- 10.52 3.71 10.52 Mar 22, 2024 Mar 22, 2024 CIVI CIVITAS RESOURCES INC 144A Energy Fixed Income 36839.77 0.03159547908880698 36839.77 348 348 17888HAB9 US17888HAB96 -- 105.96 United States -- USD 3.18 7.65 1 Jul 01, 2031 8.75 5.2 -- 7.08 3.4 7.08 Jun 29, 2023 Jun 29, 2023 BK BANK OF NEW YORK MELLON/THE MTN Banking Fixed Income 36817.13 0.03157606198477591 36817.13 367 367 06406RBE6 US06406RBE62 -- 100.29 United States -- USD 0 5.79 1 Apr 25, 2025 0.62 0.24 -- 5.79 0.24 5.79 Apr 26, 2022 Apr 26, 2022 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 36815.37 0.03157455252792544 36815.37 363 363 44891ACW5 US44891ACW53 -- 101.33 United States -- USD 0.03 6.47 1 Jan 08, 2027 6.82 0.19 -- 6.47 0.19 6.47 Jan 08, 2024 Jan 08, 2024 URI UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 36758.51 0.03152578677990395 36758.51 384 384 911365BG8 US911365BG81 BDGSYG2 95.81 United States -- USD 2.82 6.15 1 Jan 15, 2028 4.88 3.29 -- 6.15 3.29 6.15 Aug 11, 2017 Aug 11, 2017 KDP KEURIG DR PEPPER INC (FRN) Consumer Non-Cyclical Fixed Income 36725.37 0.031497364393526316 36725.37 366 366 49271VAS9 US49271VAS97 -- 100.38 United States -- USD 0.02 6.23 1 Mar 15, 2027 6.21 0.13 -- 6.23 0.13 6.23 Mar 07, 2024 Mar 07, 2024 UBS UBS AG (LONDON BRANCH) FRN 144A Banking Fixed Income 36667.14 0.03144742367057009 36667.14 367 367 902674YT1 US902674YT19 -- 100.02 Switzerland -- USD 0.01 5.83 1 Jan 13, 2025 7.37 0.21 -- 5.81 0.21 5.81 Jan 13, 2022 Jan 13, 2022 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 36556.53 0.031352559453393575 36556.53 395 395 91911KAN2 US91911KAN28 BF032J6 92.57 United States -- USD 1.4 10.95 1 Nov 01, 2025 5.5 1.36 -- 10.95 1.36 10.95 Oct 17, 2017 Oct 17, 2017 HBAN HUNTINGTON BANCSHARES INC Financial Institutions Equity 36543.31 0.03134122137409628 36543.31 1485 1485 446150773 US4461507737 BQMS207 24.61 United States Non-Nms Quotation Service (Nnqs) USD 3.23 7.47 1 Dec 31, 2079 6.88 3.26 -- 7.46 3.37 7.46 Mar 06, 2023 Mar 06, 2023 NAB NATIONAL AUSTRALIA BANK LTD MTN 144A Banking Fixed Income 36525.97 0.03132634979353538 36525.97 364 364 632525BM2 US632525BM25 -- 100.28 Australia -- USD 0.02 5.96 1 Dec 10, 2025 5.98 0.12 -- 5.96 0.12 5.96 Jan 10, 2024 Jan 10, 2024 ACAFP CREDIT AGRICOLE SA (FRN) MTN 144A Banking Fixed Income 36515.38 0.03131726732305442 36515.38 364 364 22534PAJ2 US22534PAJ21 -- 100.33 France -- USD 0.15 5.3 1 Mar 11, 2027 5.31 0.13 -- 5.3 0.13 5.3 Mar 11, 2024 Mar 11, 2024 ATH ATHENE GLOBAL FUNDING 144A Insurance Fixed Income 36367.16 0.03119014704215845 36367.16 364 364 04685A3U3 US04685A3U30 -- 100.04 United States -- USD 0.01 6.7 1 Mar 25, 2027 6.54 0.15 -- 6.7 0.15 6.7 Mar 26, 2024 Mar 26, 2024 TOYOTA TOYOTA MOTOR CREDIT CORP (FRN) MTN Consumer Cyclical Fixed Income 36365.39 0.031188629008848598 36365.39 363 363 89236TLK9 US89236TLK96 -- 100.25 United States -- USD 0.01 5.99 1 Jan 05, 2026 5.97 0.19 -- 5.99 0.19 5.99 Jan 05, 2024 Jan 05, 2024 KKP.R KIATNAKIN PHATRA BANK NON-VOTING D Financials Equity 36284.59 0.031119331217076943 36284.59 25198 25198 S63614119 TH0121010R12 6361411 1.44 Thailand Stock Exchange Of Thailand USD 0 -- 37.0175 -- 0 0 -- -- 0 -- -- Aug 20, 2001 JPM JPMORGAN CHASE & CO Banking Fixed Income 36280.69 0.03111598639791965 36280.69 363 363 46647PDD5 US46647PDD50 BMZNMS9 100.07 United States -- USD 0.01 6.42 1 Jun 14, 2025 6.3 0.13 -- 5.77 0.13 5.77 Jun 14, 2022 Jun 14, 2022 CZR CAESARS ENTERTAINMENT INC 144A Consumer Cyclical Fixed Income 36250.07 0.031089725279305192 36250.07 369 369 12769GAC4 US12769GAC42 -- 98.29 United States -- USD 4.72 6.78 1 Feb 15, 2032 6.5 5.94 -- 6.78 5.94 6.78 Feb 06, 2024 Feb 06, 2024 AXP AMERICAN EXPRESS COMPANY (FRN) Banking Fixed Income 36192.46 0.03104031629683038 36192.46 362 362 025816DS5 US025816DS55 -- 100.1 United States -- USD 0 6.2 1 Apr 23, 2027 0.75 0.23 -- 6.18 0.24 6.18 Apr 25, 2024 Apr 25, 2024 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 36162.79 0.031014869941856805 36162.79 1347 1347 -- PEP01000C4G7 B6797W2 26.85 Peru -- USD 5.55 7.01 3.7361 Aug 12, 2031 6.95 5.58 -- 7.01 5.58 7.01 Apr 24, 2008 Apr 24, 2008 BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 36111.76 0.030971104269652504 36111.76 361118 361118 -- CL0002454248 BG7P9X5 0.1 Chile -- USD 5.32 6.18 949.8 Sep 01, 2030 4.7 5.33 -- 6.18 5.33 6.18 Mar 01, 2018 Jul 03, 2018 VST VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 36110.77 0.030970255200174112 36110.77 352 352 92840VAP7 US92840VAP76 -- 102.72 United States -- USD 3.95 7.27 1 Oct 15, 2031 7.75 5.62 -- 7.03 3.73 7.03 Sep 26, 2023 Sep 26, 2023 ALIANT ALLIANT HOLDINGS INTERMEDIATE LLC 144A Insurance Fixed Income 36108.45 0.03096826546159849 36108.45 362 362 01883LAF0 US01883LAF04 -- 99.71 United States -- USD 4.2 7.05 1 Jan 15, 2031 7 5.16 -- 7.05 5.16 7.05 Dec 14, 2023 Dec 14, 2023 138930 BNK FINANCIAL GROUP INC Financials Equity 36076.12 0.030940537768430452 36076.12 5943 5943 -- KR7138930003 B3S98W7 6.07 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Jul 22, 1988 ENTG ENTEGRIS ESCROW CORP 144A Technology Fixed Income 36038.8 0.03090853042203295 36038.8 386 386 29365BAA1 US29365BAA17 BPVCP60 93.26 United States -- USD 4.31 6.35 1 Apr 15, 2029 4.75 4.32 -- 6.35 4.32 6.35 Apr 14, 2022 Apr 14, 2022 CIM CHIMERA INVESTMENT CORP Financial Institutions Equity 35849.26 0.030745972210988407 35849.26 1460 1460 16934Q406 US16934Q4064 BYYPKL9 24.56 United States -- USD 0.15 11.84 1 Dec 31, 2079 8 0.02 -- 11.84 0.07 11.84 Feb 27, 2017 Feb 27, 2017 6214 SYSTEX CORP Information Technology Equity 35842.51 0.030740183100908473 35842.51 9609 9609 S65740375 TW0006214000 6574037 3.73 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Jan 06, 2003 KEY KEYBANK NATIONAL ASSOCIATION MTN Banking Fixed Income 35800.71 0.030704333500709773 35800.71 358 358 49327M3D4 US49327M3D40 BMFZK81 99.94 United States -- USD 0.01 6.13 1 Jun 14, 2024 5.65 0.13 -- 6.13 0.13 6.13 Jun 16, 2021 Jun 16, 2021 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 35761.89 0.03067103968540562 35761.89 356 356 025816DD8 US025816DD86 -- 100.35 United States -- USD 0.01 6.07 1 Feb 13, 2026 6.1 0.04 -- 6.05 0.04 6.05 Feb 16, 2023 Feb 16, 2023 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 35728.36 0.030642282817112256 35728.36 356 356 6944PL2T5 US6944PL2T58 -- 100.49 United States -- USD 0.01 5.86 1 Jun 16, 2025 6.61 0.14 -- 5.86 0.14 5.86 Jun 16, 2023 Jun 16, 2023 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 35687.77 0.030607470968498255 35687.77 356 356 713448FP8 US713448FP87 -- 100.17 United States -- USD 0.01 5.78 1 Feb 13, 2026 5.74 0.05 -- 5.78 0.05 5.78 Feb 15, 2023 Feb 15, 2023 ISPIM INTESA SANPAOLO SPA MTN 144A Banking Fixed Income 35681.27 0.030601896269902763 35681.27 363 363 46115HAW7 US46115HAW79 BDFYVB5 98.38 Italy -- USD 1.6 6.72 1 Jan 15, 2026 5.71 1.59 -- 6.72 1.59 6.72 Jan 15, 2016 Jan 15, 2016 THYELE TK ELEVATOR US NEWCO INC 144A Capital Goods Fixed Income 35655.73 0.03057999199265217 35655.73 375 375 92537RAA7 US92537RAA77 -- 94.96 Germany -- USD 2.62 7.02 1 Jul 15, 2027 5.25 2.86 -- 7.02 2.86 7.02 Jul 15, 2020 Jul 15, 2020 PSA PUBLIC STORAGE Financial Institutions Equity 35652.67 0.030577367596082598 35652.67 2019 2019 74460W420 US74460W4208 BMQ85K6 17.66 United States -- USD 17.2 5.68 1 Dec 31, 2079 4 17.59 -- 5.68 16.77 5.68 Nov 19, 2021 Nov 19, 2021 EIX SCE TRUST IV Utility Equity 35572.33 0.03050846432144232 35572.33 1523 1523 78409G206 US78409G2066 BYX6KN5 23.36 United States -- USD 0.9 9.08 1 Dec 31, 2079 5.38 1.11 -- 9.08 1.27 9.08 Aug 24, 2015 Aug 24, 2015 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 35567.26 0.030504116056537835 35567.26 1343 1343 -- PEP01000C5F6 BFZYW83 26.49 Peru -- USD 4.07 6.19 3.7361 Feb 12, 2029 5.94 4.07 -- 6.19 4.07 6.19 Dec 06, 2018 Dec 06, 2018 576 ZHEJIANG EXPRESSWAY LTD H Industrials Equity 35564.16 0.030501457354130755 35564.16 53885 53885 S69907632 CNE1000004S4 6990763 0.66 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- May 15, 1997 CFG CITIZENS FINANCIAL GROUP INC Financial Institutions Equity 35544.98 0.030485007705044365 35544.98 1416 1416 174610204 US1746102045 BGPFT82 25.11 United States New York Stock Exchange Inc. USD 0.19 9.34 1 Dec 31, 2079 9.21 0.06 -- 9.34 0.19 9.34 Jan 29, 2019 Jan 29, 2019 BMW BMW US CAPITAL LLC (FRN) 144A Consumer Cyclical Fixed Income 35518.37 0.030462185746640356 35518.37 354 354 05565EBY0 US05565EBY05 -- 100.44 Germany -- USD 0.02 5.84 1 Apr 01, 2025 6.17 0.18 -- 5.84 0.18 5.84 Apr 01, 2022 Apr 01, 2022 BRANDI BRAND INDUSTRIAL SERVICES INC 144A Industrial Other Fixed Income 35472.32 0.030422691151206143 35472.32 332 332 104931AA8 US104931AA85 -- 106.71 United States -- USD 3.14 8.95 1 Aug 01, 2030 10.38 4.51 -- 8.46 3.36 8.46 Aug 01, 2023 Aug 01, 2023 NFE NEW FORTRESS ENERGY INC 144A Energy Fixed Income 35472.32 0.030422691151206143 35472.32 371 371 644393AB6 US644393AB64 BP0X973 95.67 United States -- USD 2.1 8.5 1 Sep 30, 2026 6.5 2.18 -- 8.5 2.18 8.5 Apr 12, 2021 Apr 12, 2021 RLJ RLJ LODGING .95 CUMULATIVE CONVERT Financial Institutions Equity 35457.79 0.030410229555730372 35457.79 1453 1453 74965L200 US74965L2007 BF2N465 24.4 United States New York Stock Exchange Inc. USD 4.55 35.28 1 Dec 31, 2079 1.95 33.41 -- 35.28 33.41 35.28 Jul 01, 2017 Aug 31, 2017 GS GOLDMAN SACHS GROUP INC/THE FRN Banking Fixed Income 35423.08 0.030380460665230445 35423.08 353 353 38141GZL1 US38141GZL12 -- 100.34 United States -- USD 0 6.54 1 Feb 24, 2028 6.46 0.07 -- 6.51 0.07 6.51 Jan 24, 2022 Jan 24, 2022 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 35360.88 0.030327115087901278 35360.88 489 489 1248EPCP6 US1248EPCP61 -- 72.25 United States -- USD 7.36 8.5 1 Jan 15, 2034 4.25 7.27 -- 8.5 7.27 8.5 Aug 16, 2021 Aug 16, 2021 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 35359.66 0.0303260687598572 35359.66 1319 1319 -- PEP01000C5I0 -- 26.81 Peru -- USD 6.52 7.27 3.7361 Aug 12, 2033 7.3 6.58 -- 7.27 6.58 7.27 Jun 12, 2023 Jun 12, 2023 BLCOCN BAUSCH + LOMB ESCROW CORP 144A Consumer Non-Cyclical Fixed Income 35358.56 0.030325125349325657 35358.56 344 344 071705AA5 US071705AA56 -- 102.78 Canada -- USD 2.74 7.62 1 Oct 01, 2028 8.38 3.65 -- 7.44 2.94 7.44 Sep 29, 2023 Sep 29, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 35347.39 0.030315545444200787 35347.39 384 384 912828YD6 US912828YD60 BKS3C71 92.16 United States -- USD 2.26 4.95 1 Aug 31, 2026 1.38 2.26 -- 4.95 2.26 4.95 Aug 31, 2019 Sep 03, 2019 UVN UNIVISION COMMUNICATIONS INC 144A Communications Fixed Income 35335.34 0.03030521081065068 35335.34 356 356 914906AY8 US914906AY80 -- 99.23 United States -- USD 3.08 8.21 1 Aug 15, 2028 8 3.52 -- 8.21 3.52 8.21 Aug 07, 2023 Aug 07, 2023 NGL NGL ENERGY PARTNERS LP Industrial Equity 35324.45 0.030295871046388388 35324.45 1448 1448 62913M206 US62913M2061 BYSX804 24.39 United States -- USD 0.13 13.58 1 Dec 31, 2079 12.8 0.03 -- 13.58 0.07 13.58 Jun 13, 2017 Jun 13, 2017 ATH ATHENE GLOBAL FUNDING 144A Insurance Fixed Income 35304.85 0.030279061186008135 35304.85 353 353 04685A3B5 US04685A3B58 -- 100.01 United States -- USD 0.01 5.87 1 Aug 19, 2024 5.9 0.06 -- 5.87 0.06 5.87 Aug 19, 2021 Aug 19, 2021 THC TENET HEALTHCARE CORPORATION Consumer Non-Cyclical Fixed Income 35277.3 0.03025543304042263 35277.3 365 365 88033GDB3 US88033GDB32 BPTJRF6 96.57 United States -- USD 2.45 6.23 1 Nov 01, 2027 5.13 3.08 -- 6.23 3.08 6.23 Nov 01, 2022 Jan 20, 2023 AVTR AVANTOR FUNDING INC 144A Consumer Non-Cyclical Fixed Income 35261.05 0.030241496293933898 35261.05 377 377 05352TAA7 US05352TAA79 BMVVY70 93.57 United States -- USD 3.31 6.38 1 Jul 15, 2028 4.63 3.7 -- 6.38 3.7 6.38 Jul 17, 2020 Jul 17, 2020 TDG TRANSDIGM INC 144A Capital Goods Fixed Income 35200.69 0.030189728785130224 35200.69 351 351 893647BS5 US893647BS53 -- 100.25 United States -- USD 3.94 6.83 1 Dec 15, 2030 6.88 5.14 -- 6.81 3.59 6.81 Aug 18, 2023 Aug 18, 2023 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 35064.86 0.0300732347374032 35064.86 349 349 6944PL2M0 US6944PL2M06 -- 100.34 United States -- USD 0 5.9 1 Mar 30, 2025 6.77 0.18 -- 5.9 0.18 5.9 Mar 30, 2022 Mar 30, 2022 PRU PRUDENTIAL FINANCIAL INC Financial Institutions Equity 34946.66 0.02997186098755902 34946.66 1386 1386 744320870 US7443208704 BQB5JR5 25.21 United States -- USD 4.15 5.96 1 Sep 01, 2062 5.95 14.92 -- 5.96 14.92 5.96 Aug 17, 2022 Aug 09, 2022 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 34898.88 0.029930882664652467 34898.88 381 381 1248EPCS0 US1248EPCS01 -- 91.66 United States -- USD 4.15 8.34 1 Sep 01, 2029 6.38 4.35 -- 8.34 4.35 8.34 Aug 09, 2022 Aug 09, 2022 IGM IGM FINANCIAL INC Financials Equity 34873.7 0.02990928713993947 34873.7 1417 1417 449586106 CA4495861060 2469375 24.61 Canada Toronto Stock Exchange USD 0 -- 1.37065 -- 0 0 -- -- 0 -- -- Dec 18, 1989 NCLH NCL CORPORATION LTD 144A Consumer Cyclical Fixed Income 34775.83 0.029825349332010115 34775.83 354 354 62886HBA8 US62886HBA86 -- 98.23 United States -- USD 1.69 6.89 1 Mar 15, 2026 5.88 1.74 -- 6.89 1.74 6.89 Dec 18, 2020 Dec 18, 2020 CVNA CARVANA CO 144A Consumer Cyclical Fixed Income 34750.29 0.02980344505475952 34750.29 359 359 146869AN2 US146869AN20 -- 96.86 United States -- USD 3.64 13.77 1 Jun 01, 2030 13 3.98 -- 13.77 3.98 13.77 Sep 01, 2023 Sep 01, 2023 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 34750.21 0.0298033764430845 34750.21 1367 1367 -- PEP01000C2Z1 B23HG03 25.43 Peru -- USD 8.21 7.64 3.7361 Aug 12, 2037 6.9 8.35 -- 7.64 8.35 7.64 Jul 26, 2007 Jul 26, 2007 JAZZ JAZZ SECURITIES DAC 144A Consumer Non-Cyclical Fixed Income 34713.14 0.02977158350817144 34713.14 381 381 47216FAA5 US47216FAA57 -- 91.03 United States -- USD 3.88 6.62 1 Jan 15, 2029 4.38 4.1 -- 6.62 4.1 6.62 Apr 29, 2021 Apr 29, 2021 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 34688.17 0.029750168089105373 34688.17 6788 6788 -- MX0MGO0001C8 BP6QMB1 5.11 Mexico -- USD 2.51 10.3 17.2605 Mar 04, 2027 5.5 2.55 -- 10.3 2.55 10.3 Sep 09, 2021 Sep 22, 2021 TDS TELEPHONE DATA SYS DRC INC Industrial Equity 34664.6 0.02972995337435218 34664.6 1958 1958 879433787 US8794337878 BMDKP83 17.7 United States New York Stock Exchange Inc. USD 9.94 9.42 1 Dec 31, 2079 6.63 10.62 -- 9.42 10.49 9.42 Mar 02, 2021 Mar 02, 2021 ACGL ARCH CAPITAL GROUP LTD. Financial Institutions Equity 34575.71 0.029653717226943987 34575.71 1541 1541 03939A107 US03939A1079 BF956G8 22.43 United States -- USD 11.93 6.1 1 Dec 31, 2079 5.45 16.39 -- 6.1 15.76 6.1 Aug 17, 2017 Aug 17, 2017 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 34549.59 0.029631315515049488 34549.59 344 344 606822CP7 US606822CP74 -- 100.3 Japan -- USD 0.02 6.67 1 Sep 12, 2025 6.72 0.12 -- 6.1 0.13 6.1 Sep 13, 2022 Sep 13, 2022 PACLIF PACIFIC LIFE GLOBAL FUNDING II 144A Insurance Fixed Income 34540.77 0.029623751077878374 34540.77 346 346 6944PL2G3 US6944PL2G38 -- 99.81 United States -- USD 0.01 6.21 1 Jun 04, 2026 5.96 0.1 -- 6.21 0.1 6.21 Jun 04, 2021 Jun 04, 2021 NWG NATWEST GROUP PLC Banking Fixed Income 34484.3 0.029575319811772614 34484.3 344 344 639057AM0 US639057AM01 -- 100.28 United Kingdom -- USD 0.14 6.6 1 Mar 01, 2028 5.3 0.09 -- 6.55 0.09 6.55 Feb 29, 2024 Feb 29, 2024 HNDLIN NOVELIS CORP 144A Basic Industry Fixed Income 34469.37 0.02956251515792174 34469.37 379 379 670001AE6 US670001AE60 BKLPSC1 90.84 United States -- USD 4.51 6.69 1 Jan 30, 2030 4.75 4.85 -- 6.69 4.85 6.69 Jan 16, 2020 Jan 16, 2020 COMM COMMSCOPE INC 144A Technology Fixed Income 34378.83 0.029484863894716225 34378.83 388 388 20338QAD5 US20338QAD51 BGDS1B0 88.5 United States -- USD 1.72 13.2 1 Mar 01, 2026 6 1.65 -- 13.2 1.65 13.2 Feb 19, 2019 Feb 19, 2019 UCGIM UNICREDIT SPA MTN 144A Banking Fixed Income 34350.97 0.02946096987889001 34350.97 375 375 904678AS8 US904678AS85 BM9QJS3 91.68 Italy -- USD 5.05 7.96 1 Jun 30, 2035 5.46 4.99 -- 7.15 5.01 7.15 Jun 30, 2020 Jun 30, 2020 TNOTE TREASURY NOTE Treasuries Fixed Income 34247.28 0.029372040571602847 34247.28 371 371 912828YX2 US912828YX25 BKRM4B7 92.22 United States -- USD 2.55 4.88 1 Dec 31, 2026 1.75 2.55 -- 4.88 2.55 4.88 Dec 31, 2019 Dec 31, 2019 DTRGR DAIMLER TRUCKS FINANCE NORTH AMERI 144A Consumer Cyclical Fixed Income 34237.25 0.029363438382847034 34237.25 342 342 233853AE0 US233853AE09 -- 100.19 Germany -- USD 0.02 5.92 1 Dec 13, 2024 6.08 0.13 -- 5.92 0.13 5.92 Dec 14, 2021 Dec 14, 2021 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 34176.83 0.02931161941528709 34176.83 357 357 126650CX6 US126650CX62 BF3V2P3 95.79 United States -- USD 3.49 5.51 1 Mar 25, 2028 4.3 3.53 -- 5.51 3.53 5.51 Mar 09, 2018 Mar 09, 2018 AEL AMERICAN EQUITY INVESTMENT LIFE HO Financial Institutions Equity 34172.27 0.02930770854981087 34172.27 1402 1402 025676602 US0256766025 BMTD3B5 24.37 United States New York Stock Exchange Inc. USD 1.26 10.94 1 Dec 31, 2079 6.63 0.92 -- 9.53 1.23 9.53 Jun 17, 2020 Jun 17, 2020 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 34147.26 0.02928625882490729 34147.26 341 341 14913R2M8 US14913R2M88 -- 100 United States -- USD 0.01 5.54 1 May 17, 2024 5.58 0.06 -- 5.54 0.06 5.54 May 17, 2021 May 17, 2021 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 34142.5 0.029282176430243518 34142.5 14591 14591 -- TRT190728T18 BS82069 2.34 Turkey -- USD 2.58 27.13 32.526 Jul 19, 2028 17.3 2.5 -- 27.13 2.5 27.13 Jul 26, 2023 Jul 26, 2023 17 NEW WORLD DEVELOPMENT COMPANY LTD Real Estate Equity 34065.79 0.029216386410357335 34065.79 33729 33729 -- HK0000608585 BM94GQ4 1.01 Hong Kong Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Nov 23, 1972 TNOTE TREASURY NOTE Treasuries Fixed Income 34031.7 0.029187149260338822 34031.7 365 365 91282CAM3 US91282CAM38 BMT6SJ7 93.33 United States -- USD 1.39 5.14 1 Sep 30, 2025 0.25 1.39 -- 5.14 1.39 5.14 Sep 30, 2020 Sep 30, 2020 STT STATE STREET CORP (FRN) Banking Fixed Income 34004.32 0.029163666914562736 34004.32 339 339 857477CE1 US857477CE17 -- 100.26 United States -- USD 0.03 6.43 1 Aug 03, 2026 6.16 0.01 -- 6.43 0.01 6.43 Aug 03, 2023 Aug 03, 2023 NAB NATIONAL AUSTRALIA BANK LTD FRN MTN 144A Banking Fixed Income 33983.15 0.029145510550060188 33983.15 339 339 6325C0EC1 US6325C0EC16 -- 100.1 Australia -- USD 0.01 6.11 1 Jan 12, 2027 5.96 0.2 -- 6.11 0.2 6.11 Jan 12, 2022 Jan 12, 2022 FCNCA FIRST CITIZENS BANCSHARES INC. Financial Institutions Equity 33970.56 0.029134712787703687 33970.56 1628 1628 319626305 US3196263053 BLHLTL6 20.87 United States NASDAQ USD 12.65 6.49 1 Dec 31, 2079 5.38 15.04 -- 6.49 15.04 6.49 Mar 12, 2020 Mar 12, 2020 UNM UNUM GROUP Financial Institutions Equity 33941.49 0.029109781020292772 33941.49 1399 1399 91529Y601 US91529Y6014 BFYF0S3 24.26 United States -- USD 5.16 6.49 1 Jun 15, 2058 6.25 13.65 -- 6.49 13.65 6.49 May 29, 2018 May 29, 2018 TNOTE TREASURY NOTE Treasuries Fixed Income 33863.44 0.02904284175484998 33863.44 362 362 912828Y95 US912828Y958 BJVN8R3 93.47 United States -- USD 2.16 4.96 1 Jul 31, 2026 1.88 2.16 -- 4.96 2.16 4.96 Jul 31, 2019 Jul 31, 2019 THC TENET HEALTHCARE CORPORATION 144A Consumer Non-Cyclical Fixed Income 33863.42 0.029042824601931225 33863.42 339 339 88033GDT4 US88033GDT40 -- 99.9 United States -- USD 3.91 6.77 1 May 15, 2031 6.75 5.38 -- 6.77 5.38 6.77 May 16, 2023 May 16, 2023 MUFG MITSUBISHI UFJ FINANCIAL GRP (FRN) Banking Fixed Income 33850.8 0.029032001110196593 33850.8 338 338 606822CJ1 US606822CJ15 -- 100.28 Japan -- USD 0.02 6.91 1 Jul 18, 2025 6.96 0.22 -- 5.78 0.23 5.78 Jul 20, 2022 Jul 20, 2022 WTFC WINTRUST FINANCIAL CORP Financial Institutions Equity 33746.62 0.028942651556399926 33746.62 1356 1356 97650W504 US97650W5040 BMTCNN4 24.88 United States NASDAQ USD 1.12 10.95 1 Dec 31, 2079 6.88 0.84 -- 7.52 1.14 7.52 May 15, 2020 May 15, 2020 BAC BANK OF AMERICA CORP Financial Institutions Equity 33736.36 0.028933852109078426 33736.36 1624 1624 06055H871 US06055H8714 BN7SQB0 20.77 United States New York Stock Exchange Inc. USD 13.88 5.78 1 Dec 31, 2079 4.75 16.63 -- 5.78 16.63 5.78 Jan 31, 2022 Jan 31, 2022 BMCAUS STANDARD BUILDING SOLUTIONS INC 144A Capital Goods Fixed Income 33721.8 0.028921364784224524 33721.8 383 383 853496AG2 US853496AG21 BMYXXP4 88.05 United States -- USD 4.99 6.76 1 Jul 15, 2030 4.38 5.21 -- 6.76 5.21 6.76 Jun 30, 2020 Jun 30, 2020 TNOTE TREASURY NOTE Treasuries Fixed Income 33691.09 0.028895026477475667 33691.09 351 351 912828K74 US912828K742 BYS2RD7 96.07 United States -- USD 1.26 5.15 1 Aug 15, 2025 2 1.26 -- 5.15 1.26 5.15 Aug 15, 2015 Aug 17, 2015 NCRATL NCR ATLEOS ESCROW CORP 144A Technology Fixed Income 33689.3 0.028893491291247065 33689.3 319 319 638962AA8 US638962AA84 -- 105.66 United States -- USD 3.22 8.08 1 Apr 01, 2029 9.5 3.9 -- 7.96 3.58 7.96 Sep 27, 2023 Sep 27, 2023 SBAC SBA COMMUNICATIONS CORP Communications Fixed Income 33526.79 0.02875411524990039 33526.79 359 359 78410GAD6 US78410GAD60 -- 93.43 United States -- USD 2.54 6.47 1 Feb 15, 2027 3.88 2.58 -- 6.47 2.58 6.47 Aug 15, 2020 Dec 28, 2020 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 33352.66 0.02860477336275685 33352.66 435 435 126307AZ0 US126307AZ02 BJ555Z2 76.59 United States -- USD 3.91 13.28 1 Feb 01, 2029 6.5 3.75 -- 13.28 3.75 13.28 Jan 31, 2019 Jan 31, 2019 MFG MAGELLAN FINANCIAL GROUP LTD Financials Equity 33341.74 0.02859540786911642 33341.74 5604 5604 -- AU000000MFG4 B015YX4 5.95 Australia Asx - All Markets USD 0 -- 1.538579890760828 -- 0 0 -- -- 0 -- -- Jul 01, 2004 VMED VIRGIN MEDIA SECURED FINANCE PLC 144A Communications Fixed Income 33317.84 0.02857491013120377 33317.84 369 369 92769XAP0 US92769XAP06 BJDQX75 90.41 United Kingdom -- USD 4 7.83 1 May 15, 2029 5.5 4.17 -- 7.83 4.17 7.83 May 16, 2019 May 16, 2019 VOYA VOYA FINANCIAL INC Financial Institutions Equity 33303.86 0.028562920240993772 33303.86 1372 1372 929089209 US9290892093 BJGS497 24.28 United States New York Stock Exchange Inc. USD 4.57 7.39 1 Dec 31, 2079 5.35 4.43 -- 6.16 4.53 6.16 Jun 18, 2019 Jun 18, 2019 SBAC SBA COMMUNICATIONS CORP Communications Fixed Income 33278.37 0.028541058846040065 33278.37 383 383 78410GAG9 US78410GAG91 -- 86.81 United States -- USD 4.22 6.38 1 Feb 01, 2029 3.13 4.27 -- 6.38 4.27 6.38 Aug 01, 2021 Jan 18, 2022 EIX SCE TRUST V Financial Institutions Equity 33274.8 0.028537997050042233 33274.8 1376 1376 78409W201 US78409W2017 BYQ69C4 24.19 United States New York Stock Exchange Inc. 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USD 12.18 6.91 1 Dec 31, 2079 5.63 14.48 -- 6.91 14.09 6.91 Sep 19, 2019 Sep 19, 2019 CIVI CIVITAS RESOURCES INC 144A Energy Fixed Income 32990.49 0.02829415973347542 32990.49 317 317 17888HAA1 US17888HAA14 -- 104.15 United States -- USD 2.22 7.2 1 Jul 01, 2028 8.38 3.42 -- 6.9 2.71 6.9 Jun 29, 2023 Jun 29, 2023 CITPET CITGO PETROLEUM CORPORATION 144A Owned No Guarantee Fixed Income 32923.16 0.028236414432485497 32923.16 330 330 17302XAK2 US17302XAK28 -- 99.75 United States -- USD 0.65 7.22 1 Jun 15, 2025 7 1.05 -- 7.22 1.05 7.22 Jun 09, 2020 Jun 09, 2020 PSA PUBLIC STORAGE Financial Institutions Equity 32821.79 0.028149474863773956 32821.79 1326 1326 74460W644 US74460W6443 BGMHQB3 24.76 United States -- USD 1.43 5.68 1 Dec 31, 2079 5.6 17.62 -- 5.68 16.79 5.68 Mar 11, 2019 Mar 11, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 32791.95 0.02812388270899096 32791.95 356 356 912828YU8 US912828YU85 BJR45M4 92.1 United States -- USD 2.47 4.9 1 Nov 30, 2026 1.63 2.47 -- 4.9 2.47 4.9 Nov 30, 2019 Dec 02, 2019 AHL ASPEN INSURANCE HOLDINGS 5.95% FIX Financial Institutions Equity 32785.89 0.028118685374608085 32785.89 1287 1287 -- BMG053841547 B94QMV1 25.47 United States New York Stock Exchange Inc. USD 0.15 9.64 1 Dec 31, 2079 9.62 0.05 -- -5 0.09 -5 May 02, 2013 May 02, 2013 CBAAU COMMONWEALTH BANK OF AUSTRALIA 144A Banking Fixed Income 32784.97 0.02811789634034534 32784.97 328 328 2027A0KE8 US2027A0KE81 -- 99.86 Australia -- USD 0.01 6.08 1 Jun 15, 2026 5.85 0.13 -- 6.08 0.13 6.08 Sep 15, 2021 Sep 15, 2021 SIRI SIRIUS XM RADIO INC 144A Communications Fixed Income 32718.86 0.0280611973673995 32718.86 347 347 82967NBA5 US82967NBA54 BDZVVB6 94.34 United States -- USD 2.72 6.96 1 Aug 01, 2027 5 2.91 -- 6.96 2.91 6.96 Jul 05, 2017 Jul 05, 2017 GPMT GRANITE POINT MORTGAGE TRUST INC Financials Equity 32631.45 0.0279862305359792 32631.45 7536 7536 38741L107 US38741L1070 BF11FD4 4.33 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- NYLIFE NEW YORK LIFE GLOBAL FUNDING (FRN) MTN 144A Insurance Fixed Income 32597.92 0.027957473667685837 32597.92 326 326 64952WEL3 US64952WEL37 -- 99.99 United States -- USD 0.01 5.85 1 Jan 14, 2025 5.64 0.21 -- 5.85 0.21 5.85 Jan 14, 2022 Jan 14, 2022 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 32595.81 0.027955664034757147 32595.81 436 436 1248EPCL5 US1248EPCL57 -- 74.74 United States -- USD 6.87 8.55 1 Jun 01, 2033 4.5 6.81 -- 8.55 6.81 8.55 Apr 22, 2021 Apr 22, 2021 MUFG MITSUBISHI UFJ FINANCIAL GROUP FRN Banking Fixed Income 32520.27 0.027890877460618153 32520.27 323 323 606822CZ5 US606822CZ56 -- 100.76 Japan -- USD 0.02 6.53 1 Apr 17, 2026 6.75 0.22 -- 6.12 0.22 6.12 Apr 19, 2023 Apr 19, 2023 BNCN BROOKFIELD FINANCE INC Financial Institutions Equity 32447.42 0.027828397954051756 32447.42 1894 1894 11271L102 US11271L1026 BNHQ5L7 17.13 Canada -- USD 14 6.76 1 Oct 16, 2080 4.63 14.72 -- 6.76 14.72 6.76 Oct 16, 2020 Oct 16, 2020 COF CAPITAL ONE FINL DS REPSTG TH PRF Financial Institutions Equity 32444 0.027825464804944588 32444 1949 1949 14040H733 US14040H7338 BMHJZD1 16.65 United States Non-Nms Quotation Service (Nnqs) USD 14.91 6.45 1 Dec 31, 2079 4.25 15.31 -- 6.45 15.31 6.45 Jul 29, 2021 Jul 29, 2021 SPR SPIRIT AEROSYSTEMS INC 144A Capital Goods Fixed Income 32403.11 0.027790395662549257 32403.11 294 294 85205TAR1 US85205TAR14 -- 110.31 United States -- USD 2.95 7.71 1 Nov 15, 2030 9.75 4.71 -- 7.03 2.9 7.03 Nov 21, 2023 Nov 21, 2023 BAC BANK OF AMERICA CORP Banking Fixed Income 32353.15 0.027747547671498368 32353.15 349 349 06051GHD4 US06051GHD43 BF50RK8 92.72 United States -- USD 3.32 5.8 1 Dec 20, 2028 3.42 4.15 -- 5.65 3.32 5.65 Dec 20, 2017 May 22, 2018 DBRG DIGITALBRIDGE GROUP .15 CUMULATIVE Financial Institutions Equity 32334.59 0.027731629762893395 32334.59 1445 1445 25401T405 US25401T4058 BNHTS28 22.37 United States New York Stock Exchange Inc. USD 7.79 8.01 1 Dec 31, 2079 7.15 12.48 -- 8.01 12.31 8.01 Jun 05, 2017 Jun 05, 2017 BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 32325.17 0.02772355073815962 32325.17 323252 323252 -- CL0002172501 BWWC438 0.1 Chile -- USD 1.73 5.8 949.8 Mar 01, 2026 4.5 1.73 -- 5.8 1.73 5.8 Mar 01, 2015 Mar 01, 2015 NACN NATIONAL BANK OF CANADA Banking Fixed Income 32322.63 0.027721372317477688 32322.63 323 323 63307A2Q7 US63307A2Q77 -- 100.04 Canada -- USD 0.01 5.88 1 Aug 06, 2024 5.83 0.03 -- 5.88 0.03 5.88 Aug 06, 2021 Aug 06, 2021 NGL NGL ENERGY OPERATING LLC 144A Energy Fixed Income 32310.25 0.02771075466076812 32310.25 320 320 62922LAD0 US62922LAD01 -- 100.88 United States -- USD 4.3 8.31 1 Feb 15, 2032 8.38 5.59 -- 8.23 3.86 8.23 Feb 02, 2024 Feb 02, 2024 SOCGEN SOCIETE GENERALE SA (FRN) MTN 144A Banking Fixed Income 32262.64 0.02766992213767099 32262.64 320 320 83368RBU5 US83368RBU59 -- 100.79 France -- USD 0.01 6.94 1 Jan 19, 2028 6.97 0.21 -- 6.87 0.22 6.87 Jan 19, 2024 Jan 19, 2024 PSA PUBLIC STORAGE REPSTG TH BEN INT Financial Institutions Equity 32202.97 0.02761874640456437 32202.97 1468 1468 74460W628 US74460W6286 BK598B8 21.93 United States New York Stock Exchange Inc. 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RILEY FINANCIAL INC Financial Institutions Equity 30973.86 0.02656460520599436 30973.86 1899 1899 05580M819 US05580M8192 BMCHWS4 16.31 United States -- USD 0 -- 1 Aug 31, 2028 5.25 0 -- -- 0 -- Aug 06, 2021 Aug 06, 2021 GS GOLDMAN SACHS GROUP INC (FRN) Banking Fixed Income 30932.11 0.02652879848809255 30932.11 302 302 38141GZS6 US38141GZS64 -- 102.3 United States -- USD 0.03 6.69 1 Mar 15, 2028 7.18 0.12 -- 6.48 0.13 6.48 Mar 15, 2022 Mar 15, 2022 CTL QWEST CORP Industrial Equity 30927.7 0.026525016269506988 30927.7 3124 3124 74913G873 US74913G8731 BD2ZSL0 9.9 United States -- USD 5.85 17.38 1 Jun 15, 2057 6.75 5.74 -- 17.38 5.74 17.38 Apr 27, 2017 Apr 27, 2017 CMS CMS ENERGY CORPORATION Utility Equity 30907.19 0.02650742595132337 30907.19 1280 1280 125896852 US1258968528 BFXBC20 24.14 United States -- USD 6.14 6.11 1 Oct 15, 2078 5.88 15.81 -- 6.11 15.81 6.11 Sep 26, 2018 Sep 26, 2018 1958 BAIC MOTOR CORP LTD H Consumer Discretionary Equity 30787.81 0.026405040179272626 30787.81 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5.79 1 Oct 18, 2024 5.64 0.23 -- 5.79 0.23 5.79 Oct 25, 2021 Oct 25, 2021 RITM NEW RESIDENTIAL INVESTMENT CORP Financial Institutions Equity 30474.69 0.026136494083238714 30474.69 1250 1250 64828T409 US64828T4094 BHQZFQ8 24.38 United States -- USD 0.29 11.7 1 Dec 31, 2079 7.13 0.09 -- 20.99 0.27 20.99 Aug 15, 2019 Aug 15, 2019 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 30418.6 0.02608838872258931 30418.6 302 302 02665WEE7 US02665WEE75 -- 100.62 United States -- USD 0.01 6.04 1 Jan 12, 2026 6.23 0.21 -- 6.04 0.21 6.04 Jan 12, 2023 Jan 12, 2023 BAC MERRILL LYNCH & CO INC Banking Fixed Income 30388.61 0.026062667920915647 30388.61 304 304 59022CAA1 US59022CAA18 -- 100.02 United States -- USD 0.14 6.47 1 Sep 15, 2026 6.35 0.13 -- 6.47 0.13 6.47 Sep 12, 2006 Sep 12, 2006 PRSESE PRIME SECURITY SERVICES BORROWER L 144A Consumer Cyclical Fixed Income 30327.57 0.026010317212874286 30327.57 313 313 74166MAE6 US74166MAE66 BKVKXB0 96.76 United States -- USD 2.48 7.25 1 Jan 15, 2028 6.25 3.2 -- 7.25 3.2 7.25 Jan 28, 2020 Jan 28, 2020 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 30300.37 0.025986989243367 30300.37 301 301 57629TBQ9 US57629TBQ94 -- 100.77 United States -- USD 0.02 6.1 1 Jul 10, 2026 6.3 0.2 -- 6.1 0.2 6.1 Jul 19, 2023 Jul 19, 2023 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 30293.32 0.025980942839505732 30293.32 303 303 38141GXN9 US38141GXN95 -- 100.02 United States -- USD 0 6.28 1 Dec 09, 2026 6.12 0.11 -- 6.28 0.12 6.28 Dec 09, 2020 Dec 09, 2020 ASHM ASHMORE GROUP PLC Financials Equity 30283.72 0.02597270943850316 30283.72 13282 13282 -- GB00B132NW22 B132NW2 2.28 United Kingdom London Stock Exchange USD 0 -- 0.800608462431448 -- 0 0 -- -- 0 -- -- Oct 12, 2006 DISH DISH DBS CORP Communications Fixed Income 30269.53 0.025960539442646233 30269.53 499 499 25470XAY1 US25470XAY13 BYVR0K7 60.64 United States -- USD 1.89 34.93 1 Jul 01, 2026 7.75 1.65 -- 34.93 1.65 34.93 Jun 13, 2016 Oct 03, 2016 ACI ALBERTSONS COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 30216.13 0.025914741149569424 30216.13 317 317 013092AC5 US013092AC57 BK0SQV6 95.32 United States -- USD 2.32 6.53 1 Jan 15, 2027 4.63 2.47 -- 6.53 2.47 6.53 Nov 22, 2019 Nov 22, 2019 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 30189.2 0.02589164474446533 30189.2 302 302 89236TJU0 US89236TJU07 -- 100 United States -- USD 0.01 5.82 1 Jan 13, 2025 5.63 0.21 -- 5.82 0.21 5.82 Jan 13, 2022 Jan 13, 2022 2439 MERRY ELECTRONICS LTD Consumer Discretionary Equity 30129.37 0.025840331788008673 30129.37 8463 8463 S61297495 TW0002439007 6129749 3.56 Taiwan Taiwan Stock Exchange USD 0 -- 32.595 -- 0 0 -- -- 0 -- -- Aug 02, 1999 WRB WR BERKLEY CORPORATION Financial Institutions Equity 30091.77 0.025808084300748595 30091.77 1404 1404 084423805 US0844238057 BJBK4B0 21.43 United States -- USD 14.88 5.98 1 Dec 30, 2059 5.1 14.88 -- 5.98 14.88 5.98 Dec 16, 2019 Dec 16, 2019 MBONO MEXICO (UNITED MEXICAN STATES) (GO 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USD 7.57 7.9 1 Dec 31, 2079 7.13 12.65 -- 7.9 12.47 7.9 Sep 22, 2017 Sep 22, 2017 CRK COMSTOCK RESOURCES INC 144A Energy Fixed Income 29273.54 0.025106332665088694 29273.54 310 310 205768AS3 US205768AS39 BMW2W01 94.38 United States -- USD 3.59 8.17 1 Mar 01, 2029 6.75 3.99 -- 8.17 3.99 8.17 Mar 04, 2021 Mar 04, 2021 THC TENET HEALTHCARE CORPORATION Consumer Non-Cyclical Fixed Income 29245.68 0.02508243864926248 29245.68 322 322 88033GDM9 US88033GDM96 -- 90.73 United States -- USD 4.08 6.41 1 Jun 01, 2029 4.25 4.39 -- 6.41 4.39 6.41 Jun 02, 2021 Jun 02, 2021 BAC BANK OF AMERICA CORP Banking Fixed Income 29217.34 0.025058132963386135 29217.34 319 319 06051GJS9 US06051GJS93 -- 91.71 United States -- USD 2.15 5.9 1 Jul 22, 2027 1.73 2.13 -- 5.73 2.14 5.73 Apr 22, 2021 Apr 22, 2021 TWD TWD CASH Cash and/or Derivatives Cash 29210.12 0.02505194075971545 29210.12 9515 9515 -- -- -- 3.07 Taiwan -- USD 0 1.51 32.595 -- 0 0 -- 1.51 0 1.51 -- Dec 31, 1989 POLGB POLAND (REPUBLIC OF) Treasuries 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0.024949031823642668 29090.13 365 365 98919VAA3 US98919VAA35 BLBQFB9 79.75 United States -- USD 2.62 12.68 1 Mar 01, 2027 4 2.52 -- 12.68 2.52 12.68 Mar 09, 2020 Mar 09, 2020 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 29082.78 0.024942728126000076 29082.78 291 291 21688AAT9 US21688AAT97 -- 100.01 Netherlands -- USD 0.01 5.86 1 Jan 10, 2025 5.7 0.2 -- 5.86 0.2 5.86 Jan 12, 2022 Jan 12, 2022 NWG NATWEST MARKETS PLC MTN 144A Banking Fixed Income 29056.31 0.024920026238027356 29056.31 293 293 63906YAE8 US63906YAE86 -- 99.25 United Kingdom -- USD 0 6.6 1 Sep 29, 2026 6.73 0.17 -- 6.6 0.17 6.6 Sep 29, 2021 Sep 29, 2021 DVA DAVITA INC 144A Consumer Non-Cyclical Fixed Income 28997.27 0.024869390821861532 28997.27 355 355 23918KAT5 US23918KAT51 BMFBJQ0 81.59 United States -- USD 5.7 7.22 1 Feb 15, 2031 3.75 5.71 -- 7.22 5.71 7.22 Aug 11, 2020 Aug 11, 2020 DE JOHN DEERE CAPITAL CORP FRN MTN Capital Goods Fixed Income 28969.85 0.024845874170247934 28969.85 289 289 24422EWC9 US24422EWC91 -- 100.26 United States -- USD 0.02 5.72 1 Mar 07, 2025 5.89 0.12 -- 5.72 0.12 5.72 Mar 07, 2022 Mar 07, 2022 BMO BANK OF MONTREAL MTN Banking Fixed Income 28913.38 0.024797442904142177 28913.38 288 288 06368LGW0 US06368LGW00 -- 100.22 Canada -- USD 0.01 5.79 1 Dec 12, 2024 6.04 0.13 -- 5.79 0.13 5.79 Jan 12, 2023 Jan 12, 2023 EMACN EMERA INCORPORATED Electric Fixed Income 28904.4 0.02478974124362102 28904.4 293 293 290876AD3 US290876AD37 BYYFGC2 98.5 Canada -- USD 1.93 10.42 1 Jun 15, 2076 6.75 1.67 -- 7.52 1.91 7.52 Jun 16, 2016 Jun 16, 2016 BACR BARCLAYS PLC (FRN) Banking Fixed Income 28863.97 0.02475506661835706 28863.97 287 287 06738ECQ6 US06738ECQ61 -- 100.65 United Kingdom -- USD 0.01 6.82 1 Mar 12, 2028 6.84 0.11 -- 6.75 0.12 6.75 Mar 12, 2024 Mar 12, 2024 SIRI SIRIUS XM RADIO INC 144A Communications Fixed Income 28839.4 0.024733994257666102 28839.4 359 359 82967NBM9 US82967NBM92 -- 80.36 United States -- USD 6.06 7.38 1 Sep 01, 2031 3.88 6.07 -- 7.38 6.07 7.38 Aug 16, 2021 Aug 16, 2021 LYV LIVE NATION ENTERTAINMENT INC 144A Consumer Cyclical Fixed Income 28707.06 0.024620493394261887 28707.06 287 287 538034AV1 US538034AV10 -- 99.96 United States -- USD 2.06 6.51 1 May 15, 2027 6.5 2.66 -- 6.51 2.66 6.51 May 20, 2020 May 20, 2020 TGI TRIUMPH GROUP INC 144A Capital Goods Fixed Income 28686.17 0.024602577170621913 28686.17 276 276 896818AU5 US896818AU56 -- 103.75 United States -- USD 2.15 7.86 1 Mar 15, 2028 9 3.22 -- 7.53 2.5 7.53 Mar 14, 2023 Mar 14, 2023 WCC WESCO DISTRIBUTION INC 144A Capital Goods Fixed Income 28667.6 0.02458665068555756 28667.6 282 282 95081QAP9 US95081QAP90 -- 101.62 United States -- USD 1.59 6.79 1 Jun 15, 2028 7.25 3.45 -- 6.42 1.91 6.42 Jun 12, 2020 Jun 12, 2020 HRI HERC HOLDINGS INC 144A Capital Goods Fixed Income 28653.67 0.024574703677644454 28653.67 295 295 42704LAA2 US42704LAA26 BHWTW85 97.18 United States -- USD 2.29 6.48 1 Jul 15, 2027 5.5 2.86 -- 6.48 2.86 6.48 Jul 09, 2019 Jul 09, 2019 DB DEUTSCHE BANK AG (NY BRANCH) FRN Banking Fixed Income 28608.1 0.024535620752260366 28608.1 289 289 251526CN7 US251526CN70 -- 98.91 Germany -- USD -0.02 7.09 1 Nov 16, 2027 6.56 0.04 -- 7.09 0.04 7.09 Nov 16, 2021 Nov 16, 2021 QVCN QVC INC Industrial Equity 28602.82 0.02453109238170895 28602.82 2307 2307 747262400 US7472624003 BKVHZH1 12.4 United States -- USD 7.85 12.78 1 Nov 26, 2068 6.25 7.79 -- 12.78 7.79 12.78 Nov 26, 2019 Nov 26, 2019 GBLATL GA GLOBAL FUNDING TRUST (FRN) 144A Insurance Fixed Income 28602.81 0.024531083805249574 28602.81 285 285 36143L2K0 US36143L2K08 -- 100.48 United States -- USD 0.01 6.34 1 Apr 11, 2025 6.67 0.2 -- 6.34 0.2 6.34 Apr 11, 2022 Apr 11, 2022 AFCG AFC GAMMA INC Financials Equity 28545.33 0.02448178631674667 28545.33 2440 2440 00109K105 US00109K1051 BMPRJ46 11.7 United States NASDAQ USD 0 -- 1 -- 0 0 -- -- 0 -- -- Mar 19, 2021 CITPET CITGO PETROLEUM CORPORATION 144A Owned No Guarantee Fixed Income 28542.23 0.02447912761433959 28542.23 276 276 17302XAN6 US17302XAN66 -- 103.25 United States -- USD 2.69 7.54 1 Jan 15, 2029 8.38 3.78 -- 7.3 2.92 7.3 Sep 20, 2023 Sep 20, 2023 HEES H&E EQUIPMENT SERVICES INC 144A Capital Goods Fixed Income 28530.62 0.0244691703450021 28530.62 319 319 404030AJ7 US404030AJ72 -- 89.44 United States -- USD 3.93 6.55 1 Dec 15, 2028 3.88 4.07 -- 6.55 4.07 6.55 Dec 14, 2020 Dec 14, 2020 VMED VMED O2 UK FINANCING I PLC 144A Communications Fixed Income 28470.26 0.024417402836198428 28470.26 341 341 92858RAB6 US92858RAB69 -- 83.5 United Kingdom -- USD 5.69 7.78 1 Jul 15, 2031 4.75 5.76 -- 7.78 5.76 7.78 Jul 07, 2021 Jul 07, 2021 THC TENET HEALTHCARE CORPORATION Consumer Non-Cyclical Fixed Income 28430.79 0.024383551551034725 28430.79 285 285 88033GDS6 US88033GDS66 2KQP5J1 99.69 United States -- USD 0.95 6.37 1 Feb 01, 2027 6.25 2.47 -- 6.37 2.47 6.37 Feb 05, 2019 Feb 05, 2019 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 28424.58 0.024378225569761186 28424.58 285 285 38141GYH1 US38141GYH19 -- 99.89 United States -- USD 0.01 6.36 1 Sep 10, 2027 6.15 0.11 -- 6.35 0.12 6.35 Jun 10, 2021 Jun 10, 2021 VAL VALARIS LTD 144A Energy Fixed Income 28421.5 0.02437558402027286 28421.5 278 278 91889FAC5 US91889FAC59 -- 102.25 United States -- USD 3.37 7.9 1 Apr 30, 2030 8.38 4.5 -- 7.71 3.24 7.71 Apr 19, 2023 Apr 19, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 28378.7 0.02433887677413639 28378.7 284 284 78016EZP5 US78016EZP59 -- 100.08 Canada -- USD 0.01 5.95 1 Jan 20, 2026 5.83 0.23 -- 5.95 0.23 5.95 Jan 19, 2021 Jan 19, 2021 RILY B. RILEY FINANCIAL INC Financial Institutions Equity 28349.82 0.02431410795945365 28349.82 1500 1500 05580M793 US05580M7939 BP6WPH6 18.9 United States -- USD 2.38 6.72 1 Dec 31, 2026 5 2.35 -- 6.72 2.35 6.72 Dec 03, 2021 Dec 03, 2021 FE FIRSTENERGY CORPORATION Electric Fixed Income 28282.2 0.02425611394114178 28282.2 300 300 337932AH0 US337932AH00 BDC3P91 94.33 United States -- USD 2.9 6.11 1 Jul 15, 2027 4.15 2.92 -- 6.11 2.92 6.11 Jun 21, 2017 Jun 21, 2017 HA HAWAIIAN BRAND INTELLECTUAL PROPER 144A Transportation Fixed Income 28272.92 0.024248154986839292 28272.92 303 303 41984LAA5 US41984LAA52 -- 93.25 United States -- USD 1.62 10.16 1 Jan 20, 2026 5.75 1.62 -- 10.16 1.62 10.16 Feb 04, 2021 Feb 04, 2021 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 28256.67 0.02423421824035056 28256.67 307 307 46284VAJ0 US46284VAJ08 BL57W73 92.15 United States -- USD 4.6 6.82 1 Jul 15, 2030 5.25 5.09 -- 6.82 5.09 6.82 Jun 22, 2020 Jun 22, 2020 AXP AMERICAN EXPRESS COMPANY FRN Banking Fixed Income 28234 0.02421477540694136 28234 281 281 025816CR8 US025816CR81 -- 100.51 United States -- USD 0.02 5.79 1 Mar 04, 2025 6.27 0.11 -- 5.73 0.11 5.73 Mar 04, 2022 Mar 04, 2022 NRUC NATIONAL RURAL UTILITIES COOPERATI Utility Equity 28211.36 0.024195358302910294 28211.36 1143 1143 637432105 US6374321056 BJBL059 24.68 United States -- USD 4.69 5.63 1 May 15, 2064 5.5 15.73 -- 5.63 15.73 5.63 May 06, 2019 May 06, 2019 POST POST HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 28200.95 0.02418643020869813 28200.95 299 299 737446AP9 US737446AP91 BJ7HPV2 94.3 United States -- USD 4.04 6.73 1 Dec 15, 2029 5.5 4.64 -- 6.73 4.64 6.73 Jul 03, 2019 Jul 03, 2019 BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 28170.36 0.024160194819461807 28170.36 281704 281704 -- CL0002839505 BMXCSY6 0.1 Chile -- USD 6.79 6.18 949.8 Apr 01, 2033 6 6.8 -- 6.18 6.8 6.18 Apr 17, 2023 Apr 17, 2023 ALIANT ALLIANT HOLDINGS INTERMEDIATE LLC 144A Insurance Fixed Income 28126.65 0.024122707115521967 28126.65 283 283 01883LAE3 US01883LAE39 -- 99.34 United States -- USD 2.86 6.94 1 Apr 15, 2028 6.75 3.42 -- 6.94 3.42 6.94 Feb 13, 2023 Feb 13, 2023 SO GEORGIA POWER COMPANY Utility Equity 28072.89 0.024076600069907562 28072.89 1245 1245 373334440 US3733344408 BZ60HT6 22.54 United States -- USD 13.13 5.57 1 Oct 01, 2077 5 17.1 -- 5.57 17.1 5.57 Sep 21, 2017 Sep 21, 2017 UBS CREDIT SUISSE AG (NEW YORK BRANCH) Banking Fixed Income 28016.95 0.02402862335614882 28016.95 279 279 22550UAF8 US22550UAF84 -- 100.39 Switzerland -- USD 0.01 6.32 1 Feb 21, 2025 6.6 0.07 -- 6.32 0.07 6.32 Apr 07, 2022 Apr 07, 2022 CPN CALPINE CORP 144A Electric Fixed Income 27998.96 0.024013194305728375 27998.96 299 299 131347CM6 US131347CM64 BJVS9S6 93.54 United States -- USD 3.15 6.44 1 Feb 15, 2028 4.5 3.39 -- 6.44 3.39 6.44 Dec 20, 2019 Dec 20, 2019 MINAU MINERAL RESOURCES LTD 144A Basic Industry Fixed Income 27987.36 0.024003245612850267 27987.36 268 268 603051AE3 US603051AE37 -- 104.5 Australia -- USD 2.54 8.02 1 Oct 01, 2028 9.25 3.59 -- 7.73 2.9 7.73 Oct 03, 2023 Oct 03, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 27971.07 0.023989274560524024 27971.07 280 280 78016EYD3 US78016EYD39 -- 99.8 Canada -- USD 0.01 6.17 1 Nov 02, 2026 5.93 0.01 -- 6.17 0.01 6.17 Oct 07, 2021 Oct 07, 2021 ACACN AIR CANADA 144A Transportation Fixed Income 27933.96 0.023957447319773454 27933.96 294 294 008911BK4 US008911BK48 -- 94.9 Canada -- USD 2.13 6.28 1 Aug 15, 2026 3.88 2.14 -- 6.28 2.14 6.28 Aug 11, 2021 Aug 11, 2021 SR SPIRE MISSOURI INC Natural Gas Fixed Income 27845.78 0.023881820100981072 27845.78 278 278 84859DAB3 US84859DAB38 -- 100.02 United States -- USD 0 5.96 1 Dec 02, 2024 6.04 0.1 -- 5.62 0.08 5.62 Dec 07, 2021 Dec 07, 2021 TCBI TEXAS CAP BANCSHARES DRC INC Financial Institutions Equity 27825.02 0.02386401537131301 27825.02 1471 1471 88224Q305 US88224Q3056 BMH40V9 18.91 United States NASDAQ USD 11.79 7.67 1 Dec 31, 2079 5.75 13.04 -- 7.67 12.75 7.67 Mar 03, 2021 Mar 03, 2021 SR SPIRE INC Utility Equity 27823.31 0.023862548796759427 27823.31 1165 1165 84857L309 US84857L3096 BJV8KN8 23.89 United States New York Stock Exchange Inc. USD 7.73 6.25 1 Dec 31, 2079 5.9 16 -- 6.25 15.31 6.25 May 21, 2019 May 21, 2019 EQMSRM EQUIPMENTSHARECOM INC 144A Capital Goods Fixed Income 27820.2 0.023859881517892968 27820.2 271 271 29450YAA7 US29450YAA73 -- 102.79 United States -- USD 2.75 8.18 1 May 15, 2028 9 3.23 -- 7.95 2.54 7.95 May 09, 2023 May 09, 2023 BNS BANK OF NOVA SCOTIA MTN Banking Fixed Income 27757.55 0.023806149999891803 27757.55 278 278 0641593V6 US0641593V62 BMZRFL5 99.83 Canada -- USD 0.01 6.1 1 Mar 02, 2026 6.19 0.1 -- 6.1 0.1 6.1 Mar 02, 2021 Mar 02, 2021 MPW MPT OPERATING PARTNERSHIP LP / MPT Reits Fixed Income 27701.79 0.023758327662401862 27701.79 339 339 55342UAH7 US55342UAH77 BF2PPR9 81.71 United States -- USD 3.12 11.54 1 Oct 15, 2027 5 3.02 -- 11.54 3.02 11.54 Sep 21, 2017 Sep 21, 2017 RGCARE LIFEPOINT HEALTH INC 144A Consumer Non-Cyclical Fixed Income 27699.47 0.02375633792382624 27699.47 261 261 53219LAW9 US53219LAW90 -- 105.98 United States -- USD 3.47 9.73 1 Oct 15, 2030 11 4.61 -- 9.33 3.5 9.33 Oct 10, 2023 Oct 10, 2023 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 27694.28 0.023751886741409222 27694.28 6426 6426 -- ZAG000107004 BP4JP79 4.31 South Africa -- USD 5.38 11.75 19.06 Mar 31, 2032 8.25 5.39 -- 11.75 5.39 11.75 Mar 31, 2014 Jun 13, 2014 BAC BANK OF AMERICA CORP (FRN) MTN Banking Fixed Income 27685.2 0.02374409931629429 27685.2 275 275 06051GKN8 US06051GKN87 -- 100.83 United States -- USD 0 6.34 1 Apr 02, 2026 6.66 0.18 -- 5.92 0.18 5.92 Mar 22, 2022 Mar 22, 2022 VMED VMED O2 UK FINANCING I PLC 144A Communications Fixed Income 27648.4 0.02371253794578443 27648.4 339 339 92858RAA8 US92858RAA86 -- 81.57 United Kingdom -- USD 5.55 7.81 1 Jan 31, 2031 4.25 5.54 -- 7.81 5.54 7.81 Sep 24, 2020 Sep 24, 2020 WSTP WESTPAC BANKING CORP Banking Fixed Income 27644.61 0.023709287467680286 27644.61 277 277 961214ES8 US961214ES82 -- 99.91 Australia -- USD 0.01 6.04 1 Jun 03, 2026 5.86 0.1 -- 6.04 0.1 6.04 Jun 03, 2021 Jun 03, 2021 WSTP WESTPAC BANKING CORP Banking Fixed Income 27637.56 0.023703241063819023 27637.56 276 276 961214EV1 US961214EV12 -- 100.02 Australia -- USD 0.01 5.7 1 Nov 18, 2024 5.64 0.06 -- 5.7 0.06 5.7 Nov 18, 2021 Nov 18, 2021 COLTES COLOMBIA REPUBLIC OF (GOVERNMENT) Treasuries Fixed Income 27597.45 0.02366884088525515 27597.45 1379873 1379873 -- COL17CT02914 B8CLGQ4 0.02 Colombia -- USD 3.25 10.2 3970.13 Apr 28, 2028 6 3.1 -- 10.2 3.1 10.2 Apr 28, 2012 Apr 28, 2012 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 27588.15 0.02366086477803391 27588.15 275 275 2027A0KN8 US2027A0KN80 -- 100.15 Australia -- USD 0.01 5.92 1 Jan 10, 2025 5.95 0.2 -- 5.92 0.2 5.92 Jan 10, 2023 Jan 10, 2023 ACI ALBERTSONS COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 27576.43 0.023650813167643267 27576.43 313 313 013092AG6 US013092AG61 BKPMPR2 87.99 United States -- USD 4.24 6.4 1 Mar 15, 2029 3.5 4.35 -- 6.4 4.35 6.4 Aug 31, 2020 Aug 31, 2020 CCO CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Communications Fixed Income 27560.17 0.02363686784469516 27560.17 299 299 18453HAA4 US18453HAA41 BJ9NFT6 92.28 United States -- USD 2.89 7.82 1 Aug 15, 2027 5.13 2.93 -- 7.82 2.93 7.82 Aug 23, 2019 Aug 23, 2019 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 27543.92 0.02362293109820643 27543.92 278 278 12543DBC3 US12543DBC39 BHL3S91 99.21 United States -- USD 1.15 8.45 1 Mar 15, 2026 8 1.7 -- 8.45 1.7 8.45 Mar 06, 2019 Mar 06, 2019 OZK BANK OZK Financial Institutions Equity 27524.15 0.023605975438016756 27524.15 1641 1641 06417N202 US06417N2027 BNTYXM6 16.77 United States -- USD 13.6 6.99 1 Dec 31, 2079 4.63 14.11 -- 6.99 14.11 6.99 Nov 04, 2021 Nov 04, 2021 FYBR FRONTIER COMMUNICATIONS HOLDINGS L 144A Communications Fixed Income 27453.38 0.023545279835000914 27453.38 290 290 35906ABE7 US35906ABE73 BMHL2W5 94.63 United States -- USD 2.82 7.67 1 Oct 15, 2027 5.88 3.06 -- 7.67 3.06 7.67 Oct 08, 2020 Oct 08, 2020 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 27414.78 0.02351217470180307 27414.78 12239 12239 -- TRT130733T17 -- 2.24 Turkey -- USD 3.94 25.63 32.526 Jul 13, 2033 17.8 3.49 -- 25.63 3.49 25.63 Jul 26, 2023 Jul 26, 2023 CHDN CDI ESCROW ISSUER INC 144A Consumer Cyclical Fixed Income 27360.51 0.023465630256760402 27360.51 290 290 12511VAA6 US12511VAA61 -- 94.42 United States -- USD 4.14 6.91 1 Apr 01, 2030 5.75 4.89 -- 6.91 4.89 6.91 Apr 13, 2022 Apr 13, 2022 CWCLN C&W SENIOR FINANCING DAC 144A Communications Fixed Income 27309.44 0.02342183027871859 27309.44 293 293 12674TAA4 US12674TAA43 BF5Q223 93.25 Ireland -- USD 2.8 9.24 1 Sep 15, 2027 6.88 2.87 -- 9.24 2.87 9.24 Aug 16, 2017 Aug 16, 2017 SIRI SIRIUS XM RADIO INC 144A Communications Fixed Income 27283.9 0.023399926001467997 27283.9 295 295 82967NBC1 US82967NBC11 BJYHK54 92.54 United States -- USD 3.98 7.25 1 Jul 01, 2029 5.5 4.31 -- 7.25 4.31 7.25 Jun 07, 2019 Jun 07, 2019 NWIDE NATIONWIDE BUILDING SOCIETY MTN 144A Banking Fixed Income 27279.34 0.023396015135991776 27279.34 273 273 63861VAG2 US63861VAG23 -- 100.02 United Kingdom -- USD 0 6.81 1 Feb 16, 2028 6.63 0.04 -- 6.81 0.04 6.81 Feb 16, 2022 Feb 16, 2022 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 27273.87 0.023391323812712184 27273.87 5521 5521 -- MX0MGO0001D6 -- 4.94 Mexico -- USD 6 9.96 17.2605 May 26, 2033 7.5 6.07 -- 9.96 6.07 9.96 Dec 08, 2022 Dec 09, 2022 SEM SELECT MEDICAL CORPORATION 144A Consumer Non-Cyclical Fixed Income 27249.08 0.023370062769914914 27249.08 273 273 816196AT6 US816196AT67 BKPHQM9 99.95 United States -- USD 1.44 6.27 1 Aug 15, 2026 6.25 2.09 -- 6.27 2.09 6.27 Aug 01, 2019 Aug 01, 2019 NAVI NAVIENT PRCNT SENIOR NOTES EXP D Financial Institutions Equity 27248.93 0.02336993412302425 27248.93 1408 1408 63938C405 US63938C4050 BDRW5R1 19.35 United States NASDAQ USD 9.74 7.82 1 Dec 15, 2043 6 10.17 -- 7.82 10.17 7.82 Dec 15, 2003 Dec 15, 2003 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 27247.57 0.023368767724548885 27247.57 273 273 89236TJJ5 US89236TJJ51 -- 99.99 United States -- USD 0.01 5.65 1 Jun 18, 2024 5.59 0.15 -- 5.65 0.15 5.65 Jun 18, 2021 Jun 18, 2021 SWN SOUTHWESTERN ENERGY COMPANY Energy Fixed Income 27225.86 0.02335014823123994 27225.86 287 287 845467AS8 US845467AS85 -- 94.84 United States -- USD 4.15 6.44 1 Mar 15, 2030 5.38 4.91 -- 6.44 4.91 6.44 Aug 30, 2021 Aug 30, 2021 UMH UMH PROPERTIES INC Financial Institutions Equity 27218.16 0.02334354435751913 27218.16 1227 1227 903002509 US9030025095 BFMTG89 22.18 United States Non-Nms Quotation Service (Nnqs) USD 9.43 7.24 1 Dec 31, 2079 6.38 13.8 -- 7.24 13.45 7.24 Jan 22, 2018 Jan 22, 2018 RIG TRANSOCEAN INC 144A Energy Fixed Income 27195.68 0.023324264476838105 27195.68 261 261 893830BX6 US893830BX61 -- 104.04 United States -- USD 2.39 7.51 1 Feb 15, 2030 8.75 3.2 -- 7.21 2.57 7.21 Jan 31, 2023 Jan 31, 2023 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 27115.23 0.02325526686114467 27115.23 271 271 89236TKP9 US89236TKP92 -- 100.19 United States -- USD 0.02 5.75 1 Jan 10, 2025 5.87 0.2 -- 5.75 0.2 5.75 Jan 12, 2023 Jan 12, 2023 MFA MFA FINANCIAL INC Financial Institutions Equity 27100.2 0.023242376442700018 27100.2 1234 1234 55272X508 US55272X5086 BLHGG32 21.97 United States -- USD 0.88 12.16 1 Dec 31, 2079 6.5 0.58 -- 22.37 0.81 22.37 Mar 02, 2020 Mar 02, 2020 RNR RENAISSANCERE HOLDINGS LTD Financial Institutions Equity 27042.08 0.023192530060796943 27042.08 1175 1175 75968N309 US75968N3098 BFMZ665 23.01 United States New York Stock Exchange Inc. USD 10.13 6.31 1 Dec 31, 2079 5.75 15.31 -- 6.31 15.31 6.31 Jun 18, 2018 Jun 18, 2018 BA BOEING CO Capital Goods Fixed Income 27038.04 0.02318906517120836 27038.04 290 290 097023DG7 US097023DG73 -- 93.15 United States -- USD 1.7 6.34 1 Feb 04, 2026 2.2 1.69 -- 6.34 1.69 6.34 Feb 04, 2021 Feb 04, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 27036.06 0.02318736703225158 27036.06 292 292 912828YG9 US912828YG91 BJYQBG9 92.55 United States -- USD 2.33 4.91 1 Sep 30, 2026 1.63 2.33 -- 4.91 2.33 4.91 Sep 30, 2019 Sep 30, 2019 KREF KKR REAL ESTATE FINANCE TRUST INC Financial Institutions Equity 27002.76 0.023158807422523905 27002.76 1469 1469 48251K209 US48251K2096 BLFJ1F0 18.38 United States -- USD 11.2 8.93 1 Dec 31, 2079 6.5 11.2 -- 8.93 11.01 8.93 Apr 16, 2021 Apr 16, 2021 NSUS NUSTAR ENERGY LP Industrial Equity 26939.51 0.02310456131696008 26939.51 1056 1056 67058H201 US67058H2013 BYVQFR6 25.51 United States -- USD 0.36 12.46 1 Dec 31, 2079 12.36 0.01 -- 4.27 0.08 4.27 Nov 25, 2016 Nov 25, 2016 VENTGL VENTURE GLOBAL CALCASIEU PASS LLC 144A Energy Fixed Income 26910.12 0.02307935510284908 26910.12 305 305 92328MAA1 US92328MAA18 -- 88.3 United States -- USD 4.62 6.52 1 Aug 15, 2029 3.88 4.62 -- 6.52 4.62 6.52 Aug 05, 2021 Aug 05, 2021 INTMAT ITT HOLDINGS LLC 144A Energy Fixed Income 26905.47 0.023075367049238456 26905.47 301 301 45074JAA2 US45074JAA25 -- 89.5 United States -- USD 4.1 9.05 1 Aug 01, 2029 6.5 4.23 -- 9.05 4.23 9.05 Jul 08, 2021 Jul 08, 2021 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 26894.39 0.023065864332247988 26894.39 273 273 06051GLG2 US06051GLG28 -- 98.39 United States -- USD 3.54 5.89 1 Apr 25, 2029 5.2 3.56 -- 5.66 3.56 5.66 Apr 25, 2023 Apr 25, 2023 UPCB UPC BROADBAND FINCO BV 144A Communications Fixed Income 26882.26 0.02305546108702286 26882.26 310 310 90320BAA7 US90320BAA70 -- 86.78 Netherlands -- USD 5.54 7.26 1 Jul 15, 2031 4.88 5.78 -- 7.26 5.78 7.26 Apr 21, 2021 Apr 21, 2021 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 26863.32 0.023039217272961536 26863.32 12211 12211 -- TRT020926T17 -- 2.2 Turkey -- USD 1.65 35.77 32.526 Sep 02, 2026 16.9 1.63 -- 35.77 1.63 35.77 Sep 08, 2021 Sep 08, 2021 CAP CAP SA Materials Equity 26832.47 0.023012758895781395 26832.47 3686 3686 S21743125 CLP256251073 2174312 7.28 Chile Santiago Stock Exchange USD 0 -- 949.8 -- 0 0 -- -- 0 -- -- Nov 23, 1992 NMG NMG HOLDING COMPANY INC 144A Consumer Cyclical Fixed Income 26828.86 0.02300966279394605 26828.86 270 270 62929RAC2 US62929RAC25 -- 99.41 United States -- USD 1.32 7.46 1 Apr 01, 2026 7.13 1.77 -- 7.46 1.77 7.46 Mar 30, 2021 Mar 30, 2021 PETM PETSMART LLC 144A Consumer Cyclical Fixed Income 26826.54 0.02300767305537043 26826.54 283 283 71677KAB4 US71677KAB44 -- 94.81 United States -- USD 3.3 9.1 1 Feb 15, 2029 7.75 3.84 -- 9.1 3.84 9.1 Feb 12, 2021 Feb 12, 2021 JANEST JANE STREET GROUP LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 26817.25 0.022999705524608564 26817.25 268 268 47077WAC2 US47077WAC29 -- 100.25 United States -- USD 4.43 7.03 1 Apr 30, 2031 7.13 5.45 -- 7.01 4.16 7.01 Apr 24, 2024 Apr 24, 2024 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 26799.36 0.022984362238781895 26799.36 266 266 37045XDT0 US37045XDT00 -- 100.66 United States -- USD 0.02 6.07 1 Apr 07, 2025 6.62 0.19 -- 6.07 0.19 6.07 Apr 07, 2022 Apr 07, 2022 016360 SAMSUNG SECURITIES LTD Financials Equity 26779.23 0.022967097826054626 26779.23 986 986 S64084486 KR7016360000 6408448 27.16 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Aug 19, 1992 TNOTE TREASURY NOTE Treasuries Fixed Income 26729.93 0.022924815881322665 26729.93 284 284 91282CAB7 US91282CAB72 BLD0Z75 94.06 United States -- USD 1.23 5.16 1 Jul 31, 2025 0.25 1.23 -- 5.16 1.23 5.16 Jul 31, 2020 Jul 31, 2020 ETR ENTERGY LOUISIANA LLC Utility Equity 26713.86 0.022911033511102734 26713.86 1251 1251 29364W108 US29364W1080 BD0S963 21.36 United States -- USD 13.3 5.76 1 Sep 01, 2066 4.88 15.93 -- 5.76 15.93 5.76 Aug 17, 2016 Aug 17, 2016 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 26682.89 0.02288447221641006 26682.89 266 266 14913UAC4 US14913UAC45 -- 100.28 United States -- USD 0.01 5.74 1 Jun 13, 2025 5.85 0.13 -- 5.74 0.13 5.74 Jun 21, 2023 Jun 21, 2023 HPP HUDSON PACIFIC PROPERTIES INC Financial Institutions Equity 26664.29 0.022868520001967575 26664.29 1905 1905 444097307 US4440973075 BP38WQ5 14 United States Non-Nms Quotation Service (Nnqs) USD 11.74 8.53 1 Dec 31, 2079 4.75 11.72 -- 8.53 11.55 8.53 Nov 16, 2021 Nov 16, 2021 SYNH STAR PARENT INC 144A Consumer Non-Cyclical Fixed Income 26622.23 0.022832447413825053 26622.23 255 255 855170AA4 US855170AA41 -- 104.22 United States -- USD 3.58 8.14 1 Oct 01, 2030 9 4.83 -- 7.85 3.61 7.85 Sep 28, 2023 Sep 28, 2023 US UNIPOLSAI Financials Equity 26554.81 0.022774624924700733 26554.81 9253 9253 -- IT0004827447 B89YH96 2.87 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Jan 02, 1985 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 26551.03 0.022771383023055973 26551.03 278 278 125523AH3 US125523AH38 BKPHS12 95.53 United States -- USD 3.94 5.52 1 Oct 15, 2028 4.38 3.99 -- 5.52 3.99 5.52 Apr 15, 2019 Aug 27, 2019 ARMK ARAMARK SERVICES INC 144A Consumer Non-Cyclical Fixed Income 26508.47 0.022734881611944566 26508.47 279 279 038522AQ1 US038522AQ17 BFWVB79 94.95 United States -- USD 2.95 6.53 1 Feb 01, 2028 5 3.32 -- 6.53 3.32 6.53 Jan 18, 2018 Jan 18, 2018 UNSEAM ALLIED UNIVERSAL HOLDCO LLC 144A Consumer Cyclical Fixed Income 26475.97 0.022707008118967108 26475.97 295 295 019579AA9 US019579AA90 -- 89.8 United States -- USD 3.51 7.56 1 Jun 01, 2028 4.63 3.55 -- 7.56 3.55 7.56 May 14, 2021 May 14, 2021 TDG TRANSDIGM INC Capital Goods Fixed Income 26455.07 0.022689083318867754 26455.07 290 290 893647BP1 US893647BP15 -- 91.15 United States -- USD 3.83 6.85 1 Jan 15, 2029 4.63 4.07 -- 6.85 4.07 6.85 Jul 15, 2021 Sep 20, 2021 BALL BALL CORPORATION Capital Goods Fixed Income 26452.75 0.022687093580292132 26452.75 317 317 058498AW6 US058498AW66 BKY44N8 83.4 United States -- USD 5.57 6.08 1 Aug 15, 2030 2.88 5.55 -- 6.08 5.55 6.08 Aug 13, 2020 Aug 13, 2020 BNS BANK OF NOVA SCOTIA MTN Banking Fixed Income 26449.96 0.02268470074812576 26449.96 264 264 06417XAA9 US06417XAA90 -- 100.02 Canada -- USD 0.01 5.92 1 Jan 10, 2025 5.78 0.2 -- 5.92 0.2 5.92 Jan 10, 2022 Jan 10, 2022 NYLIFE NEW YORK LIFE GLOBAL FUNDING (FRN) MTN 144A Insurance Fixed Income 26407.61 0.022648379442661286 26407.61 264 264 64953BBL1 US64953BBL18 -- 100.16 United States -- USD 0.01 6.1 1 Apr 02, 2027 5.99 0.18 -- 6.1 0.18 6.1 Apr 04, 2024 Apr 04, 2024 MTB M AND T BANK PERPETUAL FIXED TO FL Financial Institutions Equity 26401.03 0.022642736132390772 26401.03 1157 1157 55261F872 US55261F8721 BPQT641 22.81 United States New York Stock Exchange Inc. USD 2.31 9.69 1 Dec 31, 2079 5.63 2.13 -- 9.69 2.32 9.69 Apr 05, 2022 Apr 05, 2022 FRTITA FERTITTA ENTERTAINMENT LLC 144A Consumer Cyclical Fixed Income 26380.78 0.02262536880215097 26380.78 306 306 31556TAC3 US31556TAC36 -- 86.3 United States -- USD 4.45 9.94 1 Jan 15, 2030 6.75 4.44 -- 9.94 4.44 9.94 Jan 27, 2022 Jan 27, 2022 BPCEGP BPCE SA (FRN) MTN 144A Banking Fixed Income 26372.32 0.022618113117517453 26372.32 259 259 05571AAP0 US05571AAP03 -- 101.66 France -- USD 0.03 6.96 1 Oct 19, 2027 7.29 0.21 -- 6.77 0.22 6.77 Oct 19, 2023 Oct 19, 2023 IQV IQVIA INC 144A Consumer Non-Cyclical Fixed Income 26369.17 0.022615411532813486 26369.17 273 273 46266TAA6 US46266TAA60 BK62T46 96.58 United States -- USD 2.28 6.24 1 May 15, 2027 5 2.72 -- 6.24 2.72 6.24 May 10, 2019 May 10, 2019 VYX NCR VOYIX CORP 144A Technology Fixed Income 26369.17 0.022615411532813486 26369.17 291 291 62886EBA5 US62886EBA55 BL6KR10 90.51 United States -- USD 4.03 7.44 1 Apr 15, 2029 5.13 4.25 -- 7.44 4.25 7.44 Apr 06, 2021 Apr 06, 2021 BNS BANK OF NOVA SCOTIA Banking Fixed Income 26335.26 0.022586328759063773 26335.26 264 264 0641598M1 US0641598M19 -- 99.79 Canada -- USD 0.01 6.2 1 Sep 15, 2026 5.94 0.13 -- 6.2 0.13 6.2 Sep 15, 2021 Sep 15, 2021 LILAPR LCPR SENIOR SECURED FINANCING DAC 144A Communications Fixed Income 26315.78 0.022569621816196053 26315.78 286 286 50201DAA1 US50201DAA19 -- 92 United States -- USD 2.97 9.51 1 Oct 15, 2027 6.75 2.99 -- 9.51 2.99 9.51 Oct 25, 2019 Oct 25, 2019 INR INR CASH Cash and/or Derivatives Cash 26305.01 0.02256038496944629 26305.01 21921 21921 -- -- -- 1.2 India -- USD 0 6.02 83.32625 -- 0 0 -- 6.02 0 6.02 -- Jan 01, 1990 ALLY ALLY FINANCIAL INC Banking Fixed Income 26283.27 0.022541739746759215 26283.27 265 265 02005NBF6 US02005NBF69 BDCBVG4 99.11 United States -- USD 1.42 6.35 1 Nov 20, 2025 5.75 1.44 -- 6.35 1.44 6.35 Nov 20, 2015 Nov 20, 2015 NOVHOL CLYDESDALE ACQUISITION HOLDINGS IN 144A Capital Goods Fixed Income 26278.63 0.022537760269607972 26278.63 274 274 18972EAB1 US18972EAB11 -- 95.95 United States -- USD 3.83 9.66 1 Apr 15, 2030 8.75 4.52 -- 9.66 4.52 9.66 Apr 13, 2022 Apr 13, 2022 SVC SERVICE PROPERTIES TRUST 144A Reits Fixed Income 26257.74 0.022519844045967997 26257.74 252 252 81761LAC6 US81761LAC63 -- 104.29 United States -- USD 3.71 7.86 1 Nov 15, 2031 8.63 5.34 -- 7.5 3.61 7.5 Nov 16, 2023 Nov 16, 2023 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 26195.86 0.022466772915338915 26195.86 262 262 6944PL3B3 US6944PL3B32 -- 99.96 United States -- USD 0.01 6.1 1 Mar 27, 2026 5.92 0.17 -- 6.1 0.17 6.1 Apr 04, 2024 Apr 04, 2024 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 26169.51 0.02244417394487873 26169.51 417 417 071734AN7 US071734AN72 -- 62.75 United States -- USD 3.47 18.14 1 Jun 01, 2028 4.88 3.25 -- 18.14 3.25 18.14 Jun 08, 2021 Jun 08, 2021 VENTGL VENTURE GLOBAL CALCASIEU PASS LLC 144A Energy Fixed Income 26155.58 0.02243222693696562 26155.58 319 319 92328MAC7 US92328MAC73 BP9SCV4 82.12 United States -- USD 7.47 6.41 1 Nov 01, 2033 3.88 7.45 -- 6.41 7.45 6.41 Nov 22, 2021 Nov 22, 2021 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 26152.98 0.022429997057527424 26152.98 1307649 1307649 -- COL17CT02625 B5V9HQ5 0.02 Colombia -- USD 2.03 9.98 3970.13 Aug 26, 2026 7.5 1.93 -- 9.98 1.93 9.98 Aug 26, 2011 Aug 26, 2011 ETR ENTERGY MISSISSIPPI INC Utility Equity 26139.48 0.022418418837367556 26139.48 1203 1203 29364N108 US29364N1081 BD5NDN8 21.72 United States -- USD 13.28 5.66 1 Oct 01, 2066 4.9 16.19 -- 5.66 16.19 5.66 Sep 15, 2016 Sep 15, 2016 CZR CAESARS ENTERTAINMENT INC 144A Consumer Cyclical Fixed Income 26125.4 0.022406343182563782 26125.4 294 294 12769GAA8 US12769GAA85 BP6VNC4 88.87 United States -- USD 4.48 7.12 1 Oct 15, 2029 4.63 4.68 -- 7.12 4.68 7.12 Sep 24, 2021 Sep 24, 2021 URI UNITED RENTALS (NORTH AMERICA) INC 144A Capital Goods Fixed Income 26099.86 0.02238443890531319 26099.86 269 269 911365BR4 US911365BR47 -- 97.13 United States -- USD 6.18 6.52 1 Mar 15, 2034 6.13 7.23 -- 6.52 7.23 6.52 Mar 11, 2024 Mar 11, 2024 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 26078.97 0.022366522681673214 26078.97 312 312 126307AQ0 US126307AQ03 BD9FV69 83.63 United States -- USD 2.69 12.23 1 Apr 15, 2027 5.5 2.6 -- 12.23 2.6 12.23 Sep 23, 2016 Sep 23, 2016 BMO BANK OF MONTREAL MTN Banking Fixed Income 26040.57 0.022333589077662926 26040.57 260 260 06368FAF6 US06368FAF62 -- 100.03 Canada -- USD 0.01 5.92 1 Jan 10, 2025 5.78 0.2 -- 5.92 0.2 5.92 Jan 10, 2022 Jan 10, 2022 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 26037.18 0.02233068165793389 26037.18 257 257 12543DBN9 US12543DBN93 -- 101.18 United States -- USD 4.13 10.63 1 Jan 15, 2032 10.88 4.99 -- 10.53 3.56 10.53 Dec 22, 2023 Dec 22, 2023 TD TORONTO-DOMINION BANK/THE (FRN) MTN Banking Fixed Income 25989.4 0.022289703335027337 25989.4 257 257 89115A2T8 US89115A2T89 -- 100.93 Canada -- USD 0.02 6.12 1 Jul 17, 2026 6.39 0.22 -- 6.12 0.22 6.12 Jul 17, 2023 Jul 17, 2023 KIM KIMCO RLTY DS REPRESENTING CLASS Financial Institutions Equity 25953.15 0.022258613669783246 25953.15 1158 1158 49446R711 US49446R7118 BD0RST6 22.42 United States New York Stock Exchange Inc. USD 12.7 5.88 1 Dec 31, 2079 5.25 17.01 -- 5.88 16.36 5.88 Dec 20, 2017 Dec 20, 2017 TVA TENN VALLEY AUTHORITY Agency Equity 25893.32 0.022207300713326588 25893.32 1181 1181 880591300 US8805913006 2612674 21.93 United States New York Stock Exchange Inc. USD 0 -- 1 Jun 01, 2028 2.13 0 -- -- 0 -- Jun 09, 1998 Jun 09, 1998 BLDR BUILDERS FIRSTSOURCE INC 144A Capital Goods Fixed Income 25888.59 0.022203244048040947 25888.59 299 299 12008RAP2 US12008RAP29 BMD9BZ9 86.61 United States -- USD 5.94 6.47 1 Feb 01, 2032 4.25 6.32 -- 6.47 6.32 6.47 Jul 23, 2021 Jul 23, 2021 AGNC AGNC INVESTMENT CORP Financial Institutions Equity 25888.19 0.02220290098966584 25888.19 1053 1053 00123Q609 US00123Q6098 BJBT6K0 24.59 United States -- USD 0.13 10.24 1 Dec 31, 2079 9.92 0.06 -- 10.24 0.07 10.24 Mar 06, 2019 Mar 06, 2019 FITB FIFTH THIRD BANCORP Financial Institutions Equity 25842.03 0.02216331205317847 25842.03 1178 1178 316773860 US3167738604 BKKBGL5 21.93 United States -- USD 13.36 5.66 1 Dec 31, 2079 4.95 16.97 -- 5.66 16.97 5.66 Sep 17, 2019 Sep 17, 2019 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 25834.11 0.022156519497351347 25834.11 258 258 89236TMA0 US89236TMA06 -- 100.01 United States -- USD 0.01 6.13 1 Mar 19, 2027 5.98 0.14 -- 6.13 0.14 6.13 Mar 21, 2024 Mar 21, 2024 SMYREA SMYRNA READY MIX CONCRETE LLC 144A Capital Goods Fixed Income 25821.27 0.022145507323510404 25821.27 268 268 85236FAA1 US85236FAA12 -- 96.25 United States -- USD 3.13 6.98 1 Nov 01, 2028 6 3.76 -- 6.98 3.76 6.98 Nov 06, 2020 Nov 06, 2020 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 25784.7 0.02211414321156623 25784.7 257 257 02665WFC0 US02665WFC01 -- 100.19 United States -- USD 0 6.19 1 Mar 12, 2027 6.1 0.12 -- 6.19 0.12 6.19 Mar 13, 2024 Mar 13, 2024 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 25767.05 0.022099005760764626 25767.05 257 257 44891ACZ8 US44891ACZ84 -- 100.19 United States -- USD 0.01 6.46 1 Mar 19, 2027 6.37 0.14 -- 6.46 0.14 6.46 Mar 19, 2024 Mar 19, 2024 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 25765.29 0.022097496303914152 25765.29 258 258 24422EXL8 US24422EXL81 -- 100.03 United States -- USD 0.01 6.1 1 Mar 06, 2026 5.97 0.11 -- 6.1 0.11 6.1 Mar 07, 2024 Mar 07, 2024 PR PERMIAN RESOURCES OPERATING LLC 144A Energy Fixed Income 25760.9 0.02209373123824735 25760.9 253 253 71424VAA8 US71424VAA89 -- 101.67 United States -- USD 4.23 6.72 1 Jan 15, 2032 7 5.8 -- 6.58 3.9 6.58 Sep 12, 2023 Sep 12, 2023 STA.R SRI TRANG-AGRO INDUSTRY NON-VOTING Consumer Discretionary Equity 25737.79 0.022073911040625532 25737.79 57195 57195 -- TH0254010R11 B05BPH9 0.45 Thailand Stock Exchange Of Thailand USD 0 -- 37.0175 -- 0 0 -- -- 0 -- -- Aug 20, 2001 BHF BRIGHTHOUSE FINANCIAL INC Financial Institutions Equity 25732.63 0.02206948558758665 25732.63 1650 1650 10922N889 US10922N8891 BNRLZ01 15.6 United States -- USD 13.32 7.46 1 Dec 31, 2079 4.63 13.41 -- 7.46 13.11 7.46 Nov 22, 2021 Nov 22, 2021 DTE DTE ENERGY CO Utility Equity 25730.92 0.02206801901303307 25730.92 1296 1296 233331818 US2333318184 BNQNFS6 19.86 United States -- USD 15.08 5.55 1 Dec 01, 2081 4.38 17.39 -- 5.55 17.39 5.55 Nov 24, 2021 Nov 24, 2021 PFE PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 25718.9 0.022057710108861095 25718.9 265 265 716973AC6 US716973AC67 BQ66T40 97.02 United States -- USD 3.58 5.27 1 May 19, 2028 4.45 3.59 -- 5.27 3.59 5.27 May 19, 2023 May 19, 2023 BC BRUNSWICK CORPORATION Industrial Equity 25715.53 0.022054819842050818 25715.53 1072 1072 117043604 US1170436042 BJT13Z2 23.98 United States -- USD 5.63 6.66 1 Apr 15, 2049 6.38 12.16 -- 6.66 12.16 6.66 Mar 04, 2019 Mar 04, 2019 WRB WR BERKLEY CORPORATION Financial Institutions Equity 25708.69 0.022048953543836486 25708.69 1409 1409 084423870 US0844238701 BNKBJW8 18.25 United States -- USD 15.89 5.67 1 Mar 30, 2061 4.13 15.86 -- 5.67 15.86 5.67 Feb 10, 2021 Feb 10, 2021 VENTGL VENTURE GLOBAL CALCASIEU PASS LLC 144A Energy Fixed Income 25693.58 0.022035994513716812 25693.58 296 296 92328MAB9 US92328MAB90 -- 86.77 United States -- USD 6.04 6.42 1 Aug 15, 2031 4.13 6.05 -- 6.42 6.05 6.42 Aug 05, 2021 Aug 05, 2021 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 25687.33 0.022030634226605762 25687.33 6190 6190 -- ZAG000125972 BYY9RY3 4.15 South Africa -- USD 6.08 12.43 19.06 Feb 28, 2035 8.88 6.19 -- 12.43 6.19 12.43 Feb 28, 2015 Jul 17, 2015 WYNFIN WYNN RESORTS FINANCE LLC 144A Consumer Cyclical Fixed Income 25668.04 0.022014090236466215 25668.04 254 254 983133AC3 US983133AC37 BMZMHS1 101.02 United States -- USD 5.26 6.93 1 Feb 15, 2031 7.13 5.26 -- 6.93 5.11 6.93 Feb 16, 2023 Feb 16, 2023 ATCO ATLAS CORP Industrial Equity 25618.09 0.021971250821874705 25618.09 1042 1042 -- MHY0436Q1411 BLH91G9 24.58 United States -- USD 3.33 8.17 1 Dec 31, 2079 7.88 12.25 -- 8.17 11.89 8.17 Feb 28, 2020 Feb 28, 2020 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 25546.48 0.02190983479627114 25546.48 253 253 64953BBA5 US64953BBA52 -- 100.83 United States -- USD 0.02 5.97 1 Apr 02, 2026 6.26 0.18 -- 5.97 0.18 5.97 Apr 05, 2023 Apr 05, 2023 USAC USA COMPRESSION PARTNERS LP 144A Energy Fixed Income 25473.02 0.021846832125682704 25473.02 257 257 91740PAG3 US91740PAG37 -- 99.25 United States -- USD 3.48 7.31 1 Mar 15, 2029 7.13 4.03 -- 7.31 4.03 7.31 Mar 18, 2024 Mar 18, 2024 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 25457.7 0.0218336929899161 25457.7 848590 848590 -- COL17CT03862 -- 0.03 Colombia -- USD 5.41 10.84 3970.13 Feb 09, 2033 13.25 5.19 -- 10.84 5.19 10.84 Feb 09, 2022 Jan 11, 2023 CCDJ FEDERATION DES CAISSES DESJARDINS MTN 144A Banking Fixed Income 25438.83 0.021817509211070417 25438.83 254 254 31429KAF0 US31429KAF03 -- 99.96 Canada -- USD 0.01 6.34 1 May 21, 2024 5.77 0.07 -- 6.34 0.07 6.34 May 21, 2021 May 21, 2021 GRA W R GRACE HOLDINGS LLC 144A Basic Industry Fixed Income 25405.69 0.021789086824692785 25405.69 283 283 92943GAA9 US92943GAA94 -- 89.66 United States -- USD 4.2 8.05 1 Aug 15, 2029 5.63 4.39 -- 8.05 4.39 8.05 Aug 25, 2021 Aug 25, 2021 PPT PERPETUAL LTD Financials Equity 25398.45 0.021782877468103343 25398.45 1640 1640 S66823949 AU000000PPT9 6682394 15.49 Australia Asx - All Markets USD 0 -- 1.538579890760828 -- 0 0 -- -- 0 -- -- Jan 02, 1985 YUM YUM! 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Consumer Cyclical Fixed Income 25387.12 0.021773160339628433 25387.12 283 283 988498AP6 US988498AP63 -- 89.7 United States -- USD 5.71 6.32 1 Jan 31, 2032 4.63 6.31 -- 6.32 6.31 6.32 Apr 01, 2021 Apr 01, 2021 GLENLN GLENCORE FUNDING LLC (FRN) 144A Basic Industry Fixed Income 25370.01 0.021758486017633222 25370.01 254 254 378272BW7 US378272BW77 -- 99.87 Switzerland -- USD 0.01 6.62 1 Apr 04, 2027 6.38 0.18 -- 6.62 0.18 6.62 Apr 04, 2024 Apr 04, 2024 RKTRM ROCKET MORTGAGE LLC 144A Finance Companies Fixed Income 25347.65 0.02173930905446473 25347.65 299 299 74841CAB7 US74841CAB72 BN7RYH9 84.7 United States -- USD 5.63 6.7 1 Mar 01, 2031 3.88 5.77 -- 6.7 5.77 6.7 Sep 14, 2020 Sep 14, 2020 BRBRPH BROOKFIELD BRP HOLDINGS (CANADA) I Industrial Equity 25320.65 0.021716152614144994 25320.65 1619 1619 11259P109 US11259P1093 BLFF1H0 15.64 Canada -- USD 13.07 7.53 1 Dec 31, 2079 4.63 13.29 -- 7.53 12.85 7.53 Apr 15, 2021 Apr 15, 2021 SF STIFEL FINANCIAL CORP Financial Institutions Equity 25298.42 0.02169708714494841 25298.42 1062 1062 860630870 US8606308703 BMDX0S7 23.83 United States New York Stock Exchange Inc. USD 7.03 6.47 1 Dec 31, 2079 6.13 14.96 -- 6.47 14.96 6.47 May 19, 2020 May 19, 2020 COMM COMMSCOPE TECHNOLOGIES LLC 144A Technology Fixed Income 25264.07 0.021667627006986084 25264.07 326 326 20337YAA5 US20337YAA55 BYQF2Y4 77.44 United States -- USD 1.06 30.94 1 Jun 15, 2025 6 0.94 -- 30.94 0.94 30.94 Jun 11, 2015 Jun 11, 2015 CRGYFN CRESCENT ENERGY FINANCE LLC 144A Energy Fixed Income 25259.43 0.02166364752983484 25259.43 241 241 45344LAC7 US45344LAC72 -- 105 United States -- USD 1.72 7.7 1 Feb 15, 2028 9.25 3.13 -- 7.24 2.41 7.24 Feb 01, 2023 Feb 01, 2023 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 25242.96 0.0216495221012398 25242.96 253 253 89114TZH8 US89114TZH84 -- 99.76 Canada -- USD 0.01 6.18 1 Sep 10, 2026 5.92 0.12 -- 6.18 0.12 6.18 Sep 10, 2021 Sep 10, 2021 NDAFH NORDEA BANK ABP MTN 144A Banking Fixed Income 25216.49 0.021626820213267083 25216.49 251 251 65558RAB5 US65558RAB50 -- 100.55 Finland -- USD 0.01 5.94 1 Jun 06, 2025 6.29 0.11 -- 5.94 0.11 5.94 Jun 08, 2022 Jun 08, 2022 PETM PETSMART LLC 144A Consumer Cyclical Fixed Income 25187.46 0.021601922751693675 25187.46 275 275 71677KAA6 US71677KAA60 -- 91.67 United States -- USD 3.27 7.29 1 Feb 15, 2028 4.75 3.36 -- 7.29 3.36 7.29 Feb 12, 2021 Feb 12, 2021 MEDIND MEDLINE BORROWER LP 144A Consumer Non-Cyclical Fixed Income 25143.35 0.021564091989378732 25143.35 253 253 58506DAA6 US58506DAA63 -- 99.32 United States -- USD 3.49 6.41 1 Apr 01, 2029 6.25 4.17 -- 6.41 4.17 6.41 Mar 27, 2024 Mar 27, 2024 ZFFNGR ZF NORTH AMERICA CAPITAL INC 144A Consumer Cyclical Fixed Income 25138.71 0.02156011251222749 25138.71 256 256 98877DAC9 US98877DAC92 BX41K43 98.38 Germany -- USD 0.95 6.43 1 Apr 29, 2025 4.75 0.95 -- 6.43 0.95 6.43 Apr 29, 2015 Apr 29, 2015 MORTON SCIH SALT HOLDINGS INC 144A Basic Industry Fixed Income 25124.78 0.02154816550431438 25124.78 273 273 78433BAA6 US78433BAA61 -- 92.16 United States -- USD 3.32 7.15 1 May 01, 2028 4.88 3.46 -- 7.15 3.46 7.15 Apr 27, 2021 Apr 27, 2021 AAL AMERICAN AIRLINES INC 144A Transportation Fixed Income 25103.88 0.02153024070421503 25103.88 241 241 023771T40 US023771T402 -- 104.27 United States -- USD 2.62 7.47 1 May 15, 2029 8.5 3.96 -- 7.12 2.95 7.12 Dec 04, 2023 Dec 04, 2023 FUN CEDAR FAIR LP 144A Consumer Cyclical Fixed Income 25099.24 0.021526261227063786 25099.24 251 251 150190AF3 US150190AF30 BMTRDY0 99.97 United States -- USD 0.37 5.53 1 May 01, 2025 5.5 0.95 -- 5.53 0.95 5.53 Apr 27, 2020 Apr 27, 2020 CIVI CIVITAS RESOURCES INC 144A Energy Fixed Income 25069.06 0.021500377472661945 25069.06 236 236 17888HAC7 US17888HAC79 -- 106.13 United States -- USD 3.3 7.42 1 Nov 01, 2030 8.63 4.78 -- 7.02 3.58 7.02 Oct 17, 2023 Oct 17, 2023 SWN SOUTHWESTERN ENERGY COMPANY Energy Fixed Income 25059.77 0.021492409941900083 25059.77 278 278 845467AT6 US845467AT68 -- 90.07 United States -- USD 5.67 6.39 1 Feb 01, 2032 4.75 6.23 -- 6.39 6.23 6.39 Dec 22, 2021 Dec 22, 2021 RKTRM ROCKET MORTGAGE LLC 144A Finance Companies Fixed Income 25038.87 0.021474485141800732 25038.87 273 273 77313LAA1 US77313LAA17 BP815Z9 91.82 United States -- USD 2.34 6.51 1 Oct 15, 2026 2.88 2.32 -- 6.51 2.32 6.51 Oct 05, 2021 Oct 05, 2021 GEN GEN DIGITAL INC 144A Technology Fixed Income 25036.55 0.02147249540322511 25036.55 253 253 871503AU2 US871503AU26 BYXT818 99.04 United States -- USD 0.87 6.03 1 Apr 15, 2025 5 0.93 -- 6.03 0.93 6.03 Feb 09, 2017 Feb 09, 2017 PPC PILGRIMS PRIDE CORP Consumer Non-Cyclical Fixed Income 25029.59 0.021466526187498246 25029.59 253 253 72147KAK4 US72147KAK43 -- 98.93 United States -- USD 6.76 6.4 1 Jul 01, 2033 6.25 6.76 -- 6.4 6.76 6.4 Apr 19, 2023 Apr 19, 2023 NAB NATIONAL AUSTRALIA BANK LTD MTN 144A Banking Fixed Income 25006.5 0.021446723142795183 25006.5 250 250 632525BP5 US632525BP55 -- 100.04 Australia -- USD 0.01 6.03 1 Jan 29, 2026 5.9 0.01 -- 6.03 0.01 6.03 Jan 29, 2024 Jan 29, 2024 BIP BIP BERMUDA HOLDINGS I LTD Financial Institutions Equity 24997.56 0.021439055788111536 24997.56 1406 1406 05554M100 US05554M1009 BPVC0M1 17.78 Canada -- USD 13.03 7.24 1 Dec 31, 2079 5.13 13.81 -- 7.24 13.49 7.24 Jan 21, 2022 Jan 21, 2022 VTLE VITAL ENERGY INC 144A Energy Fixed Income 24976.19 0.021420727894421433 24976.19 246 246 516806AK2 US516806AK23 -- 101.36 United States -- USD 4.47 7.64 1 Apr 15, 2032 7.88 5.83 -- 7.64 5.83 7.64 Mar 28, 2024 Mar 28, 2024 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 24966.9 0.02141276036365957 24966.9 347 347 12543DBJ8 US12543DBJ81 BMDMJ98 72 United States -- USD 4.05 15.08 1 Apr 15, 2029 6.88 3.85 -- 15.08 3.85 15.08 Feb 02, 2021 Feb 02, 2021 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 24898.7 0.021354268910703793 24898.7 13459 13459 -- TRT131130T14 BNQNWQ3 1.85 Turkey -- USD 3.57 24.14 32.526 Nov 13, 2030 11.7 3.44 -- 24.14 3.44 24.14 Nov 25, 2020 Nov 25, 2020 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 24839.56 0.021303547729944194 24839.56 1066 1066 -- PL0000108866 BYZTNT9 23.31 Poland -- USD 2.12 5.33 4.03785 Jul 25, 2026 2.5 2.06 -- 5.33 2.06 5.33 Jul 25, 2015 Sep 14, 2015 PSA PUBLIC STORAGE DEP SHS REPSTG TH Financial Institutions Equity 24804.39 0.021273384322312894 24804.39 1204 1204 74460W594 US74460W5940 BK72JQ7 20.61 United States New York Stock Exchange Inc. USD 14.13 5.72 1 Dec 31, 2079 4.7 16.89 -- 5.72 16.89 5.72 Nov 15, 2019 Nov 15, 2019 TWO TWO HARBORS INVESTMENT CORP Financial Institutions Equity 24804.39 0.021273384322312894 24804.39 1132 1132 90187B309 US90187B3096 BYZBR93 21.91 United States Non-Nms Quotation Service (Nnqs) USD 2.17 11.72 1 Dec 31, 2079 7.63 2.48 -- 11.72 2.64 11.72 Jul 19, 2017 Jul 19, 2017 AHL ASPEN INSURANCE HOLDINGS LTD Financial Institutions Equity 24789 0.021260185151330643 24789 1255 1255 -- BMG053841620 BD915N2 19.75 United States -- USD 12.21 7.16 1 Dec 31, 2079 5.63 13.98 -- 7.16 13.65 7.16 Sep 20, 2016 Sep 20, 2016 HUSKYI HUSKY IMS CANADIAN ESCROW CO-ISSUE 144A Capital Goods Fixed Income 24781.17 0.021253469783637922 24781.17 242 242 44805RAA3 US44805RAA32 -- 102.54 Canada -- USD 3.07 8.34 1 Feb 15, 2029 9 3.79 -- 8.2 3.13 8.2 Feb 12, 2024 Feb 12, 2024 KMI EL PASO ENERGY CAPITAL TRUST I Industrial Equity 24777.03 0.02124991912945556 24777.03 532 532 283678209 US2836782092 2208910 46.59 United States New York Stock Exchange Inc. USD 3.36 10.2 1 Mar 31, 2028 4.75 3.52 -- 10.2 3.52 10.2 Mar 17, 1998 Mar 17, 1998 POST POST HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 24762.6 0.02123754329857357 24762.6 283 283 737446AR5 US737446AR57 -- 87.46 United States -- USD 5.61 6.68 1 Sep 15, 2031 4.5 6.04 -- 6.68 6.04 6.68 Mar 10, 2021 Mar 10, 2021 SWEDA SWEDBANK AB MTN 144A Banking Fixed Income 24761.22 0.02123635974717945 24761.22 247 247 87020PAR8 US87020PAR82 -- 100.4 Sweden -- USD 0.01 5.95 1 Apr 04, 2025 6.23 0.19 -- 5.95 0.19 5.95 Apr 04, 2022 Apr 04, 2022 TWO TWO HARBORS INVESTMENT CORP Financial Institutions Equity 24751.39 0.02122792908761119 24751.39 1066 1066 90187B507 US90187B5075 BFNL297 23.22 United States -- USD 0.19 11.5 1 Dec 31, 2079 7.25 0.45 -- 11.5 0.66 11.5 Nov 27, 2017 Nov 27, 2017 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 24750.99 0.021227586029236082 24750.99 262 262 91911KAP7 US91911KAP75 BZ3ZWN3 94.52 United States -- USD 1.47 12.79 1 Dec 15, 2025 9 1.42 -- 12.79 1.42 12.79 Dec 18, 2017 Dec 18, 2017 RC READY CAPITAL CORP Financial Institutions Equity 24717.2 0.0211986061729989 24717.2 1015 1015 75574U606 US75574U6064 BM8C380 24.35 United States -- USD 1.56 5.99 1 Feb 15, 2026 5.75 1.7 -- 5.99 1.7 5.99 Feb 10, 2021 Feb 10, 2021 BBWI BATH & BODY WORKS INC 144A Consumer Cyclical Fixed Income 24685.99 0.021171839043281165 24685.99 249 249 501797AW4 US501797AW48 BMH1559 99.08 United States -- USD 3.75 6.8 1 Oct 01, 2030 6.63 5.14 -- 6.8 5.14 6.8 Sep 30, 2020 Sep 30, 2020 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 24667.41 0.021155903981757436 24667.41 577 577 126307BD8 US126307BD80 BM9M1M9 42.75 United States -- USD 4.87 21.06 1 Dec 01, 2030 4.63 4.5 -- 21.06 4.5 21.06 Jun 16, 2020 Jun 16, 2020 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 24655.8 0.021145946712419948 24655.8 563 563 126307BA4 US126307BA42 BKFH0Y9 43.8 United States -- USD 4.22 24.51 1 Jan 15, 2030 5.75 3.84 -- 24.51 3.84 24.51 Jul 10, 2019 Jul 10, 2019 SANTAN BANCO SANTANDER SA (FRN) Banking Fixed Income 24639.46 0.02113193277779682 24639.46 245 245 05964HBC8 US05964HBC88 -- 100.43 Spain -- USD 0.02 6.77 1 Mar 14, 2028 6.71 0.12 -- 6.72 0.12 6.72 Mar 14, 2024 Mar 14, 2024 MPEL MELCO RESORTS FINANCE LTD 144A Consumer Cyclical Fixed Income 24620.98 0.021116083480866868 24620.98 277 277 58547DAD1 US58547DAD12 -- 88.84 Macau -- USD 4.44 7.87 1 Dec 04, 2029 5.38 4.57 -- 7.87 4.57 7.87 Dec 04, 2019 Dec 04, 2019 WAL WESTERN ALLIANCE BANCORP Financial Institutions Equity 24530.87 0.021038801005414595 24530.87 1398 1398 957638406 US9576384062 BNZJSP3 17.55 United States -- USD -0.07 10.57 1 Dec 31, 2079 4.25 1.88 -- 10.57 2.07 10.57 Sep 22, 2021 Sep 22, 2021 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical Fixed Income 24504.9 0.02101652794041076 24504.9 245 245 552953CG4 US552953CG49 BL55FM3 99.98 United States -- USD 0.33 6.77 1 May 01, 2025 6.75 0.94 -- 6.77 0.94 6.77 May 04, 2020 May 04, 2020 SF STIFEL FINANCIAL CORP Financial Institutions Equity 24500.1 0.021012411239909472 24500.1 1409 1409 860630862 US8606308620 BP38124 17.39 United States -- USD 14.89 6.52 1 Dec 31, 2079 4.5 15.34 -- 6.52 14.82 6.52 Jul 22, 2021 Jul 22, 2021 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 24484.17 0.02099874894012083 24484.17 245 245 89114TZM7 US89114TZM79 -- 100.03 Canada -- USD 0.01 5.86 1 Jan 10, 2025 5.73 0.2 -- 5.86 0.2 5.86 Jan 12, 2022 Jan 12, 2022 NCLH NCL CORPORATION LTD 144A Consumer Cyclical Fixed Income 24453.82 0.02097271938590957 24453.82 251 251 62886HBE0 US62886HBE09 -- 97.38 United States -- USD 2.24 6.91 1 Feb 15, 2027 5.88 2.51 -- 6.91 2.51 6.91 Feb 18, 2022 Feb 18, 2022 CHTR CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 24387.5 0.0209158403073168 24387.5 247 247 161175AY0 US161175AY09 BZ06JV6 98.58 United States -- USD 1.14 6.1 1 Jul 23, 2025 4.91 1.17 -- 6.1 1.17 6.1 Jul 23, 2016 Dec 01, 2016 RHP RHP HOTEL PROPERTIES LP 144A Reits Fixed Income 24379.53 0.020909004869192786 24379.53 250 250 749571AK1 US749571AK15 -- 97.61 United States -- USD 4.91 6.89 1 Apr 01, 2032 6.5 6.06 -- 6.89 6.06 6.89 Mar 28, 2024 Mar 28, 2024 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 24356.52 0.020889270436164745 24356.52 1058 1058 -- PEP01000C5G4 BJ5CSV0 23.03 Peru -- USD 7.38 7.36 3.7361 Aug 12, 2034 5.4 7.45 -- 7.36 7.45 7.36 Jun 20, 2019 Jun 20, 2019 UNSEAM ALLIED UNIVERSAL HOLDCO LLC 144A Consumer Cyclical Fixed Income 24342.38 0.020877143322604704 24342.38 243 243 019576AD9 US019576AD90 -- 100.34 United States -- USD 4.23 7.81 1 Feb 15, 2031 7.88 5.12 -- 7.78 3.89 7.78 Feb 16, 2024 Feb 16, 2024 UCGIM UNICREDIT SPA MTN 144A Banking Fixed Income 24316.85 0.02085524762181349 24316.85 253 253 904678AF6 US904678AF64 BDFZC93 96.26 Italy -- USD 2.77 7.89 1 Jun 19, 2032 5.86 2.71 -- 7.21 2.76 7.21 Jun 19, 2017 Jun 19, 2017 DAR DARLING INGREDIENTS INC 144A Consumer Non-Cyclical Fixed Income 24302.92 0.02084330061390038 24302.92 251 251 237266AJ0 US237266AJ06 -- 96.82 United States -- USD 3.84 6.64 1 Jun 15, 2030 6 4.93 -- 6.64 4.93 6.64 Jun 09, 2022 Jun 09, 2022 NDAFH NORDEA BANK ABP (FRN) 144A Banking Fixed Income 24281.24 0.020824706849969572 24281.24 243 243 65558RAF6 US65558RAF64 -- 100.11 Finland -- USD 0.01 6.19 1 Mar 19, 2027 6.07 0.14 -- 6.19 0.14 6.19 Mar 19, 2024 Mar 19, 2024 CIM CHIMERA INVESTMENT CORP Financial Institutions Equity 24277.87 0.02082181658315929 24277.87 1164 1164 16934Q505 US16934Q5053 BGHCHV0 20.85 United States -- USD -0.01 12.16 1 Dec 31, 2079 7.75 1.01 -- 12.16 1.21 12.16 Sep 20, 2018 Sep 20, 2018 TRIVIU TRIVIUM PACKAGING FINANCE BV 144A Capital Goods Fixed Income 24256.48 0.020803471536550436 24256.48 248 248 89686QAA4 US89686QAA40 BK0YKJ0 97.89 Netherlands -- USD 1.73 6.49 1 Aug 15, 2026 5.5 2.11 -- 6.49 2.11 6.49 Aug 02, 2019 Aug 02, 2019 AMG AFFILIATED MANAGERS GROUP INC. Financial Institutions Equity 24214.62 0.02076757047759547 24214.62 1301 1301 008252843 US0082528433 BN0VM18 18.61 United States -- USD 13.24 6.41 1 Sep 30, 2060 4.75 14.4 -- 6.41 14.4 6.41 Sep 23, 2020 Sep 23, 2020 DTMINC DT MIDSTREAM INC 144A Energy Fixed Income 24191.48 0.020747724550595516 24191.48 268 268 23345MAA5 US23345MAA53 -- 90.31 United States -- USD 4.16 6.36 1 Jun 15, 2029 4.13 4.44 -- 6.36 4.44 6.36 Jun 09, 2021 Jun 09, 2021 PNFP PINNACLE FINANCIAL PARTNERS INC Financial Institutions Equity 24187.27 0.020744113861197514 24187.27 1036 1036 72346Q302 US72346Q3020 BMWP1Z8 23.35 United States -- USD 7.12 7.31 1 Dec 31, 2079 6.75 13.34 -- 7.31 13.34 7.31 Jun 03, 2020 Jun 03, 2020 KNTK KINETIK HOLDINGS LP 144A Energy Fixed Income 24186.83 0.020743736496984896 24186.83 251 251 49461MAA8 US49461MAA80 -- 96.25 United States -- USD 3.93 6.63 1 Jun 15, 2030 5.88 4.95 -- 6.63 4.95 6.63 Jun 08, 2022 Jun 08, 2022 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 24182.42 0.02073995427839934 24182.42 242 242 2027A0KC2 US2027A0KC26 BJBCC90 100.05 Australia -- USD 0.11 5.88 1 Jun 04, 2024 6.42 0.11 -- 5.88 0.11 5.88 Mar 04, 2019 Mar 04, 2019 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 24124.15 0.020689979249605597 24124.15 376 376 126307BH9 US126307BH94 -- 64.17 United States -- USD 5.84 11.79 1 Nov 15, 2031 4.5 5.64 -- 11.79 5.64 11.79 May 13, 2021 May 13, 2021 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 24090.36 0.020660999393368417 24090.36 6274 6274 -- ZAG000107012 BFDTGL1 3.84 South Africa -- USD 6.36 12.8 19.06 Jan 31, 2037 8.5 6.58 -- 12.8 6.58 12.8 Jan 31, 2013 Jul 19, 2013 VENTGL VENTURE GLOBAL CALCASIEU PASS LLC 144A Energy Fixed Income 24061.46 0.020636213425766922 24061.46 245 245 92328MAE3 US92328MAE30 -- 98.31 United States -- USD 4.63 6.61 1 Jan 15, 2030 6.25 4.65 -- 6.61 4.65 6.61 Jan 13, 2023 Jan 13, 2023 HLT HILTON DOMESTIC OPERATING COMPANY Consumer Cyclical Fixed Income 24056.82 0.02063223394861568 24056.82 257 257 432833AF8 US432833AF84 BKRRN37 93.59 United States -- USD 4.21 6.22 1 Jan 15, 2030 4.88 4.82 -- 6.22 4.82 6.22 Jun 20, 2019 Nov 08, 2019 COOP NATIONSTAR MORTGAGE HOLDINGS INC 144A Finance Companies Fixed Income 24056.82 0.02063223394861568 24056.82 245 245 63861CAF6 US63861CAF68 -- 98.25 United States -- USD 4.65 7.42 1 Feb 01, 2032 7.13 5.77 -- 7.42 5.77 7.42 Feb 01, 2024 Feb 01, 2024 TDG TRANSDIGM INC 144A Capital Goods Fixed Income 24052.18 0.020628254471464436 24052.18 237 237 893647BT3 US893647BT37 -- 101.43 United States -- USD 4.13 6.88 1 Dec 01, 2031 7.13 5.65 -- 6.75 3.77 6.75 Nov 28, 2023 Nov 28, 2023 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 24049.86 0.020626264732888814 24049.86 275 275 46284VAN1 US46284VAN10 -- 87.53 United States -- USD 5.37 6.82 1 Feb 15, 2031 4.5 5.62 -- 6.82 5.62 6.82 Aug 18, 2020 Aug 18, 2020 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 24039.33 0.020617233721164117 24039.33 884 884 -- PEP01000C5D1 BYYHJ96 27.2 Peru -- USD 3.68 5.92 3.7361 Aug 12, 2028 6.35 3.68 -- 5.92 3.68 5.92 Oct 07, 2016 Oct 07, 2016 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 24024.86 0.020604823584444616 24024.86 243 243 031162DP2 US031162DP23 -- 99.03 United States -- USD 3.4 5.43 1 Mar 02, 2028 5.15 3.42 -- 5.43 3.42 5.43 Mar 02, 2023 Mar 02, 2023 GEL GENESIS ENERGY LP Energy Fixed Income 24008.07 0.02059042370914949 24008.07 238 238 37185LAM4 US37185LAM46 BN717J4 100.9 United States -- USD 1.7 7.62 1 Jan 15, 2027 8 2.36 -- 7.42 1.55 7.42 Dec 17, 2020 Dec 17, 2020 ARDGRP ARDONAGH GROUP FINANCE LTD 144A Insurance Fixed Income 24003.42 0.02058643565553887 24003.42 247 247 039956AA5 US039956AA59 -- 97.06 United Kingdom -- USD 4.67 9.41 1 Feb 15, 2032 8.88 5.41 -- 9.41 5.41 9.41 Feb 16, 2024 Feb 16, 2024 URI UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 23987.17 0.02057249890905014 23987.17 276 276 911363AM1 US911363AM11 BLFGYK7 86.96 United States -- USD 5.46 6.26 1 Feb 15, 2031 3.88 5.75 -- 6.26 5.75 6.26 Aug 10, 2020 Aug 10, 2020 HWDGRP HOWDEN UK REFINANCE PLC 144A Insurance Fixed Income 23956.99 0.020546615154648302 23956.99 244 244 44287GAA4 US44287GAA40 -- 98.15 United Kingdom -- USD 4.45 7.6 1 Feb 15, 2031 7.25 5.2 -- 7.6 5.2 7.6 Feb 15, 2024 Feb 15, 2024 NCX NOVA CHEMICALS CORP 144A Owned No Guarantee Fixed Income 23952.35 0.02054263567749706 23952.35 255 255 66977WAR0 US66977WAR07 BYZQ6H9 94.05 Canada -- USD 2.74 7.43 1 Jun 01, 2027 5.25 2.73 -- 7.43 2.73 7.43 Jun 09, 2017 Jun 09, 2017 SPNT SIRIUSPOINT LTD Financial Institutions Equity 23930.85 0.020524196289835046 23930.85 946 946 -- BMG8192H1557 BMB63G7 25.31 Bermuda -- USD 1.67 11.44 1 Dec 31, 2079 8 1.12 -- 8.1 1.64 8.1 Jun 30, 2021 Jun 30, 2021 GL GLOBE LIFE INC Financial Institutions Equity 23924.01 0.020518329991620714 23924.01 1543 1543 37959E300 US37959E3009 BKP8TS9 15.5 United States -- USD 13.55 6.91 1 Jun 15, 2061 4.25 13.84 -- 6.91 13.84 6.91 Jun 14, 2021 Jun 14, 2021 BPR BROOKFIELD PROPERTIES RETAIL HOLDI 144A Reits Fixed Income 23912.88 0.020508784392333355 23912.88 247 247 11284DAA3 US11284DAA37 BJBL0T3 97 United States -- USD 1.72 7.35 1 May 15, 2026 5.75 1.85 -- 7.35 1.85 7.35 May 01, 2019 May 01, 2019 PFGC PERFORMANCE FOOD GROUP INC 144A Consumer Non-Cyclical Fixed Income 23901.27 0.020498827122995868 23901.27 248 248 69346VAA7 US69346VAA70 BKWG6T6 96.33 United States -- USD 2.53 6.7 1 Oct 15, 2027 5.5 3.09 -- 6.7 3.09 6.7 Sep 27, 2019 Sep 27, 2019 TEVA TEVA PHARMACEUTICAL FINANCE NETHER Consumer Non-Cyclical Fixed Income 23896.63 0.020494847645844624 23896.63 250 250 88167AAP6 US88167AAP66 BM92G79 95.52 Israel -- USD 2.68 6.39 1 May 09, 2027 4.75 2.71 -- 6.39 2.71 6.39 Nov 09, 2021 Nov 09, 2021 ARGID ARDAGH PACKAGING FINANCE PLC 144A Capital Goods Fixed Income 23852.52 0.020457016883529678 23852.52 291 291 03969AAN0 US03969AAN00 BK5HL35 81.94 United States -- USD 2.12 13.5 1 Aug 15, 2026 4.13 2.03 -- 13.5 2.03 13.5 Aug 12, 2019 Aug 12, 2019 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 23845.38 0.020450893291534017 23845.38 238 238 743672AE7 US743672AE71 -- 100.23 United States -- USD 0.01 6.06 1 Apr 10, 2026 6.02 0.2 -- 6.06 0.2 6.06 Apr 10, 2024 Apr 10, 2024 DDS DILLARDS CAP TR I CAP SECS 7.5% Industrial Equity 23823.15 0.020431827822337434 23823.15 931 931 25406P200 US25406P2002 2613741 25.58 United States New York Stock Exchange Inc. USD 0.68 7.46 1 Aug 01, 2038 7.5 8.58 -- 0.66 0.08 0.66 Aug 12, 1998 Aug 12, 1998 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 23812.02 0.020422282223050075 23812.02 1679 1679 -- CND100037XX3 BKPTYX2 14.18 China -- USD 2.92 1.93 7.24715 Jun 04, 2027 2.85 2.89 -- 1.93 2.89 1.93 Jun 04, 2020 Jun 04, 2020 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 23786.61 0.02040048943977139 23786.61 248 248 92343VER1 US92343VER15 BGDQ891 95.81 United States -- USD 3.94 5.41 1 Sep 21, 2028 4.33 3.93 -- 5.41 3.93 5.41 Jun 21, 2018 Oct 22, 2018 STCITY STUDIO CITY FINANCE LTD 144A Consumer Cyclical Fixed Income 23757.33 0.020375377566713544 23757.33 276 276 86389QAG7 US86389QAG73 -- 86.06 Macau -- USD 4.02 8.66 1 Jan 15, 2029 5 3.98 -- 8.66 3.98 8.66 Jan 14, 2021 Jan 14, 2021 UNSEAM ALLIED UNIVERSAL HOLDCO LLC 144A Consumer Cyclical Fixed Income 23755.01 0.020373387828137923 23755.01 240 240 019576AB3 US019576AB35 BJYCQ84 98.96 United States -- USD 1.5 10.13 1 Jul 15, 2027 9.75 2.63 -- 10.13 2.63 10.13 Jul 12, 2019 Jul 12, 2019 EQM EQM MIDSTREAM PARTNERS LP 144A Energy Fixed Income 23755.01 0.020373387828137923 23755.01 262 262 26885BAL4 US26885BAL45 -- 90.52 United States -- USD 5.49 6.51 1 Jan 15, 2031 4.75 5.52 -- 6.51 5.52 6.51 Jan 08, 2021 Jan 08, 2021 GEN GEN DIGITAL INC 144A Technology Fixed Income 23717.86 0.02034152628154984 23717.86 237 237 668771AK4 US668771AK49 -- 100.17 United States -- USD 2.38 6.69 1 Sep 30, 2027 6.75 3.01 -- 6.67 2.2 6.67 Sep 19, 2022 Sep 19, 2022 HLT HILTON DOMESTIC OPERATING COMPANY 144A Consumer Cyclical Fixed Income 23706.25 0.020331569012212357 23706.25 272 272 432833AL5 US432833AL52 BNDLGZ7 87.12 United States -- USD 5.5 6.3 1 May 01, 2031 4 5.8 -- 6.3 5.8 6.3 Dec 01, 2020 Dec 01, 2020 VST VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 23678.39 0.020307674996386138 23678.39 243 243 92840VAA0 US92840VAA08 BFXKZR3 97.3 United States -- USD 1.87 6.76 1 Sep 01, 2026 5.5 2.15 -- 6.76 2.15 6.76 Aug 22, 2018 Aug 22, 2018 AIZ ASSURANT INC Financial Institutions Equity 23660.75 0.02029254612204391 23660.75 1139 1139 04621X306 US04621X3061 BLD4BS0 20.78 United States -- USD 14.48 6.33 1 Jan 15, 2061 5.25 14.45 -- 6.33 14.45 6.33 Nov 19, 2020 Nov 19, 2020 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 23645.89 0.02027980150340868 23645.89 249 249 1248EPCT8 US1248EPCT83 -- 94.89 United States -- USD 4.48 8.37 1 Mar 01, 2031 7.38 5.18 -- 8.37 5.18 8.37 Feb 13, 2023 Feb 13, 2023 TNOTE TREASURY NOTE (OLD) Treasuries Fixed Income 23644.58 0.020278677987230206 23644.58 239 239 91282CKH3 US91282CKH33 BQV12S5 99.06 United States -- USD 1.82 5.01 1 Mar 31, 2026 4.5 1.82 -- 5.01 1.82 5.01 Mar 31, 2024 Apr 01, 2024 FTAI FORTRESS TRANSPORTATION AND INFRAS 144A Finance Companies Fixed Income 23592.49 0.02023400321033187 23592.49 246 246 34960PAD3 US34960PAD33 -- 95.86 United States -- USD 2.95 6.69 1 May 01, 2028 5.5 3.44 -- 6.69 3.44 6.69 Apr 12, 2021 Apr 12, 2021 MADIAQ MADISON IAQ LLC 144A Capital Goods Fixed Income 23557.67 0.020204139978778787 23557.67 258 258 55760LAB3 US55760LAB36 -- 91.41 United States -- USD 3.96 7.93 1 Jun 30, 2029 5.88 4.25 -- 7.93 4.25 7.93 Jun 21, 2021 Jun 21, 2021 ABIBB ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 23544.86 0.02019315353431598 23544.86 240 240 035240AQ3 US035240AQ30 BJ52100 98.11 Belgium -- USD 4.07 5.2 1 Jan 23, 2029 4.75 4.14 -- 5.2 4.14 5.2 Jan 23, 2019 Jan 23, 2019 ACI ALBERTSONS COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 23541.42 0.02019020323229006 23541.42 255 255 013092AE1 US013092AE14 -- 92.32 United States -- USD 4.47 6.48 1 Feb 15, 2030 4.88 4.88 -- 6.48 4.88 6.48 Feb 05, 2020 Feb 05, 2020 STGW STAGWELL GLOBAL LLC 144A Communications Fixed Income 23499.63 0.020154362208550734 23499.63 263 263 59565JAA9 US59565JAA97 BMY8TS4 89.28 United States -- USD 4.23 8.15 1 Aug 15, 2029 5.63 4.38 -- 8.15 4.38 8.15 Aug 20, 2021 Aug 20, 2021 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN 144A Banking Fixed Income 23464.22 0.020123992965894368 23464.22 234 234 05252ADK4 US05252ADK43 -- 100.1 Australia -- USD 0.01 5.98 1 Mar 18, 2026 5.89 0.14 -- 5.98 0.14 5.98 Mar 18, 2024 Mar 18, 2024 OAK OAKTREE CAPITAL GROUP LLC Financial Institutions Equity 23392.37 0.02006237110526574 23392.37 1088 1088 674001409 US6740014096 BG4SNK2 21.5 United States -- USD 9.62 7.68 1 Dec 31, 2079 6.55 13.02 -- 7.68 12.72 7.68 Aug 09, 2018 Aug 09, 2018 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 23349.28 0.020025415141807317 23349.28 4552 4552 -- MX0MGO0000J5 B44NND6 5.13 Mexico -- USD 7.53 9.99 17.2605 Nov 18, 2038 8.5 7.62 -- 9.99 7.62 9.99 Dec 24, 2008 Jan 29, 2009 ALTICE ALTICE FINANCING SA 144A Communications Fixed Income 23344.08 0.020020955382930923 23344.08 294 294 02154CAF0 US02154CAF05 BKP87R4 79.4 Luxembourg -- USD 3.28 12.02 1 Jan 15, 2028 5 3.16 -- 12.02 3.16 12.02 Jan 22, 2020 Jan 22, 2020 UBER UBER TECHNOLOGIES INC 144A Consumer Cyclical Fixed Income 23318.54 0.01999905110568033 23318.54 229 229 90353TAE0 US90353TAE01 BKPQNG9 101.75 United States -- USD 1.21 6.91 1 Sep 15, 2027 7.5 2.93 -- 6.16 1.3 6.16 Sep 17, 2019 Sep 17, 2019 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 23295.35 0.01997916229638349 23295.35 1590 1590 -- CND1000291L3 -- 14.65 China -- USD 4.62 2 7.24715 May 23, 2029 3.29 4.62 -- 2 4.62 2 May 23, 2019 May 22, 2019 FBRT FRANKLIN BSP REALTY TRUST CUMULA Financial Institutions Equity 23293.22 0.019977335510536043 23293.22 1155 1155 35243J200 US35243J2006 BNKDZ48 20.17 United States New York Stock Exchange Inc. USD 0 -- 1 Dec 31, 2079 7.5 0 -- -- 0 -- Oct 19, 2021 Oct 19, 2021 139130 DGB FINANCIAL GROUP Financials Equity 23281.82 0.01996755834684549 23281.82 3804 3804 -- KR7139130009 B68N347 6.12 Korea (South) Korea Exchange (Stock Market) USD 0 -- 1375 -- 0 0 -- -- 0 -- -- Mar 16, 1989 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 23258.18 0.019947283596876652 23258.18 232 232 46284VAP6 US46284VAP67 -- 100.39 United States -- USD 3.03 6.9 1 Feb 15, 2029 7 3.97 -- 6.86 2.87 6.86 May 15, 2023 May 15, 2023 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 23233.03 0.01992571380154179 23233.03 233 233 95000U3E1 US95000U3E14 -- 99.51 United States -- USD 3.65 5.93 1 Jul 25, 2029 5.57 3.68 -- 5.7 3.69 5.7 Jul 25, 2023 Jul 25, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 23228.08 0.019921468454149837 23228.08 1360 1360 -- CND10003N750 BMC3TQ9 17.08 China -- USD 17.45 2.57 7.24715 Sep 14, 2050 3.81 17.63 -- 2.57 17.63 2.57 Sep 14, 2020 Sep 14, 2020 EQH EQUITABLE HOLDINGS INC Financial Institutions Equity 23183.81 0.01988350046848485 23183.81 1320 1320 29452E408 US29452E4089 BMF1DS0 17.56 United States -- USD 15.91 6.16 1 Dec 31, 2079 4.3 16.22 -- 6.16 15.58 6.16 Jan 08, 2021 Jan 08, 2021 SPLS STAPLES INC 144A Consumer Cyclical Fixed Income 23174.6 0.019875601549398006 23174.6 249 249 855030AP7 US855030AP77 BK0L4Q6 93.1 United States -- USD 2.49 13.65 1 Apr 15, 2027 10.75 2.43 -- 13.65 2.43 13.65 Apr 16, 2019 Apr 16, 2019 TGNA TEGNA INC Communications Fixed Income 23160.67 0.019863654541484897 23160.67 266 266 87901JAH8 US87901JAH86 BMXC0P1 86.97 United States -- USD 4.5 8.02 1 Sep 15, 2029 5 4.53 -- 8.02 4.53 8.02 Sep 13, 2019 Sep 13, 2019 WYNMAC WYNN MACAU LTD 144A Consumer Cyclical Fixed Income 23125.84 0.019833782733472437 23125.84 240 240 98313RAG1 US98313RAG11 -- 96.38 Macau -- USD 1.6 7.78 1 Jan 15, 2026 5.5 1.58 -- 7.78 1.58 7.78 Jun 19, 2020 Jun 19, 2020 ACRISU ACRISURE LLC 144A Insurance Fixed Income 23095.66 0.0198078989790706 23095.66 232 232 00489LAK9 US00489LAK98 -- 99.44 United States -- USD 3.35 8.39 1 Feb 01, 2029 8.25 3.8 -- 8.39 3.8 8.39 Jan 30, 2024 Jan 30, 2024 CVNA CARVANA CO 144A Consumer Cyclical Fixed Income 23009.76 0.01973422719301633 23009.76 237 237 146869AL6 US146869AL63 2KXXCJ7 97.13 United States -- USD 2.87 12.84 1 Dec 01, 2028 12 3.35 -- 12.84 3.35 12.84 Sep 01, 2023 Sep 01, 2023 SEVN SEVEN HILLS REALTY TRUST Financials Equity 22972.15 0.019701971129296877 22972.15 1892 1892 81784E101 US81784E1010 BMWDGS0 12.14 United States NASDAQ USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 22959.6 0.019691207672777888 22959.6 4834 4834 -- MX0MGO000102 BDH3PR4 4.75 Mexico -- USD 8.9 9.99 17.2605 Nov 07, 2047 8 9.02 -- 9.99 9.02 9.99 Feb 23, 2017 Mar 10, 2017 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 22926.18 0.019662545145537683 22926.18 290 290 1248EPCQ4 US1248EPCQ45 -- 78.99 United States -- USD 6.11 8.5 1 Feb 01, 2032 4.75 6.06 -- 8.5 6.06 8.5 Jan 19, 2022 Jan 19, 2022 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 22898.32 0.019638651129711467 22898.32 227 227 36168QAQ7 US36168QAQ73 -- 100.86 Canada -- USD 4.12 6.59 1 Jan 15, 2031 6.75 5.25 -- 6.53 3.92 6.53 Dec 06, 2023 Dec 06, 2023 SF STIFEL FINANCIAL CORP Financial Institutions Equity 22882.94 0.019625460535188596 22882.94 1042 1042 860630607 US8606306079 BD9FPT0 21.97 United States -- USD 11.98 5.93 1 Oct 15, 2047 5.2 12.77 -- 5.93 12.77 5.93 Oct 04, 2017 Oct 04, 2017 LTH LIFE TIME INC 144A Consumer Cyclical Fixed Income 22875.11 0.01961874516749587 22875.11 233 233 53190FAA3 US53190FAA30 -- 98.3 United States -- USD 1.4 6.81 1 Jan 15, 2026 5.75 1.59 -- 6.81 1.59 6.81 Jan 22, 2021 Jan 22, 2021 SNV SYNOVUS FINANCIAL CORP. Financial Institutions Equity 22826.53 0.0195770807278391 22826.53 916 916 87161C600 US87161C6003 BG1FRQ0 24.92 United States -- USD 0.15 9.28 1 Dec 31, 2079 8.95 0.04 -- 9.28 0.15 9.28 Jun 21, 2018 Jun 21, 2018 PCG PG&E CORPORATION Electric Fixed Income 22817.07 0.019568967397267815 22817.07 245 245 69331CAJ7 US69331CAJ71 BLCC408 93.27 United States -- USD 4.46 6.59 1 Jul 01, 2030 5.25 5.07 -- 6.59 5.07 6.59 Jun 23, 2020 Jun 23, 2020 NYLIFE NEW YORK LIFE GLOBAL FUNDING 144A Insurance Fixed Income 22735.43 0.019498949182908436 22735.43 227 227 64952WEC3 US64952WEC38 BP09JK4 100 United States -- USD 0 5.61 1 Apr 26, 2024 5.66 0 -- 5.61 0 5.61 Apr 27, 2021 Apr 27, 2021 BMCAUS STANDARD BUILDING SOLUTIONS INC 144A Capital Goods Fixed Income 22717.24 0.01948334860330044 22717.24 243 243 853496AD9 US853496AD99 BDZ79F4 93.52 United States -- USD 3.08 6.75 1 Jan 15, 2028 4.75 3.29 -- 6.75 3.29 6.75 Dec 18, 2017 Dec 18, 2017 IQV IQVIA INC 144A Consumer Non-Cyclical Fixed Income 22700.98 0.01946940328035233 22700.98 233 233 449934AD0 US449934AD05 BD91587 97.47 United States -- USD 1.9 6.12 1 Oct 15, 2026 5 2.28 -- 6.12 2.28 6.12 Sep 28, 2016 Sep 28, 2016 CRK COMSTOCK RESOURCES INC 144A Energy Fixed Income 22694.02 0.019463434064625466 22694.02 252 252 205768AT1 US205768AT12 -- 90.06 United States -- USD 4.43 8.08 1 Jan 15, 2030 5.88 4.62 -- 8.08 4.62 8.08 Jun 28, 2021 Jun 28, 2021 MIK MICHAELS COMPANIES INC 144A Consumer Cyclical Fixed Income 22680.09 0.019451487056712357 22680.09 322 322 55916AAB0 US55916AAB08 -- 70.5 United States -- USD 3.77 16.81 1 May 01, 2029 7.88 3.56 -- 16.81 3.56 16.81 Apr 15, 2021 Apr 15, 2021 SPR SPIRIT AEROSYSTEMS INC 144A Capital Goods Fixed Income 22610.44 0.019391752017146817 22610.44 209 209 85205TAN0 US85205TAN00 -- 108.38 United States -- USD 2.05 7.51 1 Nov 30, 2029 9.38 4.22 -- 6.59 1.43 6.59 Nov 23, 2022 Nov 23, 2022 PCG PG&E CORPORATION Electric Fixed Income 22603.48 0.019385782801419952 22603.48 239 239 69331CAH1 US69331CAH16 BLCC3Z6 94.46 United States -- USD 3.24 6.53 1 Jul 01, 2028 5 3.63 -- 6.53 3.63 6.53 Jun 23, 2020 Jun 23, 2020 RILY B. RILEY FINANCIAL INC Financial Institutions Equity 22542.76 0.01933370654007868 22542.76 1237 1237 05580M835 US05580M8358 BNDN5T0 18.22 United States -- USD 3.14 8.4 1 Jan 31, 2028 6 3.12 -- 8.4 3.12 8.4 Jan 25, 2021 Jan 25, 2021 MPEL MELCO RESORTS FINANCE LTD 144A Consumer Cyclical Fixed Income 22517.58 0.01931211101536568 22517.58 231 231 58547DAA7 US58547DAA72 BYZQ5Q1 97.4 Macau -- USD 1.05 7.34 1 Jun 06, 2025 4.88 1.04 -- 7.34 1.04 7.34 Jun 06, 2017 Jun 06, 2017 BAC BANK OF AMERICA CORPORATION PFD 1 Financial Institutions Equity 22494.89 0.019292651029037728 22494.89 1013 1013 060505583 US0605055831 B1VN1F6 22.2 United States New York Stock Exchange Inc. USD 0.49 7.12 1 Dec 31, 2079 6.08 16.14 -- 7.12 16.14 7.12 Mar 20, 2007 Mar 20, 2007 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 22490.48 0.019288868810452168 22490.48 1124524 1124524 -- COL17CT03771 BP38168 0.02 Colombia -- USD 5.25 10.41 3970.13 Mar 26, 2031 7 5.03 -- 10.41 5.03 10.41 Mar 26, 2021 Jun 23, 2021 POST POST HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 22459.53 0.01926232466867825 22459.53 228 228 737446AU8 US737446AU86 -- 98.58 United States -- USD 4.71 6.48 1 Feb 15, 2032 6.25 6.02 -- 6.48 6.02 6.48 Feb 20, 2024 Feb 20, 2024 BALL BALL CORPORATION Capital Goods Fixed Income 22443.28 0.01924838792218952 22443.28 226 226 058498AZ9 US058498AZ97 -- 99.52 United States -- USD 3.52 6.11 1 Jun 15, 2029 6 4.28 -- 6.11 4.28 6.11 May 11, 2023 May 11, 2023 POST POST HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 22403.81 0.01921453663702582 22403.81 231 231 737446AN4 US737446AN44 BD2BTD7 97 United States -- USD 2.59 6.54 1 Jan 15, 2028 5.63 3.25 -- 6.54 3.25 6.54 Dec 01, 2017 Dec 01, 2017 BLDR BUILDERS FIRSTSOURCE INC 144A Capital Goods Fixed Income 22401.49 0.019212546898450197 22401.49 230 230 12008RAS6 US12008RAS67 -- 97.45 United States -- USD 6.11 6.73 1 Mar 01, 2034 6.38 7.12 -- 6.73 7.12 6.73 Feb 29, 2024 Feb 29, 2024 NFE NEW FORTRESS ENERGY INC 144A Energy Fixed Income 22389.88 0.01920258962911271 22389.88 226 226 644393AA8 US644393AA81 -- 98.88 United States -- USD 1.12 7.61 1 Sep 15, 2025 6.75 1.29 -- 7.61 1.29 7.61 Sep 02, 2020 Sep 02, 2020 TROX TRONOX INC 144A Basic Industry Fixed Income 22357.38 0.01917471613613525 22357.38 252 252 897051AC2 US897051AC29 BNQPRV9 88.78 United States -- USD 4.11 7.4 1 Mar 15, 2029 4.63 4.22 -- 7.4 4.22 7.4 Mar 15, 2021 Mar 15, 2021 PARA PARAMOUNT GLOBAL Communications Fixed Income 22357.38 0.01917471613613525 22357.38 245 245 92556HAE7 US92556HAE71 BMXHJH1 91.37 United States -- USD 2.63 9.15 1 Mar 30, 2062 6.38 2.38 -- 9.83 2.57 9.83 Mar 29, 2022 Mar 29, 2022 PSA PUBLIC STORAGE DEP SHS REPSTG PF Financial Institutions Equity 22356.43 0.019173901372494372 22356.43 1316 1316 74460W511 US74460W5114 BLFKCL6 16.99 United States New York Stock Exchange Inc. USD 17.02 5.72 1 Dec 31, 2079 3.88 17.14 -- 5.72 17.14 5.72 Oct 06, 2020 Oct 06, 2020 CODI COMPASS GROUP DIVERSIFIED HOLDINGS 144A Brokerage/Asset Managers/Exchanges Fixed Income 22313.27 0.019136885373820304 22313.27 240 240 20451RAB8 US20451RAB87 BMDB423 93.07 United States -- USD 3.79 6.92 1 Apr 15, 2029 5.25 4.26 -- 6.92 4.26 6.92 Mar 23, 2021 Mar 23, 2021 PSA PUBLIC STORAGE Financial Institutions Equity 22294.89 0.01912112184148413 22294.89 1070 1070 74460W578 US74460W5783 BKSD8W8 20.83 United States -- USD 14.25 5.72 1 Dec 31, 2079 4.75 17.47 -- 5.72 16.67 5.72 Dec 20, 2019 Dec 20, 2019 BYD BOYD GAMING CORPORATION Consumer Cyclical Fixed Income 22290.05 0.019116970835145332 22290.05 235 235 103304BU4 US103304BU40 -- 94.75 United States -- USD 2.82 6.41 1 Dec 01, 2027 4.75 3.18 -- 6.41 3.18 6.41 Jun 01, 2020 Aug 14, 2020 ABR ARBOR REALTY TRUST INC Financial Institutions Equity 22247.02 0.019080066330443176 22247.02 1196 1196 038923850 US0389238504 BLR4KW3 18.6 United States -- USD 0.7 13.27 1 Dec 31, 2079 6.25 8.5 -- 13.27 8.5 13.27 Oct 12, 2021 Oct 12, 2021 EQM EQM MIDSTREAM PARTNERS LP 144A Energy Fixed Income 22227.37 0.019063213587766033 22227.37 223 223 26885BAH3 US26885BAH33 -- 99.88 United States -- USD 2.58 6.54 1 Jul 01, 2027 6.5 2.78 -- 6.54 2.78 6.54 Jun 18, 2020 Jun 18, 2020 MAGLLC LCM INVESTMENTS HOLDINGS II LLC 144A Consumer Cyclical Fixed Income 22227.37 0.019063213587766033 22227.37 216 216 50190EAC8 US50190EAC84 -- 103.1 United States -- USD 3.67 7.68 1 Aug 01, 2031 8.25 5.33 -- 7.39 3.5 7.39 Jul 26, 2023 Jul 26, 2023 C CITIGROUP INC Banking Fixed Income 22216.95 0.019054276917094493 22216.95 231 231 172967KA8 US172967KA87 BY7RB31 96.14 United States -- USD 3.13 5.7 1 Sep 29, 2027 4.45 3.11 -- 5.7 3.11 5.7 Sep 29, 2015 Sep 29, 2015 HASI HAT HOLDINGS I LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 22206.48 0.019045297364126062 22206.48 240 240 418751AE3 US418751AE33 -- 92.49 United States -- USD 2 7.22 1 Jun 15, 2026 3.38 1.98 -- 7.22 1.98 7.22 Jun 28, 2021 Jun 28, 2021 TEVA TEVA PHARMACEUTICAL FINANCE NETHER Consumer Non-Cyclical Fixed Income 22204.15 0.01904329904909106 22204.15 235 235 88167AAQ4 US88167AAQ40 -- 94.47 Israel -- USD 4.22 6.43 1 May 09, 2029 5.13 4.24 -- 6.43 4.24 6.43 Nov 09, 2021 Nov 09, 2021 PFGC PERFORMANCE FOOD GROUP INC 144A Consumer Non-Cyclical Fixed Income 22194.87 0.019035340094788574 22194.87 249 249 71376LAE0 US71376LAE02 -- 89.13 United States -- USD 4.33 6.73 1 Aug 01, 2029 4.25 4.54 -- 6.73 4.54 6.73 Jul 26, 2021 Jul 26, 2021 BFH BREAD FINANCIAL HOLDINGS INC 144A Finance Companies Fixed Income 22183.26 0.01902538282545109 22183.26 216 216 018581AP3 US018581AP34 -- 102.54 United States -- USD 3.18 9.09 1 Mar 15, 2029 9.75 3.8 -- 8.96 3.16 8.96 Dec 22, 2023 Dec 22, 2023 MIDCAP MIDCAP FINANCIAL ISSUER TRUST 144A Finance Companies Fixed Income 22164.69 0.019009456340386737 22164.69 249 249 59567LAA2 US59567LAA26 -- 89.11 United States -- USD 3.32 9.85 1 May 01, 2028 6.5 3.29 -- 9.85 3.29 9.85 Apr 29, 2021 Apr 29, 2021 WRB WR BERKLEY CORPORATION Financial Institutions Equity 22151.29 0.018997963884820647 22151.29 1179 1179 084423888 US0844238883 BN0W233 18.79 United States -- USD 14.61 5.68 1 Sep 30, 2060 4.25 15.74 -- 5.68 15.74 5.68 Sep 21, 2020 Sep 21, 2020 MS MORGAN STANLEY MTN Banking Fixed Income 22150.38 0.018997183427017277 22150.38 226 226 61747YFD2 US61747YFD22 -- 98.2 United States -- USD 3.53 5.9 1 Apr 20, 2029 5.16 3.54 -- 5.68 3.55 5.68 Apr 21, 2023 Apr 21, 2023 SLM SLM CORP Financial Institutions Equity 22146.16 0.018993564161159895 22146.16 290 290 78442P502 US78442P5026 B0B87Z6 76.24 United States NASDAQ USD -4.3 9.94 1 Dec 31, 2079 7.29 0.03 -- 9.94 0.05 9.94 Jun 08, 2005 Jun 08, 2005 ANIM ANIMA HOLDING Financials Equity 22142 0.01898999635405878 22142 4782 4782 -- IT0004998065 BLLJ381 4.63 Italy Borsa Italiana USD 0 -- 0.933445346774946 -- 0 0 -- -- 0 -- -- Apr 16, 2014 FYBR FRONTIER COMMUNICATIONS HOLDINGS L 144A Communications Fixed Income 22141.47 0.018989541801711765 22141.47 254 254 35906ABG2 US35906ABG22 BMF4PV6 87.17 United States -- USD 3.95 10.07 1 May 01, 2029 6.75 3.93 -- 10.07 3.93 10.07 Nov 25, 2020 Nov 25, 2020 NRG NRG ENERGY INC 144A Electric Fixed Income 22106.65 0.01895967857015868 22106.65 264 264 629377CR1 US629377CR16 -- 83.88 United States -- USD 5.67 6.6 1 Feb 15, 2031 3.63 5.77 -- 6.6 5.77 6.6 Dec 02, 2020 Dec 02, 2020 LNW LIGHT AND WONDER INTERNATIONAL INC 144A Consumer Cyclical Fixed Income 22076.46 0.01893378623929747 22076.46 220 220 80874YBC3 US80874YBC30 BL0KTF4 100.38 United States -- USD 1.58 6.89 1 May 15, 2028 7 3.38 -- 6.61 0.97 6.61 Nov 26, 2019 Nov 26, 2019 JEFFIN JEFFERIES FINANCE LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 22067.18 0.01892582728499498 22067.18 245 245 47232MAF9 US47232MAF95 -- 89.91 United States -- USD 3.66 7.8 1 Aug 15, 2028 5 3.72 -- 7.8 3.72 7.8 Aug 03, 2021 Aug 03, 2021 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 22058.47 0.018918357188877022 22058.47 1102924 1102924 -- COL17CT03490 BD446H7 0.02 Colombia -- USD 5.55 10.62 3970.13 Jun 30, 2032 7 5.31 -- 10.62 5.31 10.62 Jun 30, 2016 Jun 30, 2016 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 21997.59 0.018866143704185705 21997.59 4680 4680 -- MX0MGO0001E4 BQ3QK28 4.7 Mexico -- USD 9.47 9.99 17.2605 Jul 31, 2053 8 9.59 -- 9.99 9.59 9.99 Mar 10, 2022 Mar 10, 2002 MAGLLC LCM INVESTMENTS HOLDINGS II LLC 144A Consumer Cyclical Fixed Income 21930.2 0.01880834694443952 21930.2 241 241 50190EAA2 US50190EAA29 -- 91 United States -- USD 3.94 7.03 1 May 01, 2029 4.88 4.22 -- 7.03 4.22 7.03 Apr 27, 2021 Apr 27, 2021 TGNA TEGNA INC Communications Fixed Income 21920.91 0.018800379413677657 21920.91 242 242 87901JAJ4 US87901JAJ43 -- 90.51 United States -- USD 3.39 7.48 1 Mar 15, 2028 4.63 3.44 -- 7.48 3.44 7.48 Jan 09, 2020 Jan 09, 2020 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 21911.63 0.01879242045937517 21911.63 239 239 46284VAF8 US46284VAF85 BJ9TC37 91.51 United States -- USD 4.27 6.78 1 Sep 15, 2029 4.88 4.59 -- 6.78 4.59 6.78 Sep 09, 2019 Sep 09, 2019 ATH ATHENE GLOBAL FUNDING FRN MTN 144A Insurance Fixed Income 21911.35 0.018792180318512593 21911.35 219 219 04685A3H2 US04685A3H29 -- 99.99 United States -- USD 0.01 6.23 1 Jan 07, 2025 6.03 0.19 -- 6.23 0.19 6.23 Jan 07, 2022 Jan 07, 2022 MBONO MEXICO (UNITED MEXICAN STATES) Treasuries Fixed Income 21906.55 0.01878806361801131 21906.55 3810 3810 -- MX0MGO000078 B05QN14 5.75 Mexico -- USD 0.56 11.2 17.2605 Dec 05, 2024 10 0.57 -- 11.2 0.57 11.2 Dec 30, 2004 Jan 20, 2005 UNIT UNITI GROUP LP 144A Communications Fixed Income 21904.66 0.018786442667188926 21904.66 280 280 91327BAA8 US91327BAA89 -- 78.35 United States -- USD 3.96 12.64 1 Feb 15, 2029 6.5 3.81 -- 12.64 3.81 12.64 Feb 02, 2021 Feb 02, 2021 BTECN BAYTEX ENERGY CORP 144A Energy Fixed Income 21886.09 0.018770516182124577 21886.09 211 211 07317QAJ4 US07317QAJ40 -- 103.9 Canada -- USD 3.16 7.68 1 Apr 30, 2030 8.5 4.5 -- 7.36 3.24 7.36 Apr 27, 2023 Apr 27, 2023 COMM COMMSCOPE INC 144A Technology Fixed Income 21867.52 0.018754589697060224 21867.52 315 315 203372AX5 US203372AX50 -- 69.47 United States -- USD 4.51 12.8 1 Sep 01, 2029 4.75 4.33 -- 12.8 4.33 12.8 Aug 23, 2021 Aug 23, 2021 WCC WESCO DISTRIBUTION INC 144A Capital Goods Fixed Income 21839.66 0.01873069568123401 21839.66 220 220 95081QAQ7 US95081QAQ73 -- 99.2 United States -- USD 3.47 6.57 1 Mar 15, 2029 6.38 4.1 -- 6.57 4.1 6.57 Mar 07, 2024 Mar 07, 2024 DHC DIVERSIFIED HEALTHCARE .625% SENIO Financial Institutions Equity 21814.53 0.018709143038817898 21814.53 1653 1653 25525P206 US25525P2065 BKRTG67 13.2 United States NASDAQ USD 8.22 10.93 1 Aug 01, 2042 5.63 8.22 -- 10.93 8.22 10.93 Jul 20, 2012 Jul 17, 2012 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 21761.47 0.01866363634535993 21761.47 230 230 38141GWZ3 US38141GWZ35 BFXTLV6 94.74 United States -- USD 3.53 5.87 1 May 01, 2029 4.22 4.33 -- 5.71 3.55 5.71 Apr 23, 2018 Apr 23, 2018 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 21749.11 0.018653035841569115 21749.11 239 239 126307BM8 US126307BM89 -- 91.1 United States -- USD 3.04 14.2 1 May 15, 2028 11.25 2.95 -- 14.2 2.95 14.2 Apr 25, 2023 Apr 25, 2023 YUM YUM! BRANDS INC. Consumer Cyclical Fixed Income 21742.15 0.01864706662584225 21742.15 231 231 988498AR2 US988498AR20 -- 94.11 United States -- USD 5.38 6.33 1 Apr 01, 2032 5.38 6.29 -- 6.33 6.29 6.33 Apr 01, 2022 Apr 01, 2022 NWSA NEWS CORP 144A Communications Fixed Income 21721.25 0.0186291418257429 21721.25 244 244 65249BAA7 US65249BAA70 -- 89.18 United States -- USD 4.19 6.41 1 May 15, 2029 3.88 4.38 -- 6.41 4.38 6.41 Apr 15, 2021 Apr 15, 2021 DLR DIGITAL REALTY TRUST INC Financial Institutions Equity 21703.41 0.01861384142221312 21703.41 939 939 253868830 US2538688308 BJR2164 23.12 United States -- USD 9.43 6.36 1 Dec 31, 2079 5.85 15.73 -- 6.36 15.19 6.36 Mar 13, 2019 Mar 13, 2019 ENDENR ENDEAVOR ENERGY RESOURCES LP/ EER 144A Energy Fixed Income 21686.43 0.01859927859418982 21686.43 213 213 29260FAE0 US29260FAE07 BD2BVX1 101.75 United States -- USD 0.96 5.23 1 Jan 30, 2028 5.75 3.31 -- 4.7 1.64 4.7 Dec 07, 2017 Dec 07, 2017 CMS CMS ENERGY CORPORATION Utility Equity 21681.19 0.018594784529475914 21681.19 926 926 125896860 US1258968601 BYWSYZ2 23.42 United States -- USD 9.81 6.05 1 Mar 15, 2078 5.63 15.86 -- 6.05 15.86 6.05 Mar 08, 2018 Mar 08, 2018 AMPBEV ARDAGH METAL PACKAGING FINANCE USA 144A Capital Goods Fixed Income 21670.18 0.018585341847701088 21670.18 261 261 03969YAB4 US03969YAB48 BNKLFF3 83.06 Luxembourg -- USD 4.58 7.95 1 Sep 01, 2029 4 4.53 -- 7.95 4.53 7.95 Mar 12, 2021 Mar 12, 2021 FXIHLD FOXTROT ESCROW ISSUER LLC 144A Capital Goods Fixed Income 21667.86 0.018583352109125467 21667.86 219 219 35166FAA0 US35166FAA03 BKRKNH0 99.04 United States -- USD 1.33 12.69 1 Nov 15, 2026 12.25 2.02 -- 12.69 2.02 12.69 Nov 07, 2019 Nov 07, 2019 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 21661.26 0.018577691645936197 21661.26 103149 103149 -- HU0000403001 BWT3GD8 0.21 Hungary -- USD 6.3 7.19 366.65735 Oct 22, 2031 3.25 6.08 -- 7.19 6.08 7.19 Apr 22, 2015 Apr 22, 2015 ILDFP ILIAD HOLDING SAS 144A Communications Fixed Income 21656.25 0.018573394839787982 21656.25 223 223 449691AC8 US449691AC82 -- 97.25 France -- USD 3.11 7.74 1 Oct 15, 2028 7 3.75 -- 7.74 3.75 7.74 Oct 27, 2021 Oct 27, 2021 FITB FIFTH THIRD BANCORP DEPOSITORY SH Financial Institutions Equity 21645.29 0.018563995040310043 21645.29 916 916 316773886 US3167738869 BJGTMK7 23.63 United States NASDAQ USD 7.8 6.38 1 Dec 31, 2079 6 15.68 -- 6.38 15.15 6.38 Aug 26, 2019 Aug 26, 2019 PPC PILGRIMS PRIDE CORP Consumer Non-Cyclical Fixed Income 21637.67 0.018557459778264253 21637.67 246 246 72147KAJ7 US72147KAJ79 -- 87.92 United States -- USD 5.5 6.43 1 Apr 15, 2031 4.25 5.84 -- 6.43 5.84 6.43 Oct 15, 2022 Feb 15, 2023 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 21635.35 0.018555470039688632 21635.35 227 227 46284VAC5 US46284VAC54 BD5WDB3 95.18 United States -- USD 2.72 6.48 1 Sep 15, 2027 4.88 3.04 -- 6.48 3.04 6.48 Sep 18, 2017 Sep 18, 2017 GS GOLDMAN SACHS GROUP INC/THE FRN Banking Fixed Income 21616.07 0.018538934626008464 21616.07 237 237 38141GYM0 US38141GYM04 BMDWFX4 91.31 United States -- USD 2.37 5.9 1 Oct 21, 2027 1.95 2.37 -- 5.74 2.37 5.74 Oct 21, 2021 Oct 21, 2021 UVN UNIVISION COMMUNICATIONS INC 144A Communications Fixed Income 21602.85 0.01852759654671117 21602.85 248 248 914906AV4 US914906AV42 -- 87 United States -- USD 4.19 7.67 1 May 01, 2029 4.5 4.23 -- 7.67 4.23 7.67 May 21, 2021 May 21, 2021 RWLVCA RESORTS WORLD LAS VEGAS LLC 144A Consumer Cyclical Fixed Income 21579.63 0.018507682008036198 21579.63 247 247 76120HAA5 US76120HAA59 BJJHXD8 87.25 Malaysia -- USD 4.34 7.76 1 Apr 16, 2029 4.63 4.29 -- 7.76 4.29 7.76 Apr 16, 2019 Apr 16, 2019 YUM YUM! BRANDS INC. Consumer Cyclical Fixed Income 21572.67 0.018501712792309333 21572.67 250 250 988498AN1 US988498AN16 BN7S9F5 86.13 United States -- USD 5.9 6.12 1 Mar 15, 2031 3.63 5.88 -- 6.12 5.88 6.12 Sep 25, 2020 Sep 25, 2020 CRROCK CROWNROCK LP / CROWNROCK FINANCE I 144A Energy Fixed Income 21570.35 0.01849972305373371 21570.35 217 217 228701AF5 US228701AF51 BF032G3 99.42 United States -- USD 0.96 6.04 1 Oct 15, 2025 5.63 1.39 -- 6.04 1.39 6.04 Oct 11, 2017 Oct 11, 2017 UVN UNIVISION COMMUNICATIONS INC 144A Communications Fixed Income 21549.45 0.01848179825363436 21549.45 226 226 914906AX0 US914906AX08 -- 95.43 United States -- USD 3.99 8.33 1 Jun 30, 2030 7.38 4.73 -- 8.33 4.73 8.33 Jun 24, 2022 Jun 24, 2022 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 21538.32 0.018472252654347 21538.32 1076916 1076916 -- COL17CT03615 BHPGGV4 0.02 Colombia -- USD 6.55 10.84 3970.13 Oct 18, 2034 7.25 6.29 -- 10.84 6.29 10.84 Oct 18, 2018 Oct 18, 2018 DTMINC DT MIDSTREAM INC 144A Energy Fixed Income 21533.2 0.01846786150714563 21533.2 244 244 23345MAB3 US23345MAB37 -- 88.28 United States -- USD 5.47 6.45 1 Jun 15, 2031 4.38 5.84 -- 6.45 5.84 6.45 Jun 09, 2021 Jun 09, 2021 SIRI SIRIUS XM RADIO INC 144A Communications Fixed Income 21512.31 0.01844994528350566 21512.31 233 233 82967NBL1 US82967NBL10 BM9SCZ7 92.33 United States -- USD 2.21 6.71 1 Sep 01, 2026 3.13 2.2 -- 6.71 2.2 6.71 Aug 16, 2021 Aug 16, 2021 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 21485.56 0.018427003254670362 21485.56 2148556 2148556 -- IDG000015207 BKPMPK5 0.01 Indonesia -- USD 5.33 7.11 16187.5 Feb 15, 2031 6.5 5.33 -- 7.11 5.33 7.11 Feb 15, 2020 Aug 13, 2020 1888 KINGBOARD LAMINATES HOLDINGS LTD Information Technology Equity 21453.81 0.01839977299614623 21453.81 30217 30217 -- KYG5257K1076 B1HHFV6 0.71 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Dec 07, 2006 CCO CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Communications Fixed Income 21451.94 0.018398169198242605 21451.94 219 219 18453HAF3 US18453HAF38 -- 97.74 United States -- USD 4.11 8.36 1 Apr 01, 2030 7.88 4.61 -- 8.36 4.61 8.36 Mar 18, 2024 Mar 18, 2024 DKL DELEK LOGISTICS PARTNERS LP 144A Energy Fixed Income 21433.37 0.018382242713178253 21433.37 212 212 24665FAD4 US24665FAD42 -- 101.33 United States -- USD 3.28 8.28 1 Mar 15, 2029 8.63 3.9 -- 8.21 3.23 8.21 Mar 13, 2024 Mar 13, 2024 DTE DTE ENERGY COMPANY Utility Equity 21409.38 0.0183616677871312 21409.38 1065 1065 233331826 US2333318267 BMY4XS0 20.1 United States -- USD 15.08 5.45 1 Oct 15, 2080 4.38 17.73 -- 5.45 17.73 5.45 Oct 01, 2020 Oct 01, 2020 ADT ADT SECURITY CORP 144A Consumer Cyclical Fixed Income 21389.26 0.018344411950863306 21389.26 239 239 00109LAA1 US00109LAA17 -- 89.5 United States -- USD 4.49 6.51 1 Aug 01, 2029 4.13 4.56 -- 6.51 4.56 6.51 Jul 29, 2021 Jul 29, 2021 SQ BLOCK INC Technology Fixed Income 21363.72 0.018322507673612713 21363.72 229 229 852234AN3 US852234AN39 -- 93.3 United States -- USD 1.98 6.2 1 Jun 01, 2026 2.75 1.97 -- 6.2 1.97 6.2 May 20, 2021 May 20, 2021 KIM KIMCO REALTY CORPORATION Financial Institutions Equity 21332.46 0.018295697661598085 21332.46 979 979 49446R737 US49446R7373 BF47T71 21.8 United States -- USD 13.22 5.89 1 Dec 31, 2079 5.13 16.98 -- 5.89 16.31 5.89 Aug 16, 2017 Aug 16, 2017 PTVE PACTIV EVERGREEN GROUP ISSUER LLC 144A Capital Goods Fixed Income 21331.22 0.018294634180635254 21331.22 231 231 76174LAA1 US76174LAA17 BJLTTQ7 92.38 United States -- USD 3.06 6.49 1 Oct 15, 2027 4 3.16 -- 6.49 3.16 6.49 Oct 01, 2020 Oct 01, 2020 CCO CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Communications Fixed Income 21314.97 0.018280697434146523 21314.97 268 268 18453HAD8 US18453HAD89 BNHS096 79.6 United States -- USD 3.98 13.1 1 Jun 01, 2029 7.5 3.82 -- 13.1 3.82 13.1 Jun 01, 2021 Jun 01, 2021 TNETBB TELENET FINANCE LUXEMBOURG NOTES S 144A Communications Fixed Income 21303.36 0.018270740164809035 21303.36 230 230 AQ2322842 BE6300372289 BF955D8 92.6 Belgium -- USD 3.17 7.76 1 Mar 01, 2028 5.5 3.32 -- 7.76 3.32 7.76 Dec 13, 2017 Dec 13, 2017 GS GOLDMAN SACHS GROUP INC Financial Institutions Equity 21296.56 0.018264908172432214 21296.56 926 926 38144X609 US38144X6094 B0N0V47 23 United States New York Stock Exchange Inc. USD 0.06 7.17 1 Dec 31, 2079 6.31 15.79 -- 7.17 15.79 7.17 Oct 31, 2005 Oct 31, 2005 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 21270.86 0.018242866671831576 21270.86 315 315 12543DBL3 US12543DBL38 -- 67.42 United States -- USD 4.7 14.49 1 Apr 01, 2030 6.13 4.48 -- 14.49 4.48 14.49 May 19, 2021 May 19, 2021 MINAU MINERAL RESOURCES LTD 144A Basic Industry Fixed Income 21254.6 0.01822892134888347 21254.6 211 211 603051AA1 US603051AA15 BJXP2N1 100.89 Australia -- USD 1.23 7.79 1 May 01, 2027 8.13 2.54 -- 7.2 0.93 7.2 Apr 23, 2019 Apr 23, 2019 RILY B. RILEY FINANCIAL INC Financial Institutions Equity 21241.85 0.018217986363176928 21241.85 997 997 05580M827 US05580M8275 BKSCQV0 21.3 United States -- USD 1.69 6.56 1 Mar 31, 2026 5.5 1.74 -- 6.56 1.74 6.56 Mar 29, 2021 Mar 29, 2021 NSA NATIONAL STORAGE AFFILIATES REDEEM Financial Institutions Equity 21235.02 0.018212128641421972 21235.02 983 983 637870205 US6378702053 BF0M624 21.61 United States Non-Nms Quotation Service (Nnqs) USD 10.71 6.98 1 Dec 31, 2079 6 14.06 -- 6.98 14.06 6.98 Oct 11, 2017 Oct 11, 2017 TRIN TRINITY CAPITAL INC Financial Institutions Equity 21235.02 0.018212128641421972 21235.02 842 842 896442506 US8964425065 BQMJF34 25.21 United States -- USD 0.37 7 1 Jan 16, 2025 7 0.69 -- 6.2 0.08 6.2 Jan 16, 2020 Jan 16, 2020 JPM JPMORGAN CHASE & CO Banking Fixed Income 21227.16 0.018205387544351116 21227.16 217 217 46647PDG8 US46647PDG81 -- 97.95 United States -- USD 2.9 5.9 1 Jul 25, 2028 4.85 2.92 -- 5.55 2.93 5.55 Jul 25, 2022 Jul 25, 2022 WYNNLV WYNN LAS VEGAS LLC / WYNN LAS VEGA 144A Consumer Cyclical Fixed Income 21168.7 0.018155249562829198 21168.7 219 219 983130AX3 US983130AX35 BD3N0P1 96.78 United States -- USD 2.67 6.43 1 May 15, 2027 5.25 2.71 -- 6.43 2.71 6.43 May 11, 2017 May 11, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 21130.09 0.01812213585317198 21130.09 1432 1432 -- CND10003VNX4 -- 14.76 China -- USD 5.84 2.13 7.24715 Nov 19, 2030 3.27 5.85 -- 2.13 5.85 2.13 Nov 19, 2020 Nov 19, 2020 TNOTE TREASURY NOTE Treasuries Fixed Income 21109.58 0.018104545534988355 21109.58 221 221 9128286F2 US9128286F22 BJKRNY8 95.54 United States -- USD 1.77 5.05 1 Feb 28, 2026 2.5 1.77 -- 5.05 1.77 5.05 Feb 28, 2019 Feb 28, 2019 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 21081.97 0.018080865930646582 21081.97 208 208 86562MCZ1 US86562MCZ14 -- 101.52 Japan -- USD 0.04 6.06 1 Jul 13, 2026 6.61 0.21 -- 6.06 0.21 6.06 Jul 13, 2023 Jul 13, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 21080.22 0.018079365050255487 21080.22 1499 1499 -- CND10003R702 BN4NMB0 14.06 China -- USD 1.45 1.73 7.24715 Oct 22, 2025 3.02 1.44 -- 1.73 1.44 1.73 Oct 22, 2020 Oct 22, 2020 RBACN RITCHIE BROS HOLDINGS INC 144A Capital Goods Fixed Income 21068.87 0.01806963076886182 21068.87 204 204 76774LAC1 US76774LAC19 -- 103.08 Canada -- USD 3.38 7.17 1 Mar 15, 2031 7.75 5.26 -- 6.83 3.3 6.83 Mar 15, 2023 Mar 15, 2023 NCLH NCL CORPORATION LTD 144A Consumer Cyclical Fixed Income 21066.55 0.0180676410302862 21066.55 203 203 62886HBN0 US62886HBN08 -- 103.9 United States -- USD 2.72 7.13 1 Jan 15, 2029 8.13 3.75 -- 6.9 3.07 6.9 Oct 18, 2023 Oct 18, 2023 HBI HANESBRANDS INC 144A Consumer Cyclical Fixed Income 21064.23 0.018065651291710578 21064.23 218 218 410345AL6 US410345AL67 BZ30506 96.46 United States -- USD 1.85 6.75 1 May 15, 2026 4.88 1.87 -- 6.75 1.87 6.75 May 06, 2016 May 06, 2016 HGVLLC HILTON GRAND VACATIONS BORROWER ES 144A Consumer Cyclical Fixed Income 21045.66 0.018049724806646225 21045.66 214 214 43283QAC4 US43283QAC42 -- 98.44 United States -- USD 4.62 6.89 1 Jan 15, 2032 6.63 5.84 -- 6.89 5.84 6.89 Jan 17, 2024 Jan 17, 2024 APU AMERIGAS PARTNERS LP/AMERIGAS FINA Energy Fixed Income 21034.05 0.01803976753730874 21034.05 212 212 030981AK0 US030981AK06 BDTKD24 99.33 United States -- USD 0.92 6.15 1 May 20, 2025 5.5 1 -- 6.15 1 6.15 Dec 28, 2016 Dec 28, 2016 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 21030.93 0.018037091681982902 21030.93 978 978 -- PL0000111498 BJHC614 21.5 Poland -- USD 4.94 5.59 4.03785 Oct 25, 2029 2.75 4.81 -- 5.59 4.81 5.59 Oct 25, 2018 Feb 11, 2019 PMT PENNYMAC MORTGAGE INVESTMENT TRUST Financial Institutions Equity 21000.82 0.018011267962796708 21000.82 1097 1097 70931T509 US70931T5092 BMFK2M4 19.15 United States -- USD 9.89 8.9 1 Dec 31, 2079 6.75 11.23 -- 8.9 11.05 8.9 Aug 24, 2021 Aug 24, 2021 ST SENSATA TECHNOLOGIES BV 144A Technology Fixed Income 20996.9 0.01800790599072066 20996.9 235 235 81725WAK9 US81725WAK99 -- 89.29 United States -- USD 4.2 6.56 1 Apr 15, 2029 4 4.38 -- 6.56 4.38 6.56 Mar 29, 2021 Mar 29, 2021 BMO BANK OF MONTREAL MTN Banking Fixed Income 20984.92 0.017997631392386196 20984.92 208 208 06368D3T9 US06368D3T95 -- 100.66 Canada -- USD 0.01 5.97 1 Jun 07, 2025 6.39 0.11 -- 5.97 0.11 5.97 Jun 07, 2022 Jun 07, 2022 FRTITA FERTITTA ENTERTAINMENT LLC 144A Consumer Cyclical Fixed Income 20980.65 0.01799396924423193 20980.65 234 234 31556TAA7 US31556TAA79 -- 89.7 United States -- USD 3.96 7.24 1 Jan 15, 2029 4.63 4.06 -- 7.24 4.06 7.24 Jan 27, 2022 Jan 27, 2022 SRSDIS SRS DISTRIBUTION INC 144A Capital Goods Fixed Income 20966.72 0.017982022236318822 20966.72 207 207 78471RAD8 US78471RAD89 -- 101.38 United States -- USD 2.41 5.7 1 Dec 01, 2029 6 4.61 -- 5.42 2.33 5.42 Nov 12, 2021 Nov 12, 2021 PSA PUBLIC STORAGE DEPOSITARY SHS EACH Financial Institutions Equity 20951.24 0.017968745877202173 20951.24 1162 1162 74460W396 US74460W3960 BMX8DR2 18.03 United States New York Stock Exchange Inc. USD 17.13 5.71 1 Dec 31, 2079 4.1 17.52 -- 5.71 16.71 5.71 Jan 13, 2022 Jan 13, 2022 VNO VORNADO REALTY TRUST Financial Institutions Equity 20946.12 0.0179643547300008 20946.12 1403 1403 929042828 US9290428286 BF5LLD2 14.93 United States -- USD 11.24 8.85 1 Dec 31, 2079 5.25 11.31 -- 8.85 11.16 8.85 Dec 13, 2017 Dec 13, 2017 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 20934.22 0.01795414874334136 20934.22 201 201 682695AA9 US682695AA94 -- 104.31 United States -- USD 2.38 7.88 1 Jan 15, 2029 9 3.73 -- 7.46 2.71 7.46 Jun 22, 2023 Jun 22, 2023 CIM CHIMERA INVESTMENT CORP Financial Institutions Equity 20929.02 0.017949688984464966 20929.02 877 877 16934Q604 US16934Q6044 BHRS1F7 23.87 United States -- USD -0.17 11.74 1 Dec 31, 2079 10.94 0.02 -- 11.74 0.06 11.74 Jan 23, 2019 Jan 23, 2019 LYV LIVE NATION ENTERTAINMENT INC 144A Consumer Cyclical Fixed Income 20927.25 0.01794817095115512 20927.25 222 222 538034AR0 US538034AR08 BJK69Q9 94.11 United States -- USD 2.9 6.68 1 Oct 15, 2027 4.75 3.12 -- 6.68 3.12 6.68 Oct 17, 2019 Oct 17, 2019 NSUS NUSTAR ENERGY LP Industrial Equity 20925.6 0.017946755835357802 20925.6 820 820 67058H409 US67058H4092 BD1KJ79 25.52 United States -- USD 0.36 12.76 1 Dec 31, 2079 12.47 0.01 -- 4.46 0.08 4.46 Nov 30, 2017 Nov 30, 2017 VMED VMED O2 UK FINANCING I PLC 144A Communications Fixed Income 20917.97 0.017940211996852633 20917.97 212 212 92858RAD2 US92858RAD26 -- 98.88 United Kingdom -- USD 4.7 7.88 1 Apr 15, 2032 7.75 5.83 -- 7.88 5.83 7.88 Apr 03, 2024 Apr 03, 2024 CLVTSC CLARIVATE SCIENCE HOLDINGS CORP 144A Technology Fixed Income 20913.32 0.01793622394324201 20913.32 231 231 18064PAD1 US18064PAD15 -- 90.57 United States -- USD 4.11 7.08 1 Jul 01, 2029 4.88 4.38 -- 7.08 4.38 7.08 Jun 24, 2021 Aug 19, 2021 BNTNF BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 20910.32 0.017933651005428708 20910.32 116 116 -- BRSTNCNTF204 BK6FNL0 180.06 Brazil -- USD 4.57 11.61 5.17025 Jan 01, 2031 10 4.32 -- 11.61 4.32 11.61 Jan 01, 2020 Jan 10, 2020 JPM JPMORGAN CHASE & CO Banking Fixed Income 20908.32 0.01793193571355317 20908.32 211 211 46647PDU7 US46647PDU75 -- 98.87 United States -- USD 3.67 5.8 1 Jul 24, 2029 5.3 3.7 -- 5.6 3.7 5.6 Jul 24, 2023 Jul 24, 2023 UNIP6 UNIPAR CARBOCLORO SA PREF B Materials Equity 20879.57 0.01790727839284234 20879.57 2029 2029 S29058799 BRUNIPACNPB8 2905879 10.29 Brazil XBSP USD 0 -- 5.17025 -- 0 0 -- -- 0 -- -- Dec 09, 1992 WFC WELLS FARGO & COMPANY(FX-FRN) MTN Banking Fixed Income 20855.77 0.017886866419523462 20855.77 221 221 95000U2V4 US95000U2V48 -- 94.28 United States -- USD 2.7 5.96 1 Mar 24, 2028 3.53 2.7 -- 5.68 2.71 5.68 Mar 24, 2022 Mar 24, 2022 TVA TENN VALLEY AUTH Agency Equity 20845.26 0.01787785256071752 20845.26 964 964 880591409 US8805914095 2520249 21.62 United States New York Stock Exchange Inc. USD 0 -- 1 May 01, 2029 2.22 0 -- -- 0 -- May 06, 1999 May 06, 1999 PRSESE PRIME SECURITY SERVICES BORROWER L 144A Consumer Cyclical Fixed Income 20820.46 0.017856582941460874 20820.46 230 230 74166MAF3 US74166MAF32 BMFBJS2 90.71 United States -- USD 3.04 6.51 1 Aug 31, 2027 3.38 3.05 -- 6.51 3.05 6.51 Aug 20, 2020 Aug 20, 2020 MHED MCGRAW-HILL EDUCATION INC 144A Communications Fixed Income 20806.53 0.017844635933547768 20806.53 226 226 57767XAA8 US57767XAA81 -- 92.25 United States -- USD 3.46 7.92 1 Aug 01, 2028 5.75 3.63 -- 7.92 3.63 7.92 Jul 30, 2021 Jul 30, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 20794.92 0.01783467866421028 20794.92 1458 1458 -- CND100067578 -- 14.26 China -- USD 5.47 2.19 7.24715 Mar 25, 2030 2.8 5.41 -- 2.19 5.41 2.19 Mar 25, 2023 Mar 24, 2023 WAFD WASHINGTON FEDERAL INC Financial Institutions Equity 20785.43 0.017826539604260862 20785.43 1315 1315 938824307 US9388243076 BMVN6G9 15.81 United States NASDAQ USD 12.68 7.73 1 Dec 31, 2079 4.88 12.98 -- 7.73 12.98 7.73 Feb 08, 2021 Feb 08, 2021 SVC SERVICE PROPERTIES TRUST Reits Fixed Income 20774.02 0.01781675386411093 20774.02 206 206 81761LAA0 US81761LAA08 BMBM6P5 100.65 United States -- USD 1.14 7 1 Sep 15, 2025 7.5 1.29 -- 6.92 1.06 6.92 Jun 17, 2020 Jun 17, 2020 WYNMAC WYNN MACAU LTD 144A Consumer Cyclical Fixed Income 20750.81 0.017796847901895334 20750.81 234 234 98313RAE6 US98313RAE62 -- 88.66 Macau -- USD 4.51 7.64 1 Dec 15, 2029 5.13 4.64 -- 7.64 4.64 7.64 Dec 17, 2019 Dec 17, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 20746.19 0.017792885577662846 20746.19 220 220 912828ZW3 US912828ZW33 BM97H04 94.43 United States -- USD 1.15 5.17 1 Jun 30, 2025 0.25 1.15 -- 5.17 1.15 5.17 Jun 30, 2020 Jun 30, 2020 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 20744.93 0.01779180494378126 20744.93 205 205 86562MCU2 US86562MCU27 -- 101.36 Japan -- USD 0.04 6.09 1 Jan 13, 2026 6.74 0.21 -- 6.09 0.21 6.09 Jan 13, 2023 Jan 13, 2023 GT GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 20739.2 0.01778689063255785 20739.2 214 214 382550BF7 US382550BF73 BDGNMR4 96.69 United States -- USD 1.8 6.72 1 May 31, 2026 5 1.91 -- 6.72 1.91 6.72 May 13, 2016 May 13, 2016 TMUS T-MOBILE USA INC Communications Fixed Income 20738.39 0.017786195939348257 20738.39 218 218 87264ABD6 US87264ABD63 -- 95.33 United States -- USD 2.73 5.47 1 Apr 15, 2027 3.75 2.76 -- 5.47 2.76 5.47 Apr 15, 2021 May 21, 2021 ENTG ENTEGRIS ESCROW CORP 144A Technology Fixed Income 20702.05 0.017755029085969768 20702.05 214 214 29365BAB9 US29365BAB99 -- 96.58 United States -- USD 3.96 6.64 1 Jun 15, 2030 5.95 4.94 -- 6.64 4.94 6.64 Jun 30, 2022 Jun 30, 2022 BMCAUS STANDARD BUILDING SOLUTIONS INC 144A Capital Goods Fixed Income 20688.12 0.01774308207805666 20688.12 252 252 853496AH0 US853496AH04 BMFNDV9 82.09 United States -- USD 5.67 6.73 1 Jan 15, 2031 3.38 5.73 -- 6.73 5.73 6.73 Aug 21, 2020 Aug 21, 2020 MSFT MICROSOFT CORPORATION Technology Fixed Income 20661.31 0.0177200885904651 20661.31 216 216 594918BY9 US594918BY93 BYP2PD6 95.86 United States -- USD 2.56 4.91 1 Feb 06, 2027 3.3 2.59 -- 4.91 2.59 4.91 Feb 06, 2017 Feb 06, 2017 NGL NGL ENERGY OPERATING LLC 144A Energy Fixed Income 20644.01 0.017705251315741712 20644.01 204 204 62922LAC2 US62922LAC28 -- 101.09 United States -- USD 3.17 7.93 1 Feb 15, 2029 8.13 3.88 -- 7.86 3.19 7.86 Feb 02, 2024 Feb 02, 2024 WCC WESCO DISTRIBUTION INC 144A Capital Goods Fixed Income 20644.01 0.017705251315741712 20644.01 209 209 95081QAR5 US95081QAR56 -- 98.91 United States -- USD 4.72 6.8 1 Mar 15, 2032 6.63 6 -- 6.8 6 6.8 Mar 07, 2024 Mar 07, 2024 SUMMAT SUMMIT MATERIALS LLC 144A Capital Goods Fixed Income 20637.05 0.017699282100014847 20637.05 203 203 86614RAP2 US86614RAP29 -- 101.9 United States -- USD 3.98 6.89 1 Jan 15, 2031 7.25 5.14 -- 6.77 3.86 6.77 Dec 14, 2023 Dec 14, 2023 BLTN BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 20635.46 0.017697918442973797 20635.46 149 149 -- BRSTNCLTN871 BR53273 138.56 Brazil -- USD 3.02 11.11 5.17025 Jul 01, 2027 0 2.85 -- 11.11 2.85 11.11 Jul 07, 2023 Jul 07, 2023 DBRG DIGITALBRIDGE GROUP .125 CUMULATIV Financial Institutions Equity 20624.74 0.017688724478520924 20624.74 922 922 25401T504 US25401T5048 BNHTS06 22.38 United States New York Stock Exchange Inc. USD 7.82 7.98 1 Dec 31, 2079 7.13 12.53 -- 7.98 12.36 7.98 Oct 15, 2016 Jan 11, 2017 V VISA INC Technology Fixed Income 20612.26 0.01767802105721758 20612.26 213 213 92826CAD4 US92826CAD48 BYPHGN8 96.89 United States -- USD 1.53 5.15 1 Dec 14, 2025 3.15 1.55 -- 5.15 1.55 5.15 Dec 14, 2015 Dec 14, 2015 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 20589.07 0.01765813224792074 20589.07 5334 5334 -- ZAG000125980 BYM2NZ7 3.86 South Africa -- USD 6.41 12.99 19.06 Jan 31, 2040 9 6.92 -- 12.99 6.92 12.99 Jul 31, 2015 Sep 11, 2015 PEB PEBBLEBROOK HOTEL TRUST Financial Institutions Equity 20587.13 0.01765646841480147 20587.13 1029 1029 70509V803 US70509V8037 BK969S9 20.01 United States Non-Nms Quotation Service (Nnqs) USD 10.52 7.98 1 Dec 31, 2079 6.38 12.52 -- 7.98 12.35 7.98 May 13, 2021 May 13, 2021 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 20570.23 0.017641974198453193 20570.23 205 205 6944PL2Q1 US6944PL2Q10 -- 100.23 United States -- USD 0.01 5.91 1 Dec 06, 2024 6.13 0.11 -- 5.91 0.11 5.91 Dec 06, 2022 Dec 06, 2022 NXST NEXSTAR MEDIA INC 144A Communications Fixed Income 20541.86 0.017617642783198714 20541.86 233 233 65336YAN3 US65336YAN31 BMFNGQ5 88.25 United States -- USD 3.81 7.89 1 Nov 01, 2028 4.75 3.83 -- 7.89 3.83 7.89 Sep 25, 2020 Sep 25, 2020 GT GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 20532.57 0.017609675252436847 20532.57 205 205 382550BH3 US382550BH30 -- 100.37 United States -- USD 0.1 9.13 1 May 31, 2025 9.5 0.99 -- 5.5 0.09 5.5 May 18, 2020 May 18, 2020 FAIRIC FAIR ISAAC CORP 144A Technology Fixed Income 20516.32 0.01759573850594812 20516.32 224 224 303250AF1 US303250AF16 BKV3193 91.75 United States -- USD 3.47 6.29 1 Jun 15, 2028 4 3.67 -- 6.29 3.67 6.29 Dec 06, 2019 Dec 06, 2019 MPW MPT OPERATING PARTNERSHIP LP Reits Fixed Income 20507.04 0.017587779551645633 20507.04 311 311 55342UAM6 US55342UAM62 -- 65.88 United States -- USD 5.81 10.6 1 Mar 15, 2031 3.5 5.64 -- 10.6 5.64 10.6 Dec 04, 2020 Dec 04, 2020 CHK CHESAPEAKE ENERGY CORPORATION 144A Energy Fixed Income 20497.75 0.017579812020883767 20497.75 205 205 92735LAA0 US92735LAA08 BNTFHM7 99.88 United States -- USD 2.52 6.78 1 Apr 15, 2029 6.75 4.16 -- 6.78 4.16 6.78 Apr 07, 2021 Apr 07, 2021 WBD WARNERMEDIA HOLDINGS INC Communications Fixed Income 20491.38 0.017574348816260184 20491.38 217 217 55903VBA0 US55903VBA08 BNQQBC1 94.4 United States -- USD 2.67 5.89 1 Mar 15, 2027 3.75 2.67 -- 5.89 2.67 5.89 Mar 15, 2023 Apr 28, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 20490.29 0.017573413982188018 20490.29 216 216 9128286L9 US9128286L99 BJ5S5T5 94.99 United States -- USD 1.85 5 1 Mar 31, 2026 2.25 1.85 -- 5 1.85 5 Mar 31, 2019 Apr 01, 2019 BC BRUNSWICK CORPORATION Industrial Equity 20453.79 0.017542109905459485 20453.79 846 846 117043406 US1170434062 BG87WW0 24.18 United States -- USD 4.75 6.75 1 Oct 15, 2048 6.5 11.97 -- 6.75 11.97 6.75 Oct 03, 2018 Oct 03, 2018 CLVTSC CLARIVATE SCIENCE HOLDINGS CORP 144A Technology Fixed Income 20397.92 0.01749419322691639 20397.92 225 225 18064PAC3 US18064PAC32 -- 90.49 United States -- USD 3.61 6.51 1 Jul 01, 2028 3.88 3.71 -- 6.51 3.71 6.51 Jun 24, 2021 Aug 19, 2021 VNO VORNADO REALTY TRUST 5.4% CUM RED Financial Institutions Equity 20380.28 0.017479064352574163 20380.28 1314 1314 929042844 US9290428443 B8K7RN8 15.51 United States New York Stock Exchange Inc. USD 11.23 8.78 1 Dec 31, 2079 5.4 11.43 -- 8.78 11.43 8.78 Jan 25, 2013 Jan 25, 2013 ET ENERGY TRANSFER LP Energy Fixed Income 20367.74 0.017468309472514553 20367.74 198 198 29273VAX8 US29273VAX82 BRF20T8 103 United States -- USD 3.93 8.19 1 May 15, 2054 8 3.98 -- 7.25 3.88 7.25 Jan 25, 2024 Jan 25, 2024 WFC WELLS FARGO & COMPANY Banking Fixed Income 20367 0.017467674814520603 20367 214 214 949746RW3 US949746RW34 BD72T35 95.38 United States -- USD 1.9 5.48 1 Apr 22, 2026 3 1.89 -- 5.48 1.89 5.48 Apr 22, 2016 Apr 22, 2016 POWSOL CLARIOS GLOBAL LP 144A Consumer Cyclical Fixed Income 20342.2 0.017446405195263956 20342.2 203 203 18060TAC9 US18060TAC99 -- 100.23 United States -- USD 2.7 6.68 1 May 15, 2028 6.75 3.4 -- 6.66 2.64 6.66 May 04, 2023 May 04, 2023 RRC RANGE RESOURCES CORPORATION Energy Fixed Income 20325.95 0.01743246844877523 20325.95 206 206 75281AAS8 US75281AAS87 BDHC311 98.82 United States -- USD 0.95 6.05 1 May 15, 2025 4.88 0.99 -- 6.05 0.99 6.05 Nov 15, 2015 Apr 08, 2016 YUM YUM! BRANDS INC. 144A Consumer Cyclical Fixed Income 20323.63 0.017430478710199607 20323.63 218 218 988498AL5 US988498AL59 BJDSXL5 93.15 United States -- USD 4.82 6.19 1 Jan 15, 2030 4.75 4.83 -- 6.19 4.83 6.19 Sep 11, 2019 Sep 11, 2019 KNTK KINETIK HOLDINGS LP 144A Energy Fixed Income 20298.09 0.01740857443294901 20298.09 203 203 49461MAB6 US49461MAB63 -- 100.21 United States -- USD 3.11 6.57 1 Dec 15, 2028 6.63 3.84 -- 6.56 3.11 6.56 Dec 06, 2023 Dec 06, 2023 GTN GRAY ESCROW II INC 144A Communications Fixed Income 20279.52 0.01739264794788466 20279.52 332 332 389286AA3 US389286AA34 -- 61 United States -- USD 5.54 13.86 1 Nov 15, 2031 5.38 5.29 -- 13.86 5.29 13.86 Nov 09, 2021 Nov 09, 2021 BYD BOYD GAMING CORPORATION 144A Consumer Cyclical Fixed Income 20272.55 0.017386670155698416 20272.55 227 227 103304BV2 US103304BV23 -- 89.42 United States -- USD 5.41 6.63 1 Jun 15, 2031 4.75 5.84 -- 6.63 5.84 6.63 Jun 08, 2021 Jun 08, 2021 IDR IDR CASH Cash and/or Derivatives Cash 20272.36 0.01738650720297024 20272.36 2027236 2027236 -- -- -- 0.01 Indonesia -- USD 0 6.9 16187.5 -- 0 0 -- 6.9 0 6.9 -- Jan 01, 1990 FCNCA FIRST CITIZENS BANCSHARES NON CU Financial Institutions Equity 20258.91 0.017374971865107263 20258.91 926 926 31959X202 US31959X2027 BMQ7J12 21.88 United States NASDAQ USD 11.6 6.47 1 Dec 31, 2079 5.63 15.02 -- 6.47 15.02 6.47 Jan 04, 2022 Jan 04, 2022 CDK CENTRAL PARENT INC 144A Technology Fixed Income 20258.62 0.01737472314778531 20258.62 201 201 15477CAA3 US15477CAA36 -- 100.91 United States -- USD 2.91 7.03 1 Jun 15, 2029 7.25 4.13 -- 6.92 2.7 6.92 Jun 16, 2022 Jun 16, 2022 ZIGGO ZIGGO BV 144A Communications Fixed Income 20240.05 0.017358796662720957 20240.05 233 233 98955DAA8 US98955DAA81 -- 87.05 Netherlands -- USD 4.7 7.72 1 Jan 15, 2030 4.88 4.81 -- 7.72 4.81 7.72 Oct 28, 2019 Oct 28, 2019 MPEL MELCO RESORTS FINANCE LTD 144A Consumer Cyclical Fixed Income 20221.47 0.01734286160119723 20221.47 218 218 58547DAE9 US58547DAE94 -- 92.85 Macau -- USD 3.34 7.76 1 Jul 21, 2028 5.75 3.6 -- 7.76 3.6 7.76 Jul 21, 2020 Jul 21, 2020 EIX SCE TRUST II CUM TRUST SECS P Utility Equity 20217.88 0.01733978265228064 20217.88 1029 1029 78407R204 US78407R2040 B93SGN8 19.65 United States Non-Nms Quotation Service (Nnqs) USD 13.45 6.54 1 Dec 31, 2079 5.1 15.3 -- 6.54 14.78 6.54 Jan 29, 2013 Jan 29, 2013 CCO CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Communications Fixed Income 20188.97 0.01731498810821977 20188.97 240 240 18453HAC0 US18453HAC07 BM9NG16 84.03 United States -- USD 3.36 13.02 1 Apr 15, 2028 7.75 3.22 -- 13.02 3.22 13.02 Feb 17, 2021 Feb 17, 2021 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 20161.7 0.017291600103496837 20161.7 1064 1064 -- PL0000112736 BM9GGQ0 18.95 Poland -- USD 6.02 5.67 4.03785 Oct 25, 2030 1.25 5.86 -- 5.67 5.86 5.67 Oct 25, 2019 May 11, 2020 TTMTIN JAGUAR LAND ROVER AUTOMOTIVE PLC 144A Consumer Cyclical Fixed Income 20103.07 0.0172413163221655 20103.07 200 200 47010BAJ3 US47010BAJ35 -- 100.67 United Kingdom -- USD 0.49 7.26 1 Oct 15, 2025 7.75 1.37 -- 6.27 0.46 6.27 Oct 13, 2020 Oct 13, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 20096.75 0.017235895999838803 20096.75 1427 1427 -- CND100069PL7 -- 14.08 China -- USD 3.79 2.08 7.24715 Apr 15, 2028 2.62 3.75 -- 2.08 3.75 2.08 Apr 15, 2023 Apr 14, 2023 CMS CMS ENERGY CORPORATION Utility Equity 20069.16 0.017212233548415785 20069.16 1057 1057 125896837 US1258968379 BLNB396 18.98 United States -- USD 17.21 5.54 1 Dec 31, 2079 4.2 18.05 -- 5.54 17.18 5.54 Jul 01, 2021 Jul 01, 2021 BIP BROOKFIELD INFRASTRUCTURE FINANCE Utility Equity 20028.13 0.017177044335589167 20028.13 1158 1158 11276B109 US11276B1098 BNC42V5 17.3 Canada -- USD 14.05 7.26 1 May 24, 2081 5 13.7 -- 7.26 13.7 7.26 May 24, 2021 May 24, 2021 ACOM ARCHES BUYER INC 144A Consumer Cyclical Fixed Income 19973.06 0.01712981377379628 19973.06 236 236 039524AA1 US039524AA11 -- 84.75 United States -- USD 3.61 8.75 1 Jun 01, 2028 4.25 3.55 -- 8.75 3.55 8.75 Dec 04, 2020 Dec 04, 2020 FYBR FRONTIER COMMUNICATIONS HOLDINGS L 144A Communications Fixed Income 19963.77 0.01712184624303442 19963.77 244 244 35908MAB6 US35908MAB63 -- 81.86 United States -- USD 4.61 10.27 1 Jan 15, 2030 6 4.5 -- 10.27 4.5 10.27 Oct 13, 2021 Oct 13, 2021 RBLX ROBLOX CORP 144A Communications Fixed Income 19949.84 0.01710989923512131 19949.84 233 233 771049AA1 US771049AA15 -- 85.63 United States -- USD 4.95 6.83 1 May 01, 2030 3.88 5.08 -- 6.83 5.08 6.83 Oct 29, 2021 Oct 29, 2021 HEARTL HEARTLAND DENTAL LLC 144A Consumer Non-Cyclical Fixed Income 19945.2 0.017105919757970066 19945.2 190 190 42239PAB5 US42239PAB58 -- 104.95 United States -- USD 2.14 9 1 Apr 30, 2028 10.5 3.11 -- 8.62 2.48 8.62 May 16, 2023 May 16, 2023 MSFT MICROSOFT CORPORATION Technology Fixed Income 19943.05 0.017104075819203864 19943.05 212 212 594918BR4 US594918BR43 BDCBCN8 94.27 United States -- USD 2.16 5.09 1 Aug 08, 2026 2.4 2.17 -- 5.09 2.17 5.09 Aug 08, 2016 Aug 08, 2016 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 19929.17 0.017092171693587645 19929.17 824 824 -- PL0000108197 BN89SK5 24.18 Poland -- USD 1.18 5.24 4.03785 Jul 25, 2025 3.25 1.16 -- 5.24 1.16 5.24 Jul 25, 2013 Jun 09, 2014 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 19924.3 0.017087994957870715 19924.3 200 200 527298BU6 US527298BU63 -- 99.38 United States -- USD 3.65 10.64 1 May 15, 2030 10.5 4.2 -- 10.64 4.2 10.64 Mar 31, 2023 Mar 31, 2023 AA ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 19908.05 0.017074058211381984 19908.05 197 197 013822AH4 US013822AH42 -- 101.18 United States -- USD 4.26 6.91 1 Mar 15, 2031 7.13 5.35 -- 6.84 4.05 6.84 Mar 21, 2024 Mar 21, 2024 ABBV ABBVIE INC Consumer Non-Cyclical Fixed Income 19899.26 0.017066519503589006 19899.26 211 211 00287YBV0 US00287YBV02 BMCF750 94.41 United States -- USD 2.39 5.3 1 Nov 21, 2026 2.95 2.4 -- 5.3 2.4 5.3 May 21, 2020 Nov 17, 2020 TGP TEEKAY LNG PARTNERS LP Industrial Equity 19898.21 0.017065618975354347 19898.21 779 779 -- MHY8564M2048 BF4VQJ4 25.55 Bermuda -- USD 2.97 10.74 1 Dec 31, 2079 8.5 2.74 -- 7.92 2.93 7.92 Oct 23, 2017 Oct 23, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 19889.16 0.017057857279617547 19889.16 1367 1367 -- CND10002HV84 BKTFDX9 14.55 China -- USD 5.05 2.1 7.24715 Nov 21, 2029 3.13 5.05 -- 2.1 5.05 2.1 Nov 21, 2019 Nov 20, 2019 WRB WR BERKLEY CORPORATION Financial Institutions Equity 19845.22 0.017020172317112024 19845.22 846 846 084423706 US0844237067 BFMXK34 23.46 United States -- USD 9.01 6.12 1 Mar 30, 2058 5.7 14.32 -- 6.12 14.32 6.12 Mar 26, 2018 Mar 26, 2018 OTEXCN OPEN TEXT CORP 144A Technology Fixed Income 19824.47 0.01700237616390334 19824.47 218 218 683715AC0 US683715AC05 -- 91.05 Canada -- USD 3.34 6.57 1 Feb 15, 2028 3.88 3.42 -- 6.57 3.42 6.57 Feb 18, 2020 Feb 18, 2020 SABHLD SABRE GLBL INC 144A Technology Fixed Income 19812.87 0.016992427471025227 19812.87 227 227 78573NAJ1 US78573NAJ19 -- 87.16 United States -- USD 2.66 13.86 1 Jun 01, 2027 8.63 2.54 -- 13.86 2.54 13.86 Sep 07, 2023 Sep 07, 2023 OTEXCN OPEN TEXT HOLDINGS INC 144A Technology Fixed Income 19805.9 0.016986449678838986 19805.9 226 226 683720AA4 US683720AA42 -- 87.62 Canada -- USD 4.81 6.74 1 Feb 15, 2030 4.13 4.96 -- 6.74 4.96 6.74 Feb 18, 2020 Feb 18, 2020 AHL ASPEN INSURANCE HOLDINGS LTD Financial Institutions Equity 19787.1 0.016970325935208946 19787.1 1027 1027 -- BMG053842040 BKDJPD1 19.27 United States -- USD 12.07 7.33 1 Dec 31, 2079 5.63 13.49 -- 7.33 13.49 7.33 Aug 13, 2019 Aug 13, 2019 LW LAMB WESTON HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 19785.01 0.01696853345519901 19785.01 223 223 513272AD6 US513272AD65 -- 88.57 United States -- USD 4.68 6.54 1 Jan 31, 2030 4.13 4.93 -- 6.54 4.93 6.54 Nov 08, 2021 Nov 08, 2021 BEPUCN BROOKFIELD BRP HOLDINGS (CANADA) I Industrial Equity 19783.68 0.016967392786101782 19783.68 1202 1202 11259P208 US11259P2083 BMV7W07 16.46 Canada -- USD 12.87 7.54 1 Dec 31, 2079 4.88 13.27 -- 7.54 12.83 7.54 Dec 09, 2021 Dec 09, 2021 CLF CLEVELAND-CLIFFS INC 144A Basic Industry Fixed Income 19778.04 0.01696255566301277 19778.04 203 203 185899AP6 US185899AP61 -- 97.55 United States -- USD 4.85 7.41 1 Mar 15, 2032 7 5.91 -- 7.41 5.91 7.41 Mar 18, 2024 Mar 18, 2024 USFOOD US FOODS INC 144A Consumer Non-Cyclical Fixed Income 19754.82 0.016942641124337795 19754.82 214 214 90290MAD3 US90290MAD39 -- 92.32 United States -- USD 3.77 6.64 1 Feb 15, 2029 4.75 4.15 -- 6.64 4.15 6.64 Feb 04, 2021 Feb 04, 2021 ALSN ALLISON TRANSMISSION INC 144A Consumer Cyclical Fixed Income 19743.22 0.016932692431459687 19743.22 231 231 019736AG2 US019736AG29 BMX50K5 85.63 United States -- USD 5.53 6.4 1 Jan 30, 2031 3.75 5.72 -- 6.4 5.72 6.4 Nov 19, 2020 Nov 19, 2020 STX SEAGATE HDD CAYMAN Technology Fixed Income 19701.43 0.016896851407720365 19701.43 178 178 81180WBM2 US81180WBM29 -- 110.75 United States -- USD 3.93 7.88 1 Dec 01, 2032 9.63 5.75 -- 7.36 2.95 7.36 Nov 30, 2022 Nov 30, 2022 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 19688.52 0.01688577919866378 19688.52 1387 1387 -- CND10006GPT1 -- 14.2 China -- USD 7.96 2.31 7.24715 May 25, 2033 2.67 7.96 -- 2.31 7.96 2.31 May 25, 2023 May 24, 2023 NRG NRG ENERGY INC Electric Fixed Income 19678.21 0.01687693686904539 19678.21 201 201 629377CE0 US629377CE03 BF5J772 98.06 United States -- USD 2.4 6.34 1 Jan 15, 2028 5.75 3.24 -- 6.34 3.24 6.34 Jul 15, 2018 Oct 30, 2018 IEP ICAHN ENTERPRISES LP Financial Other Fixed Income 19664.28 0.016864989861132284 19664.28 201 201 451102BQ9 US451102BQ92 BF0VDZ3 98.07 United States -- USD 1.37 7.64 1 Dec 15, 2025 6.38 1.49 -- 7.64 1.49 7.64 Dec 06, 2017 Feb 08, 2018 PMT PENNYMAC MORTGAGE INVESTMENT TRUST Financial Institutions Equity 19660.6 0.016861833724081298 19660.6 853 853 70931T400 US70931T4004 BF5GLS2 23.05 United States -- USD -0.44 12.81 1 Dec 31, 2079 8 0.01 -- 12.81 0.1 12.81 Jul 05, 2017 Jul 05, 2017 PK PARK INTERMEDIATE HOLDINGS LLC 144A Reits Fixed Income 19659.64 0.01686101038398104 19659.64 197 197 70052LAA1 US70052LAA17 BMTCZG1 99.75 United States -- USD 0.64 7.73 1 Jun 01, 2025 7.5 1.01 -- 7.73 1.01 7.73 May 29, 2020 May 29, 2020 COTY COTY INC 144A Consumer Non-Cyclical Fixed Income 19641.06 0.016845075322457312 19641.06 197 197 22207AAA0 US22207AAA07 -- 99.48 United States -- USD 3.91 6.72 1 Jul 15, 2030 6.63 4.94 -- 6.72 4.94 6.72 Jul 26, 2023 Jul 26, 2023 FREMOR FREEDOM MORTGAGE CORP 144A Finance Companies Fixed Income 19615.53 0.016823179621666094 19615.53 183 183 35640YAK3 US35640YAK38 -- 107.29 United States -- USD 2.29 9.92 1 Oct 01, 2028 12 3.4 -- 9.46 2.78 9.46 Sep 28, 2023 Sep 28, 2023 RCAP ARETEC ESCROW ISSUER 2 INC 144A Brokerage/Asset Managers/Exchanges Fixed Income 19610.88 0.01681919156805547 19610.88 180 180 04020JAA4 US04020JAA43 -- 108.8 United States -- USD 2.92 8.18 1 Aug 15, 2030 10 4.62 -- 7.56 3.44 7.56 Nov 02, 2023 Nov 02, 2023 COIN COINBASE GLOBAL INC 144A Brokerage/Asset Managers/Exchanges Fixed Income 19573.74 0.01678733859792677 19573.74 235 235 19260QAC1 US19260QAC15 -- 83.25 United States -- USD 4.01 7.93 1 Oct 01, 2028 3.38 3.95 -- 7.93 3.95 7.93 Sep 17, 2021 Sep 17, 2021 MERC MERCER INTERNATIONAL INC. Basic Industry Fixed Income 19552.84 0.01676941379782742 19552.84 224 224 588056BB6 US588056BB60 -- 87.13 United States -- USD 4.03 8.46 1 Feb 01, 2029 5.13 4.02 -- 8.46 4.02 8.46 Jan 26, 2021 Jul 06, 2021 VOD VODAFONE GROUP PLC Communications Fixed Income 19552.84 0.01676941379782742 19552.84 236 236 92857WBW9 US92857WBW91 -- 82.88 United Kingdom -- USD 5.76 7.48 1 Jun 04, 2081 4.13 5.75 -- 7.31 5.68 7.31 Jun 04, 2021 Jun 04, 2021 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 19526.74 0.016747029238851675 19526.74 5335 5335 -- ZAG000106972 BPXR8C0 3.66 South Africa -- USD 6.09 13.05 19.06 Jan 31, 2044 8.75 7.27 -- 13.05 7.27 13.05 Jan 31, 2014 Jul 18, 2014 CPN CALPINE CORP 144A Electric Fixed Income 19518.02 0.01673955056627434 19518.02 217 217 131347CQ7 US131347CQ78 -- 89.97 United States -- USD 5.12 6.88 1 Feb 01, 2031 5 5.5 -- 6.88 5.5 6.88 Aug 10, 2020 Aug 10, 2020 EQM EQM MIDSTREAM PARTNERS LP Energy Fixed Income 19499.44 0.016723615504750607 19499.44 201 201 26885BAC4 US26885BAC46 BFXXB07 97 United States -- USD 3.61 6.32 1 Jul 15, 2028 5.5 3.65 -- 6.32 3.65 6.32 Jun 25, 2018 Jun 25, 2018 CWENA CLEARWAY ENERGY OPERATING LLC 144A Electric Fixed Income 19462.3 0.016691762534621905 19462.3 232 232 18539UAD7 US18539UAD72 -- 83.87 United States -- USD 5.65 6.74 1 Feb 15, 2031 3.75 5.74 -- 6.74 5.74 6.74 Mar 09, 2021 Mar 09, 2021 TRTN TRITON INTERNATIONAL LTD Industrial Equity 19460.59 0.01669029596006832 19460.59 802 802 -- BMG9078F1499 BK26FC2 24.25 Bermuda -- USD 4 7.67 1 Dec 31, 2079 7.38 13.04 -- 7.67 12.75 7.67 Nov 07, 2019 Nov 07, 2019 PSA PUBLIC STORAGE Financial Institutions Equity 19452.04 0.016682963087300405 19452.04 1070 1070 74460W537 US74460W5379 BKPVDZ3 18.18 United States -- USD 17.16 5.69 1 Dec 31, 2079 4.13 17.56 -- 5.69 16.74 5.69 Aug 14, 2020 Aug 14, 2020 CCO CLEAR CHANNEL OUTDOOR HOLDINGS INC 144A Communications Fixed Income 19439.08 0.016671847995946933 19439.08 189 189 18453HAE6 US18453HAE62 -- 102.69 United States -- USD 2.77 8.25 1 Sep 15, 2028 9 3.55 -- 8.07 2.86 8.07 Aug 22, 2023 Aug 22, 2023 SQ BLOCK INC Technology Fixed Income 19432.12 0.016665878780220068 19432.12 232 232 852234AP8 US852234AP86 BLD7383 83.83 United States -- USD 6 6.36 1 Jun 01, 2031 3.5 5.97 -- 6.36 5.97 6.36 May 20, 2021 May 20, 2021 VNO VORNADO REALTY TRUST Financial Institutions Equity 19405.89 0.016643382727272414 19405.89 1313 1313 929042810 US9290428104 BMWB4M4 14.78 United States -- USD 11.14 8.94 1 Dec 31, 2079 5.25 11.19 -- 8.94 11.05 8.94 Nov 24, 2020 Nov 24, 2020 UNSEAM ALLIED UNIVERSAL HOLDCO LLC 144A Consumer Cyclical Fixed Income 19399.61 0.01663799671078323 19399.61 230 230 019576AC1 US019576AC18 -- 84.23 United States -- USD 4.16 10.02 1 Jun 01, 2029 6 4.08 -- 10.02 4.08 10.02 May 14, 2021 May 14, 2021 VIKCRU VIKING CRUISES LTD 144A Consumer Cyclical Fixed Income 19394.97 0.016634017233631986 19394.97 181 181 92676XAG2 US92676XAG25 -- 106.97 United States -- USD 3.11 7.84 1 Jul 15, 2031 9.13 5.18 -- 7.18 3.42 7.18 Jun 30, 2023 Jun 30, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 19363.23 0.01660679555156723 19363.23 193 193 78016EYZ4 US78016EYZ41 -- 100.09 Canada -- USD 0.04 6.09 1 Jan 21, 2027 16.64 0.23 -- 6.09 0.23 6.09 Jan 21, 2022 Jan 21, 2022 MLTPLN MPH ACQUISITION HOLDINGS LLC 144A Consumer Non-Cyclical Fixed Income 19362.47 0.016606143740654528 19362.47 240 240 553283AD4 US553283AD43 -- 80.71 United States -- USD 3.75 11.22 1 Sep 01, 2028 5.5 3.63 -- 11.22 3.63 11.22 Aug 24, 2021 Aug 24, 2021 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 19352.68 0.016597747386923777 19352.68 197 197 06051GKW8 US06051GKW86 -- 98.11 United States -- USD 2.89 5.99 1 Jul 22, 2028 4.95 2.91 -- 5.59 2.91 5.59 Jul 22, 2022 Jul 22, 2022 VIKCRU VIKING CRUISES LTD 144A Consumer Cyclical Fixed Income 19350.86 0.01659618647131704 19350.86 200 200 92676XAD9 US92676XAD93 BFB5M46 96.63 United States -- USD 2.5 7.01 1 Sep 15, 2027 5.88 2.99 -- 7.01 2.99 7.01 Sep 20, 2017 Sep 20, 2017 RGCARE LIFEPOINT HEALTH INC 144A Consumer Non-Cyclical Fixed Income 19316.04 0.01656632323976396 19316.04 186 186 53219LAV1 US53219LAV18 -- 103.77 United States -- USD 3.51 9.07 1 Aug 15, 2030 9.88 4.58 -- 8.8 3.41 8.8 Aug 14, 2023 Aug 14, 2023 HOLX HOLOGIC INC 144A Consumer Non-Cyclical Fixed Income 19311.39 0.016562335186153337 19311.39 219 219 436440AP6 US436440AP62 BL6L5L9 88.12 United States -- USD 4.19 6.14 1 Feb 15, 2029 3.25 4.3 -- 6.14 4.3 6.14 Sep 28, 2020 Sep 28, 2020 AFG AMERICAN FINANCIAL GROUP INC Financial Institutions Equity 19269.13 0.016526091068823263 19269.13 924 924 025932880 US0259328807 BJQY934 20.85 United States -- USD 12.68 6.19 1 Dec 15, 2059 5.13 14.51 -- 6.19 14.51 6.19 Dec 02, 2019 Dec 02, 2019 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 19262.64 0.016520524946687147 19262.64 202 202 46284VAE1 US46284VAE11 BD3MND7 95.38 United States -- USD 2.95 6.61 1 Mar 15, 2028 5.25 3.43 -- 6.61 3.43 6.61 Dec 27, 2017 Dec 27, 2017 CWENA CLEARWAY ENERGY OPERATING LLC 144A Electric Fixed Income 19255.67 0.016514547154500906 19255.67 205 205 18539UAC9 US18539UAC99 -- 93.73 United States -- USD 3.19 6.6 1 Mar 15, 2028 4.75 3.45 -- 6.6 3.45 6.6 Dec 11, 2019 Dec 11, 2019 MS MORGAN STANLEY Banking Fixed Income 19251.07 0.016510601983187174 19251.07 197 197 61747YFK6 US61747YFK64 -- 97.95 United States -- USD 4.04 5.86 1 Jan 16, 2030 5.17 4.07 -- 5.68 4.07 5.68 Jan 18, 2024 Jan 18, 2024 BMCAUS STANDARD BUILDING SOLUTIONS INC 144A Capital Goods Fixed Income 19248.71 0.01650857793877404 19248.71 201 201 853496AC1 US853496AC17 BDVPXC7 95.76 United States -- USD 2.33 6.68 1 Feb 15, 2027 5 2.54 -- 6.68 2.54 6.68 Feb 07, 2017 Feb 07, 2017 FMGAU FMG RESOURCES (AUGUST 2006) PTY LT 144A Basic Industry Fixed Income 19211.56 0.01647671639218596 19211.56 199 199 30251GBE6 US30251GBE61 -- 96.63 Australia -- USD 6.18 6.68 1 Apr 15, 2032 6.13 6.18 -- 6.68 6.18 6.68 Apr 11, 2022 Apr 11, 2022 MS MORGAN STANLEY Banking Fixed Income 19207.28 0.016473045667572312 19207.28 209 209 61772BAB9 US61772BAB99 BN6R4D6 92.1 United States -- USD 1.96 5.93 1 May 04, 2027 1.59 1.93 -- 5.92 1.93 5.92 Apr 22, 2021 Apr 22, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 19163.73 0.016435695186982516 19163.73 1358 1358 -- CND100045210 -- 14.11 China -- USD 1.83 1.78 7.24715 Mar 11, 2026 3.03 1.82 -- 1.78 1.82 1.78 Mar 11, 2021 Mar 11, 2021 UWMLLC UNITED WHOLESALE MORTGAGE LLC 144A Finance Companies Fixed Income 19153.52 0.016426938621957907 19153.52 195 195 91153LAA5 US91153LAA52 BN13354 98.27 United States -- USD 1.31 6.69 1 Nov 15, 2025 5.5 1.43 -- 6.69 1.43 6.69 Nov 03, 2020 Nov 03, 2020 BPCEGP BPCE SA MTN 144A Banking Fixed Income 19142.65 0.016417616010614366 19142.65 191 191 05578AAW8 US05578AAW80 -- 100.09 France -- USD 0.01 5.95 1 Jan 14, 2025 5.88 0.21 -- 5.95 0.21 5.95 Jan 14, 2022 Jan 14, 2022 COLTES COLOMBIA REPUBLIC OF (GOVERNMENT) Treasuries Fixed Income 19142.28 0.016417298681617395 19142.28 957114 957114 -- COL17CT03342 BVFPYD7 0.02 Colombia -- USD 4.69 10.37 3970.13 Sep 18, 2030 7.75 4.49 -- 10.37 4.49 10.37 Sep 18, 2014 Sep 18, 2014 MLTPLN MPH ACQUISITION HOLDINGS LLC 144A Consumer Non-Cyclical Fixed Income 19121.02 0.016399065128980445 19121.02 264 264 553283AC6 US553283AC69 BN2B8J6 72.5 United States -- USD 3.71 14.21 1 Nov 01, 2028 5.75 3.54 -- 14.21 3.54 14.21 Oct 29, 2020 Oct 29, 2020 CZGB CZECH REPUBLIC Treasuries Fixed Income 19078.49 0.016362589447247174 19078.49 4794 4794 -- CZ0001003859 B906X90 3.98 Czech Republic -- USD 4 4.19 23.49435 Aug 25, 2028 2.5 3.92 -- 4.19 3.92 4.19 Feb 25, 2013 Feb 25, 2013 SLG SL GREEN REALTY CORP Financial Institutions Equity 19077.67 0.016361886177578205 19077.67 848 848 78440X507 US78440X5077 B89P3T1 22.51 United States -- USD 8.72 7.25 1 Dec 31, 2079 6.5 13.6 -- 7.25 13.6 7.25 Aug 10, 2012 Aug 10, 2012 PFSI PENNYMAC FINANCIAL SERVICES INC 144A Finance Companies Fixed Income 19072.26 0.01635724631305488 19072.26 188 188 70932MAD9 US70932MAD92 -- 101.52 United States -- USD 3.72 7.54 1 Dec 15, 2029 7.88 4.38 -- 7.48 3.73 7.48 Dec 11, 2023 Dec 11, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 19069.79 0.016355127927588593 19069.79 1353 1353 -- CND10006ZG95 -- 14.09 China -- USD 5.82 2.24 7.24715 Sep 15, 2030 2.6 5.76 -- 2.24 5.76 2.24 Sep 15, 2023 Sep 15, 2023 RADIAT RADIATE HOLDCO LLC 144A Communications Fixed Income 19037.44 0.0163273830815018 19037.44 247 247 75026JAC4 US75026JAC45 BM9LQB0 77 United States -- USD 2.21 16.53 1 Sep 15, 2026 4.5 2.09 -- 16.53 2.09 16.53 Sep 25, 2020 Sep 25, 2020 CNR CORNERSTONE BUILDING BRANDS INC 144A Capital Goods Fixed Income 19023.51 0.01631543607358869 19023.51 193 193 13323NAA0 US13323NAA00 -- 98.45 United States -- USD 2.75 9.19 1 Aug 01, 2028 8.75 3.4 -- 9.19 3.4 9.19 Jul 25, 2022 Jul 25, 2022 VGR VECTOR GROUP LTD 144A Consumer Non-Cyclical Fixed Income 19018.87 0.016311456596437447 19018.87 209 209 92240MBL1 US92240MBL19 BMQ7TP6 90.87 United States -- USD 3.8 8.09 1 Feb 01, 2029 5.75 3.99 -- 8.09 3.99 8.09 Jan 28, 2021 Jan 28, 2021 USAC USA COMPRESSION PARTNERS LP Energy Fixed Income 19016.54 0.016309458281402445 19016.54 191 191 91740PAF5 US91740PAF53 BKWC8B0 99.69 United States -- USD 1.86 6.98 1 Sep 01, 2027 6.88 2.92 -- 6.98 2.92 6.98 Sep 01, 2019 Dec 17, 2019 COOP NATIONSTAR MORTGAGE HOLDINGS INC 144A Finance Companies Fixed Income 19007.26 0.01630149932709996 19007.26 202 202 63861CAC3 US63861CAC38 BMD7LH5 93.97 United States -- USD 3.27 7.15 1 Aug 15, 2028 5.5 3.7 -- 7.15 3.7 7.15 Aug 06, 2020 Aug 06, 2020 C CITIGROUP INC Banking Fixed Income 18977.78 0.01627621592485456 18977.78 194 194 172967PF2 US172967PF20 -- 97.71 United States -- USD 4.12 5.85 1 Feb 13, 2030 5.17 4.14 -- 5.73 4.14 5.73 Feb 13, 2024 Feb 13, 2024 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 18967.27 0.01626720206604862 18967.27 205 205 00774MAV7 US00774MAV72 -- 92.38 Ireland -- USD 2.36 5.75 1 Oct 29, 2026 2.45 2.35 -- 5.75 2.35 5.75 Oct 29, 2021 Oct 29, 2021 SIX SIX FLAGS ENTERTAINMENT CORP 144A Consumer Cyclical Fixed Income 18960.82 0.016261670249750015 18960.82 191 191 83001AAD4 US83001AAD46 -- 99.13 United States -- USD 4.01 7.41 1 May 15, 2031 7.25 5.27 -- 7.41 5.27 7.41 May 03, 2023 May 03, 2023 ZAYO ZAYO GROUP HOLDINGS INC 144A Communications Fixed Income 18867.96 0.01618202924796888 18867.96 283 283 98919VAB1 US98919VAB18 -- 66.78 United States -- USD 3.27 18.57 1 Mar 01, 2028 6.13 3.06 -- 18.57 3.06 18.57 Mar 09, 2020 Mar 09, 2020 JPM JPMORGAN CHASE & CO Banking Fixed Income 18856.91 0.01617255226035654 18856.91 195 195 46647PDA1 US46647PDA12 -- 96.6 United States -- USD 2.7 5.88 1 Apr 26, 2028 4.32 2.7 -- 5.57 2.71 5.57 Apr 26, 2022 Apr 26, 2022 FGP FERRELLGAS LP 144A Energy Fixed Income 18856.35 0.016172071978631394 18856.35 200 200 315289AC2 US315289AC26 -- 94.47 United States -- USD 3.54 7.23 1 Apr 01, 2029 5.88 4.17 -- 7.23 4.17 7.23 Mar 30, 2021 Mar 30, 2021 TEP TALLGRASS ENERGY PARTNERS LP 144A Energy Fixed Income 18849.39 0.016166102762904526 18849.39 189 189 87470LAL5 US87470LAL53 -- 99.65 United States -- USD 3.35 7.46 1 Feb 15, 2029 7.38 3.91 -- 7.46 3.91 7.46 Jan 23, 2024 Jan 23, 2024 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 18837.26 0.016155699517679402 18837.26 1883726 1883726 -- IDG000020801 BPK4YK4 0.01 Indonesia -- USD 6.4 7.09 16187.5 Feb 15, 2033 7 6.4 -- 7.09 6.4 7.09 Aug 15, 2022 Aug 19, 2022 AOMR ANGEL OAK MORTGAGE REIT INC Financials Equity 18836.77 0.016155279271169897 18836.77 1765 1765 03464Y108 US03464Y1082 BMFZKV4 10.67 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- Jun 17, 2021 Jun 17, 2021 APLP ARCHROCK PARTNERS LP 144A Energy Fixed Income 18812.24 0.016134241216316448 18812.24 193 193 03959KAC4 US03959KAC45 BL717V2 97.58 United States -- USD 2.65 6.96 1 Apr 01, 2028 6.25 3.41 -- 6.96 3.41 6.96 Dec 20, 2019 Dec 20, 2019 VSTJET VISTAJET MALTA FINANCE PLC 144A Transportation Fixed Income 18793.67 0.016118314731252095 18793.67 249 249 92840JAB5 US92840JAB52 -- 75.56 Switzerland -- USD 4.57 12.43 1 Feb 01, 2030 6.38 4.4 -- 12.43 4.4 12.43 Jan 31, 2022 Jan 31, 2022 MS MORGAN STANLEY MTN Banking Fixed Income 18787.96 0.01611341757294744 18787.96 188 188 61747YEB7 US61747YEB74 -- 100.07 United States -- USD 0 5.91 1 Jan 22, 2025 5.82 0.24 -- 5.01 0.08 5.01 Jul 20, 2021 Jul 20, 2021 WFC WELLS FARGO & COMPANY Banking Fixed Income 18755.3 0.016085406856619938 18755.3 200 200 949746SH5 US949746SH57 BYQ74R7 93.99 United States -- USD 2.36 5.62 1 Oct 23, 2026 3 2.35 -- 5.62 2.35 5.62 Oct 25, 2016 Oct 25, 2016 DLR DIGITAL REALTY TRUST INC Financial Institutions Equity 18752.87 0.016083322776991163 18752.87 874 874 253868855 US2538688555 BD0YJ83 21.46 United States Non-Nms Quotation Service (Nnqs) USD 13 6.14 1 Dec 31, 2079 5.25 16.28 -- 6.14 15.67 6.14 Aug 07, 2017 Aug 07, 2017 HASI HAT HOLDINGS I LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 18717.05 0.01605260189950031 18717.05 183 183 418751AL7 US418751AL75 -- 102.39 United States -- USD 2.57 7.13 1 Jun 15, 2027 8 2.67 -- 7.07 2.48 7.07 Dec 07, 2023 Dec 07, 2023 USLBMH LBM ACQUISITION LLC 144A Capital Goods Fixed Income 18714.73 0.01605061216092469 18714.73 206 206 05552BAA4 US05552BAA44 -- 90.75 United States -- USD 3.74 8.68 1 Jan 15, 2029 6.25 3.88 -- 8.68 3.88 8.68 Dec 18, 2020 Dec 18, 2020 AMWINS AMWINS GROUP INC 144A Insurance Fixed Income 18710.09 0.016046632683773446 18710.09 191 191 031921AC3 US031921AC31 -- 98 United States -- USD 3.52 6.87 1 Feb 15, 2029 6.38 4.02 -- 6.87 4.02 6.87 Feb 15, 2024 Feb 15, 2024 HSBC HSBC HOLDINGS PLC Banking Fixed Income 18700.99 0.01603882810573976 18700.99 196 196 404280BT5 US404280BT50 BD36V02 95.27 United Kingdom -- USD 3.62 6.1 1 Jun 19, 2029 4.58 4.42 -- 5.88 3.65 5.88 Jun 19, 2018 Jun 19, 2018 PRE PARTNERRE LTD Financial Institutions Equity 18667.39 0.016010011202230754 18667.39 957 957 -- BMG686031698 BN6JKG7 19.51 Bermuda -- USD 13.7 6.29 1 Dec 31, 2079 4.88 15.53 -- 6.29 15.53 6.29 Mar 15, 2021 Mar 15, 2021 GT GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 18645.08 0.01599087712135915 18645.08 207 207 382550BN0 US382550BN08 -- 89.95 United States -- USD 4.43 7.35 1 Jul 15, 2029 5 4.39 -- 7.35 4.39 7.35 Jan 15, 2022 Apr 27, 2022 CMCSA COMCAST CORPORATION Communications Fixed Income 18637.93 0.01598474495290411 18637.93 195 195 20030NCT6 US20030NCT63 -- 95.67 United States -- USD 3.96 5.25 1 Oct 15, 2028 4.15 4.01 -- 5.25 4.01 5.25 Oct 05, 2018 Oct 05, 2018 LBRDP LIBERTY BROADBAND CUM REDEEMABLE P Industrial Equity 18636.62 0.01598362143672563 18636.62 839 839 530307503 US5303075031 BN7J721 22.2 United States NASDAQ USD 12.71 7.9 1 Dec 31, 2079 7 12.66 -- 7.9 12.66 7.9 Dec 21, 2020 Dec 21, 2020 SPR SPIRIT AEROSYSTEMS INC Capital Goods Fixed Income 18626.51 0.0159749506362948 18626.51 203 203 85205TAK6 US85205TAK60 BDR7P87 91.75 United States -- USD 3.62 6.92 1 Jun 15, 2028 4.6 3.61 -- 6.92 3.61 6.92 May 30, 2018 May 30, 2018 UNSEAM ALLIED UNIVERSAL HOLDCO LLC 144A Consumer Cyclical Fixed Income 18624.19 0.015972960897719178 18624.19 187 187 019576AA5 US019576AA51 BJYCQ73 99.82 United States -- USD 0.76 6.71 1 Jul 15, 2026 6.63 2 -- 6.71 2 6.71 Jul 12, 2019 Jul 12, 2019 NYMT NEW YORK MORTGAGE TRUST INC Financial Institutions Equity 18612.69 0.015963097969434844 18612.69 801 801 649604873 US6496048736 BKVHQL2 23.25 United States -- USD 0.69 12.77 1 Dec 31, 2079 7.88 0.39 -- 19.23 0.65 19.23 Oct 18, 2019 Oct 18, 2019 BBDBCN BOMBARDIER INC 144A Capital Goods Fixed Income 18594.01 0.015947077143317338 18594.01 176 176 097751CA7 US097751CA78 -- 105.38 Canada -- USD 3.45 7.69 1 Nov 15, 2030 8.75 4.8 -- 7.34 3.61 7.34 Nov 17, 2023 Nov 17, 2023 HESM HESS MIDSTREAM OPERATIONS LP 144A Energy Fixed Income 18577.75 0.01593313182036923 18577.75 188 188 428102AC1 US428102AC14 -- 98.75 United States -- USD 1.32 6.36 1 Feb 15, 2026 5.63 1.67 -- 6.36 1.67 6.36 Aug 15, 2019 Dec 16, 2019 DTV DIRECTV FINANCING LLC 144A Communications Fixed Income 18568.47 0.015925172866066744 18568.47 190 190 25461LAB8 US25461LAB80 -- 97.79 United States -- USD 3.75 9.37 1 Feb 01, 2030 8.88 4.32 -- 9.37 4.32 9.37 Jan 24, 2024 Jan 24, 2024 RAKUTN RAKUTEN GROUP INC 144A Consumer Cyclical Fixed Income 18561.5 0.015919195073880503 18561.5 256 256 75102WAB4 US75102WAB46 BP2FD31 72.46 Japan -- USD 4.59 10.87 1 Dec 31, 2079 6.25 5.2 -- 10.87 5.19 10.87 Apr 22, 2021 Apr 22, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 18556.02 0.015914495174141532 18556.02 1299 1299 -- CND10004NCC6 -- 14.29 China -- USD 4.16 2.06 7.24715 Oct 14, 2028 2.91 4.12 -- 2.06 4.12 2.06 Oct 14, 2021 Oct 13, 2021 AVNT AVIENT CORP 144A Basic Industry Fixed Income 18552.22 0.015911236119578016 18552.22 184 184 05368VAA4 US05368VAA44 -- 100.94 United States -- USD 3.21 6.94 1 Aug 01, 2030 7.13 4.92 -- 6.8 2.83 6.8 Aug 10, 2022 Aug 10, 2022 ABG ASBURY AUTOMOTIVE GROUP INC. 144A Consumer Cyclical Fixed Income 18524.36 0.015887342103751798 18524.36 206 206 043436AW4 US043436AW48 -- 90.14 United States -- USD 4.35 6.78 1 Nov 15, 2029 4.63 4.66 -- 6.78 4.66 6.78 Nov 19, 2021 Nov 19, 2021 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 18503.46 0.015869417303652447 18503.46 186 186 85172FAQ2 US85172FAQ28 BK62TX5 99.26 United States -- USD 3.05 6.85 1 Jan 15, 2028 6.63 3.19 -- 6.85 3.19 6.85 May 09, 2019 May 09, 2019 FYBR FRONTIER COMMUNICATIONS HOLDINGS L 144A Communications Fixed Income 18496.5 0.015863448087925582 18496.5 184 184 35908MAE0 US35908MAE03 -- 100.55 United States -- USD 3.8 8.51 1 Mar 15, 2031 8.63 5.08 -- 8.45 3.22 8.45 Mar 08, 2023 Mar 08, 2023 HGVLLC HILTON GRAND VACATIONS BORROWER LL 144A Consumer Cyclical Fixed Income 18487.21 0.015855480557163716 18487.21 203 203 43284MAA6 US43284MAA62 -- 91.25 United States -- USD 3.98 7.07 1 Jun 01, 2029 5 4.29 -- 7.07 4.29 7.07 Jun 04, 2021 Jun 04, 2021 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 18482.57 0.015851501080012473 18482.57 215 215 12543DBH2 US12543DBH26 -- 86.16 United States -- USD 3.93 9.72 1 Jan 15, 2029 6 3.87 -- 9.72 3.87 9.72 Dec 28, 2020 Dec 28, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 18477.74 0.015847358650133054 18477.74 1335 1335 -- CND100031JZ0 BMT6530 13.84 China -- USD 0.95 1.69 7.24715 Apr 09, 2025 1.99 0.97 -- 1.69 0.97 1.69 Apr 09, 2020 Apr 09, 2020 MSSCRK MOSS CREEK RESOURCES HOLDINGS INC 144A Energy Fixed Income 18436.13 0.01581167200266253 18436.13 185 185 61965RAA3 US61965RAA32 BF2BQ63 99.63 United States -- USD 0.85 7.73 1 Jan 15, 2026 7.5 1.56 -- 7.73 1.56 7.73 Jan 18, 2018 Jan 18, 2018 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 18419.17 0.015797126327557982 18419.17 68219 68219 -- HU0000402748 BJYRQ12 0.27 Hungary -- USD 1.07 7.21 366.65735 Jun 24, 2025 5.5 1.04 -- 7.21 1.04 7.21 Jan 15, 2014 Jan 15, 2014 BNTNF BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 18399.46 0.015780222126124576 18399.46 104 104 -- BRSTNCNTF212 BNT8674 177.25 Brazil -- USD 5.39 11.64 5.17025 Jan 01, 2033 10 5.12 -- 11.64 5.12 11.64 Jan 01, 2022 Jan 07, 2022 CDK CENTRAL PARENT LLC 144A Technology Fixed Income 18385.06 0.015767872024620717 18385.06 180 180 154915AA0 US154915AA07 -- 102.17 United States -- USD 2.7 7.48 1 Jun 15, 2029 8 4.06 -- 7.21 2.67 7.21 Aug 09, 2023 Aug 09, 2023 HWC HANCOCK WHITNEY CORP Financial Institutions Equity 18381.91 0.015765170439916747 18381.91 793 793 410120406 US4101204067 BMXB7Y6 23.18 United States -- USD 8.09 6.79 1 Jun 15, 2060 6.25 13.43 -- 6.79 13.43 6.79 Jun 02, 2020 Jun 02, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 18329.29 0.015720041110671396 18329.29 1306 1306 -- CND10004GNL8 BMYX3G5 14.04 China -- USD 2.2 1.91 7.24715 Aug 12, 2026 2.69 2.18 -- 1.91 2.18 1.91 Aug 12, 2021 Aug 12, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 18314.79 0.01570760524457376 18314.79 1293 1293 -- CND100036Q75 BL587Q0 14.16 China -- USD 5.53 2.22 7.24715 May 21, 2030 2.68 5.53 -- 2.22 5.53 2.22 May 21, 2020 May 21, 2020 DAL DELTA AIR LINES INC Transportation Fixed Income 18310.77 0.015704157507903934 18310.77 180 180 247361ZZ4 US247361ZZ42 -- 102 United States -- USD 1.52 6.13 1 Jan 15, 2026 7.38 1.57 -- 6.07 1.5 6.07 Jun 12, 2020 Jun 12, 2020 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 18308.44 0.015702159192868936 18308.44 240 240 12543DBK5 US12543DBK54 -- 76.44 United States -- USD 5.54 9.53 1 Feb 15, 2031 4.75 5.41 -- 9.53 5.41 9.53 Feb 09, 2021 Feb 09, 2021 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 18280.58 0.015678265177042718 18280.58 280 280 126307BB2 US126307BB25 BM9LYP0 65.25 United States -- USD 5.36 11.86 1 Dec 01, 2030 4.13 5.17 -- 11.86 5.17 11.86 Jun 16, 2020 Jun 16, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 18268.4 0.015667819049520703 18268.4 1826840 1826840 -- IDG000013806 BK5HHR1 0.01 Indonesia -- USD 5.04 7 16187.5 Sep 15, 2030 7 5.04 -- 7 5.04 7 Mar 15, 2019 Aug 01, 2019 SRSDIS SRS DISTRIBUTION INC 144A Capital Goods Fixed Income 18234.15 0.01563844467615215 18234.15 183 183 78471RAB2 US78471RAB24 BMXXL95 99.61 United States -- USD 2.41 4.73 1 Jul 01, 2028 4.63 3.71 -- 4.73 3.71 4.73 Jun 04, 2021 Jun 04, 2021 INTNED ING GROEP NV 144A Banking Fixed Income 18206.97 0.015615133859563616 18206.97 185 185 45685NAA4 US45685NAA46 BG10Y31 98.39 Netherlands -- USD 1.59 5.63 1 Jan 06, 2026 4.63 1.59 -- 5.63 1.59 5.63 Nov 15, 2018 Nov 15, 2018 CLF CLEVELAND-CLIFFS INC 144A Basic Industry Fixed Income 18201.65 0.01561057118317469 18201.65 187 187 185899AN1 US185899AN14 -- 97.19 United States -- USD 4.07 7.34 1 Apr 15, 2030 6.75 4.81 -- 7.34 4.81 7.34 Apr 14, 2023 Apr 14, 2023 O REALTY INCOME CUMULATIVE REDEEMAB Financial Institutions Equity 18185.32 0.01559656582501094 18185.32 763 763 756109880 US7561098804 BPLDNF8 23.84 United States New York Stock Exchange Inc. USD 7.16 6.32 1 Dec 31, 2079 6 15.82 -- 6.32 15.28 6.32 Jan 23, 2024 Jan 23, 2024 RITM RITHM CAPITAL CORP 144A Reits Fixed Income 18178.43 0.015590656644499719 18178.43 188 188 64828TAB8 US64828TAB89 -- 96.82 United States -- USD 3.69 8.8 1 Apr 01, 2029 8 3.95 -- 8.8 3.95 8.8 Mar 19, 2024 Mar 19, 2024 CZGB CZECH REPUBLIC Treasuries Fixed Income 18161.71 0.015576316804420239 18161.71 4586 4586 -- CZ0001005375 BFXZH72 3.96 Czech Republic -- USD 4.74 4.27 23.49435 Jul 23, 2029 2.75 4.64 -- 4.27 4.64 4.27 Feb 23, 2018 Feb 23, 2018 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 18147.4 0.015564043891050778 18147.4 181 181 74256LER6 US74256LER69 BN7DKF7 99.99 United States -- USD 0.01 5.92 1 Aug 23, 2024 5.72 0.08 -- 5.92 0.08 5.92 Aug 25, 2021 Aug 25, 2021 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical Fixed Income 18125.03 0.015544858351422908 18125.03 194 194 552953CH2 US552953CH22 BMXWF12 93.41 United States -- USD 3.93 6.47 1 Oct 15, 2028 4.75 3.93 -- 6.47 3.93 6.47 Oct 13, 2020 Oct 13, 2020 MBIN MERCHANTS BANCORP Financial Institutions Equity 18079.34 0.015505672508526289 18079.34 914 914 58844R702 US58844R7026 BNTVVF6 19.79 United States -- USD 11.33 7.62 1 Dec 31, 2079 6 13.12 -- 7.62 12.87 7.62 Mar 23, 2021 Mar 23, 2021 OAK OAKTREE CAPITAL GROUP LLC Financial Institutions Equity 18077.63 0.015504205933972705 18077.63 833 833 674001300 US6740013007 BYVNFF5 21.69 United States -- USD 9.35 7.7 1 Dec 31, 2079 6.63 12.98 -- 7.7 12.69 7.7 May 17, 2018 May 17, 2018 ARGID ARDAGH PACKAGING FINANCE PLC 144A Capital Goods Fixed Income 18060.03 0.015489111365467989 18060.03 182 182 03969AAQ3 US03969AAQ31 -- 98.99 United States -- USD 0.88 6.3 1 Apr 30, 2025 5.25 0.95 -- 6.3 0.95 6.3 Apr 08, 2020 Apr 08, 2020 AAL AMERICAN AIRLINES INC 144A Transportation Fixed Income 18043.78 0.01547517461897926 18043.78 180 180 023771T32 US023771T329 -- 100.5 United States -- USD 2.56 7.09 1 Feb 15, 2028 7.25 3.24 -- 7.04 2.47 7.04 Feb 15, 2023 Feb 15, 2023 MOH MOLINA HEALTHCARE INC 144A Insurance Fixed Income 18041.46 0.015473184880403638 18041.46 195 195 60855RAJ9 US60855RAJ95 -- 92.54 United States -- USD 3.37 6.46 1 Jun 15, 2028 4.38 3.64 -- 6.46 3.64 6.46 Jun 02, 2020 Jun 02, 2020 CCK CROWN AMERICAS LLC Capital Goods Fixed Income 18025.2 0.01545923955745553 18025.2 185 185 228187AB6 US228187AB66 BG018X3 97.57 United States -- USD 1.54 6.22 1 Feb 01, 2026 4.75 1.65 -- 6.22 1.65 6.22 Feb 01, 2019 Jan 24, 2019 PBFENE PBF HOLDING COMPANY LLC Energy Fixed Income 18004.31 0.015441323333815557 18004.31 185 185 69318FAJ7 US69318FAJ75 -- 97.25 United States -- USD 2.4 6.83 1 Feb 15, 2028 6 3.3 -- 6.83 3.3 6.83 Aug 15, 2020 Nov 24, 2020 CHTR CCO HOLDINGS LLC 144A Communications Fixed Income 17974.13 0.015415439579413718 17974.13 183 183 1248EPBR3 US1248EPBR37 BY9C190 98.07 United States -- USD 1.54 6.54 1 May 01, 2026 5.5 1.82 -- 6.54 1.82 6.54 Apr 21, 2016 Apr 21, 2016 CTLT CATALENT PHARMA SOLUTIONS INC 144A Consumer Non-Cyclical Fixed Income 17962.52 0.015405482310076232 17962.52 190 190 14879EAK4 US14879EAK47 -- 94.7 United States -- USD 4.18 4.53 1 Apr 01, 2030 3.5 5.26 -- 4.53 5.26 4.53 Sep 29, 2021 Sep 29, 2021 CZGB CZECH REPUBLIC Treasuries Fixed Income 17952.37 0.015396777203807888 17952.37 4062 4062 -- CZ0001006688 BM9HZJ9 4.42 Czech Republic -- USD 5.41 4.29 23.49435 Sep 30, 2030 5 5.3 -- 4.29 5.3 4.29 Aug 12, 2022 Aug 12, 2022 MS MORGAN STANLEY MTN Banking Fixed Income 17949.45 0.015394272877669604 17949.45 189 189 61761J3R8 US61761J3R84 BYV6G28 94.94 United States -- USD 2.12 5.54 1 Jul 27, 2026 3.13 2.12 -- 5.54 2.12 5.54 Jul 25, 2016 Jul 25, 2016 IGT INTERNATIONAL GAME TECHNOLOGY PLC 144A Consumer Cyclical Fixed Income 17946.27 0.015391545563587503 17946.27 190 190 460599AE3 US460599AE31 -- 94.22 United States -- USD 3.45 6.7 1 Jan 15, 2029 5.25 4.03 -- 6.7 4.03 6.7 Jun 19, 2020 Jun 19, 2020 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 17936.14 0.015382857610237912 17936.14 759 759 -- PL0000114393 BPP3309 23.63 Poland -- USD 2.79 5.41 4.03785 May 25, 2027 3.75 2.72 -- 5.41 2.72 5.41 May 25, 2021 Jan 17, 2022 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 17923.17 0.015371733942425062 17923.17 190 190 023135BC9 US023135BC96 BDGMR43 94.15 United States -- USD 3.05 5.08 1 Aug 22, 2027 3.15 3.08 -- 5.08 3.08 5.08 Feb 22, 2018 Jun 06, 2018 IGT INTERNATIONAL GAME TECHNOLOGY PLC 144A Consumer Cyclical Fixed Income 17916.09 0.015365661809185666 17916.09 180 180 460599AD5 US460599AD57 BGQVRL8 99.74 United States -- USD 2.22 6.35 1 Jan 15, 2027 6.25 2.43 -- 6.35 2.43 6.35 Sep 26, 2018 Sep 26, 2018 SF STIFEL FINANCIAL CORP Financial Institutions Equity 17904.97 0.015356124786357684 17904.97 741 741 860630706 US8606307069 BJ8J3L3 24.17 United States -- USD 5.65 6.51 1 Dec 31, 2079 6.25 14.86 -- 6.51 14.86 6.51 Feb 28, 2019 Feb 28, 2019 EQM EQM MIDSTREAM PARTNERS LP 144A Energy Fixed Income 17890.55 0.01534375753193507 17890.55 194 194 26885BAK6 US26885BAK61 -- 92.21 United States -- USD 4.07 6.44 1 Jan 15, 2029 4.5 4.1 -- 6.44 4.1 6.44 Jan 08, 2021 Jan 08, 2021 NOG NORTHERN OIL AND GAS INC 144A Energy Fixed Income 17888.23 0.015341767793359449 17888.23 177 177 665531AG4 US665531AG42 BM8C3G8 101.33 United States -- USD 1.91 7.71 1 Mar 01, 2028 8.13 3.22 -- 7.33 1.68 7.33 Feb 18, 2021 Feb 18, 2021 VGR VECTOR GROUP LTD 144A Consumer Non-Cyclical Fixed Income 17862.69 0.015319863516108855 17862.69 178 178 92240MBJ6 US92240MBJ62 BGKX9B4 100.5 United States -- USD 0.08 10.27 1 Nov 01, 2026 10.5 2.06 -- 4.48 0.08 4.48 Nov 02, 2018 Nov 02, 2018 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17862.49 0.015319691986921301 17862.49 1229 1229 -- CND100047QT4 BM8GZV9 14.53 China -- USD 6.31 2.21 7.24715 May 27, 2031 3.02 6.31 -- 2.21 6.31 2.21 May 27, 2021 May 26, 2021 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 17856.6 0.015314640452347848 17856.6 196 196 95000U2S1 US95000U2S19 -- 90.9 United States -- USD 2.87 6.07 1 Jun 02, 2028 2.39 2.89 -- 5.63 2.89 5.63 Jun 02, 2020 Jun 02, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17856.11 0.015314220205838341 17856.11 1281 1281 -- CND1000639M1 -- 13.94 China -- USD 1.77 1.89 7.24715 Feb 15, 2026 2.46 1.75 -- 1.89 1.75 1.89 Feb 15, 2023 Feb 14, 2023 HHH HOWARD HUGHES CORP 144A Financial Other Fixed Income 17853.4 0.01531189598534699 17853.4 191 191 44267DAD9 US44267DAD93 -- 93.45 United States -- USD 3.39 7.18 1 Aug 01, 2028 5.38 3.67 -- 7.18 3.67 7.18 Aug 18, 2020 Aug 18, 2020 SUN SUNOCO LP / SUNOCO FINANCE CORP Energy Fixed Income 17839.47 0.015299948977433881 17839.47 197 197 86765LAT4 US86765LAT44 BL545C0 90.77 United States -- USD 4.08 6.68 1 May 15, 2029 4.5 4.31 -- 6.68 4.31 6.68 May 15, 2021 Jul 06, 2021 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 17832.51 0.015293979761707016 17832.51 194 194 36168QAN4 US36168QAN43 -- 91.97 Canada -- USD 3.96 6.62 1 Jun 15, 2029 4.75 4.37 -- 6.62 4.37 6.62 Jun 08, 2021 Jun 08, 2021 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 17832.08 0.015293610973953776 17832.08 183 183 95000U3A9 US95000U3A91 -- 97.46 United States -- USD 2.91 6 1 Jul 25, 2028 4.81 2.92 -- 5.67 2.93 5.67 Jul 25, 2022 Jul 25, 2022 HGB HUNGARY (REPUBLIC OF) Treasuries Fixed Income 17827.7 0.015289854484746353 17827.7 74282 74282 -- HU0000404611 BMZR010 0.24 Hungary -- USD 1.91 7.18 366.65735 Apr 22, 2026 1.5 1.84 -- 7.18 1.84 7.18 Sep 02, 2020 Sep 02, 2020 IGT INTERNATIONAL GAME TECHNOLOGY PLC 144A Consumer Cyclical Fixed Income 17825.54 0.015288001969520773 17825.54 185 185 460599AF0 US460599AF06 -- 96.15 United States -- USD 1.8 6.23 1 Apr 15, 2026 4.13 1.85 -- 6.23 1.85 6.23 Mar 25, 2021 Mar 25, 2021 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 17823.06 0.01528587500759511 17823.06 71292 71292 -- HU0000404058 BMFH322 0.25 Hungary -- USD 1.52 7.2 366.65735 Nov 26, 2025 1 1.47 -- 7.2 1.47 7.2 Nov 13, 2019 Nov 13, 2019 IRM IRON MOUNTAIN INFORMATION MANAGEME 144A Technology Fixed Income 17818.58 0.015282032753793908 17818.58 202 202 46285MAA8 US46285MAA80 -- 88.14 United States -- USD 5.93 6.91 1 Jul 15, 2032 5 6.35 -- 6.91 6.35 6.91 Dec 28, 2021 Dec 28, 2021 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 17809.29 0.015274065223032044 17809.29 249 249 071734AP2 US071734AP21 -- 71.5 Canada -- USD 2.45 20.02 1 Feb 01, 2027 6.13 2.27 -- 20.02 2.27 20.02 Feb 10, 2022 Feb 10, 2022 SFRFP ALTICE FRANCE SA (FRANCE) 144A Communications Fixed Income 17793.04 0.015260128476543315 17793.04 263 263 02156LAC5 US02156LAC54 -- 67.75 France -- USD 3.26 17.7 1 Jan 15, 2028 5.5 3.06 -- 17.7 3.06 17.7 Sep 27, 2019 Sep 27, 2019 BALL BALL CORPORATION Capital Goods Fixed Income 17781.43 0.015250171207205827 17781.43 215 215 058498AX4 US058498AX40 -- 82.86 United States -- USD 6.37 6.03 1 Sep 15, 2031 3.13 6.35 -- 6.03 6.35 6.03 Sep 14, 2021 Sep 14, 2021 BBDBCN BOMBARDIER INC 144A Capital Goods Fixed Income 17755.89 0.015228266929955233 17755.89 175 175 097751BZ3 US097751BZ39 -- 101.75 Canada -- USD 3.08 7.06 1 Feb 01, 2029 7.5 3.9 -- 6.96 3.19 6.96 Jan 20, 2023 Jan 20, 2023 BAYNGR BAYER US FINANCE II LLC 144A Consumer Non-Cyclical Fixed Income 17719.96 0.01519745171141123 17719.96 191 191 07274NAL7 US07274NAL73 BYZMHK7 92.86 Germany -- USD 4.03 6.17 1 Dec 15, 2028 4.38 4.04 -- 6.17 4.04 6.17 Jun 25, 2018 Jun 25, 2018 IEP ICAHN ENTERPRISES LP 144A Financial Other Fixed Income 17660.71 0.015146636189598476 17660.71 171 171 451102CD7 US451102CD70 -- 103.13 United States -- USD 3.61 8.91 1 Jan 15, 2029 9.75 3.63 -- 8.89 3.47 8.89 Dec 19, 2023 Dec 19, 2023 GNL GLOBAL NET LEASE CUMULATIVE REDE Financial Institutions Equity 17640 0.0151288743422273 17640 865 865 379378508 US3793785086 BQBBF08 20.4 United States New York Stock Exchange Inc. USD 8.62 9.22 1 Dec 31, 2079 7.5 10.81 -- 9.22 10.81 9.22 Sep 12, 2023 Sep 12, 2023 ENR ENERGIZER HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 17637.49 0.015126721650923504 17637.49 201 201 29272WAD1 US29272WAD11 BMD3QC3 87.76 United States -- USD 4.21 7.38 1 Mar 31, 2029 4.38 4.28 -- 7.38 4.28 7.38 Sep 30, 2020 Sep 30, 2020 STENA STENA INTERNATIONAL SA 144A Transportation Fixed Income 17637.49 0.015126721650923504 17637.49 176 176 85858EAD5 US85858EAD58 -- 100.05 Sweden -- USD 4.2 7.24 1 Jan 15, 2031 7.25 5.16 -- 7.23 3.87 7.23 Jan 24, 2024 Jan 24, 2024 AFG AMERICAN FINANCIAL GROUP INC Financial Institutions Equity 17633.17 0.015123016620472345 17633.17 940 940 025932864 US0259328641 BN76JV5 18.76 United States -- USD 13.83 6.04 1 Sep 15, 2060 4.5 15.02 -- 6.04 15.02 6.04 Sep 15, 2020 Sep 15, 2020 BAC BANK OF AMERICA CORP PREF STOCK Financial Institutions Equity 17624.62 0.01511568374770443 17624.62 747 747 060505815 US0605058157 B1GH4Y3 23.59 United States -- USD 0.85 6.53 1 Dec 31, 2079 5.92 17.51 -- 6.53 17.51 6.53 Nov 06, 2006 Nov 06, 2006 EPC EDGEWELL PERSONAL CARE CO 144A Consumer Non-Cyclical Fixed Income 17611.95 0.01510481737367291 17611.95 183 183 28035QAA0 US28035QAA04 -- 96.26 United States -- USD 2.75 6.55 1 Jun 01, 2028 5.5 3.52 -- 6.55 3.52 6.55 May 22, 2020 May 22, 2020 BCULC 1011778 BC UNLIMITED LIABILITY CO 144A Consumer Cyclical Fixed Income 17595.7 0.015090880627184179 17595.7 190 190 68245XAJ8 US68245XAJ81 -- 92.66 Canada -- USD 3.13 6.63 1 Jan 15, 2028 4.38 3.28 -- 6.63 3.28 6.63 Nov 19, 2019 Nov 19, 2019 MXCN METHANEX CORPORATION Basic Industry Fixed Income 17593.38 0.015088890888608557 17593.38 187 187 59151KAL2 US59151KAL26 -- 94.3 Canada -- USD 4.68 6.47 1 Dec 15, 2029 5.25 4.68 -- 6.47 4.68 6.47 Sep 12, 2019 Sep 12, 2019 NEP NEXTERA ENERGY OPERATING PARTNERS 144A Electric Fixed Income 17593.38 0.015088890888608557 17593.38 175 175 65342QAM4 US65342QAM42 -- 100.38 United States -- USD 3.81 7.15 1 Jan 15, 2029 7.25 3.85 -- 7.15 3.85 7.15 Dec 15, 2023 Dec 15, 2023 ABR ARBOR REALTY TRUST INC Financial Institutions Equity 17585.3 0.015081961109431392 17585.3 987 987 038923876 US0389238769 BLN9LD0 17.82 United States -- USD 10.15 9.14 1 Dec 31, 2079 6.38 10.94 -- 9.14 10.64 9.14 Jun 02, 2021 Jun 02, 2021 PRGO PERRIGO FINANCE UNLIMITED CO Consumer Non-Cyclical Fixed Income 17581.77 0.015078933619271071 17581.77 194 194 71429MAC9 US71429MAC91 -- 90.55 United States -- USD 5.12 6.54 1 Jun 15, 2030 4.65 5.1 -- 6.54 5.1 6.54 Jun 19, 2020 Jun 19, 2020 BMO BANK OF MONTREAL Banking Fixed Income 17580.96 0.015078238926061478 17580.96 174 174 06368LC61 US06368LC610 -- 101.16 Canada -- USD 0.03 6.17 1 Dec 11, 2026 6.49 0.12 -- 6.17 0.12 6.17 Dec 11, 2023 Dec 11, 2023 GEL GENESIS ENERGY LP Energy Fixed Income 17577.13 0.015074954142119828 17577.13 176 176 37185LAL6 US37185LAL62 -- 99.67 United States -- USD 2.18 7.85 1 Feb 01, 2028 7.75 3.16 -- 7.85 3.16 7.85 Jan 16, 2020 Jan 16, 2020 CPN CALPINE CORP 144A Electric Fixed Income 17570.16 0.015068976349933585 17570.16 205 205 131347CR5 US131347CR51 BNKD5L5 85.5 United States -- USD 5.61 6.4 1 Mar 01, 2031 3.75 5.81 -- 6.4 5.81 6.4 Dec 16, 2020 Dec 16, 2020 OTEXCN OPEN TEXT CORP 144A Technology Fixed Income 17563.2 0.01506300713420672 17563.2 202 202 683715AD8 US683715AD87 -- 86.88 Canada -- USD 4.67 6.73 1 Dec 01, 2029 3.88 4.79 -- 6.73 4.79 6.73 Nov 24, 2021 Nov 24, 2021 GTN GRAY TELEVISION INC 144A Communications Fixed Income 17558.55 0.015059019080596099 17558.55 194 194 389284AA8 US389284AA85 BGS1HG1 90.55 United States -- USD 2.62 10.71 1 May 15, 2027 7 2.56 -- 10.71 2.56 10.71 Nov 16, 2018 Nov 16, 2018 VMED VIRGIN MEDIA FINANCE PLC 144A Communications Fixed Income 17558.55 0.015059019080596099 17558.55 215 215 92769VAJ8 US92769VAJ89 -- 81.68 United Kingdom -- USD 5.07 8.9 1 Jul 15, 2030 5 5.01 -- 8.9 5.01 8.9 Jun 11, 2020 Jun 11, 2020 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 17553.91 0.015055039603444856 17553.91 192 192 85172FAR0 US85172FAR01 BKTMHD8 91.57 United States -- USD 4.54 7.24 1 Nov 15, 2029 5.38 4.55 -- 7.24 4.55 7.24 Nov 07, 2019 Nov 07, 2019 SOLEIN OLYMPUS WATER US HOLDING CORP 144A Basic Industry Fixed Income 17551.59 0.015053049864869234 17551.59 197 197 681639AA8 US681639AA87 -- 89.3 United States -- USD 3.85 7.1 1 Oct 01, 2028 4.25 3.91 -- 7.1 3.91 7.1 Oct 01, 2021 Oct 01, 2021 GS GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 17532.51 0.01503668598037662 17532.51 185 185 38141GZR8 US38141GZR81 -- 94.58 United States -- USD 2.66 6.04 1 Mar 15, 2028 3.62 2.67 -- 5.67 2.68 5.67 Mar 15, 2022 Mar 15, 2022 URI UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 17516.77 0.015023186633316152 17516.77 188 188 911365BM5 US911365BM59 -- 93 United States -- USD 3.18 6.09 1 Nov 15, 2027 3.88 3.19 -- 6.09 3.19 6.09 Nov 04, 2019 Nov 04, 2019 AMWINS AMWINS GROUP INC 144A Insurance Fixed Income 17512.12 0.015019198579705531 17512.12 194 194 031921AB5 US031921AB57 -- 90.07 United States -- USD 4.14 7.2 1 Jun 30, 2029 4.88 4.37 -- 7.2 4.37 7.2 Jul 19, 2021 Jul 19, 2021 IVR INVESCO MORTGAGE CAPITAL INC Financial Institutions Equity 17511.79 0.015018915556546067 17511.79 814 814 46131B506 US46131B5066 BZ0CHS7 21.52 United States -- USD 2.32 11.62 1 Dec 31, 2079 7.5 2.65 -- 11.62 2.81 11.62 Aug 16, 2017 Aug 16, 2017 TPX TEMPUR SEALY INTERNATIONAL INC 144A Consumer Non-Cyclical Fixed Income 17493.55 0.01500327209464118 17493.55 198 198 88023UAH4 US88023UAH41 BNNLLH4 88.42 United States -- USD 4.25 6.78 1 Apr 15, 2029 4 4.37 -- 6.78 4.37 6.78 Mar 25, 2021 Mar 25, 2021 ARNC ARSENAL AIC PARENT LLC 144A Basic Industry Fixed Income 17488.91 0.014999292617489935 17488.91 168 168 04288BAB6 US04288BAB62 -- 103.91 United States -- USD 3.61 7.23 1 Oct 01, 2030 8 4.98 -- 6.96 3.69 6.96 Aug 10, 2023 Aug 10, 2023 MIK MICHAELS COMPANIES INC 144A Consumer Cyclical Fixed Income 17474.98 0.014987345609576827 17474.98 213 213 55916AAA2 US55916AAA25 -- 82.01 United States -- USD 3.44 10.9 1 May 01, 2028 5.25 3.34 -- 10.9 3.34 10.9 Apr 15, 2021 Apr 15, 2021 PKICN PARKLAND CORP 144A Consumer Cyclical Fixed Income 17465.69 0.014979378078814963 17465.69 194 194 70137WAL2 US70137WAL28 -- 89.93 Canada -- USD 4.62 6.68 1 May 01, 2030 4.63 4.98 -- 6.68 4.98 6.68 Nov 23, 2021 Nov 23, 2021 MGMCHI MGM CHINA HOLDINGS LTD 144A Consumer Cyclical Fixed Income 17461.05 0.01497539860166372 17461.05 178 178 55300RAB7 US55300RAB78 BFY97B7 98.17 Macau -- USD 1.53 6.84 1 May 15, 2026 5.88 1.85 -- 6.84 1.85 6.84 May 16, 2019 May 16, 2019 HGB HUNGARY (REPUBLIC OF) Treasuries Fixed Income 17456 0.014971067489677992 17456 75896 75896 -- HU0000405550 BMH2BK9 0.23 Hungary -- USD 6.73 7.2 366.65735 Nov 24, 2032 4.75 6.49 -- 7.2 6.49 7.2 Jan 19, 2022 Jan 19, 2022 RCICN ROGERS COMMUNICATIONS INC 144A Communications Fixed Income 17447.12 0.014963451593750612 17447.12 184 184 775109BS9 US775109BS95 -- 94.92 Canada -- USD 2.55 8.31 1 Mar 15, 2082 5.25 2.39 -- 7.23 2.6 7.23 Feb 11, 2022 Feb 11, 2022 SPLP STEEL PARTNERS HOLDINGS LP Industrial Equity 17417.77 0.014938279685477122 17417.77 729 729 85814R206 US85814R2067 BYXRB24 23.89 United States New York Stock Exchange Inc. USD 0 -- 1 Jun 07, 2024 6 0 -- -- 0 -- Feb 10, 2017 Feb 10, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17414.25 0.014935260771776178 17414.25 1225 1225 -- CND100054BH7 -- 14.21 China -- USD 4.71 2.13 7.24715 Jun 15, 2029 2.75 4.66 -- 2.13 4.66 2.13 Jun 15, 2022 Jun 15, 2022 HSBC HSBC HOLDINGS PLC Banking Fixed Income 17402.87 0.014925500761004379 17402.87 178 178 404280AW9 US404280AW98 BZ57YZ3 97.58 United Kingdom -- USD 1.76 5.68 1 Mar 08, 2026 4.3 1.76 -- 5.68 1.76 5.68 Mar 08, 2016 Mar 08, 2016 SIGI SELECTIVE INS GROUP DS REPSTG IN Financial Institutions Equity 17400.68 0.014923622516400666 17400.68 959 959 816300503 US8163005031 BNHP5W5 18.15 United States NASDAQ USD 15.8 6.38 1 Dec 31, 2079 4.6 15.4 -- 6.38 15.4 6.38 Dec 09, 2020 Dec 09, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17392.21 0.01491635825530777 17392.21 1234 1234 -- CND10005ZT18 -- 14.09 China -- USD 3.54 2.05 7.24715 Jan 15, 2028 2.64 3.5 -- 2.05 3.5 2.05 Jan 15, 2023 Jan 13, 2023 PK PARK INTERMEDIATE HOLDINGS LLC 144A Reits Fixed Income 17372.82 0.014899728500574451 17372.82 191 191 70052LAC7 US70052LAC72 BM9SJS9 90.91 United States -- USD 3.98 7.04 1 May 15, 2029 4.88 4.26 -- 7.04 4.26 7.04 May 14, 2021 May 14, 2021 AVTR AVANTOR FUNDING INC 144A Consumer Non-Cyclical Fixed Income 17370.5 0.01489773876199883 17370.5 196 196 05352TAB5 US05352TAB52 -- 88.59 United States -- USD 4.51 6.36 1 Nov 01, 2029 3.88 4.73 -- 6.36 4.73 6.36 Oct 26, 2021 Oct 26, 2021 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 17364.96 0.014892987403503593 17364.96 868248 868248 -- COL17CT03557 BG064V8 0.02 Colombia -- USD 1.52 8.6 3970.13 Nov 26, 2025 6.25 1.46 -- 8.6 1.46 8.6 Nov 26, 2017 Nov 26, 2017 VVNT APX GROUP INC 144A Consumer Cyclical Fixed Income 17351.93 0.014881812276934477 17351.93 186 186 00213MAW4 US00213MAW47 -- 93.13 United States -- USD 3.83 7.35 1 Jul 15, 2029 5.75 4.32 -- 7.35 4.32 7.35 Jul 09, 2021 Jul 09, 2021 HBAN HUNTINGTON BANCSHARES INC Financial Institutions Equity 17340.85 0.014872309559944008 17340.85 810 810 446150781 US4461507810 BMHH2W3 21.4 United States NASDAQ USD 11.6 6.73 1 Dec 31, 2079 5.7 14.48 -- 6.73 14.48 6.73 Jun 01, 2021 Jun 10, 2021 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 17334.55 0.01486690639053607 17334.55 184 184 95000U2A0 US95000U2A01 BF3R2P1 94.17 United States -- USD 2.8 5.96 1 May 22, 2028 3.58 3.65 -- 5.68 2.81 5.68 May 22, 2017 May 22, 2017 CC CHEMOURS COMPANY 144A Basic Industry Fixed Income 17331.03 0.014863887476835126 17331.03 189 189 163851AF5 US163851AF58 -- 91.63 United States -- USD 3.67 7.91 1 Nov 15, 2028 5.75 3.82 -- 7.91 3.82 7.91 Nov 27, 2020 Nov 27, 2020 VSAT VIASAT INC 144A Communications Fixed Income 17328.71 0.014861897738259505 17328.71 180 180 92552VAK6 US92552VAK61 BDG75N3 96.16 United States -- USD 1.31 8.61 1 Sep 15, 2025 5.63 1.29 -- 8.61 1.29 8.61 Sep 21, 2017 Sep 21, 2017 ARDGRP ARDONAGH FINCO LTD 144A Insurance Fixed Income 17324.07 0.014857918261108261 17324.07 177 177 039853AA4 US039853AA46 -- 97.66 United Kingdom -- USD 4.47 8.21 1 Feb 15, 2031 7.75 5.11 -- 8.21 5.11 8.21 Feb 16, 2024 Feb 16, 2024 PKICN PARKLAND CORP 144A Consumer Cyclical Fixed Income 17319.43 0.014853938783957018 17319.43 192 192 70137WAG3 US70137WAG33 -- 90.19 Canada -- USD 4.37 6.68 1 Oct 01, 2029 4.5 4.67 -- 6.68 4.67 6.68 Apr 13, 2021 Apr 13, 2021 PPC PILGRIMS PRIDE CORP Consumer Non-Cyclical Fixed Income 17314.78 0.014849950730346397 17314.78 211 211 72147KAH1 US72147KAH14 -- 82.02 United States -- USD 6.39 6.45 1 Mar 01, 2032 3.5 6.56 -- 6.45 6.56 6.45 Sep 01, 2022 Feb 15, 2023 MS MORGAN STANLEY Banking Fixed Income 17310.02 0.01484586833568262 17310.02 177 177 6174468C6 US6174468C63 BYTCKF9 98.06 United States -- USD 1.18 5.63 1 Jul 23, 2025 4 1.18 -- 5.63 1.18 5.63 Jul 23, 2015 Jul 23, 2015 VMED VIRGIN MEDIA SECURED FINANCE PLC 144A Communications Fixed Income 17286.92 0.01482605671452018 17286.92 206 206 92769XAR6 US92769XAR61 -- 83.77 United Kingdom -- USD 5.2 7.81 1 Aug 15, 2030 4.5 5.22 -- 7.81 5.22 7.81 Jun 29, 2020 Jun 29, 2020 BNRE ARGO GROUP INTERNATIONAL HOLDINGS Financial Institutions Equity 17279.31 0.014819530028933766 17279.31 718 718 040128407 US0401284072 BQ72J14 24.08 United States New York Stock Exchange Inc. USD 1.38 11.44 1 Dec 31, 2079 7 0.94 -- 10.62 1.26 10.62 Jul 09, 2020 Jul 09, 2020 MFA MFA FINANCIAL INC Financial Institutions Equity 17275.89 0.014816596879826598 17275.89 872 872 55272X409 US55272X4097 B9N6VM6 19.82 United States New York Stock Exchange Inc. USD 8.76 9.52 1 Dec 31, 2079 7.5 10.43 -- 9.52 10.43 9.52 Apr 15, 2013 Apr 15, 2013 JPM JPMORGAN CHASE & CO Banking Fixed Income 17273.24 0.014814324118091514 17273.24 187 187 46647PCB0 US46647PCB04 -- 92.24 United States -- USD 1.93 5.91 1 Apr 22, 2027 1.58 1.91 -- 5.76 1.91 5.76 Apr 22, 2021 Apr 22, 2021 EHC ENCOMPASS HEALTH CORP Consumer Non-Cyclical Fixed Income 17268.35 0.014810130229455829 17268.35 184 184 29261AAA8 US29261AAA88 BK73CG1 93.66 United States -- USD 3.08 6.42 1 Feb 01, 2028 4.5 3.35 -- 6.42 3.35 6.42 Sep 18, 2019 Sep 18, 2019 BNCN BROOKFIELD FINANCE I UK PLC Financial Institutions Equity 17258.79 0.014801931134290767 17258.79 1082 1082 11272B103 US11272B1035 BLD4BQ8 15.95 United Kingdom -- USD 13.84 7.14 1 Dec 31, 2079 4.5 14.01 -- 7.14 13.57 7.14 Nov 24, 2020 Nov 24, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17254.78 0.014798491974080317 17254.78 1197 1197 -- CND100063XD1 -- 14.42 China -- USD 7.76 2.31 7.24715 Feb 25, 2033 2.88 7.76 -- 2.31 7.76 2.31 Feb 25, 2023 Feb 24, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 17250.72 0.014795009931572978 17250.72 1725072 1725072 -- IDG000018706 BL53JN6 0.01 Indonesia -- USD 6.1 7.07 16187.5 Apr 15, 2032 6.38 6.1 -- 7.07 6.1 7.07 Apr 15, 2021 Jul 08, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17233.91 0.0147805929033591 17233.91 1198 1198 -- CND10004NXW0 -- 14.39 China -- USD 6.71 2.27 7.24715 Nov 18, 2031 2.89 6.71 -- 2.27 6.71 2.27 Nov 18, 2021 Nov 18, 2021 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 17229.8 0.014777067978554872 17229.8 171 171 92343VEP5 US92343VEP58 BG0KD91 100.94 United States -- USD 0.06 5.89 1 May 15, 2025 6.67 0.05 -- 5.76 0.05 5.76 May 15, 2018 May 15, 2018 NBR NABORS INDUSTRIES INC 144A Energy Fixed Income 17221.92 0.01477030972856526 17221.92 175 175 62957HAJ4 US62957HAJ41 -- 98.55 United States -- USD 2.24 7.91 1 May 15, 2027 7.38 2.6 -- 7.91 2.6 7.91 Nov 23, 2021 Nov 23, 2021 TEVA TEVA PHARMACEUTICAL FINANCE NETHER Consumer Non-Cyclical Fixed Income 17221.92 0.01477030972856526 17221.92 164 164 88167AAS0 US88167AAS06 -- 104.93 Israel -- USD 4.28 6.76 1 Sep 15, 2029 7.88 4.34 -- 6.72 4.17 6.72 Mar 09, 2023 Mar 09, 2023 NFP NFP CORP 144A Brokerage/Asset Managers/Exchanges Fixed Income 17212.63 0.014762342197803396 17212.63 172 172 65342RAE0 US65342RAE09 -- 100.1 United States -- USD 1.82 4.85 1 Aug 15, 2028 4.88 3.81 -- 4.79 1.24 4.79 Jun 01, 2021 Jun 01, 2021 RILY B. RILEY FINANCIAL INC Financial Institutions Equity 17180.16 0.01473449443420407 17180.16 828 828 05580M801 US05580M8010 BK8VXH2 20.76 United States -- USD 2.14 7.97 1 Sep 30, 2026 6.5 2.12 -- 7.97 2.12 7.97 Sep 23, 2019 Sep 23, 2019 BBDBCN BOMBARDIER INC 144A Capital Goods Fixed Income 17170.84 0.014726501174064072 17170.84 177 177 097751BX8 US097751BX80 -- 97.19 Canada -- USD 2.67 6.85 1 Feb 15, 2028 6 3.3 -- 6.85 3.3 6.85 Aug 12, 2021 Aug 12, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17154.46 0.014712452933603432 17154.46 1220 1220 -- CND10007C3M6 -- 14.06 China -- USD 6.1 2.23 7.24715 Dec 25, 2030 2.54 6.04 -- 2.23 6.04 2.23 Dec 25, 2023 Dec 22, 2023 NFE NEW FORTRESS ENERGY INC 144A Energy Fixed Income 17142.98 0.014702607158237856 17142.98 176 176 644393AC4 US644393AC48 -- 97.21 United States -- USD 3.6 9.47 1 Mar 15, 2029 8.75 3.84 -- 9.47 3.84 9.47 Mar 08, 2024 Mar 08, 2024 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 17123.15 0.014685600039291917 17123.15 3102 3102 -- MX0MGO0001B0 BLBDXF0 5.52 Mexico -- USD 0.8 10.87 17.2605 Mar 06, 2025 5 0.82 -- 10.87 0.82 10.87 Sep 09, 2021 Nov 19, 2021 GDDY GO DADDY OPERATING COMPANY LLC 144A Consumer Cyclical Fixed Income 17119.76 0.014682692619562883 17119.76 194 194 38016LAC9 US38016LAC90 BL6LVP5 88.13 United States -- USD 4.2 6.38 1 Mar 01, 2029 3.5 4.31 -- 6.38 4.31 6.38 Feb 25, 2021 Feb 25, 2021 AAPL APPLE INC Technology Fixed Income 17087.54 0.014655059267448 17087.54 177 177 037833BY5 US037833BY53 BYN2GK2 96.62 United States -- USD 1.71 5.21 1 Feb 23, 2026 3.25 1.73 -- 5.21 1.73 5.21 Feb 23, 2016 Feb 23, 2016 SATS HUGHES SATELLITE SYSTEMS CORP Communications Fixed Income 17082.62 0.01465083964943418 17082.62 209 209 444454AD4 US444454AD48 BZ12322 81.9 United States -- USD 2.08 14.94 1 Aug 01, 2026 5.25 1.98 -- 14.94 1.98 14.94 Feb 01, 2017 May 11, 2017 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 17080.3 0.014648849910858559 17080.3 205 205 682691AA8 US682691AA80 -- 83.35 United States -- USD 5.37 7.31 1 Sep 15, 2030 4 5.39 -- 7.31 5.39 7.31 Dec 17, 2020 Dec 17, 2020 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 17076.18 0.014645316409594954 17076.18 602 602 -- PEP01000C0J9 B14PKN0 28.35 Peru -- USD 2.06 5.5 3.7361 Aug 12, 2026 8.2 2.06 -- 5.5 2.06 5.5 May 03, 2006 May 03, 2006 CNK CINEMARK USA INC 144A Consumer Cyclical Fixed Income 17073.33 0.014642872118672316 17073.33 185 185 172441BF3 US172441BF30 -- 92.05 United States -- USD 3.47 7.48 1 Jul 15, 2028 5.25 3.63 -- 7.48 3.63 7.48 Jun 15, 2021 Jun 15, 2021 HLT HILTON DOMESTIC OPERATING COMPANY 144A Consumer Cyclical Fixed Income 17066.37 0.01463690290294545 17066.37 190 190 432833AJ0 US432833AJ07 -- 89.67 United States -- USD 4.14 6.18 1 May 01, 2029 3.75 4.37 -- 6.18 4.37 6.18 Dec 01, 2020 Dec 01, 2020 SUN SUNOCO LP Energy Fixed Income 17061.72 0.014632914849334828 17061.72 190 190 86765LAZ0 US86765LAZ04 -- 89.61 United States -- USD 4.65 6.62 1 Apr 30, 2030 4.5 5 -- 6.62 5 6.62 Apr 30, 2022 Jul 15, 2022 SYF SYNCHRONY FINANCIAL Banking Fixed Income 17036.19 0.014611019148543613 17036.19 174 174 87165BAU7 US87165BAU70 -- 97.77 United States -- USD 6.31 7.6 1 Feb 02, 2033 7.25 6.27 -- 7.6 6.27 7.6 Feb 02, 2023 Feb 02, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 17030.37 0.014606027649185803 17030.37 1194 1194 -- CND10005YJN2 -- 14.26 China -- USD 5.2 2.16 7.24715 Dec 15, 2029 2.79 5.14 -- 2.16 5.14 2.16 Dec 15, 2022 Dec 14, 2022 MBIN MERCHANTS BANCORP Financial Institutions Equity 17029.72 0.014605470179326254 17029.72 659 659 58844R884 US58844R8842 BQ0QJ57 25.85 United States -- USD 2.95 8.33 1 Dec 31, 2119 8.25 2.9 -- 8.14 3.06 8.14 Sep 27, 2022 Sep 27, 2022 EHC ENCOMPASS HEALTH CORP Consumer Non-Cyclical Fixed Income 17022.26 0.014599072140630505 17022.26 186 186 29261AAB6 US29261AAB61 -- 91.61 United States -- USD 4.46 6.52 1 Feb 01, 2030 4.75 4.86 -- 6.52 4.86 6.52 Sep 18, 2019 Sep 18, 2019 BALL BALL CORPORATION Capital Goods Fixed Income 17015.29 0.014593094348444262 17015.29 167 167 058498AY2 US058498AY23 -- 101.71 United States -- USD 2.15 6.37 1 Mar 15, 2028 6.88 3.3 -- 6.14 2.27 6.14 Nov 25, 2022 Nov 25, 2022 SCI SERVICE CORPORATION INTERNATIONAL Consumer Cyclical Fixed Income 17010.65 0.014589114871293019 17010.65 178 178 817565CE2 US817565CE22 BK62T02 95.32 United States -- USD 3.62 6.21 1 Jun 01, 2029 5.13 4.31 -- 6.21 4.31 6.21 May 21, 2019 May 21, 2019 NAVI NAVIENT CORP Finance Companies Fixed Income 17001.36 0.014581147340531153 17001.36 192 192 63938CAM0 US63938CAM01 -- 88.5 United States -- USD 4.14 8.41 1 Mar 15, 2029 5.5 4.11 -- 8.41 4.11 8.41 Nov 04, 2021 Nov 04, 2021 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 16999.95 0.0145799380597589 16999.95 176 176 95000U2N2 US95000U2N22 -- 96.35 United States -- USD 0.95 6.67 1 Apr 30, 2026 2.19 0.48 -- 5.98 0.97 5.98 Apr 30, 2020 Apr 30, 2020 INEGRP INEOS FINANCE PLC 144A Basic Industry Fixed Income 16999.04 0.014579157601955531 16999.04 170 170 44984WAJ6 US44984WAJ62 -- 99.91 Luxembourg -- USD 3.45 7.51 1 Apr 15, 2029 7.5 4.03 -- 7.51 4.03 7.51 Feb 07, 2024 Feb 07, 2024 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16997.9 0.014578179885586476 16997.9 1191 1191 -- CND10002HX17 -- 14.27 China -- USD 2.51 1.78 7.24715 Dec 05, 2026 3.12 2.48 -- 1.78 2.48 1.78 Dec 05, 2019 Dec 04, 2019 DHC DIVERSIFIED HEALTHCARE .25% SENIOR Financial Institutions Equity 16983.57 0.014565889819298261 16983.57 1177 1177 25525P305 US25525P3055 BKRTG78 14.43 United States NASDAQ USD 8.47 11.02 1 Feb 01, 2046 6.25 8.55 -- 11.02 8.55 11.02 Feb 18, 2016 Feb 18, 2016 PRGO PERRIGO FINANCE UNLIMITED CO Consumer Non-Cyclical Fixed Income 16978.14 0.01456123280185618 16978.14 176 176 71429MAB1 US71429MAB19 BDB49P9 96.39 United States -- USD 1.75 6.43 1 Mar 15, 2026 4.38 1.77 -- 6.43 1.77 6.43 Mar 10, 2016 Mar 10, 2016 ENOIGA ENERGEAN ISRAEL FINANCE LTD Energy Fixed Income 16975.82 0.014559243063280559 16975.82 178 178 29290WAA5 IL0011971442 BMY3GR7 95.3 Israel -- USD 5.81 9.26 1 Sep 30, 2033 8.5 6.27 -- 9.26 6.27 9.26 Jul 11, 2023 Jul 11, 2023 PIKE PIKE CORP 144A Industrial Other Fixed Income 16971.18 0.014555263586129316 16971.18 181 181 721283AA7 US721283AA72 -- 93.93 United States -- USD 3.31 7.15 1 Sep 01, 2028 5.5 3.75 -- 7.15 3.75 7.15 Aug 26, 2020 Aug 26, 2020 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 16950.99 0.01453794771464578 16950.99 168 168 2027A0KL2 US2027A0KL25 -- 100.82 Australia -- USD 0.02 6.16 1 Mar 14, 2027 6.3 0.13 -- 6.16 0.13 6.16 Mar 14, 2022 Mar 14, 2022 CMCSA COMCAST CORPORATION Communications Fixed Income 16947.39 0.014534860189269815 16947.39 173 173 20030NCS8 US20030NCS80 BGGFFK5 97.92 United States -- USD 1.38 5.44 1 Oct 15, 2025 3.95 1.4 -- 5.44 1.4 5.44 Oct 05, 2018 Oct 05, 2018 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16945.71 0.014533419344094365 16945.71 1183 1183 -- CND100047752 BNNF9K5 14.33 China -- USD 3.74 2.01 7.24715 May 13, 2028 3.01 3.7 -- 2.01 3.7 2.01 May 13, 2021 May 12, 2021 TKCHOL TKC HOLDINGS 144A Consumer Cyclical Fixed Income 16941 0.014529379831727477 16941 177 177 87256YAA1 US87256YAA10 -- 95.75 United States -- USD 3.25 11.63 1 May 15, 2029 10.5 3.63 -- 11.63 3.63 11.63 May 14, 2021 May 14, 2021 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical Fixed Income 16938.68 0.014527390093151855 16938.68 171 171 552953CE9 US552953CE90 BFNJ451 99.28 United States -- USD 1 6.4 1 Jun 15, 2025 5.75 1.06 -- 6.4 1.06 6.4 Jun 18, 2018 Jun 18, 2018 MS MORGAN STANLEY Banking Fixed Income 16908.85 0.014501806514828236 16908.85 180 180 61744YAK4 US61744YAK47 BZ9P8W8 93.99 United States -- USD 2.95 5.93 1 Jul 22, 2028 3.59 3.81 -- 5.64 2.97 5.64 Jul 24, 2017 Jul 24, 2017 C CITIGROUP INC Banking Fixed Income 16898.34 0.014492792656022295 16898.34 179 179 172967KY6 US172967KY63 BYP7GJ4 94.41 United States -- USD 2.33 5.64 1 Oct 21, 2026 3.2 2.34 -- 5.64 2.34 5.64 Oct 21, 2016 Oct 21, 2016 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 16888.3 0.014484181890807106 16888.3 755 755 -- PL0000107611 BDRZS93 22.38 Poland -- USD 3.73 5.5 4.03785 Apr 25, 2028 2.75 3.63 -- 5.5 3.63 5.5 Apr 25, 2013 May 20, 2013 C CITIGROUP INC FXD-FRN Banking Fixed Income 16879.07 0.014476265818801506 16879.07 169 169 172967NX5 US172967NX53 -- 99.78 United States -- USD 1.34 6.24 1 Sep 29, 2026 5.61 1.34 -- 5.77 1.35 5.77 Sep 29, 2022 Sep 29, 2022 TFC TRUIST FINANCIAL DS REPRESENTING Financial Institutions Equity 16865.61 0.01446472190447915 16865.61 791 791 89832Q810 US89832Q8107 BKMF2F1 21.32 United States New York Stock Exchange Inc. USD 0.56 7.24 1 Dec 31, 2079 6.12 15.83 -- 7.24 15.83 7.24 Sep 15, 2019 Dec 09, 2019 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 16859.74 0.014459687522824451 16859.74 184 184 682691AB6 US682691AB63 -- 91.78 United States -- USD 2.51 6.86 1 Jan 15, 2027 3.5 2.5 -- 6.86 2.5 6.86 Jun 22, 2021 Jun 22, 2021 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 16857.42 0.01445769778424883 16857.42 213 213 126307AS6 US126307AS68 BF2BQ30 79.23 United States -- USD 3.29 12.44 1 Feb 01, 2028 5.38 3.17 -- 12.44 3.17 12.44 Jan 29, 2018 Jan 29, 2018 NAVCOR JONES DESLAURIERS INSURANCE MANAGE 144A Insurance Fixed Income 16852.78 0.014453718307097586 16852.78 165 165 48020RAB1 US48020RAB15 -- 102.22 Canada -- USD 3.38 8.02 1 Mar 15, 2030 8.5 4.54 -- 7.82 3.24 7.82 Mar 16, 2023 Mar 16, 2023 AUB ATLANTIC UNION BANKSHARES CORP Financial Institutions Equity 16846.81 0.014448598160849112 16846.81 775 775 04911A206 US04911A2069 BM9JN46 21.75 United States -- USD 8.82 8 1 Dec 31, 2079 6.88 12.27 -- 8 12.27 8 Jun 09, 2020 Jun 09, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 16830.89 0.014434944437519845 16830.89 1683089 1683089 -- IDG000013707 BJBL4C4 0.01 Indonesia -- USD 1.06 6.94 16187.5 Jun 15, 2025 6.5 1.06 -- 6.94 1.06 6.94 Jun 15, 2019 Aug 01, 2019 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 16805.49 0.014413160230700538 16805.49 174 174 92343VDY7 US92343VDY74 BYZNV75 96.85 United States -- USD 2.67 5.31 1 Mar 16, 2027 4.13 2.67 -- 5.31 2.67 5.31 Mar 16, 2017 Mar 16, 2017 URI UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 16790.09 0.014399952483258911 16790.09 198 198 911365BP8 US911365BP80 -- 84.8 United States -- USD 6.09 6.26 1 Jan 15, 2032 3.75 6.4 -- 6.26 6.4 6.26 Aug 13, 2021 Aug 13, 2021 TALO TALOS PRODUCTION INC 144A Energy Fixed Income 16785.45 0.014395973006107668 16785.45 160 160 87485LAD6 US87485LAD64 -- 104.95 United States -- USD 2.71 7.73 1 Feb 01, 2029 9 3.78 -- 7.46 3.12 7.46 Feb 07, 2024 Feb 07, 2024 CVA COVANTA HOLDING CORP 144A Capital Goods Fixed Income 16771.52 0.01438402599819456 16771.52 193 193 22303XAA3 US22303XAA37 BMYT7R2 86.94 United States -- USD 4.54 7.8 1 Dec 01, 2029 4.88 4.63 -- 7.8 4.63 7.8 Nov 30, 2021 Nov 30, 2021 NWG NATWEST MARKETS PLC MTN 144A Banking Fixed Income 16771 0.01438358002230692 16771 168 168 63906YAC2 US63906YAC21 -- 100.02 United Kingdom -- USD 0.01 5.99 1 Aug 12, 2024 5.87 0.05 -- 5.99 0.05 5.99 May 12, 2021 May 12, 2021 BID SOTHEBYS 144A Consumer Cyclical Fixed Income 16764.55 0.014378048206008315 16764.55 182 182 835898AH0 US835898AH05 -- 92.33 United States -- USD 2.85 10.04 1 Oct 15, 2027 7.38 2.87 -- 10.04 2.87 10.04 Oct 02, 2019 Oct 02, 2019 BURLN BURFORD CAPITAL GLOBAL FINANCE LLC 144A Financial Other Fixed Income 16759.91 0.014374068728857072 16759.91 162 162 12116LAE9 US12116LAE92 -- 103.5 United States -- USD 3.55 8.58 1 Jul 01, 2031 9.25 5.07 -- 8.24 3.34 8.24 Jun 26, 2023 Jun 26, 2023 AMCX AMC NETWORKS INC Communications Fixed Income 16752.95 0.014368099513130207 16752.95 247 247 00164VAF0 US00164VAF04 -- 67.78 United States -- USD 4.15 13.59 1 Feb 15, 2029 4.25 3.97 -- 13.59 3.97 13.59 Feb 08, 2021 Feb 08, 2021 RKTRM ROCKET MORTGAGE LLC 144A Finance Companies Fixed Income 16750.62 0.014366101198095208 16750.62 206 206 77313LAB9 US77313LAB99 BP6QRV6 81.17 United States -- USD 7.24 6.72 1 Oct 15, 2033 4 7.51 -- 6.72 7.51 6.72 Oct 05, 2021 Oct 05, 2021 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 16728.25 0.014346915658467338 16728.25 836413 836413 -- COL17CT03722 BM9C3Z6 0.02 Colombia -- USD 8.57 11.21 3970.13 Oct 26, 2050 7.25 8.45 -- 11.21 8.45 11.21 Oct 26, 2019 Sep 14, 2020 SCI SERVICE CORPORATION INTERNATIONAL Consumer Cyclical Fixed Income 16722.76 0.014342207182268992 16722.76 199 199 817565CF9 US817565CF96 -- 84.05 United States -- USD 5.36 6.5 1 Aug 15, 2030 3.38 5.45 -- 6.5 5.45 6.5 Aug 10, 2020 Aug 10, 2020 HNDLIN NOVELIS CORP 144A Basic Industry Fixed Income 16718.12 0.01433822770511775 16718.12 180 180 670001AG1 US670001AG19 -- 92.78 United States -- USD 2.36 6.35 1 Nov 15, 2026 3.25 2.36 -- 6.35 2.36 6.35 Aug 11, 2021 Aug 11, 2021 PEB PEBBLEBROOK HOTEL TRUST Financial Institutions Equity 16703.22 0.014325448780645006 16703.22 932 932 70509V886 US70509V8862 BN72W36 17.93 United States -- USD 11.78 7.97 1 Dec 31, 2079 5.7 12.55 -- 7.97 12.37 7.97 Jul 27, 2021 Jul 27, 2021 IHRT IHEARTCOMMUNICATIONS INC Communications Fixed Income 16678.65 0.014304376419954046 16678.65 199 199 45174HBC0 US45174HBC07 BK0NK53 83.93 United States -- USD 1.84 16 1 May 01, 2026 6.38 1.74 -- 16 1.74 16 May 01, 2019 May 01, 2019 CZGB CZECH REPUBLIC Treasuries Fixed Income 16663.31 0.014291220131268685 16663.31 4747 4747 -- CZ0001004477 BYN6FX0 3.51 Czech Republic -- USD 5.77 4.28 23.49435 May 15, 2030 0.95 5.66 -- 4.28 5.66 4.28 May 15, 2015 May 15, 2015 GGAMFI GGAM FINANCE LTD (LIMERICK BRANCH) 144A Finance Companies Fixed Income 16660.08 0.014288449934889695 16660.08 163 163 36170JAC0 US36170JAC09 -- 102.38 Ireland -- USD 2.27 6.72 1 Feb 15, 2027 8 2.53 -- 6.65 2.08 6.65 Nov 28, 2023 Nov 28, 2023 FMGAU FMG RESOURCES (AUGUST 2006) PTY LT 144A Basic Industry Fixed Income 16650.79 0.01428048240412783 16650.79 174 174 30251GBD8 US30251GBD88 -- 95.87 Australia -- USD 4.92 6.73 1 Apr 15, 2030 5.88 4.93 -- 6.73 4.93 6.73 Apr 11, 2022 Apr 11, 2022 GBLATL GLOBAL ATLANTIC (FIN) CO 144A Insurance Fixed Income 16646.15 0.014276502926976587 16646.15 189 189 37959GAC1 US37959GAC15 BLNB3L8 88.14 United States -- USD 1.97 8.85 1 Oct 15, 2051 4.7 2.07 -- 8.85 2.24 8.85 Jul 06, 2021 Jul 06, 2021 CRGYFN CRESCENT ENERGY FINANCE LLC 144A Energy Fixed Income 16646.15 0.014276502926976587 16646.15 167 167 45344LAD5 US45344LAD55 -- 99.93 United States -- USD 4.61 7.63 1 Apr 01, 2032 7.63 5.84 -- 7.63 5.84 7.63 Mar 26, 2024 Mar 26, 2024 SITC SITE CENTERS DS REPRESENTING TH . Financial Institutions Equity 16639.97 0.01427120267508118 16639.97 762 762 82981J877 US82981J8779 BGL0NT0 21.85 United States New York Stock Exchange Inc. USD 9.66 7.31 1 Dec 31, 2079 6.38 13.49 -- 7.31 13.49 7.31 Jun 05, 2017 Jun 05, 2017 BGS B&G FOODS INC 144A Consumer Non-Cyclical Fixed Income 16632.22 0.014264555919063478 16632.22 161 161 05508WAC9 US05508WAC91 -- 103.11 United States -- USD 2.61 7.16 1 Sep 15, 2028 8 3.64 -- 6.95 2.92 6.95 Sep 26, 2023 Sep 26, 2023 AM ANTERO MIDSTREAM PARTNERS LP 144A Energy Fixed Income 16618.29 0.01425260891115037 16618.29 176 176 03690AAH9 US03690AAH95 -- 94.55 United States -- USD 3.62 6.64 1 Jun 15, 2029 5.38 4.31 -- 6.64 4.31 6.64 Jun 08, 2021 Jun 08, 2021 WYNFIN WYNN RESORTS FINANCE LLC 144A Consumer Cyclical Fixed Income 16615.97 0.014250619172574749 16615.97 179 179 983133AA7 US983133AA70 BKPQND6 92.88 United States -- USD 4.61 6.71 1 Oct 01, 2029 5.13 4.61 -- 6.71 4.61 6.71 Sep 20, 2019 Sep 20, 2019 MORTON SCIH SALT HOLDINGS INC 144A Basic Industry Fixed Income 16609 0.014244641380388506 16609 180 180 78433BAB4 US78433BAB45 -- 92.08 United States -- USD 3.7 8.6 1 May 01, 2029 6.63 4 -- 8.6 4 8.6 Apr 27, 2021 Apr 27, 2021 ADNT ADIENT GLOBAL HOLDINGS LTD 144A Consumer Cyclical Fixed Income 16599.72 0.01423668242608602 16599.72 173 173 00687YAA3 US00687YAA38 BDCSFD0 96.14 United States -- USD 2 6.7 1 Aug 15, 2026 4.88 2.12 -- 6.7 2.12 6.7 Aug 19, 2016 Aug 19, 2016 URI UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 16574.18 0.014214778148835424 16574.18 174 174 911365BL7 US911365BL76 BJX8NT3 95.13 United States -- USD 3.99 6.28 1 Jan 15, 2030 5.25 4.77 -- 6.28 4.77 6.28 May 10, 2019 May 10, 2019 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16565.89 0.014207668264011328 16565.89 1174 1174 -- CND10006KWD3 -- 14.11 China -- USD 5.6 2.23 7.24715 Jun 25, 2030 2.62 5.54 -- 2.23 5.54 2.23 Jun 25, 2023 Jun 25, 2023 HTZ HERTZ CORPORATION (THE) 144A Transportation Fixed Income 16564.89 0.01420681061807356 16564.89 236 236 428040DB2 US428040DB25 -- 70.25 United States -- USD 4.57 12.55 1 Dec 01, 2029 5 4.39 -- 12.55 4.39 12.55 Nov 23, 2021 Nov 23, 2021 WSBC WESBANCO INC Financial Institutions Equity 16564.75 0.014206690547642273 16564.75 690 690 950810705 US9508107052 BMF3M89 23.99 United States -- USD 1.56 11.35 1 Dec 31, 2079 6.75 1.1 -- 10.66 1.39 10.66 Aug 11, 2020 Aug 11, 2020 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 16555.61 0.014198851663771073 16555.61 183 183 36168QAL8 US36168QAL86 -- 90.66 Canada -- USD 3.67 6.5 1 Aug 01, 2028 4 3.81 -- 6.5 3.81 6.5 Nov 23, 2020 Nov 23, 2020 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 16555.61 0.014198851663771073 16555.61 163 163 682691AE0 US682691AE03 -- 101.39 United States -- USD 3.86 7.58 1 Mar 15, 2030 7.88 4.62 -- 7.51 3.8 7.51 Dec 13, 2023 Dec 13, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16555.45 0.01419871444042103 16555.45 1161 1161 -- CND10004TM71 -- 14.26 China -- USD 7.13 2.3 7.24715 May 15, 2032 2.76 7.13 -- 2.3 7.13 2.3 May 15, 2022 May 13, 2022 TDG TRANSDIGM INC Capital Goods Fixed Income 16553.28 0.014196853348736074 16553.28 181 181 893647BQ9 US893647BQ97 -- 91.35 United States -- USD 3.91 6.95 1 May 01, 2029 4.88 4.22 -- 6.95 4.22 6.95 Apr 21, 2021 Sep 20, 2021 RITM NEW RESIDENTIAL INVESTMENT CORP Financial Institutions Equity 16532.27 0.014178834207583568 16532.27 673 673 64828T300 US64828T3005 BJHNY35 24.58 United States Non-Nms Quotation Service (Nnqs) USD 0.29 11.79 1 Dec 31, 2079 7.5 0.09 -- 18.69 0.28 18.69 Jul 02, 2019 Jul 02, 2019 MS MORGAN STANLEY MTN Banking Fixed Income 16530.45 0.01417727329197683 16530.45 170 170 61746BDZ6 US61746BDZ67 BDCRXV1 97.12 United States -- USD 1.66 5.62 1 Jan 27, 2026 3.88 1.65 -- 5.62 1.65 5.62 Jan 27, 2016 Jan 27, 2016 LAD LITHIA MOTORS INC 144A Consumer Cyclical Fixed Income 16530.07 0.01417694738652048 16530.07 190 190 536797AG8 US536797AG85 -- 87.2 United States -- USD 4.33 6.89 1 Jun 01, 2029 3.88 4.41 -- 6.89 4.41 6.89 May 27, 2021 May 27, 2021 TEP TALLGRASS ENERGY PARTNERS LP 144A Energy Fixed Income 16520.78 0.014168979855758613 16520.78 177 177 87470LAJ0 US87470LAJ08 -- 93.53 United States -- USD 4.64 7.24 1 Dec 31, 2030 6 5.26 -- 7.24 5.26 7.24 Dec 22, 2020 Dec 22, 2020 TRTN TRITON INTERNATIONAL LTD Industrial Equity 16513.46 0.014162701887494153 16513.46 659 659 -- BMG9078F1317 BJK4N72 25.05 Bermuda -- USD 0.37 8.06 1 Dec 31, 2079 8 12.41 -- 8.06 12.16 8.06 Jun 24, 2019 Jun 24, 2019 CHDN CHURCHILL DOWNS INCORPORATED 144A Consumer Cyclical Fixed Income 16509.17 0.014159022586421127 16509.17 176 176 171484AE8 US171484AE81 BD3MMN0 93.77 United States -- USD 3.06 6.66 1 Jan 15, 2028 4.75 3.29 -- 6.66 3.29 6.66 Dec 27, 2017 Dec 27, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16499.78 0.014150969291065487 16499.78 1141 1141 -- CND10003W0P5 -- 14.46 China -- USD 3.39 1.88 7.24715 Dec 03, 2027 3.28 3.36 -- 1.88 3.36 1.88 Dec 03, 2020 Dec 02, 2020 GRA W R GRACE HOLDINGS LLC 144A Basic Industry Fixed Income 16497.57 0.014149073893543019 16497.57 176 176 92943GAD3 US92943GAD34 BMCV9F2 93.89 United States -- USD 2.67 7.08 1 Jun 15, 2027 4.88 2.79 -- 7.08 2.79 7.08 Jun 15, 2021 Sep 22, 2021 UNSEAM ATLAS LUXCO 4 SARL 144A Consumer Cyclical Fixed Income 16488.28 0.014141106362781155 16488.28 184 184 049362AA4 US049362AA49 -- 89.66 United States -- USD 3.52 7.61 1 Jun 01, 2028 4.63 3.55 -- 7.61 3.55 7.61 May 14, 2021 May 14, 2021 TPX TEMPUR SEALY INTERNATIONAL INC 144A Consumer Non-Cyclical Fixed Income 16467.38 0.014123181562681804 16467.38 201 201 88023UAJ0 US88023UAJ07 BNQN3J3 81.78 United States -- USD 6.13 7.05 1 Oct 15, 2031 3.88 6.21 -- 7.05 6.21 7.05 Sep 24, 2021 Sep 24, 2021 FHN FIRST HORIZON NATIONAL CORP Financial Institutions Equity 16458.76 0.014115788654698244 16458.76 694 694 320517402 US3205174028 BMH5VC0 23.7 United States -- USD 6.4 6.88 1 Dec 31, 2079 6.5 14.21 -- 6.88 14.21 6.88 May 28, 2020 May 28, 2020 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 16451.62 0.01410966506270258 16451.62 171 171 06051GHT9 US06051GHT94 BK1LZT5 95.97 United States -- USD 1.89 5.95 1 Apr 23, 2027 3.56 1.88 -- 5.73 1.89 5.73 Apr 23, 2019 Apr 23, 2019 BIP BROOKFIELD INFRASTRUCTURE CLASS Utility Equity 16438.25 0.014098198336514623 16438.25 917 917 -- USG162522670 BL55WZ5 17.93 Canada Non-Nms Quotation Service (Nnqs) USD 13.01 7.2 1 Dec 31, 2079 5.13 13.88 -- 7.2 13.52 7.2 Sep 21, 2020 Sep 21, 2020 MTDR MATADOR RESOURCES CO 144A Energy Fixed Income 16432.56 0.014093318331128722 16432.56 166 166 576485AG1 US576485AG13 BRT4R77 99.25 United States -- USD 4.75 6.6 1 Apr 15, 2032 6.5 6.11 -- 6.6 6.11 6.6 Apr 02, 2024 Apr 02, 2024 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 16422.66 0.014084827636344818 16422.66 3938 3938 -- ZAG000077470 B96G6D9 4.17 South Africa -- USD 5.02 11.39 19.06 Feb 28, 2031 7 5.02 -- 11.39 5.02 11.39 Feb 28, 2010 May 28, 2010 PK PARK INTERMEDIATE HOLDINGS LLC 144A Reits Fixed Income 16416.31 0.014079381584639993 16416.31 170 170 70052LAB9 US70052LAB99 BMGWP75 96.35 United States -- USD 2.95 6.84 1 Oct 01, 2028 5.88 3.81 -- 6.84 3.81 6.84 Sep 18, 2020 Sep 18, 2020 BHCCN BAUSCH HEALTH AMERICAS INC 144A Consumer Non-Cyclical Fixed Income 16413.99 0.014077391846064371 16413.99 176 176 91911XAV6 US91911XAV64 BG487H7 93.23 United States -- USD 1.75 13.33 1 Apr 01, 2026 9.25 1.69 -- 13.33 1.69 13.33 Mar 26, 2018 Mar 26, 2018 SEE SEALED AIR CORPORATION 144A Capital Goods Fixed Income 16407.02 0.014071414053878128 16407.02 167 167 812127AA6 US812127AA61 -- 98.11 United States -- USD 2.48 6.7 1 Feb 01, 2028 6.13 3.26 -- 6.7 3.26 6.7 Jan 31, 2023 Jan 31, 2023 MS MORGAN STANLEY MTN Banking Fixed Income 16404.32 0.014069098409846154 16404.32 180 180 61747YEC5 US61747YEC57 -- 91.23 United States -- USD 2.15 5.88 1 Jul 20, 2027 1.51 2.13 -- 5.74 2.14 5.74 Jul 20, 2021 Jul 20, 2021 OI OWENS-BROCKWAY GLASS CONTAINER INC 144A Capital Goods Fixed Income 16400.06 0.014065444838151262 16400.06 165 165 69073TAU7 US69073TAU79 -- 99.52 United States -- USD 3.97 7.34 1 May 15, 2031 7.25 5.27 -- 7.34 5.27 7.34 May 25, 2023 May 25, 2023 GTN GRAY TELEVISION INC 144A Communications Fixed Income 16397.74 0.01406345509957564 16397.74 171 171 389375AJ5 US389375AJ52 BYYYV02 96.05 United States -- USD 1.93 7.84 1 Jul 15, 2026 5.88 2 -- 7.84 2 7.84 Jun 14, 2016 Jun 14, 2016 ACI ALBERTSONS COMPANIES INC MTN 144A Consumer Non-Cyclical Fixed Income 16386.13 0.014053497830238154 16386.13 168 168 013092AB7 US013092AB74 -- 97.58 United States -- USD 2.45 6.6 1 Feb 15, 2028 5.88 3.31 -- 6.6 3.31 6.6 Aug 15, 2019 Aug 15, 2019 TRIVIU TRIVIUM PACKAGING FINANCE BV 144A Capital Goods Fixed Income 16386.13 0.014053497830238154 16386.13 166 166 89686QAB2 US89686QAB23 BK0YL64 98.57 Netherlands -- USD 1.73 9 1 Aug 15, 2027 8.5 2.78 -- 9 2.78 9 Aug 02, 2019 Aug 02, 2019 VNO VORNADO REALTY TRUST Financial Institutions Equity 16383.54 0.014051276527259335 16383.54 1303 1303 929042794 US9290427940 BMHV5V5 12.57 United States -- USD 11.28 8.91 1 Dec 31, 2079 4.45 11.23 -- 8.91 11.09 8.91 Sep 22, 2021 Sep 22, 2021 PERUGB PERU (REPUBLIC OF) Treasuries Fixed Income 16357.71 0.014029123532686788 16357.71 759 759 -- PEP01000C5H2 BL61Y34 21.55 Peru -- USD 9.7 7.43 3.7361 Aug 12, 2040 5.35 9.91 -- 7.43 9.91 7.43 Dec 03, 2019 Dec 03, 2019 MGMCHI MGM CHINA HOLDINGS LTD 144A Consumer Cyclical Fixed Income 16355.95 0.014027614075836317 16355.95 174 174 55300RAG6 US55300RAG65 -- 94.1 Macau -- USD 2.46 7.13 1 Feb 01, 2027 4.75 2.5 -- 7.13 2.5 7.13 Mar 31, 2021 Mar 31, 2021 817 CHINA JINMAO HOLDINGS GROUP LTD Real Estate Equity 16354.67 0.014026516289035973 16354.67 233638 233638 -- HK0817039453 B23TGR6 0.07 China Hong Kong Exchanges And Clearing Ltd USD 0 -- 7.8285 -- 0 0 -- -- 0 -- -- Aug 17, 2007 BPY BROOKFIELD PROPERTY PARTNERS LP Industrial Equity 16330.55 0.01400582986901701 16330.55 1318 1318 -- BMG162491648 BLK7825 12.39 Bermuda -- USD 8.56 11.7 1 Dec 31, 2079 5.75 8.55 -- 11.7 8.47 11.7 Feb 18, 2020 Feb 18, 2020 ACI ALBERTSONS COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 16316.48 0.013993762790672614 16316.48 163 163 01309QAA6 US01309QAA67 -- 99.81 United States -- USD 2.64 6.55 1 Feb 15, 2028 6.5 3.28 -- 6.55 3.28 6.55 Feb 13, 2023 Feb 13, 2023 HLF HLF FINANCING SARL LLC 144A Consumer Non-Cyclical Fixed Income 16309.51 0.013987784998486371 16309.51 169 169 40390DAD7 US40390DAD75 -- 96.75 United States -- USD 3.52 13.12 1 Apr 15, 2029 12.25 3.6 -- 13.12 3.6 13.12 Apr 12, 2024 Apr 12, 2024 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical Fixed Income 16307.19 0.01398579525991075 16307.19 168 168 552953CF6 US552953CF65 BJJZZW5 97.26 United States -- USD 2.64 6.53 1 Apr 15, 2027 5.5 2.69 -- 6.53 2.69 6.53 Apr 10, 2019 Apr 10, 2019 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 16298.08 0.013977982105417683 16298.08 163 163 59217GEQ8 US59217GEQ82 -- 100.02 United States -- USD 0.01 5.74 1 Sep 27, 2024 5.63 0.17 -- 5.74 0.17 5.74 Sep 28, 2021 Sep 28, 2021 GWCN GARDA WORLD SECURITY CORP 144A Consumer Cyclical Fixed Income 16295.58 0.013975837990573264 16295.58 165 165 36257BAA7 US36257BAA70 -- 99 Canada -- USD 1.54 9.84 1 Nov 01, 2027 9.5 2.79 -- 9.84 2.79 9.84 Oct 30, 2019 Oct 30, 2019 AFG AMERICAN FINANCIAL GROUP INC Financial Institutions Equity 16292.94 0.013973573805297556 16292.94 714 714 025932872 US0259328724 BMWJ1L6 22.82 United States -- USD 10.55 6.22 1 Jun 01, 2060 5.63 14.35 -- 6.22 14.35 6.22 May 29, 2020 May 29, 2020 PR PERMIAN RESOURCES OPERATING LLC 144A Energy Fixed Income 16283.97 0.013965880721235778 16283.97 168 168 19416MAB5 US19416MAB54 -- 96.68 United States -- USD 3.3 6.64 1 Jul 01, 2029 5.88 4.3 -- 6.64 4.3 6.64 Jun 30, 2021 Jun 30, 2021 FULT FULTON FINANCIAL CORPORATION Financial Institutions Equity 16275.85 0.0139589166362211 16275.85 898 898 360271308 US3602713089 BN7NYQ6 18.12 United States -- USD 13.18 7.09 1 Dec 31, 2079 5.13 14.11 -- 7.09 13.81 7.09 Oct 29, 2020 Oct 29, 2020 AVNT AVIENT CORP 144A Basic Industry Fixed Income 16270.05 0.013953942289782046 16270.05 164 164 73179PAM8 US73179PAM86 -- 99.44 United States -- USD 0.8 6.3 1 May 15, 2025 5.75 0.98 -- 6.3 0.98 6.3 May 13, 2020 May 13, 2020 TEP TALLGRASS ENERGY PARTNERS LP 144A Energy Fixed Income 16260.76 0.013945974759020182 16260.76 172 172 87470LAD3 US87470LAD38 BYWJVR6 94.49 United States -- USD 2.96 7.21 1 Jan 15, 2028 5.5 3.24 -- 7.21 3.24 7.21 Sep 15, 2017 Sep 15, 2017 ROLLS ROLLS-ROYCE PLC 144A Capital Goods Fixed Income 16258.44 0.01394398502044456 16258.44 165 165 77578JAC2 US77578JAC27 -- 98.75 United Kingdom -- USD 3.03 6.15 1 Oct 15, 2027 5.75 3.09 -- 6.15 3.09 6.15 Oct 21, 2020 Oct 21, 2020 TRTN TRITON INTERNATIONAL LTD Industrial Equity 16241.66 0.013929593721608813 16241.66 802 802 -- BMG9078F1564 BLCGQK4 20.24 Bermuda -- USD 11.83 7.16 1 Dec 31, 2079 5.75 13.97 -- 7.16 13.59 7.16 Aug 18, 2021 Aug 18, 2021 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 16239.42 0.013927672594708214 16239.42 1623942 1623942 -- IDG000015108 BKPMPL6 0.01 Indonesia -- USD 1.83 6.96 16187.5 Apr 15, 2026 5.5 1.83 -- 6.96 1.83 6.96 Apr 15, 2020 Aug 13, 2020 PSDO PRESIDIO HOLDINGS INC 144A Technology Fixed Income 16237.54 0.01392606022034521 16237.54 162 162 74101XAE0 US74101XAE04 -- 100.07 United States -- USD 1.21 4.84 1 Feb 01, 2027 4.88 2.53 -- 4.77 0.74 4.77 Jan 22, 2020 Jan 22, 2020 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 16200.4 0.013894207250216506 16200.4 167 167 12543DBD1 US12543DBD12 -- 97.29 United States -- USD 2.24 8.88 1 Dec 15, 2027 8 3 -- 8.88 3 8.88 Nov 19, 2019 Nov 19, 2019 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16195.35 0.013889876138230778 16195.35 1141 1141 -- CND10005JJ69 -- 14.2 China -- USD 7.39 2.31 7.24715 Aug 15, 2032 2.69 7.39 -- 2.31 7.39 2.31 Aug 15, 2022 Aug 12, 2022 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 16180.08 0.01387677988476106 16180.08 170 170 38145GAH3 US38145GAH39 BZ12537 95.03 United States -- USD 2.28 5.61 1 Nov 16, 2026 3.5 2.36 -- 5.61 2.36 5.61 Nov 16, 2016 Nov 16, 2016 CACC CREDIT ACCEPTANCE CORPORATION 144A Financial Other Fixed Income 16167.89 0.01386632518077967 16167.89 153 153 225310AQ4 US225310AQ40 -- 105.68 United States -- USD 2.46 7.77 1 Dec 15, 2028 9.25 3.64 -- 7.44 2.98 7.44 Dec 19, 2023 Dec 19, 2023 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 16166.07 0.01386476426517293 16166.07 175 175 38141GYA6 US38141GYA65 -- 92.33 United States -- USD 1.82 5.93 1 Mar 09, 2027 1.43 1.8 -- 5.81 1.8 5.81 Mar 08, 2021 Mar 08, 2021 JPM JPMORGAN CHASE & CO Banking Fixed Income 16166.07 0.01386476426517293 16166.07 186 186 46647PCJ3 US46647PCJ30 -- 87.14 United States -- USD 3.79 5.76 1 Jun 01, 2029 2.07 3.79 -- 5.63 3.8 5.63 Jun 01, 2021 Jun 01, 2021 CTLT CATALENT PHARMA SOLUTIONS INC 144A Consumer Non-Cyclical Fixed Income 16158.61 0.013858366226477181 16158.61 170 170 14879EAH1 US14879EAH18 -- 94.84 United States -- USD 3.53 4.32 1 Feb 15, 2029 3.13 4.37 -- 4.32 4.37 4.32 Feb 22, 2021 Feb 22, 2021 NRG NRG ENERGY INC 144A Electric Fixed Income 16158.61 0.013858366226477181 16158.61 172 172 629377CH3 US629377CH34 BK5NCB8 94.11 United States -- USD 3.79 6.62 1 Jun 15, 2029 5.25 4.32 -- 6.62 4.32 6.62 May 14, 2019 May 14, 2019 CZGB CZECH REPUBLIC Treasuries Fixed Income 16155.34 0.01385556172426068 16155.34 4642 4642 -- CZ0001005888 BN324D4 3.48 Czech Republic -- USD 6.47 4.3 23.49435 Mar 13, 2031 1.2 6.33 -- 4.3 6.33 4.3 Mar 13, 2020 Mar 13, 2020 RILY B. RILEY FINANCIAL INC Financial Institutions Equity 16133.96 0.0138372252541112 16133.96 671 671 05580M868 US05580M8689 BLKNPD3 24.03 United States -- USD 0.69 6.74 1 Feb 28, 2025 6.38 0.79 -- 6.74 0.79 6.74 Feb 12, 2020 Feb 12, 2020 ZION ZIONS BANCORP Financial Institutions Equity 16133.96 0.0138372252541112 16133.96 635 635 989701859 US9897018597 B8GFK37 25.42 United States -- USD 0.37 9.89 1 Dec 31, 2079 9.83 0.02 -- 2.73 0.08 2.73 Feb 07, 2013 Feb 07, 2013 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16132.14 0.013835664338504463 16132.14 1134 1134 -- CND100029RW4 -- 14.23 China -- USD 2.01 1.73 7.24715 Jun 06, 2026 3.25 1.99 -- 1.73 1.99 1.73 Jun 06, 2019 Jun 05, 2019 LILAPR LCPR SENIOR SECURED FINANCING DAC 144A Communications Fixed Income 16130.75 0.013834472210650966 16130.75 195 195 50201DAD5 US50201DAD57 -- 82.86 United States -- USD 4.38 9.34 1 Jul 15, 2029 5.13 4.3 -- 9.34 4.3 9.34 Mar 30, 2021 Mar 30, 2021 SCI SERVICE CORPORATION INTERNATIONAL Consumer Cyclical Fixed Income 16126.1 0.013830484157040345 16126.1 188 188 817565CG7 US817565CG79 -- 85.99 United States -- USD 5.59 6.51 1 May 15, 2031 4 5.82 -- 6.51 5.82 6.51 May 24, 2021 May 24, 2021 RKTRM ROCKET MORTGAGE LLC 144A Finance Companies Fixed Income 16119.14 0.01382451494131348 16119.14 184 184 74841CAA9 US74841CAA99 BN7NDB4 87.73 United States -- USD 4.21 6.62 1 Mar 01, 2029 3.63 4.29 -- 6.62 4.29 6.62 Sep 14, 2020 Sep 14, 2020 CZGB CZECH REPUBLIC RegS Treasuries Fixed Income 16114.75 0.013820749875646679 16114.75 3883 3883 -- CZ0001004253 BMMV220 4.15 Czech Republic -- USD 1.34 4.24 23.49435 Sep 17, 2025 2.4 1.32 -- 4.24 1.32 4.24 Mar 17, 2014 Mar 17, 2014 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 16093.87 0.013802842228466082 16093.87 869 869 -- PL0000113783 BMD24S2 18.52 Poland -- USD 7.24 5.77 4.03785 Apr 25, 2032 1.75 7.04 -- 5.77 7.04 5.77 Apr 25, 2021 Jun 15, 2021 HNDLIN NOVELIS CORP 144A Basic Industry Fixed Income 16091.28 0.013800620925487263 16091.28 191 191 670001AH9 US670001AH91 -- 84.17 United States -- USD 5.91 6.64 1 Aug 15, 2031 3.88 6.08 -- 6.64 6.08 6.64 Aug 11, 2021 Aug 11, 2021 PFSI PENNYMAC FINANCIAL SERVICES INC 144A Finance Companies Fixed Income 16084.31 0.01379464313330102 16084.31 163 163 70932MAA5 US70932MAA53 BN7JDY5 98.86 United States -- USD 1.17 6.2 1 Oct 15, 2025 5.38 1.39 -- 6.2 1.39 6.2 Sep 29, 2020 Sep 29, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 16055.02 0.013769522683783796 16055.02 1154 1154 -- CND10006FNG5 -- 13.91 China -- USD 1.97 1.89 7.24715 May 15, 2026 2.3 1.95 -- 1.89 1.95 1.89 May 15, 2023 May 12, 2023 ALIANT ALLIANT HOLDINGS INTERMEDIATE LLC 144A Insurance Fixed Income 16047.17 0.013762790163172318 16047.17 174 174 01883LAB9 US01883LAB99 BMXWDZ2 92.27 United States -- USD 3.05 6.78 1 Oct 15, 2027 4.25 3.14 -- 6.78 3.14 6.78 Oct 15, 2020 Oct 15, 2020 OLN OLIN CORP Basic Industry Fixed Income 16047.17 0.013762790163172318 16047.17 166 166 680665AL0 US680665AL00 BKFH1M4 96.46 United States -- USD 3.56 6.42 1 Aug 01, 2029 5.63 4.42 -- 6.42 4.42 6.42 Jul 16, 2019 Jul 16, 2019 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 16035.88 0.013753107340534917 16035.88 2992 2992 -- MX0MGO000193 BQLSC64 5.36 Mexico -- USD 2.07 10.63 17.2605 Sep 03, 2026 7 2.1 -- 10.63 2.1 10.63 Mar 09, 2023 Jun 12, 2023 LABL LABL INC 144A Capital Goods Fixed Income 16033.24 0.013750843155259209 16033.24 164 164 50168AAA8 US50168AAA88 BJQXGR4 97.87 United States -- USD 1.92 11.29 1 Jul 15, 2027 10.5 2.59 -- 11.29 2.59 11.29 Jul 01, 2019 Jul 01, 2019 ROLLS ROLLS-ROYCE PLC 144A Capital Goods Fixed Income 16030.92 0.013748853416683587 16030.92 167 167 77578JAB4 US77578JAB44 BZBWT91 96.26 United Kingdom -- USD 1.4 6.33 1 Oct 14, 2025 3.63 1.4 -- 6.33 1.4 6.33 Oct 14, 2015 Oct 14, 2015 LABL LABL INC 144A Capital Goods Fixed Income 16021.63 0.013740885885921723 16021.63 163 163 50168AAB6 US50168AAB61 BJQXGS5 98.53 United States -- USD 1.5 7.47 1 Jul 15, 2026 6.75 1.99 -- 7.47 1.99 7.47 Jul 01, 2019 Jul 01, 2019 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 16018.49 0.013738192877677132 16018.49 6209 6209 -- TH0623037601 BNXGW98 2.58 Thailand -- USD 3.05 2.45 37.0175 Jun 17, 2027 1 3.05 -- 2.45 3.05 2.45 Jul 16, 2021 Jul 16, 2021 BIP BROOKFIELD INFRASTRUCTURE PARTNERS Utility Equity 15976.69 0.01370234327747843 15976.69 922 922 -- BMG162522756 BMT9V97 17.32 Canada New York Stock Exchange Inc. USD 13.13 7.28 1 Dec 31, 2079 5 13.74 -- 7.28 13.39 7.28 Jan 21, 2021 Jan 21, 2021 AMG AFFILIATED MANAGERS GROUP INC. Financial Institutions Equity 15974.98 0.013700876702924846 15974.98 951 951 008252835 US0082528359 BL972M4 16.79 United States -- USD 14.35 6.28 1 Sep 30, 2061 4.2 14.87 -- 6.28 14.87 6.28 Jul 13, 2021 Jul 13, 2021 BAC BANK OF AMERICA CORP Banking Fixed Income 15973.36 0.013699487316505662 15973.36 166 166 06051GFX2 US06051GFX25 BYM7C88 96.47 United States -- USD 1.89 5.4 1 Apr 19, 2026 3.5 1.88 -- 5.4 1.88 5.4 Apr 19, 2016 Apr 19, 2016 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 15969.86 0.013696485555723474 15969.86 159 159 60687YCZ0 US60687YCZ07 -- 100.25 Japan -- USD 3.58 5.9 1 Jul 06, 2029 5.78 3.62 -- 5.71 3.62 5.71 Jul 06, 2023 Jul 06, 2023 MXCN METHANEX CORPORATION Basic Industry Fixed Income 15947.34 0.01367717136920494 15947.34 167 167 59151KAM0 US59151KAM09 BN13TV2 95.48 Canada -- USD 3.03 6.6 1 Oct 15, 2027 5.13 3.11 -- 6.6 3.11 6.6 Sep 22, 2020 Sep 22, 2020 POWSOL CLARIOS GLOBAL LP 144A Consumer Cyclical Fixed Income 15947.34 0.01367717136920494 15947.34 160 160 69867DAA6 US69867DAA63 BJ0M451 99.68 United States -- USD 0.86 6.42 1 May 15, 2026 6.25 1.85 -- 6.42 1.85 6.42 Apr 01, 2019 Apr 01, 2019 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 15938.09 0.013669238144280586 15938.09 158 158 78016FZV9 US78016FZV92 -- 100.9 Canada -- USD 0.01 6.03 1 Jan 12, 2026 6.39 0.21 -- 6.03 0.21 6.03 Jan 12, 2023 Jan 12, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 15936.14 0.013667565734701938 15936.14 1593614 1593614 -- IDG000010802 BCV7LV1 0.01 Indonesia -- USD 6.75 7.1 16187.5 Mar 15, 2034 8.38 6.76 -- 7.1 6.76 7.1 Mar 15, 2013 Aug 01, 2013 VTLE VITAL ENERGY INC Energy Fixed Income 15931.09 0.01366323462271621 15931.09 146 146 516806AJ5 US516806AJ59 -- 108.88 United States -- USD 3.12 7.97 1 Oct 15, 2030 9.75 4.82 -- 7.38 3.62 7.38 Sep 25, 2023 Sep 25, 2023 AM ANTERO MIDSTREAM PARTNERS LP 144A Energy Fixed Income 15919.48 0.013653277353378722 15919.48 157 157 03690EAA6 US03690EAA64 -- 101.61 United States -- USD 0.98 7.02 1 May 15, 2026 7.88 1.81 -- 6.27 0.97 6.27 Nov 10, 2020 Nov 10, 2020 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 15905.41 0.013641210275034328 15905.41 83713 83713 -- HU0000404744 BNDS0P6 0.19 Hungary -- USD 7.77 7.17 366.65735 Apr 20, 2033 2.25 7.5 -- 7.17 7.5 7.17 Oct 28, 2020 Oct 28, 2020 SFRFP ALTICE FRANCE HOLDING SA 144A Communications Fixed Income 15891.62 0.013629383337552507 15891.62 426 426 02156TAB0 US02156TAB08 -- 37.27 Luxembourg -- USD 2.1 50 1 May 15, 2027 10.5 1.68 -- 50 1.68 50 Nov 15, 2019 Feb 27, 2020 PFE PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 15887.52 0.013625866989207659 15887.52 162 162 716973AB8 US716973AB84 -- 98.3 United States -- USD 1.88 5.33 1 May 19, 2026 4.45 1.91 -- 5.33 1.91 5.33 May 19, 2023 May 19, 2023 AHH ARMADA HOFFLER PROPERTIES INC Financial Institutions Equity 15886.09 0.01362464055551665 15886.09 742 742 04208T207 US04208T2078 BK645V1 21.4 United States -- USD 9.24 7.9 1 Dec 31, 2079 6.75 12.65 -- 7.9 12.47 7.9 Jun 18, 2019 Jun 18, 2019 TRTN TRITON INTERNATIONAL LTD Industrial Equity 15879.25 0.013618774257302317 15879.25 688 688 -- BMG9078F2067 BMTQTF0 23.08 Bermuda -- USD 7.29 7.51 1 Dec 31, 2079 6.88 13.04 -- 7.51 13.04 7.51 Jan 24, 2020 Jan 24, 2020 MINAU MINERAL RESOURCES LTD 144A Basic Industry Fixed Income 15826.61 0.01357362777513821 15826.61 155 155 603051AD5 US603051AD53 -- 102.11 Australia -- USD 2.82 8.05 1 May 01, 2030 8.5 4.48 -- 7.88 3.23 7.88 May 02, 2022 May 02, 2022 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 15824.46 0.013571783836372009 15824.46 164 164 94974BGL8 US94974BGL80 BYQXN34 96.48 United States -- USD 2.95 5.5 1 Jul 22, 2027 4.3 2.94 -- 5.5 2.94 5.5 Jul 22, 2015 Jul 22, 2015 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 15822.7 0.013570274379521538 15822.7 154 154 38141GA46 US38141GA468 -- 103.03 United States -- USD 3.84 5.94 1 Oct 24, 2029 6.48 3.87 -- 5.71 3.87 5.71 Oct 24, 2023 Oct 24, 2023 ACRISU ACRISURE LLC 144A Insurance Fixed Income 15763.93 0.013519870527758913 15763.93 177 177 00489LAF0 US00489LAF04 -- 89.1 United States -- USD 4.06 6.95 1 Feb 15, 2029 4.25 4.18 -- 6.95 4.18 6.95 Feb 16, 2021 Feb 16, 2021 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 15763.14 0.013519192987468075 15763.14 166 166 09659W2F0 US09659W2F00 BFXHND6 94.81 France -- USD 3.83 5.78 1 Aug 14, 2028 4.4 3.81 -- 5.78 3.81 5.78 Aug 14, 2018 Aug 14, 2018 HESM HESS MIDSTREAM OPERATIONS LP 144A Energy Fixed Income 15745.35 0.013503935466235184 15745.35 175 175 428102AE7 US428102AE79 -- 90 United States -- USD 4.6 6.33 1 Feb 15, 2030 4.25 4.96 -- 6.33 4.96 6.33 Aug 05, 2021 Aug 05, 2021 KMPR KEMPER CORP Financial Institutions Equity 15713.43 0.01347655940790163 15713.43 712 712 488401308 US4884013081 BNW0GQ6 22.08 United States -- USD 2.22 9.42 1 Mar 15, 2062 5.88 2.32 -- 9.42 2.5 9.42 Mar 10, 2022 Mar 10, 2022 HBI HANESBRANDS INC 144A Consumer Cyclical Fixed Income 15710.53 0.013474072234682102 15710.53 158 158 410345AQ5 US410345AQ54 -- 99.57 United States -- USD 3.84 9.08 1 Feb 15, 2031 9 4.92 -- 9.08 4.92 9.08 Feb 14, 2023 Feb 14, 2023 NREF NEXPOINT REAL ESTATE FINANCE INC Financials Equity 15707.79 0.013471722284812618 15707.79 1209 1209 65342V101 US65342V1017 BL1J6B5 12.99 United States New York Stock Exchange Inc. USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- CADE CADENCE BANK NON CUMULATIVE PERP Financial Institutions Equity 15701.47 0.013466301962485924 15701.47 775 775 12740C202 US12740C2026 BMD1WD0 20.27 United States New York Stock Exchange Inc. USD 12.28 6.87 1 Dec 31, 2079 5.5 14.21 -- 6.87 14.21 6.87 Nov 20, 2019 Nov 13, 2019 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 15694.82 0.013460598616999766 15694.82 165 165 06051GJD2 US06051GJD25 -- 95.02 United States -- USD 1.12 6.14 1 Jun 19, 2026 1.32 1.1 -- 5.86 1.11 5.86 Jun 19, 2020 Jun 19, 2020 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 15689.7 0.013456207469798394 15689.7 693 693 -- PL0000109427 BDHDCF1 22.65 Poland -- USD 3.02 5.43 4.03785 Jul 25, 2027 2.5 2.94 -- 5.43 2.94 5.43 Jul 25, 2016 Oct 10, 2016 YUM KFC HOLDING CO/PIZZA HUT HOLDINGS 144A Consumer Cyclical Fixed Income 15687.31 0.01345415769600713 15687.31 163 163 48250NAC9 US48250NAC92 BDFZC60 96.27 United States -- USD 2.38 6.09 1 Jun 01, 2027 4.75 2.78 -- 6.09 2.78 6.09 Jun 15, 2017 Jun 15, 2017 MSFT MICROSOFT CORPORATION Technology Fixed Income 15686.06 0.01345308563858492 15686.06 162 162 594918BJ2 US594918BJ27 BYV2S19 97.03 United States -- USD 1.43 5.18 1 Nov 03, 2025 3.13 1.44 -- 5.18 1.44 5.18 Nov 03, 2015 Nov 03, 2015 BPY BROOKFIELD PROPERTY PARTNERS LP Industrial Equity 15670.7 0.013439912196980803 15670.7 1151 1151 -- BMG162491564 BK1KVK5 13.62 Bermuda -- USD 8.46 11.8 1 Dec 31, 2079 6.38 8.48 -- 11.8 8.4 11.8 Aug 20, 2019 Aug 20, 2019 NAVI NAVIENT CORP Finance Companies Fixed Income 15668.74 0.013438231210942777 15668.74 167 167 63938CAK4 US63938CAK45 -- 93.67 United States -- USD 2.6 7.47 1 Mar 15, 2027 5 2.61 -- 7.47 2.61 7.47 Jan 27, 2020 Jan 27, 2020 ABIBB ANHEUSER-BUSCH INBEV WORLDWIDE INC MTN Consumer Non-Cyclical Fixed Income 15658.03 0.013429045822949282 15658.03 163 163 035240AL4 US035240AL43 BFYCQN1 96.17 Belgium -- USD 3.55 5.08 1 Apr 13, 2028 4 3.6 -- 5.08 3.6 5.08 Apr 04, 2018 Apr 04, 2018 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 15658.03 0.013429045822949282 15658.03 163 163 38141GWB6 US38141GWB66 BDFDPG5 95.89 United States -- USD 2.37 5.48 1 Jan 26, 2027 3.85 2.54 -- 5.48 2.54 5.48 Jan 26, 2017 Jan 26, 2017 BEPUCN BROOKFIELD RENEWABLE PARTNERS LP Utility Equity 15650.18 0.013422313302337804 15650.18 911 911 -- BMG162582313 BL0FH99 17.17 Canada Non-Nms Quotation Service (Nnqs) USD 12.21 7.78 1 Dec 31, 2079 5.25 12.85 -- 7.78 12.44 7.78 Feb 24, 2020 Feb 24, 2020 NBR NABORS INDUSTRIES INC 144A Energy Fixed Income 15633.92 0.013408367979389697 15633.92 152 152 62957HAP0 US62957HAP01 -- 102.53 Bermuda -- USD 3.36 8.55 1 Jan 31, 2030 9.13 4.28 -- 8.37 3.26 8.37 Nov 20, 2023 Nov 20, 2023 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 15626.95 0.013402390187203454 15626.95 247 247 126307BF3 US126307BF39 -- 63.23 United States -- USD 5.74 11.25 1 Feb 15, 2031 3.38 5.55 -- 11.25 5.55 11.25 Aug 17, 2020 Aug 17, 2020 AMC AMC ENTERTAINMENT HOLDINGS INC 144A Consumer Cyclical Fixed Income 15624.63 0.013400400448627833 15624.63 231 231 00165CBA1 US00165CBA18 BMZPWN0 67.75 United States -- USD 3.78 17.74 1 Feb 15, 2029 7.5 3.55 -- 17.74 3.55 17.74 Feb 14, 2022 Feb 14, 2022 NCX NOVA CHEMICALS CORP 144A Owned No Guarantee Fixed Income 15619.99 0.01339642097147659 15619.99 153 153 66977WAU3 US66977WAU36 -- 101.87 Canada -- USD 3.61 8.58 1 Feb 15, 2030 9 4.39 -- 8.47 3.46 8.47 Feb 12, 2024 Feb 12, 2024 UGI UGI UNITS CORP Industrial Equity 15619.41 0.013395923536832683 15619.41 258 258 902681113 US9026811136 BLCW7R6 60.61 United States New York Stock Exchange Inc. USD 1.38 8.3 1 Jun 01, 2024 7.25 1.35 -- 8.3 1.35 8.3 May 25, 2021 May 25, 2021 HGB HUNGARY (REPUBLIC OF) Treasuries Fixed Income 15613.15 0.013390554673262256 15613.15 65055 65055 -- HU0000403118 BYY7PC1 0.24 Hungary -- USD 3.2 7.2 366.65735 Oct 27, 2027 3 3.1 -- 7.2 3.1 7.2 Jan 13, 2016 Jan 13, 2016 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 15608.51 0.013386575196111012 15608.51 70948 70948 -- HU0000403696 BJH5419 0.22 Hungary -- USD 5.45 7.2 366.65735 Aug 21, 2030 3 5.26 -- 7.2 5.26 7.2 Feb 20, 2019 Feb 20, 2019 AM ANTERO MIDSTREAM PARTNERS LP 144A Energy Fixed Income 15606.06 0.01338447396356348 15606.06 161 161 03690AAF3 US03690AAF30 BK60MT6 97.21 United States -- USD 2.58 6.61 1 Jan 15, 2028 5.75 3.24 -- 6.61 3.24 6.61 Jun 28, 2019 Jun 28, 2019 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 15603.72 0.013382467072069103 15603.72 175 175 00774MAW5 US00774MAW55 -- 88.94 Ireland -- USD 4.06 5.82 1 Oct 29, 2028 3 4.05 -- 5.82 4.05 5.82 Oct 29, 2021 Oct 29, 2021 GT GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 15601.41 0.013380485909952859 15601.41 163 163 382550BG5 US382550BG56 BF08246 95.64 United States -- USD 2.6 6.55 1 Mar 15, 2027 4.88 2.63 -- 6.55 2.63 6.55 Mar 07, 2017 Mar 07, 2017 MHED MCGRAW-HILL EDUCATION INC 144A Communications Fixed Income 15601.41 0.013380485909952859 15601.41 171 171 57767XAB6 US57767XAB64 BN72CG9 91.35 United States -- USD 3.86 10.15 1 Aug 01, 2029 8 4.06 -- 10.15 4.06 10.15 Jul 30, 2021 Jul 30, 2021 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 15600.4 0.013379619687555714 15600.4 657 657 -- PL0000112728 BMC4KJ2 23.74 Poland -- USD 0.97 5.11 4.03785 Apr 25, 2025 0.75 0.95 -- 5.11 0.95 5.11 Apr 25, 2020 May 11, 2020 BAC BANK OF AMERICA CORP Financial Institutions Equity 15581.8 0.013363667473113228 15581.8 725 725 060505625 US0605056250 B06H0T3 21.48 United States -- USD -2.15 7.54 1 Dec 31, 2079 6.25 14.97 -- 7.54 14.97 7.54 Mar 14, 2005 Mar 14, 2005 MINAU MINERAL RESOURCES LTD 144A Basic Industry Fixed Income 15578.2 0.013360579947737265 15578.2 154 154 603051AC7 US603051AC70 -- 101.23 Australia -- USD 2.23 7.59 1 Nov 01, 2027 8 2.91 -- 7.45 2.16 7.45 May 02, 2022 May 02, 2022 WMG WMG ACQUISITION CORP 144A Communications Fixed Income 15575.87 0.013358581632702265 15575.87 188 188 92933BAR5 US92933BAR50 -- 82.83 United States -- USD 5.81 6.12 1 Feb 15, 2031 3 5.91 -- 6.12 5.91 6.12 Aug 12, 2020 Aug 12, 2020 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 15573.94 0.013356926376042372 15573.94 176 176 92343VGH1 US92343VGH15 -- 88.44 United States -- USD 3.66 5.42 1 Mar 22, 2028 2.1 3.66 -- 5.42 3.66 5.42 Mar 22, 2021 Mar 22, 2021 LVIATH LEVIATHAN BOND LTD Energy Fixed Income 15552.66 0.01333867567048667 15552.66 161 161 -- IL0011677742 -- 96.72 Israel -- USD 1.11 9.1 1 Jun 30, 2025 6.13 1.09 -- 9.1 1.09 9.1 Aug 18, 2020 Aug 18, 2020 C CITIGROUP INC Banking Fixed Income 15551.17 0.013337397778039396 15551.17 163 163 172967LD1 US172967LD18 BDDXTT8 95.58 United States -- USD 2.48 6.04 1 Jan 10, 2028 3.89 3.34 -- 5.67 2.49 5.67 Jan 10, 2017 Jan 10, 2017 SUMMAT SUMMIT MATERIALS LLC 144A Capital Goods Fixed Income 15536.41 0.01332473892399794 15536.41 163 163 86614RAN7 US86614RAN70 BN2Y9Q9 95.24 United States -- USD 3.22 6.43 1 Jan 15, 2029 5.25 4.04 -- 6.43 4.04 6.43 Aug 11, 2020 Aug 11, 2020 CNSL CONSOLIDATED COMMUNICATIONS INC 144A Communications Fixed Income 15534.09 0.013322749185422318 15534.09 183 183 20903XAF0 US20903XAF06 -- 84.88 United States -- USD 3.76 10.89 1 Oct 01, 2028 6.5 3.65 -- 10.89 3.65 10.89 Oct 02, 2020 Oct 02, 2020 TERP TERRAFORM POWER OPERATING LLC 144A Electric Fixed Income 15534.09 0.013322749185422318 15534.09 166 166 88104LAE3 US88104LAE39 BD2BVC0 93.38 United States -- USD 3.28 7.03 1 Jan 31, 2028 5 3.31 -- 7.03 3.31 7.03 Dec 12, 2017 Dec 12, 2017 MADIAQ MADISON IAQ LLC 144A Capital Goods Fixed Income 15522.48 0.013312791916084832 15522.48 170 170 55760LAA5 US55760LAA52 BM9PWZ8 91.17 United States -- USD 3.56 6.57 1 Jun 30, 2028 4.13 3.69 -- 6.57 3.69 6.57 Jun 21, 2021 Jun 21, 2021 TALO TALOS PRODUCTION INC 144A Energy Fixed Income 15508.55 0.013300844908171724 15508.55 146 146 87485LAE4 US87485LAE48 -- 106.06 United States -- USD 3.63 8.19 1 Feb 01, 2031 9.38 4.92 -- 7.82 3.76 7.82 Feb 07, 2024 Feb 07, 2024 XRX XEROX HOLDINGS CORP 144A Technology Fixed Income 15496.94 0.013290887638834237 15496.94 180 180 98421MAB2 US98421MAB28 -- 86.28 United States -- USD 3.72 9.45 1 Aug 15, 2028 5.5 3.64 -- 9.45 3.64 9.45 Aug 06, 2020 Aug 06, 2020 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 15486.74 0.013282139650269004 15486.74 6026 6026 -- TH0623X3BC03 BM9CHT8 2.57 Thailand -- USD 6.96 2.7 37.0175 Dec 17, 2031 2 6.97 -- 2.7 6.97 2.7 Apr 28, 2021 Apr 28, 2021 JPM JPMORGAN CHASE & CO Banking Fixed Income 15486.35 0.013281805168353275 15486.35 164 164 46647PAF3 US46647PAF36 BYZ0Z52 94.34 United States -- USD 2.74 5.86 1 May 01, 2028 3.54 3.59 -- 5.6 2.75 5.6 Apr 25, 2017 Apr 25, 2017 GGAMFI GGAM FINANCE LTD (LIMERICK BRANCH) 144A Finance Companies Fixed Income 15462.11 0.013261015830821779 15462.11 150 150 36170JAA4 US36170JAA43 -- 102.78 Ireland -- USD 3.21 7.21 1 Jun 15, 2028 8 3.39 -- 7.11 3.04 7.11 Jun 08, 2023 Jun 08, 2023 MPW MPT OPERATING PARTNERSHIP LP Reits Fixed Income 15448.18 0.013249068822908671 15448.18 210 210 55342UAJ3 US55342UAJ34 BJVN8K6 73.5 United States -- USD 4.46 11.46 1 Aug 01, 2029 4.63 4.31 -- 11.46 4.31 11.46 Jul 26, 2019 Jul 26, 2019 WYNMAC WYNN MACAU LTD 144A Consumer Cyclical Fixed Income 15448.18 0.013249068822908671 15448.18 164 164 98313RAD8 US98313RAD89 BFB5MD5 94.24 Macau -- USD 2.84 7.43 1 Oct 01, 2027 5.5 3.04 -- 7.43 3.04 7.43 Sep 20, 2017 Sep 20, 2017 APU AMERIGAS PARTNERS LP/AMERIGAS FINA Energy Fixed Income 15445.86 0.01324707908433305 15445.86 157 157 030981AJ3 US030981AJ33 BYMXB45 98.32 United States -- USD 2.04 6.66 1 Aug 20, 2026 5.88 2.11 -- 6.66 2.11 6.66 Jun 27, 2016 Jun 27, 2016 SWN SOUTHWESTERN ENERGY COMPANY Energy Fixed Income 15441.22 0.013243099607181806 15441.22 161 161 845467AR0 US845467AR03 -- 95.78 United States -- USD 3.24 6.41 1 Feb 01, 2029 5.38 4.07 -- 6.41 4.07 6.41 Aug 01, 2021 Nov 12, 2021 ACI ALBERTSONS COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 15427.29 0.013231152599268697 15427.29 162 162 013092AF8 US013092AF88 -- 95.02 United States -- USD 1.78 6.08 1 Mar 15, 2026 3.25 1.79 -- 6.08 1.79 6.08 Aug 31, 2020 Aug 31, 2020 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 15418.03 0.013223210797884966 15418.03 156 156 693475BL8 US693475BL85 -- 98.55 United States -- USD 1.63 5.91 1 Jan 26, 2027 4.76 1.63 -- 5.63 1.64 5.63 Jan 24, 2023 Jan 24, 2023 RRR STATION CASINOS LLC 144A Consumer Cyclical Fixed Income 15413.36 0.013219205591355589 15413.36 166 166 857691AG4 US857691AG41 -- 92.72 United States -- USD 3.2 6.7 1 Feb 15, 2028 4.5 3.38 -- 6.7 3.38 6.7 Feb 07, 2020 Feb 07, 2020 T AT&T INC Communications Fixed Income 15388.25 0.013197670101858235 15388.25 165 165 00206RML3 US00206RML32 -- 93.14 United States -- USD 1.84 5.52 1 Mar 25, 2026 1.7 1.84 -- 5.52 1.84 5.52 Mar 23, 2021 Mar 23, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 15385.83 0.013195594598688836 15385.83 162 162 912828ZT0 US912828ZT04 BLB6SL0 94.77 United States -- USD 1.07 5.21 1 May 31, 2025 0.25 1.07 -- 5.21 1.07 5.21 May 31, 2020 Jun 01, 2020 CHDN CHURCHILL DOWNS INCORPORATED 144A Consumer Cyclical Fixed Income 15380.86 0.01319133209837813 15380.86 156 156 171484AJ7 US171484AJ78 -- 98.67 United States -- USD 4.06 6.99 1 May 01, 2031 6.75 5.32 -- 6.99 5.32 6.99 Apr 25, 2023 Apr 25, 2023 WFC WELLS FARGO BANK NA Banking Fixed Income 15360.22 0.013173630286222598 15360.22 153 153 94988J6B8 US94988J6B89 -- 100.08 United States -- USD 1.15 5.47 1 Aug 01, 2025 5.55 1.19 -- 5.47 1.19 5.47 Aug 09, 2023 Aug 09, 2023 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 15354.96 0.01316911906858994 15354.96 159 159 06051GKP3 US06051GKP36 -- 96.57 United States -- USD 2.69 5.93 1 Apr 27, 2028 4.38 2.7 -- 5.63 2.71 5.63 Apr 27, 2022 Apr 27, 2022 GS GOLDMAN SACHS GROUP INC/THE FX-FRN Banking Fixed Income 15351.46 0.013166117307807751 15351.46 167 167 38141GZK3 US38141GZK39 -- 92.14 United States -- USD 2.65 5.89 1 Feb 24, 2028 2.64 2.65 -- 5.68 2.65 5.68 Jan 24, 2022 Jan 24, 2022 BW BABCOCK & WILCOX ENTERPRISES INC Industrial Equity 15351.03 0.013165748520054511 15351.03 885 885 05614L308 US05614L3087 BN0Y9Z0 17.35 United States -- USD 0 -- 1 Feb 28, 2026 8.13 0 -- -- 0 -- Feb 12, 2021 Feb 12, 2021 RAKUTN RAKUTEN GROUP INC 144A Consumer Cyclical Fixed Income 15334.42 0.013151503021028185 15334.42 184 184 75102WAA6 US75102WAA62 BKVKPF8 83.22 Japan -- USD 1.05 10.34 1 Dec 31, 2079 5.13 1.52 -- 10.34 1.77 10.34 Apr 22, 2021 Apr 22, 2021 ZFFNGR ZF NORTH AMERICA CAPITAL INC 144A Consumer Cyclical Fixed Income 15329.78 0.013147523543876941 15329.78 151 151 98877DAE5 US98877DAE58 -- 101.82 Germany -- USD 4.8 6.75 1 Apr 14, 2030 7.13 4.8 -- 6.74 4.69 6.74 Apr 14, 2023 Apr 14, 2023 GPS GAP INC 144A Consumer Cyclical Fixed Income 15325.14 0.013143544066725698 15325.14 182 182 364760AP3 US364760AP35 -- 84.1 United States -- USD 4.74 7.21 1 Oct 01, 2029 3.63 4.75 -- 7.21 4.75 7.21 Sep 27, 2021 Sep 27, 2021 JPM JPMORGAN CHASE & CO Banking Fixed Income 15321.67 0.013140568035321643 15321.67 156 156 46625HMN7 US46625HMN79 BYP3G69 98.14 United States -- USD 1.14 5.49 1 Jul 15, 2025 3.9 1.16 -- 5.49 1.16 5.49 Jul 21, 2015 Jul 21, 2015 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 15311.21 0.013131597058812589 15311.21 171 171 36168QAM6 US36168QAM69 -- 89.75 Canada -- USD 3.9 6.22 1 Sep 01, 2028 3.5 3.91 -- 6.22 3.91 6.22 Dec 21, 2020 Dec 21, 2020 URI UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 15306.56 0.013127609005201967 15306.56 172 172 911365BN3 US911365BN33 -- 88.84 United States -- USD 4.84 6.19 1 Jul 15, 2030 4 5.29 -- 6.19 5.29 6.19 Feb 25, 2020 Feb 25, 2020 ABBV ABBVIE INC Consumer Non-Cyclical Fixed Income 15300.65 0.01312254031770976 15300.65 156 156 00287YDS5 US00287YDS54 -- 98.01 United States -- USD 4.25 5.27 1 Mar 15, 2029 4.8 4.26 -- 5.27 4.26 5.27 Feb 26, 2024 Feb 26, 2024 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 15284.89 0.013109023817730535 15284.89 159 159 459200JZ5 US459200JZ55 BFY97D9 96.25 United States -- USD 1.92 5.25 1 May 15, 2026 3.3 1.92 -- 5.25 1.92 5.25 May 15, 2019 May 15, 2019 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 15279.15 0.013104100930047748 15279.15 5617 5617 -- TH0623038609 BPLFNC1 2.72 Thailand -- USD 3.88 2.52 37.0175 Jun 17, 2028 2.65 3.87 -- 2.52 3.87 2.52 Jul 08, 2022 Jul 08, 2022 ABCSUP AMERICAN BUILDERS & CONTRACTORS SU 144A Capital Goods Fixed Income 15276.38 0.01310172525080013 15276.38 166 166 024747AF4 US024747AF43 BKML055 92.11 United States -- USD 3.21 6.41 1 Jan 15, 2028 4 3.34 -- 6.41 3.34 6.41 Oct 31, 2019 Oct 31, 2019 NCLH NCL CORPORATION LTD 144A Consumer Cyclical Fixed Income 15276.38 0.01310172525080013 15276.38 150 150 62886HBG5 US62886HBG56 -- 101.82 United States -- USD 3.87 7.29 1 Feb 15, 2029 7.75 3.91 -- 7.27 3.74 7.27 Feb 18, 2022 Feb 18, 2022 ST SENSATA TECHNOLOGIES INC 144A Technology Fixed Income 15262.45 0.013089778242887023 15262.45 181 181 81728UAB0 US81728UAB08 -- 84.42 United States -- USD 5.6 6.63 1 Feb 15, 2031 3.75 5.75 -- 6.63 5.75 6.63 Aug 17, 2020 Aug 17, 2020 C CITIGROUP INC Banking Fixed Income 15258.61 0.013086484882485993 15258.61 162 162 172967LP4 US172967LP48 BF347Y6 94.1 United States -- USD 2.95 5.97 1 Jul 24, 2028 3.67 3.81 -- 5.68 2.97 5.68 Jul 24, 2017 Jul 24, 2017 ACI ALBERTSONS COS LLC/SAFEWAY INC/NEW 144A Consumer Non-Cyclical Fixed Income 15248.52 0.013077831234973913 15248.52 150 150 013092AA9 US013092AA91 BHX0XV7 101.38 United States -- USD 0.92 6.7 1 Mar 15, 2026 7.5 1.73 -- 5.87 0.85 5.87 Feb 05, 2019 Feb 05, 2019 RHP RHP HOTEL PROPERTIES LP Reits Fixed Income 15220.66 0.013053937219147698 15220.66 160 160 749571AF2 US749571AF20 BMX0NL2 94.85 United States -- USD 2.83 6.43 1 Oct 15, 2027 4.75 3.13 -- 6.43 3.13 6.43 Apr 15, 2020 Jul 10, 2020 ARR ARMOUR RESIDENTIAL REIT INC Financial Institutions Equity 15219.4 0.01305285658526611 15219.4 746 746 042315606 US0423156068 BL71KR9 20.39 United States Non-Nms Quotation Service (Nnqs) USD 9.37 8.64 1 Dec 31, 2079 7 11.57 -- 8.64 11.4 8.64 Jan 28, 2020 Jan 28, 2020 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 15202.55 0.01303840525121472 15202.55 162 162 06051GGR4 US06051GGR48 BF8F0V2 93.98 United States -- USD 2.95 5.94 1 Jul 21, 2028 3.59 3.8 -- 5.65 2.97 5.65 Jul 21, 2017 Jul 21, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 15197.38 0.01303397122171646 15197.38 1066 1066 -- CND10004T201 BMXH5Y0 14.25 China -- USD 4.61 2.1 7.24715 Mar 24, 2029 2.8 4.56 -- 2.1 4.56 2.1 Mar 24, 2022 Mar 24, 2022 VIKCRU VOC ESCROW LTD 144A Consumer Cyclical Fixed Income 15185.84 0.013024073987594616 15185.84 160 160 91832VAA2 US91832VAA26 BFYV7L3 95.02 United States -- USD 2.97 6.5 1 Feb 15, 2028 5 3.36 -- 6.5 3.36 6.5 Feb 05, 2018 Feb 05, 2018 C CITIGROUP INC Banking Fixed Income 15181.53 0.013020377533602837 15181.53 165 165 17327CAM5 US17327CAM55 -- 92.18 United States -- USD 1.73 5.67 1 Jan 28, 2027 1.12 1.69 -- 5.67 1.69 5.67 Jan 28, 2021 Jan 28, 2021 CPN CALPINE CORP 144A Electric Fixed Income 15178.87 0.013018096195408373 15178.87 166 166 131347CP9 US131347CP95 -- 91.32 United States -- USD 3.85 6.78 1 Feb 01, 2029 4.63 4.12 -- 6.78 4.12 6.78 Aug 10, 2020 Aug 10, 2020 HSBC HSBC HOLDINGS PLC Banking Fixed Income 15157 0.012999339478749388 15157 166 166 404280CX5 US404280CX53 -- 91.45 United Kingdom -- USD 2.83 5.64 1 Nov 22, 2027 2.25 2.42 -- 5.64 2.42 5.64 Nov 22, 2021 Nov 22, 2021 TACHEM SHIRE ACQUISITIONS INVESTMENTS IRE Consumer Non-Cyclical Fixed Income 15153.5 0.0129963377179672 15153.5 160 160 82481LAD1 US82481LAD10 BYVWGK4 94.85 United States -- USD 2.25 5.51 1 Sep 23, 2026 3.2 2.27 -- 5.51 2.27 5.51 Sep 23, 2016 Sep 23, 2016 C CITIGROUP INC Banking Fixed Income 15144.74 0.012988824739552353 15144.74 154 154 172967JT9 US172967JT97 BYZRZP3 98.54 United States -- USD 1.06 5.76 1 Jun 10, 2025 4.4 1.06 -- 5.76 1.06 5.76 Jun 10, 2015 Jun 10, 2015 LADR LADDER CAPITAL FINANCE HOLDINGS LL 144A Reits Fixed Income 15141.73 0.012986243225279671 15141.73 165 165 505742AM8 US505742AM88 -- 91.59 United States -- USD 2.53 7.68 1 Feb 01, 2027 4.25 2.51 -- 7.68 2.51 7.68 Jan 30, 2020 Jan 30, 2020 UBS CREDIT SUISSE AG (NEW YORK BRANCH) MTN Banking Fixed Income 15130.72 0.012976800543504845 15130.72 143 143 22550L2M2 US22550L2M24 -- 105.75 Switzerland -- USD 3.28 5.79 1 Feb 15, 2028 7.5 3.26 -- 5.79 3.26 5.79 Jan 09, 2023 Jan 09, 2023 ISPIM INTESA SANPAOLO SPA 144A Banking Fixed Income 15120.83 0.01296831842518032 15120.83 186 186 46115HBQ9 US46115HBQ92 -- 81.41 Italy -- USD 6.51 7.27 1 Jun 01, 2032 4.2 6.43 -- 7.27 6.43 7.27 Jun 01, 2021 Jun 01, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 15103.44 0.012953403962322535 15103.44 1089 1089 -- CND10004TPK8 -- 13.87 China -- USD 1.05 1.73 7.24715 May 25, 2025 2.24 1.04 -- 1.73 1.04 1.73 May 25, 2022 May 24, 2022 BLDR BUILDERS FIRSTSOURCE INC 144A Capital Goods Fixed Income 15102.26 0.012952391940115968 15102.26 153 153 12008RAR8 US12008RAR84 -- 98.49 United States -- USD 4.89 6.62 1 Jun 15, 2032 6.38 6.11 -- 6.62 6.11 6.62 Jun 15, 2022 Jun 15, 2022 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 15099.94 0.012950402201540347 15099.94 151 151 527298BZ5 US527298BZ50 -- 99.71 United States -- USD 4.17 10.72 1 Dec 15, 2030 10.75 4.63 -- 10.72 3.72 10.72 Mar 22, 2024 Mar 22, 2024 RBACN RITCHIE BROS HOLDINGS INC 144A Capital Goods Fixed Income 15095.3 0.012946422724389103 15095.3 150 150 76774LAB3 US76774LAB36 -- 100.63 Canada -- USD 2.58 6.56 1 Mar 15, 2028 6.75 3.35 -- 6.5 2.57 6.5 Mar 15, 2023 Mar 15, 2023 AXTA AXALTA COATING SYSTEMS LLC 144A Basic Industry Fixed Income 15088.33 0.01294044493220286 15088.33 172 172 05453GAC9 US05453GAC96 BMWS414 87.9 United States -- USD 4.19 6.33 1 Feb 15, 2029 3.38 4.28 -- 6.33 4.28 6.33 Nov 24, 2020 Nov 24, 2020 UWMLLC UNITED WHOLESALE MORTGAGE LLC 144A Finance Companies Fixed Income 15067.44 0.012922528708562886 15067.44 164 164 913229AA8 US913229AA80 BNG46T7 92.02 United States -- USD 3.88 7.45 1 Apr 15, 2029 5.5 4.22 -- 7.45 4.22 7.45 Apr 07, 2021 Apr 07, 2021 BPR BROOKFIELD PROPERTIES RETAIL HOLDI 144A Reits Fixed Income 15046.54 0.012904603908463536 15046.54 168 168 11284DAC9 US11284DAC92 -- 89.47 United States -- USD 2.69 8.64 1 Apr 01, 2027 4.5 2.65 -- 8.64 2.65 8.64 Sep 29, 2021 Sep 29, 2021 GPS GAP INC 144A Consumer Cyclical Fixed Income 15041.9 0.012900624431312293 15041.9 186 186 364760AQ1 US364760AQ18 -- 80.7 United States -- USD 6.13 7.28 1 Oct 01, 2031 3.88 6.16 -- 7.28 6.16 7.28 Sep 27, 2021 Sep 27, 2021 ATLC ATLANTICUS HOLDINGS CORP Financial Institutions Equity 15036.48 0.01289597599032959 15036.48 678 678 04914Y300 US04914Y3009 BMHYR74 22.19 United States -- USD 2.25 7.01 1 Nov 30, 2026 6.13 2.23 -- 7.01 2.23 7.01 Nov 22, 2021 Nov 22, 2021 NTT NTT FINANCE CORP 144A Communications Fixed Income 15027.36 0.012888154259377145 15027.36 163 163 62954WAC9 US62954WAC91 -- 92.14 Japan -- USD 1.87 5.49 1 Apr 03, 2026 1.16 1.87 -- 5.49 1.87 5.49 Mar 03, 2021 Mar 03, 2021 VYX NCR VOYIX CORP 144A Technology Fixed Income 15025.65 0.012886687684823563 15025.65 164 164 62886EAY4 US62886EAY41 -- 91.58 United States -- USD 3.86 7.25 1 Oct 01, 2028 5 3.86 -- 7.25 3.86 7.25 Aug 20, 2020 Aug 20, 2020 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 15020.36 0.01288215073781277 15020.36 154 154 94974BGP9 US94974BGP94 BYTX3C0 97.22 United States -- USD 1.37 5.6 1 Sep 29, 2025 3.55 1.36 -- 5.6 1.36 5.6 Sep 28, 2015 Sep 28, 2015 AGNCL AGNC INVESTMENT CORP Financial Institutions Equity 15009.13 0.012872519373931636 15009.13 649 649 00123Q856 US00123Q8565 BNC35P7 23.14 United States -- USD 2.98 9.56 1 Dec 31, 2079 7.75 2.73 -- 10.54 2.9 10.54 Sep 14, 2022 Sep 14, 2022 HSBC HSBC HOLDINGS PLC Banking Fixed Income 14990.58 0.012856610041786039 14990.58 143 143 404280DR7 US404280DR76 -- 104.89 United Kingdom -- USD 2.95 6.4 1 Nov 03, 2028 7.39 2.98 -- 5.83 2.98 5.83 Nov 03, 2022 Nov 03, 2022 CSCO CISCO SYSTEMS INC Technology Fixed Income 14983.57 0.012850597943762285 14983.57 152 152 17275RBR2 US17275RBR21 -- 98.66 United States -- USD 4.21 5.16 1 Feb 26, 2029 4.85 4.22 -- 5.16 4.22 5.16 Feb 26, 2024 Feb 26, 2024 RDSALN SHELL INTERNATIONAL FINANCE BV Energy Fixed Income 14966.05 0.01283557198693259 14966.05 153 153 822582BD3 US822582BD31 BXQ9F39 97.85 Netherlands -- USD 0.99 5.39 1 May 11, 2025 3.25 0.99 -- 5.39 0.99 5.39 May 11, 2015 May 11, 2015 TNL TRAVEL + LEISURE CO 144A Consumer Cyclical Fixed Income 14956 0.012826952645258023 14956 150 150 98310WAS7 US98310WAS70 BMWZQD1 99.73 United States -- USD 1.94 6.75 1 Jul 31, 2026 6.63 2.04 -- 6.75 2.04 6.75 Jul 24, 2020 Jul 24, 2020 ROCSOF ROCKET SOFTWARE INC 144A Technology Fixed Income 14944.39 0.012816995375920535 14944.39 149 149 77314EAB4 US77314EAB48 -- 100.38 United States -- USD 2.71 8.86 1 Nov 28, 2028 9 3.7 -- 8.8 2.6 8.8 May 01, 2024 May 01, 2024 FYBR FRONTIER COMMUNICATIONS HOLDINGS L Communications Fixed Income 14942.07 0.012815005637344914 14942.07 182 182 35908MAA8 US35908MAA80 -- 81.94 United States -- USD 4.42 10.24 1 Nov 01, 2029 5.88 4.32 -- 10.24 4.32 10.24 Apr 30, 2021 Apr 30, 2021 C CITIGROUP INC Banking Fixed Income 14938.02 0.012811532171296955 14938.02 163 163 172967NA5 US172967NA50 -- 91.46 United States -- USD 2.05 5.9 1 Jun 09, 2027 1.46 2.02 -- 5.8 2.03 5.8 Jun 09, 2021 Jun 09, 2021 MOH MOLINA HEALTHCARE INC 144A Insurance Fixed Income 14911.89 0.012789121882943077 14911.89 179 179 60855RAL4 US60855RAL42 -- 83.2 United States -- USD 6.56 6.6 1 May 15, 2032 3.88 6.52 -- 6.6 6.52 6.6 Nov 16, 2021 Nov 16, 2021 BCULC 1011778 BC UNLIMITED LIABILITY CO 144A Consumer Cyclical Fixed Income 14904.92 0.012783144090756834 14904.92 167 167 68245XAP4 US68245XAP42 -- 89.43 Canada -- USD 4.1 6.07 1 Feb 15, 2029 3.5 4.28 -- 6.07 4.28 6.07 Nov 09, 2020 Nov 09, 2020 SUN SUNOCO LP 144A Energy Fixed Income 14893.31 0.012773186821419348 14893.31 147 147 86765KAB5 US86765KAB52 -- 101.24 United States -- USD 3.34 6.65 1 May 01, 2029 7 4.19 -- 6.58 3.46 6.58 Apr 30, 2024 Apr 30, 2024 CWK CUSHMAN & WAKEFIELD US BORROWER LL 144A Consumer Cyclical Fixed Income 14888.67 0.012769207344268103 14888.67 152 152 23166MAA1 US23166MAA18 -- 98 United States -- USD 2.57 7.33 1 May 15, 2028 6.75 3.38 -- 7.33 3.38 7.33 May 22, 2020 May 22, 2020 MS MORGAN STANLEY MTN Banking Fixed Income 14887.22 0.01276796375765834 14887.22 154 154 61747YER2 US61747YER27 BP6P638 96.4 United States -- USD 2.73 5.87 1 Apr 20, 2028 4.21 2.75 -- 5.53 2.76 5.53 Apr 20, 2022 Apr 20, 2022 HILCRP HILCORP ENERGY I LP 144A Energy Fixed Income 14881.7 0.01276322955208186 14881.7 140 140 431318BC7 US431318BC74 -- 106.31 United States -- USD 4.96 7.44 1 Nov 01, 2033 8.38 6.36 -- 7.27 5.39 7.27 Nov 08, 2023 Nov 08, 2023 ZFFNGR ZF NORTH AMERICA CAPITAL INC 144A Consumer Cyclical Fixed Income 14874.74 0.012757260336354995 14874.74 148 148 98877DAD7 US98877DAD75 -- 100.78 Germany -- USD 3.42 6.65 1 Apr 14, 2028 6.88 3.42 -- 6.64 3.36 6.64 Apr 14, 2023 Apr 14, 2023 GPMT GRANITE POINT MORTGAGE TRUST INC Financial Institutions Equity 14868.96 0.012752303142834697 14868.96 879 879 38741L305 US38741L3050 BP4BX15 16.91 United States -- USD 0.42 14.82 1 Dec 31, 2079 7 1.98 -- 14.82 1.98 14.82 Nov 30, 2021 Nov 30, 2021 BECN BEACON ROOFING SUPPLY INC 144A Capital Goods Fixed Income 14842.24 0.012729386843377537 14842.24 150 150 073685AK5 US073685AK54 -- 99.19 United States -- USD 3.98 6.66 1 Aug 01, 2030 6.5 5 -- 6.66 5 6.66 Jul 31, 2023 Jul 31, 2023 STWD STARWOOD PROPERTY TRUST INC 144A Reits Fixed Income 14842.24 0.012729386843377537 14842.24 151 151 85571BBB0 US85571BBB09 -- 98.13 United States -- USD 3.96 7.71 1 Apr 01, 2029 7.25 4.05 -- 7.71 4.05 7.71 Mar 27, 2024 Mar 27, 2024 NSUS NUSTAR LOGISTICS LP Energy Fixed Income 14837.59 0.012725398789766916 14837.59 152 152 67059TAE5 US67059TAE55 BF0L7Z1 97.38 United States -- USD 2.59 6.6 1 Apr 28, 2027 5.63 2.64 -- 6.6 2.64 6.6 Apr 28, 2017 Apr 28, 2017 SPH SUBURBAN PROPANE PARTNERS L.P/SUBU 144A Energy Fixed Income 14832.95 0.012721419312615672 14832.95 168 168 864486AL9 US864486AL98 -- 88.53 United States -- USD 5.34 7.08 1 Jun 01, 2031 5 5.65 -- 7.08 5.65 7.08 May 24, 2021 May 24, 2021 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 14827.65 0.0127168737891455 14827.65 151 151 95000U3J0 US95000U3J01 -- 97.96 United States -- USD 4.05 5.88 1 Jan 23, 2030 5.2 4.09 -- 5.69 4.09 5.69 Jan 23, 2024 Jan 23, 2024 AVGO BROADCOM CORPORATION/BROADCOM CAYM Technology Fixed Income 14824.15 0.012713872028363313 14824.15 155 155 11134LAH2 US11134LAH24 BDRTBT6 95.9 United States -- USD 2.47 5.52 1 Jan 15, 2027 3.88 2.51 -- 5.52 2.51 5.52 Jan 15, 2018 Feb 14, 2018 ORCL ORACLE CORPORATION Technology Fixed Income 14824.15 0.012713872028363313 14824.15 158 158 68389XBM6 US68389XBM65 BYVGRY7 93.98 United States -- USD 2.09 5.57 1 Jul 15, 2026 2.65 2.1 -- 5.57 2.1 5.57 Jul 07, 2016 Jul 07, 2016 MS MORGAN STANLEY MTN Banking Fixed Income 14817.14 0.012707859930339559 14817.14 151 151 61747YFA8 US61747YFA82 -- 98.19 United States -- USD 3.32 5.93 1 Feb 01, 2029 5.12 3.33 -- 5.66 3.34 5.66 Jan 19, 2023 Jan 19, 2023 HSBC HSBC HOLDINGS PLC Banking Fixed Income 14810.13 0.012701847832315805 14810.13 151 151 404280BX6 US404280BX62 BGLRQB4 97.82 United Kingdom -- USD 1.31 6.35 1 Sep 12, 2026 4.29 1.3 -- 5.96 1.31 5.96 Sep 12, 2018 Sep 12, 2018 JPM JPMORGAN CHASE & CO Banking Fixed Income 14806.63 0.012698846071533617 14806.63 155 155 46625HRY8 US46625HRY89 BD7F8X7 95.43 United States -- USD 2.55 5.92 1 Feb 01, 2028 3.78 3.4 -- 5.59 2.56 5.59 Feb 01, 2017 Feb 01, 2017 CMGMCO CMG MEDIA CORP 144A Communications Fixed Income 14805.09 0.012697525296789455 14805.09 249 249 88146LAA1 US88146LAA17 BK7CY84 59.5 United States -- USD 2.81 27.01 1 Dec 15, 2027 8.88 2.54 -- 27.01 2.54 27.01 Dec 17, 2019 Dec 17, 2019 CZGB CZECH REPUBLIC Treasuries Fixed Income 14787.41 0.012682362116609718 14787.41 4225 4225 -- CZ0001005243 BFYN3F5 3.5 Czech Republic -- USD 8.33 4.34 23.49435 Oct 13, 2033 2 8.16 -- 4.34 8.16 4.34 Oct 13, 2017 Oct 13, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 14754.94 0.01265451435301039 14754.94 1046 1046 -- CND10005L4G7 -- 14.1 China -- USD 7.46 2.31 7.24715 Sep 01, 2032 2.6 7.46 -- 2.31 7.46 2.31 Sep 01, 2022 Sep 01, 2022 CCS CENTURY COMMUNITIES INC Consumer Cyclical Fixed Income 14754.01 0.012653716742288266 14754.01 147 147 156504AL6 US156504AL63 -- 100.18 United States -- USD 1.43 6.68 1 Jun 01, 2027 6.75 2.69 -- 6.57 1.02 6.57 Dec 01, 2019 Feb 14, 2020 WFC WELLS FARGO & COMPANY Banking Fixed Income 14734.81 0.012637249940283122 14734.81 144 144 95000U3G6 US95000U3G61 -- 102.45 United States -- USD 3.85 5.91 1 Oct 23, 2029 6.3 3.88 -- 5.68 3.88 5.68 Oct 23, 2023 Oct 23, 2023 OI OWENS-BROCKWAY GLASS CONTAINER INC 144A Capital Goods Fixed Income 14728.48 0.01263182104149705 14728.48 148 148 69073TAT0 US69073TAT07 -- 99.54 United States -- USD 1.62 6.79 1 May 13, 2027 6.63 2.64 -- 6.79 2.64 6.79 May 13, 2020 May 13, 2020 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 14726.52 0.012630140055459024 14726.52 736326 736326 -- COL17CT03672 BJP4CY7 0.02 Colombia -- USD 3.03 10.18 3970.13 Nov 03, 2027 5.75 2.89 -- 10.18 2.89 10.18 Nov 03, 2019 Jan 15, 2020 TNOTE TREASURY NOTE Treasuries Fixed Income 14686.5 0.01259581706502955 14686.5 151 151 912828XZ8 US912828XZ81 BD9MJH7 97.25 United States -- USD 1.13 5.17 1 Jun 30, 2025 2.75 1.13 -- 5.17 1.13 5.17 Jun 30, 2018 Jul 02, 2018 IEP ICAHN ENTERPRISES LP Financial Other Fixed Income 14672.76 0.012584033009844618 14672.76 176 176 451102CC9 US451102CC97 -- 83.6 United States -- USD 4.16 8.64 1 Feb 01, 2029 4.38 4.08 -- 8.64 4.08 8.64 Jan 19, 2021 Jul 02, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 14643.02 0.012558526619655397 14643.02 1036 1036 -- CND10001SWR7 -- 14.13 China -- USD 1.58 1.7 7.24715 Dec 06, 2025 3.22 1.56 -- 1.7 1.56 1.7 Dec 06, 2018 Dec 06, 2018 UBS UBS GROUP AG 144A Banking Fixed Income 14627.94 0.012545593318913856 14627.94 150 150 90351DAB3 US90351DAB38 BYTX397 97.56 Switzerland -- USD 1.35 5.94 1 Sep 24, 2025 4.13 1.34 -- 5.94 1.34 5.94 Sep 24, 2015 Sep 24, 2015 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 14626.79 0.012544607026085423 14626.79 2689 2689 -- MX0MGO0001F1 -- 5.44 Mexico -- USD 3.8 10.1 17.2605 Mar 01, 2029 8.5 3.85 -- 10.1 3.85 10.1 Mar 09, 2023 Aug 21, 2023 DISH DISH DBS CORP Communications Fixed Income 14624 0.01254221419391905 14624 376 376 25470XBD6 US25470XBD66 -- 38.93 United States -- USD 3.83 28.57 1 Jun 01, 2029 5.13 3.43 -- 28.57 3.43 28.57 May 24, 2021 Aug 30, 2021 ARGO ARGO GROUP INTERNATIONAL HOLDINGS Financial Institutions Equity 14617.66 0.012536776718673601 14617.66 672 672 040130106 US0401301066 BQ72J47 21.74 United States New York Stock Exchange Inc. USD 8.14 7.54 1 Sep 15, 2042 6.5 9.97 -- 7.54 9.97 7.54 Sep 18, 2012 Sep 18, 2012 ATCO ATLAS .95% CUMULATIVE REDEEMABLE P Industrial Equity 14607.41 0.01252798584781148 14607.41 591 591 -- MHY0436Q1171 BLH91B4 24.73 Canada New York Stock Exchange Inc. USD 0 -- 1 Dec 31, 2079 7.95 0 -- -- 0 -- Feb 28, 2020 Feb 28, 2020 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 14596.41 0.012518551742496031 14596.41 149 149 126650CL2 US126650CL25 BYPFB82 97.82 United States -- USD 1.17 5.72 1 Jul 20, 2025 3.88 1.17 -- 5.72 1.17 5.72 Jul 20, 2015 Jul 20, 2015 FUN CEDAR FAIR LP Consumer Cyclical Fixed Income 14591.5 0.012514340700941592 14591.5 151 151 150190AB2 US150190AB26 BFWG0X3 96.48 United States -- USD 2.31 6.7 1 Apr 15, 2027 5.38 2.69 -- 6.7 2.69 6.7 Apr 15, 2018 Jun 22, 2018 JPM JPMORGAN CHASE BANK NA Banking Fixed Income 14585.9 0.012509537883690091 14585.9 147 147 48125LRU8 US48125LRU88 -- 99.33 United States -- USD 2.35 5.39 1 Dec 08, 2026 5.11 2.37 -- 5.39 2.37 5.39 Dec 08, 2023 Dec 08, 2023 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 14576.92 0.012501836223168934 14576.92 666 666 -- PL0000113460 BMCD7M1 21.9 Poland -- USD 2.43 5.31 4.03785 Oct 25, 2026 0.25 2.37 -- 5.31 2.37 5.31 Oct 25, 2020 Feb 22, 2021 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 14568.38 0.012494511926860396 14568.38 150 150 94974BFY1 US94974BFY11 BN33W88 96.97 United States -- USD 1.96 5.64 1 Jun 03, 2026 4.1 1.95 -- 5.64 1.95 5.64 Jun 03, 2014 Jun 03, 2014 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 14551.4 0.012479949098837095 14551.4 1031 1031 -- CND10005NWW9 -- 14.11 China -- USD 5 2.17 7.24715 Sep 25, 2029 2.62 4.95 -- 2.17 4.95 2.17 Sep 25, 2022 Sep 23, 2022 POWSOL CLARIOS GLOBAL LP 144A Consumer Cyclical Fixed Income 14519.53 0.012452615922800428 14519.53 145 145 18060TAA3 US18060TAA34 -- 100.1 United States -- USD 0.08 6.64 1 May 15, 2025 6.75 0.97 -- 5.46 0.08 5.46 May 20, 2020 May 20, 2020 HILCRP HILCORP ENERGY I LP/HILCORP FINANC 144A Energy Fixed Income 14505.6 0.01244066891488732 14505.6 148 148 431318AS3 US431318AS36 BG4THM5 98.07 United States -- USD 2.83 6.75 1 Nov 01, 2028 6.25 3.75 -- 6.75 3.75 6.75 Oct 16, 2018 Oct 16, 2018 LW LAMB WESTON HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 14475.42 0.012414785160485484 14475.42 167 167 513272AE4 US513272AE49 -- 86.47 United States -- USD 5.97 6.63 1 Jan 31, 2032 4.38 6.28 -- 6.63 6.28 6.63 Nov 08, 2021 Nov 08, 2021 OUT OUTFRONT MEDIA CAPITAL LLC 144A Communications Fixed Income 14468.45 0.01240880736829924 14468.45 153 153 69007TAB0 US69007TAB08 BK6WVJ5 94.39 United States -- USD 2.74 6.93 1 Aug 15, 2027 5 2.95 -- 6.93 2.95 6.93 Jun 14, 2019 Jun 14, 2019 INN SUMMIT HOTEL PROPERTIES INC Financial Institutions Equity 14462.1 0.012403361316594414 14462.1 689 689 866082605 US8660826053 BF2DPX9 20.98 United States -- USD 10.48 7.54 1 Dec 31, 2079 6.25 13.27 -- 7.54 12.92 7.54 Nov 13, 2017 Nov 13, 2017 VST VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 14456.85 0.012398858675421131 14456.85 145 145 92840VAR3 US92840VAR33 -- 99.62 United States -- USD 4.69 6.91 1 Apr 15, 2032 6.88 6.04 -- 6.91 6.04 6.91 Apr 12, 2024 Apr 12, 2024 JPM JPMORGAN CHASE & CO Banking Fixed Income 14452.76 0.01239535090353566 14452.76 155 155 46647PBT2 US46647PBT21 -- 93.04 United States -- USD 1.54 5.91 1 Nov 19, 2026 1.04 1.5 -- 5.76 1.51 5.76 Nov 19, 2020 Nov 19, 2020 XPO XPO INC 144A Transportation Fixed Income 14452.2 0.01239487062181051 14452.2 144 144 983793AK6 US983793AK61 -- 100.6 United States -- USD 4.35 7.02 1 Feb 01, 2032 7.13 5.75 -- 6.97 3.89 6.97 Dec 13, 2023 Dec 13, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 14449.34 0.012392417754428493 14449.34 1444934 1444934 -- IDG000018805 BP5FPD2 0.01 Indonesia -- USD 9.86 7.11 16187.5 Jun 15, 2042 7.13 9.85 -- 7.11 9.85 7.11 Jun 15, 2021 Jul 08, 2021 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 14442.25 0.012386337044729719 14442.25 159 159 38141GYG3 US38141GYG36 BM9Y705 90.59 United States -- USD 2.29 5.93 1 Sep 10, 2027 1.54 2.27 -- 5.84 2.27 5.84 Jun 10, 2021 Jun 10, 2021 GILD GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 14436.99 0.012381825827097058 14436.99 149 149 375558BF9 US375558BF95 BYMYP46 96.89 United States -- USD 1.72 5.44 1 Mar 01, 2026 3.65 1.75 -- 5.44 1.75 5.44 Sep 14, 2015 Sep 14, 2015 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 14433.49 0.01237882406631487 14433.49 152 152 913017CY3 US913017CY37 BF7MTW8 94.86 United States -- USD 3.96 5.41 1 Nov 16, 2028 4.13 4 -- 5.41 4 5.41 Aug 16, 2018 Aug 16, 2018 TGP TEEKAY LNG PARTNERS LP Industrial Equity 14427.91 0.012374038401982125 14427.91 573 573 -- MHY8564M1131 BZ0BDR5 25.2 Bermuda -- USD 0.15 8.95 1 Dec 31, 2079 9 11.17 -- 2.38 0.08 2.38 Oct 05, 2016 Oct 05, 2016 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 14424.41 0.012371036641199937 14424.41 4957 4957 -- TH0623A3C606 B754890 2.91 Thailand -- USD 6.97 2.71 37.0175 Jun 25, 2032 3.77 6.97 -- 2.71 6.97 2.71 Jan 27, 2012 Jan 27, 2012 JPM JPMORGAN CHASE & CO Banking Fixed Income 14408.96 0.012357786011461423 14408.96 150 150 46625HQW3 US46625HQW33 BD3J3C7 96.12 United States -- USD 1.81 5.44 1 Apr 01, 2026 3.3 1.83 -- 5.44 1.83 5.44 Mar 23, 2016 Mar 23, 2016 HOUS ANYWHERE REAL ESTATE GROUP LLC 144A Consumer Cyclical Fixed Income 14408.09 0.012357039859495563 14408.09 164 164 75606DAS0 US75606DAS09 -- 87.75 United States -- USD 4.59 9.75 1 Apr 15, 2030 7 4.66 -- 9.75 4.66 9.75 Aug 24, 2023 Aug 24, 2023 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 14401.13 0.012351070643768699 14401.13 252 252 527298CD3 US527298CD30 -- 57.23 United States -- USD 4.86 15.8 1 Apr 01, 2030 4.5 4.61 -- 15.8 4.61 15.8 Mar 22, 2024 Mar 22, 2024 WFC WELLS FARGO BANK NA Banking Fixed Income 14398.45 0.012348772152655481 14398.45 144 144 94988J6D4 US94988J6D46 -- 99.93 United States -- USD 2.06 5.48 1 Aug 07, 2026 5.45 2.1 -- 5.48 2.1 5.48 Aug 09, 2023 Aug 09, 2023 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 14396.57 0.012347159778292477 14396.57 5179 5179 -- TH062303I602 BGW4KT0 2.78 Thailand -- USD 11.12 3.03 37.0175 Jun 17, 2038 3.3 11.17 -- 3.03 11.17 3.03 Dec 07, 2018 Dec 07, 2018 TNL TRAVEL + LEISURE CO 144A Consumer Cyclical Fixed Income 14389.52 0.012341113374431213 14389.52 160 160 894164AA0 US894164AA06 -- 90.13 United States -- USD 4.74 6.64 1 Dec 01, 2029 4.5 4.72 -- 6.64 4.72 6.64 Nov 18, 2021 Nov 18, 2021 RIG TRANSOCEAN TITAN FINANCING LTD 144A Energy Fixed Income 14384.87 0.012337125320820591 14384.87 140 140 89386MAA6 US89386MAA62 -- 102.5 Switzerland -- USD 1.85 7.28 1 Feb 01, 2028 8.38 2.24 -- 7.13 1.97 7.13 Jan 17, 2023 Jan 17, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 14383.82 0.012336224792585936 14383.82 1438382 1438382 -- IDG000009507 B4NPD22 0.01 Indonesia -- USD 2.13 6.96 16187.5 Sep 15, 2026 8.38 2.13 -- 6.96 2.13 6.96 Sep 15, 2010 Sep 23, 2010 AR ANTERO RESOURCES CORP 144A Energy Fixed Income 14377.91 0.012331156105093726 14377.91 151 151 03674XAS5 US03674XAS53 -- 94.91 United States -- USD 4.11 6.43 1 Mar 01, 2030 5.38 4.87 -- 6.43 4.87 6.43 Jun 01, 2021 Jun 01, 2021 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 14373.92 0.012327734097802032 14373.92 151 151 06051GGF0 US06051GGF00 BYM4WN4 95.44 United States -- USD 2.51 6.03 1 Jan 20, 2028 3.82 3.37 -- 5.64 2.52 5.64 Jan 20, 2017 Jan 20, 2017 GNL GLOBAL NET LEASE PREF SERIES A INC Financial Institutions Equity 14362.95 0.012318325721864717 14362.95 735 735 379378300 US3793783008 BYT3YP0 19.53 United States Non-Nms Quotation Service (Nnqs) USD 9.17 9.3 1 Dec 31, 2079 7.25 10.72 -- 9.3 10.72 9.3 Sep 12, 2017 Sep 12, 2017 FTAI FTAI AVIATION FIXED TO FLOATING Financial Institutions Equity 14356.12 0.012312468000109761 14356.12 576 576 -- KYG3730V1216 BM8J6S2 24.94 United States NASDAQ USD 19.16 0.25 1 Dec 31, 2049 8 1.43 -- 0.25 1.43 0.25 Nov 09, 2022 Nov 09, 2022 PR PERMIAN RESOURCES OPERATING LLC 144A Energy Fixed Income 14345.41 0.012303282612116266 14345.41 130 130 27034RAC7 US27034RAC79 -- 110.51 United States -- USD 2.67 7.93 1 Jul 15, 2031 9.88 5.1 -- 6.79 1.95 6.79 Jun 30, 2023 Jun 30, 2023 BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 14321.19 0.012282510427503526 14321.19 143212 143212 -- CL0002686989 BMXLJW8 0.1 Chile -- USD 3.89 5.97 949.8 Oct 01, 2028 5 3.9 -- 5.97 3.9 5.97 Apr 01, 2021 Jul 02, 2021 BC BRUNSWICK CORP Industrial Equity 14309.96 0.012272879063622393 14309.96 587 587 117043505 US1170435051 BH42ZM7 24.36 United States -- USD 3.88 6.81 1 Jan 15, 2049 6.63 11.93 -- 6.81 11.93 6.81 Dec 03, 2018 Dec 03, 2018 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 14296.65 0.0122614637961907 14296.65 144 144 527298BX0 US527298BX03 -- 99.61 United States -- USD 3.76 10.46 1 Apr 15, 2029 10.5 3.77 -- 10.46 3.77 10.46 Mar 22, 2024 Mar 22, 2024 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 14269 0.012237749886011414 14269 981 981 -- CND10001RRB3 -- 14.55 China -- USD 4.2 2 7.24715 Nov 22, 2028 3.25 4.2 -- 2 4.2 2 Nov 22, 2018 Nov 21, 2018 HESM HESS MIDSTREAM OPERATIONS LP 144A Energy Fixed Income 14264.15 0.01223359030321324 14264.15 149 149 428104AA1 US428104AA14 BKVHZF9 95.66 United States -- USD 3.05 6.33 1 Jun 15, 2028 5.13 3.59 -- 6.33 3.59 6.33 Dec 10, 2019 Dec 10, 2019 ORCL ORACLE CORPORATION Technology Fixed Income 14263.56 0.012233084292109958 14263.56 154 154 68389XBN4 US68389XBN49 BD38ZY0 92.86 United States -- USD 3.22 5.49 1 Nov 15, 2027 3.25 3.24 -- 5.49 3.24 5.49 Nov 09, 2017 Nov 09, 2017 FREMOR FREEDOM MORTGAGE CORP 144A Finance Companies Fixed Income 14236.29 0.012209696287387025 14236.29 131 131 35640YAL1 US35640YAL11 -- 108.69 United States -- USD 3.18 10.36 1 Oct 01, 2030 12.25 4.45 -- 9.78 3.4 9.78 Sep 28, 2023 Sep 28, 2023 HSBC HSBC HOLDINGS PLC Banking Fixed Income 14228.52 0.012203032378450567 14228.52 147 147 404280BB4 US404280BB43 BD0QRM9 96.72 United Kingdom -- USD 1.94 5.59 1 May 25, 2026 3.9 1.93 -- 5.59 1.93 5.59 May 25, 2016 May 25, 2016 FGP FERRELLGAS LP 144A Energy Fixed Income 14222.36 0.012197749279473915 14222.36 145 145 315289AA6 US315289AA69 -- 97.95 United States -- USD 1.59 6.52 1 Apr 01, 2026 5.38 1.8 -- 6.52 1.8 6.52 Mar 30, 2021 Mar 30, 2021 CTVA E I DU PONT DE NEMOURS AND CO Industrial Equity 14215.94 0.012192243192553446 14215.94 202 202 263534307 US2635343070 2287748 70.49 United States New York Stock Exchange Inc. USD 15.57 6.4 1 Dec 31, 2079 4.5 15.62 -- 6.4 15.22 6.4 Jul 07, 1950 Jul 07, 1950 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 14214.51 0.012191016758862437 14214.51 150 150 95000U2F9 US95000U2F97 BJ84B25 94.96 United States -- USD 1.98 6.04 1 Jun 17, 2027 3.2 2 -- 5.73 2.01 5.73 Jun 17, 2019 Jun 17, 2019 HLT HILTON DOMESTIC OPERATING COMPANY 144A Consumer Cyclical Fixed Income 14203.79 0.012181822794409564 14203.79 143 143 432833AG6 US432833AG67 -- 99.47 United States -- USD 0.77 5.92 1 May 01, 2025 5.38 0.95 -- 5.92 0.95 5.92 Apr 21, 2020 Apr 21, 2020 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 14199.14 0.012177834740798943 14199.14 146 146 36168QAK0 US36168QAK04 -- 97.31 Canada -- USD 1.2 5.98 1 Aug 01, 2025 3.75 1.2 -- 5.98 1.2 5.98 Aug 24, 2020 Aug 24, 2020 SNCR SYNCHRONOSS TECHNOLOGIES INC Industrial Equity 14195.43 0.012174652874369824 14195.43 679 679 87157B301 US87157B3015 BP68NG9 20.91 United States -- USD 1.9 10.26 1 Jun 30, 2026 8.38 1.86 -- 10.26 1.86 10.26 Jun 30, 2021 Jun 30, 2021 LAMR LAMAR MEDIA CORP Communications Fixed Income 14194.5 0.0121738552636477 14194.5 154 154 513075BR1 US513075BR18 -- 92.16 United States -- USD 3.26 6.09 1 Feb 15, 2028 3.75 3.43 -- 6.09 3.43 6.09 Jul 15, 2020 Oct 15, 2020 COIN COINBASE GLOBAL INC 144A Brokerage/Asset Managers/Exchanges Fixed Income 14187.53 0.012167877471461457 14187.53 182 182 19260QAD9 US19260QAD97 -- 77.77 United States -- USD 6.21 7.59 1 Oct 01, 2031 3.63 6.19 -- 7.59 6.19 7.59 Sep 17, 2021 Sep 17, 2021 PBFENE PBF HOLDING COMPANY LLC 144A Energy Fixed Income 14185.21 0.012165887732885836 14185.21 138 138 69318FAL2 US69318FAL22 -- 102.5 United States -- USD 3.72 7.37 1 Sep 15, 2030 7.88 4.94 -- 7.2 3.64 7.2 Aug 21, 2023 Aug 21, 2023 MS MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 14177.72 0.012159463964811953 14177.72 139 139 61747YEV3 US61747YEV39 -- 102.05 United States -- USD 3.06 6.03 1 Oct 18, 2028 6.3 3.09 -- 5.64 3.09 5.64 Oct 18, 2022 Oct 18, 2022 MFA MFA FINANCIAL INC Financial Institutions Equity 14176.62 0.012158520554280409 14176.62 552 552 55272X706 US55272X7066 BPRBVL8 25.69 United States -- USD 0 -- 1 Feb 15, 2029 8.88 0 -- -- 0 -- Jan 11, 2024 Jan 11, 2024 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 14172.46 0.012154952747179294 14172.46 152 152 38141GWV2 US38141GWV21 BD1DDX2 93.33 United States -- USD 3.62 5.85 1 Apr 23, 2029 3.81 4.44 -- 5.71 3.63 5.71 Jan 23, 2018 Jan 23, 2018 CITPET CITGO PETROLEUM CORPORATION 144A Owned No Guarantee Fixed Income 14162 0.01214598177067024 14162 142 142 17302XAM8 US17302XAM83 -- 99.8 United States -- USD 1.4 6.47 1 Jun 15, 2026 6.38 1.93 -- 6.47 1.93 6.47 Feb 11, 2021 Feb 11, 2021 HSBC HSBC HOLDINGS PLC Banking Fixed Income 14156.7 0.01214143624720007 14156.7 144 144 404280DG1 US404280DG12 -- 98.43 United Kingdom -- USD 2.91 6.22 1 Aug 11, 2028 5.21 2.95 -- 5.74 2.95 5.74 Aug 11, 2022 Aug 11, 2022 JPM JPMORGAN CHASE & CO FXD Banking Fixed Income 14132.17 0.01212039819234662 14132.17 156 156 46647PCP9 US46647PCP99 -- 90.66 United States -- USD 2.33 5.79 1 Sep 22, 2027 1.47 2.3 -- 5.67 2.3 5.67 Sep 22, 2021 Sep 22, 2021 BAC BANK OF AMERICA CORP (FX-FRN) Banking Fixed Income 14121.66 0.012111384333540679 14121.66 143 143 06051GLE7 US06051GLE79 -- 98.86 United States -- USD 1.61 6.1 1 Jan 20, 2027 5.08 1.61 -- 5.77 1.62 5.77 Jan 20, 2023 Jan 20, 2023 EQM EQM MIDSTREAM PARTNERS LP 144A Energy Fixed Income 14113.24 0.012104162954744674 14113.24 143 143 26885BAP5 US26885BAP58 -- 98.5 United States -- USD 3.57 6.73 1 Apr 01, 2029 6.38 4.12 -- 6.73 4.12 6.73 Feb 26, 2024 Feb 26, 2024 GAIN GLADSTONE INVESTMENT CORP Financial Institutions Equity 14104.82 0.012096941575948667 14104.82 624 624 376546883 US3765468836 BMYXVW7 22.6 United States -- USD 3.88 5.46 1 Nov 01, 2028 4.88 3.92 -- 5.46 3.92 5.46 Aug 18, 2021 Aug 18, 2021 CZGB CZECH REPUBLIC Treasuries Fixed Income 14095.62 0.0120890512333212 14095.62 3680 3680 -- CZ0001005037 BF1T8Q2 3.83 Czech Republic -- USD 2.73 4.1 23.49435 Feb 10, 2027 0.25 2.68 -- 4.1 2.68 4.1 Feb 10, 2017 Feb 10, 2017 TEVA TEVA PHARMACEUTICAL FINANCE NETHER Consumer Non-Cyclical Fixed Income 14094.67 0.012088236469680321 14094.67 131 131 88167AAR2 US88167AAR23 -- 107.59 Israel -- USD 5.51 6.8 1 Sep 15, 2031 8.13 5.53 -- 6.77 5.39 6.77 Mar 09, 2023 Mar 09, 2023 TRTX TPG RE FIN TR PREF SERIES C INC TR Financial Institutions Equity 14056.96 0.01205589464136709 14056.96 868 868 87266M206 US87266M2061 BMBMCR9 16.2 United States Non-Nms Quotation Service (Nnqs) USD 10.02 9.71 1 Dec 31, 2079 6.25 10.3 -- 9.71 10.18 9.71 Jun 14, 2021 Jun 14, 2021 BAC BANK OF AMERICA NA Banking Fixed Income 14046.33 0.012046777865048618 14046.33 140 140 06428CAA2 US06428CAA27 -- 100.28 United States -- USD 2.09 5.39 1 Aug 18, 2026 5.53 2.13 -- 5.39 2.05 5.39 Aug 18, 2023 Aug 18, 2023 LVIATH LEVIATHAN BOND LTD Energy Fixed Income 14045.91 0.012046417653754755 14045.91 151 151 -- IL0011677825 -- 93.17 Israel -- USD 2.78 9.01 1 Jun 30, 2027 6.5 2.73 -- 9.01 2.73 9.01 Aug 18, 2020 Aug 18, 2020 EIX EDISON INTERNATIONAL Electric Fixed Income 14043.59 0.012044427915179132 14043.59 138 138 281020AX5 US281020AX52 BPH14N1 101.79 United States -- USD 3.24 8.26 1 Jun 15, 2053 8.13 3.28 -- 7.59 3.2 7.59 Mar 06, 2023 Mar 06, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 14036.47 0.012038321476102225 14036.47 1000 1000 -- CND10006VQZ5 -- 14.04 China -- USD 8.25 2.31 7.24715 Aug 25, 2033 2.52 8.26 -- 2.31 8.26 2.31 Aug 25, 2023 Aug 24, 2023 ONB OLD NATIONAL BANCORP DEP SHS EACH Financial Institutions Equity 14034.74 0.012036837748629885 14034.74 562 562 68003D303 US68003D3035 BMHSYD1 24.99 United States -- USD 2.42 7.09 1 Dec 31, 2079 7 13.65 -- 7.09 13.65 7.09 Feb 16, 2022 Feb 16, 2022 MBIN MERCHANTS BANCORP Financial Institutions Equity 14033.03 0.012035371174076303 14033.03 572 572 58844R603 US58844R6036 BK9W8H9 24.55 United States -- USD 0.61 10.33 1 Dec 31, 2079 6 0.21 -- 10.33 0.41 10.33 Aug 19, 2019 Aug 19, 2019 GSYCN GOEASY LTD 144A Finance Companies Fixed Income 14027.34 0.012030491168690403 14027.34 133 133 380355AH0 US380355AH08 -- 105.25 Canada -- USD 2.48 7.86 1 Dec 01, 2028 9.25 3.6 -- 7.55 2.94 7.55 Nov 28, 2023 Nov 28, 2023 SAH SONIC AUTOMOTIVE INC 144A Consumer Cyclical Fixed Income 14025.02 0.012028501430114781 14025.02 160 160 83545GBD3 US83545GBD34 -- 87.5 United States -- USD 4.51 7.41 1 Nov 15, 2029 4.63 4.63 -- 7.41 4.63 7.41 Oct 27, 2021 Oct 27, 2021 MS MORGAN STANLEY MTN Banking Fixed Income 14020.05 0.012024238929804074 14020.05 144 144 6174467Y9 US6174467Y92 BQQLM13 97.24 United States -- USD 2.21 5.61 1 Sep 08, 2026 4.35 2.2 -- 5.61 2.2 5.61 Sep 08, 2014 Sep 08, 2014 NYMT NEW YORK MORTGAGE TRUST INC Financial Institutions Equity 14007.38 0.012013372555772554 14007.38 658 658 649604881 US6496048819 BF2FGW1 21.28 United States -- USD 2.34 12.17 1 Dec 31, 2079 8 2.66 -- 12.17 2.82 12.17 Oct 13, 2017 Oct 13, 2017 AM ANTERO MIDSTREAM PARTNERS LP 144A Energy Fixed Income 14004.13 0.012010585206474808 14004.13 141 141 03690AAK2 US03690AAK25 -- 99.32 United States -- USD 4.54 6.74 1 Feb 01, 2032 6.63 5.88 -- 6.74 5.88 6.74 Jan 16, 2024 Jan 16, 2024 GAIN GLADSTONE INVESTMENT CORP Financial Institutions Equity 14003.96 0.012010439406665388 14003.96 585 585 376546800 US3765468000 BM9ZTC4 23.92 United States -- USD 1.84 5.29 1 May 01, 2026 5 1.87 -- 5.29 1.87 5.29 Mar 02, 2021 Mar 02, 2021 BPL BUCKEYE PARTNERS LP Energy Fixed Income 14001.8 0.012008586891439809 14001.8 149 149 118230AQ4 US118230AQ44 BZ1JM93 94 United States -- USD 2.38 6.5 1 Dec 01, 2026 3.95 2.38 -- 6.5 2.38 6.5 Nov 07, 2016 Nov 07, 2016 TERP TERRAFORM POWER OPERATING LLC 144A Electric Fixed Income 13994.84 0.012002617675712944 13994.84 159 159 88104LAG8 US88104LAG86 -- 88.13 United States -- USD 4.64 7.33 1 Jan 15, 2030 4.75 4.78 -- 7.33 4.78 7.33 Oct 16, 2019 Oct 16, 2019 HGB HUNGARY (REPUBLIC OF) Treasuries Fixed Income 13992.4 0.01200052501962479 13992.4 58302 58302 -- HU0000403340 BD2BVM0 0.24 Hungary -- USD 2.49 7.22 366.65735 Dec 22, 2026 2.75 2.4 -- 7.22 2.4 7.22 May 24, 2017 May 24, 2017 HSBC HSBC HOLDINGS PLC Banking Fixed Income 13992.02 0.012000199114168438 13992.02 144 144 404280DF3 US404280DF39 BQ74Q75 97.12 United Kingdom -- USD 2.78 6.16 1 Jun 09, 2028 4.75 2.8 -- 5.78 2.8 5.78 Jun 09, 2022 Jun 09, 2022 BALY PREMIER ENTERTAINMENT SUB LLC 144A Consumer Cyclical Fixed Income 13987.87 0.011996639883526701 13987.87 189 189 74052HAA2 US74052HAA23 -- 74.11 United States -- USD 4.42 12.38 1 Sep 01, 2029 5.63 4.25 -- 12.38 4.25 12.38 Aug 20, 2021 Aug 20, 2021 ENOIGA ENERGEAN ISRAEL FINANCE LTD Energy Fixed Income 13987.87 0.011996639883526701 13987.87 150 150 -- IL0011736654 -- 93.5 Israel -- USD 1.81 8.6 1 Mar 30, 2026 4.88 1.78 -- 8.6 1.78 8.6 Mar 24, 2021 Mar 24, 2021 DKK DKK CASH Cash and/or Derivatives Cash 13982.55 0.011992077207137774 13982.55 974 974 -- -- -- 14.36 Denmark -- USD 0 3.85 6.9616 -- 0 0 -- 3.85 0 3.85 -- Jan 01, 1990 NMFC NEW MOUNTAIN FINANCE CORP Financial Institutions Equity 13981.74 0.011991382513928183 13981.74 543 543 647551308 US6475513080 BNDSDV3 25.77 United States -- USD 1.41 8.13 1 Nov 15, 2028 8.25 3.72 -- 7.3 1.43 7.3 Nov 13, 2023 Nov 13, 2023 THC TENET HEALTHCARE CORPORATION Consumer Non-Cyclical Fixed Income 13957.69 0.011970756129124863 13957.69 149 149 88033GDH0 US88033GDH02 BPTJRG7 93.86 United States -- USD 3.21 6.33 1 Jun 15, 2028 4.63 3.62 -- 6.33 3.62 6.33 Jun 16, 2020 Jun 16, 2020 CNC CENTENE CORPORATION Insurance Fixed Income 13930.71 0.011947616841723883 13930.71 148 148 15135BAR2 US15135BAR24 BMCTMH9 94.17 United States -- USD 2.97 6.06 1 Dec 15, 2027 4.25 3.25 -- 6.06 3.25 6.06 Dec 06, 2019 May 06, 2020 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 13927.2 0.011944606504482317 13927.2 140 140 693475BR5 US693475BR55 BRXDCG4 99.37 United States -- USD 3.53 6.01 1 Jun 12, 2029 5.58 3.56 -- 5.75 3.57 5.75 Jun 12, 2023 Jun 12, 2023 QBRCN VIDEOTRON LTD 144A Communications Fixed Income 13913.58 0.011932925366809916 13913.58 144 144 92660FAK0 US92660FAK03 BDRT6B3 96.69 Canada -- USD 2.28 6.37 1 Apr 15, 2027 5.13 2.7 -- 6.37 2.7 6.37 Apr 13, 2017 Apr 13, 2017 NOG NORTHERN OIL AND GAS INC 144A Energy Fixed Income 13908.94 0.011928945889658673 13908.94 133 133 665530AB7 US665530AB71 -- 104.76 United States -- USD 3.32 7.86 1 Jun 15, 2031 8.75 5.14 -- 7.39 3.35 7.39 May 15, 2023 May 15, 2023 CVI CVR ENERGY INC 144A Energy Fixed Income 13901.97 0.01192296809747243 13901.97 139 139 12662PAF5 US12662PAF53 -- 100.24 United States -- USD 3.26 8.43 1 Jan 15, 2029 8.5 3.77 -- 8.42 3.09 8.42 Dec 21, 2023 Dec 21, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 13900.71 0.011921887463590844 13900.71 141 141 91282CGX3 US91282CGX39 BMDLR13 98.68 United States -- USD 0.96 5.22 1 Apr 30, 2025 3.88 0.96 -- 5.22 0.96 5.22 Apr 30, 2023 May 01, 2023 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 13896.14 0.011917968021655243 13896.14 593 593 -- RO52CQA3C829 BPBR684 23.44 Romania -- USD 6.02 6.82 4.6453 Sep 29, 2032 8.25 5.83 -- 6.82 5.83 6.82 Sep 29, 2022 Oct 26, 2022 META META PLATFORMS INC MTN Communications Fixed Income 13893.92 0.011916064047673399 13893.92 146 146 30303M8G0 US30303M8G02 BMGK074 95.06 United States -- USD 3.04 5.14 1 Aug 15, 2027 3.5 3.05 -- 5.14 3.05 5.14 Aug 09, 2022 Dec 28, 2022 AM ANTERO MIDSTREAM PARTNERS LP / ANT 144A Energy Fixed Income 13892.69 0.011915009143169944 13892.69 142 142 03690AAD8 US03690AAD81 BJKRP31 97.88 United States -- USD 1.95 6.57 1 Mar 01, 2027 5.75 2.56 -- 6.57 2.56 6.57 Feb 25, 2019 Feb 25, 2019 MOH MOLINA HEALTHCARE INC 144A Insurance Fixed Income 13878.76 0.011903062135256836 13878.76 160 160 60855RAK6 US60855RAK68 BMYKTN5 86.5 United States -- USD 5.52 6.43 1 Nov 15, 2030 3.88 5.5 -- 6.43 5.5 6.43 Nov 17, 2020 Nov 17, 2020 GEL GENESIS ENERGY LP Energy Fixed Income 13871.79 0.011897084343070593 13871.79 137 137 37185LAP7 US37185LAP76 -- 101.13 United States -- USD 3.11 7.95 1 Jan 15, 2029 8.25 3.75 -- 7.88 3.07 7.88 Dec 07, 2023 Dec 07, 2023 CNO CNO FINANCIAL GROUP INC Financial Institutions Equity 13867.21 0.011893156324675615 13867.21 688 688 12621E301 US12621E3018 BMWB509 20.15 United States -- USD 12.62 6.43 1 Nov 25, 2060 5.13 14.19 -- 6.43 14.19 6.43 Nov 25, 2020 Nov 25, 2020 ABG ASBURY AUTOMOTIVE GROUP INC. 144A Consumer Cyclical Fixed Income 13834.65 0.01186523137294189 13834.65 156 156 043436AX2 US043436AX21 -- 88.62 United States -- USD 5.66 6.91 1 Feb 15, 2032 5 6.09 -- 6.91 6.09 6.91 Nov 19, 2021 Nov 19, 2021 FMGAU FMG RESOURCES (AUGUST 2006) PTY LT 144A Basic Industry Fixed Income 13827.68 0.011859253580755647 13827.68 147 147 30251GBA4 US30251GBA40 BK5GTT4 94.17 Australia -- USD 3.05 6.44 1 Sep 15, 2027 4.5 3.06 -- 6.44 3.06 6.44 Sep 16, 2019 Sep 16, 2019 NWL NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 13818.39 0.011851286049993782 13818.39 141 141 651229BB1 US651229BB19 -- 98.26 United States -- USD 1.04 6.53 1 Jun 01, 2025 4.88 1.03 -- 6.53 1.03 6.53 May 26, 2020 May 26, 2020 GTLS CHART INDUSTRIES INC 144A Capital Goods Fixed Income 13811.43 0.011845316834266918 13811.43 129 129 16115QAG5 US16115QAG55 -- 107 United States -- USD 2.51 8.12 1 Jan 01, 2031 9.5 4.82 -- 7.29 3.02 7.29 Dec 22, 2022 Dec 22, 2022 ORCL ORACLE CORPORATION Technology Fixed Income 13809.83 0.011843944600766487 13809.83 149 149 68389XCC7 US68389XCC74 -- 92.93 United States -- USD 1.84 5.59 1 Mar 25, 2026 1.65 1.84 -- 5.59 1.84 5.59 Mar 24, 2021 Mar 24, 2021 NBR NABORS INDUSTRIES LTD 144A Energy Fixed Income 13799.82 0.01183535956492943 13799.82 139 139 629571AA8 US629571AA86 BL3BQ20 99.13 United States -- USD 1.4 7.79 1 Jan 15, 2026 7.25 1.56 -- 7.79 1.56 7.79 Jan 10, 2020 Jan 10, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 13794.66 0.011830934111890548 13794.66 1379466 1379466 -- IDG000014101 BK71WR6 0.01 Indonesia -- USD 9.32 7.17 16187.5 Apr 15, 2040 7.5 9.32 -- 7.17 9.32 7.17 Oct 15, 2019 Nov 07, 2019 AMPBEV ARDAGH METAL PACKAGING FINANCE USA 144A Capital Goods Fixed Income 13776.6 0.011815445026254458 13776.6 141 141 03969YAC2 US03969YAC21 -- 97.51 Luxembourg -- USD 2.43 6.89 1 Jun 15, 2027 6 2.75 -- 6.89 2.75 6.89 Jun 08, 2022 Jun 08, 2022 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 13774.28 0.011813455287678836 13774.28 252 252 126307AY3 US126307AY37 BGSQL08 54.75 United States -- USD 3.17 26.79 1 Apr 01, 2028 7.5 2.85 -- 26.79 2.85 26.79 Oct 01, 2018 Oct 18, 2018 AJX GREAT AJAX CORP Financial Institutions Equity 13766.35 0.011806654155392336 13766.35 551 551 38983D409 US38983D4097 BDFWMZ0 25 United States -- USD 0.01 29.01 1 Apr 30, 2024 7.25 0.02 -- 29.01 0.02 29.01 Apr 25, 2017 Apr 25, 2017 CZGB CZECH REPUBLIC Treasuries Fixed Income 13765.09 0.011805573521510748 13765.09 3450 3450 -- CZ0001004469 BYY8L04 3.99 Czech Republic -- USD 2.09 4.13 23.49435 Jun 26, 2026 1 2.05 -- 4.13 2.05 4.13 Jun 26, 2015 Jun 26, 2015 AFG AMERICAN FINANCIAL GROUP INC Financial Institutions Equity 13762.93 0.01180372100628517 13762.93 595 595 025932807 US0259328070 BDFZ743 23.14 United States -- USD 9.06 6.38 1 Mar 30, 2059 5.88 14.01 -- 6.38 14.01 6.38 Mar 18, 2019 Mar 18, 2019 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 13759.29 0.011800599175071693 13759.29 647 647 -- RO0TLVC1MCW4 BN76DV3 21.25 Romania -- USD 0.57 5.99 4.6453 Nov 25, 2024 3.7 0.55 -- 5.99 0.55 5.99 Nov 25, 2019 Jul 15, 2020 MS MORGAN STANLEY Banking Fixed Income 13755.52 0.011797365849886308 13755.52 147 147 61744YAP3 US61744YAP34 BD1DD21 93.62 United States -- USD 3.37 5.89 1 Jan 24, 2029 3.77 4.21 -- 5.69 3.39 5.69 Jan 23, 2018 Jan 23, 2018 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 13741.32 0.011785187277570002 13741.32 6803 6803 -- TRT110226T13 BDGP106 2.02 Turkey -- USD 1.35 38.98 32.526 Feb 11, 2026 10.6 1.35 -- 38.98 1.35 38.98 Feb 24, 2016 Feb 24, 2016 ZIGGO ZIGGO BOND COMPANY BV 144A Communications Fixed Income 13709.28 0.011757708301723917 13709.28 140 140 98954UAB9 US98954UAB98 BZCR8L0 97.79 Netherlands -- USD 1.89 6.9 1 Jan 15, 2027 6 2.43 -- 6.9 2.43 6.9 Sep 23, 2016 Sep 23, 2016 RHP RHP HOTEL PROPERTIES LP 144A Reits Fixed Income 13706.96 0.011755718563148295 13706.96 150 150 749571AG0 US749571AG03 -- 91.41 United States -- USD 3.93 6.61 1 Feb 15, 2029 4.5 4.17 -- 6.61 4.17 6.61 Feb 17, 2021 Feb 17, 2021 ST SENSATA TECHNOLOGIES BV 144A Technology Fixed Income 13683.74 0.011735804024473322 13683.74 139 139 81725WAJ2 US81725WAJ27 BWFV670 98.61 Netherlands -- USD 1.36 6.02 1 Oct 01, 2025 5 1.36 -- 6.02 1.36 6.02 Mar 26, 2015 Mar 26, 2015 CHDN CHURCHILL DOWNS INCORPORATED 144A Consumer Cyclical Fixed Income 13669.81 0.011723857016560214 13669.81 142 142 171484AG3 US171484AG30 BJ5S5W8 96.37 United States -- USD 2.3 6.89 1 Apr 01, 2027 5.5 2.64 -- 6.89 2.64 6.89 Mar 25, 2019 Mar 25, 2019 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 13667.93 0.01172224464219721 13667.93 142 142 38141GZU1 US38141GZU11 -- 96.5 United States -- USD 2.98 5.97 1 Aug 23, 2028 4.48 3.01 -- 5.65 3.02 5.65 Aug 23, 2022 Aug 23, 2022 C CITIGROUP INC Banking Fixed Income 13666.18 0.011720743761806117 13666.18 142 142 172967KN0 US172967KN09 BDGKYT1 96.08 United States -- USD 1.88 5.48 1 May 01, 2026 3.4 1.88 -- 5.48 1.88 5.48 May 02, 2016 May 02, 2016 WBS WEBSTER FINANCIAL CORPORATION Financial Institutions Equity 13662.07 0.01171721883700189 13662.07 619 619 947890703 US9478907036 BMHRV93 22.08 United States New York Stock Exchange Inc. USD 9.16 7.4 1 Dec 31, 2079 6.5 13.29 -- 7.4 13.29 7.4 Feb 01, 2022 Feb 01, 2022 LADR LADDER CAPITAL FINANCE HOLDINGS LL 144A Reits Fixed Income 13655.88 0.011711910008647106 13655.88 155 155 505742AP1 US505742AP10 -- 88.1 United States -- USD 4.23 7.59 1 Jun 15, 2029 4.75 4.33 -- 7.59 4.33 7.59 Jun 23, 2021 Jun 23, 2021 FTAI FORTRESS TRANSPORTATION AND INFRAS 144A Finance Companies Fixed Income 13646.59 0.011703942477885242 13646.59 132 132 34960PAE1 US34960PAE16 -- 103.62 United States -- USD 3.68 7.18 1 Dec 01, 2030 7.88 4.96 -- 6.94 3.71 6.94 Nov 21, 2023 Nov 21, 2023 BALY PREMIER ENTERTAINMENT SUB LLC 144A Consumer Cyclical Fixed Income 13644.27 0.01170195273930962 13644.27 191 191 74052HAB0 US74052HAB06 -- 71.25 United States -- USD 5.6 11.84 1 Sep 01, 2031 5.88 5.4 -- 11.84 5.4 11.84 Aug 20, 2021 Aug 20, 2021 NSUS NUSTAR LOGISTICS LP Energy Fixed Income 13641.95 0.011699963000733999 13641.95 139 139 67059TAH8 US67059TAH86 -- 98.37 United States -- USD 5.8 5.94 1 Oct 01, 2030 6.38 5.9 -- 5.94 5.9 5.94 Sep 14, 2020 Sep 14, 2020 BRPCN BROOKFIELD RESIDENTIAL PROPERTIES 144A Consumer Cyclical Fixed Income 13637.31 0.011695983523582755 13637.31 142 142 11283YAB6 US11283YAB65 BKVJXG2 95.84 Canada -- USD 2.6 7.67 1 Sep 15, 2027 6.25 2.96 -- 7.67 2.96 7.67 Sep 23, 2019 Sep 23, 2019 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 13636.36 0.011695168759941876 13636.36 749 749 -- RO4KELYFLVK4 BLKQJX0 18.2 Romania -- USD 7.74 6.86 4.6453 Oct 11, 2034 4.75 7.53 -- 6.86 7.53 6.86 Oct 11, 2019 Oct 21, 2019 WLSC WILLIAMS SCOTSMAN INC 144A Industrial Other Fixed Income 13625.7 0.01168602625424527 13625.7 134 134 96949VAL7 US96949VAL71 -- 101.63 United States -- USD 4.07 7.09 1 Oct 01, 2031 7.38 5.64 -- 6.94 3.72 6.94 Sep 25, 2023 Sep 25, 2023 WTFC WINTRUST FINANCIAL CORP Financial Institutions Equity 13617.63 0.01167910505152748 13617.63 572 572 97650W405 US97650W4050 BYRYFQ3 23.82 United States -- USD 1.06 9.9 1 Dec 31, 2079 6.5 0.92 -- 9.9 1.12 9.9 Jun 25, 2015 Jun 25, 2015 BACR BARCLAYS PLC Banking Fixed Income 13615.37 0.011677166771708125 13615.37 140 140 06738EAN5 US06738EAN58 BD0SY79 97.6 United Kingdom -- USD 1.61 5.86 1 Jan 12, 2026 4.38 1.6 -- 5.86 1.6 5.86 Jan 12, 2016 Jan 12, 2016 BAYNGR BAYER US FINANCE II LLC 144A Consumer Non-Cyclical Fixed Income 13603.11 0.011666652032511089 13603.11 140 140 07274NAJ2 US07274NAJ28 BYZMHL8 97.18 Germany -- USD 1.52 6.08 1 Dec 15, 2025 4.25 1.53 -- 6.08 1.53 6.08 Jun 25, 2018 Jun 25, 2018 BAC BANK OF AMERICA CORP Banking Fixed Income 13599.61 0.011663650271728901 13599.61 147 147 06051GJQ3 US06051GJQ38 -- 92.7 United States -- USD 1.82 5.97 1 Mar 11, 2027 1.66 1.8 -- 5.82 1.8 5.82 Mar 11, 2021 Mar 11, 2021 JPM JPMORGAN CHASE & CO Banking Fixed Income 13599.61 0.011663650271728901 13599.61 146 146 46647PAM8 US46647PAM86 BFNJ8R1 93.15 United States -- USD 3.41 5.7 1 Jan 23, 2029 3.51 4.23 -- 5.56 3.41 5.56 Jan 23, 2018 Jan 23, 2018 BRK BERKSHIRE HATHAWAY INC Insurance Fixed Income 13596.1 0.011660639934487337 13596.1 141 141 084670BS6 US084670BS67 BDB5JC9 96.43 United States -- USD 1.77 5.13 1 Mar 15, 2026 3.13 1.8 -- 5.13 1.8 5.13 Mar 15, 2016 Mar 15, 2016 PFSI PENNYMAC FINANCIAL SERVICES INC 144A Finance Companies Fixed Income 13595.52 0.01166014249984343 13595.52 153 153 70932MAB3 US70932MAB37 -- 88.88 United States -- USD 4.07 7.01 1 Feb 15, 2029 4.25 4.18 -- 7.01 4.18 7.01 Feb 11, 2021 Feb 11, 2021 LNW LIGHT AND WONDER INTERNATIONAL INC 144A Consumer Cyclical Fixed Income 13593.2 0.011658152761267809 13593.2 134 134 531968AA3 US531968AA36 -- 101.17 United States -- USD 4.04 7.29 1 Sep 01, 2031 7.5 5.53 -- 7.18 3.63 7.18 Aug 23, 2023 Aug 23, 2023 GEN GEN DIGITAL INC 144A Technology Fixed Income 13586.23 0.011652174969081566 13586.23 135 135 668771AL2 US668771AL22 -- 100.96 United States -- USD 3.37 6.94 1 Sep 30, 2030 7.13 5.08 -- 6.8 2.99 6.8 Sep 19, 2022 Sep 19, 2022 PARA PARAMOUNT GLOBAL Communications Fixed Income 13553.73 0.011624301476104106 13553.73 155 155 92553PBC5 US92553PBC59 BD6V825 87.57 United States -- USD 2.55 9.96 1 Feb 28, 2057 6.25 10.29 -- 11.49 2.46 11.49 Feb 28, 2017 Feb 28, 2017 HILCRP HILCORP ENERGY I LP 144A Energy Fixed Income 13551.41 0.011622311737528484 13551.41 142 142 431318AU8 US431318AU81 -- 95.13 United States -- USD 3.8 6.96 1 Feb 01, 2029 5.75 4.02 -- 6.96 4.02 6.96 Jan 22, 2021 Jan 22, 2021 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 13551.12 0.011622063020206533 13551.12 5019 5019 -- TH0623036603 BNNJZR6 2.7 Thailand -- USD 2.06 2.35 37.0175 Jun 17, 2026 2.35 2.06 -- 2.35 2.06 2.35 Oct 18, 2022 Oct 18, 2022 SABHLD SABRE GLBL INC 144A Technology Fixed Income 13532.83 0.011606376676004755 13532.83 147 147 78573NAH5 US78573NAH52 -- 91.88 United States -- USD 2.84 14.17 1 Dec 15, 2027 11.25 2.74 -- 14.17 2.74 14.17 Dec 06, 2022 Dec 06, 2022 OTEXCN OPEN TEXT HOLDINGS INC 144A Technology Fixed Income 13525.87 0.01160040746027789 13525.87 159 159 683720AC0 US683720AC08 -- 85.07 Canada -- USD 5.91 6.66 1 Dec 01, 2031 4.13 6.17 -- 6.66 6.17 6.66 Nov 24, 2021 Nov 24, 2021 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 13516.32 0.011592216941572206 13516.32 5043 5043 -- TH0623036C06 BZC0S75 2.68 Thailand -- USD 2.54 2.41 37.0175 Dec 17, 2026 2.13 2.54 -- 2.41 2.54 2.41 Aug 15, 2016 Aug 15, 2016 HTLF HEARTLAND FINANCIAL USA INC. Financial Institutions Equity 13515.06 0.011591136307690618 13515.06 543 543 42234Q201 US42234Q2012 BK80XZ7 24.91 United States NASDAQ USD 1.15 11.04 1 Dec 31, 2079 7 0.82 -- 7.55 1.14 7.55 Jun 26, 2020 Jun 26, 2020 MCAIRH MACQUARIE AIRFINANCE HOLDINGS LTD 144A Finance Companies Fixed Income 13507.29 0.011584472398754162 13507.29 130 130 55609NAB4 US55609NAB47 -- 104.21 United Kingdom -- USD 2.52 7.1 1 Mar 30, 2029 8.13 4.01 -- 6.73 2.96 6.73 Sep 18, 2023 Sep 18, 2023 NAVI NAVIENT CORP Finance Companies Fixed Income 13495.69 0.011574523705876052 13495.69 135 135 63938CAH1 US63938CAH16 BF0P2W5 99.69 United States -- USD 1.09 7.02 1 Jun 25, 2025 6.75 1.08 -- 7.02 1.08 7.02 May 26, 2017 May 26, 2017 NCLH NCL CORPORATION LTD 144A Consumer Cyclical Fixed Income 13493.36 0.011572525390841052 13493.36 130 130 62886HBL4 US62886HBL42 -- 103.88 United States -- USD 1.86 7.18 1 Feb 01, 2028 8.38 3.15 -- 6.81 2.41 6.81 Feb 02, 2023 Feb 02, 2023 MPEL MELCO RESORTS FINANCE LTD 144A Consumer Cyclical Fixed Income 13486.4 0.011566556175114187 13486.4 144 144 58547DAC3 US58547DAC39 -- 93.76 Macau -- USD 2.72 7.85 1 Jul 17, 2027 5.63 2.83 -- 7.85 2.83 7.85 Jul 17, 2019 Jul 17, 2019 PSA PUBLIC STORAGE Financial Institutions Equity 13484.29 0.011564746542185497 13484.29 793 793 74460W487 US74460W4877 BMW9C79 17 United States New York Stock Exchange Inc. USD 17 5.76 1 Dec 31, 2079 3.9 17.37 -- 5.76 16.58 5.76 Nov 17, 2020 Nov 17, 2020 PR PERMIAN RESOURCES OPERATING LLC 144A Energy Fixed Income 13484.08 0.011564566436538566 13484.08 131 131 27034RAA1 US27034RAA14 -- 102.73 United States -- USD 1.56 6.97 1 Apr 15, 2027 8 2.61 -- 6.5 1.8 6.5 Apr 12, 2022 Apr 12, 2022 FRT FEDERAL REALTY INVESTMENT DEPOSITA Financial Institutions Equity 13468.9 0.011551547371203248 13468.9 646 646 313745200 US3137452005 BN7PD98 20.85 United States New York Stock Exchange Inc. USD 13.48 6.01 1 Dec 31, 2079 5 16.21 -- 6.01 16.21 6.01 Sep 29, 2017 Sep 25, 2017 GS GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 13459.46 0.011543451193550719 13459.46 135 135 38145GAM2 US38145GAM24 -- 99.92 United States -- USD 1.2 6.16 1 Aug 10, 2026 5.8 1.21 -- 5.85 1.21 5.85 Aug 10, 2023 Aug 10, 2023 BAC BANK OF AMERICA CORP Banking Fixed Income 13441.94 0.011528425236721023 13441.94 142 142 06051GGL7 US06051GGL77 BYWC0Y5 94.73 United States -- USD 2.77 5.92 1 Apr 24, 2028 3.71 3.63 -- 5.64 2.78 5.64 Apr 24, 2017 Apr 24, 2017 HSBC HSBC HOLDINGS PLC Banking Fixed Income 13441.94 0.011528425236721023 13441.94 141 141 404280BK4 US404280BK42 BDF0WL0 95.33 United Kingdom -- USD 2.65 6.14 1 Mar 13, 2028 4.04 3.5 -- 5.82 2.66 5.82 Mar 13, 2017 Mar 13, 2017 C CITIGROUP INC Banking Fixed Income 13431.43 0.011519411377915081 13431.43 144 144 172967LS8 US172967LS86 BYWG4Z6 93.17 United States -- USD 3.16 5.91 1 Oct 27, 2028 3.52 3.99 -- 5.7 3.17 5.7 Oct 27, 2017 Oct 27, 2017 NAVI NAVIENT CORP Finance Companies Fixed Income 13423.72 0.01151279892773489 13423.72 133 133 63938CAN8 US63938CAN83 -- 101.25 United States -- USD 4.44 9.1 1 Jul 25, 2030 9.38 4.56 -- 9.08 4.14 9.08 May 04, 2023 May 04, 2023 GT GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 13409.79 0.011500851919821782 13409.79 153 153 382550BR1 US382550BR12 -- 87.88 United States -- USD 5.75 7.45 1 Jul 15, 2031 5.25 5.7 -- 7.45 5.7 7.45 Jan 15, 2022 Apr 27, 2022 SBGI SINCLAIR TELEVISION GROUP INC 144A Communications Fixed Income 13409.79 0.011500851919821782 13409.79 199 199 829259BA7 US829259BA72 -- 67.47 United States -- USD 5.39 11.23 1 Dec 01, 2030 4.13 5.21 -- 11.23 5.21 11.23 Dec 04, 2020 Dec 04, 2020 WSTP WESTPAC BANKING CORP MTN 144A Banking Fixed Income 13409.38 0.011500500284987298 13409.38 134 134 9612E0DK0 US9612E0DK03 -- 99.72 Australia -- USD 0.01 6.23 1 Jan 29, 2026 5.9 0.01 -- 6.23 0.01 6.23 Jan 29, 2024 Jan 29, 2024 BLDR BUILDERS FIRSTSOURCE INC 144A Capital Goods Fixed Income 13400.5 0.011492884389059918 13400.5 144 144 12008RAN7 US12008RAN70 -- 93.24 United States -- USD 4.34 6.4 1 Mar 01, 2030 5 4.92 -- 6.4 4.92 6.4 Feb 11, 2020 Feb 11, 2020 RRC RANGE RESOURCES CORPORATION Energy Fixed Income 13379.6 0.011474959588960566 13379.6 129 129 75281ABJ7 US75281ABJ79 -- 104.07 United States -- USD 0.85 7.21 1 Jan 15, 2029 8.25 3.8 -- 6.17 0.68 6.17 Jul 15, 2021 Dec 08, 2021 ADAHEA ADAPTHEALTH LLC 144A Consumer Non-Cyclical Fixed Income 13368 0.011465010896082458 13368 158 158 00653VAE1 US00653VAE11 -- 84.46 United States -- USD 4.8 8.55 1 Mar 01, 2030 5.13 4.8 -- 8.55 4.8 8.55 Aug 19, 2021 Aug 19, 2021 EQM EQM MIDSTREAM PARTNERS LP 144A Energy Fixed Income 13368 0.011465010896082458 13368 128 128 26885BAN0 US26885BAN01 -- 104.31 United States -- USD 4.6 6.63 1 Jun 01, 2030 7.5 4.74 -- 6.57 4.42 6.57 Jun 07, 2022 Jun 07, 2022 HWDGRP HOWDEN UK REFINANCE 2 PLC 144A Insurance Fixed Income 13365.67 0.011463012581047458 13365.67 136 136 44287DAA1 US44287DAA19 -- 98.33 United Kingdom -- USD 4.62 8.42 1 Feb 15, 2032 8.13 5.59 -- 8.42 5.59 8.42 Feb 15, 2024 Feb 15, 2024 GS GOLDMAN SACHS BANK USA (FRN) Banking Fixed Income 13361.74 0.01145964203251203 13361.74 134 134 38151LAE0 US38151LAE02 -- 100.05 United States -- USD 0 6.24 1 Mar 18, 2027 6.1 0.14 -- 6.23 0.14 6.23 Mar 18, 2024 Mar 18, 2024 COOP NATIONSTAR MORTGAGE HOLDINGS INC 144A Finance Companies Fixed Income 13361.03 0.011459033103896215 13361.03 137 137 63861CAA7 US63861CAA71 -- 97.74 United States -- USD 1.91 6.92 1 Jan 15, 2027 6 2.43 -- 6.92 2.43 6.92 Jan 16, 2020 Jan 16, 2020 DELL DELL INTERNATIONAL LLC Technology Fixed Income 13336.83 0.01143827807220223 13336.83 133 133 24703TAD8 US24703TAD81 BL97CL3 100.56 United States -- USD 1.81 5.73 1 Jun 15, 2026 6.02 1.94 -- 5.7 1.73 5.7 Jun 15, 2021 Jun 15, 2021 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 13333.08 0.0114350618999356 13333.08 668 668 -- RO3B41D8EX14 BMC89N1 19.95 Romania -- USD 4.42 6.54 4.6453 Jul 25, 2029 4.85 4.28 -- 6.54 4.28 6.54 Jul 25, 2021 Nov 22, 2021 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 13330.85 0.011433149349494378 13330.85 136 136 36168QAJ3 US36168QAJ31 -- 98.35 Canada -- USD 1.02 5.82 1 Jun 01, 2025 4.25 1.04 -- 5.82 1.04 5.82 Apr 29, 2020 Apr 29, 2020 TTMTIN JAGUAR LAND ROVER AUTOMOTIVE PLC 144A Consumer Cyclical Fixed Income 13328.53 0.011431159610918756 13328.53 137 137 47010BAK0 US47010BAK08 -- 96.99 United Kingdom -- USD 2.64 6.8 1 Jan 15, 2028 5.88 3.23 -- 6.8 3.23 6.8 Dec 11, 2020 Dec 11, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 13328.44 0.011431082422784357 13328.44 955 955 -- CND10006PJH0 -- 13.96 China -- USD 3.96 2.1 7.24715 Jul 15, 2028 2.4 3.91 -- 2.1 3.91 2.1 Jul 15, 2023 Jul 14, 2023 MSBI MIDLAND STATES BANCORP INC Financial Institutions Equity 13318.47 0.01142253169278481 13318.47 529 529 597742303 US5977423038 BJN53Y9 25.2 United States -- USD 2.92 9.05 1 Dec 31, 2079 7.75 2.73 -- 7.74 2.92 7.74 Aug 24, 2022 Aug 24, 2022 MSSCRK MOSS CREEK RESOURCES HOLDINGS INC 144A Energy Fixed Income 13312.28 0.011417222864430025 13312.28 130 130 61965RAB1 US61965RAB15 BGV1LB1 102.06 United States -- USD 1.06 9.7 1 May 15, 2027 10.5 2.46 -- 8.41 0.94 8.41 May 01, 2019 May 01, 2019 FTAI FTAI AVIATION FIXED RATE RESET C Financial Institutions Equity 13297.95 0.011404932798141811 13297.95 532 532 -- KYG3730V1398 BM8J6R1 24.99 United States NASDAQ USD 3.2 8.33 1 Dec 31, 2079 8.25 12 -- 8.33 11.62 8.33 Mar 30, 2021 Mar 30, 2021 CZGB CZECH REPUBLIC Treasuries Fixed Income 13288.43 0.01139676800881426 13288.43 3786 3786 -- CZ0001006233 BM91K29 3.51 Czech Republic -- USD 7.33 4.36 23.49435 Jun 23, 2032 1.75 7.17 -- 4.36 7.17 4.36 Apr 23, 2021 Apr 23, 2021 ICBCAS INDUSTRIAL & COMMERCIAL BANK OF CH 144A Owned No Guarantee Fixed Income 13287.78 0.01139621053895471 13287.78 135 135 455881AD4 US455881AD47 BYRD7Q4 98.75 China -- USD 1.34 5.81 1 Sep 21, 2025 4.88 1.33 -- 5.81 1.33 5.81 Sep 21, 2015 Sep 21, 2015 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 13284.27 0.011393200201713145 13284.27 140 140 38141GWL4 US38141GWL49 BF6Q761 94.59 United States -- USD 2.83 5.89 1 Jun 05, 2028 3.69 3.67 -- 5.61 2.84 5.61 Jun 05, 2017 Jun 05, 2017 CODI COMPASS DIVERSIFIED HOLDINGS Financial Institutions Equity 13280.86 0.011390275629065355 13280.86 531 531 20451Q401 US20451Q4010 BKSQJK2 25 United States -- USD 2.42 8.03 1 Dec 31, 2079 7.88 12.46 -- 8.03 12.08 8.03 Nov 20, 2019 Nov 20, 2019 CNX CNX RESOURCES CORP 144A Energy Fixed Income 13233.34 0.01134952029410262 13233.34 132 132 12653CAK4 US12653CAK45 -- 100.6 United States -- USD 3.6 7.26 1 Jan 15, 2031 7.38 5.13 -- 7.18 3.15 7.18 Sep 26, 2022 Sep 26, 2022 C CITIGROUP INC Banking Fixed Income 13214.2 0.011333104950853741 13214.2 136 136 172967KG5 US172967KG57 BYQ02K5 96.88 United States -- USD 1.62 5.63 1 Jan 12, 2026 3.7 1.61 -- 5.63 1.61 5.63 Jan 12, 2016 Jan 12, 2016 WBS WEBSTER FINANCIAL DRC CORP Financial Institutions Equity 13214.19 0.011333096374394364 13214.19 688 688 947890505 US9478905055 BF1Q6V4 19.21 United States New York Stock Exchange Inc. USD 12.84 6.89 1 Dec 31, 2079 5.25 14.28 -- 6.89 14.28 6.89 Dec 12, 2017 Dec 12, 2017 QVCN QVC INC Industrial Equity 13209.06 0.011328696650733614 13209.06 1065 1065 747262301 US7472623013 BF5K8M7 12.4 United States -- USD 7.7 13.04 1 Sep 13, 2067 6.38 7.64 -- 13.04 7.64 13.04 Sep 13, 2018 Sep 13, 2018 T AT&T INC Communications Fixed Income 13200.19 0.011321089331265612 13200.19 145 145 00206RJX1 US00206RJX17 -- 91.19 United States -- USD 2.9 5.43 1 Jun 01, 2027 2.3 2.9 -- 5.43 2.9 5.43 May 28, 2020 May 28, 2020 EQC EQUITY COMMONWEALTH Financial Institutions Equity 13178.29 0.011302306885228493 13178.29 526 526 294628201 US2946282017 BPNNRC1 25.04 United States -- USD 5.81 25.96 1 Dec 31, 2079 6.5 15.09 -- 25.96 15.09 25.96 Oct 11, 2006 Oct 11, 2006 GWCN GARDA WORLD SECURITY CORP 144A Consumer Cyclical Fixed Income 13175.3 0.011299742523874567 13175.3 139 139 36485MAK5 US36485MAK53 -- 94.49 Canada -- USD 2.45 6.81 1 Feb 15, 2027 4.63 2.55 -- 6.81 2.55 6.81 Jan 30, 2020 Jan 30, 2020 STX SEAGATE HDD CAYMAN 144A Technology Fixed Income 13168.34 0.011293773308147702 13168.34 124 124 81180WBJ9 US81180WBJ99 -- 105.97 United States -- USD 3.22 7.41 1 Jul 15, 2031 8.5 5.28 -- 6.84 3.46 6.84 May 30, 2023 May 30, 2023 RIG TRANSOCEAN INC 144A Energy Fixed Income 13168.34 0.011293773308147702 13168.34 132 132 893830BL2 US893830BL24 BL2FJW4 100.11 United States -- USD 1.17 7.95 1 Feb 01, 2027 8 2.4 -- 7.83 0.72 7.83 Jan 17, 2020 Jan 17, 2020 MS MORGAN STANLEY MTN Banking Fixed Income 13163.4 0.011289536537215128 13163.4 143 143 61747YEK7 US61747YEK73 -- 92.18 United States -- USD 2.57 5.8 1 Jan 21, 2028 2.48 2.57 -- 5.59 2.57 5.59 Jan 24, 2022 Jan 24, 2022 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 13159.7 0.011286363247245386 13159.7 1315970 1315970 -- IDG000009804 B3ZR761 0.01 Indonesia -- USD 2.63 6.98 16187.5 May 15, 2027 7 2.63 -- 6.98 2.63 6.98 May 15, 2011 Sep 15, 2011 AGKLN ALBION FINANCING 1 SARL 144A Industrial Other Fixed Income 13142.8 0.011271869030897108 13142.8 134 134 013304AA8 US013304AA87 -- 97.77 Luxembourg -- USD 1.97 7.12 1 Oct 15, 2026 6.13 2.25 -- 7.12 2.25 7.12 Oct 22, 2021 Oct 22, 2021 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 13130.71 0.011261500091509492 13130.71 4881 4881 -- TH0623A34C09 BKT3PB5 2.69 Thailand -- USD 0.63 2.28 37.0175 Dec 17, 2024 1.45 0.63 -- 2.28 0.63 2.28 Aug 30, 2019 Aug 30, 2019 COOP NATIONSTAR MORTGAGE HOLDINGS INC 144A Finance Companies Fixed Income 13128.87 0.011259922022983999 13128.87 145 145 63861CAE9 US63861CAE93 -- 90.41 United States -- USD 5.34 7.43 1 Nov 15, 2031 5.75 5.77 -- 7.43 5.77 7.43 Nov 04, 2021 Nov 04, 2021 WFC WELLS FARGO BANK NA Banking Fixed Income 13126.61 0.011257983743164644 13126.61 132 132 94988J6F9 US94988J6F93 -- 99.58 United States -- USD 2.35 5.43 1 Dec 11, 2026 5.25 2.38 -- 5.43 2.38 5.43 Dec 11, 2023 Dec 11, 2023 JPM JPMORGAN CHASE & CO FXD-FRN Banking Fixed Income 13124.86 0.011256482862773549 13124.86 141 141 46647PCW4 US46647PCW41 -- 93.13 United States -- USD 2.64 5.83 1 Feb 24, 2028 2.95 2.64 -- 5.6 2.64 5.6 Feb 24, 2022 Feb 24, 2022 OMI OWENS & MINOR INC 144A Consumer Non-Cyclical Fixed Income 13121.9 0.011253944230797756 13121.9 136 136 690732AG7 US690732AG70 -- 96.63 United States -- USD 3.81 7.34 1 Apr 01, 2030 6.63 4.79 -- 7.34 4.79 7.34 Mar 29, 2022 Mar 29, 2022 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 13117.37 0.011250059094699668 13117.37 779 779 -- CND100045MS9 BN2RC70 16.84 China -- USD 17.81 2.58 7.24715 Apr 12, 2051 3.72 18 -- 2.58 18 2.58 Apr 12, 2021 Apr 09, 2021 POLGB POLAND (REPUBLIC OF) Treasuries Fixed Income 13117.37 0.011250059094699668 13117.37 571 571 -- PL0000115283 BQS94C0 22.96 Poland -- USD 1.47 5.19 4.03785 Oct 25, 2025 0 1.43 -- 5.19 1.43 5.19 Dec 20, 2022 Dec 20, 2022 USFOOD US FOODS INC 144A Consumer Non-Cyclical Fixed Income 13117.26 0.011249964753646513 13117.26 130 130 90290MAG6 US90290MAG69 -- 100.87 United States -- USD 2.91 6.64 1 Sep 15, 2028 6.88 3.71 -- 6.58 2.96 6.58 Sep 25, 2023 Sep 25, 2023 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 13094.04 0.01123005021497154 13094.04 143 143 46284VAL5 US46284VAL53 -- 91.47 United States -- USD 5.52 7.01 1 Jul 15, 2032 5.63 6.28 -- 7.01 6.28 7.01 Jun 22, 2020 Jun 22, 2020 COOP NATIONSTAR MORTGAGE HOLDINGS INC 144A Finance Companies Fixed Income 13087.08 0.011224080999244676 13087.08 147 147 63861CAD1 US63861CAD11 BNBRDV2 89.29 United States -- USD 5.04 7.18 1 Dec 15, 2030 5.13 5.34 -- 7.18 5.34 7.18 Dec 04, 2020 Dec 04, 2020 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 13086.06 0.011223206200388152 13086.06 643 643 -- ROGSHSTVFMX2 BL6N0P4 20.35 Romania -- USD 2.01 6.01 4.6453 Jun 24, 2026 3.25 1.95 -- 6.01 1.95 6.01 Jun 24, 2020 Nov 16, 2020 DAL DELTA AIR LINES INC Transportation Fixed Income 13077.79 0.01121611346848281 13077.79 145 145 247361ZT8 US247361ZT81 -- 90.06 United States -- USD 4.75 5.89 1 Oct 28, 2029 3.75 4.76 -- 5.89 4.76 5.89 Oct 28, 2019 Oct 28, 2019 TGNA TEGNA INC 144A Communications Fixed Income 13075.47 0.011214123729907188 13075.47 136 136 87901JAF2 US87901JAF21 -- 96.45 United States -- USD 1.72 6.78 1 Mar 15, 2026 4.75 1.76 -- 6.78 1.76 6.78 Sep 10, 2020 Sep 10, 2020 CAR AVIS BUDGET CAR RENTAL LLC 144A Transportation Fixed Income 13061.54 0.01120217672199408 13061.54 147 147 053773BF3 US053773BF30 -- 88.89 United States -- USD 4.01 8.2 1 Mar 01, 2029 5.38 4.09 -- 8.2 4.09 8.2 Mar 01, 2021 Mar 01, 2021 HILCRP HILCORP ENERGY I LP 144A Energy Fixed Income 13059.22 0.011200186983418459 13059.22 137 137 431318AV6 US431318AV64 -- 95.22 United States -- USD 3.94 6.89 1 Feb 01, 2031 6 5.36 -- 6.89 5.36 6.89 Jan 22, 2021 Jan 22, 2021 BBWI BATH & BODY WORKS INC Consumer Cyclical Fixed Income 13056.9 0.011198197244842837 13056.9 136 136 501797AN4 US501797AN49 BF5MV91 95.89 United States -- USD 3.34 6.5 1 Feb 01, 2028 5.25 3.31 -- 6.5 3.31 6.5 Jan 23, 2018 Jan 23, 2018 HBGCN HUB INTERNATIONAL LTD 144A Insurance Fixed Income 13040.65 0.011184260498354108 13040.65 143 143 44332PAG6 US44332PAG63 -- 91.43 United States -- USD 4.19 7.53 1 Dec 01, 2029 5.63 4.55 -- 7.53 4.55 7.53 Nov 30, 2021 Nov 30, 2021 GSL GLOBAL SHIP LEASE INC Industrial Equity 13038.12 0.011182090654131555 13038.12 506 506 -- MHY271831213 BQ1VYX4 25.77 United Kingdom New York Stock Exchange Inc. USD 0.15 8.54 1 Dec 31, 2079 8.75 11.71 -- -5 0.09 -5 Aug 20, 2014 Aug 20, 2014 HSBC HSBC HOLDINGS PLC (FXD-FLT) Banking Fixed Income 13030.26 0.011175349557060697 13030.26 130 130 404280DZ9 US404280DZ92 -- 100.1 United Kingdom -- USD 2.1 6.16 1 Aug 14, 2027 5.89 2.1 -- 5.84 2.1 5.84 Aug 14, 2023 Aug 14, 2023 BOH BANK OF HAWAII CORP Financial Institutions Equity 13019.31 0.011165958334042138 13019.31 809 809 062545207 US0625452075 BMD0HP4 16.1 United States -- USD 14.03 6.9 1 Dec 31, 2079 4.38 14.28 -- 6.9 14.28 6.9 Jun 15, 2021 Jun 15, 2021 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 13018.79 0.0111655123581545 13018.79 1301879 1301879 -- IDG000012907 BF4Y9X8 0.01 Indonesia -- USD 3.97 7.08 16187.5 May 15, 2029 8.25 3.97 -- 7.08 3.97 7.08 May 15, 2018 Sep 27, 2018 BGS B&G FOODS INC Consumer Non-Cyclical Fixed Income 12989.57 0.011140451943852919 12989.57 142 142 05508WAB1 US05508WAB19 BKKF792 91.38 United States -- USD 2.98 8.21 1 Sep 15, 2027 5.25 2.99 -- 8.21 2.99 8.21 Sep 26, 2019 Sep 26, 2019 VVNT APX GROUP INC 144A Consumer Cyclical Fixed Income 12984.93 0.011136472466701675 12984.93 131 131 00213MAV6 US00213MAV63 -- 99 United States -- USD 1.59 7.14 1 Feb 15, 2027 6.75 2.48 -- 7.14 2.48 7.14 Feb 14, 2020 Feb 14, 2020 HPE HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 12984.71 0.011136283784595366 12984.71 131 131 42824CAW9 US42824CAW91 BD3GB57 98.79 United States -- USD 1.33 5.77 1 Oct 15, 2025 4.9 1.4 -- 5.77 1.4 5.77 Oct 15, 2016 Dec 30, 2016 SUN SUNOCO LP Energy Fixed Income 12980.28 0.011132484413091054 12980.28 132 132 86765LAQ0 US86765LAQ05 BKLNVX7 98.51 United States -- USD 1.88 6.56 1 Apr 15, 2027 6 2.67 -- 6.56 2.67 6.56 Mar 14, 2019 Jul 16, 2019 C CITIBANK NA (FXD) Banking Fixed Income 12979.45 0.011131772566962706 12979.45 130 130 17325FBC1 US17325FBC14 -- 100.08 United States -- USD 2.32 5.45 1 Dec 04, 2026 5.49 2.35 -- 5.45 2.35 5.45 Dec 04, 2023 Dec 04, 2023 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 12977.04 0.011129705640252686 12977.04 606 606 -- ROO7A2H5YIN8 BMCN431 21.43 Romania -- USD 6.07 6.77 4.6453 Feb 25, 2032 6.7 5.88 -- 6.77 5.88 6.77 Feb 25, 2022 Mar 16, 2022 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 12975.95 0.011128770806180518 12975.95 133 133 38141GVR2 US38141GVR28 BYNMJP8 97.84 United States -- USD 1.42 5.78 1 Oct 21, 2025 4.25 1.42 -- 5.78 1.42 5.78 Oct 21, 2015 Oct 21, 2015 AXL AMERICAN AXLE & MANUFACTURING INC Consumer Cyclical Fixed Income 12966.35 0.011120537405177947 12966.35 145 145 02406PBB5 US02406PBB58 -- 89.53 United States -- USD 4.37 7.37 1 Oct 01, 2029 5 4.6 -- 7.37 4.6 7.37 Aug 19, 2021 Aug 19, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 12961.96 0.011116772339511144 12961.96 911 911 -- CND100076348 -- 14.23 China -- USD 8.35 2.3 7.24715 Nov 25, 2033 2.67 8.35 -- 2.3 8.35 2.3 Nov 25, 2023 Nov 25, 2023 EQM EQM MIDSTREAM PARTNERS LP 144A Energy Fixed Income 12961.71 0.011116557928026703 12961.71 127 127 26885BAM2 US26885BAM28 -- 101.76 United States -- USD 1.8 6.86 1 Jun 01, 2027 7.5 2.66 -- 6.59 1.87 6.59 Jun 07, 2022 Jun 07, 2022 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 12960.22 0.011115280035579428 12960.22 4580 4580 -- TH062303D603 BLFGTJ1 2.83 Thailand -- USD 7.78 2.78 37.0175 Jun 17, 2033 3.35 7.79 -- 2.78 7.79 2.78 Oct 07, 2022 Oct 07, 2022 BAC BANK OF AMERICA NA Banking Fixed Income 12954.93 0.011110743088568636 12954.93 129 129 06428CAC8 US06428CAC82 -- 100.18 United States -- USD 1.2 5.5 1 Aug 18, 2025 5.65 1.24 -- 5.5 1.16 5.5 Aug 18, 2023 Aug 18, 2023 HHH HOWARD HUGHES CORP 144A Financial Other Fixed Income 12954.74 0.011110580135840459 12954.74 153 153 44267DAF4 US44267DAF42 -- 84.5 United States -- USD 5.41 7.32 1 Feb 01, 2031 4.38 5.57 -- 7.32 5.57 7.32 Feb 02, 2021 Feb 02, 2021 UNIT UNITI GROUP LP 144A Communications Fixed Income 12947.78 0.011104610920113594 12947.78 172 172 91327AAB8 US91327AAB89 -- 75.25 United States -- USD 4.58 12.12 1 Jan 15, 2030 6 4.41 -- 12.12 4.41 12.12 Oct 13, 2021 Oct 13, 2021 RGCARE LIFEPOINT HEALTH INC 144A Consumer Non-Cyclical Fixed Income 12924.56 0.011084696381438622 12924.56 139 139 53219LAS8 US53219LAS88 -- 92.84 United States -- USD 2.54 7.24 1 Feb 15, 2027 4.38 2.55 -- 7.24 2.55 7.24 Feb 13, 2020 Feb 13, 2020 HLT HILTON DOMESTIC OPERATING COMPANY 144A Consumer Cyclical Fixed Income 12919.92 0.011080716904287378 12919.92 131 131 432833AP6 US432833AP66 BS2FMH9 98.44 United States -- USD 3.59 6.25 1 Apr 01, 2029 5.88 4.2 -- 6.25 4.2 6.25 Mar 26, 2024 Mar 26, 2024 PBH PRESTIGE BRANDS INC 144A Consumer Non-Cyclical Fixed Income 12919.92 0.011080716904287378 12919.92 152 152 74112BAM7 US74112BAM72 -- 84.74 United States -- USD 5.71 6.52 1 Apr 01, 2031 3.75 5.88 -- 6.52 5.88 6.52 Mar 01, 2021 Mar 01, 2021 ENOIGA ENERGEAN ISRAEL FINANCE LTD Energy Fixed Income 12908.31 0.011070759634949892 12908.31 146 146 -- IL0011736738 -- 88.33 Israel -- USD 3.46 8.96 1 Mar 30, 2028 5.38 3.4 -- 8.96 3.4 8.96 Mar 24, 2021 Mar 24, 2021 GLOBAU GLOBAL AUTO HOLDINGS LTD 144A Consumer Cyclical Fixed Income 12905.99 0.01106876989637427 12905.99 137 137 00033GAB1 US00033GAB14 -- 94.37 United Kingdom -- USD 4.8 9.8 1 Jan 15, 2032 8.75 5.32 -- 9.8 5.32 9.8 Jan 22, 2024 Jan 22, 2024 DRH DIAMONDROCK HOSPITALITY CO Financial Institutions Equity 12904.78 0.011067732144789571 12904.78 509 509 252784400 US2527844003 BMWB1H8 25.35 United States Non-Nms Quotation Service (Nnqs) USD 1.38 8.18 1 Dec 31, 2079 8.25 12.22 -- 7.67 1.26 7.67 Aug 31, 2020 Aug 31, 2020 MATHOM MATTAMY GROUP CORP 144A Consumer Cyclical Fixed Income 12901.35 0.011064790419223028 12901.35 144 144 57701RAM4 US57701RAM43 BLBQF97 89.36 Canada -- USD 4.7 6.86 1 Mar 01, 2030 4.63 4.94 -- 6.86 4.94 6.86 Mar 05, 2020 Mar 05, 2020 NSANY NISSAN MOTOR CO LTD 144A Consumer Cyclical Fixed Income 12900.62 0.011064164337688457 12900.62 137 137 654744AC5 US654744AC50 BM8TGL5 94.04 Japan -- USD 3.07 6.32 1 Sep 17, 2027 4.34 3.07 -- 6.32 3.07 6.32 Sep 17, 2020 Sep 17, 2020 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 12895.36 0.011059653120055796 12895.36 133 133 38143U8H7 US38143U8H71 BYYLHX8 96.98 United States -- USD 1.7 5.5 1 Feb 25, 2026 3.75 1.73 -- 5.5 1.73 5.5 Feb 25, 2016 Feb 25, 2016 VSAT VIASAT INC 144A Communications Fixed Income 12885.1 0.011050853672734296 12885.1 141 141 92552VAL4 US92552VAL45 BJ2X3M2 91.67 United States -- USD 2.67 8.87 1 Apr 15, 2027 5.63 2.65 -- 8.87 2.65 8.87 Mar 27, 2019 Mar 27, 2019 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 12879.04 0.011045656338351422 12879.04 900 900 -- CND10005TZQ1 -- 14.31 China -- USD 7.51 2.32 7.24715 Nov 15, 2032 2.8 7.51 -- 2.32 7.51 2.32 Nov 15, 2022 Nov 14, 2022 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 12854.91 0.011024961341873082 12854.91 209 209 527298CB7 US527298CB73 -- 61.38 United States -- USD 4.31 16.12 1 Jun 15, 2029 4.88 4.08 -- 16.12 4.08 16.12 Mar 22, 2024 Mar 22, 2024 CHGRID STATE GRID OVERSEAS INVESTMENT (20 MTN 144A Owned No Guarantee Fixed Income 12853.32 0.011023597684832031 12853.32 135 135 857006AG5 US857006AG58 BDT6RN1 95.35 China -- USD 2.77 5.18 1 May 04, 2027 3.5 2.77 -- 5.18 2.77 5.18 May 04, 2017 May 04, 2017 FATBP FAT BRANDS CUM PRF SERIES B INC Industrial Equity 12851.78 0.011022276910087867 12851.78 857 857 30258N501 US30258N5014 BL5DH09 15 United States NASDAQ USD 0 -- 1 Dec 31, 2079 8.25 0 -- -- 0 -- Jul 16, 2020 Jul 16, 2020 RKTLN RECKITT BENCKISER TREASURY SERVICE 144A Consumer Non-Cyclical Fixed Income 12841.06 0.011013082945634994 12841.06 139 139 75625QAE9 US75625QAE98 BF5SP97 92.65 United Kingdom -- USD 2.92 5.56 1 Jun 26, 2027 3 2.93 -- 5.56 2.93 5.56 Jun 26, 2017 Jun 26, 2017 NEWT NEWTEK BUSINESS SERVICES CORP Financial Institutions Equity 12836.4 0.011009086315564996 12836.4 541 541 652526708 US6525267083 BNG4Y59 23.71 United States -- USD 1.64 5.88 1 Feb 01, 2026 5.5 1.63 -- 5.88 1.63 5.88 Jan 22, 2021 Jan 22, 2021 PPC PILGRIMS PRIDE CORP Consumer Non-Cyclical Fixed Income 12829.38 0.011003065641081864 12829.38 124 124 72147KAL2 US72147KAL26 -- 103.17 United States -- USD 6.99 6.44 1 May 15, 2034 6.88 6.99 -- 6.43 6.86 6.43 Oct 12, 2023 Oct 12, 2023 MCAIRH MACQUARIE AIRFINANCE HOLDINGS LTD 144A Finance Companies Fixed Income 12827.05 0.011001067326046865 12827.05 123 123 55609NAA6 US55609NAA63 -- 104.24 United Kingdom -- USD 2.04 7.14 1 May 01, 2028 8.38 3.26 -- 6.78 2.51 6.78 Apr 18, 2023 Apr 18, 2023 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 12818.28 0.01099354577117264 12818.28 137 137 06051GJK6 US06051GJK67 -- 93.35 United States -- USD 1.47 6.08 1 Oct 24, 2026 1.2 1.44 -- 5.9 1.45 5.9 Oct 21, 2020 Oct 21, 2020 IHRT IHEARTCOMMUNICATIONS INC 144A Communications Fixed Income 12806.16 0.010983151102406892 12806.16 179 179 45174HBE6 US45174HBE62 BJQ1ZZ9 71.35 United States -- USD 2.92 16.91 1 Aug 15, 2027 5.25 2.75 -- 16.91 2.75 16.91 Aug 07, 2019 Aug 07, 2019 NCX NOVA CHEMICALS CORP 144A Owned No Guarantee Fixed Income 12799.19 0.01097717331022065 12799.19 153 153 66977WAS8 US66977WAS89 -- 83.57 Canada -- USD 4.32 8.29 1 May 15, 2029 4.25 4.27 -- 8.29 4.27 8.29 May 11, 2021 May 11, 2021 JPM JPMORGAN CHASE & CO Banking Fixed Income 12797.26 0.010975518053560757 12797.26 135 135 46625HRV4 US46625HRV41 BDHBPY5 94.49 United States -- USD 2.28 5.39 1 Oct 01, 2026 2.95 2.3 -- 5.39 2.3 5.39 Jul 21, 2016 Jul 21, 2016 APU AMERIGAS PARTNERS LP/AMERIGAS FINA Energy Fixed Income 12796.87 0.010975183571645028 12796.87 132 132 030981AL8 US030981AL88 BYNHPQ6 97.09 United States -- USD 2.65 6.81 1 May 20, 2027 5.75 2.69 -- 6.81 2.69 6.81 Feb 13, 2017 Feb 13, 2017 LAND GLADSTONE LAND CORP Financial Institutions Equity 12791.95 0.010970963953631209 12791.95 663 663 376549309 US3765493099 BN44ZP8 19.29 United States -- USD 0.81 5.77 1 Dec 31, 2079 6 17.34 -- -5 0.09 -5 Oct 16, 2020 Oct 16, 2020 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 12788.5 0.01096800507514591 12788.5 139 139 023135BX3 US023135BX34 -- 92.08 United States -- USD 1.97 5.12 1 May 12, 2026 1 1.97 -- 5.12 1.97 5.12 May 12, 2021 May 12, 2021 NCX NOVA CHEMICALS CORP 144A Owned No Guarantee Fixed Income 12780.62 0.010961246825156298 12780.62 130 130 66977WAP4 US66977WAP41 BRL5BX2 97.98 Canada -- USD 0.95 7.1 1 May 01, 2025 5 0.95 -- 7.1 0.95 7.1 Oct 28, 2014 Oct 28, 2014 ASCRES ASCENT RESOURCES UTICA HOLDINGS LL 144A Energy Fixed Income 12775.98 0.010957267348005053 12775.98 128 128 04364VAG8 US04364VAG86 BGPZ5X9 99.75 United States -- USD 1.04 7.11 1 Nov 01, 2026 7 2.2 -- 7.11 2.2 7.11 Oct 11, 2018 Oct 11, 2018 PEB PEBBLEBROOK HOTEL TRUST Financial Institutions Equity 12766.31 0.010948973911786838 12766.31 645 645 70509V704 US70509V7047 BGSJ2M6 19.8 United States New York Stock Exchange Inc. USD 10.69 7.97 1 Dec 31, 2079 6.3 12.46 -- 7.97 12.46 7.97 Oct 15, 2018 Dec 03, 2018 FCFS FIRSTCASH INC 144A Finance Companies Fixed Income 12762.05 0.010945320340091946 12762.05 130 130 33767DAD7 US33767DAD75 -- 98.04 United States -- USD 4.76 7.2 1 Mar 01, 2032 6.88 5.89 -- 7.2 5.89 7.2 Feb 21, 2024 Feb 21, 2024 GDDY GO DADDY OPERATING COMPANY LLC 144A Consumer Cyclical Fixed Income 12759.73 0.010943330601516324 12759.73 132 132 38016LAA3 US38016LAA35 BJLPZ45 96.64 United States -- USD 2.51 6.31 1 Dec 01, 2027 5.25 3.15 -- 6.31 3.15 6.31 Jun 04, 2019 Jun 04, 2019 ENOIGA ENERGEAN ISRAEL FINANCE LTD Energy Fixed Income 12759.73 0.010943330601516324 12759.73 151 151 -- IL0011736811 BKP8KT7 84.75 Israel -- USD 5.49 8.87 1 Mar 30, 2031 5.88 5.41 -- 8.87 5.41 8.87 Mar 24, 2021 Mar 24, 2021 DX DYNEX CAPITAL INC Financial Institutions Equity 12745.8 0.010931383593603216 12745.8 526 526 26817Q878 US26817Q8785 BKLB1T7 24.23 United States -- USD 0.92 11.15 1 Dec 31, 2079 6.9 0.65 -- 10.64 0.9 10.64 Feb 21, 2020 Feb 21, 2020 AXTA AXALTA COATING SYSTEMS DUTCH HOLDI 144A Basic Industry Fixed Income 12741.15 0.010927395539992595 12741.15 125 125 05455JAA5 US05455JAA51 BMG39C1 102.05 United States -- USD 3.37 6.87 1 Feb 15, 2031 7.25 5.16 -- 6.63 3.19 6.63 Nov 17, 2023 Nov 17, 2023 COTY COTY INC/HFC PRESTIGE PRODUCTS INC 144A Consumer Non-Cyclical Fixed Income 12741.15 0.010927395539992595 12741.15 138 138 222070AG9 US222070AG98 -- 92.56 United States -- USD 3.79 6.61 1 Jan 15, 2029 4.75 4.07 -- 6.61 4.07 6.61 Nov 30, 2021 Nov 30, 2021 XOM EXXON MOBIL CORP Energy Fixed Income 12718.43 0.010907909824286506 12718.43 132 132 30231GAT9 US30231GAT94 BYYD0F7 96.36 United States -- USD 1.74 5.13 1 Mar 01, 2026 3.04 1.76 -- 5.13 1.76 5.13 Mar 03, 2016 Mar 03, 2016 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 12717.83 0.010907395236723846 12717.83 1271783 1271783 -- IDG000010307 B4QWH17 0.01 Indonesia -- USD 3.42 7.05 16187.5 May 15, 2028 6.13 3.42 -- 7.05 3.42 7.05 May 15, 2012 Aug 13, 2012 CIM CHIMERA INVESTMENT CORP Financial Institutions Equity 12715.03 0.010904993828098095 12715.03 622 622 16934Q307 US16934Q3074 BYWYML2 20.45 United States -- USD 8.01 9.85 1 Dec 31, 2079 8 10.15 -- 9.85 10.04 9.85 Oct 14, 2016 Oct 14, 2016 UAL MILEAGE PLUS HOLDINGS LLC 144A Transportation Fixed Income 12711.42 0.010901897726262752 12711.42 127 127 599191AA1 US599191AA16 BMGHHT6 100.12 United States -- USD 1.12 6.47 1 Jun 20, 2027 6.5 1.52 -- 6.42 0.93 6.42 Jul 02, 2020 Jul 02, 2020 CLH CLEAN HARBORS INC 144A Capital Goods Fixed Income 12692.4 0.010885585300526406 12692.4 132 132 184496AN7 US184496AN71 BJR6WN0 96.17 United States -- USD 2.44 6.2 1 Jul 15, 2027 4.88 2.89 -- 6.2 2.89 6.2 Jul 02, 2019 Jul 02, 2019 AXP AMERICAN EXPRESS COMPANY (FX-FRN) Banking Fixed Income 12690.4 0.01088387000865087 12690.4 128 128 025816DH9 US025816DH90 -- 99.13 United States -- USD 3.7 5.7 1 Jul 27, 2029 5.28 3.72 -- 5.5 3.72 5.5 Jul 28, 2023 Jul 28, 2023 DHC DIVERSIFIED HEALTHCARE TRUST Reits Fixed Income 12680.79 0.01087562803118892 12680.79 127 127 25525PAA5 US25525PAA57 -- 99.75 United States -- USD 0.63 9.96 1 Jun 15, 2025 9.75 1.02 -- 9.96 1.02 9.96 Jun 02, 2020 Jun 02, 2020 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 12676.08 0.010871588518822032 12676.08 914 914 -- CND10005K405 -- 13.87 China -- USD 1.3 1.79 7.24715 Aug 25, 2025 2.18 1.29 -- 1.79 1.29 1.79 Aug 25, 2022 Aug 25, 2022 ADC AGREE REALTY CORP Financial Institutions Equity 12670.58 0.010866871466164309 12670.58 750 750 008492209 US0084922097 BMZ4J92 16.89 United States New York Stock Exchange Inc. USD 15.49 6.32 1 Dec 31, 2079 4.25 15.83 -- 6.32 15.29 6.32 Sep 17, 2021 Sep 17, 2021 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 12669.7 0.010866116737739072 12669.7 673 673 -- ROINPAL298G4 BLNPNT8 18.83 Romania -- USD 5.47 6.57 4.6453 Oct 24, 2030 4.15 5.3 -- 6.57 5.3 6.57 Oct 24, 2019 Jul 13, 2020 HHH HOWARD HUGHES CORP 144A Financial Other Fixed Income 12666.86 0.010863681023275812 12666.86 145 145 44267DAE7 US44267DAE76 BMDJ427 87.14 United States -- USD 4.12 7.37 1 Feb 01, 2029 4.13 4.14 -- 7.37 4.14 7.37 Feb 02, 2021 Feb 02, 2021 T AT&T INC Communications Fixed Income 12653.61 0.010852317214600386 12653.61 133 133 00206RHJ4 US00206RHJ41 BGKCWJ0 95.39 United States -- USD 4.22 5.44 1 Mar 01, 2029 4.35 4.27 -- 5.44 4.27 5.44 Feb 19, 2019 Feb 19, 2019 ENR ENERGIZER HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 12627.39 0.010829829738112109 12627.39 139 139 29272WAC3 US29272WAC38 BLB2XY6 90.95 United States -- USD 3.47 7.32 1 Jun 15, 2028 4.75 3.59 -- 7.32 3.59 7.32 Jul 01, 2020 Jul 01, 2020 MHLD MAIDEN HOLDINGS NORTH AMERICA LTD Financial Institutions Equity 12615.88 0.010819958233368399 12615.88 716 716 56029Q408 US56029Q4082 BGYGS23 17.63 United States New York Stock Exchange Inc. USD 7.66 11.18 1 Dec 01, 2043 7.75 8.07 -- 11.18 8.07 11.18 Nov 25, 2013 Nov 25, 2013 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 12607.66 0.010812908383759947 12607.66 900 900 -- CND10005F4L5 -- 14.01 China -- USD 3.08 2.01 7.24715 Jul 25, 2027 2.5 3.04 -- 2.01 3.04 2.01 Jul 25, 2022 Jul 22, 2022 FREMOR FREEDOM MORTGAGE CORP 144A Finance Companies Fixed Income 12606.5 0.010811913514472136 12606.5 131 131 35640YAJ6 US35640YAJ64 2LDWS15 96 United States -- USD 2.26 8.29 1 Jan 15, 2027 6.63 2.39 -- 8.29 2.39 8.29 Jul 15, 2023 Jul 28, 2023 ADVGRO AG TTMT ESCROW ISSUER LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 12601.86 0.010807934037320893 12601.86 123 123 00840KAA7 US00840KAA79 -- 102.75 United States -- USD 1.98 7.69 1 Sep 30, 2027 8.63 2.92 -- 7.36 2.16 7.36 Aug 23, 2022 Aug 23, 2022 IHRT IHEARTCOMMUNICATIONS INC Communications Fixed Income 12585.6 0.010793988714372784 12585.6 237 237 45174HBD8 US45174HBD89 BK0NK86 53.13 United States -- USD 2.36 34.61 1 May 01, 2027 8.38 2.06 -- 34.61 2.06 34.61 May 01, 2019 May 01, 2019 CFR CULLEN FROST BANKERS DRC INC Financial Institutions Equity 12576.56 0.010786235595095362 12576.56 690 690 229899307 US2298993070 BNKVVC2 18.22 United States New York Stock Exchange Inc. USD 14.75 6.15 1 Dec 31, 2079 4.45 15.93 -- 6.15 15.93 6.15 Nov 19, 2020 Nov 19, 2020 MODV MODIVCARE INC 144A Consumer Non-Cyclical Fixed Income 12567.03 0.010778062229308433 12567.03 130 130 743815AE2 US743815AE20 -- 96.95 United States -- USD 1.42 8 1 Nov 15, 2025 5.88 1.41 -- 8 1.41 8 Nov 04, 2020 Nov 04, 2020 JPM JPMORGAN CHASE & CO Banking Fixed Income 12562.51 0.010774185669669721 12562.51 129 129 46647PEB8 US46647PEB85 -- 97.57 United States -- USD 4.07 5.77 1 Jan 23, 2030 5.01 4.1 -- 5.6 4.11 5.6 Jan 23, 2024 Jan 23, 2024 HGB HUNGARY (REPUBLIC OF) Treasuries Fixed Income 12557.21 0.010769640146199551 12557.21 52322 52322 -- HU0000404934 BMDV0Z8 0.24 Hungary -- USD 2.21 7.18 366.65735 Aug 26, 2026 1.5 2.13 -- 7.18 2.13 7.18 Feb 24, 2021 Feb 24, 2021 PSDO PRESIDIO HOLDINGS INC 144A Technology Fixed Income 12546.14 0.01076014600566846 12546.14 124 124 74101XAF7 US74101XAF78 -- 101.13 United States -- USD 0.96 7.89 1 Feb 01, 2028 8.25 3.13 -- 6.7 0.72 6.7 Jan 22, 2020 Jan 22, 2020 ASSPAR ASSUREDPARTNERS INC 144A Insurance Fixed Income 12539.17 0.010754168213482218 12539.17 138 138 04624VAB5 US04624VAB53 -- 90.92 United States -- USD 3.77 7.97 1 Jan 15, 2029 5.63 3.96 -- 7.97 3.96 7.97 Dec 10, 2020 Dec 10, 2020 CC CHEMOURS COMPANY 144A Basic Industry Fixed Income 12529.88 0.010746200682720352 12529.88 147 147 163851AH1 US163851AH15 -- 85.51 United States -- USD 4.58 7.9 1 Nov 15, 2029 4.63 4.61 -- 7.9 4.61 7.9 Aug 18, 2021 Aug 18, 2021 EIGI NEWFOLD DIGITAL HOLDINGS GROUP INC 144A Technology Fixed Income 12529.88 0.010746200682720352 12529.88 169 169 29279XAA8 US29279XAA81 BMFZ7B3 74.09 United States -- USD 3.99 13.5 1 Feb 15, 2029 6 3.82 -- 13.5 3.82 13.5 Feb 10, 2021 Feb 10, 2021 GT GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 12529.88 0.010746200682720352 12529.88 141 141 382550BJ9 US382550BJ95 -- 89.03 United States -- USD 5.55 7.27 1 Apr 30, 2031 5.25 5.52 -- 7.27 5.52 7.27 Apr 06, 2021 Apr 06, 2021 AAPL APPLE INC Technology Fixed Income 12529.23 0.010745643212860803 12529.23 136 136 037833EB2 US037833EB24 BNNRCS0 92.45 United States -- USD 1.74 5.18 1 Feb 08, 2026 0.7 1.73 -- 5.18 1.73 5.18 Feb 08, 2021 Feb 08, 2021 ARGID ARDAGH PACKAGING FINANCE PLC 144A Capital Goods Fixed Income 12518.28 0.010736251989842243 12518.28 244 244 03969AAR1 US03969AAR14 -- 51.25 United States -- USD 2.77 29.23 1 Aug 15, 2027 5.25 2.47 -- 29.23 2.47 29.23 Jun 02, 2020 Jun 02, 2020 MS MORGAN STANLEY MTN Banking Fixed Income 12516.96 0.01073511989720439 12516.96 131 131 61761JZN2 US61761JZN26 BWXTWR8 95.64 United States -- USD 2.78 5.55 1 Apr 23, 2027 3.95 2.77 -- 5.55 2.77 5.55 Apr 23, 2015 Apr 23, 2015 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 12511.71 0.010730617256031107 12511.71 129 129 06051GFL8 US06051GFL86 BRS6105 97.08 United States -- USD 2.33 5.52 1 Oct 22, 2026 4.25 2.32 -- 5.52 2.32 5.52 Oct 22, 2014 Oct 22, 2014 VIKCRU VIKING CRUISES LTD 144A Consumer Cyclical Fixed Income 12499.7 0.010720316928318515 12499.7 126 126 92676XAF4 US92676XAF42 -- 99.23 United States -- USD 2.53 7.19 1 Feb 15, 2029 7 3.96 -- 7.19 3.96 7.19 Feb 02, 2021 Feb 02, 2021 ONB OLD NATIONAL BANCORP Financial Institutions Equity 12499.63 0.01072025689310287 12499.63 500 500 68003D204 US68003D2045 BMHSY20 25 United States -- USD 2.38 7.09 1 Dec 31, 2079 7 13.66 -- 7.09 13.66 7.09 Nov 20, 2021 Feb 16, 2022 AMH AMERICAN HOMES 4 RENT Financial Institutions Equity 12494.5 0.01071585716944212 12494.5 536 536 02665T868 US02665T8687 BFY78Q3 23.33 United States -- USD 7.91 6.73 1 Dec 31, 2079 6.25 14.86 -- 6.73 14.43 6.73 Sep 19, 2018 Sep 19, 2018 ASCRES ASCENT RESOURCES UTICA HOLDINGS LL 144A Energy Fixed Income 12488.1 0.010710368235440406 12488.1 123 123 04364VAR4 US04364VAR42 BLH3BG1 101.55 United States -- USD 1.88 7.85 1 Dec 31, 2028 8.25 3.76 -- 7.29 1.59 7.29 Dec 17, 2020 Dec 17, 2020 MS MORGAN STANLEY Banking Fixed Income 12487.18 0.01070957920117766 12487.18 135 135 6174468V4 US6174468V45 -- 92.5 United States -- USD 1.59 5.95 1 Dec 10, 2026 0.98 1.56 -- 5.89 1.56 5.89 Dec 10, 2020 Dec 10, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 12473.71 0.010698026710395924 12473.71 1247371 1247371 -- IDG000011602 BYPGH98 0.01 Indonesia -- USD 7.52 7.15 16187.5 May 15, 2036 8.25 7.52 -- 7.15 7.52 7.15 May 15, 2015 Jul 09, 2015 RRR STATION CASINOS LLC 144A Consumer Cyclical Fixed Income 12471.84 0.010696422912492298 12471.84 127 127 857691AJ8 US857691AJ89 -- 98.14 United States -- USD 4.81 6.93 1 Mar 15, 2032 6.63 6 -- 6.93 6 6.93 Mar 14, 2024 Mar 14, 2024 S SPRINT CAPITAL CORPORATION Communications Fixed Income 12467.91 0.01069305236395687 12467.91 119 119 852060AD4 US852060AD48 2327354 104.68 United States -- USD 3.8 5.69 1 Nov 15, 2028 6.88 3.78 -- 5.69 3.78 5.69 Nov 16, 1998 Nov 16, 1998 GS GOLDMAN SACHS BANK USA (FX-FRN) Banking Fixed Income 12464.41 0.010690050603174682 12464.41 125 125 38151LAF7 US38151LAF76 -- 99.35 United States -- USD 1.77 5.82 1 Mar 18, 2027 5.28 1.77 -- 5.64 1.77 5.64 Mar 18, 2024 Mar 18, 2024 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 12444.13 0.010672657543556747 12444.13 813 813 -- CND10005R9B1 -- 15.31 China -- USD 19.14 2.58 7.24715 Oct 25, 2052 3.12 19.37 -- 2.58 19.37 2.58 Oct 25, 2022 Oct 24, 2022 BABA ALIBABA GROUP HOLDING LTD Consumer Cyclical Fixed Income 12439.88 0.010669012548321234 12439.88 133 133 01609WAT9 US01609WAT99 BF5BK79 93.55 China -- USD 3.26 5.39 1 Dec 06, 2027 3.4 3.29 -- 5.39 3.29 5.39 Dec 06, 2017 Dec 06, 2017 COTY COTY INC 144A Consumer Non-Cyclical Fixed Income 12437.02 0.010666559680939217 12437.02 127 127 222070AE4 US222070AE41 BMHVCG9 98.13 United States -- USD 1.6 6.02 1 Apr 15, 2026 5 1.84 -- 6.02 1.84 6.02 Apr 21, 2021 Apr 21, 2021 CC CHEMOURS COMPANY Basic Industry Fixed Income 12434.7 0.010664569942363596 12434.7 131 131 163851AE8 US163851AE83 BDFVFH0 95.22 United States -- USD 2.68 7.14 1 May 15, 2027 5.38 2.69 -- 7.14 2.69 7.14 May 23, 2017 May 23, 2017 RC READY CAPITAL SENIOR NOTES DUE C Financial Institutions Equity 12434.67 0.010664544212985462 12434.67 517 517 75574U408 US75574U4085 BJ9LFX4 24.07 United States New York Stock Exchange Inc. USD 1.94 6.54 1 Jul 30, 2026 6.2 2.05 -- 6.54 2.05 6.54 Jul 22, 2019 Jul 22, 2019 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 12433.7 0.010663712296425827 12433.7 889 889 -- CND10005QTD8 -- 13.98 China -- USD 3.3 2.04 7.24715 Oct 15, 2027 2.44 3.27 -- 2.04 3.27 2.04 Oct 15, 2022 Oct 14, 2022 PFE PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 12415.36 0.010647983069927163 12415.36 125 125 716973AA0 US716973AA02 -- 99.21 United States -- USD 1 5.42 1 May 19, 2025 4.65 1.01 -- 5.42 1.01 5.42 May 19, 2023 May 19, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 12405.86 0.010639835433518367 12405.86 871 871 -- CND10004R999 BP38D17 14.25 China -- USD 6.98 2.29 7.24715 Feb 17, 2032 2.75 6.98 -- 2.29 6.98 2.29 Feb 17, 2022 Feb 17, 2022 UBS UBS GROUP AG 144A Banking Fixed Income 12397.84 0.010632957113097467 12397.84 131 131 225401AC2 US225401AC20 BDDXT76 94.86 Switzerland -- USD 3.14 5.84 1 Jan 09, 2028 4.28 3.32 -- 5.84 3.32 5.84 Jan 09, 2017 Jan 09, 2017 IHOVER IHO VERWALTUNGS GMBH 144A Consumer Cyclical Fixed Income 12397.55 0.010632708395775514 12397.55 129 129 80627DAC0 US80627DAC02 BYVC637 96 Germany -- USD 2.04 6.59 1 Sep 15, 2026 4.75 2.16 -- 6.59 2.16 6.59 Sep 22, 2016 Sep 22, 2016 FREMOR FREEDOM MORTGAGE CORP 144A Finance Companies Fixed Income 12395.23 0.010630718657199893 12395.23 125 125 35640YAH0 US35640YAH09 2LDWS04 99.39 United States -- USD 1.35 7.96 1 May 01, 2026 7.63 1.77 -- 7.96 1.77 7.96 May 01, 2023 Jul 28, 2023 ACR ACRES COMMERCIAL REALTY .625 FIXED Financial Institutions Equity 12390.23 0.010626430427511054 12390.23 513 513 00489Q201 US00489Q2012 BNKTVK4 24.16 United States New York Stock Exchange Inc. USD 0.35 12.09 1 Dec 31, 2079 8.63 8.69 -- 12.09 8.69 12.09 Jun 10, 2014 Jun 10, 2014 VSAT VIASAT INC 144A Communications Fixed Income 12388.26 0.01062474086501365 12388.26 178 178 92552VAR1 US92552VAR15 -- 69.75 United States -- USD 4.88 14.45 1 May 30, 2031 7.5 4.65 -- 14.45 4.65 14.45 Sep 28, 2023 Sep 28, 2023 AER AERCAP GLOBAL AVIATION TRUST 144A Finance Companies Fixed Income 12385.94 0.010622751126438028 12385.94 125 125 00773HAA5 US00773HAA59 BYP0JP0 99 Ireland -- USD 1.04 9.6 1 Jun 15, 2045 6.5 0.9 -- 7.42 1.05 7.42 Jun 09, 2015 Jun 09, 2015 HSBC HSBC HOLDINGS PLC Banking Fixed Income 12385.58 0.010622442373900432 12385.58 123 123 404280DU0 US404280DU06 -- 101.03 United Kingdom -- USD 3.36 6.13 1 Mar 09, 2029 6.16 3.38 -- 5.86 3.38 5.86 Mar 09, 2023 Mar 09, 2023 NAVI NAVIENT CORP Finance Companies Fixed Income 12374.34 0.01061280243355992 12374.34 114 114 63938CAP3 US63938CAP32 -- 108.67 United States -- USD 3.41 9.71 1 Mar 15, 2031 11.5 4.59 -- 9.21 3.59 9.21 Nov 03, 2023 Nov 03, 2023 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 12363.53 0.010603531280972647 12363.53 4369 4369 -- TH0623A3H605 BPVGVM0 2.83 Thailand -- USD 10.46 2.97 37.0175 Jun 17, 2037 3.39 10.5 -- 2.97 10.5 2.97 Sep 19, 2022 Sep 19, 2022 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 12361.05 0.010601404319046983 12361.05 118 118 89788MAQ5 US89788MAQ50 -- 104.56 United States -- USD 3.67 6.25 1 Oct 30, 2029 7.16 3.71 -- 5.98 3.71 5.98 Oct 27, 2023 Oct 27, 2023 ADNT ADIENT GLOBAL HOLDINGS LTD 144A Consumer Cyclical Fixed Income 12360.41 0.010600855425646812 12360.41 122 122 00687YAB1 US00687YAB11 -- 101.13 United States -- USD 2.6 6.67 1 Apr 15, 2028 7 3.42 -- 6.58 2.64 6.58 Mar 14, 2023 Mar 14, 2023 ADNT ADIENT GLOBAL HOLDINGS LTD 144A Consumer Cyclical Fixed Income 12360.41 0.010600855425646812 12360.41 120 120 00687YAC9 US00687YAC93 -- 103.34 United States -- USD 3.44 7.62 1 Apr 15, 2031 8.25 5.26 -- 7.26 3.35 7.26 Mar 14, 2023 Mar 14, 2023 MPW MPT OPERATING PARTNERSHIP LP / MPT Reits Fixed Income 12355.76 0.010596867372036191 12355.76 136 136 55342UAG9 US55342UAG94 BDG10L8 91.14 United States -- USD 2.09 9.69 1 Aug 01, 2026 5.25 2.04 -- 9.69 2.04 9.69 Jul 22, 2016 Jul 22, 2016 LIBMUT LIBERTY MUTUAL GROUP INC 144A Insurance Fixed Income 12334.87 0.010578951148396217 12334.87 200 200 53079EBL7 US53079EBL74 BMFZ713 61.67 United States -- USD 12.58 7.32 1 Feb 01, 2061 4.3 13.56 -- 7.32 13.56 7.32 Feb 01, 2021 Feb 01, 2021 NAVI NAVIENT CORP Finance Companies Fixed Income 12318.62 0.010565014401907488 12318.62 124 124 63938CAJ7 US63938CAJ71 BF5C4B4 99.51 United States -- USD 1.93 6.99 1 Jun 15, 2026 6.75 1.91 -- 6.99 1.91 6.99 Jun 11, 2018 Jun 11, 2018 CZGB CZECH REPUBLIC Treasuries Fixed Income 12315.4 0.010562252781987875 12315.4 2968 2968 -- CZ0001005870 BMQ5NW5 4.15 Czech Republic -- USD 0.79 4.39 23.49435 Feb 14, 2025 1.25 0.77 -- 4.39 0.77 4.39 Feb 14, 2020 Feb 14, 2020 MYR MYR CASH Cash and/or Derivatives Cash 12297.24 0.010546677931758008 12297.24 588 588 -- -- -- 20.93 Malaysia -- USD 0 3.29 4.7775 -- 0 0 -- 3.29 0 3.29 -- Dec 31, 1989 TNOTE TREASURY NOTE Treasuries Fixed Income 12291.14 0.010541446291537623 12291.14 126 126 9128284M9 US9128284M90 BFXTNS7 97.71 United States -- USD 0.97 5.22 1 Apr 30, 2025 2.88 0.97 -- 5.22 0.97 5.22 Apr 30, 2018 Apr 30, 2018 ROCKIE ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 12279.15 0.010531163116743784 12279.15 133 133 77340RAR8 US77340RAR84 BH3TYZ5 92.11 United States -- USD 4.43 6.77 1 Jul 15, 2029 4.95 4.42 -- 6.77 4.42 6.77 Apr 12, 2019 Apr 12, 2019 TFX TELEFLEX INCORPORATED Consumer Non-Cyclical Fixed Income 12269.86 0.01052319558598192 12269.86 129 129 879369AF3 US879369AF39 BDG2CF9 94.79 United States -- USD 2.83 6.28 1 Nov 15, 2027 4.63 3.14 -- 6.28 3.14 6.28 Nov 20, 2017 Nov 20, 2017 FTAI FTAI AVIATION FIXED TO FLOATING Financial Institutions Equity 12243.21 0.010500339321740403 12243.21 486 486 -- KYG3730V1133 BM8J6T3 25.2 United States NASDAQ USD 0.37 12.48 1 Dec 31, 2079 8.25 0.13 -- 8.64 0.37 8.64 Nov 11, 2022 Nov 11, 2022 IRM IRON MOUNTAIN INC 144A Technology Fixed Income 12242 0.010499301570155705 12242 130 130 46284VAG6 US46284VAG68 -- 93.83 United States -- USD 3.26 6.7 1 Jul 15, 2028 5 3.67 -- 6.7 3.67 6.7 Jun 22, 2020 Jun 22, 2020 REG REGENCY CENTERS SERIES B CUMULAT Financial Institutions Equity 12231.25 0.010490081876324699 12231.25 543 543 758849871 US7588498714 BRC46G6 22.52 United States NASDAQ USD 10.33 6.59 1 Dec 31, 2079 5.88 15.17 -- 6.59 14.64 6.59 Aug 18, 2023 Aug 18, 2023 BTPCL CHILE (REPUBLIC OF) Treasuries Fixed Income 12227.26 0.010486659869033004 12227.26 111157 111157 -- CL0002798016 -- 0.11 Chile -- USD 7.01 6.2 949.8 May 01, 2034 7 7.02 -- 6.2 7.02 6.2 May 01, 2022 Oct 24, 2022 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 12224.41 0.010484215578110365 12224.41 130 130 025816CP2 US025816CP26 -- 94.02 United States -- USD 2.77 5.47 1 May 03, 2027 3.3 2.77 -- 5.47 2.77 5.47 Nov 03, 2021 Apr 25, 2022 BPY BROOKFIELD PROPERTY PARTNERS LP Industrial Equity 12217.57 0.010478349279896031 12217.57 843 843 -- BMG162491499 BJHJQ37 14.49 Bermuda Non-Nms Quotation Service (Nnqs) USD 8.78 11.3 1 Dec 31, 2079 6.5 8.85 -- 11.3 8.76 11.3 Mar 21, 2019 Mar 21, 2019 BLKCQP CQP HOLDCO LP 144A Energy Fixed Income 12204.86 0.010467448600027001 12204.86 121 121 12657NAB6 US12657NAB64 BNDQW43 101.09 United States -- USD 5.51 7.34 1 Dec 15, 2033 7.5 6.62 -- 7.31 5.6 7.31 Dec 14, 2023 Dec 15, 2023 GTN GRAY TELEVISION INC 144A Communications Fixed Income 12202.53 0.010465450284992002 12202.53 201 201 389375AL0 US389375AL09 BMXWF01 60.69 United States -- USD 5.22 14.25 1 Oct 15, 2030 4.75 4.99 -- 14.25 4.99 14.25 Oct 19, 2020 Oct 19, 2020 CAR AVIS BUDGET CAR RENTAL LLC 144A Transportation Fixed Income 12200.21 0.01046346054641638 12200.21 128 128 053773BH9 US053773BH95 -- 95.63 United States -- USD 4.43 8.87 1 Feb 15, 2031 8 4.94 -- 8.87 4.94 8.87 Nov 22, 2023 Nov 22, 2023 EIGI NEWFOLD DIGITAL HOLDINGS GROUP INC 144A Technology Fixed Income 12197.89 0.010461470807840758 12197.89 114 114 650929AA0 US650929AA08 -- 106.62 United States -- USD 2.46 9.88 1 Oct 15, 2028 11.75 3.45 -- 9.47 2.83 9.47 Oct 18, 2023 Oct 18, 2023 TENCNT TENCENT HOLDINGS LTD MTN 144A Technology Fixed Income 12191.12 0.010455664544842069 12191.12 130 130 88032WAG1 US88032WAG15 BYVW165 93.59 China -- USD 3.37 5.52 1 Jan 19, 2028 3.6 3.39 -- 5.52 3.39 5.52 Jan 19, 2018 Jan 19, 2018 PCG PACIFIC GAS & ELEC CO Utility Equity 12188.51 0.010453426088944494 12188.51 517 517 694308206 US6943082064 2666723 23.59 United States Nyse Mkt Llc USD 15.42 6.4 1 Dec 31, 2079 6 15.62 -- 6.4 15.62 6.4 Nov 18, 1992 Nov 18, 1992 FCRX CRESCENT CAPITAL BDC NOTES DUE I Financial Institutions Equity 12186.8 0.01045195951439091 12186.8 511 511 225655208 US2256552082 BPXXL29 23.85 United States New York Stock Exchange Inc. USD 1.75 5.26 1 May 25, 2026 5 1.94 -- 5.26 1.94 5.26 Mar 10, 2023 Mar 10, 2023 LW LAMB WESTON HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 12181.64 0.010447534061352029 12181.64 128 128 513272AC8 US513272AC82 BLB4P57 95.11 United States -- USD 3.44 6.26 1 May 15, 2028 4.88 3.53 -- 6.26 3.53 6.26 May 12, 2020 May 12, 2020 MS MORGAN STANLEY BANK NA Banking Fixed Income 12180.61 0.010446650686036127 12180.61 121 121 61690U7W4 US61690U7W40 -- 100.89 United States -- USD 2.21 5.5 1 Oct 30, 2026 5.88 2.25 -- 5.49 2.18 5.49 Nov 01, 2023 Nov 01, 2023 KALU KAISER ALUMINUM CORPORATION 144A Basic Industry Fixed Income 12179.32 0.010445544322776407 12179.32 141 141 483007AL4 US483007AL48 -- 86.5 United States -- USD 5.53 6.94 1 Jun 01, 2031 4.5 5.75 -- 6.94 5.75 6.94 May 20, 2021 May 20, 2021 MTDR MATADOR RESOURCES CO 144A Energy Fixed Income 12172.35 0.010439566530590163 12172.35 121 121 576485AF3 US576485AF30 -- 100.7 United States -- USD 2.65 6.67 1 Apr 15, 2028 6.88 3.42 -- 6.61 2.65 6.61 Apr 11, 2023 Apr 11, 2023 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 12168.35 0.010436135946839092 12168.35 124 124 025816CY3 US025816CY33 -- 97.99 United States -- USD 1.2 5.61 1 Aug 01, 2025 3.95 1.2 -- 5.61 1.2 5.61 Aug 03, 2022 Aug 03, 2022 ESGR ENSTAR GROUP LTD Financial Institutions Equity 12168 0.010435835770760873 12168 504 504 29359U208 US29359U2087 BGT0PD0 24.14 Bermuda NASDAQ USD 4.98 7.35 1 Dec 31, 2079 7 13.6 -- 7.35 13.26 7.35 Nov 21, 2018 Nov 21, 2018 EPR EPR PROPERTIES Financial Institutions Equity 12164.58 0.010432902621653707 12164.58 640 640 26884U505 US26884U5056 BF0WJH0 19 United States -- USD 11.91 7.58 1 Dec 31, 2079 5.75 13.19 -- 7.58 12.96 7.58 Nov 30, 2017 Nov 30, 2017 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 12159.99 0.010428966026799352 12159.99 4237 4237 -- TH0623A3B608 B600261 2.87 Thailand -- USD 6.23 2.66 37.0175 Jun 20, 2031 3.65 6.23 -- 2.66 6.23 2.66 Nov 12, 2010 Nov 12, 2010 BACR BARCLAYS PLC Banking Fixed Income 12157.83 0.010427113511573773 12157.83 126 126 06738EBD6 US06738EBD67 BDTMS14 96.39 United Kingdom -- USD 3.49 6.25 1 May 16, 2029 4.97 3.53 -- 5.99 3.53 5.99 May 16, 2018 May 16, 2018 BCO BRINKS CO 144A Consumer Cyclical Fixed Income 12153.78 0.010423640045525812 12153.78 130 130 109696AA2 US109696AA22 BF2F3Z3 93.57 United States -- USD 2.95 6.73 1 Oct 15, 2027 4.63 3.13 -- 6.73 3.13 6.73 Oct 20, 2017 Oct 20, 2017 AA ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 12151.46 0.01042165030695019 12151.46 134 134 013822AG6 US013822AG68 -- 90.99 United States -- USD 4.04 6.28 1 Mar 31, 2029 4.13 4.34 -- 6.28 4.34 6.28 Mar 24, 2021 Mar 24, 2021 HSBC HSBC HOLDINGS PLC Banking Fixed Income 12140.32 0.010412096131203455 12140.32 127 127 404280CG2 US404280CG21 BMXNKB0 95.84 United Kingdom -- USD 1.06 6.64 1 Jun 04, 2026 2.1 1.05 -- 6.03 1.06 6.03 Jun 04, 2020 Jun 04, 2020 REG REGENCY CENTERS SERIES A CUMULAT Financial Institutions Equity 12103.04 0.010380123090643465 12103.04 530 530 758849889 US7588498896 BRC46K0 22.85 United States NASDAQ USD 0 -- 1 Dec 31, 2079 6.25 0 -- -- 0 -- Aug 18, 2023 Aug 18, 2023 CLH CLEAN HARBORS INC 144A Capital Goods Fixed Income 12098.06 0.01037585201387338 12098.06 123 123 184496AQ0 US184496AQ03 -- 98.53 United States -- USD 3.98 6.65 1 Feb 01, 2031 6.38 5.33 -- 6.65 5.33 6.65 Jan 24, 2023 Jan 24, 2023 MPEL MELCO RESORTS FINANCE LTD 144A Consumer Cyclical Fixed Income 12095.74 0.010373862275297758 12095.74 127 127 58547DAB5 US58547DAB55 -- 95.54 Macau -- USD 1.8 7.7 1 Apr 26, 2026 5.25 1.8 -- 7.7 1.8 7.7 Apr 26, 2019 Apr 26, 2019 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 12094.77 0.010373030358738123 12094.77 129 129 06051GHG7 US06051GHG73 BD9MXC0 93.98 United States -- USD 3.48 5.86 1 Mar 05, 2029 3.97 4.3 -- 5.73 3.49 5.73 Mar 05, 2018 Mar 05, 2018 AMPBEV ARDAGH METAL PACKAGING FINANCE USA 144A Capital Goods Fixed Income 12093.42 0.010371872536722136 12093.42 139 139 03969YAA6 US03969YAA64 -- 86.72 Luxembourg -- USD 3.87 6.83 1 Sep 01, 2028 3.25 3.87 -- 6.83 3.87 6.83 Mar 12, 2021 Mar 12, 2021 TWO TWO HARBORS INVESTMENT CORP Financial Institutions Equity 12077.39 0.010358124472339716 12077.39 540 540 90187B200 US90187B2007 BYXYWC2 22.35 United States -- USD 2.04 11.99 1 Dec 31, 2079 8.13 2.26 -- 11.99 2.45 11.99 Mar 14, 2017 Mar 14, 2017 KIKCN KRONOS ACQUISITION HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 12067.88 0.010349968259471543 12067.88 125 125 50106GAF9 US50106GAF90 BM9LXZ3 96.5 Canada -- USD 2.62 8.11 1 Dec 31, 2027 7 3.1 -- 8.11 3.1 8.11 Dec 22, 2020 Dec 22, 2020 QBRCN VIDEOTRON LTD 144A Communications Fixed Income 12067.88 0.010349968259471543 12067.88 136 136 92660FAN4 US92660FAN42 -- 88.97 Canada -- USD 4.3 6.16 1 Jun 15, 2029 3.63 4.5 -- 6.16 4.5 6.16 Jun 17, 2021 Jun 17, 2021 JPM JPMORGAN CHASE & CO Banking Fixed Income 12064.99 0.010347489662711392 12064.99 128 128 46647PAR7 US46647PAR73 BFZP554 94.34 United States -- USD 3.6 5.81 1 Apr 23, 2029 4 4.43 -- 5.61 3.62 5.61 Apr 23, 2018 Apr 23, 2018 MS MORGAN STANLEY BANK NA Banking Fixed Income 12049.22 0.010333964586272792 12049.22 122 122 61690U4T4 US61690U4T48 -- 98.72 United States -- USD 1.84 5.44 1 Apr 21, 2026 4.75 1.87 -- 5.44 1.87 5.44 Apr 21, 2023 Apr 21, 2023 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 12033.58 0.0103205510038061 12033.58 571 571 -- MYBMO1500010 BWC50C8 21.07 Malaysia -- USD 1.34 3.47 4.7775 Sep 15, 2025 3.96 1.34 -- 3.47 1.34 3.47 Mar 13, 2015 Mar 13, 2015 ARNC ARSENAL AIC PARENT LLC 144A Basic Industry Fixed Income 12019.12 0.010308149443545975 12019.12 109 109 04288BAC4 US04288BAC46 -- 110.68 United States -- USD 3 9.46 1 Oct 01, 2031 11.5 5.04 -- 8.55 3.47 8.55 Aug 18, 2023 Aug 18, 2023 FTAI FORTRESS TRANSPORTATION AND INFRAS 144A Finance Companies Fixed Income 12014.48 0.010304169966394732 12014.48 120 120 34960PAF8 US34960PAF80 -- 100.43 United States -- USD 4.41 6.87 1 May 01, 2031 7 5.47 -- 6.83 4.17 6.83 Apr 11, 2024 Apr 11, 2024 FHN FIRST HORIZON CORP (TENNESSEE) Financial Institutions Equity 12009.02 0.010299487219574518 12009.02 682 682 320517865 US3205178656 BLB1GT9 17.6 United States -- USD 13.89 6.7 1 Dec 31, 2079 4.7 14.81 -- 6.7 14.81 6.7 May 03, 2021 May 03, 2021 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 12008.07 0.010298672455933638 12008.07 1200807 1200807 -- IDG000018607 BP5FS00 0.01 Indonesia -- USD 2.69 6.96 16187.5 Apr 15, 2027 5.13 2.69 -- 6.96 2.69 6.96 Apr 15, 2021 Jul 08, 2021 INTC INTEL CORPORATION Technology Fixed Income 11994.91 0.010287385835392612 11994.91 123 123 458140AS9 US458140AS90 BWVFJP5 97.79 United States -- USD 1.19 5.53 1 Jul 29, 2025 3.7 1.2 -- 5.53 1.2 5.53 Jul 29, 2015 Jul 29, 2015 NWSA NEWS CORP 144A Communications Fixed Income 11991.26 0.010284255427719758 11991.26 132 132 65249BAB5 US65249BAB53 -- 91.15 United States -- USD 5.57 6.59 1 Feb 15, 2032 5.13 6.19 -- 6.59 6.19 6.59 Feb 11, 2022 Feb 11, 2022 JPM JPMORGAN CHASE & CO Banking Fixed Income 11977.39 0.010272359878562917 11977.39 120 120 46647PEG7 US46647PEG72 -- 99.84 United States -- USD 4.27 5.76 1 Apr 22, 2030 5.58 4.3 -- 5.62 4.3 5.62 Apr 22, 2024 Apr 22, 2024 NCX NOVA CHEMICALS CORP 144A Owned No Guarantee Fixed Income 11972.69 0.010268328942655407 11972.69 114 114 66977WAT6 US66977WAT62 -- 104.92 Canada -- USD 2.42 7.21 1 Nov 15, 2028 8.5 3.64 -- 6.91 2.95 6.91 Nov 28, 2023 Nov 28, 2023 MS MORGAN STANLEY Banking Fixed Income 11966.88 0.010263346019756975 11966.88 125 125 61746BEF9 US61746BEF94 BYM4WS9 95.58 United States -- USD 2.54 5.38 1 Jan 20, 2027 3.63 2.53 -- 5.38 2.53 5.38 Jan 20, 2017 Jan 20, 2017 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 11965.13 0.010261845139365882 11965.13 123 123 606822AD6 US606822AD62 BD6R414 97.15 Japan -- USD 1.75 5.49 1 Mar 01, 2026 3.85 1.75 -- 5.49 1.75 5.49 Mar 01, 2016 Mar 01, 2016 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 11957.62 0.010255404218373244 11957.62 4653 4653 -- TH0623039C03 BKY55V6 2.57 Thailand -- USD 5.31 2.55 37.0175 Dec 17, 2029 1.6 5.31 -- 2.55 5.31 2.55 Nov 15, 2019 Nov 15, 2019 HILCRP HILCORP ENERGY I LP 144A Energy Fixed Income 11954.12 0.010252402457591056 11954.12 125 125 431318AZ7 US431318AZ78 -- 95.45 United States -- USD 5.21 7 1 Apr 15, 2032 6.25 6.13 -- 7 6.13 7 Apr 08, 2022 Apr 08, 2022 NEP NEXTERA ENERGY OPERATING PARTNERS 144A Electric Fixed Income 11947.15 0.010246424665404813 11947.15 129 129 65342QAB8 US65342QAB86 BZ6CT29 92.39 United States -- USD 3.06 7.06 1 Sep 15, 2027 4.5 3.05 -- 7.06 3.05 7.06 Sep 25, 2017 Sep 25, 2017 SCI SERVICE CORPORATION INTERNATIONAL Consumer Cyclical Fixed Income 11930.9 0.010232487918916082 11930.9 125 125 817565CD4 US817565CD49 BD0RZM8 95.13 United States -- USD 2.85 6.14 1 Dec 15, 2027 4.63 3.23 -- 6.14 3.23 6.14 Dec 12, 2017 Dec 12, 2017 JPM JPMORGAN CHASE & CO Banking Fixed Income 11928.34 0.010230292345315396 11928.34 118 118 46647PDW3 US46647PDW32 -- 101.09 United States -- USD 2.28 5.89 1 Oct 22, 2027 6.07 2.28 -- 5.59 2.29 5.59 Oct 23, 2023 Oct 23, 2023 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 11924.84 0.010227290584533208 11924.84 119 119 06051GLS6 US06051GLS65 -- 100.48 United States -- USD 3.78 5.89 1 Sep 15, 2029 5.82 3.8 -- 5.69 3.81 5.69 Sep 15, 2023 Sep 15, 2023 SLM SLM CORP Finance Companies Fixed Income 11923.94 0.010226518703189217 11923.94 124 124 78442PGD2 US78442PGD24 -- 96.53 United States -- USD 1.41 6.65 1 Oct 29, 2025 4.2 1.4 -- 6.65 1.4 6.65 Oct 29, 2020 Oct 29, 2020 VLY VALLEY NATIONAL BANCORP Financial Institutions Equity 11909.87 0.010214451624844823 11909.87 546 546 919794206 US9197942066 BYNMCH1 21.83 United States -- USD 0 10.58 1 Dec 31, 2079 6.25 0.64 -- 10.58 0.81 10.58 Jun 19, 2015 Jun 19, 2015 KW KENNEDY-WILSON INC Financial Other Fixed Income 11907.69 0.010212581956700488 11907.69 152 152 489399AN5 US489399AN56 -- 78.12 United States -- USD 4.85 9.8 1 Feb 01, 2030 4.75 4.73 -- 9.8 4.73 9.8 Aug 23, 2021 Aug 23, 2021 NFLX NETFLIX INC Communications Fixed Income 11902.06 0.010207753410070854 11902.06 117 117 64110LAT3 US64110LAT35 BJRDX72 101.94 United States -- USD 3.88 5.39 1 Nov 15, 2028 5.88 3.86 -- 5.39 3.86 5.39 Apr 26, 2018 Apr 26, 2018 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 11900.72 0.010206604164514245 11900.72 136 136 682691AC4 US682691AC47 -- 87.43 United States -- USD 3.89 7.27 1 Sep 15, 2028 3.88 3.89 -- 7.27 3.89 7.27 Aug 11, 2021 Aug 11, 2021 CODI COMPASS DIVERSIFIED HOLDINGS FIXED Financial Institutions Equity 11892.77 0.01019978587930899 11892.77 477 477 20451Q302 US20451Q3020 BYWSZQ0 24.95 United States Non-Nms Quotation Service (Nnqs) USD 3.24 10.02 1 Dec 31, 2079 7.88 3.14 -- 8.57 3.27 8.57 Mar 13, 2018 Mar 13, 2018 JPM JPMORGAN CHASE & CO Banking Fixed Income 11881.04 0.01018972569245897 11881.04 117 117 46647PDX1 US46647PDX15 -- 101.86 United States -- USD 3.87 5.83 1 Oct 23, 2029 6.09 3.89 -- 5.61 3.89 5.61 Oct 23, 2023 Oct 23, 2023 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 11870.63 0.010180797598246806 11870.63 119 119 02665WFF3 US02665WFF32 -- 100.06 United States -- USD 0.01 5.95 1 Oct 10, 2025 5.82 0.2 -- 5.95 0.2 5.95 Apr 10, 2024 Apr 10, 2024 CWK CUSHMAN & WAKEFIELD US BORROWER LL 144A Consumer Cyclical Fixed Income 11868.22 0.010178730671536785 11868.22 114 114 23166MAC7 US23166MAC73 -- 103.97 United Kingdom -- USD 3.66 8.14 1 Sep 01, 2031 8.88 5.31 -- 7.78 3.54 7.78 Aug 24, 2023 Aug 24, 2023 FXIHLD FXI HOLDINGS INC 144A Capital Goods Fixed Income 11868.22 0.010178730671536785 11868.22 120 120 36120RAE9 US36120RAE99 2KYKTJ6 99.28 United States -- USD 1.24 12.58 1 Nov 15, 2026 12.25 2.03 -- 12.58 2.03 12.58 May 01, 2023 May 01, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 11864.26 0.010175334393623224 11864.26 1186426 1186426 -- IDG000010406 B7X8CM5 0.01 Indonesia -- USD 6.48 7.1 16187.5 May 15, 2033 6.63 6.48 -- 7.1 6.48 7.1 May 15, 2012 Aug 30, 2012 PSA PUBLIC STORAGE Financial Institutions Equity 11863.71 0.010174862688357452 11863.71 685 685 74460W446 US74460W4463 BL6L047 17.31 United States -- USD 17.09 5.73 1 Dec 31, 2079 3.95 17.46 -- 5.73 16.66 5.73 Aug 17, 2021 Aug 17, 2021 KW KENNEDY-WILSON INC Financial Other Fixed Income 11847.32 0.010160805871437435 11847.32 146 146 489399AL9 US489399AL90 -- 81.29 United States -- USD 4.19 9.67 1 Mar 01, 2029 4.75 4.09 -- 9.67 4.09 9.67 Feb 11, 2021 Feb 11, 2021 NFLX NETFLIX INC Communications Fixed Income 11846.01 0.01015968235525896 11846.01 121 121 64110LAS5 US64110LAS51 BG47ZP8 98.16 United States -- USD 3.57 5.4 1 Apr 15, 2028 4.88 3.55 -- 5.4 3.55 5.4 Oct 26, 2017 Oct 26, 2017 JPM JPMORGAN CHASE & CO Banking Fixed Income 11840.75 0.010155171137626299 11840.75 124 124 46647PAX4 US46647PAX42 BH31X98 95.65 United States -- USD 3.99 5.75 1 Dec 05, 2029 4.45 4.78 -- 5.53 4.02 5.53 Dec 05, 2018 Dec 05, 2018 SAR SARATOGA INVESTMENT CORP Financial Institutions Equity 11832.94 0.010148472922852331 11832.94 491 491 80349A802 US80349A8027 BP2QS84 24.1 United States -- USD 2.68 6.29 1 Apr 30, 2027 6 2.7 -- 6.29 2.7 6.29 Apr 27, 2022 Apr 27, 2022 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 11831.2 0.010146980618920614 11831.2 56339 56339 -- HU0000404603 BNG43D0 0.21 Hungary -- USD 4.58 7.2 366.65735 May 23, 2029 2 4.42 -- 7.2 4.42 7.2 Jun 24, 2020 Jun 24, 2020 TNOTE TREASURY NOTE Treasuries Fixed Income 11821.41 0.010138584265189866 11821.41 122 122 912828Y79 US912828Y792 BFNQWY7 97.23 United States -- USD 1.21 5.16 1 Jul 31, 2025 2.88 1.21 -- 5.16 1.21 5.16 Jul 31, 2018 Jul 31, 2018 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 11803.37 0.010123112332472532 11803.37 560 560 -- ROHRVN7NLNO2 BK26F00 21.09 Romania -- USD 1.89 5.97 4.6453 Apr 22, 2026 4.85 1.84 -- 5.97 1.84 5.97 Apr 22, 2018 Nov 14, 2018 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 11800.47 0.010120625159253004 11800.47 4436 4436 -- TH0623035605 BN0TQH6 2.66 Thailand -- USD 1.12 2.4 37.0175 Jun 17, 2025 0.95 1.12 -- 2.4 1.12 2.4 Sep 08, 2020 Sep 08, 2020 WFC WELLS FARGO & COMPANY (FXD-FRN) MTN Banking Fixed Income 11791.7 0.01011310360437878 11791.7 118 118 95000U3L5 US95000U3L56 -- 100.09 United States -- USD 2.72 5.86 1 Apr 22, 2028 5.71 2.71 -- 5.67 2.71 5.67 Apr 22, 2024 Apr 22, 2024 CMCSA COMCAST CORPORATION Communications Fixed Income 11788.19 0.010110093267137214 11788.19 122 122 20030NBS9 US20030NBS99 BYN2GR9 96.31 United States -- USD 1.74 5.26 1 Mar 01, 2026 3.15 1.76 -- 5.26 1.76 5.26 Feb 23, 2016 Feb 23, 2016 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 11786.55 0.010108686727799274 11786.55 1178655 1178655 -- IDG000013509 BKLFDC6 0.01 Indonesia -- USD 7.33 7.14 16187.5 Jun 15, 2035 7.5 7.33 -- 7.14 7.33 7.14 Jun 15, 2019 Jul 04, 2019 JPM JPMORGAN CHASE & CO Banking Fixed Income 11786.44 0.010108592386746119 11786.44 122 122 46625HJZ4 US46625HJZ47 BTCB1T9 96.56 United States -- USD 2.43 5.54 1 Dec 15, 2026 4.13 2.42 -- 5.54 2.42 5.54 Dec 09, 2014 Dec 09, 2014 CHK CHESAPEAKE ENERGY CORPORATION 144A Energy Fixed Income 11784.64 0.010107048624058137 11784.64 120 120 165167DG9 US165167DG90 BMCPTN2 97.91 United States -- USD 2.81 6.39 1 Feb 01, 2029 5.88 4.03 -- 6.39 4.03 6.39 Feb 05, 2021 Feb 05, 2021 MS MORGAN STANLEY MTN Banking Fixed Income 11779.44 0.010102588865181743 11779.44 119 119 6174467X1 US6174467X10 BGN2MV9 98.92 United States -- USD 1.47 5.72 1 Nov 24, 2025 5 1.47 -- 5.72 1.47 5.72 Nov 22, 2013 Nov 22, 2013 STWD STARWOOD PROPERTY TRUST INC 144A Reits Fixed Income 11777.67 0.010101070831871894 11777.67 128 128 85571BAY1 US85571BAY11 BP2CW35 92.21 United States -- USD 2.49 7.59 1 Jan 15, 2027 4.38 2.46 -- 7.59 2.46 7.59 Jan 25, 2022 Jan 25, 2022 JPM JPMORGAN CHASE & CO Banking Fixed Income 11775.93 0.010099578527940177 11775.93 118 118 46647PEE2 US46647PEE25 -- 99.92 United States -- USD 2.72 5.77 1 Apr 22, 2028 5.57 2.72 -- 5.6 2.72 5.6 Apr 22, 2024 Apr 22, 2024 APU AMERIGAS PARTNERS LP 144A Energy Fixed Income 11775.35 0.010099081093296273 11775.35 114 114 030981AM6 US030981AM61 -- 103.66 United States -- USD 2.32 8.3 1 Jun 01, 2028 9.38 3.25 -- 8.01 2.57 8.01 May 31, 2023 May 31, 2023 CYH CHS/COMMUNITY HEALTH SYSTEMS INC 144A Consumer Non-Cyclical Fixed Income 11775.35 0.010099081093296273 11775.35 173 173 12543DBE9 US12543DBE94 BKT3F93 68.16 United States -- USD 3.31 18.65 1 Apr 01, 2028 6.88 3.1 -- 18.65 3.1 18.65 Nov 19, 2019 Nov 19, 2019 SLGN SILGAN HOLDINGS INC Capital Goods Fixed Income 11775.35 0.010099081093296273 11775.35 127 127 827048AW9 US827048AW93 BN2XL71 93.05 United States -- USD 3.18 6.22 1 Feb 01, 2028 4.13 3.4 -- 6.22 3.4 6.22 Apr 01, 2020 Jul 22, 2020 HI HILLENBRAND INC Industrial Other Fixed Income 11773.03 0.010097091354720651 11773.03 119 119 431571AF5 US431571AF58 -- 98.98 United States -- USD 3.42 6.5 1 Feb 15, 2029 6.25 4.04 -- 6.5 4.04 6.5 Feb 14, 2024 Feb 14, 2024 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 11772.06 0.010096259438161016 11772.06 4265 4265 -- TH0623A3N603 BP6KM35 2.76 Thailand -- USD 13.73 3.29 37.0175 Jun 17, 2043 3.45 13.84 -- 3.29 13.84 3.29 Aug 19, 2022 Aug 19, 2022 APLP ARCHROCK PARTNERS LP 144A Energy Fixed Income 11763.74 0.010089123823958787 11763.74 118 118 03959KAA8 US03959KAA88 BJSDZR5 99.35 United States -- USD 1.61 7.12 1 Apr 01, 2027 6.88 2.6 -- 7.12 2.6 7.12 Mar 21, 2019 Mar 21, 2019 FREMOR FREEDOM MORTGAGE HOLDINGS LLC 144A Finance Companies Fixed Income 11756.78 0.010083154608231922 11756.78 117 117 35641AAA6 US35641AAA60 -- 100.46 United States -- USD 3.26 9.12 1 Feb 01, 2029 9.25 3.72 -- 9.09 3.07 9.09 Feb 07, 2024 Feb 07, 2024 ETR ENTERGY NEW ORLEANS INC Utility Equity 11738.92 0.010067837051783384 11738.92 513 513 29364P103 US29364P1030 BZ6D6Z4 22.9 United States -- USD 11.04 6.03 1 Apr 01, 2066 5.5 15.3 -- 6.03 15.3 6.03 Mar 22, 2016 Mar 22, 2016 ABBV ABBVIE INC Consumer Non-Cyclical Fixed Income 11721.62 0.010052999777059998 11721.62 119 119 00287YDR7 US00287YDR71 -- 98.8 United States -- USD 2.61 5.25 1 Mar 15, 2027 4.8 2.64 -- 5.25 2.64 5.25 Feb 26, 2024 Feb 26, 2024 USFOOD US FOODS INC 144A Consumer Non-Cyclical Fixed Income 11708.02 0.010041335792306354 11708.02 130 130 90290MAE1 US90290MAE12 BMYT9D2 90.13 United States -- USD 4.68 6.62 1 Jun 01, 2030 4.63 5.06 -- 6.62 5.06 6.62 Nov 22, 2021 Nov 22, 2021 CVX CHEVRON CORP Energy Fixed Income 11707.61 0.01004098415747187 11707.61 123 123 166764BL3 US166764BL33 BYP8MZ5 95.56 United States -- USD 1.92 5.25 1 May 16, 2026 2.95 1.93 -- 5.25 1.93 5.25 May 16, 2016 May 16, 2016 GSK GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 11705.86 0.010039483277080775 11705.86 123 123 377372AN7 US377372AN70 BF108Q5 95.48 United Kingdom -- USD 3.63 5.12 1 May 15, 2028 3.88 3.63 -- 5.12 3.63 5.12 May 15, 2018 May 15, 2018 UBER UBER TECHNOLOGIES INC 144A Consumer Cyclical Fixed Income 11705.7 0.010039346053730733 11705.7 118 118 90353TAG5 US90353TAG58 BLN8YB6 99.62 United States -- USD 2.76 6.36 1 Jan 15, 2028 6.25 3.22 -- 6.36 3.22 6.36 Sep 16, 2020 Sep 16, 2020 TMHC TAYLOR MORRISON COMMUNITIES INC 144A Consumer Cyclical Fixed Income 11696.42 0.010031387099428246 11696.42 126 126 87724RAJ1 US87724RAJ14 -- 92.5 United States -- USD 5.12 6.6 1 Aug 01, 2030 5.13 5.16 -- 6.6 5.16 6.6 Jul 22, 2020 Jul 22, 2020 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 11695.51 0.010030606641624876 11695.51 524 524 -- MYBMY2200023 BPSJ7J1 22.33 Malaysia -- USD 12.42 4.18 4.7775 Oct 15, 2042 4.7 12.48 -- 4.18 12.48 4.18 Apr 14, 2022 Apr 14, 2022 AGKLN ALBION FINANCING 2 SARL 144A Industrial Other Fixed Income 11694.09 0.010029388784393247 11694.09 117 117 013305AA5 US013305AA52 -- 100.2 Luxembourg -- USD 1.72 8.67 1 Apr 15, 2027 8.75 2.49 -- 8.61 1.31 8.61 Oct 22, 2021 Oct 22, 2021 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 11693.19 0.010028616903049254 11693.19 515 515 -- MYBMX1800049 BFML0V6 22.7 Malaysia -- USD 10.11 4.1 4.7775 Jun 08, 2038 4.89 10.15 -- 4.1 10.15 4.1 Jun 08, 2018 Jun 08, 2018 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 11689.71 0.010025632295185822 11689.71 549 549 -- RO1425DBN029 BP85164 21.31 Romania -- USD 0.81 5.98 4.6453 Feb 24, 2025 4.75 0.79 -- 5.98 0.79 5.98 Feb 24, 2014 Jul 30, 2014 RRC RANGE RESOURCES CORPORATION 144A Energy Fixed Income 11687.13 0.01002341956866638 11687.13 127 127 75281ABK4 US75281ABK43 -- 91.81 United States -- USD 4.39 6.46 1 Feb 15, 2030 4.75 4.9 -- 6.46 4.9 6.46 Feb 01, 2022 Feb 01, 2022 LVIATH LEVIATHAN BOND LTD Energy Fixed Income 11668.56 0.010007493083602029 11668.56 132 132 -- IL0011677908 -- 88.42 Israel -- USD 4.85 9.25 1 Jun 30, 2030 6.75 4.74 -- 9.25 4.74 9.25 Aug 18, 2020 Aug 18, 2020 BPOP POPULAR CAPITAL TRUST II Financial Institutions Equity 11660.28 0.010000391775237311 11660.28 463 463 73317H206 US73317H2067 B05GSV9 25.18 United States -- USD 1.15 6.11 1 Dec 01, 2034 6.13 7.76 -- 2.39 0.08 2.39 Nov 30, 2004 Nov 30, 2004 CCS CENTURY COMMUNITIES INC 144A Consumer Cyclical Fixed Income 11656.95 0.009997535814264543 11656.95 133 133 156504AM4 US156504AM47 -- 87.57 United States -- USD 4.62 6.7 1 Aug 15, 2029 3.88 4.61 -- 6.7 4.61 6.7 Aug 23, 2021 Aug 23, 2021 EFC ELLINGTON FINANCIAL INC Financial Institutions Equity 11650.03 0.009991600904375189 11650.03 489 489 28852N208 US28852N2080 BJM0HJ8 23.83 United States -- USD 0.49 11.43 1 Dec 31, 2079 6.75 0.25 -- 20.38 0.45 20.38 Oct 22, 2019 Oct 22, 2019 OUT OUTFRONT MEDIA CAPITAL LLC 144A Communications Fixed Income 11647.66 0.009989568283502679 11647.66 132 132 69007TAE4 US69007TAE47 -- 88.5 United States -- USD 4.02 7.16 1 Jan 15, 2029 4.25 4.1 -- 7.16 4.1 7.16 Jan 19, 2021 Jan 19, 2021 HLT HILTON DOMESTIC OPERATING COMPANY Consumer Cyclical Fixed Income 11645.34 0.009987578544927057 11645.34 120 120 432891AK5 US432891AK52 BZ5ZRW5 96.84 United States -- USD 2.24 6.06 1 Apr 01, 2027 4.88 2.68 -- 6.06 2.68 6.06 Mar 16, 2017 Aug 07, 2017 AXL AMERICAN AXLE & MANUFACTURING INC Consumer Cyclical Fixed Income 11633.73 0.009977621275589571 11633.73 118 118 02406PAU4 US02406PAU49 BDZVHM9 98.61 United States -- USD 1.81 7.03 1 Apr 01, 2027 6.5 2.61 -- 7.03 2.61 7.03 Oct 01, 2017 Feb 01, 2018 FCFS FIRSTCASH INC 144A Finance Companies Fixed Income 11622.12 0.009967664006252083 11622.12 124 124 31944TAA8 US31944TAA88 -- 93.85 United States -- USD 4.01 6.95 1 Jan 01, 2030 5.63 4.66 -- 6.95 4.66 6.95 Dec 13, 2021 Dec 13, 2021 SRSDIS SRS DISTRIBUTION INC 144A Capital Goods Fixed Income 11619.8 0.009965674267676462 11619.8 115 115 78471RAC0 US78471RAC07 -- 101.45 United States -- USD 2.13 5.79 1 Jul 01, 2029 6.13 4.32 -- 5.41 1.99 5.41 Jun 04, 2021 Jun 04, 2021 LABL LABL INC 144A Capital Goods Fixed Income 11615.16 0.009961694790525218 11615.16 131 131 50168QAC9 US50168QAC96 BPGMYK2 88.75 United States -- USD 3.71 8.96 1 Nov 01, 2028 5.88 3.71 -- 8.96 3.71 8.96 Oct 29, 2021 Oct 29, 2021 VTRS VIATRIS INC Consumer Non-Cyclical Fixed Income 11602.5 0.009950836992953077 11602.5 121 121 62854AAN4 US62854AAN46 BYMX833 96 United States -- USD 1.96 5.97 1 Jun 15, 2026 3.95 1.98 -- 5.97 1.98 5.97 Dec 15, 2016 Jan 31, 2017 UPCB UPC HOLDING BV 144A Communications Fixed Income 11601.23 0.00994974778261211 11601.23 123 123 90320LAG2 US90320LAG23 BF7PBD2 94.08 Netherlands -- USD 2.98 7.34 1 Jan 15, 2028 5.5 3.23 -- 7.34 3.23 7.34 Oct 18, 2017 Oct 18, 2017 STX SEAGATE HDD CAYMAN 144A Technology Fixed Income 11598.91 0.009947758044036489 11598.91 110 110 81180WBH3 US81180WBH34 -- 105.92 United States -- USD 2.91 6.96 1 Dec 15, 2029 8.25 4.38 -- 6.58 3.37 6.58 May 30, 2023 May 30, 2023 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 11586.5 0.009937114657948788 11586.5 546 546 -- RO1227DBN011 B7M1R08 21.23 Romania -- USD 2.85 6.27 4.6453 Jul 26, 2027 5.8 2.76 -- 6.27 2.76 6.27 Jul 26, 2011 Feb 27, 2012 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 11578.96 0.009930648007578018 11578.96 4226 4226 -- TH0623038C04 BZ9NTH4 2.74 Thailand -- USD 4.29 2.5 37.0175 Dec 17, 2028 2.88 4.29 -- 2.5 4.29 2.5 Jul 13, 2018 Jul 13, 2018 DAR DARLING INGREDIENTS INC 144A Consumer Non-Cyclical Fixed Income 11573.37 0.009925853766785895 11573.37 120 120 237266AH4 US237266AH40 BJT7CM0 96.75 United States -- USD 2.25 6.47 1 Apr 15, 2027 5.25 2.7 -- 6.47 2.7 6.47 Apr 03, 2019 Apr 03, 2019 EPR EPR PROPERTIES 5.75% CUM CONV PREF Financial Institutions Equity 11573.1 0.009925622202382698 11573.1 611 611 26884U208 US26884U2087 B8MGH66 18.95 United States New York Stock Exchange Inc. USD 1.78 30.34 1 Dec 31, 2079 5.75 13.03 -- 30.34 13.03 30.34 Dec 22, 2006 Dec 22, 2006 STCITY STUDIO CITY FINANCE LTD 144A Consumer Cyclical Fixed Income 11561.76 0.009915896497448408 11561.76 124 124 86389QAF9 US86389QAF90 -- 93.42 Macau -- USD 2.99 8.6 1 Jan 15, 2028 6.5 3.15 -- 8.6 3.15 8.6 Jul 15, 2020 Jul 15, 2020 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 11561.56 0.009915724968260854 11561.56 3854 3854 -- TH0623039607 B3YBKN2 3 Thailand -- USD 4.53 2.55 37.0175 Jun 22, 2029 4.88 4.53 -- 2.55 4.53 2.55 Nov 20, 2009 Nov 20, 2009 ARMK ARAMARK SERVICES INC 144A Consumer Non-Cyclical Fixed Income 11557.12 0.009911917020297164 11557.12 117 117 038522AP3 US038522AP34 BDH6XR9 98.82 United States -- USD 0.87 6.32 1 Apr 01, 2025 5 0.89 -- 6.32 0.89 6.32 Mar 22, 2017 Mar 22, 2017 BRITEL BRITISH TELECOMMUNICATIONS PLC NC5 144A Communications Fixed Income 11536.22 0.009893992220197814 11536.22 123 123 11102AAF8 US11102AAF84 -- 93.88 United Kingdom -- USD 2.53 7.75 1 Nov 23, 2081 4.25 2.38 -- 6.66 2.58 6.66 Nov 23, 2021 Nov 23, 2021 MGMCHI MGM CHINA HOLDINGS LTD 144A Consumer Cyclical Fixed Income 11533.9 0.009892002481622192 11533.9 117 117 55300RAE1 US55300RAE18 -- 98.19 Macau -- USD 1.06 6.91 1 Jun 18, 2025 5.25 1.07 -- 6.91 1.07 6.91 Jun 18, 2020 Jun 18, 2020 WMG WMG ACQUISITION CORP 144A Communications Fixed Income 11529.26 0.009888023004470949 11529.26 133 133 92933BAQ7 US92933BAQ77 BMYXY06 86.72 United States -- USD 5.12 6.5 1 Jul 15, 2030 3.88 5.29 -- 6.5 5.29 6.5 Jun 29, 2020 Jun 29, 2020 MS MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 11528.92 0.009887731404852107 11528.92 115 115 61747YFP5 US61747YFP51 -- 100.11 United States -- USD 2.69 5.83 1 Apr 13, 2028 5.65 2.69 -- 5.65 2.69 5.65 Apr 19, 2024 Apr 19, 2024 BAC BANK OF AMERICA DEPOSITORY SHARES Financial Institutions Equity 11523.53 0.009883108693247537 11523.53 510 510 060505591 US0605055914 B0PR2S7 22.6 United States New York Stock Exchange Inc. USD -0.04 7.1 1 Dec 31, 2079 6.35 15.62 -- 7.1 15.62 7.1 Nov 17, 2005 Nov 17, 2005 OUT OUTFRONT MEDIA CAPITAL LLC 144A Communications Fixed Income 11506.04 0.009868108465795975 11506.04 112 112 69007TAG9 US69007TAG94 -- 102.52 United States -- USD 3.8 6.91 1 Feb 15, 2031 7.38 5.15 -- 6.72 3.72 6.72 Nov 20, 2023 Nov 20, 2023 NYMT NEW YORK MORTGAGE TRUST INC Financial Institutions Equity 11497.88 0.009861110074943788 11497.88 585 585 649604865 US6496048652 BMC4Z64 19.66 United States -- USD 1.23 13.23 1 Dec 31, 2079 6.88 1.85 -- 13.23 2.07 13.23 Jul 07, 2021 Jul 07, 2021 AAPL APPLE INC Technology Fixed Income 11483.37 0.009848665632386776 11483.37 132 132 037833EC0 US037833EC07 -- 86.98 United States -- USD 3.61 5.02 1 Feb 08, 2028 1.2 3.61 -- 5.02 3.61 5.02 Feb 08, 2021 Feb 08, 2021 C CITIGROUP INC Banking Fixed Income 11483.37 0.009848665632386776 11483.37 118 118 172967NS6 US172967NS68 -- 97.42 United States -- USD 2.75 5.97 1 May 24, 2028 4.66 2.76 -- 5.58 2.77 5.58 May 24, 2022 May 24, 2022 JPM JPMORGAN CHASE & CO Banking Fixed Income 11483.37 0.009848665632386776 11483.37 120 120 46625HRS1 US46625HRS12 BYZ2G99 95.55 United States -- USD 1.99 5.43 1 Jun 15, 2026 3.2 2 -- 5.43 2 5.43 Jun 07, 2016 Jun 07, 2016 HGVLLC HILTON GRAND VACATIONS BORROWER ES 144A Consumer Cyclical Fixed Income 11482.83 0.00984820250358038 11482.83 132 132 43284MAB4 US43284MAB46 -- 86.78 United States -- USD 5.52 7.27 1 Jul 01, 2031 4.88 5.74 -- 7.27 5.74 7.27 Jun 28, 2021 Jun 28, 2021 LAD LITHIA MOTORS INC 144A Consumer Cyclical Fixed Income 11471.22 0.009838245234242895 11471.22 133 133 536797AF0 US536797AF03 -- 86.13 United States -- USD 5.37 7 1 Jan 15, 2031 4.38 5.54 -- 7 5.54 7 Oct 09, 2020 Oct 09, 2020 PACLIF PACIFIC LIFE GLOBAL FUNDING II 144A Insurance Fixed Income 11468.3 0.009835740908104611 11468.3 115 115 6944PL2K4 US6944PL2K40 -- 100.05 United States -- USD 0.01 5.84 1 Jan 27, 2025 5.75 0 -- 5.84 0 5.84 Jan 27, 2022 Jan 27, 2022 BBWI BATH & BODY WORKS INC Consumer Cyclical Fixed Income 11464.25 0.009832267442056652 11464.25 112 112 501797AR5 US501797AR52 BKDK954 102.6 United States -- USD 1.97 6.89 1 Jun 15, 2029 7.5 4.12 -- 6.57 2.7 6.57 Jun 20, 2019 Jun 20, 2019 BACR BARCLAYS PLC Banking Fixed Income 11462.35 0.009830637914774893 11462.35 117 117 06738EAP0 US06738EAP07 BD8ZS14 98.16 United Kingdom -- USD 1.87 6.17 1 May 12, 2026 5.2 1.86 -- 6.17 1.86 6.17 May 12, 2016 May 12, 2016 TRY TRY CASH Cash and/or Derivatives Cash 11461.22 0.009829668774865215 11461.22 3733 3733 -- -- -- 3.07 Turkey -- USD 0 54.43 32.526 -- 0 0 -- 54.43 0 54.43 -- Jan 01, 1990 FHN FIRST HORIZON NATIONAL CORP Financial Institutions Equity 11458.57 0.00982739601313013 11458.57 459 459 320517808 US3205178086 BL6LHT1 24.98 United States New York Stock Exchange Inc. USD 0.46 9.77 1 Dec 31, 2049 6.1 0 -- 9.76 0 9.76 Jul 02, 2020 Jul 02, 2020 STX SEAGATE HDD CAYMAN Technology Fixed Income 11450.32 0.009820320434143544 11450.32 119 119 81180WAR2 US81180WAR25 BY7RLD1 96 United States -- USD 2.73 6.31 1 Jun 01, 2027 4.88 2.77 -- 6.31 2.77 6.31 May 14, 2015 May 14, 2015 FAMCA FEDERAL AGRICULTURAL MORTGAGE CORP Agency Equity 11448.31 0.00981859656580863 11448.31 552 552 313148843 US3131488435 BKY44P0 20.75 United States Non-Nms Quotation Service (Nnqs) USD 13.12 6.34 1 Dec 31, 2079 5.25 15.78 -- 6.34 15.29 6.34 Aug 20, 2020 Aug 20, 2020 RWLVCA RESORTS WORLD LAS VEGAS LLC 144A Consumer Cyclical Fixed Income 11448 0.009818330695567921 11448 110 110 76120HAD9 US76120HAD98 -- 104.11 United States -- USD 4.76 7.61 1 Jul 27, 2030 8.45 4.74 -- 7.59 4.64 7.59 Jul 27, 2023 Jul 27, 2023 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 11444.83 0.009815611957945197 11444.83 114 114 89115A2S0 US89115A2S07 -- 100.09 Canada -- USD 2.04 5.48 1 Jul 17, 2026 5.53 2.04 -- 5.48 2.04 5.48 Jul 17, 2023 Jul 17, 2023 NSUS NUSTAR LOGISTICS LP Energy Fixed Income 11434.07 0.009806383687654813 11434.07 115 115 67059TAG0 US67059TAG04 BN7KG61 99.07 United States -- USD 1.28 6.44 1 Oct 01, 2025 5.75 1.35 -- 6.44 1.35 6.44 Sep 14, 2020 Sep 14, 2020 AAPL APPLE INC Technology Fixed Income 11423.81 0.009797584240333314 11423.81 119 119 037833CJ7 US037833CJ77 BD894X0 95.61 United States -- USD 2.56 5.06 1 Feb 09, 2027 3.35 2.6 -- 5.06 2.6 5.06 Feb 09, 2017 Feb 09, 2017 TRPCN TRANSCANADA PIPELINES LTD (FRN) Energy Fixed Income 11411.83 0.009787309641998854 11411.83 114 114 89352HBF5 US89352HBF55 -- 100.07 Canada -- USD 0.01 6.96 1 Mar 09, 2026 7.21 0.11 -- 5.49 0.08 5.49 Mar 09, 2023 Mar 09, 2023 BNP BNP PARIBAS SA 144A Banking Fixed Income 11411.55 0.009787069501136279 11411.55 124 124 09659W2Q6 US09659W2Q64 -- 91.69 France -- USD 2.1 5.92 1 Jun 30, 2027 1.68 2.07 -- 5.78 2.08 5.78 Jun 30, 2021 Jun 30, 2021 PMT PENNYMAC MORTGAGE INVESTMENT TRUST Financial Institutions Equity 11410.7 0.009786340502089177 11410.7 488 488 70931T301 US70931T3014 BF0BHG2 23.36 United States -- USD -0.44 12.58 1 Dec 31, 2079 11.42 0.01 -- 12.58 0.05 12.58 Mar 09, 2017 Mar 09, 2017 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 11403.84 0.009780457050956088 11403.84 488 488 -- ROZBOC49U096 -- 23.39 Romania -- USD 3.69 6.46 4.6453 Oct 30, 2028 8.75 3.58 -- 6.46 3.58 6.46 Oct 30, 2022 Nov 16, 2022 HSBC HSBC HOLDINGS PLC Banking Fixed Income 11395.78 0.009773544424697678 11395.78 111 111 404280DQ9 US404280DQ93 -- 102.24 United Kingdom -- USD 1.36 6.76 1 Nov 03, 2026 7.34 1.37 -- 5.77 1.38 5.77 Nov 03, 2022 Nov 03, 2022 NOVHOL CLYDESDALE ACQUISITION HOLDINGS IN 144A Capital Goods Fixed Income 11392.28 0.00977054266391549 11392.28 115 115 18972EAA3 US18972EAA38 -- 99.24 United States -- USD 3.15 6.81 1 Apr 15, 2029 6.63 4.16 -- 6.81 4.16 6.81 Apr 13, 2022 Apr 13, 2022 GEL GENESIS ENERGY LP Energy Fixed Income 11385.32 0.009764573448188624 11385.32 110 110 37185LAN2 US37185LAN29 -- 103.16 United States -- USD 3.35 8.19 1 Apr 15, 2030 8.88 4.58 -- 7.93 3.3 7.93 Jan 25, 2023 Jan 25, 2023 ABBV ABBVIE INC Consumer Non-Cyclical Fixed Income 11385.27 0.009764530565891737 11385.27 116 116 00287YAQ2 US00287YAQ26 BXC32B2 98.08 United States -- USD 0.99 5.5 1 May 14, 2025 3.6 1 -- 5.5 1 5.5 May 14, 2015 May 14, 2015 LNDPT LD HOLDINGS GROUP LLC 144A Finance Companies Fixed Income 11380.67 0.009760585394578003 11380.67 120 120 521088AA2 US521088AA24 -- 95 United States -- USD 1.39 10.14 1 Nov 01, 2025 6.5 1.35 -- 10.14 1.35 10.14 Oct 27, 2020 Oct 27, 2020 BAC BANK OF AMERICA CORP FXD-FRN MTN Banking Fixed Income 11374.76 0.009755516707085795 11374.76 124 124 06051GKJ7 US06051GKJ75 -- 92.05 United States -- USD 2.62 5.87 1 Feb 04, 2028 2.55 2.6 -- 5.69 2.6 5.69 Feb 04, 2022 Feb 04, 2022 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 11362.08 0.009744641756594896 11362.08 567 567 -- ROAW5KY5CD78 BM974T2 20.04 Romania -- USD 3.41 6.26 4.6453 Jan 26, 2028 4.15 3.3 -- 6.26 3.3 6.26 Jan 26, 2020 Feb 19, 2020 NCLH NCL FINANCE LTD 144A Consumer Cyclical Fixed Income 11359.78 0.00974266917093803 11359.78 117 117 62888HAA7 US62888HAA77 -- 97.26 United States -- USD 3.41 6.94 1 Mar 15, 2028 6.13 3.37 -- 6.94 3.37 6.94 Mar 03, 2021 Mar 03, 2021 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 11354.55 0.009738183682683503 11354.55 538 538 -- MYBMO1700040 BYQN8M8 21.12 Malaysia -- USD 3.24 3.63 4.7775 Nov 16, 2027 3.9 3.24 -- 3.63 3.24 3.63 May 16, 2017 May 16, 2017 PKICN PARKLAND CORP 144A Consumer Cyclical Fixed Income 11350.49 0.009734701640176166 11350.49 117 117 70137TAP0 US70137TAP03 BK60HG8 97.3 Canada -- USD 2.26 6.82 1 Jul 15, 2027 5.88 2.83 -- 6.82 2.83 6.82 Jul 10, 2019 Jul 10, 2019 CE CELANESE US HOLDINGS LLC Basic Industry Fixed Income 11348.48 0.009732977771841253 11348.48 113 113 15089QAM6 US15089QAM69 -- 100.59 United States -- USD 2.82 5.96 1 Jul 15, 2027 6.17 2.84 -- 5.95 2.77 5.95 Jul 14, 2022 Jul 14, 2022 JPM JPMORGAN CHASE & CO Banking Fixed Income 11348.48 0.009732977771841253 11348.48 117 117 46647PBA3 US46647PBA30 BHQTTL3 97.06 United States -- USD 1.66 6.02 1 Jan 29, 2027 3.96 1.65 -- 5.73 1.66 5.73 Jan 29, 2019 Jan 29, 2019 RADPAR RADIOLOGY PARTNERS INC 144A Consumer Non-Cyclical Fixed Income 11334.24 0.009720764893687436 11334.24 123 123 75041VAB0 US75041VAB09 -- 92.38 United States -- USD 3.66 10.58 1 Jan 31, 2029 8.5 3.72 -- 10.58 3.72 10.58 Feb 22, 2024 Feb 22, 2024 BAC BANK OF AMERICA CORP Banking Fixed Income 11329.21 0.009716450934620462 11329.21 120 120 06051GHM4 US06051GHM42 BFM3F84 94.6 United States -- USD 3.74 5.92 1 Jul 23, 2029 4.27 4.55 -- 5.72 3.77 5.72 Jul 23, 2018 Jul 23, 2018 SAVE SPIRIT IP CAYMAN LTD 144A Transportation Fixed Income 11317.99 0.009706828147198705 11317.99 145 145 84859BAB7 US84859BAB71 -- 77.88 United States -- USD 1.3 28.5 1 Sep 20, 2025 8 1.24 -- 28.5 1.24 28.5 Oct 20, 2022 Nov 17, 2022 BERY BERRY GLOBAL INC 144A Capital Goods Fixed Income 11313.35 0.009702848670047462 11313.35 116 116 085770AB1 US085770AB14 BJKFFK2 97.5 United States -- USD 2.12 6.49 1 Jul 15, 2027 5.63 2.85 -- 6.49 2.85 6.49 Jun 05, 2019 Jun 05, 2019 CODI COMPASS DIVERSIFIED HOLDINGS Financial Institutions Equity 11273.94 0.009669048843640025 11273.94 465 465 20451Q203 US20451Q2030 BD5HD30 24.24 United States Non-Nms Quotation Service (Nnqs) USD 4.82 7.61 1 Dec 31, 2079 7.25 13.13 -- 7.61 12.71 7.61 Jun 28, 2017 Jun 28, 2017 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 11273.36 0.009668551408996121 11273.36 557 557 -- MYBMZ2000016 BMVN6M5 20.25 Malaysia -- USD 15.44 4.27 4.7775 Jun 15, 2050 4.07 15.58 -- 4.27 15.58 4.27 Jun 15, 2020 Jun 15, 2020 GLOBAU GLOBAL AUTO HOLDINGS LTD 144A Consumer Cyclical Fixed Income 11271.56 0.009667007646308139 11271.56 118 118 00033GAA3 US00033GAA31 -- 95.66 United Kingdom -- USD 3.56 9.53 1 Jan 15, 2029 8.38 3.71 -- 9.53 3.71 9.53 Jan 22, 2024 Jan 22, 2024 LNW LIGHT AND WONDER INTERNATIONAL INC 144A Consumer Cyclical Fixed Income 11266.91 0.009663019592697516 11266.91 112 112 80874YBE9 US80874YBE95 BJLPYT3 100.75 United States -- USD 2.81 7.08 1 Nov 15, 2029 7.25 4.38 -- 7.01 3 7.01 Nov 26, 2019 Nov 26, 2019 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 11266.14 0.009662359205325436 11266.14 123 123 78016EZT7 US78016EZT71 -- 91.25 Canada -- USD 2.13 5.38 1 Jul 14, 2026 1.15 2.13 -- 5.38 2.13 5.38 Jul 14, 2021 Jul 14, 2021 MERLLN MERLIN ENTERTAINMENTS GROUP US HOL 144A Consumer Cyclical Fixed Income 11262.27 0.009659040115546273 11262.27 113 113 59010UAA5 US59010UAA51 -- 99.94 United States -- USD 4.28 7.38 1 Feb 15, 2031 7.38 5.2 -- 7.38 5.2 7.38 Feb 06, 2024 Feb 06, 2024 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 11259.14 0.00965635568376106 11259.14 121 121 38141GXM1 US38141GXM13 BMCWLG0 92.72 United States -- USD 1.59 5.96 1 Dec 09, 2026 1.09 1.56 -- 5.86 1.56 5.86 Dec 09, 2020 Dec 09, 2020 QVCN QVC INC Consumer Cyclical Fixed Income 11257.63 0.00965506063839503 11257.63 131 131 747262AY9 US747262AY90 -- 85.9 United States -- USD 2.56 10.69 1 Feb 15, 2027 4.75 2.49 -- 10.69 2.49 10.69 Feb 04, 2020 Feb 04, 2020 BACR BARCLAYS PLC Banking Fixed Income 11243.37 0.00964283060732246 11243.37 113 113 06738ECF0 US06738ECF07 -- 99.68 United Kingdom -- USD 1.84 6.54 1 May 09, 2027 5.83 1.84 -- 6 1.85 6 May 09, 2023 May 09, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 11242.63 0.009642195949328511 11242.63 1124263 1124263 -- IDG000011107 BDZCRY4 0.01 Indonesia -- USD 3.92 7.11 16187.5 Mar 15, 2029 9 3.92 -- 7.11 3.92 7.11 Mar 15, 2013 Sep 12, 2013 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 11236.83 0.009637221602889457 11236.83 535 535 -- MYBGK1900038 BJ5RXV0 21 Malaysia -- USD 1.84 3.54 4.7775 Mar 31, 2026 3.73 1.84 -- 3.54 1.84 3.54 Mar 29, 2019 Mar 29, 2019 USFOOD US FOODS INC 144A Consumer Non-Cyclical Fixed Income 11225.12 0.009627178568958193 11225.12 110 110 90290MAH4 US90290MAH43 -- 102.12 United States -- USD 3.95 6.89 1 Jan 15, 2032 7.25 5.75 -- 6.69 3.64 6.69 Sep 25, 2023 Sep 25, 2023 FUN CEDAR FAIR LP Consumer Cyclical Fixed Income 11222.8 0.009625188830382572 11222.8 121 121 150190AE6 US150190AE64 BL9Y7L9 93.13 United States -- USD 3.97 6.83 1 Jul 15, 2029 5.25 4.39 -- 6.83 4.39 6.83 Jan 15, 2020 Jul 06, 2020 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 11218.84 0.00962179255246901 11218.84 118 118 86562MCA6 US86562MCA62 -- 95.13 Japan -- USD 1.16 5.72 1 Jul 08, 2025 1.47 1.16 -- 5.72 1.16 5.72 Jul 08, 2020 Jul 08, 2020 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 11205.52 0.00961036870857794 11205.52 4060 4060 -- TH0623035C07 B4NQN70 2.76 Thailand -- USD 1.56 2.41 37.0175 Dec 12, 2025 3.85 1.56 -- 2.41 1.56 2.41 Nov 26, 2010 Nov 26, 2010 VLY VALLEY NATL NON CUM PERP PREF SERI Financial Institutions Equity 11198.73 0.009604545292660496 11198.73 466 466 919794305 US9197943056 BDGSY95 24.05 United States Non-Nms Quotation Service (Nnqs) USD -0.29 9.85 1 Dec 31, 2079 9.14 10.83 -- 9.85 10.83 9.85 Aug 03, 2017 Aug 03, 2017 WLSC WILLIAMS SCOTSMAN INC 144A Industrial Other Fixed Income 11197.26 0.009603284553131976 11197.26 112 112 71953LAA9 US71953LAA98 BM8BF47 99.78 United States -- USD 0.63 6.32 1 Jun 15, 2025 6.13 1.06 -- 6.32 1.06 6.32 Jun 15, 2020 Jun 15, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 11196.24 0.009602409754275454 11196.24 1119624 1119624 -- IDG000020702 BPK4YJ3 0.01 Indonesia -- USD 3.65 7.05 16187.5 Aug 15, 2028 6.38 3.65 -- 7.05 3.65 7.05 Aug 15, 2022 Aug 19, 2022 MATHOM MATTAMY GROUP CORP 144A Consumer Cyclical Fixed Income 11194.94 0.009601294814556354 11194.94 118 118 57701RAJ1 US57701RAJ14 BJR45J1 95.19 Canada -- USD 2.76 6.76 1 Dec 15, 2027 5.25 3.18 -- 6.76 3.18 6.76 Dec 05, 2019 Dec 05, 2019 LAMR LAMAR MEDIA CORP Communications Fixed Income 11187.98 0.00959532559882949 11187.98 127 127 513075BT7 US513075BT73 BNG4385 87.89 United States -- USD 4.77 6.54 1 Feb 15, 2030 4 4.95 -- 6.54 4.95 6.54 Jun 15, 2020 Oct 15, 2020 MIWIDO MITER BRANDS ACQUISITION HOLDCO IN 144A Capital Goods Fixed Income 11185.66 0.009593335860253868 11185.66 113 113 60672JAA7 US60672JAA79 -- 98.91 United States -- USD 4.77 6.93 1 Apr 01, 2032 6.75 6.02 -- 6.93 6.02 6.93 Mar 28, 2024 Mar 28, 2024 FAMCA FEDERAL AGRICULTURAL MORTGAGE NO Agency Equity 11185.05 0.00959281269623183 11185.05 576 576 313148835 US3131488351 BMBQGR9 19.43 United States New York Stock Exchange Inc. USD 14.09 6.28 1 Dec 31, 2079 4.88 15.92 -- 6.28 15.4 6.28 May 27, 2021 May 27, 2021 CZGB CZECH REPUBLIC Treasuries Fixed Income 11182.9 0.009590968757465628 11182.9 2496 2496 -- CZ0001006696 BM9HZK0 4.48 Czech Republic -- USD 4.07 4.21 23.49435 Dec 12, 2028 5.5 3.98 -- 4.21 3.98 4.21 Aug 12, 2022 Aug 12, 2022 C CITIBANK NA (FXD) Banking Fixed Income 11180.3 0.009588738878027431 11180.3 112 112 17325FBF4 US17325FBF45 -- 99.92 United States -- USD 1.85 5.44 1 Apr 30, 2026 5.44 1.88 -- 5.44 1.88 5.44 Apr 30, 2024 Apr 30, 2024 HSBC HSBC HOLDINGS PLC Banking Fixed Income 11180.3 0.009588738878027431 11180.3 127 127 404280CL1 US404280CL16 -- 88.32 United Kingdom -- USD 3.19 6.11 1 Sep 22, 2028 2.01 3.2 -- 5.84 3.2 5.84 Sep 22, 2020 Sep 22, 2020 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 11178.55 0.009587237997636338 11178.55 114 114 06051GFS3 US06051GFS30 BYPFX19 98 United States -- USD 1.21 5.53 1 Aug 01, 2025 3.88 1.2 -- 5.53 1.2 5.53 Jul 30, 2015 Jul 30, 2015 AAPL APPLE INC Technology Fixed Income 11166.29 0.009576723258439302 11166.29 118 118 037833BZ2 US037833BZ29 BDCWWT7 94.34 United States -- USD 2.15 5.11 1 Aug 04, 2026 2.45 2.16 -- 5.11 2.16 5.11 Aug 04, 2016 Aug 04, 2016 T AT&T INC Communications Fixed Income 11162.78 0.009573712921197736 11162.78 128 128 00206RKG6 US00206RKG64 -- 87.28 United States -- USD 3.56 5.43 1 Feb 01, 2028 1.65 3.55 -- 5.43 3.55 5.43 Aug 04, 2020 Aug 04, 2020 IQV IQVIA INC 144A Consumer Non-Cyclical Fixed Income 11150.83 0.00956346405224141 11150.83 112 112 46266TAD0 US46266TAD00 -- 99.89 United States -- USD 3.69 6.52 1 May 15, 2030 6.5 4.8 -- 6.52 4.8 6.52 May 23, 2023 May 23, 2023 WMG WMG ACQUISITION CORP 144A Communications Fixed Income 11146.19 0.009559484575090165 11146.19 128 128 92933BAT1 US92933BAT17 -- 87.02 United States -- USD 4.68 6.56 1 Dec 01, 2029 3.75 4.82 -- 6.56 4.82 6.56 Nov 24, 2021 Nov 24, 2021 TMHC TAYLOR MORRISON COMMUNITIES INC 144A Consumer Cyclical Fixed Income 11139.22 0.009553506782903922 11139.22 115 115 87724RAB8 US87724RAB87 BJX75H2 97 United States -- USD 3.21 6.67 1 Jan 15, 2028 5.75 3.24 -- 6.67 3.24 6.67 Aug 01, 2019 Aug 01, 2019 ORCL ORACLE CORPORATION Technology Fixed Income 11133 0.009548172225171006 11133 120 120 68389XBU8 US68389XBU81 -- 92.8 United States -- USD 2.75 5.49 1 Apr 01, 2027 2.8 2.75 -- 5.49 2.75 5.49 Apr 01, 2020 Apr 01, 2020 SIX SIX FLAGS ENTERTAINMENT CORP 144A Consumer Cyclical Fixed Income 11129.94 0.009545547828601435 11129.94 116 116 83001AAC6 US83001AAC62 BDRT6C4 96.16 United States -- USD 2.36 6.95 1 Apr 15, 2027 5.5 2.68 -- 6.95 2.68 6.95 Apr 13, 2017 Apr 13, 2017 CZGB CZECH REPUBLIC Treasuries Fixed Income 11125.5 0.009541739880637745 11125.5 2534 2534 -- CZ0001006506 BNK92Y5 4.39 Czech Republic -- USD 1.75 4.15 23.49435 Feb 26, 2026 6 1.71 -- 4.15 1.71 4.15 Apr 22, 2022 Apr 22, 2022 BDN BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 11120.65 0.009537580297839571 11120.65 124 124 105340AQ6 US105340AQ63 BGGG8Z4 89.44 United States -- USD 3.19 7.38 1 Nov 15, 2027 3.95 3.16 -- 7.38 3.16 7.38 Nov 17, 2017 Nov 17, 2017 CRL CHARLES RIVER LABORATORIES INTERNA 144A Consumer Non-Cyclical Fixed Income 11120.65 0.009537580297839571 11120.65 124 124 159864AG2 US159864AG27 -- 89.51 United States -- USD 4.14 6.27 1 Mar 15, 2029 3.75 4.33 -- 6.27 4.33 6.27 Mar 23, 2021 Mar 23, 2021 UBS UBS GROUP AG 144A Banking Fixed Income 11111.98 0.009530144507559122 11111.98 117 117 90352JAC7 US90352JAC71 BF08406 94.71 Switzerland -- USD 3.33 5.78 1 Mar 23, 2028 4.25 3.52 -- 5.78 3.52 5.78 Mar 23, 2017 Mar 23, 2017 UNIT UNITI GROUP LP 144A Communications Fixed Income 11099.76 0.009519664074199598 11099.76 127 127 91327BAB6 US91327BAB62 BNSM3M1 87.48 United States -- USD 3.54 8.53 1 Apr 15, 2028 4.75 3.49 -- 8.53 3.49 8.53 Apr 20, 2021 Apr 20, 2021 MUSA MURPHY OIL USA INC 144A Consumer Cyclical Fixed Income 11085.83 0.009507717066286489 11085.83 131 131 626738AF5 US626738AF53 -- 84.52 United States -- USD 5.62 6.61 1 Feb 15, 2031 3.75 5.75 -- 6.61 5.75 6.61 Jan 29, 2021 Jan 29, 2021 INEGRP INEOS FINANCE PLC 144A Basic Industry Fixed Income 11078.86 0.009501739274100246 11078.86 113 113 44984WAH0 US44984WAH07 -- 98.09 Luxembourg -- USD 2.9 7.3 1 May 15, 2028 6.75 3.38 -- 7.3 3.38 7.3 Feb 16, 2023 Feb 16, 2023 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 11075.19 0.009498591713508638 11075.19 112 112 023135CP9 US023135CP90 -- 98.46 United States -- USD 3.19 5.02 1 Dec 01, 2027 4.55 3.22 -- 5.02 3.22 5.02 Dec 01, 2022 Dec 01, 2022 CCK CROWN AMERICAS LLC Capital Goods Fixed Income 11071.9 0.009495770058373381 11071.9 117 117 228180AB1 US228180AB14 -- 94.89 United States -- USD 4.96 6.3 1 Apr 01, 2030 5.25 4.98 -- 6.3 4.98 6.3 Oct 01, 2022 Jan 11, 2023 JPM JPMORGAN CHASE & CO Banking Fixed Income 11061.18 0.009486576093920509 11061.18 115 115 46625HNJ5 US46625HNJ58 BYZ0SY2 96.35 United States -- USD 3.14 5.43 1 Oct 01, 2027 4.25 3.13 -- 5.43 3.13 5.43 Sep 25, 2015 Sep 25, 2015 USB US BANCORP MTN Banking Fixed Income 11059.43 0.009485075213529415 11059.43 111 111 91159HJM3 US91159HJM34 -- 99.85 United States -- USD 3.52 6.08 1 Jun 12, 2029 5.78 3.55 -- 5.81 3.55 5.81 Jun 12, 2023 Jun 12, 2023 ST SENSATA TECHNOLOGIES BV 144A Technology Fixed Income 11055.64 0.009481824735425274 11055.64 115 115 81725WAL7 US81725WAL72 -- 96.01 United States -- USD 4.14 6.65 1 Sep 01, 2030 5.88 5.15 -- 6.65 5.15 6.65 Aug 29, 2022 Aug 29, 2022 RADIAT RADIATE HOLDCO LLC / RADIATE FINAN 144A Communications Fixed Income 11051 0.009477845258274031 11051 263 263 75026JAE0 US75026JAE01 -- 42 United States -- USD 3.41 31.94 1 Sep 15, 2028 6.5 3.01 -- 31.94 3.01 31.94 Sep 25, 2020 Sep 25, 2020 XRX XEROX HOLDINGS CORP 144A Technology Fixed Income 11048.68 0.00947585551969841 11048.68 116 116 98421MAC0 US98421MAC01 BQ3PV11 95.42 United States -- USD 4.12 9.94 1 Nov 30, 2029 8.88 4.26 -- 9.94 4.26 9.94 Mar 20, 2024 Mar 20, 2024 SUN SUNOCO LP 144A Energy Fixed Income 11046.36 0.009473865781122788 11046.36 110 110 86765KAA7 US86765KAA79 BS9C0C4 100.68 United States -- USD 2.94 6.82 1 Sep 15, 2028 7 3.7 -- 6.77 2.95 6.77 Sep 20, 2023 Sep 20, 2023 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 11036.65 0.00946553803906706 11036.65 109 109 14040HCZ6 US14040HCZ64 -- 100.96 United States -- USD 3.47 6.38 1 Jun 08, 2029 6.31 3.5 -- 6.04 3.5 6.04 Jun 08, 2023 Jun 08, 2023 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 11036.65 0.00946553803906706 11036.65 113 113 38148LAE6 US38148LAE65 BY58YX7 98.09 United States -- USD 1.01 5.6 1 May 22, 2025 3.75 1.02 -- 5.6 1.02 5.6 May 22, 2015 May 22, 2015 TEP TALLGRASS ENERGY PARTNERS LP 144A Energy Fixed Income 11034.75 0.009463908511785302 11034.75 120 120 87470LAK7 US87470LAK70 -- 92.05 United States -- USD 5.17 7.42 1 Sep 01, 2031 6 5.72 -- 7.42 5.72 7.42 Aug 18, 2021 Aug 18, 2021 AAPL APPLE INC Technology Fixed Income 11031.4 0.009461035397893778 11031.4 114 114 037833ET3 US037833ET32 -- 96.56 United States -- USD 3.59 4.95 1 May 10, 2028 4 3.61 -- 4.95 3.61 4.95 May 10, 2023 May 10, 2023 SUN SUNOCO LP / SUNOCO FINANCE CORP Energy Fixed Income 11030.11 0.009459929034634058 11030.11 113 113 86765LAN7 US86765LAN73 BJ12BQ0 97.37 United States -- USD 2.66 6.65 1 Mar 15, 2028 5.88 3.39 -- 6.65 3.39 6.65 Sep 15, 2018 Nov 30, 2018 NYCB NEW YORK COMMUNITY CAPITAL TRUST V Financial Institutions Equity 11029.49 0.009459397294152641 11029.49 362 362 64944P307 US64944P3073 2049603 30.51 United States New York Stock Exchange Inc. USD 5.78 19.67 1 Nov 01, 2051 6 9.49 -- 19.67 9.49 19.67 Nov 04, 2002 Nov 04, 2002 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 10961.32 0.009400931570574998 10961.32 112 112 91324PCP5 US91324PCP53 BYTRVX9 98.06 United States -- USD 1.16 5.41 1 Jul 15, 2025 3.75 1.16 -- 5.41 1.16 5.41 Jul 23, 2015 Jul 23, 2015 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 10959.57 0.009399430690183903 10959.57 111 111 06051GLA5 US06051GLA57 -- 98.69 United States -- USD 1.16 6.45 1 Jul 22, 2026 4.83 1.17 -- 5.93 1.17 5.93 Jul 22, 2022 Jul 22, 2022 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 10958.14 0.009398204256492895 10958.14 113 113 36168QAF1 US36168QAF19 BJBYK25 97.32 Canada -- USD 1.97 6.24 1 Dec 15, 2026 5.13 2.38 -- 6.24 2.38 6.24 Dec 16, 2019 Dec 16, 2019 EPR EPR PROPERTIES Financial Institutions Equity 10957.69 0.0093978183158209 10957.69 397 397 26884U307 US26884U3077 B8B8PZ8 27.6 United States New York Stock Exchange Inc. USD 6.52 32.61 1 Dec 31, 2079 9 12.11 -- 32.61 12.11 32.61 Apr 02, 2008 Apr 02, 2008 BATSLN REYNOLDS AMERICAN INC Consumer Non-Cyclical Fixed Income 10950.81 0.009391917711769057 10950.81 111 111 761713BG0 US761713BG06 BZ0PJX5 98.37 United States -- USD 1.05 5.95 1 Jun 12, 2025 4.45 1.07 -- 5.95 1.07 5.95 Jun 12, 2015 Jun 12, 2015 CCAMCL CHINA CINDA FINANCE (2015) I LTD MTN 144A Owned No Guarantee Fixed Income 10931.54 0.009375390874548266 10931.54 111 111 16891VAB5 US16891VAB53 BWXT4B6 98.27 China -- USD 0.96 6.07 1 Apr 23, 2025 4.25 0.95 -- 6.07 0.95 6.07 Apr 23, 2015 Apr 23, 2015 MUSA MURPHY OIL USA INC Consumer Cyclical Fixed Income 10930.28 0.00937431024066668 10930.28 118 118 626738AE8 US626738AE88 BKTC8R9 92.31 United States -- USD 4.21 6.46 1 Sep 15, 2029 4.75 4.61 -- 6.46 4.61 6.46 Sep 13, 2019 Sep 13, 2019 MTCHII MATCH GROUP HOLDINGS II LLC 144A Consumer Cyclical Fixed Income 10927.95 0.00937231192563168 10927.95 115 115 57665RAG1 US57665RAG11 BDSHS54 94.7 United States -- USD 2.89 6.66 1 Dec 15, 2027 5 3.2 -- 6.66 3.2 6.66 Dec 04, 2017 Dec 04, 2017 VOD VODAFONE GROUP PLC Communications Fixed Income 10927.95 0.00937231192563168 10927.95 117 117 92857WBV1 US92857WBV19 -- 93.05 United Kingdom -- USD 1.99 7.33 1 Jun 04, 2081 3.25 2.01 -- 6.85 2.2 6.85 Jun 04, 2021 Jun 04, 2021 ADVGRO AG ISSUER LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 10909.38 0.00935638544056733 10909.38 113 113 00119LAA9 US00119LAA98 BKY60D6 96.5 United States -- USD 2.59 7.31 1 Mar 01, 2028 6.25 3.32 -- 7.31 3.32 7.31 Feb 13, 2020 Feb 13, 2020 LTH LIFE TIME INC 144A Consumer Cyclical Fixed Income 10895.45 0.00934443843265422 10895.45 109 109 53190FAC9 US53190FAC95 BMGS0T0 100.38 United States -- USD 0.96 7.78 1 Apr 15, 2026 8 1.79 -- 7.49 0.73 7.49 Feb 05, 2021 Feb 05, 2021 GM GENERAL MOTORS CO Consumer Cyclical Fixed Income 10893 0.009342337200106689 10893 109 109 37045VAV2 US37045VAV27 BMDX5X7 100.3 United States -- USD 1.31 5.9 1 Oct 01, 2025 6.13 1.35 -- 5.89 1.27 5.89 May 12, 2020 May 12, 2020 TWLO TWILIO INC Technology Fixed Income 10890.81 0.009340458955502976 10890.81 123 123 90138FAC6 US90138FAC68 -- 88.67 United States -- USD 4.2 6.36 1 Mar 15, 2029 3.63 4.34 -- 6.36 4.34 6.36 Mar 09, 2021 Mar 09, 2021 UWMLLC UNITED WHOLESALE MORTGAGE LLC 144A Finance Companies Fixed Income 10890.81 0.009340458955502976 10890.81 113 113 913229AC4 US913229AC47 -- 96 United States -- USD 2.56 7.19 1 Jun 15, 2027 5.75 2.75 -- 7.19 2.75 7.19 Nov 22, 2021 Nov 22, 2021 ATI ATI INC Basic Industry Fixed Income 10888.49 0.009338469216927355 10888.49 107 107 01741RAN2 US01741RAN26 -- 101.7 United States -- USD 3.72 6.91 1 Aug 15, 2030 7.25 4.94 -- 6.78 3.61 6.78 Aug 11, 2023 Aug 11, 2023 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 10883.11 0.009333855081782163 10883.11 514 514 -- MYBGO1600036 BZ6C6D9 21.17 Malaysia -- USD 2.29 3.58 4.7775 Sep 30, 2026 4.07 2.29 -- 3.58 2.29 3.58 Mar 24, 2016 Mar 24, 2016 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 10880.79 0.009331865343206541 10880.79 487 487 -- MYBMX1700033 BYQJ0V9 22.32 Malaysia -- USD 9.68 4.1 4.7775 Apr 07, 2037 4.76 9.71 -- 4.1 9.71 4.1 Apr 07, 2017 Apr 07, 2017 PSEC PROSPECT CAPITAL CORP Financial Institutions Equity 10875.64 0.009327448466627036 10875.64 630 630 74348T565 US74348T5653 BN48ZW7 17.27 United States -- USD 12.02 7.89 1 Dec 31, 2079 5.35 12.68 -- 7.89 12.29 7.89 Jul 19, 2021 Jul 19, 2021 OUT OUTFRONT MEDIA CAPITAL LLC 144A Communications Fixed Income 10849.02 0.009304617931763653 10849.02 124 124 69007TAC8 US69007TAC80 BJLPYM6 87.19 United States -- USD 4.84 7.34 1 Mar 15, 2030 4.63 4.95 -- 7.34 4.95 7.34 Nov 18, 2019 Nov 18, 2019 ALLY ALLY FINANCIAL INC Banking Fixed Income 10842.05 0.009298640139577409 10842.05 111 111 02005NBS8 US02005NBS80 -- 97.51 United States -- USD 6.48 7.08 1 Feb 14, 2033 6.7 6.44 -- 7.08 6.44 7.08 Feb 13, 2023 Feb 13, 2023 AAP ADVANCE AUTO PARTS INC Consumer Cyclical Fixed Income 10837.41 0.009294660662426166 10837.41 122 122 00751YAE6 US00751YAE68 -- 88.88 United States -- USD 5.18 6.15 1 Apr 15, 2030 3.9 5.18 -- 6.15 5.18 6.15 Apr 16, 2020 Jul 23, 2020 GFLCN GFL ENVIRONMENTAL INC 144A Capital Goods Fixed Income 10835.09 0.009292670923850544 10835.09 121 121 36168QAP9 US36168QAP90 -- 89.86 Canada -- USD 4.3 6.67 1 Aug 15, 2029 4.38 4.56 -- 6.67 4.56 6.67 Aug 10, 2021 Aug 10, 2021 COOP NATIONSTAR MORTGAGE HOLDINGS INC 144A Finance Companies Fixed Income 10830.45 0.0092886914466993 10830.45 112 112 43734LAA4 US43734LAA44 -- 96.88 United States -- USD 1.6 6.9 1 Feb 01, 2026 5 1.64 -- 6.9 1.64 6.9 Jan 19, 2021 Jan 19, 2021 OLN OLIN CORP Basic Industry Fixed Income 10814.19 0.009274746123751194 10814.19 112 112 680665AJ5 US680665AJ53 BDFC7J9 96.25 United States -- USD 2.52 6.37 1 Sep 15, 2027 5.13 3.03 -- 6.37 3.03 6.37 Mar 09, 2017 Mar 09, 2017 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 10812.41 0.009273219513981967 10812.41 110 110 110122EF1 US110122EF17 -- 98.48 United States -- USD 4.19 5.26 1 Feb 22, 2029 4.9 4.2 -- 5.26 4.2 5.26 Feb 22, 2024 Feb 22, 2024 AMC ODEON FINCO PLC 144A Consumer Cyclical Fixed Income 10811.87 0.009272756385175572 10811.87 105 105 67585LAA3 US67585LAA35 -- 102.53 United Kingdom -- USD 2.15 11.85 1 Nov 01, 2027 12.75 2.63 -- 11.56 1.99 11.56 Oct 20, 2022 Oct 20, 2022 HILCRP HILCORP ENERGY I LP 144A Energy Fixed Income 10804.91 0.009266787169448707 10804.91 113 113 431318AY0 US431318AY04 -- 95.55 United States -- USD 4.11 6.92 1 Apr 15, 2030 6 4.9 -- 6.92 4.9 6.92 Apr 08, 2022 Apr 08, 2022 AAPL APPLE INC Technology Fixed Income 10796.65 0.009259703014002743 10796.65 110 110 037833BG4 US037833BG48 BXC5WL8 97.89 United States -- USD 1 5.29 1 May 13, 2025 3.2 1 -- 5.29 1 5.29 May 13, 2015 May 13, 2015 QCOM QUALCOMM INCORPORATED Technology Fixed Income 10791.39 0.009255191796370084 10791.39 114 114 747525AU7 US747525AU71 BF3KVF3 94.69 United States -- USD 2.79 5.14 1 May 20, 2027 3.25 2.83 -- 5.14 2.83 5.14 May 26, 2017 May 26, 2017 HSBC HSBC HOLDINGS PLC Banking Fixed Income 10787.89 0.009252190035587896 10787.89 118 118 404280CM9 US404280CM98 -- 91.59 United Kingdom -- USD 1.5 7.27 1 May 24, 2027 1.59 1.01 -- 7.27 1.02 7.27 Nov 24, 2020 Nov 24, 2020 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 10782.63 0.009247678817955235 10782.63 115 115 86562MAF7 US86562MAF77 BD0R6N6 94.15 Japan -- USD 2.1 5.46 1 Jul 14, 2026 2.63 2.1 -- 5.46 2.1 5.46 Jul 14, 2016 Jul 14, 2016 JWN NORDSTROM INC Consumer Cyclical Fixed Income 10781.69 0.009246872630773733 10781.69 121 121 655664AT7 US655664AT70 -- 89.12 United States -- USD 5.08 6.62 1 Apr 01, 2030 4.38 5.06 -- 6.62 5.06 6.62 Nov 06, 2019 Nov 06, 2019 AMH AMERICAN HOMES 4 RENT Financial Institutions Equity 10779.91 0.009245346021004507 10779.91 488 488 02665T876 US02665T8760 BDFG5B9 22.1 United States -- USD 10.73 6.68 1 Dec 31, 2079 5.88 14.98 -- 6.68 14.54 6.68 Jul 17, 2017 Jul 17, 2017 NSUS NUSTAR LOGISTICS LP Energy Fixed Income 10779.37 0.009244882892198112 10779.37 110 110 67059TAF2 US67059TAF21 BK6J2V5 98.44 United States -- USD 1.83 6.81 1 Jun 01, 2026 6 1.89 -- 6.81 1.89 6.81 May 22, 2019 May 22, 2019 XHR XHR LP 144A Reits Fixed Income 10779.37 0.009244882892198112 10779.37 119 119 98372MAC9 US98372MAC91 BMXXLB7 90.62 United States -- USD 4.04 7.1 1 Jun 01, 2029 4.88 4.3 -- 7.1 4.3 7.1 May 27, 2021 May 27, 2021 LIBMUT LIBERTY MUTUAL GROUP INC 144A Insurance Fixed Income 10770.08 0.009236915361436247 10770.08 119 119 53079EBM5 US53079EBM57 -- 90.32 United States -- USD 2.19 8.07 1 Dec 15, 2051 4.13 2.23 -- 8.07 2.38 8.07 Aug 16, 2021 Aug 16, 2021 KALU KAISER ALUMINUM CORPORATION 144A Basic Industry Fixed Income 10767.76 0.009234925622860626 10767.76 116 116 483007AJ9 US483007AJ91 BKQQ380 92.77 United States -- USD 3.21 6.79 1 Mar 01, 2028 4.63 3.42 -- 6.79 3.42 6.79 Nov 26, 2019 Nov 26, 2019 FRAX UNIFRAX ESCROW ISSUER CORP 144A Basic Industry Fixed Income 10763.12 0.009230946145709382 10763.12 190 190 90473LAA0 US90473LAA08 -- 56.75 United States -- USD 3.73 20.59 1 Sep 30, 2028 5.25 3.46 -- 20.59 3.46 20.59 Sep 30, 2021 Sep 30, 2021 CENT CENTRAL GARDEN & PET COMPANY Consumer Non-Cyclical Fixed Income 10756.15 0.00922496835352314 10756.15 123 123 153527AN6 US153527AN61 BMHY6S8 87.11 United States -- USD 5.28 6.6 1 Oct 15, 2030 4.13 5.49 -- 6.6 5.49 6.6 Oct 16, 2020 Oct 16, 2020 EQM EQM MIDSTREAM PARTNERS LP Energy Fixed Income 10756.15 0.00922496835352314 10756.15 113 113 26885BAB6 US26885BAB62 BZ1BSC4 94.83 United States -- USD 2.36 6.31 1 Dec 01, 2026 4.13 2.37 -- 6.31 2.37 6.31 Nov 04, 2016 Nov 04, 2016 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 10756.11 0.009224934047685629 10756.11 3787 3787 -- TH062303G606 BD4DR48 2.84 Thailand -- USD 9.82 2.9 37.0175 Jun 17, 2036 3.4 9.86 -- 2.9 9.86 2.9 Nov 20, 2015 Nov 20, 2015 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 10752.85 0.009222138121928505 10752.85 105 105 06051GLC1 US06051GLC14 -- 102.11 United States -- USD 3.05 5.91 1 Nov 10, 2028 6.2 3.06 -- 5.54 3.07 5.54 Nov 10, 2022 Nov 10, 2022 DAL SKYMILES IP LTD 144A Transportation Fixed Income 10751.1 0.009220637241537412 10751.1 111 111 830867AB3 US830867AB33 -- 96.97 United States -- USD 2.82 5.87 1 Oct 20, 2028 4.75 2.84 -- 5.87 2.84 5.87 Sep 23, 2020 Sep 23, 2020 CSTM CONSTELLIUM SE (FRANCE) 144A Basic Industry Fixed Income 10744.54 0.009215011084185654 10744.54 121 121 21039CAB0 US21039CAB00 -- 88.75 United States -- USD 4.25 6.43 1 Apr 15, 2029 3.75 4.41 -- 6.43 4.41 6.43 Feb 24, 2021 Feb 24, 2021 GWCN GARDA WORLD SECURITY CORP 144A Consumer Cyclical Fixed Income 10742.22 0.009213021345610032 10742.22 123 123 36485MAL3 US36485MAL37 -- 87.6 Canada -- USD 4.09 9.09 1 Jun 01, 2029 6 4.11 -- 9.09 4.11 9.09 Jun 01, 2021 Jun 01, 2021 IVR INVESCO MORTGAGE CAPITAL INC Financial Institutions Equity 10740.59 0.00921162338273147 10740.59 453 453 46131B407 US46131B4077 BQRNFJ7 23.73 United States New York Stock Exchange Inc. USD 0.4 11.34 1 Dec 31, 2079 7.75 0.38 -- 11.34 0.61 11.34 Sep 11, 2014 Sep 11, 2014 OLN OLIN CORP Basic Industry Fixed Income 10739.9 0.00921103160703441 10739.9 116 116 680665AK2 US680665AK27 BFNJ804 92.75 United States -- USD 4.19 6.53 1 Feb 01, 2030 5 4.83 -- 6.53 4.83 6.53 Jan 19, 2018 Jan 19, 2018 UBS UBS GROUP AG 144A Banking Fixed Income 10731.83 0.009204110404316622 10731.83 111 111 90351DAF4 US90351DAF42 BDFBBB6 96.85 Switzerland -- USD 1.86 5.92 1 Apr 15, 2026 4.13 1.86 -- 5.92 1.86 5.92 Apr 05, 2016 Apr 05, 2016 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 10730.02 0.009202558065169262 10730.02 459 459 -- RO0DU3PR9NF9 BNQQH23 23.36 Romania -- USD 8.56 6.92 4.6453 Feb 24, 2038 7.9 8.41 -- 6.92 8.41 6.92 Feb 24, 2023 Mar 08, 2023 CAR AVIS BUDGET CAR RENTAL LLC 144A Transportation Fixed Income 10725.97 0.009199084599121303 10725.97 122 122 053773BG1 US053773BG13 -- 88.25 United States -- USD 3.49 8.31 1 Apr 01, 2028 4.75 3.45 -- 8.31 3.45 8.31 Mar 23, 2021 Mar 23, 2021 UBS UBS GROUP AG 144A Banking Fixed Income 10716.06 0.009190585327878021 10716.06 115 115 225401AF5 US225401AF50 BD265F6 93.14 Switzerland -- USD 3.33 6.16 1 Jan 12, 2029 3.87 4.16 -- 5.95 3.35 5.95 Jan 12, 2018 Jan 12, 2018 CNOB CONNECTONE BANCORP INC Financial Institutions Equity 10709.82 0.00918523361722635 10709.82 540 540 20786W503 US20786W5031 BN0TTG6 19.85 United States -- USD 0.98 10.68 1 Dec 31, 2079 5.25 1.79 -- 10.68 2.02 10.68 Aug 19, 2021 Aug 19, 2021 ASSPAR GTCR (AP) FINANCE INC 144A Insurance Fixed Income 10702.76 0.009179178636905707 10702.76 107 107 40060QAA3 US40060QAA31 BJK3Y21 100.08 United States -- USD 0.2 7.97 1 May 15, 2027 8 2.57 -- 6.98 0.08 6.98 May 13, 2019 May 13, 2019 M MACYS RETAIL HOLDINGS LLC 144A Consumer Cyclical Fixed Income 10684.18 0.009163243575381978 10684.18 111 111 55617LAP7 US55617LAP76 -- 96.38 United States -- USD 3.24 6.75 1 Apr 01, 2029 5.88 4.18 -- 6.75 4.18 6.75 Mar 17, 2021 Mar 17, 2021 NWL NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 10677.22 0.009157274359655113 10677.22 111 111 651229BC9 US651229BC91 -- 96.51 United States -- USD 2.95 7.56 1 Sep 15, 2027 6.38 2.96 -- 7.56 2.96 7.56 Sep 14, 2022 Sep 14, 2022 MTCHII MATCH GROUP HOLDINGS II LLC 144A Consumer Cyclical Fixed Income 10674.9 0.009155284621079491 10674.9 129 129 57667JAA0 US57667JAA07 -- 82.95 United States -- USD 6.11 6.56 1 Oct 01, 2031 3.63 6.26 -- 6.56 6.26 6.56 Oct 04, 2021 Oct 04, 2021 CHK CHESAPEAKE ENERGY CORPORATION 144A Energy Fixed Income 10667.93 0.009149306828893249 10667.93 108 108 165167DF1 US165167DF18 BMD83B6 99.01 United States -- USD 1.29 6.1 1 Feb 01, 2026 5.5 1.64 -- 6.1 1.64 6.1 Feb 05, 2021 Feb 05, 2021 HLT HILTON DOMESTIC OPERATING COMPANY 144A Consumer Cyclical Fixed Income 10667.93 0.009149306828893249 10667.93 108 108 432833AQ4 US432833AQ40 BS2FMG8 98.54 United States -- USD 4.83 6.36 1 Apr 01, 2032 6.13 6.16 -- 6.36 6.16 6.36 Mar 26, 2024 Mar 26, 2024 HI HILLENBRAND INC Industrial Other Fixed Income 10663.29 0.009145327351742004 10663.29 108 108 431571AD0 US431571AD01 -- 99.1 United States -- USD 0.94 6.57 1 Jun 15, 2025 5.75 1.06 -- 6.57 1.06 6.57 Jun 16, 2020 Jun 16, 2020 VMED VIRGIN MEDIA VENDOR FINANCING NOTE 144A Communications Fixed Income 10663.29 0.009145327351742004 10663.29 120 120 92770QAA5 US92770QAA58 -- 88.97 Ireland -- USD 3.62 8.13 1 Jul 15, 2028 5 3.63 -- 8.13 3.63 8.13 Jun 24, 2020 Jun 24, 2020 JPM JPMORGAN CHASE & CO Banking Fixed Income 10661.76 0.00914401515345722 10661.76 116 116 46647PBW5 US46647PBW59 -- 92.14 United States -- USD 1.73 5.85 1 Feb 04, 2027 1.04 1.71 -- 5.76 1.71 5.76 Feb 04, 2021 Feb 04, 2021 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 10660 0.009142505696606748 10660 117 117 606822BY9 US606822BY90 -- 91.49 Japan -- USD 2.13 5.74 1 Jul 20, 2027 1.54 2.13 -- 5.64 2.14 5.64 Jul 20, 2021 Jul 20, 2021 UBS UBS AG (LONDON BRANCH) Banking Fixed Income 10660 0.009142505696606748 10660 106 106 902674ZW3 US902674ZW39 -- 100.45 Switzerland -- USD 3.83 5.53 1 Sep 11, 2028 5.65 3.81 -- 5.53 3.81 5.53 Sep 11, 2023 Sep 11, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 10651.74 0.009135421541160784 10651.74 1065174 1065174 -- IDG000021809 BPVGHW2 0.01 Indonesia -- USD 8.61 7.11 16187.5 Jun 15, 2038 7.13 8.61 -- 7.11 8.61 7.11 Jun 15, 2022 Sep 15, 2022 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 10643.62 0.009128457456146108 10643.62 512 512 -- MYBGJ2300016 -- 20.79 Malaysia -- USD 3.89 3.77 4.7775 Jul 31, 2028 3.6 3.89 -- 3.77 3.89 3.77 Jan 30, 2023 Jan 30, 2023 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 10642.46 0.009127462586858297 10642.46 767 767 -- CND10004S9F2 -- 13.87 China -- USD 0.83 1.66 7.24715 Feb 24, 2025 2.26 0.84 -- 1.66 0.84 1.66 Feb 24, 2022 Feb 24, 2022 FAMCA FEDERAL AGRICULTURAL MORTGAGE CORP Agency Equity 10631.18 0.009117788340680274 10631.18 469 469 313148868 US3131488682 BK6S6K9 22.68 United States -- USD 10.59 6.29 1 Dec 31, 2079 5.7 15.89 -- 6.29 15.38 6.29 May 13, 2019 May 13, 2019 EQIX EQUINIX INC Technology Fixed Income 10628.47 0.009115464120188923 10628.47 114 114 29444UBK1 US29444UBK16 -- 93.54 United States -- USD 1.35 5.91 1 Sep 15, 2025 1 1.34 -- 5.91 1.34 5.91 Oct 07, 2020 Oct 07, 2020 EQH EQUITABLE HOLDINGS INC Insurance Fixed Income 10616.21 0.009104949380991887 10616.21 111 111 054561AJ4 US054561AJ49 BJ2L542 95.22 United States -- USD 3.55 5.71 1 Apr 20, 2028 4.35 3.59 -- 5.71 3.59 5.71 Oct 20, 2018 Jan 16, 2019 MYLIFE MEIJI YASUDA LIFE INSURANCE CO 144A Insurance Fixed Income 10614.46 0.009103448500600794 10614.46 108 108 585270AA9 US585270AA92 BYNK2S6 98.4 Japan -- USD 1.38 8.62 1 Oct 20, 2045 5.2 1.24 -- 6.34 1.4 6.34 Oct 20, 2015 Oct 20, 2015 UBS UBS GROUP AG 144A Banking Fixed Income 10610.95 0.009100438163359228 10610.95 115 115 225401AT5 US225401AT54 -- 92.1 Switzerland -- USD 1.73 6.16 1 Feb 02, 2027 1.3 1.69 -- 6.08 1.7 6.08 Feb 02, 2021 Feb 02, 2021 MS MORGAN STANLEY BANK NA (FXD-FRN) Banking Fixed Income 10603.94 0.009094426065335474 10603.94 108 108 61690U8A1 US61690U8A11 -- 98.43 United States -- USD 2.48 5.82 1 Jan 14, 2028 4.95 2.47 -- 5.6 2.47 5.6 Jan 18, 2024 Jan 18, 2024 NWL NEWELL BRANDS INC Consumer Non-Cyclical Fixed Income 10600.6 0.009091561527903328 10600.6 112 112 651229BD7 US651229BD74 -- 94.67 United States -- USD 4.42 7.85 1 Sep 15, 2029 6.63 4.39 -- 7.85 4.39 7.85 Sep 14, 2022 Sep 14, 2022 PRAA PRA GROUP INC 144A Financial Other Fixed Income 10591.32 0.009083602573600842 10591.32 108 108 69354NAE6 US69354NAE67 -- 97.92 United States -- USD 2.82 9.03 1 Feb 01, 2028 8.38 3.1 -- 9.03 3.1 9.03 Feb 06, 2023 Feb 06, 2023 MTCHII MATCH GROUP HOLDINGS II LLC 144A Consumer Cyclical Fixed Income 10588.99 0.009081604258565842 10588.99 122 122 57665RAL0 US57665RAL06 -- 86.58 United States -- USD 5.12 6.79 1 Aug 01, 2030 4.13 5.28 -- 6.79 5.28 6.79 Feb 11, 2020 Feb 11, 2020 ALIANT ALLIANT HOLDINGS INTERMEDIATE LLC 144A Insurance Fixed Income 10582.03 0.009075635042838977 10582.03 116 116 01883LAD5 US01883LAD55 -- 91.32 United States -- USD 4.1 7.84 1 Nov 01, 2029 5.88 4.43 -- 7.84 4.43 7.84 Nov 03, 2021 Nov 03, 2021 ASSPAR ASSUREDPARTNERS INC 144A Insurance Fixed Income 10579.71 0.009073645304263356 10579.71 109 109 04624VAC3 US04624VAC37 -- 96.77 United States -- USD 4.81 8.06 1 Feb 15, 2032 7.5 5.7 -- 8.06 5.7 8.06 Feb 14, 2024 Feb 14, 2024 BA BOEING CO Capital Goods Fixed Income 10570.66 0.009065883608526556 10570.66 109 109 097023CU7 US097023CU76 -- 97.05 United States -- USD 2.66 6.12 1 May 01, 2027 5.04 2.68 -- 6.12 2.68 6.12 May 04, 2020 May 04, 2020 BPL BUCKEYE PARTNERS LP 144A Energy Fixed Income 10570.42 0.009065677773501491 10570.42 114 114 118230AU5 US118230AU55 -- 92.36 United States -- USD 3.43 6.79 1 Mar 01, 2028 4.5 3.42 -- 6.79 3.42 6.79 Feb 19, 2020 Feb 19, 2020 VSTJET VISTAJET MALTA FINANCE PLC 144A Transportation Fixed Income 10568.1 0.00906368803492587 10568.1 121 121 92840JAD1 US92840JAD19 -- 87.53 Switzerland -- USD 2.55 13 1 May 01, 2027 7.88 2.45 -- 13 2.45 13 Apr 27, 2022 Apr 27, 2022 AZN ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 10561.9 0.009058370630111709 10561.9 109 109 046353AL2 US046353AL27 BYQKXG8 97.05 United Kingdom -- USD 1.47 5.37 1 Nov 16, 2025 3.38 1.47 -- 5.37 1.47 5.37 Nov 16, 2015 Nov 16, 2015 SEE SEALED AIR CORPORATION 144A Capital Goods Fixed Income 10554.17 0.009051741027012762 10554.17 104 104 812127AB4 US812127AB45 -- 101.67 United States -- USD 3.92 6.94 1 Feb 15, 2031 7.25 5.16 -- 6.82 3.72 6.82 Nov 20, 2023 Nov 20, 2023 WLSC WILLIAMS SCOTSMAN INC 144A Industrial Other Fixed Income 10551.85 0.00904975128843714 10551.85 115 115 96950GAE2 US96950GAE26 -- 91.96 United States -- USD 3.53 6.81 1 Aug 15, 2028 4.63 3.77 -- 6.81 3.77 6.81 Aug 25, 2020 Aug 25, 2020 SAH SONIC AUTOMOTIVE INC 144A Consumer Cyclical Fixed Income 10544.88 0.009043773496250898 10544.88 124 124 83545GBE1 US83545GBE17 -- 84.88 United States -- USD 5.77 7.54 1 Nov 15, 2031 4.88 5.91 -- 7.54 5.91 7.54 Oct 27, 2021 Oct 27, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 10544.28 0.009043258908688236 10544.28 119 119 912828ZE3 US912828ZE35 BKPSY95 88.58 United States -- USD 2.84 4.85 1 Mar 31, 2027 0.63 2.84 -- 4.85 2.84 4.85 Mar 31, 2020 Mar 31, 2020 NRG NRG ENERGY INC 144A Electric Fixed Income 10540.24 0.009039794019099653 10540.24 121 121 629377CQ3 US629377CQ33 -- 87.31 United States -- USD 4.22 6.49 1 Feb 15, 2029 3.38 4.28 -- 6.49 4.28 6.49 Dec 02, 2020 Dec 02, 2020 KW KENNEDY-WILSON INC Financial Other Fixed Income 10528.63 0.009029836749762167 10528.63 138 138 489399AM7 US489399AM73 BMVHFK8 76.41 United States -- USD 5.53 9.81 1 Mar 01, 2031 5 5.4 -- 9.81 5.4 9.81 Feb 11, 2021 Feb 11, 2021 AES DPL INC Electric Fixed Income 10519.35 0.00902187779545968 10519.35 109 109 233293AR0 US233293AR02 -- 96.89 United States -- USD 1.12 6.9 1 Jul 01, 2025 4.13 1.11 -- 6.9 1.11 6.9 Jan 01, 2021 Apr 29, 2021 JNJ JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 10518.1 0.00902080573803747 10518.1 110 110 478160BY9 US478160BY94 BD31B52 95.39 United States -- USD 1.76 5.09 1 Mar 01, 2026 2.45 1.77 -- 5.09 1.77 5.09 Mar 01, 2016 Mar 01, 2016 BHCCN BAUSCH HEALTH AMERICAS INC 144A Consumer Non-Cyclical Fixed Income 10507.74 0.009011920526122194 10507.74 162 162 91911XAW4 US91911XAW48 BFY2Z12 65 United States -- USD 2.33 27.31 1 Jan 31, 2027 8.5 2.1 -- 27.31 2.1 27.31 Jun 01, 2018 Jun 01, 2018 BACR BARCLAYS PLC Banking Fixed Income 10500.59 0.009005788357667154 10500.59 107 107 06738EBY0 US06738EBY05 -- 98.56 United Kingdom -- USD 2.89 6.38 1 Aug 09, 2028 5.5 2.92 -- 5.99 2.93 5.99 Aug 09, 2022 Aug 09, 2022 CLDT CHATHAM LODGING TRUST Financial Institutions Equity 10499.55 0.009004896405891874 10499.55 508 508 16208T201 US16208T2015 BLD3JK5 20.65 United States -- USD 9.91 8.04 1 Dec 31, 2079 6.63 12.44 -- 8.04 12.27 8.04 Jun 30, 2021 Jun 30, 2021 GSYCN GOEASY LTD 144A Finance Companies Fixed Income 10498.45 0.00900395299536033 10498.45 105 105 380355AJ6 US380355AJ63 -- 99.75 Canada -- USD 3.62 7.68 1 Jul 01, 2029 7.63 4.16 -- 7.68 4.16 7.68 Feb 23, 2024 Feb 23, 2024 PFSI PENNYMAC FINANCIAL SERVICES INC 144A Finance Companies Fixed Income 10498.45 0.00900395299536033 10498.45 116 116 70932MAC1 US70932MAC10 -- 90.13 United States -- USD 5.38 7.51 1 Sep 15, 2031 5.75 5.78 -- 7.51 5.78 7.51 Sep 16, 2021 Sep 16, 2021 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 10488.21 0.008995170700957586 10488.21 497 497 -- MYBGO1500046 BWTW0S8 21.11 Malaysia -- USD 1.42 3.4 4.7775 Oct 15, 2025 3.99 1.42 -- 3.4 1.42 3.4 Apr 08, 2015 Apr 08, 2015 COF CAPITAL ONE FINANCIAL CORPORATION Financial Institutions Equity 10484.17 0.008991705811369002 10484.17 572 572 14040H774 US14040H7742 BLNPMY6 18.34 United States -- USD 14.18 6.37 1 Dec 31, 2079 4.63 15.39 -- 6.37 15.39 6.37 Sep 17, 2020 Sep 17, 2020 UBS UBS GROUP AG Banking Fixed Income 10483.07 0.008990762400837458 10483.07 107 107 902613BB3 US902613BB36 2K8Y9S3 97.78 Switzerland -- USD 1.86 5.75 1 Apr 17, 2026 4.55 1.86 -- 5.75 1.86 5.75 Oct 18, 2016 Nov 16, 2016 RLJ RLJ LODGING TRUST LP 144A Reits Fixed Income 10482.2 0.008990016248871599 10482.2 122 122 74965LAB7 US74965LAB71 -- 85.91 United States -- USD 4.61 7.2 1 Sep 15, 2029 4 4.66 -- 7.2 4.66 7.2 Sep 13, 2021 Sep 13, 2021 CLMT CALUMET SPECIALTY PRODUCTS PARTNER 144A Energy Fixed Income 10472.91 0.008982048718109734 10472.91 105 105 131477AT8 US131477AT87 BK4WPT5 99.57 United States -- USD 0.73 11.47 1 Apr 15, 2025 11 0.89 -- 11.47 0.89 11.47 Oct 11, 2019 Oct 11, 2019 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 10469.52 0.008979141298380702 10469.52 105 105 06406RAY3 US06406RAY36 -- 99.96 United States -- USD 0 5.74 1 Oct 25, 2024 0.2 0.25 -- 5.7 0.25 5.7 Oct 25, 2021 Oct 25, 2021 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 10468.27 0.008978069240958491 10468.27 195 195 527298CH4 US527298CH44 -- 53.62 United States -- USD 5.6 14.78 1 Apr 15, 2031 4 5.34 -- 14.78 5.34 14.78 Mar 22, 2024 Mar 22, 2024 RLJ RLJ LODGING TRUST LP 144A Reits Fixed Income 10468.27 0.008978069240958491 10468.27 112 112 74965LAA9 US74965LAA98 -- 93.53 United States -- USD 2.03 7 1 Jul 01, 2026 3.75 2.02 -- 7 2.02 7 Jun 17, 2021 Jun 17, 2021 HOUS ANYWHERE REAL ESTATE GROUP LLC 144A Consumer Cyclical Fixed Income 10465.95 0.00897607950238287 10465.95 152 152 75606DAL5 US75606DAL55 -- 68.87 United States -- USD 3.9 15.22 1 Jan 15, 2029 5.75 3.7 -- 15.22 3.7 15.22 Jan 11, 2021 Jan 11, 2021 STX SEAGATE HDD CAYMAN Technology Fixed Income 10465.95 0.00897607950238287 10465.95 117 117 81180WBC4 US81180WBC47 -- 89.81 United States -- USD 4.41 6.47 1 Jun 01, 2029 4.09 4.4 -- 6.47 4.4 6.47 Jun 18, 2020 Jun 18, 2020 TFX TELEFLEX INCORPORATED 144A Consumer Non-Cyclical Fixed Income 10463.63 0.008974089763807248 10463.63 113 113 879369AG1 US879369AG12 -- 92.23 United States -- USD 3.57 6.44 1 Jun 01, 2028 4.25 3.61 -- 6.44 3.61 6.44 May 27, 2020 May 27, 2020 CLF CLEVELAND-CLIFFS INC Basic Industry Fixed Income 10452.02 0.008964132494469762 10452.02 106 106 185899AH4 US185899AH46 BMF04M8 98.61 United States -- USD 1.89 6.37 1 Jun 01, 2027 5.88 2.72 -- 6.37 2.72 6.37 Dec 01, 2019 Apr 24, 2020 GIS GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 10451.53 0.008963712247960255 10451.53 109 109 370334CG7 US370334CG79 BGB6G88 95.58 United States -- USD 3.55 5.45 1 Apr 17, 2028 4.2 3.6 -- 5.45 3.6 5.45 Apr 17, 2018 Apr 17, 2018 TMHC TAYLOR MORRISON COMMUNITIES INC 144A Consumer Cyclical Fixed Income 10445.05 0.008958154702283519 10445.05 106 106 87724RAA0 US87724RAA05 BJR4FL3 98.67 United States -- USD 2.7 6.34 1 Jun 15, 2027 5.88 2.76 -- 6.34 2.76 6.34 Jun 05, 2019 Jun 05, 2019 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 10442.77 0.008956199269545408 10442.77 119 119 023135BY1 US023135BY17 -- 87.71 United States -- USD 3.79 5.04 1 May 12, 2028 1.65 3.79 -- 5.04 3.79 5.04 May 12, 2021 May 12, 2021 INTNED ING GROEP NV 144A Banking Fixed Income 10441.02 0.008954698389154313 10441.02 110 110 456837AU7 US456837AU72 -- 94.88 Netherlands -- USD 1.14 6.11 1 Jul 01, 2026 1.4 1.13 -- 5.95 1.14 5.95 Jul 01, 2020 Jul 01, 2020 CNX CNX RESOURCES CORP 144A Energy Fixed Income 10426.48 0.008942228217219168 10426.48 108 108 12653CAJ7 US12653CAJ71 -- 96.71 United States -- USD 3.31 6.82 1 Jan 15, 2029 6 3.97 -- 6.82 3.97 6.82 Nov 30, 2020 Nov 30, 2020 BRITEL BRITISH TELECOMMUNICATIONS PLC N10 144A Communications Fixed Income 10419.52 0.008936259001492301 10419.52 117 117 11102AAG6 US11102AAG67 -- 89.25 United Kingdom -- USD 5.94 7.65 1 Nov 23, 2081 4.88 5.97 -- 6.71 6 6.71 Nov 23, 2021 Nov 23, 2021 ARAMCO SA GLOBAL SUKUK LTD 144A Owned No Guarantee Fixed Income 10409.49 0.008927656812736488 10409.49 113 113 78397PAB7 US78397PAB76 -- 91.91 Saudi Arabia -- USD 2.05 5.66 1 Jun 17, 2026 1.6 2.04 -- 5.66 2.04 5.66 Jun 17, 2021 Jun 17, 2021 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 10402.97 0.008922064961222241 10402.97 41612 41612 -- HU0000405543 -- 0.25 Hungary -- USD 3.52 7.19 366.65735 Mar 23, 2028 4.5 3.4 -- 7.19 3.4 7.19 Jan 19, 2022 Jan 19, 2022 LAMR LAMAR MEDIA CORP Communications Fixed Income 10400.94 0.008920323939968573 10400.94 123 123 513075BZ3 US513075BZ34 BNLXVW7 84.78 United States -- USD 5.61 6.45 1 Jan 15, 2031 3.63 5.76 -- 6.45 5.76 6.45 Apr 15, 2021 Sep 01, 2021 NEP NEXTERA ENERGY OPERATING PARTNERS 144A Electric Fixed Income 10400.94 0.008920323939968573 10400.94 112 112 65342QAL6 US65342QAL68 BKZCC59 93 United States -- USD 2.31 7.01 1 Oct 15, 2026 3.88 2.29 -- 7.01 2.29 7.01 Sep 23, 2019 Sep 23, 2019 AXTA AXALTA COATING SYSTEMS LLC 144A Basic Industry Fixed Income 10391.66 0.008912364985666086 10391.66 109 109 05454NAA7 US05454NAA72 -- 95.46 United States -- USD 2.52 6.37 1 Jun 15, 2027 4.75 2.81 -- 6.37 2.81 6.37 Jun 15, 2020 Jun 15, 2020 EQM EQM MIDSTREAM PARTNERS LP 144A Energy Fixed Income 10391.66 0.008912364985666086 10391.66 104 104 26885BAF7 US26885BAF76 -- 99.75 United States -- USD 1 6.21 1 Jul 01, 2025 6 1.11 -- 6.21 1.11 6.21 Jun 18, 2020 Jun 18, 2020 SATS HUGHES SATELLITE SYSTEMS CORP Communications Fixed Income 10387.01 0.008908376932055465 10387.01 181 181 444454AF9 US444454AF95 BYQN8F1 57.25 United States -- USD 2 35.62 1 Aug 01, 2026 6.63 1.74 -- 35.62 1.74 35.62 Feb 01, 2017 May 11, 2017 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 10383.25 0.008905152183329457 10383.25 4400 4400 -- TRT120325T12 BWY5FF4 2.36 Turkey -- USD 0.7 42.3 32.526 Mar 12, 2025 8 0.71 -- 42.3 0.71 42.3 Mar 25, 2015 Mar 25, 2015 TAP MOLSON COORS BREWING CO Consumer Non-Cyclical Fixed Income 10379.71 0.008902116116709758 10379.71 109 109 60871RAG5 US60871RAG56 BYT4Q68 94.9 United States -- USD 2.08 5.47 1 Jul 15, 2026 3 2.09 -- 5.47 2.09 5.47 Jul 07, 2016 Jul 07, 2016 EFC ELLINGTON FINANCIAL INC Financial Institutions Equity 10367.93 0.008892013047562852 10367.93 508 508 28852N307 US28852N3070 BN7LLV4 20.39 United States -- USD 1.25 11.14 1 Dec 31, 2079 6.25 2.08 -- 11.14 2.08 11.14 Dec 13, 2021 Dec 13, 2021 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 10367.44 0.008891592801053345 10367.44 109 109 023135CF1 US023135CF19 -- 95.16 United States -- USD 2.76 5.08 1 Apr 13, 2027 3.3 2.77 -- 5.08 2.77 5.08 Apr 13, 2022 Apr 13, 2022 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 10364.12 0.008888745416539955 10364.12 740 740 -- CND10004TCN0 -- 14.01 China -- USD 2.87 1.94 7.24715 Apr 15, 2027 2.48 2.85 -- 1.94 2.85 1.94 Apr 15, 2022 Apr 15, 2022 ABBV ABBVIE INC Consumer Non-Cyclical Fixed Income 10348.17 0.008875065963832557 10348.17 108 108 00287YAY5 US00287YAY59 BYP8MS8 95.94 United States -- USD 1.9 5.31 1 May 14, 2026 3.2 1.92 -- 5.31 1.92 5.31 May 12, 2016 May 12, 2016 FAIRIC FAIR ISAAC CORP 144A Technology Fixed Income 10347.54 0.008874525646891762 10347.54 106 106 303250AE4 US303250AE41 BD2NL82 97.88 United States -- USD 1.81 6.37 1 May 15, 2026 5.25 1.87 -- 6.37 1.87 6.37 May 08, 2018 May 08, 2018 GLP GLOBAL PARTNERS LP 144A Energy Fixed Income 10340.58 0.008868556431164897 10340.58 101 101 37954FAK0 US37954FAK03 -- 102.22 United States -- USD 4.14 7.86 1 Jan 15, 2032 8.25 5.54 -- 7.68 3.79 7.68 Jan 18, 2024 Jan 18, 2024 LNDPT LD HOLDINGS GROUP LLC 144A Finance Companies Fixed Income 10333.61 0.008862578638978654 10333.61 134 134 521088AC8 US521088AC89 -- 77.14 United States -- USD 3.4 13.85 1 Apr 01, 2028 6.13 3.25 -- 13.85 3.25 13.85 Mar 26, 2021 Mar 26, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 10333.39 0.008862389956872345 10333.39 745 745 -- CND10006VNH0 -- 13.87 China -- USD 2.23 1.94 7.24715 Aug 15, 2026 2.18 2.2 -- 1.94 2.2 1.94 Aug 15, 2023 Aug 15, 2023 FI FISERV INC Technology Fixed Income 10332.41 0.008861549463853332 10332.41 108 108 337738AT5 US337738AT51 BKF0BV2 95.24 United States -- USD 2.04 5.54 1 Jul 01, 2026 3.2 2.05 -- 5.54 2.05 5.54 Jun 24, 2019 Jun 24, 2019 ABR ARBOR REALTY TRUST INC Financial Institutions Equity 10325.19 0.008855357260182647 10325.19 582 582 038923868 US0389238686 BNVY346 17.75 United States -- USD 10.36 8.99 1 Dec 31, 2079 6.25 11.12 -- 8.99 10.82 8.99 Aug 11, 2021 Aug 11, 2021 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 10306.13 0.00883901052860879 10306.13 105 105 65339KCM0 US65339KCM09 -- 97.78 United States -- USD 3.41 5.55 1 Feb 28, 2028 4.9 3.42 -- 5.55 3.42 5.55 Feb 09, 2023 Feb 09, 2023 AAPL APPLE INC Technology Fixed Income 10293.87 0.008828495789411755 10293.87 109 109 037833CR9 US037833CR93 BD3N0T5 94.73 United States -- USD 2.77 5.09 1 May 11, 2027 3.2 2.81 -- 5.09 2.81 5.09 May 11, 2017 May 11, 2017 DCOM DIME COMMUNITY BANCSHARES CUMULATI Financial Institutions Equity 10287.58 0.008823101196463195 10287.58 612 612 25432X201 US25432X2018 BMFZ6W7 16.82 United States NASDAQ USD 11.45 8.31 1 Dec 31, 2079 5.5 11.89 -- 8.31 11.89 8.31 Nov 15, 2020 Feb 01, 2021 BNFP DANONE SA 144A Consumer Non-Cyclical Fixed Income 10279.85 0.008816471593364248 10279.85 109 109 23636TAE0 US23636TAE01 BYM8GX4 94.21 France -- USD 2.33 5.43 1 Nov 02, 2026 2.95 2.34 -- 5.43 2.34 5.43 Nov 02, 2016 Nov 02, 2016 CHF CHF CASH Cash and/or Derivatives Cash 10279.62 0.008816274334798561 10279.62 94 94 -- -- -- 109.45 Switzerland -- USD 0 1.8 0.91365 -- 0 0 -- 1.8 0 1.8 -- Jan 01, 1990 DHC DIVERSIFIED HEALTHCARE TRUST Reits Fixed Income 10277.9 0.0088147991837856 10277.9 131 131 81721MAM1 US81721MAM10 BFMGS84 78.43 United States -- USD 3.37 11.97 1 Feb 15, 2028 4.75 3.25 -- 11.97 3.25 11.97 Feb 12, 2018 Feb 12, 2018 PCG PACIFIC GAS & ELECTRIC UTILITIES Electric Fixed Income 10269.34 0.008807457734558306 10269.34 107 107 694308JP3 US694308JP35 BMVV6B8 95.61 United States -- USD 1.6 5.93 1 Jan 01, 2026 3.15 1.59 -- 5.93 1.59 5.93 Jul 02, 2020 Jul 01, 2020 ALSN ALLISON TRANSMISSION INC 144A Consumer Cyclical Fixed Income 10263.97 0.008802852175872492 10263.97 105 105 019736AF4 US019736AF46 BHRH8R5 97.45 United States -- USD 3.26 6.47 1 Jun 01, 2029 5.88 4.23 -- 6.47 4.23 6.47 Mar 29, 2019 Mar 29, 2019 INTC INTEL CORPORATION Technology Fixed Income 10262.33 0.008801445636534552 10262.33 104 104 458140CE8 US458140CE86 -- 98.61 United States -- USD 3.37 5.28 1 Feb 10, 2028 4.88 3.38 -- 5.28 3.38 5.28 Feb 10, 2023 Feb 10, 2023 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 10260.9 0.008800219202843544 10260.9 60358 60358 -- HU0000403555 BFM4532 0.17 Hungary -- USD 10.57 7.14 366.65735 Oct 27, 2038 3 10.2 -- 7.14 10.2 7.14 Feb 07, 2018 Feb 07, 2018 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 10251.82 0.00879243177772861 10251.82 104 104 05581KAH4 US05581KAH41 -- 98.16 France -- USD 4.01 5.82 1 Jan 09, 2030 5.18 4.05 -- 5.62 4.05 5.62 Jan 09, 2024 Jan 09, 2024 MTCHII MATCH GROUP HOLDINGS II LLC 144A Consumer Cyclical Fixed Income 10243.07 0.008784927375773141 10243.07 111 111 57665RAN6 US57665RAN61 -- 92.31 United States -- USD 3.35 6.8 1 Jun 01, 2028 4.63 3.57 -- 6.8 3.57 6.8 May 19, 2020 May 19, 2020 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 10241.77 0.008783812436054042 10241.77 3822 3822 -- TH0623039300 BNG9TX7 2.68 Thailand -- USD 4.58 2.56 37.0175 Mar 17, 2029 2.4 4.58 -- 2.56 4.58 2.56 Jul 21, 2023 Jul 21, 2023 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 10239.56 0.008781917038531576 10239.56 103 103 86562MCT5 US86562MCT53 -- 99.77 Japan -- USD 1.6 5.6 1 Jan 13, 2026 5.46 1.59 -- 5.6 1.59 5.6 Jan 13, 2023 Jan 13, 2023 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 10236.06 0.008778915277749388 10236.06 102 102 38141GA87 US38141GA872 -- 100.1 United States -- USD 4.26 5.81 1 Apr 25, 2030 5.73 4.29 -- 5.7 4.3 5.7 Apr 25, 2024 Apr 25, 2024 BA BOEING CO Capital Goods Fixed Income 10234.3 0.008777405820898915 10234.3 104 104 097023CT0 US097023CT04 -- 98.83 United States -- USD 0.94 6.08 1 May 01, 2025 4.88 0.95 -- 6.08 0.95 6.08 May 04, 2020 May 04, 2020 ARGID ARDAGH PACKAGING FINANCE PLC 144A Capital Goods Fixed Income 10226.82 0.00877099062928441 10226.82 200 200 03969AAP5 US03969AAP57 BK5HL24 51.25 United States -- USD 2.77 29.23 1 Aug 15, 2027 5.25 2.47 -- 29.23 2.47 29.23 Aug 12, 2019 Aug 12, 2019 UBS UBS GROUP AG 144A Banking Fixed Income 10225.54 0.008769892842484068 10225.54 103 103 902613AU2 US902613AU26 -- 99.7 Switzerland -- USD 1.56 6.28 1 Jan 12, 2027 5.71 1.58 -- 5.89 1.59 5.89 Jan 12, 2023 Jan 12, 2023 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical Fixed Income 10219.85 0.008765012837098168 10219.85 106 106 552953CD1 US552953CD18 BDHBPQ7 96.03 United States -- USD 2.15 6.47 1 Sep 01, 2026 4.63 2.17 -- 6.47 2.17 6.47 Aug 19, 2016 Aug 19, 2016 JPM JPMORGAN CHASE & CO Banking Fixed Income 10215.03 0.008760878983678127 10215.03 113 113 46647PBR6 US46647PBR64 -- 90.38 United States -- USD 2.89 5.99 1 Jun 01, 2028 2.18 2.89 -- 5.6 2.9 5.6 May 27, 2020 May 27, 2020 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 10208.03 0.00875487546211375 10208.03 107 107 06051GGC7 US06051GGC78 BZ013F3 95.58 United States -- USD 3 5.56 1 Nov 25, 2027 4.18 3.21 -- 5.56 3.21 5.56 Nov 25, 2016 Nov 25, 2016 SEE SEALED AIR CORPORATION 144A Capital Goods Fixed Income 10196.64 0.008745106874882573 10196.64 109 109 81211KBA7 US81211KBA79 BPX3RJ8 93.81 United States -- USD 3.87 6.47 1 Apr 15, 2029 5 4.3 -- 6.47 4.3 6.47 Apr 19, 2022 Apr 19, 2022 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 10190.51 0.008739849505284055 10190.51 104 104 95000U3C5 US95000U3C57 -- 98.33 United States -- USD 1.24 6.34 1 Aug 15, 2026 4.54 1.23 -- 5.88 1.24 5.88 Aug 15, 2022 Aug 15, 2022 USB US BANCORP MTN Banking Fixed Income 10187 0.00873683916804249 10187 105 105 91159HJF8 US91159HJF82 -- 96.71 United States -- USD 2.91 5.98 1 Jul 22, 2028 4.55 2.92 -- 5.67 2.93 5.67 Jul 22, 2022 Jul 22, 2022 GOOGL ALPHABET INC Technology Fixed Income 10180 0.008730835646478113 10180 109 109 02079KAC1 US02079KAC18 BYYGTW6 93.47 United States -- USD 2.2 5.03 1 Aug 15, 2026 2 2.2 -- 5.03 2.2 5.03 Aug 09, 2016 Aug 09, 2016 SHO SUNSTONE HOTEL INVESTORS INC Financial Institutions Equity 10179.88 0.008730732728965582 10179.88 486 486 867892804 US8678928040 BL556K8 20.95 United States -- USD 10.79 7.32 1 Dec 31, 2079 6.13 13.65 -- 7.32 13.39 7.32 May 24, 2021 May 11, 2021 CRL CHARLES RIVER LABORATORIES INTERNA 144A Consumer Non-Cyclical Fixed Income 10159.49 0.008713245328294492 10159.49 110 110 159864AE7 US159864AE78 BK59DC4 92.72 United States -- USD 3.31 6.33 1 May 01, 2028 4.25 3.53 -- 6.33 3.53 6.33 Oct 23, 2019 Oct 23, 2019 SANLTD SANDS CHINA LTD Consumer Cyclical Fixed Income 10150.22 0.008705294950451383 10150.22 105 105 80007RAE5 US80007RAE53 BGV2CT9 96.57 Macau -- USD 3.68 6.32 1 Aug 08, 2028 5.4 3.71 -- 6.32 3.71 6.32 Aug 09, 2018 Jan 29, 2019 HTZ HERTZ CORPORATION (THE) 144A Transportation Fixed Income 10138.6 0.00869532910465452 10138.6 127 127 428040DA4 US428040DA42 -- 80 United States -- USD 2.35 14.07 1 Dec 01, 2026 4.63 2.25 -- 14.07 2.25 14.07 Nov 23, 2021 Nov 23, 2021 DISH DISH DBS CORP Communications Fixed Income 10136.28 0.008693339366078898 10136.28 232 232 25470XBB0 US25470XBB01 -- 43.61 United States -- USD 3.12 33.25 1 Jul 01, 2028 7.38 2.73 -- 33.25 2.73 33.25 Jul 01, 2020 Sep 29, 2020 CRL CHARLES RIVER LABORATORIES INTERNA 144A Consumer Non-Cyclical Fixed Income 10133.95 0.008691341051043898 10133.95 116 116 159864AJ6 US159864AJ65 -- 87.06 United States -- USD 5.52 6.35 1 Mar 15, 2031 4 5.8 -- 6.35 5.8 6.35 Mar 23, 2021 Mar 23, 2021 BNP BNP PARIBAS SA 144A Banking Fixed Income 10130.95 0.008688768113230595 10130.95 109 109 09659W2N3 US09659W2N34 -- 92.64 France -- USD 1.67 6.05 1 Jan 13, 2027 1.32 1.64 -- 5.89 1.65 5.89 Jan 13, 2021 Jan 13, 2021 ACRISU ACRISURE LLC 144A Insurance Fixed Income 10126.99 0.008685371835317033 10126.99 112 112 00489LAH6 US00489LAH69 -- 90.08 United States -- USD 4.11 8.36 1 Aug 01, 2029 6 4.3 -- 8.36 4.3 8.36 Aug 10, 2021 Aug 10, 2021 DD DUPONT DE NEMOURS INC Basic Industry Fixed Income 10125.69 0.008684256895597934 10125.69 103 103 26078JAD2 US26078JAD28 BGT0PR4 97.91 United States -- USD 3.89 5.24 1 Nov 15, 2028 4.72 3.96 -- 5.24 3.96 5.24 Nov 28, 2018 Nov 28, 2018 ROCKIE ROCKIES EXPRESS PIPELINE LLC 144A Energy Fixed Income 10120.02 0.00867939404313079 10120.02 105 105 77340RAS6 US77340RAS67 -- 96.58 United States -- USD 1 7.02 1 May 15, 2025 3.6 0.99 -- 7.02 0.99 7.02 Jan 31, 2020 Jan 31, 2020 NWG NATWEST GROUP PLC Banking Fixed Income 10118.68 0.00867824479757418 10118.68 105 105 780097BG5 US780097BG51 BG7PM03 96.33 United Kingdom -- USD 3.52 6.17 1 May 18, 2029 4.89 3.54 -- 5.92 3.54 5.92 May 18, 2018 May 18, 2018 ADAHEA ADAPTHEALTH LLC 144A Consumer Non-Cyclical Fixed Income 10115.38 0.008675414565979546 10115.38 122 122 00653VAC5 US00653VAC54 -- 82.78 United States -- USD 4.48 8.77 1 Aug 01, 2029 4.63 4.42 -- 8.77 4.42 8.77 Jan 04, 2021 Jan 04, 2021 HPP HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 10113.06 0.008673424827403924 10113.06 121 121 44409MAB2 US44409MAB28 -- 83.75 United States -- USD 4.29 8.78 1 Apr 01, 2029 4.65 4.21 -- 8.78 4.21 8.78 Feb 27, 2019 Feb 27, 2019 SSP EW SCRIPPS CO 144A Communications Fixed Income 10108.42 0.00866944535025268 10108.42 139 139 81105DAA3 US81105DAA37 -- 72.95 United States -- USD 4.13 11.44 1 Jan 15, 2029 3.88 3.99 -- 11.44 3.99 11.44 Dec 30, 2020 Dec 30, 2020 EIX EDISON INTERNATIONAL Electric Fixed Income 10092.16 0.008655500027304574 10092.16 100 100 281020AZ0 US281020AZ01 -- 101.32 United States -- USD 3.94 8.06 1 Jun 15, 2054 7.88 4 -- 7.55 3.89 7.55 Dec 07, 2023 Dec 07, 2023 WBA WALGREENS BOOTS ALLIANCE INC Consumer Cyclical Fixed Income 10082.88 0.008647541073002087 10082.88 118 118 931427AS7 US931427AS74 BLB4M34 85.11 United States -- USD 5.29 6.22 1 Apr 15, 2030 3.2 5.26 -- 6.22 5.26 6.22 Apr 15, 2020 Apr 15, 2020 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 10081.89 0.008646692003523696 10081.89 101 101 86562MCR9 US86562MCR97 -- 100.18 Japan -- USD 3.28 5.46 1 Jan 13, 2028 5.52 3.27 -- 5.46 3.27 5.46 Jan 13, 2023 Jan 13, 2023 PIKE PIKE CORP 144A Industrial Other Fixed Income 10078.23 0.008643553019391466 10078.23 96 96 721283AB5 US721283AB55 -- 105.14 United States -- USD 3.66 7.63 1 Jan 31, 2031 8.63 4.96 -- 7.32 3.77 7.32 Dec 04, 2023 Dec 04, 2023 RRR STATION CASINOS LLC 144A Consumer Cyclical Fixed Income 10078.23 0.008643553019391466 10078.23 115 115 857691AH2 US857691AH24 -- 87.72 United States -- USD 6.07 6.71 1 Dec 01, 2031 4.63 6.07 -- 6.71 6.07 6.71 Nov 26, 2021 Nov 26, 2021 ACRISU ACRISURE LLC 144A Insurance Fixed Income 10075.91 0.008641563280815844 10075.91 98 98 00489LAD5 US00489LAD55 -- 103.28 United States -- USD 0.33 8.49 1 Aug 01, 2026 10.13 1.96 -- 6.94 0.26 6.94 Aug 01, 2019 Aug 01, 2019 NOC NORTHROP GRUMMAN CORP Capital Goods Fixed Income 10057.37 0.008625662525129625 10057.37 108 108 666807BN1 US666807BN13 BF15KF3 92.96 United States -- USD 3.39 5.36 1 Jan 15, 2028 3.25 3.4 -- 5.36 3.4 5.36 Oct 13, 2017 Oct 13, 2017 CNK CINEMARK USA INC 144A Consumer Cyclical Fixed Income 10052.7 0.008621657318600248 10052.7 102 102 172441BD8 US172441BD81 -- 98.36 United States -- USD 1.5 6.81 1 Mar 15, 2026 5.88 1.74 -- 6.81 1.74 6.81 Mar 16, 2021 Mar 16, 2021 DD DUPONT DE NEMOURS INC Basic Industry Fixed Income 10052.11 0.008621151307496966 10052.11 102 102 26078JAC4 US26078JAC45 BGL9DK8 98.33 United States -- USD 1.43 5.62 1 Nov 15, 2025 4.49 1.45 -- 5.62 1.45 5.62 Nov 28, 2018 Nov 28, 2018 M MACYS RETAIL HOLDINGS LLC 144A Consumer Cyclical Fixed Income 10048.05 0.008617669264989627 10048.05 106 106 55617LAQ5 US55617LAQ59 -- 95.11 United States -- USD 4 6.9 1 Mar 15, 2030 5.88 4.84 -- 6.9 4.84 6.9 Mar 10, 2022 Mar 10, 2022 AAPL APPLE INC Technology Fixed Income 10039.85 0.008610636568299931 10039.85 108 108 037833DB3 US037833DB33 BF58H24 93.32 United States -- USD 3.13 5.07 1 Sep 12, 2027 2.9 3.15 -- 5.07 3.15 5.07 Sep 12, 2017 Sep 12, 2017 TACHEM TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 10032.84 0.008604624470276177 10032.84 102 102 874060AW6 US874060AW64 -- 98.05 Japan -- USD 3.9 5.49 1 Nov 26, 2028 5 3.96 -- 5.49 3.96 5.49 Nov 26, 2019 Dec 13, 2019 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 10016.19 0.00859034466541234 10016.19 456 456 -- RON7NMKOKQG2 BPYTLG0 21.98 Romania -- USD 2.25 6.25 4.6453 Oct 28, 2026 7.2 2.18 -- 6.25 2.18 6.25 Oct 28, 2022 Apr 12, 2023 SUN SUNOCO LP 144A Energy Fixed Income 10013.23 0.008587806033436547 10013.23 99 99 86765KAC3 US86765KAC36 -- 101.38 United States -- USD 4.55 6.99 1 May 01, 2032 7.25 6.03 -- 6.87 4.16 6.87 Apr 30, 2024 Apr 30, 2024 UBS UBS GROUP AG 144A Banking Fixed Income 10010.07 0.008585095872273199 10010.07 99 99 225401AV0 US225401AV01 -- 101.57 Switzerland -- USD 2.86 6.57 1 Aug 11, 2028 6.44 2.89 -- 5.91 2.9 5.91 Aug 12, 2022 Aug 12, 2022 GEHC GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 10008.32 0.008583594991882106 10008.32 100 100 36267VAF0 US36267VAF04 -- 100.55 United States -- USD 3.09 5.48 1 Nov 15, 2027 5.65 3.11 -- 5.48 3.11 5.48 May 15, 2023 Jun 07, 2023 EQNR EQUINOR ASA Owned No Guarantee Fixed Income 10006.56 0.008582085535031633 10006.56 106 106 29446MAJ1 US29446MAJ18 -- 94.21 Norway -- USD 1.67 5.27 1 Jan 22, 2026 1.75 1.67 -- 5.27 1.67 5.27 May 22, 2020 May 22, 2020 HLNLN HALEON US CAPITAL LLC Consumer Non-Cyclical Fixed Income 10004.81 0.00858058465464054 10004.81 106 106 36264FAK7 US36264FAK75 -- 94.53 United Kingdom -- USD 2.71 5.43 1 Mar 24, 2027 3.38 2.71 -- 5.43 2.71 5.43 Sep 24, 2022 Oct 28, 2022 MEGCN MEG ENERGY CORP 144A Energy Fixed Income 10003.94 0.008579838502674682 10003.94 99 99 552704AE8 US552704AE86 -- 101.02 Canada -- USD 0.9 6.71 1 Feb 01, 2027 7.13 2.44 -- 5.73 0.73 5.73 Jan 31, 2020 Jan 31, 2020 TWLO TWILIO INC Technology Fixed Income 10003.94 0.008579838502674682 10003.94 116 116 90138FAD4 US90138FAD42 -- 86.02 United States -- USD 5.6 6.42 1 Mar 15, 2031 3.88 5.82 -- 6.42 5.82 6.42 Mar 09, 2021 Mar 09, 2021 BW BABCOCK & WILCOX ENTERPRISES INC Industrial Equity 10003.81 0.008579727008702772 10003.81 925 925 05614L407 US05614L4077 BMV7N60 10.82 United States -- USD 5.56 18.14 1 Dec 31, 2079 7.75 5.51 -- 18.14 5.45 18.14 May 07, 2021 May 07, 2021 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 9999.56 0.008576082013467257 9999.56 99 99 86562MDG2 US86562MDG24 -- 100.85 Japan -- USD 3.83 5.49 1 Sep 14, 2028 5.72 3.81 -- 5.49 3.81 5.49 Sep 14, 2023 Sep 14, 2023 DAL DELTA AIR LINES INC Transportation Fixed Income 9980.73 0.008559932540459086 9980.73 105 105 247361ZN1 US247361ZN12 BFZP587 95.38 United States -- USD 3.55 5.69 1 Apr 19, 2028 4.38 3.59 -- 5.69 3.59 5.69 Apr 19, 2018 Apr 19, 2018 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 9968.02 0.008549031860590056 9968.02 106 106 251526CE7 US251526CE71 -- 94.03 Germany -- USD 1.5 6.55 1 Nov 24, 2026 2.13 1.49 -- 6.15 1.5 6.15 Nov 24, 2020 Nov 24, 2020 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 9965.74 0.008547076427851944 9965.74 481 481 -- ROJ0LNOCKHR8 BNNWHN5 20.74 Romania -- USD 1.51 5.95 4.6453 Nov 25, 2025 3.5 1.46 -- 5.95 1.46 5.95 Nov 25, 2020 Oct 11, 2021 GT GOODYEAR TIRE & RUBBER COMPANY (TH Consumer Cyclical Fixed Income 9952.87 0.008536038524632871 9952.87 115 115 382550BK6 US382550BK68 -- 86.5 United States -- USD 6.64 7.73 1 Apr 30, 2033 5.63 6.56 -- 7.73 6.56 7.73 Apr 06, 2021 Apr 06, 2021 TTMTIN JAGUAR LAND ROVER AUTOMOTIVE PLC 144A Consumer Cyclical Fixed Income 9936.61 0.008522093201684762 9936.61 107 107 47010BAF1 US47010BAF13 BF22YG2 93.05 United Kingdom -- USD 3.1 6.8 1 Oct 01, 2027 4.5 3.1 -- 6.8 3.1 6.8 Oct 10, 2017 Oct 10, 2017 USB US BANCORP MTN Banking Fixed Income 9927.73 0.008514477305757384 9927.73 103 103 91159HJK7 US91159HJK77 BPRB538 96.27 United States -- USD 3.35 5.94 1 Feb 01, 2029 4.65 3.36 -- 5.77 3.36 5.77 Feb 01, 2023 Feb 01, 2023 AXL AMERICAN AXLE & MANUFACTURING INC Consumer Cyclical Fixed Income 9920.36 0.008508156455196033 9920.36 100 100 02406PBA7 US02406PBA75 -- 98.94 United States -- USD 2.13 7.17 1 Jul 01, 2028 6.88 3.5 -- 7.17 3.5 7.17 Jun 12, 2020 Jun 12, 2020 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9913.56 0.00850232446281921 9913.56 497 497 -- MYBMY1900052 BKTCZQ7 19.95 Malaysia -- USD 11.61 4.16 4.7775 May 22, 2040 3.76 11.66 -- 4.16 11.66 4.16 Nov 22, 2019 Nov 22, 2019 WSTP WESTPAC BANKING CORP Banking Fixed Income 9910.21 0.008499451348927689 9910.21 98 98 961214FN8 US961214FN86 -- 101.04 Australia -- USD 3.91 5.28 1 Nov 17, 2028 5.54 3.9 -- 5.28 3.9 5.28 Nov 17, 2023 Nov 17, 2023 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 9902.54 0.008492873204585008 9902.54 4178 4178 -- TH062303FC01 BL6CKB7 2.37 Thailand -- USD 10.36 2.85 37.0175 Dec 17, 2035 1.59 10.38 -- 2.85 10.38 2.85 Aug 19, 2020 Aug 19, 2020 PTVE PACTIV EVERGREEN GROUP ISSUER INC 144A Capital Goods Fixed Income 9901.79 0.008492229970131682 9901.79 108 108 69527AAA4 US69527AAA43 BMV1ZP5 91.5 United States -- USD 3.77 6.6 1 Oct 15, 2028 4.38 3.95 -- 6.6 3.95 6.6 Sep 24, 2021 Sep 24, 2021 C CITIGROUP INC FXD-FRN Banking Fixed Income 9892.69 0.008484425392097993 9892.69 106 106 172967NG2 US172967NG21 -- 93.31 United States -- USD 2.63 5.9 1 Feb 24, 2028 3.07 2.64 -- 5.66 2.64 5.66 Feb 18, 2022 Feb 18, 2022 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 9890.94 0.008482924511706898 9890.94 112 112 05401AAR2 US05401AAR23 BP6K815 88.11 Ireland -- USD 3.3 6.3 1 Nov 18, 2027 2.53 3.27 -- 6.3 3.27 6.3 Aug 18, 2021 Aug 18, 2021 ABG ASBURY AUTOMOTIVE GROUP INC. Consumer Cyclical Fixed Income 9887.86 0.008480282962218574 9887.86 110 110 043436AV6 US043436AV64 -- 89.93 United States -- USD 4.65 6.87 1 Mar 01, 2030 4.75 4.92 -- 6.87 4.92 6.87 Sep 01, 2020 Nov 10, 2020 SLM SLM CORP Finance Companies Fixed Income 9887.86 0.008480282962218574 9887.86 107 107 78442PGE0 US78442PGE07 -- 92.48 United States -- USD 2.34 6.41 1 Nov 02, 2026 3.13 2.33 -- 6.41 2.33 6.41 Nov 01, 2021 Nov 01, 2021 SOCGEN SOCIETE GENERALE SA 144A Banking Fixed Income 9882.18 0.008475411533292052 9882.18 107 107 83368RAZ5 US83368RAZ55 -- 92.78 France -- USD 1.57 6.24 1 Dec 14, 2026 1.49 1.56 -- 6.19 1.56 6.19 Dec 14, 2020 Dec 14, 2020 SMG SCOTTS MIRACLE-GRO CO/THE Consumer Non-Cyclical Fixed Income 9869.29 0.008464356477154222 9869.29 111 111 810186AS5 US810186AS55 BKV8615 88.72 United States -- USD 4.54 7.02 1 Oct 15, 2029 4.5 4.7 -- 7.02 4.7 7.02 Oct 22, 2019 Feb 10, 2020 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9849.19 0.008447117793805086 9849.19 460 460 -- MYBGT1500037 BWDPHD7 21.41 Malaysia -- USD 5.58 3.84 4.7775 Sep 30, 2030 4.25 5.58 -- 3.84 5.58 3.84 Mar 20, 2015 Mar 20, 2015 RHP RHP HOTEL PROPERTIES LP 144A Reits Fixed Income 9848.39 0.008446431677054871 9848.39 97 97 749571AJ4 US749571AJ42 -- 101.28 United States -- USD 2.72 6.89 1 Jul 15, 2028 7.25 3.52 -- 6.8 2.78 6.8 Jun 22, 2023 Jun 22, 2023 JPM JPMORGAN CHASE & CO Banking Fixed Income 9843.64 0.008442357858850473 9843.64 104 104 46647PAV8 US46647PAV85 BFMW7H4 94.64 United States -- USD 3.75 5.85 1 Jul 23, 2029 4.2 4.56 -- 5.64 3.77 5.64 Jul 23, 2018 Jul 23, 2018 CRM SALESFORCE INC Technology Fixed Income 9840.14 0.008439356098068285 9840.14 103 103 79466LAF1 US79466LAF13 BFMYX16 95.27 United States -- USD 3.57 5.03 1 Apr 11, 2028 3.7 3.62 -- 5.03 3.62 5.03 Apr 11, 2018 Apr 11, 2018 BW BABCOCK & WILCOX ENTERPRISES INC Industrial Equity 9836.28 0.008436045584748501 9836.28 696 696 05614L506 US05614L5066 BP83GH4 14.13 United States -- USD 0 -- 1 Dec 31, 2026 6.5 0 -- -- 0 -- Dec 13, 2021 Dec 13, 2021 BACR BARCLAYS PLC Banking Fixed Income 9819.12 0.008421328380456403 9819.12 94 94 06738ECD5 US06738ECD58 -- 104.5 United Kingdom -- USD 2.94 6.44 1 Nov 02, 2028 7.38 2.97 -- 5.95 2.98 5.95 Nov 02, 2022 Nov 02, 2022 USLBMH BCPE ULYSSES INTERMEDIATE INC 144A Capital Goods Fixed Income 9818.21 0.008420547922653034 9818.21 101 101 05553LAA1 US05553LAA17 -- 97.26 United States -- USD 2.11 8.83 1 Apr 01, 2027 7.75 2.55 -- 8.83 2.55 8.83 Jan 28, 2021 Jan 28, 2021 OMI OWENS & MINOR INC 144A Consumer Non-Cyclical Fixed Income 9818.21 0.008420547922653034 9818.21 110 110 690732AF9 US690732AF97 -- 89.37 United States -- USD 4.13 7.09 1 Mar 31, 2029 4.5 4.28 -- 7.09 4.28 7.09 Mar 10, 2021 Mar 10, 2021 CNX CNX RESOURCES CORP 144A Energy Fixed Income 9815.89 0.008418558184077411 9815.89 98 98 12653CAL2 US12653CAL28 -- 99.77 United States -- USD 4.55 7.29 1 Mar 01, 2032 7.25 5.83 -- 7.29 5.83 7.29 Feb 23, 2024 Feb 23, 2024 EFC ELLINGTON FINANCIAL INC Financial Institutions Equity 9814.06 0.008416988692011296 9814.06 420 420 28852N406 US28852N4060 BR1GY03 23.35 United States Non-Nms Quotation Service (Nnqs) USD 2.85 10.45 1 Dec 31, 2079 8.63 3.01 -- 10.45 3.15 10.45 Feb 06, 2023 Feb 06, 2023 KHC KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 9812.11 0.00841531628243265 9812.11 103 103 50077LAD8 US50077LAD82 BD31G91 95.25 United States -- USD 1.96 5.42 1 Jun 01, 2026 3 1.97 -- 5.42 1.97 5.42 May 24, 2016 Aug 19, 2016 AAPL APPLE INC Technology Fixed Income 9810.36 0.008413815402041554 9810.36 105 105 037833DN7 US037833DN70 -- 93.22 United States -- USD 2.27 5.11 1 Sep 11, 2026 2.05 2.27 -- 5.11 2.27 5.11 Sep 11, 2019 Sep 11, 2019 ORCL ORACLE CORPORATION Technology Fixed Income 9808.6 0.008412305945191084 9808.6 110 110 68389XCD5 US68389XCD57 -- 88.92 United States -- USD 3.66 5.48 1 Mar 25, 2028 2.3 3.65 -- 5.48 3.65 5.48 Mar 24, 2021 Mar 24, 2021 ACR ACRES COMMERCIAL REALTY CORP Financial Institutions Equity 9795.25 0.00840085637192188 9795.25 476 476 00489Q300 US00489Q3002 BP0XYZ6 20.58 United States Non-Nms Quotation Service (Nnqs) USD 8.1 9.79 1 Dec 31, 2079 7.88 10.22 -- 9.79 9.94 9.79 May 21, 2021 May 21, 2021 BCULC 1011778 BC UNLIMITED LIABILITY CO 144A Consumer Cyclical Fixed Income 9792.67 0.008398643645402439 9792.67 98 98 68245XAK5 US68245XAK54 -- 99.54 Canada -- USD 0.75 6.24 1 Apr 15, 2025 5.75 0.93 -- 6.24 0.93 6.24 Apr 07, 2020 Apr 07, 2020 VSTJET VISTAJET MALTA FINANCE PLC 144A Transportation Fixed Income 9790.35 0.008396653906826817 9790.35 112 112 92841HAA0 US92841HAA05 -- 87.64 Switzerland -- USD 3.22 13.52 1 Jun 01, 2028 9.5 3.09 -- 13.52 3.09 13.52 May 03, 2023 May 03, 2023 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 9787.58 0.0083942782275792 9787.58 105 105 92343VGG3 US92343VGG32 -- 92.9 United States -- USD 1.83 5.43 1 Mar 20, 2026 1.45 1.83 -- 5.43 1.83 5.43 Mar 22, 2021 Mar 22, 2021 BRPCN BROOKFIELD RESIDENTIAL PROPERTIES 144A Consumer Cyclical Fixed Income 9785.71 0.008392674429675574 9785.71 114 114 11283YAD2 US11283YAD22 -- 86.17 Canada -- USD 4.78 7.89 1 Feb 15, 2030 4.88 4.82 -- 7.89 4.82 7.89 Feb 26, 2020 Feb 26, 2020 FCFS FIRSTCASH INC 144A Finance Companies Fixed Income 9781.06 0.008388686376064953 9781.06 106 106 33767DAB1 US33767DAB10 -- 92.12 United States -- USD 3.55 6.74 1 Sep 01, 2028 4.63 3.81 -- 6.74 3.81 6.74 Aug 26, 2020 Aug 26, 2020 BACR BARCLAYS PLC Banking Fixed Income 9778.82 0.008386765249164353 9778.82 101 101 06738EBL8 US06738EBL83 -- 96.84 United Kingdom -- USD 0.96 7.01 1 May 07, 2026 2.85 0.97 -- 6.06 0.98 6.06 May 07, 2020 May 07, 2020 THB THB CASH Cash and/or Derivatives Cash 9772.61 0.008381439267890813 9772.61 3619 3619 -- -- -- 2.7 Thailand -- USD 0 4.98 37.0175 -- 0 0 -- 4.98 0 4.98 -- Mar 12, 1989 JWN NORDSTROM INC Consumer Cyclical Fixed Income 9771.78 0.008380727421762466 9771.78 113 113 655664AY6 US655664AY65 -- 86.13 United States -- USD 6.01 6.69 1 Aug 01, 2031 4.25 5.97 -- 6.69 5.97 6.69 Apr 08, 2021 Jul 23, 2021 LXP LXP INDUSTRIAL TRUST Financial Institutions Equity 9728.58 0.008343677117250889 9728.58 212 212 529043309 US5290433094 B04SGV2 45.88 United States New York Stock Exchange Inc. USD 10.41 14.17 1 Dec 31, 2079 6.5 13.53 -- 14.17 13.53 14.17 Dec 08, 2004 Dec 08, 2004 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 9728.02 0.008343196835525738 9728.02 104 104 06051GGA1 US06051GGA13 BD5FYQ4 93.47 United States -- USD 3.11 5.32 1 Oct 21, 2027 3.25 3.23 -- 5.32 3.23 5.32 Oct 21, 2016 Oct 21, 2016 LYV LIVE NATION ENTERTAINMENT INC 144A Consumer Cyclical Fixed Income 9725.35 0.008340906920871898 9725.35 107 107 538034AX7 US538034AX75 -- 90.96 United States -- USD 3.29 6.52 1 Jan 15, 2028 3.75 3.35 -- 6.52 3.35 6.52 Jan 04, 2021 Jan 04, 2021 EPC EDGEWELL PERSONAL CARE CO 144A Consumer Non-Cyclical Fixed Income 9718.38 0.008334929128685655 9718.38 108 108 28035QAB8 US28035QAB86 -- 90.16 United States -- USD 4.1 6.49 1 Apr 01, 2029 4.13 4.33 -- 6.49 4.33 6.49 Mar 08, 2021 Mar 08, 2021 CACC CREDIT ACCEPTANCE CORPORATION Financial Other Fixed Income 9711.42 0.00832895991295879 9711.42 98 98 225310AM3 US225310AM36 -- 99.56 United States -- USD 0.95 6.87 1 Mar 15, 2026 6.63 1.73 -- 6.87 1.73 6.87 Mar 15, 2020 Mar 24, 2020 NAVI NAVIENT CORP Finance Companies Fixed Income 9699.81 0.008319002643621305 9699.81 108 108 63938CAL2 US63938CAL28 -- 89.8 United States -- USD 3.43 7.97 1 Mar 15, 2028 4.88 3.41 -- 7.97 3.41 7.97 Feb 02, 2021 Feb 02, 2021 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 9692.04 0.008312338734684847 9692.04 969204 969204 -- IDG000020900 BPLJ0D3 0.01 Indonesia -- USD 10.13 7.09 16187.5 Jun 15, 2043 7.13 10.12 -- 7.09 10.12 7.09 Jun 15, 2022 Aug 19, 2022 RGCARE LIFEPOINT HEALTH INC 144A Consumer Non-Cyclical Fixed Income 9690.52 0.008311035112859438 9690.52 125 125 53219LAU3 US53219LAU35 -- 77.55 United States -- USD 3.99 11.69 1 Jan 15, 2029 5.38 3.85 -- 11.69 3.85 11.69 Dec 04, 2020 Dec 04, 2020 GPK GRAPHIC PACKAGING INTERNATIONAL LL 144A Basic Industry Fixed Income 9685.88 0.008307055635708195 9685.88 107 107 38869AAB3 US38869AAB35 -- 90.57 United States -- USD 3.56 6.27 1 Mar 15, 2028 3.5 3.53 -- 6.27 3.53 6.27 Mar 06, 2020 Mar 06, 2020 SANTAN BANCO SANTANDER SA Banking Fixed Income 9668.46 0.008292115443472277 9668.46 97 97 05964HAU9 US05964HAU95 -- 99.24 Spain -- USD 3.74 5.79 1 Aug 08, 2028 5.59 3.72 -- 5.79 3.72 5.79 Aug 08, 2023 Aug 08, 2023 MS MORGAN STANLEY MTN Banking Fixed Income 9657.95 0.008283101584666335 9657.95 97 97 61747YFQ3 US61747YFQ35 -- 99.93 United States -- USD 4.24 5.82 1 Apr 18, 2030 5.66 4.28 -- 5.68 4.28 5.68 Apr 19, 2024 Apr 19, 2024 EDF ELECTRICITE DE FRANCE SA 144A Owned No Guarantee Fixed Income 9645.68 0.008272578269009923 9645.68 99 99 268317AS3 US268317AS33 BYWM3Z7 97.26 France -- USD 1.39 5.59 1 Oct 13, 2025 3.63 1.4 -- 5.59 1.4 5.59 Oct 13, 2015 Oct 13, 2015 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 9645.65 0.00827255253963179 9645.65 609 609 -- CND10004TCP5 -- 15.85 China -- USD 18.67 2.57 7.24715 Apr 15, 2052 3.32 18.88 -- 2.57 18.88 2.57 Apr 15, 2022 Apr 14, 2022 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9644.49 0.008271557670343979 9644.49 462 462 -- MYBMS1300057 BBM4RP0 20.89 Malaysia -- USD 3.75 3.79 4.7775 Jun 15, 2028 3.73 3.75 -- 3.79 3.75 3.79 Jun 14, 2013 Jun 14, 2013 STENA STENA INTERNATIONAL SA 144A Transportation Fixed Income 9641.77 0.00826922487339325 9641.77 96 96 85858EAE3 US85858EAE32 -- 100.95 Sweden -- USD 4.18 7.44 1 Feb 15, 2031 7.63 5.17 -- 7.38 3.92 7.38 Feb 15, 2024 Feb 15, 2024 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 9640.43 0.00826807562783664 9640.43 110 110 126650DM9 US126650DM98 -- 87.35 United States -- USD 3.18 5.52 1 Aug 21, 2027 1.3 3.16 -- 5.52 3.16 5.52 Aug 21, 2020 Aug 21, 2020 ACOM ARCHES BUYER INC 144A Consumer Cyclical Fixed Income 9632.48 0.008261257342631384 9632.48 117 117 039524AB9 US039524AB93 -- 82.44 United States -- USD 3.81 11.1 1 Dec 01, 2028 6.13 3.69 -- 11.1 3.69 11.1 Dec 04, 2020 Dec 04, 2020 TURKGB TURKEY (REPUBLIC OF) Treasuries Fixed Income 9617.82 0.008248684253183706 9617.82 5062 5062 -- TRT240227T17 BD6K3M7 1.9 Turkey -- USD 2.08 32.65 32.526 Feb 24, 2027 11 2.02 -- 32.65 2.02 32.65 Mar 08, 2017 Mar 08, 2017 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 9612.4 0.008244035812201005 9612.4 100 100 89115A2C5 US89115A2C54 -- 96.15 Canada -- USD 2.84 5.47 1 Jun 08, 2027 4.11 2.83 -- 5.47 2.83 5.47 Jun 08, 2022 Jun 08, 2022 PLNIJ PERUSAHAAN LISTRIK NEGARA (PERSERO MTN 144A Owned No Guarantee Fixed Income 9608.89 0.008241025474959439 9608.89 101 101 71568PAC3 US71568PAC32 BZ4FJY2 95.34 Indonesia -- USD 2.78 5.81 1 May 15, 2027 4.13 2.76 -- 5.81 2.76 5.81 May 15, 2017 May 15, 2017 NOVNVX NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 9603.64 0.008236522833786156 9603.64 99 99 66989HAJ7 US66989HAJ77 BDCBVQ4 96.83 Switzerland -- USD 1.47 5.13 1 Nov 20, 2025 3 1.49 -- 5.13 1.49 5.13 Nov 20, 2015 Nov 20, 2015 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 9601 0.00823425864851045 9601 566 566 -- RO1J9H39WKT4 BMWYKX6 16.96 Romania -- USD 8.46 6.91 4.6453 Apr 28, 2036 4.25 8.26 -- 6.91 8.26 6.91 Apr 28, 2021 May 12, 2021 C CITIGROUP INC Banking Fixed Income 9594.88 0.00822900985537131 9594.88 102 102 172967LW9 US172967LW98 BFZP4Y6 94.27 United States -- USD 3.59 5.9 1 Apr 23, 2029 4.08 4.42 -- 5.7 3.61 5.7 Apr 23, 2018 Apr 23, 2018 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 9593.13 0.008227508974980214 9593.13 110 110 06051GJZ3 US06051GJZ37 -- 86.89 United States -- USD 3.82 5.82 1 Jun 14, 2029 2.09 3.83 -- 5.69 3.83 5.69 Jun 14, 2021 Jun 14, 2021 XPO XPO INC 144A Transportation Fixed Income 9586.05 0.008221436841740818 9586.05 95 95 98379KAB8 US98379KAB89 -- 100.62 United States -- USD 3.85 7.01 1 Jun 01, 2031 7.13 5.36 -- 6.94 3.41 6.94 May 24, 2023 May 24, 2023 SVC SERVICE PROPERTIES TRUST Reits Fixed Income 9579.08 0.008215459049554575 9579.08 103 103 81761LAB8 US81761LAB80 -- 93.29 United States -- USD 3.16 7.64 1 Dec 15, 2027 5.5 3.15 -- 7.64 3.15 7.64 Nov 20, 2020 Nov 20, 2020 GGAMFI GGAM FINANCE LTD (LIMERICK BRANCH) 144A Finance Companies Fixed Income 9560.51 0.008199532564490223 9560.51 94 94 36170JAB2 US36170JAB26 -- 101.33 Ireland -- USD 1.51 7.04 1 May 15, 2026 7.75 1.82 -- 6.84 1.41 6.84 Jun 08, 2023 Jun 08, 2023 S SPRINT LLC Communications Fixed Income 9558.09 0.008197457061320825 9558.09 93 93 85207UAK1 US85207UAK16 BFZYL64 102.66 United States -- USD 1.44 6.08 1 Mar 01, 2026 7.63 1.69 -- 5.77 1.4 5.77 Feb 22, 2018 Feb 22, 2018 C CITIGROUP INC Banking Fixed Income 9545.83 0.008186942322123789 9545.83 96 96 172967HB0 US172967HB08 BDT7Y00 99.77 United States -- USD 1.32 5.67 1 Sep 13, 2025 5.5 1.31 -- 5.67 1.31 5.67 Sep 13, 2013 Sep 13, 2013 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9533.74 0.008176573382736174 9533.74 468 468 -- MYBMO2200016 BMH24M2 20.38 Malaysia -- USD 6.96 3.96 4.7775 Jul 15, 2032 3.58 6.97 -- 3.96 6.97 3.96 Jan 14, 2022 Jan 14, 2022 ST SENSATA TECHNOLOGIES INC 144A Technology Fixed Income 9523.36 0.008167671017902143 9523.36 108 108 81728UAA2 US81728UAA25 BKV8YH7 88.58 United States -- USD 4.96 6.79 1 Feb 15, 2030 4.38 4.93 -- 6.79 4.93 6.79 Sep 20, 2019 Sep 20, 2019 URI UNITED RENTALS (NORTH AMERICA) INC Capital Goods Fixed Income 9523.36 0.008167671017902143 9523.36 97 97 911365BF0 US911365BF09 BYX1YP0 98.39 United States -- USD 1.96 6.09 1 May 15, 2027 5.5 2.74 -- 6.09 2.74 6.09 Nov 07, 2016 Nov 07, 2016 C CITIGROUP INC Banking Fixed Income 9521.3 0.00816590426727034 9521.3 97 97 172967KJ9 US172967KJ96 BZ57VQ3 97.87 United States -- USD 1.76 5.81 1 Mar 09, 2026 4.6 1.75 -- 5.81 1.75 5.81 Mar 09, 2016 Mar 09, 2016 BIIB BIOGEN INC Consumer Non-Cyclical Fixed Income 9519.55 0.008164403386879246 9519.55 97 97 09062XAF0 US09062XAF06 BYNPNR7 97.71 United States -- USD 1.31 5.79 1 Sep 15, 2025 4.05 1.32 -- 5.79 1.32 5.79 Sep 15, 2015 Sep 15, 2015 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 9516.05 0.008161401626097058 9516.05 103 103 025816CS6 US025816CS64 -- 92.43 United States -- USD 2.69 5.45 1 Mar 04, 2027 2.55 2.69 -- 5.45 2.69 5.45 Mar 04, 2022 Mar 04, 2022 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 9514.02 0.00815966060484339 9514.02 682 682 -- CND10004R114 BPV9282 13.95 China -- USD 2.64 1.95 7.24715 Jan 20, 2027 2.37 2.62 -- 1.95 2.62 1.95 Jan 20, 2022 Jan 20, 2022 SIEGR SIEMENS FINANCIERINGSMAATCHAPPIJ N 144A Capital Goods Fixed Income 9512.54 0.008158391288855493 9512.54 93 93 826200AD9 US826200AD92 B1BS0H6 101.83 Germany -- USD 2.12 5.27 1 Aug 17, 2026 6.13 2.11 -- 5.27 2.11 5.27 Aug 16, 2006 Aug 16, 2006 BATSLN BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 9507.29 0.008153888647682211 9507.29 108 108 05526DBR5 US05526DBR52 -- 87.72 United Kingdom -- USD 3.66 5.81 1 Mar 25, 2028 2.26 3.64 -- 5.81 3.64 5.81 Sep 25, 2020 Sep 25, 2020 SOLV SOLVENTUM CORP 144A Consumer Non-Cyclical Fixed Income 9507.29 0.008153888647682211 9507.29 97 97 83444MAC5 US83444MAC55 -- 97.95 United States -- USD 4.16 5.89 1 Mar 01, 2029 5.4 4.17 -- 5.89 4.17 5.89 Feb 27, 2024 Feb 27, 2024 PAG PENSKE AUTOMOTIVE GROUP INC 144A Consumer Cyclical Fixed Income 9502.47 0.008149754794262169 9502.47 110 110 70959WAK9 US70959WAK99 -- 86.69 United States -- USD 4.39 6.87 1 Jun 15, 2029 3.75 4.46 -- 6.87 4.46 6.87 Jun 15, 2021 Jun 15, 2021 SANTAN BANCO SANTANDER SA Banking Fixed Income 9498.53 0.008146375669267363 9498.53 97 97 05964HAS4 US05964HAS40 -- 98.31 Spain -- USD 2.98 5.86 1 Aug 18, 2027 5.29 2.96 -- 5.86 2.96 5.86 Aug 18, 2022 Aug 18, 2022 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 9495.46 0.008143742696238415 9495.46 415 415 -- ROXL7LT7QZ66 BNKC1P8 22.87 Romania -- USD 4.54 6.7 4.6453 Apr 29, 2030 8 4.39 -- 6.7 4.39 6.7 Apr 29, 2022 Jan 16, 2023 KSS KOHLS CORP Consumer Cyclical Fixed Income 9493.18 0.008141787263500304 9493.18 116 116 500255AX2 US500255AX28 -- 82 United States -- USD 5.65 8.03 1 May 01, 2031 4.63 5.57 -- 8.03 5.57 8.03 Mar 31, 2021 Mar 31, 2021 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 9491.52 0.008140363571243609 9491.52 97 97 89115A2H4 US89115A2H42 -- 97.83 Canada -- USD 3.08 5.4 1 Sep 15, 2027 4.69 3.07 -- 5.4 3.07 5.4 Sep 15, 2022 Sep 15, 2022 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical Fixed Income 9488.54 0.008137807786349061 9488.54 98 98 552953CJ8 US552953CJ87 -- 96.9 United States -- USD 5 6.99 1 Apr 15, 2032 6.5 6.09 -- 6.99 6.09 6.99 Apr 09, 2024 Apr 09, 2024 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 9482.76 0.008132850592828762 9482.76 96 96 780082AD5 US780082AD52 BDCRXQ6 98.35 Canada -- USD 1.65 5.65 1 Jan 27, 2026 4.65 1.64 -- 5.65 1.64 5.65 Jan 27, 2016 Jan 27, 2016 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 9480.97 0.008131315406600158 9480.97 453 453 -- RODD24CXRK47 BM966F9 20.94 Romania -- USD 1.18 5.95 4.6453 Jul 28, 2025 3.65 1.15 -- 5.95 1.15 5.95 Jul 28, 2019 Mar 11, 2020 BTPCL BONOS DE LA TESORERIA DE LA REPUBL Treasuries Fixed Income 9480.39 0.008130817971956252 9480.39 105338 105338 -- CL0002642784 BMFKGR7 0.09 Chile -- USD 4.09 5.96 949.8 Oct 01, 2028 2.3 4.1 -- 5.96 4.1 5.96 Oct 01, 2020 Nov 23, 2020 RABOBK COOPERATIEVE RABOBANK UA 144A Banking Fixed Income 9472.25 0.00812383673402282 9472.25 101 101 74977RDJ0 US74977RDJ05 -- 93.48 Netherlands -- USD 1.37 5.9 1 Sep 24, 2026 1 1.36 -- 5.87 1.37 5.87 Sep 24, 2020 Sep 24, 2020 MBONO MEXICO (UNITED MEXICAN STATES) Treasuries Fixed Income 9471.11 0.008122859017653765 9471.11 1627 1627 -- MX0MGO0000B2 B1GCCF5 5.82 Mexico -- USD 6.8 9.94 17.2605 Nov 20, 2036 10 6.87 -- 9.94 6.87 9.94 Jun 29, 2006 Oct 26, 2006 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 9468.79 0.008120869279078144 9468.79 467 467 -- ROVRZSEM43E4 BFM4TT6 20.29 Romania -- USD 4.2 6.43 4.6453 Feb 12, 2029 5 4.07 -- 6.43 4.07 6.43 Feb 12, 2018 Sep 19, 2018 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 9456.61 0.008110423151556129 9456.61 531 531 -- RO1631DBN055 BYVQH36 17.8 Romania -- USD 6.17 6.69 4.6453 Sep 24, 2031 3.65 5.98 -- 6.69 5.98 6.69 Sep 24, 2016 Oct 10, 2016 QVCN QVC INC Consumer Cyclical Fixed Income 9456.04 0.0081099342933716 9456.04 125 125 747262AZ6 US747262AZ65 -- 75.75 United States -- USD 3.83 11.63 1 Sep 01, 2028 4.38 3.7 -- 11.63 3.7 11.63 Aug 20, 2020 Aug 20, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 9455.45 0.008109428282268318 9455.45 945545 945545 -- IDG000023607 -- 0.01 Indonesia -- USD 6.98 7.07 16187.5 Feb 15, 2034 6.63 6.98 -- 7.07 6.98 7.07 Aug 15, 2023 Aug 24, 2023 INDOIS PERUSAHAAN PENERBIT SBSN INDONESIA Treasuries Fixed Income 9444.44 0.008099985600493492 9444.44 944444 944444 -- IDP000004202 -- 0.01 Indonesia -- USD 7.13 6.85 16187.5 Mar 15, 2034 6.38 7.14 -- 6.85 7.14 6.85 Sep 15, 2020 Jan 14, 2021 PAG PENSKE AUTOMOTIVE GROUP INC Consumer Cyclical Fixed Income 9437.46 0.008093999231847872 9437.46 98 98 70959WAJ2 US70959WAJ27 -- 96.4 United States -- USD 1.29 6.32 1 Sep 01, 2025 3.5 1.28 -- 6.32 1.28 6.32 Aug 20, 2020 Aug 20, 2020 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 9437.21 0.00809378482036343 9437.21 100 100 92343VDD3 US92343VDD38 BY7RR33 93.99 United States -- USD 2.19 5.43 1 Aug 15, 2026 2.63 2.18 -- 5.43 2.18 5.43 Aug 01, 2016 Aug 01, 2016 AA ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 9435.14 0.00809200949327225 9435.14 95 95 013822AC5 US013822AC54 BFM0D25 99.44 United States -- USD 2.25 6.28 1 May 15, 2028 6.13 3.45 -- 6.28 3.45 6.28 May 17, 2018 May 17, 2018 BXP BOSTON PROPERTIES LP Reits Fixed Income 9431.96 0.008089282179190149 9431.96 92 92 10112RBG8 US10112RBG83 -- 101.98 United States -- USD 3.07 6.13 1 Dec 01, 2027 6.75 3.08 -- 6.12 3.02 6.12 Nov 17, 2022 Nov 17, 2022 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9428.78 0.008086554865108045 9428.78 432 432 -- MYBGY1900021 -- 21.85 Malaysia -- USD 11.06 4.08 4.7775 Sep 15, 2039 4.47 11.11 -- 4.08 11.11 4.08 Mar 15, 2019 Mar 15, 2019 SM SM ENERGY CO Energy Fixed Income 9428.18 0.008086040277545385 9428.18 95 95 78454LAW0 US78454LAW00 -- 99 United States -- USD 2.63 6.77 1 Jul 15, 2028 6.5 3.57 -- 6.77 3.57 6.77 Jun 23, 2021 Jun 23, 2021 BFS SAUL CENTERS INC Financial Institutions Equity 9427.72 0.008085645760414012 9427.72 464 464 804395879 US8043958797 BK1N483 20.32 United States New York Stock Exchange Inc. USD 11.29 7.4 1 Dec 31, 2079 6 13.52 -- 7.4 13.26 7.4 Sep 17, 2019 Sep 17, 2019 BAC BANK OF AMERICA CORP (FRN) MTN Banking Fixed Income 9407.22 0.008068064018689768 9407.22 93 93 06051GLX5 US06051GLX50 -- 101.17 United States -- USD 0.01 6.47 1 Sep 15, 2027 6.68 0.13 -- 6.33 0.13 6.33 Sep 15, 2023 Sep 15, 2023 PEB PEBBLEBROOK HOTEL TRUST Financial Institutions Equity 9402.08 0.00806365571856964 9402.08 462 462 70509V605 US70509V6056 BGSJ2J3 20.34 United States New York Stock Exchange Inc. USD 10.45 7.85 1 Dec 31, 2079 6.38 12.63 -- 7.85 12.63 7.85 Oct 15, 2018 Dec 03, 2018 EXC EXELON CORPORATION Electric Fixed Income 9400.42 0.008062232026312946 9400.42 95 95 30161NBJ9 US30161NBJ90 -- 98.65 United States -- USD 3.44 5.54 1 Mar 15, 2028 5.15 3.46 -- 5.54 3.46 5.54 Feb 21, 2023 Feb 21, 2023 THYELE TK ELEVATOR HOLDCO GMBH 144A Capital Goods Fixed Income 9400.32 0.00806214626171917 9400.32 96 96 92537VAA8 US92537VAA89 -- 97.74 Germany -- USD 2.44 8.27 1 Jul 15, 2028 7.63 3.46 -- 8.27 3.46 8.27 Jul 15, 2020 Jul 15, 2020 BACR BARCLAYS PLC Banking Fixed Income 9396.92 0.008059230265530758 9396.92 92 92 06738ECK9 US06738ECK91 -- 102.13 United Kingdom -- USD 3.72 6.2 1 Sep 13, 2029 6.49 3.75 -- 5.93 3.75 5.93 Sep 13, 2023 Sep 13, 2023 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 9393.41 0.008056219928289192 9393.41 1894 1894 -- MX0MGO0000U2 BLT1SS4 4.96 Mexico -- USD 6.54 9.96 17.2605 Nov 23, 2034 7.75 6.62 -- 9.96 6.62 9.96 Dec 19, 2013 Apr 11, 2014 QPETRO QATAR PETROLEUM 144A Owned No Guarantee Fixed Income 9391.66 0.008054719047898099 9391.66 103 103 74730DAB9 US74730DAB91 -- 90.9 Qatar -- USD 2.29 5.51 1 Sep 12, 2026 1.38 2.28 -- 5.51 2.28 5.51 Jul 12, 2021 Jul 12, 2021 EHC ENCOMPASS HEALTH CORP Consumer Non-Cyclical Fixed Income 9388.71 0.008052188992381682 9388.71 106 106 29261AAE0 US29261AAE01 -- 88.95 United States -- USD 5.46 6.64 1 Apr 01, 2031 4.63 5.73 -- 6.64 5.73 6.64 Oct 05, 2020 Oct 05, 2020 BPLN BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 9388.16 0.00805171728711591 9388.16 99 99 10373QAC4 US10373QAC42 BF5HW48 94.97 United States -- USD 3.91 5.23 1 Sep 21, 2028 3.94 3.96 -- 5.23 3.96 5.23 Sep 21, 2018 Sep 21, 2018 HESM HESS MIDSTREAM OPERATIONS LP 144A Energy Fixed Income 9374.78 0.008040241984468574 9374.78 99 99 428102AF4 US428102AF45 -- 95.06 United States -- USD 4.37 6.45 1 Oct 15, 2030 5.5 5.32 -- 6.45 5.32 6.45 Apr 08, 2022 Apr 08, 2022 MERLLN MOTION BONDCO DAC 144A Consumer Cyclical Fixed Income 9374.78 0.008040241984468574 9374.78 98 98 61978XAA5 US61978XAA54 -- 95.81 United Kingdom -- USD 2.57 8 1 Nov 15, 2027 6.63 3 -- 8 3 8 Nov 04, 2019 Nov 04, 2019 NEE FLORIDA POWER & LIGHT CO Electric Fixed Income 9374.15 0.008039701667527781 9374.15 94 94 341081GK7 US341081GK75 -- 99.38 United States -- USD 3.5 5.23 1 Apr 01, 2028 5.05 3.51 -- 5.23 3.51 5.23 Mar 03, 2023 Mar 03, 2023 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 9370.64 0.008036691330286215 9370.64 96 96 06051GFU8 US06051GFU85 BYYD0K2 97.92 United States -- USD 1.74 5.64 1 Mar 03, 2026 4.45 1.74 -- 5.64 1.74 5.64 Mar 03, 2016 Mar 03, 2016 AA ALCOA NEDERLAND HOLDING BV 144A Basic Industry Fixed Income 9358.53 0.008026305237979845 9358.53 95 95 013822AE1 US013822AE11 -- 98.38 United States -- USD 2.14 6 1 Dec 15, 2027 5.5 3.18 -- 6 3.18 6 Jul 13, 2020 Jul 13, 2020 SVC SERVICE PROPERTIES TRUST Reits Fixed Income 9351.56 0.008020327445793602 9351.56 101 101 44106MBA9 US44106MBA99 BKVJX73 92.85 United States -- USD 2.26 8.04 1 Oct 01, 2026 4.75 2.23 -- 8.04 2.23 8.04 Sep 18, 2019 Sep 18, 2019 TMUS T-MOBILE USA INC Communications Fixed Income 9337.36 0.008008148873477297 9337.36 99 99 87264ABR5 US87264ABR59 BMBKDD6 94.19 United States -- USD 1.73 5.68 1 Feb 15, 2026 2.25 1.72 -- 5.68 1.72 5.68 Jan 14, 2021 Jan 14, 2021 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 9336.58 0.008007479909645837 9336.58 32195 32195 -- HU0000406160 BNHTQW4 0.29 Hungary -- USD 2.17 7.25 366.65735 Oct 21, 2026 9.5 2.09 -- 7.25 2.09 7.25 Jan 18, 2023 Jan 18, 2023 ASB ASSOCIATED BANC DEPOSITARY SHARES Financial Institutions Equity 9326.86 0.007999143591130733 9326.86 466 466 045487204 US0454872047 BG2F3F0 20 United States New York Stock Exchange Inc. USD 11.5 7.41 1 Dec 31, 2079 5.88 13.3 -- 7.41 13.3 7.41 Sep 26, 2018 Sep 26, 2018 SM SM ENERGY CO Energy Fixed Income 9321.38 0.007994443691391764 9321.38 94 94 78454LAN0 US78454LAN01 BDJ0GW5 99.13 United States -- USD 1.32 7.15 1 Sep 15, 2026 6.75 2.15 -- 7.15 2.15 7.15 Sep 12, 2016 Sep 12, 2016 BPCEGP BPCE SA 144A Banking Fixed Income 9319.84 0.007993122916647602 9319.84 101 101 05578AAP3 US05578AAP30 -- 92.54 France -- USD 1.68 5.57 1 Jan 20, 2026 1 1.67 -- 5.57 1.67 5.57 Jan 20, 2021 Jan 20, 2021 CNC CENTENE CORPORATION Insurance Fixed Income 9309.33 0.00798410905784166 9309.33 107 107 15135BAY7 US15135BAY74 BP2Q6N5 87.22 United States -- USD 3.9 5.91 1 Jul 15, 2028 2.45 3.88 -- 5.91 3.88 5.91 Jul 01, 2021 Jul 01, 2021 CNOOC CNOOC FINANCE 2015 USA LLC Owned No Guarantee Fixed Income 9304.07 0.007979597840209001 9304.07 95 95 12634MAB6 US12634MAB63 BWTM3Q7 97.84 China -- USD 0.97 5.69 1 May 05, 2025 3.5 0.97 -- 5.69 0.97 5.69 May 05, 2015 May 05, 2015 BPL BUCKEYE PARTNERS LP Energy Fixed Income 9302.81 0.007978517206327413 9302.81 100 100 118230AR2 US118230AR27 BYQKXV3 92.63 United States -- USD 3.21 6.45 1 Dec 01, 2027 4.13 3.21 -- 6.45 3.21 6.45 Nov 20, 2017 Nov 20, 2017 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9287.29 0.007965206541373254 9287.29 440 440 -- MYBMO1600034 BD6RZ22 21.12 Malaysia -- USD 2.42 3.53 4.7775 Nov 30, 2026 3.9 2.42 -- 3.53 2.42 3.53 May 24, 2016 May 24, 2016 VOD VODAFONE GROUP PLC Communications Fixed Income 9284.8 0.00796307100298821 9284.8 94 94 92857WBJ8 US92857WBJ80 BFMLNZ1 98.5 United Kingdom -- USD 1.04 5.55 1 May 30, 2025 4.13 1.04 -- 5.55 1.04 5.55 May 30, 2018 May 30, 2018 T AT&T INC Communications Fixed Income 9270.79 0.007951055383400081 9270.79 97 97 00206RGL0 US00206RGL06 BG6F453 95.42 United States -- USD 3.39 5.45 1 Feb 15, 2028 4.1 3.43 -- 5.45 3.43 5.45 Aug 15, 2018 Nov 23, 2018 PBH PRESTIGE BRANDS INC 144A Consumer Non-Cyclical Fixed Income 9270.3 0.007950635136890575 9270.3 97 97 74112BAL9 US74112BAL99 -- 95.72 United States -- USD 2.73 6.43 1 Jan 15, 2028 5.13 3.27 -- 6.43 3.27 6.43 Dec 02, 2019 Dec 02, 2019 LABL LABL INC 144A Capital Goods Fixed Income 9263.34 0.00794466592116371 9263.34 110 110 50168QAD7 US50168QAD79 -- 83.98 United States -- USD 4.12 12.34 1 Nov 01, 2029 8.25 3.99 -- 12.34 3.99 12.34 Oct 29, 2021 Oct 29, 2021 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 9256.77 0.007939031187352575 9256.77 100 100 539439AQ2 US539439AQ24 BF92VV9 92.62 United Kingdom -- USD 3.18 6.1 1 Nov 07, 2028 3.57 4.01 -- 5.92 3.19 5.92 Nov 07, 2017 Nov 07, 2017 TEP TALLGRASS ENERGY PARTNERS LP 144A Energy Fixed Income 9251.73 0.007934708651826224 9251.73 95 95 87470LAG6 US87470LAG68 -- 97.14 United States -- USD 2.11 7.12 1 Mar 01, 2027 6 2.55 -- 7.12 2.55 7.12 Feb 20, 2020 Feb 20, 2020 DELL DELL INTERNATIONAL LLC Technology Fixed Income 9249.76 0.007933019089328822 9249.76 94 94 24703TAE6 US24703TAE64 -- 98.42 United States -- USD 2.2 5.6 1 Oct 01, 2026 4.9 2.25 -- 5.6 2.25 5.6 Apr 01, 2021 Jun 15, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 9240.32 0.007924922911676291 9240.32 665 665 -- CND10005W6D6 -- 13.89 China -- USD 1.55 1.85 7.24715 Nov 25, 2025 2.28 1.53 -- 1.85 1.53 1.85 Nov 25, 2022 Nov 24, 2022 AZN ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 9228.74 0.007914991371716938 9228.74 94 94 04636NAL7 US04636NAL73 -- 98.33 United Kingdom -- USD 4.21 5.24 1 Feb 26, 2029 4.85 4.22 -- 5.24 4.22 5.24 Feb 26, 2024 Feb 26, 2024 CMCSA COMCAST CORPORATION Communications Fixed Income 9211.22 0.007899965414887243 9211.22 98 98 20030NCH2 US20030NCH26 BFY1MY1 93.71 United States -- USD 3.57 5.31 1 May 01, 2028 3.55 3.61 -- 5.31 3.61 5.31 Feb 08, 2018 Feb 08, 2018 PFE PFIZER INC Consumer Non-Cyclical Fixed Income 9202.46 0.007892452436472396 9202.46 99 99 717081ET6 US717081ET61 BJJD7R8 92.84 United States -- USD 4.35 5.12 1 Mar 15, 2029 3.45 4.39 -- 5.12 4.39 5.12 Mar 11, 2019 Mar 11, 2019 UBS UBS GROUP AG 144A Banking Fixed Income 9197.21 0.007887949795299113 9197.21 102 102 902613AH1 US902613AH15 -- 90.61 Switzerland -- USD 2.19 5.97 1 Aug 10, 2027 1.49 2.18 -- 5.93 2.19 5.93 Aug 10, 2021 Aug 10, 2021 KIKCN KRONOS ACQUISITION HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 9191.37 0.007882941143022548 9191.37 95 95 50106GAE2 US50106GAE26 BM9KXC7 96.34 Canada -- USD 2.24 6.51 1 Dec 31, 2026 5 2.42 -- 6.51 2.42 6.51 Dec 22, 2020 Dec 22, 2020 DAN DANA INC Consumer Cyclical Fixed Income 9179.76 0.007872983873685062 9179.76 95 95 235825AG1 US235825AG15 -- 96.13 United States -- USD 2.8 6.71 1 Jun 15, 2028 5.63 3.55 -- 6.71 3.55 6.71 Jun 19, 2020 Jun 19, 2020 ZIGGO ZIGGO BOND COMPANY BV 144A Communications Fixed Income 9177.44 0.00787099413510944 9177.44 111 111 98953GAD7 US98953GAD79 -- 82.82 Netherlands -- USD 4.8 8.97 1 Feb 28, 2030 5.13 4.74 -- 8.97 4.74 8.97 Feb 11, 2020 Feb 11, 2020 LAMR LAMAR MEDIA CORP Communications Fixed Income 9149.58 0.007847100119283223 9149.58 98 98 513075BW0 US513075BW03 BLR6WM3 93.78 United States -- USD 3.56 6.42 1 Jan 15, 2029 4.88 4.1 -- 6.42 4.1 6.42 Sep 15, 2020 Oct 15, 2020 AGR AVANGRID INC Electric Fixed Income 9141.15 0.00783987016402784 9141.15 94 94 05351WAC7 US05351WAC73 -- 97.37 United States -- USD 0.94 6.02 1 Apr 15, 2025 3.2 0.94 -- 6.02 0.94 6.02 Apr 09, 2020 Apr 09, 2020 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 9135.89 0.00783535894639518 9135.89 101 101 86562MCH1 US86562MCH16 -- 90.81 Japan -- USD 2.3 5.55 1 Sep 17, 2026 1.4 2.29 -- 5.55 2.29 5.55 Sep 17, 2021 Sep 17, 2021 GNL GLOBAL NET LEASE INC Financial Institutions Equity 9135.4 0.007834938699885673 9135.4 492 492 379378409 US3793784097 BL0L9V3 18.56 United States -- USD 9.76 9.29 1 Dec 31, 2079 6.88 10.77 -- 9.29 10.68 9.29 Nov 26, 2019 Nov 26, 2019 SANLTD SANDS CHINA LTD Consumer Cyclical Fixed Income 9130.64 0.007830856305221899 9130.64 92 92 80007RAF2 US80007RAF29 BHNG069 98.82 Macau -- USD 1.18 6.08 1 Aug 08, 2025 5.13 1.21 -- 6.08 1.21 6.08 Aug 09, 2018 Jan 29, 2019 LVLT LEVEL 3 FINANCING INC 144A Communications Fixed Income 9128.68 0.007829175319183873 9128.68 169 169 527298CF8 US527298CF87 -- 53.98 United States -- USD 5.32 15.23 1 Oct 15, 2030 3.88 5.05 -- 15.23 5.05 15.23 Mar 22, 2024 Mar 22, 2024 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 9120.13 0.007821842446415957 9120.13 90 90 025816DB2 US025816DB21 -- 101.58 United States -- USD 3.05 5.35 1 Nov 05, 2027 5.85 3.07 -- 5.34 3.01 5.34 Nov 07, 2022 Nov 07, 2022 WBD DISCOVERY COMMUNICATIONS LLC Communications Fixed Income 9118.38 0.007820341566024862 9118.38 98 98 25470DAR0 US25470DAR08 BDG75T9 92.86 United States -- USD 3.51 6.03 1 Mar 20, 2028 3.95 3.52 -- 6.03 3.52 6.03 Sep 21, 2017 Sep 21, 2017 SVC SERVICE PROPERTIES TRUST Reits Fixed Income 9114.75 0.007817228311270765 9114.75 113 113 44106MBB7 US44106MBB72 -- 81 United States -- USD 4.62 9.51 1 Oct 01, 2029 4.95 4.51 -- 9.51 4.51 9.51 Sep 18, 2019 Sep 18, 2019 M MACYS RETAIL HOLDINGS LLC 144A Consumer Cyclical Fixed Income 9103.15 0.007807279618392656 9103.15 96 96 55617LAR3 US55617LAR33 -- 94.5 United States -- USD 5.25 7.04 1 Mar 15, 2032 6.13 6.06 -- 7.04 6.06 7.04 Mar 10, 2022 Mar 10, 2022 BDX BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 9099.11 0.007803814728804074 9099.11 96 96 075887BW8 US075887BW84 BD3VQC4 94.92 United States -- USD 2.82 5.5 1 Jun 06, 2027 3.7 2.84 -- 5.5 2.84 5.5 Jun 06, 2017 Jun 06, 2017 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 9097.35 0.007802305271953602 9097.35 93 93 718172CZ0 US718172CZ06 -- 98.19 United States -- USD 3.38 5.41 1 Feb 15, 2028 4.88 3.39 -- 5.41 3.39 5.41 Feb 15, 2023 Feb 15, 2023 SO SOUTHERN COMPANY (THE) Electric Fixed Income 9093.85 0.007799303511171414 9093.85 95 95 842587CV7 US842587CV72 BYT1506 95.43 United States -- USD 2.03 5.5 1 Jul 01, 2026 3.25 2.05 -- 5.5 2.05 5.5 May 24, 2016 May 24, 2016 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 9081.59 0.007788788771974378 9081.59 92 92 718172CV9 US718172CV91 -- 99.08 United States -- USD 3.12 5.41 1 Nov 17, 2027 5.13 3.14 -- 5.41 3.14 5.41 Nov 17, 2022 Nov 17, 2022 RDSALN SHELL INTERNATIONAL FINANCE BV Energy Fixed Income 9081.59 0.007788788771974378 9081.59 95 95 822582BT8 US822582BT82 BDB2XP1 95.48 Netherlands -- USD 1.92 5.24 1 May 10, 2026 2.88 1.92 -- 5.24 1.92 5.24 May 10, 2016 May 10, 2016 BACR BARCLAYS PLC Banking Fixed Income 9074.58 0.007782776673950624 9074.58 89 89 06738ECC7 US06738ECC75 BQPF9J3 101.88 United Kingdom -- USD 1.35 6.85 1 Nov 02, 2026 7.33 1.36 -- 6.01 1.38 6.01 Nov 02, 2022 Nov 02, 2022 NEE FLORIDA POWER & LIGHT CO Electric Fixed Income 9074.58 0.007782776673950624 9074.58 94 94 341081GN1 US341081GN15 -- 96.98 United States -- USD 3.55 5.23 1 May 15, 2028 4.4 3.59 -- 5.23 3.59 5.23 May 18, 2023 May 18, 2023 ASCRES ASCENT RESOURCES UTICA HOLDINGS LL 144A Energy Fixed Income 9072.96 0.00778138728753144 9072.96 96 96 04364VAU7 US04364VAU70 -- 94.37 United States -- USD 3.71 7.19 1 Jun 30, 2029 5.88 4.32 -- 7.19 4.32 7.19 Jun 14, 2021 Jun 14, 2021 UBS UBS GROUP AG 144A Banking Fixed Income 9072.83 0.00778127579355953 9072.83 93 93 902613AS7 US902613AS79 -- 97.62 Switzerland -- USD 2.08 6.24 1 Aug 05, 2027 4.7 2.09 -- 5.83 2.1 5.83 Aug 05, 2022 Aug 05, 2022 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9058.82 0.007769260173971402 9058.82 436 436 -- MYBGL2000018 BM7SY31 20.76 Malaysia -- USD 3.2 3.67 4.7775 Sep 30, 2027 3.42 3.2 -- 3.67 3.2 3.67 Mar 31, 2020 Mar 31, 2020 SAVE SPIRIT IP CAYMAN LTD 144A Transportation Fixed Income 9042.78 0.0077555035331296025 9042.78 116 116 84859BAA9 US84859BAA98 -- 77.88 United States -- USD 1.3 28.5 1 Sep 20, 2025 8 1.24 -- 28.5 1.24 28.5 Sep 17, 2020 Sep 17, 2020 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 9035.04 0.007748865353571279 9035.04 442 442 -- MYBGO2000020 BLR4XQ8 20.45 Malaysia -- USD 5.72 3.87 4.7775 Oct 15, 2030 3.46 5.73 -- 3.87 5.73 3.87 Apr 15, 2020 Apr 15, 2020 ABT ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 9015.02 0.007731695281897164 9015.02 93 93 002824BF6 US002824BF69 BYQHX36 96.7 United States -- USD 2.34 5.12 1 Nov 30, 2026 3.75 2.4 -- 5.12 2.4 5.12 Nov 22, 2016 Nov 22, 2016 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 9010.69 0.007727981674986628 9010.69 646 646 -- CND100074JJ4 -- 13.95 China -- USD 2.47 1.93 7.24715 Nov 15, 2026 2.39 2.44 -- 1.93 2.44 1.93 Nov 15, 2023 Nov 14, 2023 SANTAN BANCO SANTANDER SA Banking Fixed Income 9008.01 0.00772568318387341 9008.01 95 95 05964HAJ4 US05964HAJ41 BD85LP9 94.66 Spain -- USD 3.58 5.91 1 Apr 12, 2028 4.38 3.56 -- 5.91 3.56 5.91 Apr 12, 2018 Apr 12, 2018 BMO BANK OF MONTREAL MTN Banking Fixed Income 9008.01 0.00772568318387341 9008.01 89 89 06368LWU6 US06368LWU69 -- 100.91 Canada -- USD 3.86 5.48 1 Sep 25, 2028 5.72 3.84 -- 5.48 3.84 5.48 Sep 25, 2023 Sep 25, 2023 JEF JEFFERIES FINANCIAL GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 9008.01 0.00772568318387341 9008.01 91 91 47233WBM0 US47233WBM01 -- 99.42 United States -- USD 3.64 6.03 1 Jul 21, 2028 5.88 3.65 -- 6.03 3.65 6.03 Jul 21, 2023 Jul 21, 2023 FTAI FORTRESS TRANSPORTATION AND INFRAS 144A Finance Companies Fixed Income 9005.64 0.0077236505630009 9005.64 87 87 34960PAC5 US34960PAC59 -- 103.3 United States -- USD 0.29 8.56 1 Aug 01, 2027 9.75 2.71 -- 6.17 0.26 6.17 Jul 28, 2020 Jul 28, 2020 CRROCK CROWNROCK LP / CROWNROCK FINANCE I 144A Energy Fixed Income 8996.35 0.007715683032239035 8996.35 91 91 228701AG3 US228701AG35 -- 98.46 United States -- USD 2.98 5.35 1 May 01, 2029 5 4.27 -- 5.35 4.27 5.35 Apr 20, 2021 Apr 20, 2021 SVC SERVICE PROPERTIES TRUST Reits Fixed Income 8987.06 0.007707715501477171 8987.06 98 98 44106MAW2 US44106MAW29 BYW0MN2 91.36 United States -- USD 2.56 8.47 1 Feb 15, 2027 4.95 2.51 -- 8.47 2.51 8.47 Jan 13, 2017 Jan 13, 2017 MUR MURPHY OIL CORPORATION Energy Fixed Income 8980.1 0.007701746285750305 8980.1 91 91 626717AM4 US626717AM42 BJV9C80 98.45 United States -- USD 2.23 6.36 1 Dec 01, 2027 5.88 3.12 -- 6.36 3.12 6.36 Nov 27, 2019 Nov 27, 2019 TKCHOL TKC HOLDINGS 144A Consumer Cyclical Fixed Income 8980.1 0.007701746285750305 8980.1 95 95 87256YAC7 US87256YAC75 -- 94.05 United States -- USD 3.09 8.64 1 May 15, 2028 6.88 3.33 -- 8.64 3.33 8.64 May 14, 2021 May 14, 2021 BACR BARCLAYS PLC Banking Fixed Income 8974.72 0.007697132150605113 8974.72 98 98 06738EBU8 US06738EBU82 -- 91.32 United Kingdom -- USD 2.41 6.04 1 Nov 24, 2027 2.28 2.42 -- 5.96 2.42 5.96 Nov 24, 2021 Nov 24, 2021 TNL TRAVEL + LEISURE CO Consumer Cyclical Fixed Income 8961.53 0.007685819800685954 8961.53 91 91 98310WAN8 US98310WAN83 BF083Z4 98.17 United States -- USD 2.57 6.69 1 Apr 01, 2027 6 2.63 -- 6.69 2.63 6.69 Mar 21, 2017 Mar 21, 2017 DKL DELEK LOGISTICS PARTNERS LP 144A Energy Fixed Income 8947.6 0.007673872792772846 8947.6 92 92 24665FAC6 US24665FAC68 -- 97.52 United States -- USD 2.74 7.84 1 Jun 01, 2028 7.13 3.39 -- 7.84 3.39 7.84 May 24, 2021 May 24, 2021 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 8944.94 0.007671591454578383 8944.94 93 93 110122CN6 US110122CN68 -- 95.81 United States -- USD 1.99 5.29 1 Jun 15, 2026 3.2 2.01 -- 5.29 2.01 5.29 Jun 15, 2020 Jul 15, 2020 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 8944.94 0.007671591454578383 8944.94 90 90 37045XEF9 US37045XEF96 -- 99.41 United States -- USD 1.82 5.73 1 Apr 06, 2026 5.4 1.82 -- 5.73 1.82 5.73 Apr 06, 2023 Apr 06, 2023 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 8934.43 0.007662577595772441 8934.43 92 92 58013MEY6 US58013MEY66 BYWKW76 97.27 United States -- USD 1.63 5.34 1 Jan 30, 2026 3.7 1.66 -- 5.34 1.66 5.34 Dec 09, 2015 Dec 09, 2015 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 8918.67 0.0076490610957932175 8918.67 90 90 718172CY3 US718172CY31 -- 99.1 United States -- USD 1.69 5.4 1 Feb 13, 2026 4.88 1.68 -- 5.4 1.68 5.4 Feb 15, 2023 Feb 15, 2023 LAD LITHIA MOTORS INC 144A Consumer Cyclical Fixed Income 8915.09 0.007645990723336008 8915.09 95 95 536797AE3 US536797AE38 -- 93.98 United States -- USD 2.98 6.51 1 Dec 15, 2027 4.63 3.22 -- 6.51 3.22 6.51 Dec 09, 2019 Dec 09, 2019 MHLD MAIDEN HOLDINGS LTD Financial Institutions Equity 8911.46 0.00764287746858191 8911.46 552 552 560292302 US5602923022 BYVFMJ4 16.13 United States -- USD 8.71 10.39 1 Jun 14, 2046 6.63 8.91 -- 10.39 8.91 10.39 Jun 14, 2016 Jun 14, 2016 IHOVER IHO VERWALTUNGS GMBH 144A Consumer Cyclical Fixed Income 8903.48 0.007636033453998522 8903.48 91 91 44963BAD0 US44963BAD01 BK4VBQ1 98.24 Germany -- USD 3.08 6.79 1 May 15, 2029 6.38 4.13 -- 6.79 4.13 6.79 Jun 06, 2019 Jun 06, 2019 DB DEUTSCHE BANK AG (NY BRANCH) FXD-F Banking Fixed Income 8892.39 0.007626522160548675 8892.39 98 98 251526CP2 US251526CP29 -- 90.88 Germany -- USD 2.41 6.31 1 Nov 16, 2027 2.31 2.39 -- 6.22 2.39 6.22 Nov 16, 2021 Nov 16, 2021 SMG SCOTTS MIRACLE-GRO CO/THE Consumer Non-Cyclical Fixed Income 8891.88 0.007626084761120413 8891.88 106 106 810186AX4 US810186AX41 -- 83.89 United States -- USD 5.71 6.97 1 Apr 01, 2031 4 5.81 -- 6.97 5.81 6.97 Oct 01, 2021 Feb 03, 2022 VYX NCR VOYIX CORP 144A Technology Fixed Income 8866.34 0.007604180483869819 8866.34 101 101 62886EAZ1 US62886EAZ16 -- 87.68 United States -- USD 5.2 7.71 1 Oct 01, 2030 5.25 5.25 -- 7.71 5.25 7.71 Aug 20, 2020 Aug 20, 2020 UBS UBS GROUP AG 144A Banking Fixed Income 8860.85 0.007599472007671473 8860.85 88 88 225401AY4 US225401AY40 -- 100.35 Switzerland -- USD 1.15 6.2 1 Jul 15, 2026 6.37 1.14 -- 6.06 1.14 6.06 Aug 12, 2022 Aug 12, 2022 JPM JPMORGAN CHASE & CO Banking Fixed Income 8857.35 0.007596470246889285 8857.35 94 94 46625HRX0 US46625HRX07 BYMJ596 94.17 United States -- USD 3.11 5.43 1 Dec 01, 2027 3.63 3.26 -- 5.43 3.26 5.43 Nov 16, 2016 Nov 16, 2016 ASB ASSOCIATED BANC-CORP Financial Institutions Equity 8851.63 0.007591564512125252 8851.63 463 463 045487402 US0454874027 BMTD069 19.12 United States -- USD 12 7.42 1 Dec 31, 2079 5.63 13.31 -- 7.42 13.31 7.42 Jun 15, 2020 Jun 15, 2020 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 8834.99 0.007577293283720793 8834.99 464 464 -- RO7P95F9FNY6 BMZ57J1 19.05 Romania -- USD 3.25 6.25 4.6453 Oct 25, 2027 2.5 3.15 -- 6.25 3.15 6.25 Oct 25, 2020 Feb 08, 2021 CVX CHEVRON CORP Energy Fixed Income 8831.07 0.007573931311644742 8831.07 92 92 166764BW9 US166764BW97 -- 96.07 United States -- USD 1.01 5.48 1 May 11, 2025 1.55 1.01 -- 5.48 1.01 5.48 May 11, 2020 May 11, 2020 CSCO CISCO SYSTEMS INC Technology Fixed Income 8825.82 0.00756942867047146 8825.82 89 89 17275RBQ4 US17275RBQ48 -- 99.09 United States -- USD 2.57 5.15 1 Feb 26, 2027 4.8 2.6 -- 5.15 2.6 5.15 Feb 26, 2024 Feb 26, 2024 WMT WALMART INC Consumer Cyclical Fixed Income 8825.82 0.00756942867047146 8825.82 90 90 931142EW9 US931142EW94 -- 98.3 United States -- USD 1.31 5.2 1 Sep 09, 2025 3.9 1.31 -- 5.2 1.31 5.2 Sep 09, 2022 Sep 09, 2022 GPK GRAPHIC PACKAGING INTERNATIONAL LL 144A Basic Industry Fixed Income 8822.23 0.007566349721554873 8822.23 102 102 38869AAD9 US38869AAD90 -- 86.86 United States -- USD 4.99 6.52 1 Feb 01, 2030 3.75 4.98 -- 6.52 4.98 6.52 Nov 19, 2021 Nov 19, 2021 SWEDA SWEDBANK AB MTN 144A Banking Fixed Income 8818.81 0.007563416572447706 8818.81 97 97 87020PAP2 US87020PAP27 -- 90.74 Sweden -- USD 2.44 5.46 1 Nov 16, 2026 1.54 2.43 -- 5.46 2.43 5.46 Nov 16, 2021 Nov 16, 2021 DAN DANA INC Consumer Cyclical Fixed Income 8817.58 0.007562361667944252 8817.58 91 91 235825AF3 US235825AF32 -- 96.43 United States -- USD 2.49 6.51 1 Nov 15, 2027 5.38 3.1 -- 6.51 3.1 6.51 Nov 20, 2019 Nov 20, 2019 HCA HCA INC Consumer Non-Cyclical Fixed Income 8813.55 0.0075589053548150474 8813.55 90 90 404119CP2 US404119CP27 -- 98.26 United States -- USD 3.56 5.68 1 Jun 01, 2028 5.2 3.56 -- 5.68 3.56 5.68 May 04, 2023 May 04, 2023 RABOBK COOPERATIEVE RABOBANK UA 144A Banking Fixed Income 8813.55 0.0075589053548150474 8813.55 96 96 74977RDK7 US74977RDK77 -- 91.92 Netherlands -- USD 1.77 5.8 1 Feb 24, 2027 1.11 1.76 -- 5.8 1.76 5.8 Feb 24, 2021 Feb 24, 2021 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 8804.8 0.0075514009528595775 8804.8 85 85 345397C35 US345397C353 -- 103.45 United States -- USD 2.96 6.24 1 Nov 04, 2027 7.35 2.98 -- 6.22 2.92 6.22 Nov 04, 2022 Nov 04, 2022 BURLN BURFORD CAPITAL GLOBAL FINANCE LLC 144A Financial Other Fixed Income 8803.65 0.0075504146600311435 8803.65 92 92 12116LAA7 US12116LAA70 -- 95.93 United States -- USD 2.97 7.45 1 Apr 15, 2028 6.25 3.43 -- 7.45 3.43 7.45 Apr 05, 2021 Apr 05, 2021 TMUS T-MOBILE USA INC Communications Fixed Income 8789.03 0.007537875876420976 8789.03 90 90 87264AAV7 US87264AAV70 BFN9L83 97.36 United States -- USD 2.58 5.53 1 Feb 01, 2028 4.75 3.36 -- 5.53 3.36 5.53 Jan 25, 2018 Jan 25, 2018 ORCL ORACLE CORPORATION Technology Fixed Income 8785.52 0.00753486553917941 8785.52 90 90 68389XBC8 US68389XBC83 BWTM389 97.29 United States -- USD 1 5.63 1 May 15, 2025 2.95 1.01 -- 5.63 1.01 5.63 May 05, 2015 May 05, 2015 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 8780.27 0.007530362898006128 8780.27 93 93 126650CU2 US126650CU24 BD72463 94.71 United States -- USD 1.97 5.58 1 Jun 01, 2026 2.88 1.97 -- 5.58 1.97 5.58 May 25, 2016 May 25, 2016 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 8779.32 0.007529548134365249 8779.32 413 413 -- MYBGY2300023 BNM96K7 21.24 Malaysia -- USD 12.91 4.18 4.7775 Aug 14, 2043 4.29 12.99 -- 4.18 12.99 4.18 Feb 14, 2023 Feb 14, 2023 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 8768.01 0.007519848158809093 8768.01 89 89 89115A2A9 US89115A2A98 -- 98.03 Canada -- USD 1.06 5.61 1 Jun 06, 2025 3.77 1.06 -- 5.61 1.06 5.61 Jun 08, 2022 Jun 08, 2022 ASHWOO ASHTON WOODS USA LLC 144A Consumer Cyclical Fixed Income 8766.51 0.007518561689902441 8766.51 99 99 045086AP0 US045086AP03 BNSLTZ3 88.73 United States -- USD 4.75 6.98 1 Apr 01, 2030 4.63 5.01 -- 6.98 5.01 6.98 Sep 23, 2021 Sep 23, 2021 NRG NRG ENERGY INC 144A Electric Fixed Income 8766.51 0.007518561689902441 8766.51 104 104 629377CS9 US629377CS98 -- 83.91 United States -- USD 6.22 6.54 1 Feb 15, 2032 3.88 6.43 -- 6.54 6.43 6.54 Aug 23, 2021 Aug 23, 2021 SHW SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 8766.25 0.007518338701958621 8766.25 93 93 824348AW6 US824348AW63 BDGKST9 94.33 United States -- USD 2.82 5.46 1 Jun 01, 2027 3.45 2.84 -- 5.46 2.84 5.46 May 16, 2017 May 16, 2017 GEHC GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 8761 0.007513836060785339 8761 88 88 36267VAD5 US36267VAD55 2KLTYM4 99.89 United States -- USD 1.41 5.67 1 Nov 15, 2025 5.6 1.43 -- 5.67 1.43 5.67 May 15, 2023 Jun 07, 2023 KMI KINDER MORGAN INC Energy Fixed Income 8761 0.007513836060785339 8761 89 89 49456BAF8 US49456BAF85 BST78B4 98.49 United States -- USD 1.02 5.73 1 Jun 01, 2025 4.3 1.04 -- 5.73 1.04 5.73 Nov 26, 2014 Nov 26, 2014 HNDA HONDA MOTOR CO LTD Consumer Cyclical Fixed Income 8759.25 0.007512335180394245 8759.25 94 94 438127AB8 US438127AB80 -- 92.76 Japan -- USD 2.7 5.28 1 Mar 10, 2027 2.53 2.71 -- 5.28 2.71 5.28 Mar 10, 2022 Mar 10, 2022 RC READY CAPITAL CORP Financial Institutions Equity 8754.19 0.007507995491949139 8754.19 480 480 75574U887 US75574U8870 BMJ1C01 18.25 United States -- USD 10.07 9.1 1 Dec 31, 2079 6.5 10.99 -- 9.1 10.69 9.1 Jun 10, 2021 Jun 10, 2021 PFE PFIZER INC Consumer Non-Cyclical Fixed Income 8732.97 0.007489796245149703 8732.97 92 92 717081EA7 US717081EA70 BZ3FFG7 94.82 United States -- USD 2.47 5.12 1 Dec 15, 2026 3 2.46 -- 5.12 2.46 5.12 Nov 21, 2016 Nov 21, 2016 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 8722.46 0.007480782386343761 8722.46 88 88 24422EXB0 US24422EXB00 -- 99.15 United States -- USD 3.72 5.17 1 Jul 14, 2028 4.95 3.71 -- 5.17 3.71 5.17 Jul 14, 2023 Jul 14, 2023 CAR AVIS BUDGET CAR RENTAL LLC 144A Transportation Fixed Income 8710.79 0.007470773658250008 8710.79 92 92 053773BC0 US053773BC09 BJXXZG9 94.82 United States -- USD 2.61 7.59 1 Jul 15, 2027 5.75 2.83 -- 7.59 2.83 7.59 Jul 03, 2019 Jul 03, 2019 ENTG ENTEGRIS INC 144A Technology Fixed Income 8701.5 0.007462806127488144 8701.5 93 93 29362UAC8 US29362UAC80 BL6FQ29 93.12 United States -- USD 3.28 6.36 1 Apr 15, 2028 4.38 3.56 -- 6.36 3.56 6.36 Apr 30, 2020 Apr 30, 2020 CVI CVR ENERGY INC 144A Energy Fixed Income 8694.54 0.007456836911761279 8694.54 94 94 12662PAD0 US12662PAD06 -- 92.63 United States -- USD 3.16 8.03 1 Feb 15, 2028 5.75 3.29 -- 8.03 3.29 8.03 Jan 27, 2020 Jan 27, 2020 BACR BARCLAYS PLC Banking Fixed Income 8694.43 0.007456742570708125 8694.43 88 88 06738EBZ7 US06738EBZ79 -- 99.16 United Kingdom -- USD 1.19 6.63 1 Aug 09, 2026 5.3 1.2 -- 5.99 1.21 5.99 Aug 09, 2022 Aug 09, 2022 SOLEIN OLYMPUS WATER US HOLDING CORP 144A Basic Industry Fixed Income 8689.89 0.007452848858150658 8689.89 98 98 681639AB6 US681639AB60 -- 88.78 United States -- USD 4.3 8.9 1 Oct 01, 2029 6.25 4.42 -- 8.9 4.42 8.9 Oct 01, 2021 Oct 01, 2021 GLP GLOBAL PARTNERS LP Energy Fixed Income 8682.93 0.007446879642423792 8682.93 88 88 37954FAG9 US37954FAG90 -- 99.06 United States -- USD 1.91 7.32 1 Aug 01, 2027 7 2.83 -- 7.32 2.83 7.32 Feb 01, 2020 Feb 10, 2020 BATSLN BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 8673.41 0.007438714853096241 8673.41 92 92 05526DBB0 US05526DBB01 BG5QSC2 93.78 United Kingdom -- USD 3.02 5.64 1 Aug 15, 2027 3.56 3.03 -- 5.64 3.03 5.64 Aug 15, 2018 Nov 20, 2018 TMUS T-MOBILE USA INC Communications Fixed Income 8673.41 0.007438714853096241 8673.41 98 98 87264ACA1 US87264ACA16 -- 88.22 United States -- USD 3.57 5.52 1 Feb 15, 2028 2.05 3.56 -- 5.52 3.56 5.52 Feb 15, 2021 May 21, 2021 TRPCN TRANSCANADA PIPELINES LTD Energy Fixed Income 8661.14 0.007428191537439828 8661.14 91 91 89352HAW9 US89352HAW97 BF16175 94.95 Canada -- USD 3.55 5.66 1 May 15, 2028 4.25 3.58 -- 5.66 3.58 5.66 May 07, 2018 May 07, 2018 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 8645.78 0.0074150180958357115 8645.78 199 199 071734AK3 US071734AK34 -- 43.5 United States -- USD 3.67 28.55 1 Feb 15, 2029 6.25 3.28 -- 28.55 3.28 28.55 May 26, 2020 May 26, 2020 NDAQ NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 8643.62 0.007413165580610133 8643.62 87 87 63111XAH4 US63111XAH44 -- 99.34 United States -- USD 3.62 5.53 1 Jun 28, 2028 5.35 3.63 -- 5.53 3.63 5.53 Jun 28, 2023 Jun 28, 2023 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 8641.31 0.007411184418493889 8641.31 406 406 -- MYBGO1900014 BHXH1F8 21.26 Malaysia -- USD 4.6 3.79 4.7775 Jul 09, 2029 4.13 4.6 -- 3.79 4.6 3.79 Jan 09, 2019 Jan 09, 2019 ZAR ZAR CASH Cash and/or Derivatives Cash 8640.2 0.007410232431502966 8640.2 1646 1646 -- -- -- 5.25 South Africa -- USD 0 8.24 19.06 -- 0 0 -- 8.24 0 8.24 -- Jan 01, 1990 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 8638.37 0.007408662939436851 8638.37 100 100 771196BW1 US771196BW19 -- 86.46 Switzerland -- USD 4.29 5.26 1 Dec 13, 2028 1.93 4.29 -- 5.26 4.29 5.26 Dec 13, 2021 Dec 13, 2021 META META PLATFORMS INC Communications Fixed Income 8620.85 0.007393636982607156 8620.85 88 88 30303M8L9 US30303M8L96 -- 98.2 United States -- USD 3.55 5.1 1 May 15, 2028 4.6 3.58 -- 5.1 3.58 5.1 May 03, 2023 May 03, 2023 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 8605.08 0.007380111906168554 8605.08 88 88 00774MBJ3 US00774MBJ36 -- 97.36 Ireland -- USD 4.08 5.74 1 Jan 19, 2029 5.1 4.08 -- 5.74 4.08 5.74 Jan 11, 2024 Jan 11, 2024 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 8605.08 0.007380111906168554 8605.08 90 90 345397B28 US345397B280 BMWS436 95.94 United States -- USD 1.46 6.16 1 Nov 13, 2025 3.38 1.45 -- 6.16 1.45 6.16 Nov 13, 2020 Nov 13, 2020 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 8601.58 0.007377110145386367 8601.58 91 91 606822BS2 US606822BS23 -- 95.01 Japan -- USD 1.18 5.68 1 Jul 17, 2025 1.41 1.18 -- 5.68 1.18 5.68 Jul 17, 2020 Jul 17, 2020 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 8599.02 0.00737491457178568 8599.02 86 86 57629WDH0 US57629WDH07 -- 100.46 United States -- USD 0.01 5.81 1 Mar 21, 2025 6.2 0.15 -- 5.81 0.15 5.81 Mar 21, 2022 Mar 21, 2022 AR ANTERO RESOURCES CORP 144A Energy Fixed Income 8587.74 0.0073652403256076575 8587.74 84 84 03674XAQ9 US03674XAQ97 -- 102.57 United States -- USD 1.75 6.98 1 Feb 01, 2029 7.63 3.89 -- 6.59 2.43 6.59 Jan 26, 2021 Jan 26, 2021 HCA HCA INC Consumer Non-Cyclical Fixed Income 8585.81 0.007363585068947766 8585.81 86 86 404119BS7 US404119BS74 BYQ2966 100.07 United States -- USD 1.41 5.83 1 Feb 15, 2026 5.88 1.67 -- 5.81 1.23 5.81 Nov 13, 2015 Nov 13, 2015 INDOIS PERUSAHAAN PENERBIT SBSN INDONESIA Treasuries Fixed Income 8579.26 0.007357967488055385 8579.26 857926 857926 -- IDP000002206 BZ3CM90 0.01 Indonesia -- USD 5.4 6.77 16187.5 Nov 15, 2031 8.88 5.4 -- 6.77 5.4 6.77 Nov 15, 2015 Jan 28, 2016 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 8575.2 0.007354485445548047 8575.2 385 385 -- RO1JS63DR5A5 BN7KRQ8 22.28 Romania -- USD 5.2 6.71 4.6453 Apr 28, 2031 7.35 5.03 -- 6.71 5.03 6.71 Apr 28, 2022 Feb 13, 2023 JXN JACKSON NATIONAL LIFE GLOBAL FUNDI 144A Insurance Fixed Income 8570.78 0.007350694650503113 8570.78 86 86 46849CJL6 US46849CJL63 -- 100.09 United States -- USD 0.01 5.98 1 Jun 28, 2024 6.48 0.17 -- 5.98 0.17 5.98 Dec 28, 2022 Dec 28, 2022 AAPL APPLE INC Technology Fixed Income 8568.3 0.007348567688577448 8568.3 91 91 037833CX6 US037833CX61 BDT5NQ3 94.03 United States -- USD 2.89 5.07 1 Jun 20, 2027 3 2.92 -- 5.07 2.92 5.07 Jun 20, 2017 Jun 20, 2017 GWCN GARDA WORLD SECURITY CORP 144A Consumer Cyclical Fixed Income 8566.85 0.007347324101967685 8566.85 85 85 36485MAM1 US36485MAM10 -- 100.91 Canada -- USD 2.51 7.46 1 Feb 15, 2028 7.75 3.2 -- 7.38 2.45 7.38 Jan 30, 2023 Jan 30, 2023 CB CHUBB INA HOLDINGS INC Insurance Fixed Income 8563.04 0.007344056470944788 8563.04 89 89 00440EAV9 US00440EAV92 BYRZVC4 96.12 United States -- USD 1.87 5.4 1 May 03, 2026 3.35 1.89 -- 5.4 1.89 5.4 Nov 03, 2015 Nov 03, 2015 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 8563.04 0.007344056470944788 8563.04 84 84 251526CS6 US251526CS67 BQD01V6 101.91 Germany -- USD 3.18 6.59 1 Jan 18, 2029 6.72 3.2 -- 6.14 3.21 6.14 Jan 18, 2023 Jan 18, 2023 CZGB CZECH REPUBLIC Treasuries Fixed Income 8556.65 0.007338576113402451 8556.65 2177 2177 -- CZ0001006431 BMYRRT8 3.93 Czech Republic -- USD 8.8 4.39 23.49435 May 30, 2035 3.5 8.62 -- 4.39 8.62 4.39 Feb 25, 2022 Feb 25, 2022 ENTG ENTEGRIS INC 144A Technology Fixed Income 8552.92 0.007335377094054576 8552.92 97 97 29362UAD6 US29362UAD63 -- 87.96 United States -- USD 4.28 6.47 1 May 01, 2029 3.63 4.37 -- 6.47 4.37 6.47 Apr 30, 2021 Apr 30, 2021 CCK CROWN AMERICAS LLC Capital Goods Fixed Income 8550.6 0.007333387355478955 8550.6 89 89 22819KAB6 US22819KAB61 BF6Q4S2 95.75 United States -- USD 2.2 6.16 1 Sep 30, 2026 4.25 2.26 -- 6.16 2.26 6.16 Mar 31, 2017 Aug 14, 2017 SPLLLC SABINE PASS LIQUEFACTION LLC Energy Fixed Income 8549.03 0.0073320408513566585 8549.03 85 85 785592AV8 US785592AV86 BZ4F180 100.08 United States -- USD 1.72 5.83 1 Jun 30, 2026 5.88 1.98 -- 5.82 1.55 5.82 Dec 31, 2016 May 10, 2017 HOLX HOLOGIC INC 144A Consumer Non-Cyclical Fixed Income 8543.63 0.007327409563292712 8543.63 90 90 436440AM3 US436440AM32 BFNJ923 94.77 United States -- USD 2.99 6.2 1 Feb 01, 2028 4.63 3.35 -- 6.2 3.35 6.2 Jan 19, 2018 Jan 19, 2018 TTMTIN JAGUAR LAND ROVER AUTOMOTIVE PLC 144A Consumer Cyclical Fixed Income 8541.31 0.00732541982471709 8541.31 91 91 47010BAM6 US47010BAM63 -- 94.13 United Kingdom -- USD 3.73 6.85 1 Jul 15, 2029 5.5 4.37 -- 6.85 4.37 6.85 Jul 14, 2021 Jul 14, 2021 CIVI CIVITAS RESOURCES INC 144A Energy Fixed Income 8541.31 0.00732541982471709 8541.31 88 88 097793AE3 US097793AE35 BMTVQ76 96.59 United States -- USD 2.11 6.52 1 Oct 15, 2026 5 2.28 -- 6.52 2.28 6.52 Oct 13, 2021 Oct 13, 2021 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 8538.51 0.00732301841609134 8538.51 84 84 345397C92 US345397C924 -- 101.92 United States -- USD 3.39 6.26 1 May 12, 2028 6.8 3.4 -- 6.25 3.34 6.25 Apr 06, 2023 Apr 06, 2023 LUV SOUTHWEST AIRLINES CO Transportation Fixed Income 8538.51 0.00732301841609134 8538.51 87 87 844741BK3 US844741BK34 BKPVG76 98.61 United States -- USD 2.76 5.61 1 Jun 15, 2027 5.13 2.81 -- 5.61 2.81 5.61 Jun 08, 2020 Jun 08, 2020 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 8535.19 0.00732017103157795 8535.19 3173 3173 -- TH0623037304 BQB26C0 2.69 Thailand -- USD 2.78 2.45 37.0175 Mar 17, 2027 2.25 2.78 -- 2.45 2.78 2.45 Jul 14, 2023 Jul 14, 2023 HSBC HSBC HOLDINGS PLC Banking Fixed Income 8529.75 0.007315505437676492 8529.75 88 88 404280BH1 US404280BH13 BYZMS48 96.81 United Kingdom -- USD 2.36 5.72 1 Nov 23, 2026 4.38 2.35 -- 5.72 2.35 5.72 Nov 23, 2016 Nov 23, 2016 NBNAUS NBN CO LTD MTN 144A Owned No Guarantee Fixed Income 8528 0.007314004557285398 8528 84 84 62878U2F8 US62878U2F87 -- 101.26 Australia -- USD 3.85 5.43 1 Oct 06, 2028 5.75 3.87 -- 5.42 3.81 5.42 Oct 06, 2023 Oct 06, 2023 JPM JPMORGAN CHASE & CO (FXD-FRN) Banking Fixed Income 8524.5 0.00731100279650321 8524.5 87 87 46647PEA0 US46647PEA03 -- 98.52 United States -- USD 2.51 5.84 1 Jan 23, 2028 5.04 2.49 -- 5.62 2.49 5.62 Jan 23, 2024 Jan 23, 2024 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 8522.75 0.007309501916112116 8522.75 87 87 14040HCS2 US14040HCS22 -- 97.63 United States -- USD 2.7 6.17 1 May 10, 2028 4.93 2.71 -- 5.79 2.72 5.79 May 09, 2022 May 09, 2022 ELV ELEVANCE HEALTH INC Insurance Fixed Income 8513.99 0.0073019889376972685 8513.99 90 90 036752AB9 US036752AB92 BFMC2P7 94.36 United States -- USD 3.23 5.39 1 Dec 01, 2027 3.65 3.26 -- 5.39 3.26 5.39 Nov 21, 2017 Nov 21, 2017 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 8513.99 0.0073019889376972685 8513.99 92 92 853254BZ2 US853254BZ29 -- 92.58 United Kingdom -- USD 1.65 6.12 1 Jan 14, 2027 1.46 1.64 -- 6.07 1.65 6.07 Jan 14, 2021 Jan 14, 2021 CVA COVANTA HOLDING CORP Capital Goods Fixed Income 8506.48 0.007295548016704631 8506.48 100 100 22282EAJ1 US22282EAJ10 -- 84.99 United States -- USD 5.15 8.06 1 Sep 01, 2030 5 5.18 -- 8.06 5.18 8.06 Aug 25, 2020 Aug 25, 2020 ABG ASBURY AUTOMOTIVE GROUP INC. Consumer Cyclical Fixed Income 8497.2 0.007287589062402144 8497.2 91 91 043436AU8 US043436AU81 BMCVTF2 93.12 United States -- USD 3.19 6.55 1 Mar 01, 2028 4.5 3.43 -- 6.55 3.43 6.55 Sep 01, 2020 Nov 10, 2020 PEG PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 8496.47 0.007286962980867574 8496.47 84 84 744573AW6 US744573AW69 -- 100.85 United States -- USD 3.87 5.66 1 Oct 15, 2028 5.88 3.88 -- 5.66 3.88 5.66 Oct 04, 2023 Oct 04, 2023 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 8494.72 0.00728546210047648 8494.72 86 86 09659W2V5 US09659W2V59 -- 98.39 France -- USD 3.28 5.81 1 Jan 13, 2029 5.13 3.28 -- 5.61 3.29 5.61 Jan 13, 2023 Jan 13, 2023 IDASAL INDONESIA ASAHAN ALUMINIUM PERSERO 144A Owned No Guarantee Fixed Income 8480.7 0.0072734379044289725 8480.7 86 86 74445PAE2 US74445PAE25 -- 98.4 Indonesia -- USD 0.99 6.34 1 May 15, 2025 4.75 0.99 -- 6.34 0.99 6.34 May 15, 2020 May 15, 2020 HLF HLF FINANCING SARL LLC 144A Consumer Non-Cyclical Fixed Income 8478.63 0.007271662577337793 8478.63 144 144 40390DAC9 US40390DAC92 -- 58.77 United States -- USD 4.14 17.39 1 Jun 01, 2029 4.88 3.9 -- 17.39 3.9 17.39 May 20, 2021 May 20, 2021 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 8471.94 0.007265924926014125 8471.94 92 92 78016EZQ3 US78016EZQ33 -- 92.08 Canada -- USD 1.92 5.42 1 Apr 27, 2026 1.2 1.92 -- 5.42 1.92 5.42 Apr 27, 2021 Apr 27, 2021 SIEGR SIEMENS FINANCIERINGSMAATSCHAPPIJ 144A Capital Goods Fixed Income 8461.43 0.007256911067208183 8461.43 91 91 82620KAZ6 US82620KAZ66 -- 92.84 Germany -- USD 1.81 5.25 1 Mar 11, 2026 1.2 1.81 -- 5.25 1.81 5.25 Mar 11, 2021 Mar 11, 2021 STWD STARWOOD PROPERTY TRUST INC 144A Reits Fixed Income 8453.09 0.007249758300087198 8453.09 92 92 85571BAU9 US85571BAU98 -- 92.18 United States -- USD 2.07 7.51 1 Jul 15, 2026 3.63 2.05 -- 7.51 2.05 7.51 Jul 14, 2021 Jul 14, 2021 COMM COMMSCOPE INC 144A Technology Fixed Income 8443.8 0.007241790769325334 8443.8 224 224 20338QAA1 US20338QAA13 BJLN9Y7 37.63 United States -- USD 2.28 50 1 Mar 01, 2027 8.25 1.85 -- 50 1.85 50 Feb 19, 2019 Feb 19, 2019 HSBC HSBC HOLDINGS PLC Banking Fixed Income 8440.41 0.0072388833495963005 8440.41 86 86 404280ED7 US404280ED71 -- 98.48 United Kingdom -- USD 4.16 6.07 1 Mar 04, 2030 5.55 4.16 -- 5.91 4.16 5.91 Mar 04, 2024 Mar 04, 2024 MRK MERCK & CO INC Consumer Non-Cyclical Fixed Income 8440.41 0.0072388833495963005 8440.41 91 91 58933YAX3 US58933YAX31 BJRH6C0 92.66 United States -- USD 4.34 5.12 1 Mar 07, 2029 3.4 4.38 -- 5.12 4.38 5.12 Mar 07, 2019 Mar 07, 2019 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 8436.91 0.0072358815888141125 8436.91 90 90 86562MAR1 US86562MAR16 BYXGKB3 93.86 Japan -- USD 2.96 5.47 1 Jul 12, 2027 3.36 2.96 -- 5.47 2.96 5.47 Jul 12, 2017 Jul 12, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 8433.13 0.007232639687169349 8433.13 536 536 -- CND100069PK9 -- 15.72 China -- USD 19.3 2.51 7.24715 Apr 15, 2053 3.19 19.55 -- 2.51 19.55 2.51 Apr 15, 2023 Apr 14, 2023 BPCEGP BPCE SA MTN 144A Banking Fixed Income 8417.64 0.007219354751593323 8417.64 84 84 05583JAN2 US05583JAN28 -- 99.93 France -- USD 1.59 6.53 1 Jan 18, 2027 5.97 1.59 -- 6.01 1.6 6.01 Jan 18, 2023 Jan 18, 2023 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 8411.68 0.007214243181804226 8411.68 392 392 -- MYBGO1800024 BFMFCT0 21.47 Malaysia -- USD 3.99 3.74 4.7775 Oct 31, 2028 4.37 3.99 -- 3.74 3.99 3.74 Apr 30, 2018 Apr 30, 2018 EDF ELECTRICITE DE FRANCE SA 144A Owned No Guarantee Fixed Income 8410.63 0.007213342653569569 8410.63 84 84 28504DAB9 US28504DAB91 -- 100.32 France -- USD 3.49 5.61 1 May 23, 2028 5.7 3.51 -- 5.61 3.45 5.61 May 23, 2023 May 23, 2023 ACAFP CREDIT AGRICOLE SA MTN 144A Banking Fixed Income 8405.37 0.00720883143593691 8405.37 83 83 22535WAJ6 US22535WAJ62 -- 101.85 France -- USD 3.78 6.06 1 Oct 03, 2029 6.32 3.82 -- 5.83 3.82 5.83 Oct 03, 2023 Oct 03, 2023 CZGB CZECH REPUBLIC Treasuries Fixed Income 8398.92 0.007203299619638307 8398.92 1953 1953 -- CZ0001007033 -- 4.3 Czech Republic -- USD 6.93 4.36 23.49435 Nov 11, 2032 4.5 6.78 -- 4.36 6.78 4.36 Aug 11, 2023 Aug 11, 2023 PLBIIJ PELABUHAN INDONESIA II (PERSERO) P 144A Owned No Guarantee Fixed Income 8398.37 0.007202827914372534 8398.37 86 86 69370NAB2 US69370NAB29 BX1N8B5 98.14 Indonesia -- USD 0.97 6.14 1 May 05, 2025 4.25 0.97 -- 6.14 0.97 6.14 May 05, 2015 May 05, 2015 SM SM ENERGY CO Energy Fixed Income 8388.08 0.007194002737672902 8388.08 85 85 78454LAP5 US78454LAP58 BG43WV1 99.24 United States -- USD 1.45 6.93 1 Jan 15, 2027 6.63 2.41 -- 6.93 2.41 6.93 Aug 20, 2018 Aug 20, 2018 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 8372.09 0.007180288979127991 8372.09 91 91 031162CT5 US031162CT53 -- 91.71 United States -- USD 2.67 5.41 1 Feb 21, 2027 2.2 2.67 -- 5.41 2.67 5.41 Feb 21, 2020 Feb 21, 2020 SANTAN BANCO SANTANDER SA (FX-FX) Banking Fixed Income 8372.09 0.007180288979127991 8372.09 88 88 05964HAQ8 US05964HAQ83 -- 95.16 Spain -- USD 2.64 6.3 1 Mar 24, 2028 4.17 2.67 -- 6.01 2.68 6.01 Mar 24, 2022 Mar 24, 2022 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 8370.34 0.007178788098736897 8370.34 83 83 89788MAN2 US89788MAN20 -- 100.4 United States -- USD 1.91 6.33 1 Jun 08, 2027 6.05 1.91 -- 5.84 1.92 5.84 Jun 08, 2023 Jun 08, 2023 SIEGR SIEMENS FINANCIERINGSMAATSCHAPPIJ 144A Capital Goods Fixed Income 8351.07 0.007162261261516108 8351.07 89 89 82620KAL7 US82620KAL70 BD3RT90 93.42 Germany -- USD 2.35 5.22 1 Oct 15, 2026 2.35 2.35 -- 5.22 2.35 5.22 Sep 15, 2016 Sep 15, 2016 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 8349.31 0.007160751804665636 8349.31 84 84 06406RBQ9 US06406RBQ92 -- 98.96 United States -- USD 1.83 5.8 1 Apr 26, 2027 4.95 1.83 -- 5.5 1.83 5.5 Apr 26, 2023 Apr 26, 2023 INN SUMMIT HOTEL PROPERTIES INC Financial Institutions Equity 8349.04 0.007160520240262439 8349.04 413 413 866082704 US8660827044 BKP4ZP6 20.23 United States Non-Nms Quotation Service (Nnqs) USD 11.53 7.34 1 Dec 31, 2079 5.88 13.62 -- 7.34 13.24 7.34 Aug 12, 2021 Aug 12, 2021 HPP HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 8343.97 0.007156171975357955 8343.97 96 96 44409MAA4 US44409MAA45 BDD87X3 87.17 United States -- USD 3.16 8.22 1 Nov 01, 2027 3.95 3.1 -- 8.22 3.1 8.22 Oct 02, 2017 Oct 02, 2017 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 8335.3 0.007148736185077507 8335.3 82 82 345397D59 US345397D591 -- 102.06 United States -- USD 3.74 6.27 1 Nov 07, 2028 6.8 3.75 -- 6.26 3.68 6.26 Nov 07, 2023 Nov 07, 2023 DUK DUKE ENERGY CORP Electric Fixed Income 8323.04 0.007138221445880472 8323.04 89 89 26441CAS4 US26441CAS44 BDGM1J6 93.66 United States -- USD 2.22 5.56 1 Sep 01, 2026 2.65 2.22 -- 5.56 2.22 5.56 Aug 12, 2016 Aug 12, 2016 TNOTE TREASURY NOTE Treasuries Fixed Income 8321.26 0.007136694836111244 8321.26 92 92 912828ZB9 US912828ZB95 BL1LY73 90.18 United States -- USD 2.74 4.86 1 Feb 28, 2027 1.13 2.74 -- 4.86 2.74 4.86 Feb 29, 2020 Mar 02, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 8320.06 0.0071356656609859225 8320.06 832006 832006 -- IDG000012303 BF47PX9 0.01 Indonesia -- USD 8.42 7.17 16187.5 May 15, 2038 7.5 8.41 -- 7.17 8.41 7.17 May 15, 2017 Aug 10, 2017 AAPL APPLE INC Technology Fixed Income 8319.53 0.007135211108638906 8319.53 96 96 037833EH9 US037833EH93 -- 86.33 United States -- USD 4.05 4.99 1 Aug 05, 2028 1.4 4.04 -- 4.99 4.04 4.99 Aug 05, 2021 Aug 05, 2021 QTELQD QTEL INTERNATIONAL FINANCE LTD 144A Owned No Guarantee Fixed Income 8312.53 0.00712920758707453 8312.53 84 84 74733LAE2 US74733LAE20 B4TV841 98.84 Qatar -- USD 1.41 5.82 1 Oct 19, 2025 5 1.41 -- 5.82 1.41 5.82 Oct 19, 2010 Oct 19, 2010 AES DPL INC Electric Fixed Income 8306.82 0.007124310428769875 8306.82 93 93 233293AQ2 US233293AQ29 -- 89.25 United States -- USD 4.36 6.94 1 Apr 15, 2029 4.35 4.34 -- 6.94 4.34 6.94 Apr 15, 2020 Apr 15, 2020 INTC INTEL CORPORATION Technology Fixed Income 8280.99 0.007102157434197328 8280.99 84 84 458140CD0 US458140CD04 -- 99.11 United States -- USD 1.68 5.4 1 Feb 10, 2026 4.88 1.68 -- 5.4 1.68 5.4 Feb 10, 2023 Feb 10, 2023 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 8277.49 0.00709915567341514 8277.49 84 84 89788MAH5 US89788MAH51 -- 98.1 United States -- USD 1.18 6.28 1 Jul 28, 2026 4.26 1.19 -- 5.84 1.19 5.84 Jul 28, 2022 Jul 28, 2022 ES EVERSOURCE ENERGY Electric Fixed Income 8273.98 0.007096145336173574 8273.98 83 83 30040WAT5 US30040WAT53 -- 99.12 United States -- USD 3.38 5.71 1 Mar 01, 2028 5.45 3.4 -- 5.71 3.4 5.71 Mar 06, 2023 Mar 06, 2023 LLOYDS LLOYDS BANKING GROUP PLC FXD-FXD Banking Fixed Income 8265.23 0.007088640934218104 8265.23 83 83 53944YAZ6 US53944YAZ60 -- 99.06 United Kingdom -- USD 2.42 6.03 1 Jan 05, 2028 5.46 2.42 -- 5.84 2.43 5.84 Jan 05, 2024 Jan 05, 2024 EQPTRC MEGLOBAL CANADA ULC MTN 144A Government Sponsored Fixed Income 8265.23 0.007088640934218104 8265.23 84 84 58518N2B7 US58518N2B76 -- 98.47 Kuwait -- USD 1 6.51 1 May 18, 2025 5 0.99 -- 6.51 0.99 6.51 May 18, 2020 May 18, 2020 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 8254.71 0.007079618498952785 8254.71 83 83 89115A2M3 US89115A2M37 -- 99.02 Canada -- USD 3.3 5.45 1 Jan 10, 2028 5.16 3.28 -- 5.45 3.28 5.45 Jan 10, 2023 Jan 10, 2023 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 8253.37 0.007078469253396176 8253.37 387 387 -- MYBGO2200018 BKVF3G0 21.3 Malaysia -- USD 7.05 3.94 4.7775 Oct 07, 2032 4.19 7.06 -- 3.94 7.06 3.94 Apr 07, 2022 Apr 07, 2022 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 8251.21 0.007076616738170597 8251.21 84 84 345397E58 US345397E581 -- 98.09 United States -- USD 4.15 6.26 1 Mar 08, 2029 5.8 4.14 -- 6.26 4.14 6.26 Mar 08, 2024 Mar 08, 2024 FITB FIFTH THIRD BANCORP Banking Fixed Income 8242.45 0.007069103759755749 8242.45 91 91 316773DD9 US316773DD98 -- 90.32 United States -- USD 2.8 5.49 1 Nov 01, 2027 1.71 2.38 -- 5.49 2.38 5.49 Nov 01, 2021 Nov 01, 2021 SVC SERVICE PROPERTIES TRUST Reits Fixed Income 8241.82 0.007068563442814956 8241.82 98 98 44106MAX0 US44106MAX02 BZ3CYL6 84.22 United States -- USD 3.36 9.03 1 Jan 15, 2028 3.95 3.28 -- 9.03 3.28 9.03 Oct 26, 2017 Oct 26, 2017 MIWIDO MIWD HOLDCO II LLC 144A Capital Goods Fixed Income 8239.5 0.007066573704239334 8239.5 92 92 55337PAA0 US55337PAA03 -- 89.16 United States -- USD 4.5 7.87 1 Feb 01, 2030 5.5 4.71 -- 7.87 4.71 7.87 Jan 19, 2022 Jan 19, 2022 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 8233.69 0.007061590781340902 8233.69 83 83 126650DS6 US126650DS68 -- 98.93 United States -- USD 1.68 5.62 1 Feb 20, 2026 5 1.7 -- 5.62 1.7 5.62 Feb 21, 2023 Feb 21, 2023 COP CONOCOPHILLIPS CO Energy Fixed Income 8224.93 0.007054077802926054 8224.93 77 77 208251AE8 US208251AE82 5670055 107.2 United States -- USD 4.21 5.28 1 Apr 15, 2029 6.95 4.2 -- 5.28 4.2 5.28 Apr 20, 1999 Apr 20, 1999 ALSN ALLISON TRANSMISSION INC 144A Consumer Cyclical Fixed Income 8220.92 0.007050638642715604 8220.92 86 86 019736AE7 US019736AE70 BD6NJY0 95.18 United States -- USD 2.76 6.33 1 Oct 01, 2027 4.75 3.09 -- 6.33 3.09 6.33 Sep 26, 2017 Sep 26, 2017 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 8217.93 0.007048074281361678 8217.93 85 85 345397C27 US345397C270 BMYXYY0 96.62 United States -- USD 2.75 6.16 1 May 28, 2027 4.95 2.76 -- 6.16 2.76 6.16 Mar 28, 2022 Mar 28, 2022 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 8207.41 0.007039051846096359 8207.41 86 86 539439AR0 US539439AR07 BG10BS5 95.27 United Kingdom -- USD 3.53 5.74 1 Mar 22, 2028 4.38 3.51 -- 5.74 3.51 5.74 Mar 22, 2018 Mar 22, 2018 TD TORONTO-DOMINION BANK/THE Banking Fixed Income 8205.66 0.007037550965705265 8205.66 80 80 89117F8Z5 US89117F8Z56 -- 102.9 Canada -- USD 2.88 8.45 1 Oct 31, 2082 8.13 2.78 -- 7.25 2.94 7.25 Oct 17, 2022 Oct 17, 2022 DHC DIVERSIFIED HEALTHCARE TRUST Reits Fixed Income 8200.03 0.007032722419075631 8200.03 113 113 25525PAB3 US25525PAB31 -- 72.41 United States -- USD 5.63 10.04 1 Mar 01, 2031 4.38 5.48 -- 10.04 5.48 10.04 Feb 08, 2021 Feb 08, 2021 SYF SYNCHRONY FINANCIAL Banking Fixed Income 8196.9 0.007030037987290417 8196.9 87 87 87165BAP8 US87165BAP85 BJQ1YC9 94.54 United States -- USD 4.2 6.47 1 Mar 19, 2029 5.15 4.22 -- 6.47 4.22 6.47 Mar 19, 2019 Mar 19, 2019 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 8195.15 0.007028537106899323 8195.15 81 81 853254CS7 US853254CS76 -- 101.07 Hong Kong -- USD 3.17 6.29 1 Jan 09, 2029 6.3 3.2 -- 5.97 3.21 5.97 Jan 09, 2023 Jan 09, 2023 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 8195.15 0.007028537106899323 8195.15 86 86 891160MJ9 US891160MJ94 BD302X4 94.87 Canada -- USD 2.24 6.59 1 Sep 15, 2031 3.63 2.19 -- 5.96 2.23 5.96 Sep 15, 2016 Sep 15, 2016 GEO THE GEO GROUP INC 144A Consumer Cyclical Fixed Income 8181.46 0.00701679593401128 8181.46 80 80 36162JAE6 US36162JAE64 -- 101.88 United States -- USD 3.29 8.13 1 Apr 15, 2029 8.63 3.99 -- 8.03 3.31 8.03 Apr 18, 2024 Apr 18, 2024 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 8179.38 0.007015012030460723 8179.38 89 89 09659W2T0 US09659W2T04 -- 91.79 France -- USD 2.57 6.05 1 Jan 20, 2028 2.59 2.56 -- 5.88 2.56 5.88 Jan 20, 2022 Jan 20, 2022 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 8167.12 0.007004497291263687 8167.12 90 90 89114TZG0 US89114TZG02 -- 90.7 Canada -- USD 2.29 5.48 1 Sep 10, 2026 1.25 2.28 -- 5.48 2.28 5.48 Sep 10, 2021 Sep 10, 2021 HCA HCA INC Consumer Non-Cyclical Fixed Income 8165.37 0.007002996410872593 8165.37 82 82 404121AJ4 US404121AJ49 BYZLW98 99.41 United States -- USD 3.61 5.78 1 Sep 01, 2028 5.63 3.78 -- 5.78 3.78 5.78 Aug 23, 2018 Aug 23, 2018 SFRFP ALTICE FRANCE HOLDING SA 144A Communications Fixed Income 8165.2 0.007002850611063172 8165.2 278 278 02156TAA2 US02156TAA25 -- 29.41 Luxembourg -- USD 2.91 48.05 1 Feb 15, 2028 6 2.4 -- 48.05 2.4 48.05 Feb 06, 2020 Feb 06, 2020 SHO SUNSTONE HOTEL INVESTORS INC Financial Institutions Equity 8157.58 0.0069963153490173804 8157.58 415 415 867892887 US8678928875 BNT8SD4 19.66 United States -- USD 12.04 7.26 1 Dec 31, 2079 5.7 13.77 -- 7.26 13.49 7.26 Jul 16, 2021 Jul 16, 2021 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 8153.11 0.006992481671675557 8153.11 86 86 65339KAT7 US65339KAT79 BZ3FXP2 94.45 United States -- USD 2.73 5.58 1 May 01, 2027 3.55 2.75 -- 5.58 2.75 5.58 Apr 28, 2017 Apr 28, 2017 MMC MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 8146.1 0.0069864695736518035 8146.1 84 84 571748BG6 US571748BG65 BJ2NYK7 96.55 United States -- USD 4.25 5.18 1 Mar 15, 2029 4.38 4.31 -- 5.18 4.31 5.18 Jan 15, 2019 Jan 15, 2019 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 8144.35 0.0069849686932607095 8144.35 81 81 37045XEH5 US37045XEH52 -- 100.08 United States -- USD 3.57 5.78 1 Jun 23, 2028 5.8 3.58 -- 5.78 3.58 5.78 Jun 23, 2023 Jun 23, 2023 T AT&T INC Communications Fixed Income 8133.84 0.006975954834454768 8133.84 84 84 00206RDQ2 US00206RDQ20 BDCL4N2 97.14 United States -- USD 2.56 5.34 1 Mar 01, 2027 4.25 2.63 -- 5.34 2.63 5.34 Feb 09, 2017 Feb 09, 2017 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 8125.8 0.006969059361115113 8125.8 421 421 -- MYBMO2000028 BMD9C89 19.32 Malaysia -- USD 6.26 3.9 4.7775 Apr 15, 2031 2.63 6.26 -- 3.9 6.26 3.9 Oct 15, 2020 Oct 15, 2020 IHRT IHEARTCOMMUNICATIONS INC 144A Communications Fixed Income 8111.81 0.006957060894445739 8111.81 117 117 45174HBG1 US45174HBG11 BKM81Q4 69.6 United States -- USD 3.26 15.87 1 Jan 15, 2028 4.75 3.09 -- 15.87 3.09 15.87 Nov 22, 2019 Nov 22, 2019 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL MTN 144A Banking Fixed Income 8111.06 0.0069564176599924135 8111.06 81 81 06675FBA4 US06675FBA49 -- 100.62 France -- USD 2.03 5.59 1 Jul 13, 2026 5.9 2.02 -- 5.59 2.02 5.59 Jul 13, 2023 Jul 13, 2023 IMBLN IMPERIAL BRANDS FINANCE PLC 144A Consumer Non-Cyclical Fixed Income 8111.06 0.0069564176599924135 8111.06 83 83 453140AF2 US453140AF21 BYSGC45 97.94 United Kingdom -- USD 1.16 6 1 Jul 21, 2025 4.25 1.17 -- 6 1.17 6 Jul 21, 2015 Jul 21, 2015 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 8100.55 0.006947403801186472 8100.55 82 82 606822CN2 US606822CN27 -- 99.29 Japan -- USD 3.02 5.9 1 Sep 13, 2028 5.35 3.03 -- 5.58 3.04 5.58 Sep 13, 2022 Sep 13, 2022 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 8098.8 0.006945902920795378 8098.8 79 79 808513CJ2 US808513CJ29 BP0Y3Q3 102.15 United States -- USD 3.82 5.9 1 Nov 17, 2029 6.2 3.83 -- 5.65 3.84 5.65 Nov 17, 2023 Nov 17, 2023 CPGX COLUMBIA PIPELINES HOLDING COMPANY 144A Energy Fixed Income 8091.79 0.006939890822771624 8091.79 80 80 19828AAB3 US19828AAB35 -- 100.79 United States -- USD 3.7 5.83 1 Aug 15, 2028 6.04 3.71 -- 5.83 3.64 5.83 Aug 08, 2023 Aug 08, 2023 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 8084.63 0.006933750077857206 8084.63 408 408 -- MYBGT2100019 BMVH519 19.82 Malaysia -- USD 9.69 4 4.7775 Jul 15, 2036 3.45 9.71 -- 4 9.71 4 Jan 15, 2021 Jan 15, 2021 OMC OMNICOM GROUP INC Communications Fixed Income 8077.78 0.006927875203183495 8077.78 84 84 68217FAA0 US68217FAA03 BDBFN05 96.64 United States -- USD 1.84 5.42 1 Apr 15, 2026 3.6 1.87 -- 5.42 1.87 5.42 Apr 06, 2016 Apr 06, 2016 SEE SEALED AIR CORPORATION 144A Capital Goods Fixed Income 8074.66 0.006925199347857658 8074.66 87 87 81211KAY6 US81211KAY64 BJLPZ89 92.32 United States -- USD 3.22 6.42 1 Dec 01, 2027 4 3.22 -- 6.42 3.22 6.42 Nov 26, 2019 Nov 26, 2019 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 8073.61 0.006924298819623002 8073.61 352 352 -- MYBMZ1800051 -- 22.96 Malaysia -- USD 14.24 4.27 4.7775 Jul 06, 2048 4.92 14.36 -- 4.27 14.36 4.27 Jul 06, 2018 Jul 06, 2018 WMB WILLIAMS COMPANIES INC Energy Fixed Income 8046.24 0.006900825050306292 8046.24 85 85 96949LAD7 US96949LAD73 BF6Q7G1 94.9 United States -- USD 2.83 5.54 1 Jun 15, 2027 3.75 2.87 -- 5.54 2.87 5.54 Jun 05, 2017 Jun 05, 2017 SIEGR SIEMENS FINANCIERINGSMAATSCHAPPIJ 144A Capital Goods Fixed Income 8037.49 0.006893320648350822 8037.49 82 82 82620KAE3 US82620KAE38 BY58YW6 97.89 Germany -- USD 1.03 5.27 1 May 27, 2025 3.25 1.04 -- 5.27 1.04 5.27 May 27, 2015 May 27, 2015 MODV MODIVCARE ESCROW ISSUER INC 144A Consumer Non-Cyclical Fixed Income 8035.19 0.006891348062693956 8035.19 116 116 60783XAA2 US60783XAA28 -- 69.19 United States -- USD 4.55 13.1 1 Oct 01, 2029 5 4.36 -- 13.1 4.36 13.1 Aug 24, 2021 Aug 24, 2021 GM GENERAL MOTORS FINANCIAL CO (FXD) Consumer Cyclical Fixed Income 8032.23 0.006888809430718163 8032.23 81 81 37045XEN2 US37045XEN21 -- 99.51 United States -- USD 3.97 5.92 1 Jan 07, 2029 5.8 3.97 -- 5.92 3.97 5.92 Dec 07, 2023 Dec 07, 2023 BERY BERRY GLOBAL INC Capital Goods Fixed Income 8012.96 0.006872282593497374 8012.96 86 86 08576PAH4 US08576PAH47 -- 93.23 United States -- USD 1.66 5.75 1 Jan 15, 2026 1.57 1.65 -- 5.75 1.65 5.75 Jul 15, 2021 Oct 19, 2021 CIO CITY OFFICE REIT INC Financial Institutions Equity 8005.44 0.006865833096045358 8005.44 460 460 178587200 US1785872003 BDCG2S8 17.4 United States -- USD 9.96 9.52 1 Dec 31, 2079 6.63 10.5 -- 9.52 10.45 9.52 Oct 04, 2016 Oct 04, 2016 BNP BNP PARIBAS SA 144A Banking Fixed Income 8004.2 0.006864769615082526 8004.2 83 83 09659W2L7 US09659W2L77 -- 95.95 France -- USD 1.06 6.65 1 Jun 09, 2026 2.22 1.07 -- 6.01 1.07 6.01 Jun 09, 2020 Jun 09, 2020 MS MORGAN STANLEY MTN Banking Fixed Income 8004.2 0.006864769615082526 8004.2 78 78 61747YFH3 US61747YFH36 -- 102.88 United States -- USD 3.74 5.92 1 Nov 01, 2029 6.41 3.78 -- 5.67 3.78 5.67 Nov 01, 2023 Nov 01, 2023 SPLLLC SABINE PASS LIQUEFACTION LLC Energy Fixed Income 7997.19 0.006858757517058773 7997.19 81 81 785592AS5 US785592AS57 BZ4FB57 98.47 United States -- USD 2.45 5.58 1 Mar 15, 2027 5 2.64 -- 5.58 2.64 5.58 Mar 15, 2017 May 10, 2017 SMG SCOTTS MIRACLE-GRO CO/THE Consumer Non-Cyclical Fixed Income 7988.76 0.006851527561803388 7988.76 95 95 810186AW6 US810186AW67 BPNXDY5 84.1 United States -- USD 6.05 7.07 1 Feb 01, 2032 4.38 6.25 -- 7.07 6.25 7.07 Aug 13, 2021 Jan 20, 2022 DBSSP DBS GROUP HOLDINGS LTD MTN 144A Banking Fixed Income 7988.46 0.006851270268022058 7988.46 80 80 -- US24023KAG31 -- 99.91 Singapore -- USD 0.02 5.98 1 Nov 22, 2024 5.64 0.07 -- 5.98 0.07 5.98 Nov 22, 2021 Nov 22, 2021 HLT HILTON DOMESTIC OPERATING COMPANY 144A Consumer Cyclical Fixed Income 7981.79 0.0068455497696171454 7981.79 81 81 432833AH4 US432833AH41 -- 98.67 United States -- USD 2.08 6.13 1 May 01, 2028 5.75 3.44 -- 6.13 3.44 6.13 Apr 21, 2020 Apr 21, 2020 HCA HCA INC Consumer Non-Cyclical Fixed Income 7951.64 0.006819691744593441 7951.64 80 80 404119BT5 US404119BT57 BZ57YX1 98.98 United States -- USD 1.76 5.76 1 Jun 15, 2026 5.25 1.96 -- 5.76 1.96 5.76 Mar 15, 2016 Mar 15, 2016 HLF HERBALIFE LTD 144A Consumer Non-Cyclical Fixed Income 7942.33 0.006811707060912821 7942.33 82 82 42704MAA0 US42704MAA09 -- 97.13 United States -- USD 1.26 10.19 1 Sep 01, 2025 7.88 1.23 -- 10.19 1.23 10.19 May 29, 2020 May 29, 2020 OI OI EUROPEAN GROUP BV 144A Capital Goods Fixed Income 7942.33 0.006811707060912821 7942.33 88 88 67777LAD5 US67777LAD55 -- 90.61 United States -- USD 4.48 6.73 1 Feb 15, 2030 4.75 4.89 -- 6.73 4.89 6.73 Nov 16, 2021 Nov 16, 2021 MITCO MITSUBISHI CORPORATION 144A Industrial Other Fixed Income 7932.37 0.006803164907372651 7932.37 87 87 606769AG2 US606769AG23 -- 90.87 Japan -- USD 2.14 5.55 1 Jul 15, 2026 1.13 2.13 -- 5.55 2.13 5.55 Jul 15, 2021 Jul 15, 2021 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 7928.87 0.006800163146590463 7928.87 79 79 771196CF7 US771196CF76 -- 100.55 Switzerland -- USD 3.88 5.2 1 Nov 13, 2028 5.34 3.9 -- 5.2 3.9 5.2 Nov 13, 2023 Nov 13, 2023 UBS UBS GROUP AG 144A Banking Fixed Income 7920.11 0.0067926501681756166 7920.11 83 83 225401AQ1 US225401AQ16 -- 95.91 Switzerland -- USD 1.06 6.66 1 Jun 05, 2026 2.19 1.05 -- 6.05 1.06 6.05 Jun 05, 2020 Jun 05, 2020 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 7914.86 0.006788147527002335 7914.86 83 83 110122DE5 US110122DE50 -- 95.39 United States -- USD 3.42 5.25 1 Feb 20, 2028 3.9 3.46 -- 5.25 3.46 5.25 Feb 20, 2020 Jul 15, 2020 IHOVER IHO VERWALTUNGS GMBH 144A Consumer Cyclical Fixed Income 7912.15 0.006785823306510983 7912.15 81 81 44963BAE8 US44963BAE83 BJVRGK4 98.12 Germany -- USD 1.86 6.69 1 May 15, 2027 6 2.67 -- 6.69 2.67 6.69 Jun 06, 2019 Jun 06, 2019 MS MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 7904.34 0.006779125091737015 7904.34 79 79 61747YEX9 US61747YEX94 -- 100.51 United States -- USD 1.37 6.29 1 Oct 16, 2026 6.14 1.38 -- 5.77 1.39 5.77 Oct 18, 2022 Oct 18, 2022 RCAP ARETEC ESCROW ISSUER INC 144A Brokerage/Asset Managers/Exchanges Fixed Income 7895.89 0.006771877983562875 7895.89 84 84 040133AA8 US040133AA87 -- 94.17 United States -- USD 3.5 8.99 1 Apr 01, 2029 7.5 3.99 -- 8.99 3.99 8.99 Apr 08, 2021 Apr 08, 2021 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 7888.58 0.006765608591757791 7888.58 81 81 89788MAL6 US89788MAL63 BPX1ZQ5 96.83 United States -- USD 3.31 6.01 1 Jan 26, 2029 4.87 3.33 -- 5.82 3.33 5.82 Jan 26, 2023 Jan 26, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 7883.41 0.0067611745622595315 7883.41 788341 788341 -- IDG000011701 BYRK9M5 0.01 Indonesia -- USD 5.11 7.12 16187.5 May 15, 2031 8.75 5.12 -- 7.12 5.12 7.12 May 15, 2015 Aug 06, 2015 BNP BNP PARIBAS SA 144A Banking Fixed Income 7878.07 0.00675659473295185 7878.07 81 81 05581KAC5 US05581KAC53 BYVL6P6 96.71 France -- USD 2.65 5.88 1 Mar 13, 2027 4.63 2.64 -- 5.88 2.64 5.88 Mar 13, 2017 Mar 13, 2017 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 7863.69 0.0067442617843667466 7863.69 480 480 -- CND10004NCM5 -- 16.38 China -- USD 18.23 2.58 7.24715 Oct 18, 2051 3.53 18.43 -- 2.58 18.43 2.58 Oct 18, 2021 Oct 18, 2021 TMUS T-MOBILE USA INC Communications Fixed Income 7844.78 0.006728043699683554 7844.78 80 80 87264ABB0 US87264ABB08 -- 97.93 United States -- USD 0.94 5.72 1 Apr 15, 2025 3.5 0.94 -- 5.72 0.94 5.72 Apr 15, 2021 May 21, 2021 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 7839.34 0.006723378105782096 7839.34 3123 3123 -- TH062303Q605 BYZ73Q0 2.51 Thailand -- USD 15.7 3.32 37.0175 Jun 17, 2046 2.88 15.85 -- 3.32 15.85 3.32 Jul 08, 2016 Jul 08, 2016 ARAMCO SAUDI ARABIAN OIL CO MTN 144A Owned No Guarantee Fixed Income 7834.27 0.006719029840877612 7834.27 83 83 80414L2H7 US80414L2H78 -- 93.83 Saudi Arabia -- USD 1.52 5.77 1 Nov 24, 2025 1.63 1.51 -- 5.77 1.51 5.77 Nov 24, 2020 Nov 24, 2020 CMCSA COMCAST CORPORATION Communications Fixed Income 7832.52 0.006717528960486518 7832.52 80 80 20030NBN0 US20030NBN03 BY58YS2 97.41 United States -- USD 1.24 5.45 1 Aug 15, 2025 3.38 1.25 -- 5.45 1.25 5.45 May 27, 2015 May 27, 2015 SSP EW SCRIPPS CO 144A Communications Fixed Income 7814.64 0.006702194251119227 7814.64 99 99 81104PAA7 US81104PAA75 BJ9NGK4 78.88 United States -- USD 2.82 14.27 1 Jul 15, 2027 5.88 2.7 -- 14.27 2.7 14.27 Jul 26, 2019 Jul 26, 2019 SINOPE SINOPEC GROUP OVERSEAS DEVELOPMENT 144A Owned No Guarantee Fixed Income 7813.25 0.006701002123265729 7813.25 83 83 82939GAR9 US82939GAR92 -- 93.59 China -- USD 1.64 5.44 1 Jan 08, 2026 1.45 1.64 -- 5.44 1.64 5.44 Jan 08, 2021 Jan 08, 2021 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 7798.17 0.006688068822524188 7798.17 371 371 -- MYBMO1900020 BDVLNF8 21.03 Malaysia -- USD 4.72 3.78 4.7775 Aug 15, 2029 3.88 4.72 -- 3.78 4.72 3.78 Feb 15, 2019 Feb 15, 2019 BACR BARCLAYS PLC Banking Fixed Income 7795.73 0.006685976166436034 7795.73 82 82 06738EAU9 US06738EAU91 BD72SC7 94.91 United Kingdom -- USD 3.13 5.88 1 Jan 10, 2028 4.34 3.32 -- 5.88 3.32 5.88 Jan 10, 2017 Jan 10, 2017 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 7795.73 0.006685976166436034 7795.73 79 79 89236TKT1 US89236TKT15 -- 98.41 United States -- USD 1.91 5.27 1 May 18, 2026 4.45 1.91 -- 5.27 1.91 5.27 May 18, 2023 May 18, 2023 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 7790.47 0.006681464948803374 7790.47 83 83 548661DP9 US548661DP97 BYWPZ50 93.83 United States -- USD 2.76 5.34 1 May 03, 2027 3.1 2.78 -- 5.34 2.78 5.34 May 03, 2017 May 03, 2017 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 7785.22 0.006676962307630092 7785.22 85 85 89114TZD7 US89114TZD70 -- 91.57 Canada -- USD 2.02 5.49 1 Jun 03, 2026 1.2 2.02 -- 5.49 2.02 5.49 Jun 03, 2021 Jun 03, 2021 PRU PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 7783.47 0.006675461427238998 7783.47 84 84 74432QCH6 US74432QCH65 -- 93.16 United States -- USD 1.8 5.38 1 Mar 10, 2026 1.5 1.8 -- 5.38 1.8 5.38 Mar 10, 2020 Mar 10, 2020 MIZUHO MIZUHO FINANCIAL GROUP INC 144A Banking Fixed Income 7776.46 0.0066694493292152445 7776.46 81 81 60687YAD1 US60687YAD13 BYQRJ16 96.04 Japan -- USD 1.87 5.63 1 Apr 12, 2026 3.48 1.86 -- 5.63 1.86 5.63 Apr 12, 2016 Apr 12, 2016 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 7765.95 0.006660435470409303 7765.95 79 79 913017DD8 US913017DD80 BYVN9D1 98.04 United States -- USD 1.24 5.52 1 Aug 16, 2025 3.95 1.24 -- 5.52 1.24 5.52 Aug 16, 2018 Aug 16, 2018 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 7765.88 0.006660375435193659 7765.88 185 185 071734AJ6 US071734AJ60 BKPNQC7 42 United States -- USD 4.33 24.57 1 Jan 30, 2030 5.25 3.94 -- 24.57 3.94 24.57 Dec 30, 2019 Dec 30, 2019 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 7758.94 0.00665442337238555 7758.94 83 83 37045XDD5 US37045XDD57 -- 92.93 United States -- USD 1.64 5.66 1 Jan 08, 2026 1.25 1.64 -- 5.66 1.64 5.66 Jan 08, 2021 Jan 08, 2021 VVV VALVOLINE INC 144A Consumer Cyclical Fixed Income 7758.92 0.006654406219466794 7758.92 93 93 92047WAG6 US92047WAG69 -- 83.39 United States -- USD 5.86 6.58 1 Jun 15, 2031 3.63 5.99 -- 6.58 5.99 6.58 Jan 04, 2021 Jan 04, 2021 MERLLN MERLIN ENTERTAINMENTS LTD 144A Consumer Cyclical Fixed Income 7751.95 0.006648428427280552 7751.95 79 79 59010QAB2 US59010QAB23 BDT58L3 98.47 United Kingdom -- USD 1.87 6.52 1 Jun 15, 2026 5.75 1.94 -- 6.52 1.94 6.52 May 09, 2018 May 09, 2018 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 7744.93 0.00664240775279742 7744.93 83 83 25160PAF4 US25160PAF45 BMZ3M90 93.11 Germany -- USD 1.82 5.55 1 Mar 19, 2026 1.69 1.82 -- 5.55 1.82 5.55 Mar 19, 2021 Mar 19, 2021 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 7740.76 0.006638831369236928 7740.76 375 375 -- MYBMS1900047 BK74DQ1 20.64 Malaysia -- USD 8.24 4 4.7775 Jul 05, 2034 3.83 8.26 -- 4 8.26 4 Jul 05, 2019 Jul 05, 2019 JNJ JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 7739.67 0.0066378965351647605 7739.67 83 83 478160CK8 US478160CK81 BFN2R40 93.38 United States -- USD 3.41 4.87 1 Jan 15, 2028 2.9 3.44 -- 4.87 3.44 4.87 Nov 10, 2017 Nov 10, 2017 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 7736.12 0.006634851892085684 7736.12 368 368 -- MYBMK1800012 BYVSC48 21.03 Malaysia -- USD 0.86 3.35 4.7775 Mar 14, 2025 3.88 0.86 -- 3.35 0.86 3.35 Mar 14, 2018 Mar 14, 2018 NWG NATWEST GROUP PLC Banking Fixed Income 7729.16 0.006628882676358819 7729.16 80 80 78009PEH0 US78009PEH01 BG5JQM7 96.45 United Kingdom -- USD 4.06 6.18 1 Jan 27, 2030 5.08 4.1 -- 5.94 4.1 5.94 Sep 27, 2018 Sep 27, 2018 WSTP WESTPAC BANKING CORP Banking Fixed Income 7729.16 0.006628882676358819 7729.16 77 77 961214FK4 US961214FK48 -- 100.69 Australia -- USD 3.14 5.24 1 Nov 18, 2027 5.46 3.13 -- 5.24 3.13 5.24 Nov 18, 2022 Nov 18, 2022 AAPL APPLE INC Technology Fixed Income 7725.66 0.006625880915576631 7725.66 81 81 037833DT4 US037833DT41 -- 95.8 United States -- USD 1.01 5.31 1 May 11, 2025 1.13 1.01 -- 5.31 1.01 5.31 May 11, 2020 May 11, 2020 MRK MERCK & CO INC Consumer Non-Cyclical Fixed Income 7725.66 0.006625880915576631 7725.66 86 86 58933YBC8 US58933YBC84 -- 90.19 United States -- USD 2.96 5.14 1 Jun 10, 2027 1.7 2.96 -- 5.14 2.96 5.14 Dec 10, 2021 Dec 10, 2021 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 7725.66 0.006625880915576631 7725.66 82 82 89236TJZ9 US89236TJZ93 -- 94.14 United States -- USD 2.72 5.25 1 Mar 22, 2027 3.05 2.72 -- 5.25 2.72 5.25 Mar 22, 2022 Mar 22, 2022 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 7720.47 0.006621429733159615 7720.47 2383 2383 -- ZAG000030404 B1W32L8 3.24 South Africa -- USD 6.87 12.52 19.06 Mar 31, 2036 6.25 7.04 -- 12.52 7.04 12.52 Mar 31, 2006 Jul 21, 2006 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 7718.65 0.006619868817552877 7718.65 77 77 808513CD5 US808513CD58 -- 99.91 United States -- USD 3.48 6.01 1 May 19, 2029 5.64 3.5 -- 5.67 3.5 5.67 May 19, 2023 May 19, 2023 CMCSA COMCAST CORPORATION Communications Fixed Income 7711.64 0.006613856719529124 7711.64 83 83 20030NCA7 US20030NCA72 BF22PP8 92.6 United States -- USD 3.47 5.32 1 Feb 15, 2028 3.15 3.49 -- 5.32 3.49 5.32 Aug 07, 2017 Aug 07, 2017 FITB FIFTH THIRD BANCORP Banking Fixed Income 7708.14 0.006610854958746936 7708.14 76 76 316773DK3 US316773DK32 -- 100.99 United States -- USD 3.6 6.35 1 Jul 27, 2029 6.34 3.63 -- 6.07 3.63 6.07 Jul 27, 2023 Jul 27, 2023 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 7700.88 0.00660462844923874 7700.88 116 116 071734AC1 US071734AC18 BHTG9P5 66.24 United States -- USD 2.88 20.23 1 Aug 15, 2027 5.75 2.67 -- 20.23 2.67 20.23 Mar 08, 2019 Mar 08, 2019 CSCO CISCO SYSTEMS INC Technology Fixed Income 7681.86 0.006588316023502393 7681.86 82 82 17275RBL5 US17275RBL50 BD8GNP6 94.21 United States -- USD 2.27 5.09 1 Sep 20, 2026 2.5 2.28 -- 5.09 2.28 5.09 Sep 20, 2016 Sep 20, 2016 SBGI SINCLAIR TELEVISION GROUP INC 144A Communications Fixed Income 7668.37 0.006576746379801903 7668.37 114 114 829259AY6 US829259AY67 -- 67.38 United States -- USD 4.61 13.81 1 Mar 01, 2030 5.5 4.42 -- 13.81 4.42 13.81 Nov 27, 2019 Nov 27, 2019 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 7662.48 0.006571694845228449 7662.48 359 359 -- MYBMY1500043 BY4K928 21.34 Malaysia -- USD 8.64 4.04 4.7775 May 31, 2035 4.25 8.66 -- 4.04 8.66 4.04 May 22, 2015 May 22, 2015 SANTAN BANCO SANTANDER SA Banking Fixed Income 7653.83 0.006564276207866757 7653.83 77 77 05964HAR6 US05964HAR66 -- 98.82 Spain -- USD 1.24 6.09 1 Aug 18, 2025 5.15 1.24 -- 6.09 1.24 6.09 Aug 18, 2022 Aug 18, 2022 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 7652.08 0.006562775327475663 7652.08 80 80 65535HAR0 US65535HAR03 -- 95.14 Japan -- USD 1.18 6.02 1 Jul 16, 2025 1.85 1.18 -- 6.02 1.18 6.02 Jul 13, 2020 Jul 13, 2020 RABOBK COOPERATIEVE RABOBANK UA Banking Fixed Income 7650.33 0.006561274447084569 7650.33 78 78 21684AAC0 US21684AAC09 BYW41H1 97.89 Netherlands -- USD 1.21 6.11 1 Aug 04, 2025 4.38 1.21 -- 6.11 1.21 6.11 Aug 04, 2015 Aug 04, 2015 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 7641.02 0.006553289763403949 7641.02 362 362 -- MYBML1900018 BGW75F0 21.08 Malaysia -- USD 2.09 3.58 4.7775 Jul 15, 2026 3.91 2.09 -- 3.58 2.09 3.58 Jan 15, 2019 Jan 15, 2019 AAPL APPLE INC Technology Fixed Income 7636.31 0.006549250251037061 7636.31 81 81 037833DK3 US037833DK32 BYX10K7 93.71 United States -- USD 3.23 4.95 1 Nov 13, 2027 3 3.26 -- 4.95 3.26 4.95 Nov 13, 2017 Nov 13, 2017 SINOPE SINOPEC GROUP OVERSEAS DEVELOPMENT 144A Owned No Guarantee Fixed Income 7632.81 0.006546248490254873 7632.81 79 79 82939GAN8 US82939GAN88 -- 96.24 China -- USD 1 5.89 1 May 13, 2025 2.15 1 -- 5.89 1 5.89 May 13, 2020 May 13, 2020 DIS WALT DISNEY CO Communications Fixed Income 7624.05 0.006538735511840026 7624.05 81 81 254687FV3 US254687FV35 -- 94.19 United States -- USD 1.65 5.33 1 Jan 13, 2026 1.75 1.65 -- 5.33 1.65 5.33 May 13, 2020 May 13, 2020 TMUS T-MOBILE USA INC Communications Fixed Income 7624.05 0.006538735511840026 7624.05 78 78 87264ADE2 US87264ADE29 -- 97.43 United States -- USD 4.1 5.47 1 Jan 15, 2029 4.85 4.1 -- 5.47 4.1 5.47 Jan 12, 2024 Jan 12, 2024 C CITIGROUP INC Banking Fixed Income 7620.54 0.00653572517459846 7620.54 81 81 172967KU4 US172967KU42 BYYKP97 93.93 United States -- USD 3.8 5.75 1 Jul 25, 2028 4.13 3.78 -- 5.75 3.78 5.75 Jul 25, 2016 Jul 25, 2016 ACAFP CREDIT AGRICOLE SA (LONDON BRANCH) MTN 144A Banking Fixed Income 7606.53 0.006523709555010331 7606.53 77 77 22534PAC7 US22534PAC77 -- 99.08 France -- USD 3.69 5.55 1 Jul 12, 2028 5.3 3.67 -- 5.55 3.67 5.55 Jan 12, 2023 Jan 12, 2023 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 7606.53 0.006523709555010331 7606.53 78 78 65339KCH1 US65339KCH14 -- 97.45 United States -- USD 2.89 5.5 1 Jul 15, 2027 4.63 2.91 -- 5.5 2.91 5.5 Jun 23, 2022 Jun 23, 2022 BKIR BANK OF IRELAND GROUP PLC 144A Banking Fixed Income 7590.76 0.00651018447857173 7590.76 76 76 06279JAC3 US06279JAC36 -- 100.16 Ireland -- USD 1.3 6.82 1 Sep 16, 2026 6.25 1.3 -- 6.12 1.31 6.12 Sep 16, 2022 Sep 16, 2022 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 7590.76 0.00651018447857173 7590.76 83 83 853254CG3 US853254CG39 -- 91.61 United Kingdom -- USD 2.53 6.1 1 Jan 12, 2028 2.61 2.53 -- 6 2.54 6 Jan 12, 2022 Jan 12, 2022 V VISA INC Technology Fixed Income 7589.01 0.006508683598180636 7589.01 83 83 92826CAL6 US92826CAL63 BM6KKJ6 91.45 United States -- USD 2.82 5.03 1 Apr 15, 2027 1.9 2.83 -- 5.03 2.83 5.03 Apr 02, 2020 Apr 02, 2020 HON HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 7578.5 0.006499669739374694 7578.5 81 81 438516BL9 US438516BL94 BYX1YN8 93.84 United States -- USD 2.35 5.14 1 Nov 01, 2026 2.5 2.36 -- 5.14 2.36 5.14 Oct 31, 2016 Oct 31, 2016 ABCSUP AMERICAN BUILDERS & CONTRACTORS SU 144A Capital Goods Fixed Income 7577.83 0.0064990951165963895 7577.83 87 87 024747AG2 US024747AG26 -- 87.3 United States -- USD 4.61 6.64 1 Nov 15, 2029 3.88 4.75 -- 6.64 4.75 6.64 May 13, 2021 May 13, 2021 MPEL MELCO RESORTS FINANCE LTD 144A Consumer Cyclical Fixed Income 7573.19 0.006495115639445146 7573.19 77 77 58547DAH2 US58547DAH26 -- 97.83 Hong Kong -- USD 4.86 7.98 1 Apr 17, 2032 7.63 5.85 -- 7.98 5.85 7.98 Apr 17, 2024 Apr 17, 2024 BATSLN BAT INTERNATIONAL FINANCE PLC Consumer Non-Cyclical Fixed Income 7564.49 0.006487654119786564 7564.49 82 82 05530QAN0 US05530QAN07 -- 92.8 United Kingdom -- USD 1.84 5.69 1 Mar 25, 2026 1.67 1.84 -- 5.69 1.84 5.69 Sep 25, 2020 Sep 25, 2020 HBAN HUNTINGTON BANCSHARES INC Banking Fixed Income 7560.98 0.006484643782544998 7560.98 75 75 446150BC7 US446150BC73 BPJP4P3 100.28 United States -- USD 3.66 6.34 1 Aug 21, 2029 6.21 3.7 -- 6.13 3.7 6.13 Aug 21, 2023 Aug 21, 2023 SIX SIX FLAGS ENTERTAINMENT CORP 144A Consumer Cyclical Fixed Income 7554.61 0.006479180577921417 7554.61 76 76 83002YAA7 US83002YAA73 -- 99.44 United States -- USD 4.69 6.7 1 May 01, 2032 6.63 6.14 -- 6.7 6.14 6.7 May 02, 2024 May 02, 2024 WSTP WESTPAC BANKING CORP Banking Fixed Income 7548.72 0.006474129043347964 7548.72 79 79 961214DF7 US961214DF70 BDBGH51 95.93 Australia -- USD 2.36 6.62 1 Nov 23, 2031 4.32 2.31 -- 6.05 2.35 6.05 Nov 23, 2016 Nov 23, 2016 CNSL CONSOLIDATED COMMUNICATIONS INC 144A Communications Fixed Income 7538.36 0.006465243831432687 7538.36 93 93 20903XAH6 US20903XAH61 -- 81.11 United States -- USD 3.87 10.43 1 Oct 01, 2028 5 3.77 -- 10.43 3.77 10.43 Mar 18, 2021 Mar 18, 2021 AL AIR LEASE CORPORATION Finance Companies Fixed Income 7525.95 0.006454600445344986 7525.95 79 79 00914AAJ1 US00914AAJ16 -- 95.13 United States -- USD 1.64 5.89 1 Jan 15, 2026 2.88 1.63 -- 5.89 1.63 5.89 Aug 17, 2020 Aug 17, 2020 SPLLLC SABINE PASS LIQUEFACTION LLC Energy Fixed Income 7524.19 0.006453090988494514 7524.19 79 79 785592AU0 US785592AU04 BF43YT6 95.08 United States -- USD 3.41 5.63 1 Mar 15, 2028 4.2 3.51 -- 5.63 3.51 5.63 Mar 06, 2017 Jul 17, 2017 MET METROPOLITAN LIFE GLOBAL FUNDING I 144A Insurance Fixed Income 7520.69 0.006450089227712326 7520.69 79 79 59217GEJ4 US59217GEJ40 -- 94.76 United States -- USD 1.15 5.57 1 Jul 02, 2025 0.95 1.15 -- 5.57 1.15 5.57 Jul 02, 2020 Jul 02, 2020 BPLN BP CAPITAL MARKETS PLC Energy Fixed Income 7513.68 0.006444077129688573 7513.68 80 80 05565QDN5 US05565QDN51 BF97NH4 93.84 United Kingdom -- USD 3.12 5.28 1 Sep 19, 2027 3.28 3.15 -- 5.28 3.15 5.28 Sep 19, 2017 Sep 19, 2017 RCICN ROGERS COMMUNICATIONS INC Communications Fixed Income 7504.92 0.006436564151273726 7504.92 80 80 775109CG4 US775109CG49 BS3B9Z3 93.84 Canada -- USD 2.69 5.54 1 Mar 15, 2027 3.2 2.69 -- 5.54 2.69 5.54 Mar 15, 2023 Jul 25, 2023 KHC KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 7503.17 0.006435063270882632 7503.17 78 78 50077LBC9 US50077LBC90 -- 95.9 United States -- USD 2.74 5.35 1 May 15, 2027 3.88 2.78 -- 5.35 2.78 5.35 Nov 15, 2020 Jan 19, 2021 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 7499.67 0.006432061510100444 7499.67 75 75 89115A2U5 US89115A2U52 -- 100.25 Canada -- USD 3.69 5.45 1 Jul 17, 2028 5.52 3.67 -- 5.45 3.67 5.45 Jul 17, 2023 Jul 17, 2023 QCOM QUALCOMM INCORPORATED Technology Fixed Income 7496.16 0.006429051172858878 7496.16 77 77 747525AF0 US747525AF05 BXS2XR6 97.97 United States -- USD 1.01 5.43 1 May 20, 2025 3.45 1.02 -- 5.43 1.02 5.43 May 20, 2015 May 20, 2015 COLTES COLOMBIA (REPUBLIC OF) Treasuries Fixed Income 7486.2 0.0064205090193187086 7486.2 374310 374310 -- COL17CT03748 BKPJY09 0.02 Colombia -- USD 7.11 11.05 3970.13 Jul 09, 2036 6.25 6.83 -- 11.05 6.83 11.05 Jul 09, 2020 Jan 13, 2021 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 7482.15 0.006417035553270748 7482.15 73 73 251526CU1 US251526CU14 BP0VPS0 102.61 Germany -- USD 3.75 6.41 1 Nov 20, 2029 6.82 3.78 -- 6.15 3.78 6.15 Nov 20, 2023 Nov 20, 2023 BNS BANK OF NOVA SCOTIA Banking Fixed Income 7480.4 0.006415534672879654 7480.4 75 75 06418GAD9 US06418GAD97 -- 99.12 Canada -- USD 3.61 5.49 1 Jun 12, 2028 5.25 3.6 -- 5.49 3.6 5.49 Jun 12, 2023 Jun 12, 2023 CTLT CATALENT PHARMA SOLUTIONS INC 144A Consumer Non-Cyclical Fixed Income 7466.39 0.006403519053291525 7466.39 76 76 14879EAE8 US14879EAE86 BHWTW30 97.68 United States -- USD 2.08 5.8 1 Jul 15, 2027 5 2.89 -- 5.8 2.89 5.8 Jun 27, 2019 Jun 27, 2019 XHR XHR LP 144A Reits Fixed Income 7464.07 0.006401529314715903 7464.07 75 75 98372MAA3 US98372MAA36 BKPVMF6 99.5 United States -- USD 0.86 6.77 1 Aug 15, 2025 6.38 1.22 -- 6.77 1.22 6.77 Aug 18, 2020 Aug 18, 2020 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 7457.62 0.006395997498417299 7457.62 76 76 89788MAR3 US89788MAR34 -- 97.7 United States -- USD 4.01 6.15 1 Jan 24, 2030 5.43 4.06 -- 6 4.06 6 Jan 24, 2024 Jan 24, 2024 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 7448.86 0.006388484520002452 7448.86 76 76 53944YAB9 US53944YAB92 BDFXRF8 97.62 United Kingdom -- USD 1.8 5.98 1 Mar 24, 2026 4.65 1.79 -- 5.98 1.79 5.98 Mar 24, 2016 Mar 24, 2016 MPLX MPLX LP Energy Fixed Income 7447.11 0.006386983639611358 7447.11 80 80 55336VBR0 US55336VBR06 BKP8MJ1 93.2 United States -- USD 1.78 5.67 1 Mar 01, 2026 1.75 1.77 -- 5.67 1.77 5.67 Aug 18, 2020 Aug 18, 2020 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 7436.91 0.0063782356510461245 7436.91 3291 3291 -- TH062303M604 BL6HBV9 2.26 Thailand -- USD 14.54 3.19 37.0175 Jun 17, 2042 2 14.62 -- 3.19 14.62 3.19 Oct 30, 2020 Oct 30, 2020 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 7424.34 0.006367455041608381 7424.34 77 77 86562MAC4 US86562MAC47 BDCRBQ2 96.97 Japan -- USD 1.77 5.51 1 Mar 09, 2026 3.78 1.77 -- 5.51 1.77 5.51 Mar 09, 2016 Mar 09, 2016 CENT CENTRAL GARDEN & PET COMPANY 144A Consumer Non-Cyclical Fixed Income 7417.64 0.006361708813825336 7417.64 86 86 153527AP1 US153527AP10 -- 85.76 United States -- USD 5.54 6.7 1 Apr 30, 2031 4.13 5.75 -- 6.7 5.75 6.7 Apr 30, 2021 Apr 30, 2021 WFC WELLS FARGO BANK NA (FXD) Banking Fixed Income 7415.58 0.006359942063193533 7415.58 75 75 94988J6H5 US94988J6H59 -- 98.91 United States -- USD 1.59 5.48 1 Jan 15, 2026 4.81 1.61 -- 5.48 1.61 5.48 Jan 23, 2024 Jan 23, 2024 BALN BAE SYSTEMS PLC 144A Capital Goods Fixed Income 7405.07 0.0063509282043875915 7405.07 76 76 05523RAJ6 US05523RAJ68 -- 98.07 United Kingdom -- USD 4.26 5.58 1 Mar 26, 2029 5.13 4.27 -- 5.58 4.27 5.58 Mar 26, 2024 Mar 26, 2024 MS MORGAN STANLEY MTN Banking Fixed Income 7405.07 0.0063509282043875915 7405.07 75 75 61747YFF7 US61747YFF79 -- 99.25 United States -- USD 3.65 5.87 1 Jul 20, 2029 5.45 3.68 -- 5.65 3.68 5.65 Jul 21, 2023 Jul 21, 2023 TSN TYSON FOODS INC Consumer Non-Cyclical Fixed Income 7405.07 0.0063509282043875915 7405.07 78 78 902494BC6 US902494BC62 BF0P300 94.36 United States -- USD 2.81 5.55 1 Jun 02, 2027 3.55 2.84 -- 5.55 2.84 5.55 Jun 02, 2017 Jun 02, 2017 CZGB CZECH REPUBLIC Treasuries Fixed Income 7399.21 0.006345902399192272 7399.21 1762 1762 -- CZ0001001796 B1KNGG3 4.2 Czech Republic -- USD 9.65 4.33 23.49435 Dec 04, 2036 4.2 9.46 -- 4.33 9.46 4.33 Dec 04, 2006 Dec 04, 2006 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 7396.31 0.006343415225972745 7396.31 80 80 92343VFS8 US92343VFS88 -- 93.03 United States -- USD 1.52 5.55 1 Nov 20, 2025 0.85 1.51 -- 5.55 1.51 5.55 Nov 20, 2020 Nov 20, 2020 CZGB CZECH REPUBLIC Treasuries Fixed Income 7387.62 0.00633596228277354 7387.62 1631 1631 -- CZ0001007025 -- 4.53 Czech Republic -- USD 4.34 4.26 23.49435 Mar 29, 2029 5.75 4.25 -- 4.26 4.25 4.26 Jul 28, 2023 Jul 28, 2023 MS MORGAN STANLEY MTN Banking Fixed Income 7384.05 0.006332900486775709 7384.05 73 73 61746BCY0 US61746BCY02 B1B2PW8 101.54 United States -- USD 2.09 5.52 1 Aug 09, 2026 6.25 2.09 -- 5.52 2.09 5.52 Aug 09, 2006 Aug 09, 2006 SANUK SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 7378.79 0.006328389269143049 7378.79 73 73 80281LAS4 US80281LAS43 -- 101.05 United Kingdom -- USD 1.43 6.87 1 Nov 21, 2026 6.83 1.42 -- 6.12 1.43 6.12 Nov 21, 2022 Nov 21, 2022 BHI BAKER HUGHES HOLDINGS LLC Energy Fixed Income 7366.53 0.0063178745299460135 7366.53 79 79 05723KAE0 US05723KAE01 BGDLVQ4 93.25 United States -- USD 3.29 5.4 1 Dec 15, 2027 3.34 3.32 -- 5.4 3.32 5.4 Dec 11, 2017 Jan 31, 2018 MPLX MPLX LP Energy Fixed Income 7363.02 0.006314864192704448 7363.02 78 78 55336VAR1 US55336VAR15 BF2PXS6 94.69 United States -- USD 3.48 5.53 1 Mar 15, 2028 4 3.52 -- 5.53 3.52 5.53 Feb 08, 2018 Feb 08, 2018 MS MORGAN STANLEY MTN Banking Fixed Income 7363.02 0.006314864192704448 7363.02 75 75 61747YET8 US61747YET82 -- 98.67 United States -- USD 1.16 6.36 1 Jul 17, 2026 4.68 1.15 -- 5.81 1.16 5.81 Jul 20, 2022 Jul 20, 2022 VMW VMWARE LLC Technology Fixed Income 7349.01 0.006302848573116318 7349.01 81 81 928563AJ4 US928563AJ42 -- 90.92 United States -- USD 2.22 5.65 1 Aug 15, 2026 1.4 2.21 -- 5.65 2.21 5.65 Aug 02, 2021 Aug 02, 2021 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 7342 0.006296836475092565 7342 76 76 459200JG7 US459200JG74 BYN2GW4 96.65 United States -- USD 1.73 5.41 1 Feb 19, 2026 3.45 1.72 -- 5.41 1.72 5.41 Feb 19, 2016 Feb 19, 2016 FE FIRSTENERGY CORPORATION Electric Fixed Income 7341.02 0.006295995982073552 7341.02 87 87 337932AL1 US337932AL12 BKMGCD2 83.97 United States -- USD 5.25 5.93 1 Mar 01, 2030 2.65 5.23 -- 5.93 5.23 5.93 Feb 20, 2020 Feb 20, 2020 MTNA ARCELORMITTAL SA Basic Industry Fixed Income 7336.75 0.006292333833919283 7336.75 72 72 03938LBE3 US03938LBE39 -- 102.46 Luxembourg -- USD 3.07 5.78 1 Nov 29, 2027 6.55 3.09 -- 5.76 3.03 5.76 Nov 29, 2022 Nov 29, 2022 DANBNK DANSKE BANK A/S MTN 144A Banking Fixed Income 7329.74 0.0062863217358955295 7329.74 73 73 23636ABE0 US23636ABE01 -- 100.42 Denmark -- USD 1.3 6.12 1 Sep 22, 2026 6.26 1.32 -- 5.94 1.32 5.94 Sep 22, 2023 Sep 22, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 7329.63 0.006286227394842375 7329.63 732963 732963 -- IDG000012204 BD81CW1 0.01 Indonesia -- USD 6.05 7.13 16187.5 Aug 15, 2032 7.5 6.05 -- 7.13 6.05 7.13 Aug 15, 2016 Nov 10, 2016 BMO BANK OF MONTREAL MTN Banking Fixed Income 7327.99 0.0062848208555044355 7327.99 74 74 06368LNT9 US06368LNT97 -- 99.61 Canada -- USD 1.94 5.5 1 Jun 05, 2026 5.3 1.93 -- 5.5 1.93 5.5 Jun 05, 2023 Jun 05, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 7327.99 0.0062848208555044355 7327.99 72 72 78016FZU1 US78016FZU10 -- 102.02 Canada -- USD 3.07 5.36 1 Nov 01, 2027 6 3.06 -- 5.36 3.06 5.36 Oct 25, 2022 Oct 25, 2022 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 7322.73 0.006280309637871776 7322.73 79 79 808513BY0 US808513BY05 -- 92.11 United States -- USD 2.69 5.47 1 Mar 03, 2027 2.45 2.69 -- 5.47 2.69 5.47 Mar 03, 2022 Mar 03, 2022 TOYOTA TOYOTA MOTOR CREDIT CORP Consumer Cyclical Fixed Income 7317.47 0.006275798420239116 7317.47 74 74 89236TKC8 US89236TKC89 -- 98.31 United States -- USD 1.12 5.44 1 Jun 30, 2025 3.95 1.12 -- 5.44 1.12 5.44 Jun 30, 2022 Jun 30, 2022 HOUS ANYWHERE REAL ESTATE GROUP LLC 144A Consumer Cyclical Fixed Income 7313.16 0.006272101966247336 7313.16 110 110 75606DAQ4 US75606DAQ43 BP82M40 66.19 United States -- USD 4.86 13.73 1 Apr 15, 2030 5.25 4.65 -- 13.73 4.65 13.73 Jan 10, 2022 Jan 10, 2022 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 7312.22 0.006271295779065834 7312.22 75 75 14040HBJ3 US14040HBJ32 BYQGXW2 97.37 United States -- USD 1.4 6.05 1 Oct 29, 2025 4.2 1.41 -- 6.05 1.41 6.05 Oct 29, 2015 Oct 29, 2015 NTT NTT FINANCE CORP 144A Communications Fixed Income 7306.96 0.006266784561433174 7306.96 84 84 62954WAD7 US62954WAD74 -- 86.7 Japan -- USD 3.73 5.38 1 Apr 03, 2028 1.59 3.72 -- 5.38 3.72 5.38 Mar 03, 2021 Mar 03, 2021 BA BOEING CO Capital Goods Fixed Income 7299.96 0.006260781039868798 7299.96 77 77 097023DA0 US097023DA04 -- 94.25 United States -- USD 1.69 6.23 1 Feb 01, 2026 2.75 1.67 -- 6.23 1.67 6.23 Nov 02, 2020 Nov 02, 2020 DAN DANA INC Consumer Cyclical Fixed Income 7292.27 0.0062541857426073625 7292.27 85 85 235825AH9 US235825AH97 -- 85.74 United States -- USD 5.25 7.07 1 Sep 01, 2030 4.25 5.33 -- 7.07 5.33 7.07 May 13, 2021 May 13, 2021 NIPLIF NIPPON LIFE INSURANCE CO 144A Insurance Fixed Income 7289.45 0.0062517671810628575 7289.45 75 75 654579AE1 US654579AE17 BYW8BJ5 97.37 Japan -- USD 1.61 8.17 1 Jan 20, 2046 4.7 1.47 -- 6.32 1.62 6.32 Jan 20, 2016 Jan 20, 2016 FANG DIAMONDBACK ENERGY INC Energy Fixed Income 7282.44 0.006245755083039104 7282.44 73 73 25278XAX7 US25278XAX75 -- 99.32 United States -- USD 2.7 5.45 1 Apr 18, 2027 5.2 2.72 -- 5.45 2.72 5.45 Apr 18, 2024 Apr 18, 2024 TRPCN TRANSCANADA TRUST Energy Fixed Income 7280.69 0.00624425420264801 7280.69 78 78 89356BAC2 US89356BAC28 BDZV3W1 92.93 Canada -- USD 2.63 8.74 1 Mar 15, 2077 5.3 2.44 -- 8.09 2.59 8.09 Mar 02, 2017 Mar 02, 2017 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 7277.18 0.006241243865406444 7277.18 74 74 606822CY8 US606822CY81 -- 98.84 Japan -- USD 3.5 5.81 1 Apr 19, 2029 5.24 3.54 -- 5.57 3.54 5.57 Apr 19, 2023 Apr 19, 2023 MPC MARATHON PETROLEUM CORP Energy Fixed Income 7275.43 0.00623974298501535 7275.43 74 74 56585ABH4 US56585ABH41 BMDWQJ7 98.97 United States -- USD 0.94 5.76 1 May 01, 2025 4.7 0.95 -- 5.76 0.95 5.76 Apr 27, 2020 Apr 27, 2020 KMI KINDER MORGAN INC Energy Fixed Income 7270.18 0.006235240343842068 7270.18 75 75 494553AD2 US494553AD27 -- 97.46 United States -- USD 4.13 5.61 1 Feb 01, 2029 5 4.13 -- 5.61 4.13 5.61 Feb 01, 2024 Feb 01, 2024 NWG NATWEST GROUP PLC Banking Fixed Income 7261.42 0.00622772736542722 7261.42 73 73 639057AK4 US639057AK45 -- 99.77 United Kingdom -- USD 3.76 6.08 1 Sep 13, 2029 5.81 3.79 -- 5.87 3.8 5.87 Jun 13, 2023 Jun 13, 2023 SFRFP ALTICE FRANCE SA (FRANCE) 144A Communications Fixed Income 7259.76 0.006226303673170525 7259.76 112 112 02156LAE1 US02156LAE11 -- 64.92 France -- USD 3.99 15.99 1 Jan 15, 2029 5.13 3.78 -- 15.99 3.78 15.99 Sep 18, 2020 Sep 18, 2020 CHCOCH CHENIERE CORPUS CHRISTI HOLDINGS L Energy Fixed Income 7259.66 0.006226217908576749 7259.66 74 74 16412XAG0 US16412XAG07 BDRJN78 98.56 United States -- USD 2.67 5.62 1 Jun 30, 2027 5.13 2.85 -- 5.62 2.85 5.62 May 19, 2017 Dec 21, 2017 DLTR DOLLAR TREE INC Consumer Cyclical Fixed Income 7259.66 0.006226217908576749 7259.66 76 76 256746AH1 US256746AH16 BFY8ZY3 95.05 United States -- USD 3.55 5.58 1 May 15, 2028 4.2 3.59 -- 5.58 3.59 5.58 Apr 19, 2018 Apr 19, 2018 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 7254.41 0.006221715267403467 7254.41 77 77 641062AF1 US641062AF17 BFY34J6 93.94 Switzerland -- USD 3.95 5.18 1 Sep 24, 2028 3.63 3.99 -- 5.18 3.99 5.18 Sep 24, 2018 Sep 24, 2018 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 7252.66 0.006220214387012373 7252.66 72 72 539439AX7 US539439AX74 -- 100.06 United Kingdom -- USD 3.35 6.07 1 Mar 06, 2029 5.87 3.38 -- 5.85 3.39 5.85 Mar 06, 2023 Mar 06, 2023 RRX REGAL REXNORD CORP 144A Capital Goods Fixed Income 7252.66 0.006220214387012373 7252.66 73 73 758750AD5 US758750AD59 -- 99.95 United States -- USD 3.48 6.06 1 Apr 15, 2028 6.05 3.48 -- 6.06 3.48 6.06 Jan 24, 2023 Jan 24, 2023 OPI OFFICE PROPERTIES INCOME TRUST Financial Institutions Equity 7237.89 0.00620754695651154 7237.89 656 656 67623C208 US67623C2089 BK80YB0 11.03 United States -- USD 6.88 14.78 1 Jun 23, 2050 6.38 6.82 -- 14.78 6.82 14.78 Jun 23, 2020 Jun 23, 2020 MIDCAP MIDCAP FINANCIAL ISSUER TRUST 144A Finance Companies Fixed Income 7227.26 0.006198430180193066 7227.26 86 86 59590AAA7 US59590AAA79 -- 83.63 United States -- USD 4.64 9.38 1 Jan 15, 2030 5.63 4.58 -- 9.38 4.58 9.38 Jun 30, 2021 Jun 30, 2021 WSTP WESTPAC BANKING CORP Banking Fixed Income 7222.88 0.006194673690985642 7222.88 76 76 961214CX9 US961214CX95 BYP8N85 95.33 Australia -- USD 1.93 5.28 1 May 13, 2026 2.85 1.93 -- 5.28 1.93 5.28 May 13, 2016 May 13, 2016 CNQCN CANADIAN NATURAL RESOURCES LTD Energy Fixed Income 7217.62 0.006190162473352983 7217.62 76 76 136385AX9 US136385AX99 BF0P377 95.14 Canada -- USD 2.79 5.58 1 Jun 01, 2027 3.85 2.82 -- 5.58 2.82 5.58 May 30, 2017 May 30, 2017 USB US BANCORP MTN Banking Fixed Income 7217.62 0.006190162473352983 7217.62 72 72 91159HJH4 US91159HJH49 -- 99.97 United States -- USD 1.38 6.14 1 Oct 21, 2026 5.73 1.4 -- 5.75 1.41 5.75 Oct 21, 2022 Oct 21, 2022 C CITIGROUP INC Banking Fixed Income 7203.6 0.006178138277305475 7203.6 74 74 172967JC6 US172967JC62 BSNM7V8 96.92 United States -- USD 2.36 5.6 1 Nov 20, 2026 4.3 2.35 -- 5.6 2.35 5.6 Nov 20, 2014 Nov 20, 2014 KO COCA-COLA CO Consumer Non-Cyclical Fixed Income 7191.34 0.00616762353810844 7191.34 80 80 191216CU2 US191216CU25 -- 90.03 United States -- USD 2.95 4.96 1 Jun 01, 2027 1.45 2.95 -- 4.96 2.95 4.96 May 01, 2020 May 01, 2020 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 7191.34 0.00616762353810844 7191.34 73 73 606822CL6 US606822CL60 -- 98.4 Japan -- USD 2.88 5.91 1 Jul 20, 2028 5.02 2.9 -- 5.56 2.91 5.56 Jul 20, 2022 Jul 20, 2022 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 7191.04 0.006167366244327109 7191.04 334 334 -- MYBMZ2300010 BPK4FN4 21.51 Malaysia -- USD 16.1 4.29 4.7775 Mar 31, 2053 4.46 16.31 -- 4.29 16.31 4.29 Mar 31, 2023 Mar 31, 2023 UBS UBS GROUP AG 144A Banking Fixed Income 7182.58 0.006160110559693593 7182.58 78 78 902613AC2 US902613AC28 -- 92.25 Switzerland -- USD 1.69 6.14 1 Jan 30, 2027 1.36 1.69 -- 6.06 1.69 6.06 Jul 30, 2020 Jul 30, 2020 RCICN ROGERS COMMUNICATIONS INC Communications Fixed Income 7173.82 0.006152597581278745 7173.82 74 74 775109DE8 US775109DE81 BPGLSS5 97.26 Canada -- USD 4.16 5.66 1 Feb 15, 2029 5 4.16 -- 5.66 4.16 5.66 Feb 09, 2024 Feb 09, 2024 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 7165.06 0.006145084602863897 7165.06 73 73 53944YAF0 US53944YAF07 BF0PSD8 98.67 United Kingdom -- USD 0.98 5.79 1 May 08, 2025 4.45 0.98 -- 5.79 0.98 5.79 May 08, 2018 May 08, 2018 HPP HUDSON PACIFIC PROPERTIES LP Reits Fixed Income 7159.93 0.006140684879203147 7159.93 96 96 44409MAC0 US44409MAC01 -- 74.93 United States -- USD 5 8.94 1 Jan 15, 2030 3.25 4.9 -- 8.94 4.9 8.94 Oct 03, 2019 Oct 03, 2019 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 7151.05 0.006133068983275767 7151.05 72 72 025816DE6 US025816DE69 -- 99.16 United States -- USD 0.95 6.08 1 May 01, 2026 4.99 0.95 -- 5.85 0.95 5.85 May 01, 2023 May 01, 2023 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 7146.97 0.006129569787849674 7146.97 325 325 -- MYBMT1800039 BF16186 22 Malaysia -- USD 7.54 3.99 4.7775 Nov 07, 2033 4.64 7.55 -- 3.99 7.55 3.99 May 07, 2018 May 07, 2018 LLOYDS LLOYDS BANKING GROUP PLC (FXD-FXD) Banking Fixed Income 7145.79 0.006128557765643108 7145.79 71 71 539439AY5 US539439AY57 -- 100.16 United Kingdom -- USD 2.06 6.13 1 Aug 07, 2027 5.99 2.08 -- 5.9 2.08 5.9 Aug 07, 2023 Aug 07, 2023 HASI HAT HOLDINGS I LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 7139.04 0.006122768655563174 7139.04 72 72 418751AB9 US418751AB93 BMDSC53 99.34 United States -- USD 0.81 6.7 1 Apr 15, 2025 6 0.93 -- 6.7 0.93 6.7 Apr 21, 2020 Apr 21, 2020 TAQAUH ABU DHABI NATIONAL ENERGY CO PJSC 144A Owned No Guarantee Fixed Income 7130.03 0.006115041265663885 7130.03 72 72 00388WAF8 US00388WAF86 BG00Q25 98.41 United Arab Emirates -- USD 0.96 6.05 1 Apr 23, 2025 4.38 0.95 -- 6.05 0.95 6.05 Apr 23, 2018 Apr 23, 2018 UBS CREDIT SUISSE AG (NEW YORK BRANCH) MTN Banking Fixed Income 7114.26 0.006101516189225283 7114.26 73 73 22550L2K6 US22550L2K67 -- 97.68 Switzerland -- USD 2.89 5.8 1 Jul 09, 2027 5 2.87 -- 5.8 2.87 5.8 Aug 23, 2022 Aug 23, 2022 CPN CALPINE CORP 144A Electric Fixed Income 7111.18 0.006098874639736958 7111.18 72 72 131347CK0 US131347CK09 BYZ97P3 98.49 United States -- USD 1.48 6.03 1 Jun 01, 2026 5.25 1.92 -- 6.03 1.92 6.03 May 31, 2016 May 31, 2016 CMCSA COMCAST CORPORATION Communications Fixed Income 7110.76 0.006098514428443095 7110.76 77 77 20030NBW0 US20030NBW02 BDFL086 92.69 United States -- USD 2.56 5.26 1 Jan 15, 2027 2.35 2.56 -- 5.26 2.56 5.26 Jul 19, 2016 Jul 19, 2016 NWG NATWEST GROUP PLC Banking Fixed Income 7102 0.006091001450028248 7102 69 69 639057AG3 US639057AG33 -- 102.3 United Kingdom -- USD 1.39 6.69 1 Nov 10, 2026 7.47 1.39 -- 5.88 1.4 5.88 Nov 10, 2022 Nov 10, 2022 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 7086.23 0.006077476373589647 7086.23 76 76 14040HBW4 US14040HBW43 BFXS0V6 93.61 United States -- USD 3.41 5.71 1 Jan 31, 2028 3.8 3.4 -- 5.71 3.4 5.71 Jan 30, 2018 Jan 30, 2018 CDEL CORPORACION NACIONAL DEL COBRE DE 144A Owned No Guarantee Fixed Income 7086.23 0.006077476373589647 7086.23 76 76 21987BAW8 US21987BAW81 BF3SXP1 93.1 Chile -- USD 2.98 5.98 1 Aug 01, 2027 3.63 2.99 -- 5.98 2.99 5.98 Aug 01, 2017 Aug 01, 2017 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 7084.48 0.006075975493198553 7084.48 70 70 00774MAN5 US00774MAN56 -- 100.71 Ireland -- USD 1.09 5.88 1 Jul 15, 2025 6.5 1.14 -- 5.85 1.07 5.85 Jun 08, 2020 Jun 08, 2020 BNS BANK OF NOVA SCOTIA Banking Fixed Income 7080.98 0.006072973732416365 7080.98 72 72 064159HB5 US064159HB54 BYPLQJ6 97.75 Canada -- USD 1.54 5.95 1 Dec 16, 2025 4.5 1.53 -- 5.95 1.53 5.95 Dec 16, 2015 Dec 16, 2015 KMI KINDER MORGAN INC Energy Fixed Income 7075.72 0.006068462514783705 7075.72 74 74 49456BAP6 US49456BAP67 BDR5VP0 95.96 United States -- USD 3.42 5.48 1 Mar 01, 2028 4.3 3.47 -- 5.48 3.47 5.48 Mar 01, 2018 Mar 01, 2018 CRHID CRH AMERICA INC. 144A Capital Goods Fixed Income 7066.96 0.006060949536368858 7066.96 72 72 12626PAM5 US12626PAM59 BX8Z1D7 97.93 Ireland -- USD 1 5.91 1 May 18, 2025 3.88 1.01 -- 5.91 1.01 5.91 May 18, 2015 May 18, 2015 BTECN BAYTEX ENERGY CORP 144A Energy Fixed Income 7064.75 0.0060590541388463905 7064.75 70 70 07317QAK1 US07317QAK13 -- 100.9 Canada -- USD 4.47 7.19 1 Mar 15, 2032 7.38 5.89 -- 7.1 4.03 7.1 Apr 01, 2024 Apr 01, 2024 JNJ JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 7063.46 0.00605794777558667 7063.46 80 80 478160CP7 US478160CP78 -- 87.81 United States -- USD 3.22 4.94 1 Sep 01, 2027 0.95 3.22 -- 4.94 3.22 4.94 Aug 25, 2020 Aug 25, 2020 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 7061.7 0.006056438318736198 7061.7 72 72 64952WEY5 US64952WEY57 -- 98.18 United States -- USD 3.31 5.39 1 Jan 09, 2028 4.85 3.3 -- 5.39 3.3 5.39 Jan 09, 2023 Jan 09, 2023 WAB WESTINGHOUSE AIR BRAKE TECHNOLOGIE Capital Goods Fixed Income 7052.95 0.006048933916780728 7052.95 73 73 960386AM2 US960386AM29 BGKCBF9 96.18 United States -- USD 3.83 5.69 1 Sep 15, 2028 4.7 3.88 -- 5.69 3.88 5.69 Sep 14, 2018 Sep 14, 2018 AES AES CORPORATION (THE) Electric Fixed Income 7024.92 0.006024894101145092 7024.92 76 76 00130HCE3 US00130HCE36 -- 92.51 United States -- USD 1.66 6.02 1 Jan 15, 2026 1.38 1.65 -- 6.02 1.65 6.02 Jul 15, 2021 Aug 18, 2021 LUMN LUMEN TECHNOLOGIES INC 144A Communications Fixed Income 7018.31 0.006019225061496445 7018.31 110 110 550241AB9 US550241AB91 -- 63.88 United States -- USD 4.29 14.59 1 Apr 15, 2029 4.13 4.09 -- 14.59 4.09 14.59 Mar 22, 2024 Mar 22, 2024 THAIGB THAILAND KINGDOM OF (GOVERNMENT) Treasuries Fixed Income 7007.8 0.006010211202690504 7007.8 2932 2932 -- TH062303F608 BKTHTT3 2.39 Thailand -- USD 9.96 2.79 37.0175 Jun 17, 2035 1.6 9.98 -- 2.79 9.98 2.79 Aug 23, 2019 Aug 23, 2019 RIG TRANSOCEAN INC 144A Energy Fixed Income 7002.06 0.006005288315007715 7002.06 70 70 893830BZ1 US893830BZ10 -- 99.75 United States -- USD 4.01 8.52 1 May 15, 2031 8.5 5.22 -- 8.52 5.22 8.52 Apr 18, 2024 Apr 18, 2024 BHP BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 6996.89 0.0060008542855094545 6996.89 70 70 055451BC1 US055451BC11 -- 99.31 Australia -- USD 3.83 5.28 1 Sep 08, 2028 5.1 3.84 -- 5.28 3.84 5.28 Sep 08, 2023 Sep 08, 2023 BAX BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 6991.63 0.005996343067876795 6991.63 77 77 071813CL1 US071813CL19 -- 90.71 United States -- USD 2.63 5.58 1 Feb 01, 2027 1.92 2.62 -- 5.58 2.62 5.58 Dec 01, 2021 Jun 10, 2022 BNP BNP PARIBAS SA 144A Banking Fixed Income 6989.88 0.005994842187485701 6989.88 79 79 09659W2M5 US09659W2M50 BMDWBR0 88.08 France -- USD 3.23 6.03 1 Sep 30, 2028 1.9 3.23 -- 5.79 3.23 5.79 Sep 30, 2020 Sep 30, 2020 LLY ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 6988.13 0.005993341307094607 6988.13 72 72 532457CK2 US532457CK20 -- 97.58 United States -- USD 4.19 5.07 1 Feb 09, 2029 4.5 4.21 -- 5.07 4.21 5.07 Feb 09, 2024 Feb 09, 2024 VARNO VAR ENERGI ASA 144A Energy Fixed Income 6982.87 0.005988830089461947 6982.87 67 67 92212WAD2 US92212WAD20 -- 103.99 Norway -- USD 3.16 6.28 1 Jan 15, 2028 7.5 3.16 -- 6.25 3.1 6.25 Nov 15, 2022 Nov 15, 2022 SANTAN BANCO SANTANDER SA Banking Fixed Income 6981.12 0.005987329209070854 6981.12 67 67 05964HAY1 US05964HAY18 -- 103.6 Spain -- USD 3.8 5.69 1 Nov 07, 2028 6.61 3.78 -- 5.69 3.78 5.69 Nov 07, 2023 Nov 07, 2023 FOSL FOSSIL GROUP INC Industrial Equity 6966.08 0.005974430214166823 6966.08 697 697 34988V304 US34988V3042 BPDZ125 10 United States -- USD 0 -- 1 Nov 30, 2026 7 0 -- -- 0 -- Nov 08, 2021 Nov 08, 2021 NI NISOURCE INC Natural Gas Fixed Income 6965.35 0.0059738041326322525 6965.35 74 74 65473PAK1 US65473PAK12 -- 94.06 United States -- USD 1.27 5.73 1 Aug 15, 2025 0.95 1.26 -- 5.73 1.26 5.73 Aug 18, 2020 Aug 18, 2020 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 6961.85 0.0059708023718500645 6961.85 70 70 37045XBG0 US37045XBG07 BD31B07 99.13 United States -- USD 1.63 5.75 1 Mar 01, 2026 5.25 1.72 -- 5.75 1.72 5.75 Mar 01, 2016 Mar 01, 2016 TTEFP TOTALENERGIES CAPITAL SA Energy Fixed Income 6960.1 0.0059693014914589705 6960.1 73 73 89152UAH5 US89152UAH59 BF5B2Y0 94.81 France -- USD 4.03 5.2 1 Oct 11, 2028 3.88 4.02 -- 5.2 4.02 5.2 Oct 11, 2018 Oct 11, 2018 BPCEGP BPCE SA 144A Banking Fixed Income 6947.83 0.005958778175802557 6947.83 74 74 05583JAH5 US05583JAH59 -- 93.77 France -- USD 1.41 6.47 1 Oct 06, 2026 1.65 1.39 -- 6.22 1.39 6.22 Oct 06, 2020 Oct 06, 2020 DAIL DAI-ICHI LIFE INSURANCE CO LTD/THE 144A Insurance Fixed Income 6946.08 0.005957277295411463 6946.08 73 73 23380YAD9 US23380YAD94 BD0P9Q4 95.08 Japan -- USD 2.06 8.75 1 Dec 31, 2079 4 1.9 -- 6.38 2.08 6.38 Jul 20, 2016 Jul 20, 2016 INTNED ING GROEP NV Banking Fixed Income 6940.83 0.005952774654238181 6940.83 73 73 456837AH6 US456837AH61 BYV8RJ8 95.52 Netherlands -- USD 2.71 5.63 1 Mar 29, 2027 3.95 2.71 -- 5.63 2.71 5.63 Mar 29, 2017 Mar 29, 2017 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN MTN Banking Fixed Income 6940.83 0.005952774654238181 6940.83 74 74 86562MAK6 US86562MAK62 BYM73B8 94.23 Japan -- USD 2.35 5.53 1 Oct 19, 2026 3.01 2.34 -- 5.53 2.34 5.53 Oct 19, 2016 Oct 19, 2016 UBS UBS GROUP AG 144A Banking Fixed Income 6926.81 0.0059407504581906745 6926.81 70 70 902613AM0 US902613AM00 -- 98.42 Switzerland -- USD 0.98 6.39 1 May 12, 2026 4.49 0.98 -- 6.06 0.98 6.06 May 12, 2022 May 12, 2022 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 6904.04 0.005921221860187697 6904.04 70 70 025816DC0 US025816DC04 -- 98.96 United States -- USD 1.66 5.51 1 Feb 13, 2026 4.9 1.68 -- 5.51 1.68 5.51 Feb 16, 2023 Feb 16, 2023 NWG NATWEST GROUP PLC Banking Fixed Income 6902.29 0.005919720979796603 6902.29 75 75 639057AC2 US639057AC29 -- 91.6 United Kingdom -- USD 2.03 5.8 1 Jun 14, 2027 1.64 2.03 -- 5.8 2.03 5.8 Jun 14, 2021 Jun 14, 2021 HGB HUNGARY (GOVERNMENT) Treasuries Fixed Income 6895.3 0.005913726034691605 6895.3 43096 43096 -- HU0000404165 BH3T5H4 0.16 Hungary -- USD 11.95 7.13 366.65735 Apr 25, 2041 3 11.53 -- 7.13 11.53 7.13 Jan 22, 2020 Jan 22, 2020 LUMN LUMEN TECHNOLOGIES INC 144A Communications Fixed Income 6895.27 0.005913700305313472 6895.27 110 110 550241AC7 US550241AC74 -- 62.75 United States -- USD 5 13.38 1 Apr 15, 2030 4.13 4.8 -- 13.38 4.8 13.38 Mar 22, 2024 Mar 22, 2024 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 6888.27 0.005907696783749096 6888.27 71 71 37045XCX2 US37045XCX21 -- 96.57 United States -- USD 1.1 5.87 1 Jun 20, 2025 2.75 1.1 -- 5.87 1.1 5.87 Jun 22, 2020 Jun 22, 2020 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 6888.27 0.005907696783749096 6888.27 69 69 37045XDZ6 US37045XDZ69 -- 100.22 United States -- USD 1.38 5.89 1 Oct 10, 2025 6.05 1.37 -- 5.89 1.37 5.89 Oct 12, 2022 Oct 12, 2022 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 6886.02 0.005905767080389118 6886.02 2303 2303 -- ZAG000077488 B5VV9G5 2.99 South Africa -- USD 6.96 12.78 19.06 Feb 28, 2041 6.5 7.69 -- 12.78 7.69 12.78 Feb 28, 2010 Jun 04, 2010 SANTAN BANCO SANTANDER SA Banking Fixed Income 6884.77 0.005904695022966908 6884.77 70 70 05971KAA7 US05971KAA79 BF4TFS0 98.58 Spain -- USD 1.46 6.14 1 Nov 19, 2025 5.18 1.45 -- 6.14 1.45 6.14 Nov 19, 2015 Nov 19, 2015 UBS UBS GROUP AG 144A Banking Fixed Income 6884.77 0.005904695022966908 6884.77 71 71 902613AP3 US902613AP31 -- 96.84 Switzerland -- USD 2.7 6.14 1 May 12, 2028 4.75 2.72 -- 5.9 2.73 5.9 May 12, 2022 May 12, 2022 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 6877.76 0.005898682924943154 6877.76 74 74 89114TZT2 US89114TZT23 -- 93 Canada -- USD 2.7 5.46 1 Mar 10, 2027 2.8 2.7 -- 5.46 2.7 5.46 Mar 10, 2022 Mar 10, 2022 NBNAUS NBN CO LTD MTN 144A Owned No Guarantee Fixed Income 6876.01 0.005897182044552061 6876.01 75 75 62878U2A9 US62878U2A90 -- 92.22 Australia -- USD 1.94 5.56 1 May 05, 2026 1.45 1.94 -- 5.56 1.94 5.56 May 05, 2021 May 05, 2021 SOCGEN SOCIETE GENERALE SA FXD-FXD MTN 144A Banking Fixed Income 6872.51 0.005894180283769873 6872.51 68 68 83368RBQ4 US83368RBQ48 -- 100.65 France -- USD 1.55 6.55 1 Jan 12, 2027 6.45 1.57 -- 6.04 1.57 6.04 Jan 10, 2023 Jan 10, 2023 MPLX MPLX LP Energy Fixed Income 6869 0.005891169946528307 6869 69 69 55336VAJ9 US55336VAJ98 BYYHPS7 99.04 United States -- USD 0.99 5.79 1 Jun 01, 2025 4.88 1.03 -- 5.79 1.03 5.79 Jun 01, 2016 Sep 27, 2016 PLNIJ PERUSAHAAN PERSEROAN (PERSERO) PT MTN 144A Owned No Guarantee Fixed Income 6867.25 0.005889669066137213 6867.25 70 70 71568PAE9 US71568PAE97 BD24YF3 98.31 Indonesia -- USD 3.54 5.92 1 May 21, 2028 5.45 3.51 -- 5.92 3.51 5.92 May 21, 2018 May 21, 2018 STANLN STANDARD CHARTERED PLC MTN 144A Banking Fixed Income 6867.25 0.005889669066137213 6867.25 72 72 853254BF6 US853254BF64 BDHBVY7 95.86 United Kingdom -- USD 2.6 5.91 1 Feb 19, 2027 4.3 2.58 -- 5.91 2.58 5.91 Aug 19, 2016 Aug 19, 2016 BATSLN BAT INTERNATIONAL FINANCE PLC Consumer Non-Cyclical Fixed Income 6844.48 0.005870140468134236 6844.48 72 72 05530QAP5 US05530QAP54 BNNMNW6 95.65 United Kingdom -- USD 3.49 5.71 1 Mar 16, 2028 4.45 3.49 -- 5.71 3.49 5.71 Mar 16, 2022 Mar 16, 2022 CZGB CZECH REPUBLIC Treasuries Fixed Income 6837.89 0.005864488581404345 6837.89 2023 2023 -- CZ0001006076 BLN8DY2 3.38 Czech Republic -- USD 5.47 4.28 23.49435 Nov 29, 2029 0.05 5.36 -- 4.28 5.36 4.28 Aug 28, 2020 Aug 28, 2020 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 6837.47 0.005864128370110482 6837.47 75 75 25160PAH0 US25160PAH01 -- 91.22 Germany -- USD 2.53 6.28 1 Jan 07, 2028 2.55 2.52 -- 6.13 2.52 6.13 Jan 07, 2022 Jan 07, 2022 AES AES CORPORATION (THE) Electric Fixed Income 6832.21 0.005859617152477822 6832.21 69 69 00130HCH6 US00130HCH66 -- 98.33 United States -- USD 3.54 5.91 1 Jun 01, 2028 5.45 3.54 -- 5.91 3.54 5.91 May 17, 2023 May 17, 2023 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 6830.94 0.005858527942136857 6830.94 327 327 -- MYBMX0700034 B1YBKV6 20.87 Malaysia -- USD 2.87 3.6 4.7775 May 31, 2027 3.5 2.87 -- 3.6 2.87 3.6 May 31, 2007 May 31, 2007 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 6830.46 0.005858116272086728 6830.46 71 71 14040HBK0 US14040HBK05 BYYQNX5 95.64 United States -- USD 2.1 5.83 1 Jul 28, 2026 3.75 2.1 -- 5.83 2.1 5.83 Jul 28, 2016 Jul 28, 2016 RTX RTX CORP Capital Goods Fixed Income 6826.96 0.00585511451130454 6826.96 68 68 75513ECT6 US75513ECT64 -- 100.75 United States -- USD 2.24 5.43 1 Nov 08, 2026 5.75 2.27 -- 5.42 2.2 5.42 Nov 08, 2023 Nov 08, 2023 NWG NATWEST GROUP PLC Banking Fixed Income 6823.45 0.005852104174062975 6823.45 69 69 780097BA8 US780097BA81 BD398X3 98.26 United Kingdom -- USD 1.83 5.76 1 Apr 05, 2026 4.8 1.82 -- 5.76 1.82 5.76 Apr 05, 2016 Apr 05, 2016 AVGO BROADCOM INC Technology Fixed Income 6821.7 0.005850603293671881 6821.7 70 70 11135FBA8 US11135FBA84 BKXB3J9 96.84 United States -- USD 4.3 5.48 1 Apr 15, 2029 4.75 4.35 -- 5.48 4.35 5.48 Apr 15, 2020 Aug 07, 2020 BNS BANK OF NOVA SCOTIA Banking Fixed Income 6819.95 0.005849102413280787 6819.95 68 68 06418GAC1 US06418GAC15 -- 99.77 Canada -- USD 1.06 5.65 1 Jun 12, 2025 5.45 1.06 -- 5.65 1.06 5.65 Jun 12, 2023 Jun 12, 2023 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 6818.2 0.005847601532889693 6818.2 74 74 89114QCP1 US89114QCP19 -- 92.55 Canada -- USD 1.65 5.4 1 Jan 06, 2026 0.75 1.64 -- 5.4 1.64 5.4 Jan 06, 2021 Jan 06, 2021 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 6816.45 0.005846100652498599 6816.45 69 69 14913UAA8 US14913UAA88 -- 98.27 United States -- USD 1.9 5.25 1 May 15, 2026 4.35 1.9 -- 5.25 1.9 5.25 May 15, 2023 May 15, 2023 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 6812.94 0.005843090315257034 6812.94 73 73 13607GRR7 US13607GRR73 -- 93.6 Canada -- USD 1.45 5.47 1 Oct 23, 2025 0.95 1.45 -- 5.47 1.45 5.47 Oct 23, 2020 Oct 23, 2020 BNS BANK OF NOVA SCOTIA MTN Banking Fixed Income 6811.19 0.00584158943486594 6811.19 69 69 06417XAN1 US06417XAN12 -- 98.69 Canada -- USD 1.66 5.53 1 Feb 02, 2026 4.75 1.65 -- 5.53 1.65 5.53 Feb 02, 2023 Feb 02, 2023 LUV SOUTHWEST AIRLINES CO Transportation Fixed Income 6809.44 0.005840088554474846 6809.44 68 68 844741BJ6 US844741BJ60 -- 99.51 United States -- USD 0.94 5.75 1 May 04, 2025 5.25 0.96 -- 5.75 0.96 5.75 May 04, 2020 May 04, 2020 UBS UBS GROUP AG 144A Banking Fixed Income 6804.18 0.005835577336842186 6804.18 67 67 225401BC1 US225401BC11 -- 101.14 Switzerland -- USD 2.35 6.09 1 Dec 22, 2027 6.33 2.36 -- 5.85 2.37 5.85 Sep 22, 2023 Sep 22, 2023 ORIX ORIX CORPORATION Financial Other Fixed Income 6804.18 0.005835577336842186 6804.18 69 69 686330AQ4 US686330AQ49 -- 98.53 Japan -- USD 3.06 5.48 1 Sep 13, 2027 5 3.05 -- 5.48 3.05 5.48 Sep 13, 2022 Sep 13, 2022 FIS FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 6802.43 0.005834076456451092 6802.43 74 74 31620MBR6 US31620MBR60 BMFC3D8 92.25 United States -- USD 1.79 5.62 1 Mar 01, 2026 1.15 1.78 -- 5.62 1.78 5.62 Mar 02, 2021 Mar 02, 2021 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 6800.68 0.005832575576059998 6800.68 71 71 78015K7H1 US78015K7H17 -- 95.31 Canada -- USD 1.09 5.51 1 Jun 10, 2025 1.15 1.09 -- 5.51 1.09 5.51 Jun 10, 2020 Jun 10, 2020 SLB SCHLUMBERGER HOLDINGS CORP 144A Energy Fixed Income 6800.68 0.005832575576059998 6800.68 72 72 806851AK7 US806851AK71 BJVP299 94.63 United States -- USD 3.58 5.39 1 May 17, 2028 3.9 3.62 -- 5.39 3.62 5.39 Apr 11, 2019 Apr 11, 2019 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 6797.18 0.00582957381527781 6797.18 74 74 6944PL2E8 US6944PL2E89 -- 92.33 United States -- USD 1.9 5.54 1 Apr 14, 2026 1.38 1.9 -- 5.54 1.9 5.54 Apr 14, 2021 Apr 14, 2021 VSAT VIASAT INC 144A Communications Fixed Income 6795.44 0.005828081511346094 6795.44 90 90 92552VAN0 US92552VAN01 -- 75.5 United States -- USD 3.51 14.44 1 Jul 15, 2028 6.5 3.35 -- 14.44 3.35 14.44 Jun 24, 2020 Jun 24, 2020 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 6795.42 0.005828064358427338 6795.42 72 72 548661DM6 US548661DM66 BYP9PL5 94.69 United States -- USD 1.88 5.37 1 Apr 15, 2026 2.5 1.88 -- 5.37 1.88 5.37 Apr 20, 2016 Apr 20, 2016 MS MORGAN STANLEY MTN Banking Fixed Income 6795.42 0.005828064358427338 6795.42 69 69 61747YEZ4 US61747YEZ43 -- 98.97 United States -- USD 1.61 6.01 1 Jan 28, 2027 5.05 1.63 -- 5.67 1.64 5.67 Jan 19, 2023 Jan 19, 2023 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 6793.67 0.005826563478036244 6793.67 71 71 91324PEU2 US91324PEU21 -- 95.99 United States -- USD 4.15 5.22 1 Jan 15, 2029 4.25 4.16 -- 5.22 4.16 5.22 Mar 28, 2023 Mar 28, 2023 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y Banking Fixed Income 6784.91 0.005819050499621396 6784.91 69 69 63253QAB0 US63253QAB05 -- 98.83 Australia -- USD 3.31 5.29 1 Jan 12, 2028 4.94 3.3 -- 5.29 3.3 5.29 Jan 12, 2023 Jan 12, 2023 LHX L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 6781.41 0.0058160487388392084 6781.41 68 68 502431AP4 US502431AP47 -- 99.82 United States -- USD 2.47 5.47 1 Jan 15, 2027 5.4 2.46 -- 5.47 2.46 5.47 Jul 31, 2023 Jul 31, 2023 SHBASS SVENSKA HANDELSBANKEN AB MTN 144A Banking Fixed Income 6772.65 0.005808535760424361 6772.65 68 68 86959LAP8 US86959LAP85 -- 99.2 Sweden -- USD 3.6 5.72 1 Jun 15, 2028 5.5 3.58 -- 5.72 3.58 5.72 Jun 15, 2023 Jun 15, 2023 KDP KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 6770.9 0.005807034880033268 6770.9 70 70 49271VAF7 US49271VAF76 BK1VSD0 96.92 United States -- USD 3.53 5.45 1 May 25, 2028 4.6 3.59 -- 5.45 3.59 5.45 May 25, 2019 May 31, 2019 HSBC HSBC HOLDINGS PLC Banking Fixed Income 6767.39 0.005804024542791702 6767.39 69 69 404280AU3 US404280AU33 BYT32W3 97.71 United Kingdom -- USD 1.25 6.08 1 Aug 18, 2025 4.25 1.24 -- 6.08 1.24 6.08 Aug 18, 2015 Aug 18, 2015 HCA HCA INC Consumer Non-Cyclical Fixed Income 6762.14 0.00579952190161842 6762.14 68 68 404119BQ1 US404119BQ19 BRK9CV0 99.42 United States -- USD 0.93 5.87 1 Apr 15, 2025 5.25 0.93 -- 5.87 0.93 5.87 Oct 17, 2014 Oct 17, 2014 ARCC ARES CAPITAL CORPORATION Finance Companies Fixed Income 6755.13 0.005793509803594666 6755.13 70 70 04010LAY9 US04010LAY92 BL2FJM4 96.48 United States -- USD 1.17 6.28 1 Jul 15, 2025 3.25 1.16 -- 6.28 1.16 6.28 Jan 15, 2020 Jan 15, 2020 SANUK SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 6753.38 0.005792008923203572 6753.38 66 66 80281LAT2 US80281LAT26 -- 101.78 United Kingdom -- USD 3.16 6.4 1 Jan 10, 2029 6.53 3.2 -- 5.99 3.2 5.99 Jan 10, 2023 Jan 10, 2023 AAPL APPLE INC Technology Fixed Income 6746.37 0.005785996825179818 6746.37 72 72 037833DX5 US037833DX52 -- 94.1 United States -- USD 1.28 5.23 1 Aug 20, 2025 0.55 1.28 -- 5.23 1.28 5.23 Aug 20, 2020 Aug 20, 2020 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 6739.36 0.005779984727156065 6739.36 68 68 78016HZT0 US78016HZT03 -- 98.78 Canada -- USD 2.5 5.36 1 Jan 19, 2027 4.88 2.49 -- 5.36 2.49 5.36 Jan 19, 2024 Jan 19, 2024 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 6737.61 0.005778483846764971 6737.61 74 74 693475AW5 US693475AW59 BJDQJW2 91.1 United States -- USD 4.47 5.51 1 Apr 23, 2029 3.45 4.48 -- 5.51 4.48 5.51 Apr 22, 2019 Apr 22, 2019 HON HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 6735.86 0.005776982966373877 6735.86 70 70 438516CB0 US438516CB04 -- 95.83 United States -- USD 1.06 5.3 1 Jun 01, 2025 1.35 1.06 -- 5.3 1.06 5.3 May 18, 2020 May 18, 2020 CARR CARRIER GLOBAL CORP Capital Goods Fixed Income 6730.61 0.005772480325200595 6730.61 67 67 14448CBB9 US14448CBB90 -- 100.18 United States -- USD 1.48 5.68 1 Nov 30, 2025 5.8 1.47 -- 5.68 1.47 5.68 Nov 30, 2023 Feb 21, 2024 ELV ELEVANCE HEALTH INC Insurance Fixed Income 6723.6 0.005766468227176841 6723.6 70 70 036752AG8 US036752AG89 BF2PZ02 95.68 United States -- USD 3.43 5.36 1 Mar 01, 2028 4.1 3.48 -- 5.36 3.48 5.36 Mar 02, 2018 Mar 02, 2018 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 6723.6 0.005766468227176841 6723.6 76 76 808513BP9 US808513BP97 -- 88.24 United States -- USD 3.66 5.38 1 Mar 20, 2028 2 3.66 -- 5.38 3.66 5.38 Mar 18, 2021 Mar 18, 2021 YANTZE THREE GORGES FINANCE I (CAYMAN ISL 144A Owned No Guarantee Fixed Income 6711.34 0.005755953487979806 6711.34 71 71 88556LAD8 US88556LAD82 -- 94.28 China -- USD 1.36 5.58 1 Sep 22, 2025 1.3 1.36 -- 5.58 1.36 5.58 Sep 22, 2020 Sep 22, 2020 ENDP ENDO FINANCE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 6704.89 0.005750421671681202 6704.89 66 66 29281RAA7 US29281RAA77 -- 101.13 United States -- USD 4.31 8.26 1 Apr 15, 2031 8.5 5.19 -- 8.19 4 8.19 Apr 23, 2024 Apr 23, 2024 INTC INTEL CORPORATION Technology Fixed Income 6704.33 0.005749941389956052 6704.33 70 70 458140BY5 US458140BY59 -- 95.5 United States -- USD 3 5.26 1 Aug 05, 2027 3.75 3.01 -- 5.26 3.01 5.26 Aug 05, 2022 Aug 05, 2022 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 6695.57 0.005742428411541205 6695.57 71 71 14040HBN4 US14040HBN44 BDFC7T9 94.89 United States -- USD 2.65 5.7 1 Mar 09, 2027 3.75 2.66 -- 5.7 2.66 5.7 Mar 09, 2017 Mar 09, 2017 BERY BERRY GLOBAL INC 144A Capital Goods Fixed Income 6692.06 0.005739418074299639 6692.06 68 68 085770AA3 US085770AA31 BJKFFH9 97.7 United States -- USD 1.73 5.99 1 Jul 15, 2026 4.88 2.04 -- 5.99 2.04 5.99 Jun 05, 2019 Jun 05, 2019 ENELIM ENEL FINANCE INTERNATIONAL NV 144A Electric Fixed Income 6690.31 0.005737917193908545 6690.31 72 72 29278GAF5 US29278GAF54 BF0M7F4 92.47 Italy -- USD 3.62 5.65 1 Apr 06, 2028 3.5 3.6 -- 5.65 3.6 5.65 Oct 06, 2017 Oct 06, 2017 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 6683.31 0.005731913672344169 6683.31 67 67 00774MBC8 US00774MBC82 -- 99.78 Ireland -- USD 3.53 5.81 1 Jun 06, 2028 5.75 3.54 -- 5.81 3.54 5.81 Jun 06, 2023 Jun 06, 2023 BNS BANK OF NOVA SCOTIA Banking Fixed Income 6678.05 0.005727402454711509 6678.05 68 68 064159VJ2 US064159VJ25 -- 97.58 Canada -- USD 1.01 9.53 1 Dec 31, 2079 4.9 0.79 -- 7.26 1.04 7.26 Jun 04, 2020 Jun 04, 2020 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 6669.29 0.0057198894762966615 6669.29 69 69 853254AZ3 US853254AZ38 BZBGN02 96.71 United Kingdom -- USD 1.86 5.85 1 Apr 12, 2026 4.05 1.85 -- 5.85 1.85 5.85 Apr 12, 2016 Apr 12, 2016 TMUS T-MOBILE USA INC Communications Fixed Income 6660.53 0.005712376497881815 6660.53 70 70 87264ABU8 US87264ABU88 BLF7WN9 94.48 United States -- USD 1.87 5.62 1 Apr 15, 2026 2.63 1.88 -- 5.62 1.88 5.62 Mar 23, 2021 Mar 23, 2021 STT STATE STREET CORP Banking Fixed Income 6651.77 0.005704863519466967 6651.77 66 66 857477CF8 US857477CF81 -- 100.93 United States -- USD 3.87 5.66 1 Nov 21, 2029 5.68 3.89 -- 5.45 3.89 5.45 Nov 21, 2023 Nov 21, 2023 SANTAN BANCO SANTANDER SA Banking Fixed Income 6644.76 0.005698851421443213 6644.76 73 73 05964HAN5 US05964HAN52 BMWP7K5 90.46 Spain -- USD 2.27 6.09 1 Sep 14, 2027 1.72 2.27 -- 6.08 2.27 6.08 Sep 14, 2021 Sep 14, 2021 SVC SERVICE PROPERTIES TRUST Reits Fixed Income 6630.6 0.005686707154964418 6630.6 89 89 44106MAY8 US44106MAY84 BFZHJZ8 74.81 United States -- USD 4.91 10.23 1 Feb 15, 2030 4.38 4.77 -- 10.23 4.77 10.23 Feb 02, 2018 Feb 02, 2018 DANBNK DANSKE BANK A/S MTN 144A Banking Fixed Income 6629 0.0056853349214639895 6629 67 67 23636ABH3 US23636ABH32 -- 98.76 Denmark -- USD 4.09 6.09 1 Mar 01, 2030 5.71 4.14 -- 6 4.14 6 Mar 01, 2024 Mar 01, 2024 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 6629 0.0056853349214639895 6629 72 72 83368RBH4 US83368RBH49 -- 91.67 France -- USD 2.54 6.24 1 Jan 19, 2028 2.8 2.54 -- 6.15 2.55 6.15 Jan 19, 2022 Jan 19, 2022 BBDBCN BOMBARDIER INC 144A Capital Goods Fixed Income 6625.96 0.005682727677813175 6625.96 66 66 097751BV2 US097751BV25 -- 101.07 Canada -- USD 1.17 6.57 1 Jun 15, 2026 7.13 1.91 -- 6.12 1.06 6.12 Jun 08, 2021 Jun 08, 2021 CHTR CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 6625.49 0.005682324584222424 6625.49 66 66 161175CM4 US161175CM43 -- 100.08 United States -- USD 2.24 6.11 1 Nov 10, 2026 6.15 2.26 -- 6.11 2.26 6.11 Nov 10, 2023 Nov 10, 2023 MPLX MPLX LP Energy Fixed Income 6625.49 0.005682324584222424 6625.49 69 69 55336VAK6 US55336VAK61 BDFC186 96.42 United States -- USD 2.57 5.5 1 Mar 01, 2027 4.13 2.63 -- 5.5 2.63 5.5 Feb 10, 2017 Feb 10, 2017 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 6621.99 0.005679322823440236 6621.99 67 67 83368RBV3 US83368RBV33 -- 98.4 France -- USD 2.45 6.3 1 Jan 19, 2028 5.52 2.46 -- 6.16 2.46 6.16 Jan 19, 2024 Jan 19, 2024 ORCL ORACLE CORPORATION Technology Fixed Income 6606.22 0.005665797747001635 6606.22 66 66 68389XCF0 US68389XCF06 -- 100.27 United States -- USD 1.42 5.62 1 Nov 10, 2025 5.8 1.42 -- 5.62 1.42 5.62 Nov 09, 2022 Nov 09, 2022 STCITY STUDIO CITY FINANCE LTD 144A Consumer Cyclical Fixed Income 6602.74 0.005662813139138203 6602.74 67 67 86389QAE2 US86389QAE26 -- 99.1 Macau -- USD 0.98 6.77 1 Jul 15, 2025 6 1.14 -- 6.77 1.14 6.77 Jul 15, 2020 Jul 15, 2020 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 6595.71 0.0056567838881956935 6595.71 70 70 345397A86 US345397A860 -- 93.9 United States -- USD 3 6.19 1 Aug 17, 2027 4.13 3 -- 6.19 3 6.19 Aug 17, 2020 Aug 17, 2020 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 6583.45 0.005646269148998658 6583.45 69 69 125523CB4 US125523CB40 -- 94.76 United States -- USD 2.62 5.41 1 Mar 01, 2027 3.4 2.65 -- 5.41 2.65 5.41 Mar 01, 2020 Jul 13, 2020 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 6579.95 0.00564326738821647 6579.95 67 67 14913R2V8 US14913R2V87 -- 98.05 United States -- USD 1 5.34 1 May 13, 2025 3.4 1 -- 5.34 1 5.34 May 13, 2022 May 13, 2022 CMCSA COMCAST CORPORATION Communications Fixed Income 6579.95 0.00564326738821647 6579.95 69 69 20030NBY6 US20030NBY67 BYZ2HJ6 95.09 United States -- USD 2.55 5.23 1 Feb 01, 2027 3.3 2.58 -- 5.23 2.58 5.23 Jan 10, 2017 Jan 10, 2017 BMO BANK OF MONTREAL MTN Banking Fixed Income 6567.68 0.005632744072560056 6567.68 71 71 06368FAJ8 US06368FAJ84 -- 92.74 Canada -- USD 2.7 5.41 1 Mar 08, 2027 2.65 2.7 -- 5.41 2.7 5.41 Mar 08, 2022 Mar 08, 2022 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 6567.68 0.005632744072560056 6567.68 67 67 539439AM1 US539439AM10 BDBFX83 97.6 United Kingdom -- USD 1.52 6.15 1 Dec 10, 2025 4.58 1.51 -- 6.15 1.51 6.15 Jun 10, 2016 Nov 09, 2016 ACAFP CREDIT AGRICOLE SA 144A Banking Fixed Income 6564.18 0.005629742311777868 6564.18 71 71 22535WAH0 US22535WAH07 -- 92.41 France -- USD 1.71 5.99 1 Jan 26, 2027 1.25 1.68 -- 5.86 1.68 5.86 Jan 26, 2021 Jan 26, 2021 GEO THE GEO GROUP INC 144A Consumer Cyclical Fixed Income 6560.95 0.005626972115398878 6560.95 63 63 36162JAF3 US36162JAF30 -- 103.75 United States -- USD 4.04 9.5 1 Apr 15, 2031 10.25 4.94 -- 9.29 3.85 9.29 Apr 18, 2024 Apr 18, 2024 MCHP MICROCHIP TECHNOLOGY INCORPORATED Technology Fixed Income 6557.17 0.0056237302137541155 6557.17 67 67 595017BA1 US595017BA15 BNTZVT2 98.15 United States -- USD 1.23 5.69 1 Sep 01, 2025 4.25 1.28 -- 5.69 1.28 5.69 May 29, 2020 May 29, 2020 CZGB CZECH REPUBLIC Treasuries Fixed Income 6547.96 0.005615831294667272 6547.96 2282 2282 -- CZ0001005920 BMFY8K6 2.87 Czech Republic -- USD 13.57 4.37 23.49435 Apr 24, 2040 1.5 13.3 -- 4.37 13.3 4.37 Apr 24, 2020 Apr 24, 2020 COP COP CASH Cash and/or Derivatives Cash 6538.28 0.005607529281989678 6538.28 217943 217943 -- -- -- 0.03 Colombia -- USD 0 10.94 3970.13 -- 0 0 -- 10.94 0 10.94 -- Jan 01, 1990 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 6537.9 0.005607203376533326 6537.9 66 66 345397D83 US345397D831 -- 99.29 United States -- USD 2.56 6.07 1 Mar 05, 2027 5.8 2.58 -- 6.07 2.58 6.07 Jan 05, 2024 Jan 05, 2024 VICI VICI PROPERTIES LP Consumer Cyclical Fixed Income 6537.9 0.005607203376533326 6537.9 68 68 925650AB9 US925650AB99 -- 95.85 United States -- USD 3.39 5.98 1 Feb 15, 2028 4.75 3.39 -- 5.98 3.39 5.98 Apr 29, 2022 Apr 29, 2022 VMW VMWARE LLC Technology Fixed Income 6537.9 0.005607203376533326 6537.9 69 69 928563AC9 US928563AC98 BDT5HN8 94.61 United States -- USD 3.01 5.7 1 Aug 21, 2027 3.9 3.03 -- 5.7 3.03 5.7 Aug 21, 2017 Aug 21, 2017 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 6534.4 0.005604201615751138 6534.4 66 66 24422EWP0 US24422EWP05 -- 99.4 United States -- USD 1.6 5.17 1 Jan 09, 2026 4.8 1.59 -- 5.17 1.59 5.17 Jan 09, 2023 Jan 09, 2023 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 6534.4 0.005604201615751138 6534.4 66 66 44891ACB1 US44891ACB17 -- 99.47 United States -- USD 1.8 5.79 1 Mar 30, 2026 5.5 1.8 -- 5.79 1.8 5.79 Mar 30, 2023 Mar 30, 2023 ACAFP CREDIT AGRICOLE SA (LONDON BRANCH) MTN 144A Banking Fixed Income 6525.64 0.00559668863733629 6525.64 68 68 22535WAG2 US22535WAG24 -- 95.52 France -- USD 1.1 6.47 1 Jun 16, 2026 1.91 1.09 -- 6.02 1.09 6.02 Jun 16, 2020 Jun 16, 2020 SANTAN BANCO SANTANDER SA Banking Fixed Income 6518.63 0.005590676539312537 6518.63 70 70 05964HAF2 US05964HAF29 BZ3CYK5 92.91 Spain -- USD 3.48 5.89 1 Feb 23, 2028 3.8 3.46 -- 5.89 3.46 5.89 Oct 23, 2017 Oct 23, 2017 BMO BANK OF MONTREAL MTN Banking Fixed Income 6518.63 0.005590676539312537 6518.63 72 72 06368FAC3 US06368FAC32 BNYDG41 90.69 Canada -- USD 2.3 5.46 1 Sep 15, 2026 1.25 2.29 -- 5.46 2.29 5.46 Sep 15, 2021 Sep 15, 2021 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 6515.13 0.005587674778530349 6515.13 66 66 023135CN4 US023135CN43 -- 99.07 United States -- USD 1.5 5.21 1 Dec 01, 2025 4.6 1.49 -- 5.21 1.49 5.21 Dec 01, 2022 Dec 01, 2022 WELL WELLTOWER OP LLC Reits Fixed Income 6511.62 0.005584664441288784 6511.62 66 66 42217KBF2 US42217KBF21 BY6Z910 98.1 United States -- USD 1.04 5.8 1 Jun 01, 2025 4 1.04 -- 5.8 1.04 5.8 May 26, 2015 May 26, 2015 CAH CARDINAL HEALTH INC Consumer Non-Cyclical Fixed Income 6494.11 0.005569647060918466 6494.11 69 69 14149YBJ6 US14149YBJ64 BZ4DM92 93.92 United States -- USD 2.86 5.55 1 Jun 15, 2027 3.41 2.88 -- 5.55 2.88 5.55 Jun 12, 2017 Jun 12, 2017 CRBG COREBRIDGE FINANCIAL INC Insurance Fixed Income 6492.35 0.005568137604067994 6492.35 69 69 21871XAD1 US21871XAD12 991XAD1 94.63 United States -- USD 2.73 5.65 1 Apr 05, 2027 3.65 2.73 -- 5.65 2.73 5.65 Apr 05, 2023 May 24, 2023 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 6492.35 0.005568137604067994 6492.35 65 65 606822CS1 US606822CS14 -- 99.5 Japan -- USD 3.34 5.76 1 Feb 22, 2029 5.42 3.38 -- 5.57 3.38 5.57 Feb 22, 2023 Feb 22, 2023 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 6488.85 0.005565135843285806 6488.85 66 66 89236TKJ3 US89236TKJ33 -- 97.83 United States -- USD 3.1 5.25 1 Sep 20, 2027 4.55 3.09 -- 5.25 3.09 5.25 Sep 20, 2022 Sep 20, 2022 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 6487.1 0.005563634962894712 6487.1 70 70 78016EZM2 US78016EZM29 -- 92.72 Canada -- USD 1.68 5.32 1 Jan 20, 2026 0.88 1.68 -- 5.32 1.68 5.32 Jan 19, 2021 Jan 19, 2021 BKIR BANK OF IRELAND GROUP PLC 144A Banking Fixed Income 6485.35 0.005562134082503618 6485.35 66 66 06279JAD1 US06279JAD19 -- 97.85 Ireland -- USD 4.15 6.24 1 Mar 20, 2030 5.6 4.19 -- 6.11 4.2 6.11 Mar 20, 2024 Mar 20, 2024 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 6484.75 0.005561619494940957 6484.75 648475 648475 -- IDG000023904 -- 0.01 Indonesia -- USD 4.14 7.06 16187.5 Apr 15, 2029 6.88 4.14 -- 7.06 4.14 7.06 Oct 15, 2023 Nov 02, 2023 HD HOME DEPOT INC Consumer Cyclical Fixed Income 6483.59 0.005560624625653147 6483.59 68 68 437076BM3 US437076BM30 BYNN304 96.03 United States -- USD 1.82 5.18 1 Apr 01, 2026 3 1.84 -- 5.18 1.84 5.18 Feb 12, 2016 Feb 12, 2016 USB US BANCORP MTN Banking Fixed Income 6480.09 0.005557622864870959 6480.09 69 69 91159HHR4 US91159HHR49 BD3DT65 93.98 United States -- USD 2.76 5.35 1 Apr 27, 2027 3.15 2.77 -- 5.35 2.77 5.35 Apr 27, 2017 Apr 27, 2017 NAB NATIONAL AUSTRALIA BANK LTD MTN 144A Banking Fixed Income 6476.59 0.005554621104088771 6476.59 71 71 6325C0EB3 US6325C0EB33 -- 91.42 Australia -- USD 2.58 5.32 1 Jan 12, 2027 1.89 2.57 -- 5.32 2.57 5.32 Jan 12, 2022 Jan 12, 2022 TNOTE TREASURY NOTE Treasuries Fixed Income 6473.33 0.005551825178331647 6473.33 66 66 9128283V0 US9128283V09 BFMTY85 97.92 United States -- USD 0.74 5.3 1 Jan 31, 2025 2.5 0.74 -- 5.3 0.74 5.3 Jan 31, 2018 Jan 31, 2018 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 6466.08 0.005545607245282829 6466.08 68 68 60687YAR0 US60687YAR09 BFN8NN9 94.97 Japan -- USD 3.51 5.48 1 Mar 05, 2028 4.02 3.49 -- 5.48 3.49 5.48 Mar 05, 2018 Mar 05, 2018 UCGIM UNICREDIT SPA 144A Banking Fixed Income 6460.82 0.005541096027650169 6460.82 70 70 904678AW9 US904678AW97 -- 92.18 Italy -- USD 1.99 6.12 1 Jun 03, 2027 1.98 1.99 -- 5.99 1.99 5.99 Jun 03, 2021 Jun 03, 2021 BMO BANK OF MONTREAL MTN Banking Fixed Income 6455.57 0.005536593386476888 6455.57 67 67 06367WB85 US06367WB850 -- 96.37 Canada -- USD 0.98 5.57 1 May 01, 2025 1.85 0.98 -- 5.57 0.98 5.57 Apr 27, 2020 Apr 27, 2020 PYPL PAYPAL HOLDINGS INC Technology Fixed Income 6446.81 0.00552908040806204 6446.81 69 69 70450YAD5 US70450YAD58 BK71LJ1 93.96 United States -- USD 2.3 5.33 1 Oct 01, 2026 2.65 2.3 -- 5.33 2.3 5.33 Sep 26, 2019 Sep 26, 2019 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 6446.81 0.00552908040806204 6446.81 64 64 83368RBR2 US83368RBR21 -- 101.29 France -- USD 3.16 6.37 1 Jan 10, 2029 6.45 3.2 -- 6.05 3.2 6.05 Jan 10, 2023 Jan 10, 2023 UBS UBS GROUP AG 144A Banking Fixed Income 6446.81 0.00552908040806204 6446.81 66 66 902613BJ6 US902613BJ61 -- 98.17 Switzerland -- USD 4.05 6 1 Feb 08, 2030 5.43 4.08 -- 5.87 4.09 5.87 Jan 08, 2024 Jan 08, 2024 WMB WILLIAMS COMPANIES INC Energy Fixed Income 6443.3 0.005526070070820475 6443.3 65 65 969457CK4 US969457CK40 -- 98.81 United States -- USD 3.75 5.61 1 Aug 15, 2028 5.3 3.76 -- 5.61 3.76 5.61 Aug 10, 2023 Aug 10, 2023 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 6439.8 0.005523068310038287 6439.8 66 66 89236TKQ7 US89236TKQ75 BQ3Q233 98.04 United States -- USD 3.33 5.21 1 Jan 12, 2028 4.63 3.32 -- 5.21 3.32 5.21 Jan 12, 2023 Jan 12, 2023 SANTAN BANCO SANTANDER SA Banking Fixed Income 6429.29 0.005514054451232345 6429.29 69 69 05964HAL9 US05964HAL96 -- 92.79 Spain -- USD 1.84 5.88 1 Mar 25, 2026 1.85 1.83 -- 5.88 1.83 5.88 Mar 25, 2021 Mar 25, 2021 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 6429.29 0.005514054451232345 6429.29 65 65 37045XDW3 US37045XDW39 -- 98.23 United States -- USD 2.68 5.66 1 Apr 09, 2027 5 2.7 -- 5.66 2.7 5.66 Jun 09, 2022 Jun 09, 2022 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 6429.29 0.005514054451232345 6429.29 63 63 459200AM3 US459200AM34 2477163 102.4 United States -- USD 1.38 5.33 1 Oct 30, 2025 7 1.38 -- 5.33 1.38 5.33 Oct 30, 1995 Oct 30, 1995 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN 144A Banking Fixed Income 6417.02 0.005503531135575931 6417.02 67 67 052528AL0 US052528AL09 -- 96.01 Australia -- USD 1.18 6.07 1 Jul 22, 2030 2.95 1.16 -- 6.07 1.18 6.07 Jan 22, 2020 Jan 22, 2020 PH PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 6413.52 0.0055005293747937434 6413.52 66 66 701094AR5 US701094AR58 -- 96.73 United States -- USD 3.08 5.32 1 Sep 15, 2027 4.25 3.09 -- 5.32 3.09 5.32 Jun 15, 2022 Jun 15, 2022 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 6408.27 0.0054960267336204615 6408.27 66 66 37045XBT2 US37045XBT28 BDR58D7 96.65 United States -- USD 2.46 5.69 1 Jan 17, 2027 4.35 2.5 -- 5.69 2.5 5.69 Jan 17, 2017 Jan 17, 2017 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 6404.76 0.005493016396378897 6404.76 65 65 14040HCU7 US14040HCU77 -- 98.85 United States -- USD 1.16 6.64 1 Jul 24, 2026 4.99 1.17 -- 5.95 1.18 5.95 Jul 27, 2022 Jul 27, 2022 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 6397.75 0.005487004298355143 6397.75 63 63 25160PAN7 US25160PAN78 -- 101.98 Germany -- USD 1.96 6.67 1 Jul 13, 2027 7.15 1.98 -- 6.17 1.99 6.17 Jul 13, 2023 Jul 13, 2023 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 6396 0.005485503417964049 6396 64 64 25160PAJ6 US25160PAJ66 -- 99.96 Germany -- USD 1.11 7.17 1 Jul 14, 2026 6.12 1.13 -- 6.15 1.14 6.15 Jul 14, 2022 Jul 14, 2022 UNANA UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 6392.5 0.005482501657181861 6392.5 68 68 904764AY3 US904764AY33 BDGKSV1 93.79 Netherlands -- USD 2.78 5.14 1 May 05, 2027 2.9 2.8 -- 5.14 2.8 5.14 May 05, 2017 May 05, 2017 GILD GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 6387.24 0.005477990439549201 6387.24 68 68 375558BM4 US375558BM47 BYND5S6 93.97 United States -- USD 2.65 5.25 1 Mar 01, 2027 2.95 2.67 -- 5.25 2.67 5.25 Sep 20, 2016 Sep 20, 2016 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 6387.24 0.005477990439549201 6387.24 70 70 65535HAW9 US65535HAW97 -- 91.38 Japan -- USD 2.12 5.85 1 Jul 14, 2026 1.65 2.11 -- 5.85 2.11 5.85 Jul 12, 2021 Jul 12, 2021 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 6387.24 0.005477990439549201 6387.24 65 65 718172DG1 US718172DG16 -- 97.52 United States -- USD 4.17 5.47 1 Feb 13, 2029 4.88 4.18 -- 5.47 4.18 5.47 Feb 13, 2024 Feb 13, 2024 INTC INTEL CORPORATION Technology Fixed Income 6385.49 0.005476489559158107 6385.49 68 68 458140AX8 US458140AX85 BF3W9Q6 94.08 United States -- USD 2.78 5.28 1 May 11, 2027 3.15 2.8 -- 5.28 2.8 5.28 May 11, 2017 May 11, 2017 AZN ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 6381.99 0.005473487798375919 6381.99 69 69 04636NAA1 US04636NAA19 -- 92.01 United Kingdom -- USD 2.01 5.28 1 May 28, 2026 1.2 2.01 -- 5.28 2.01 5.28 May 28, 2021 May 28, 2021 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL MTN 144A Banking Fixed Income 6381.99 0.005473487798375919 6381.99 65 65 06675FAZ0 US06675FAZ09 -- 98.82 France -- USD 1.64 5.64 1 Jan 26, 2026 4.93 1.64 -- 5.64 1.64 5.64 Jan 26, 2023 Jan 26, 2023 PFE PFIZER INC Consumer Non-Cyclical Fixed Income 6381.99 0.005473487798375919 6381.99 67 67 717081DV2 US717081DV27 BYZ2GC2 95.3 United States -- USD 1.99 5.13 1 Jun 03, 2026 2.75 1.99 -- 5.13 1.99 5.13 Jun 03, 2016 Jun 03, 2016 ENELIM ENEL FINANCE INTERNATIONAL NV 144A Electric Fixed Income 6380.24 0.005471986917984825 6380.24 70 70 29278GAM0 US29278GAM06 -- 91.39 Italy -- USD 2.13 5.56 1 Jul 12, 2026 1.38 2.12 -- 5.56 2.12 5.56 Jul 12, 2021 Jul 12, 2021 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 6376.73 0.005468976580743259 6376.73 65 65 24422EWR6 US24422EWR60 -- 98.55 United States -- USD 3.35 5.18 1 Jan 20, 2028 4.75 3.34 -- 5.18 3.34 5.18 Jan 09, 2023 Jan 09, 2023 BMO BANK OF MONTREAL MTN Banking Fixed Income 6373.23 0.0054659748199610714 6373.23 64 64 06368LGV2 US06368LGV27 -- 99.15 Canada -- USD 3.32 5.45 1 Feb 01, 2028 5.2 3.34 -- 5.45 3.34 5.45 Jan 12, 2023 Jan 12, 2023 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 6373.23 0.0054659748199610714 6373.23 67 67 91324PDK5 US91324PDK57 BFWST65 94.86 United States -- USD 3.71 5.25 1 Jun 15, 2028 3.85 3.7 -- 5.25 3.7 5.25 Jun 19, 2018 Jun 19, 2018 CFG CITIZENS FINANCIAL GROUP INC Banking Fixed Income 6366.22 0.005459962721937318 6366.22 65 65 174610BF1 US174610BF15 -- 97.76 United States -- USD 3.96 6.55 1 Jan 23, 2030 5.84 4.01 -- 6.39 4.02 6.39 Jan 23, 2024 Jan 23, 2024 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 6362.72 0.00545696096115513 6362.72 65 65 13607LNG4 US13607LNG40 -- 98.05 Canada -- USD 3.48 5.55 1 Apr 28, 2028 5 3.49 -- 5.55 3.49 5.55 Apr 28, 2023 Apr 28, 2023 EPD ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 6362.72 0.00545696096115513 6362.72 67 67 29379VBT9 US29379VBT98 BF39WG8 95.33 United States -- USD 3.96 5.34 1 Oct 16, 2028 4.15 4.01 -- 5.34 4.01 5.34 Oct 11, 2018 Oct 11, 2018 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 6360.97 0.005455460080764036 6360.97 63 63 38141GES9 US38141GES93 B1GJS58 101 United States -- USD 2.46 5.55 1 Jan 15, 2027 5.95 2.45 -- 5.55 2.45 5.55 Nov 09, 2006 Nov 09, 2006 BAC BANK OF AMERICA CORP (FXD-FRN) MTN Banking Fixed Income 6359.21 0.005453950623913564 6359.21 63 63 06051GLV9 US06051GLV94 -- 100.5 United States -- USD 2.18 5.97 1 Sep 15, 2027 5.93 2.18 -- 5.7 2.19 5.7 Sep 15, 2023 Sep 15, 2023 SBUX STARBUCKS CORPORATION Consumer Cyclical Fixed Income 6355.71 0.005450948863131376 6355.71 65 65 855244AQ2 US855244AQ29 BFXV4Z7 97.85 United States -- USD 1.23 5.52 1 Aug 15, 2025 3.8 1.24 -- 5.52 1.24 5.52 Aug 10, 2018 Aug 10, 2018 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 6348.7 0.005444936765107623 6348.7 66 66 78016FZS6 US78016FZS63 -- 96.69 Canada -- USD 2.99 5.35 1 Aug 03, 2027 4.24 2.98 -- 5.35 2.98 5.35 Jul 28, 2022 Jul 28, 2022 TFC TRUIST BANK Banking Fixed Income 6339.94 0.005437423786692775 6339.94 65 65 07330MAB3 US07330MAB37 BYMYND1 97.06 United States -- USD 1.33 5.85 1 Sep 16, 2025 3.63 1.33 -- 5.85 1.33 5.85 Sep 16, 2015 Sep 16, 2015 STT STATE STREET CORP Banking Fixed Income 6339.94 0.005437423786692775 6339.94 64 64 857477CD3 US857477CD34 -- 99.83 United States -- USD 2.06 5.35 1 Aug 03, 2026 5.27 2.09 -- 5.35 2.09 5.35 Aug 03, 2023 Aug 03, 2023 CHTR CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 6336.44 0.005434422025910587 6336.44 68 68 161175BK9 US161175BK95 BFFFBV2 92.73 United States -- USD 3.48 6.34 1 Mar 15, 2028 4.2 3.49 -- 6.34 3.49 6.34 Sep 18, 2017 Nov 27, 2017 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 6336.44 0.005434422025910587 6336.44 69 69 606822CC6 US606822CC61 -- 91.67 Japan -- USD 2.57 5.77 1 Jan 19, 2028 2.34 2.57 -- 5.67 2.57 5.67 Jan 19, 2022 Jan 19, 2022 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 6331.18 0.005429910808277928 6331.18 67 67 031162CJ7 US031162CJ71 BDHDFG3 94.01 United States -- USD 2.18 5.38 1 Aug 19, 2026 2.6 2.19 -- 5.38 2.19 5.38 Aug 19, 2016 Aug 19, 2016 MTB MANUFACTURERS AND TRADERS TRUST CO Banking Fixed Income 6325.93 0.005425408167104646 6325.93 67 67 55279HAW0 US55279HAW07 -- 94.32 United States -- USD 3.35 6.42 1 Jan 27, 2028 4.7 3.33 -- 6.42 3.33 6.42 Jan 27, 2023 Jan 27, 2023 COST COSTCO WHOLESALE CORPORATION Consumer Cyclical Fixed Income 6324.18 0.005423907286713552 6324.18 71 71 22160KAN5 US22160KAN54 -- 89.33 United States -- USD 3 5.08 1 Jun 20, 2027 1.38 3 -- 5.08 3 5.08 Apr 20, 2020 Apr 20, 2020 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 6320.67 0.005420896949471986 6320.67 63 63 44891ACH8 US44891ACH86 -- 99.69 United States -- USD 3.59 5.76 1 Jun 26, 2028 5.68 3.6 -- 5.76 3.6 5.76 Jun 26, 2023 Jun 26, 2023 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 6320.67 0.005420896949471986 6320.67 74 74 86562MCG3 US86562MCG33 -- 85.94 Japan -- USD 4.12 5.55 1 Sep 17, 2028 1.9 4.1 -- 5.55 4.1 5.55 Sep 17, 2021 Sep 17, 2021 TBOND TREASURY BOND Treasuries Fixed Income 6320.26 0.0054205453146375015 6320.26 61 61 912810EX2 US912810EX29 2942434 103.94 United States -- USD 2.1 4.92 1 Aug 15, 2026 6.75 2.1 -- 4.92 2.1 4.92 Aug 15, 1996 Aug 15, 1996 ARCC ARES CAPITAL CORPORATION Finance Companies Fixed Income 6317.17 0.005417895188689798 6317.17 66 66 04010LAZ6 US04010LAZ67 -- 96.37 United States -- USD 1.62 6.12 1 Jan 15, 2026 3.88 1.62 -- 6.12 1.62 6.12 Jul 15, 2020 Jul 15, 2020 ZFFNGR ZF NORTH AMERICA CAPITAL INC 144A Consumer Cyclical Fixed Income 6312.54 0.0054139242879979324 6312.54 63 63 98877DAG0 US98877DAG07 -- 100.75 Germany -- USD 6.1 6.73 1 Apr 23, 2032 6.88 6.08 -- 6.73 5.99 6.73 Apr 23, 2024 Apr 23, 2024 SIEGR SIEMENS FINANCIERINGSMAATSCHAPPIJ 144A Capital Goods Fixed Income 6306.66 0.005408881329883856 6306.66 66 66 82620KAU7 US82620KAU79 BDFX7S1 95.36 Germany -- USD 2.7 5.15 1 Mar 16, 2027 3.4 2.7 -- 5.15 2.7 5.15 Mar 16, 2017 Mar 16, 2017 SO SOUTHERN COMPANY (THE) Electric Fixed Income 6306.66 0.005408881329883856 6306.66 66 66 842587DF1 US842587DF14 -- 95.07 United States -- USD 1.6 8.24 1 Jan 15, 2051 4 1.42 -- 7.08 1.61 7.08 Sep 18, 2020 Sep 18, 2020 SEE SEALED AIR CORPORATION 144A Capital Goods Fixed Income 6298.61 0.005401977280084824 6298.61 64 64 81211KAX8 US81211KAX81 BZ1FSZ9 99.13 United States -- USD 1.24 6.16 1 Sep 15, 2025 5.5 1.31 -- 6.16 1.31 6.16 Jun 16, 2015 Jun 16, 2015 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 6290.89 0.005395356253445256 6290.89 70 70 459200KH3 US459200KH39 -- 89.92 United States -- USD 2.89 5.32 1 May 15, 2027 1.7 2.88 -- 5.32 2.88 5.32 May 07, 2020 May 07, 2020 USB US BANCORP MTN Banking Fixed Income 6290.89 0.005395356253445256 6290.89 66 66 91159HHZ6 US91159HHZ64 -- 95.83 United States -- USD 1.01 5.61 1 May 12, 2025 1.45 1.01 -- 5.61 1.01 5.61 May 12, 2020 May 12, 2020 NOVNVX NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 6287.39 0.005392354492663068 6287.39 68 68 66989HAQ1 US66989HAQ11 -- 92.26 Switzerland -- USD 2.66 4.99 1 Feb 14, 2027 2 2.66 -- 4.99 2.66 4.99 Feb 14, 2020 Feb 14, 2020 BRKHEC MIDAMERICAN ENERGY COMPANY Electric Fixed Income 6282.13 0.005387843275030408 6282.13 68 68 595620AT2 US595620AT22 BJ1STT7 92.9 United States -- USD 4.42 5.29 1 Apr 15, 2029 3.65 4.45 -- 5.29 4.45 5.29 Jan 09, 2019 Jan 09, 2019 AMAT APPLIED MATERIALS INC Technology Fixed Income 6278.63 0.00538484151424822 6278.63 66 66 038222AL9 US038222AL98 BD4H0N0 95.04 United States -- USD 2.7 5.14 1 Apr 01, 2027 3.3 2.74 -- 5.14 2.74 5.14 Mar 31, 2017 Mar 31, 2017 ZFFNGR ZF NORTH AMERICA CAPITAL INC 144A Consumer Cyclical Fixed Income 6263.78 0.005372105472072365 6263.78 63 63 98877DAF2 US98877DAF24 -- 99.97 Germany -- USD 4.91 6.73 1 Apr 23, 2030 6.75 4.86 -- 6.73 4.86 6.73 Apr 23, 2024 Apr 23, 2024 DTRGR DAIMLER TRUCKS FINANCE NORTH AMERI 144A Consumer Cyclical Fixed Income 6243.59 0.00535478960058883 6243.59 68 68 233853AF7 US233853AF73 -- 91.44 Germany -- USD 2.5 5.53 1 Dec 14, 2026 2 2.49 -- 5.53 2.49 5.53 Dec 14, 2021 Dec 14, 2021 PNC PNC BANK NA Banking Fixed Income 6236.58 0.005348777502565076 6236.58 67 67 69349LAR9 US69349LAR96 BZ0WL74 93.45 United States -- USD 3.81 5.81 1 Jul 26, 2028 4.05 3.79 -- 5.81 3.79 5.81 Jul 26, 2018 Jul 26, 2018 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 6234.83 0.005347276622173982 6234.83 63 63 06406RBJ5 US06406RBJ59 -- 98.52 United States -- USD 1.16 6.12 1 Jul 24, 2026 4.41 1.18 -- 5.65 1.18 5.65 Jul 26, 2022 Jul 26, 2022 BCO BRINKS CO 144A Consumer Cyclical Fixed Income 6228.96 0.005342242240519284 6228.96 63 63 109696AB0 US109696AB05 -- 99.32 United States -- USD 0.91 6.08 1 Jul 15, 2025 5.5 1.15 -- 6.08 1.15 6.08 Jun 22, 2020 Jun 22, 2020 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 6228.45 0.005341804841091023 6228.45 300 300 -- MYBMI2300024 BMWJJN4 20.75 Malaysia -- USD 3.68 3.75 4.7775 Apr 20, 2028 3.52 3.68 -- 3.75 3.68 3.75 Apr 20, 2023 Apr 20, 2023 CABKSM CAIXABANK SA 144A Banking Fixed Income 6227.82 0.0053412645241502285 6227.82 62 62 12803RAA2 US12803RAA23 BQFM1D2 100.52 Spain -- USD 3.21 6.43 1 Jan 18, 2029 6.21 3.23 -- 6.05 3.24 6.05 Jan 18, 2023 Jan 18, 2023 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN Banking Fixed Income 6224.32 0.0053382627633680405 6224.32 62 62 05253JAY7 US05253JAY73 -- 100.41 Australia -- USD 1.36 5.37 1 Oct 03, 2025 5.67 1.36 -- 5.37 1.36 5.37 Oct 03, 2023 Oct 03, 2023 BWA BORGWARNER INC Consumer Cyclical Fixed Income 6220.82 0.0053352610025858525 6220.82 68 68 099724AL0 US099724AL02 -- 91.55 United States -- USD 2.96 5.58 1 Jul 01, 2027 2.65 2.96 -- 5.58 2.96 5.58 Jun 19, 2020 Jun 19, 2020 UBS CREDIT SUISSE AG (NEW YORK BRANCH) Banking Fixed Income 6217.31 0.005332250665344287 6217.31 69 69 22550L2G5 US22550L2G55 -- 90.71 Switzerland -- USD 2.2 5.64 1 Aug 07, 2026 1.25 2.19 -- 5.64 2.19 5.64 Aug 09, 2021 Aug 09, 2021 BPCEGP BPCE SA MTN 144A Banking Fixed Income 6215.56 0.005330749784953193 6215.56 67 67 05583JAC6 US05583JAC62 BYZQN01 92.51 France -- USD 3.24 5.9 1 Oct 23, 2027 3.5 3.22 -- 5.9 3.22 5.9 Oct 23, 2017 Oct 23, 2017 BACR BARCLAYS PLC Banking Fixed Income 6215.56 0.005330749784953193 6215.56 65 65 06738EAW5 US06738EAW57 BDGKSN3 95.27 United Kingdom -- USD 3.31 6.18 1 May 09, 2028 4.84 3.51 -- 6.18 3.51 6.18 May 09, 2017 May 09, 2017 HPQ HP INC Technology Fixed Income 6212.06 0.005327748024171005 6212.06 65 65 40434LAA3 US40434LAA35 -- 96.1 United States -- USD 1.1 5.77 1 Jun 17, 2025 2.2 1.1 -- 5.77 1.1 5.77 Jun 17, 2020 Jun 17, 2020 WMB WILLIAMS COMPANIES INC Energy Fixed Income 6210.31 0.005326247143779911 6210.31 64 64 88339WAB2 US88339WAB28 -- 97.1 United States -- USD 4.21 5.58 1 Mar 15, 2029 4.9 4.22 -- 5.58 4.22 5.58 Jan 05, 2024 Jan 05, 2024 VICI VICI PROPERTIES LP 144A Consumer Cyclical Fixed Income 6206.8 0.005323236806538345 6206.8 65 65 92564RAA3 US92564RAA32 -- 95.52 United States -- USD 2.26 6.07 1 Dec 01, 2026 4.25 2.4 -- 6.07 2.4 6.07 Nov 26, 2019 Nov 26, 2019 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 6201.55 0.005318734165365063 6201.55 63 63 53944YAT0 US53944YAT01 -- 98.44 United Kingdom -- USD 1.2 6.39 1 Aug 11, 2026 4.72 1.22 -- 5.98 1.22 5.98 Aug 11, 2022 Aug 11, 2022 CZGB CZECH REPUBLIC Treasuries Fixed Income 6200.61 0.005317927978183561 6200.61 1397 1397 -- CZ0001006894 -- 4.44 Czech Republic -- USD 7.97 4.37 23.49435 Apr 14, 2034 4.9 7.81 -- 4.37 7.81 4.37 Apr 14, 2023 Apr 14, 2023 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 6194.54 0.00531272206734131 6194.54 65 65 023135BQ8 US023135BQ82 -- 95.35 United States -- USD 1.07 5.18 1 Jun 03, 2025 0.8 1.07 -- 5.18 1.07 5.18 Jun 03, 2020 Jun 03, 2020 BMO BANK OF MONTREAL Banking Fixed Income 6194.54 0.00531272206734131 6194.54 67 67 06368BGS1 US06368BGS16 BF7MKY7 92.67 Canada -- USD 3.3 6.14 1 Dec 15, 2032 3.8 3.25 -- 6.08 3.27 6.08 Dec 12, 2017 Dec 12, 2017 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 6192.79 0.005311221186950216 6192.79 65 65 539439AT6 US539439AT62 BDDJGY0 95.55 United Kingdom -- USD 3.83 5.73 1 Aug 16, 2028 4.55 3.81 -- 5.73 3.81 5.73 Aug 16, 2018 Aug 16, 2018 WMT WALMART INC Consumer Cyclical Fixed Income 6191.04 0.005309720306559122 6191.04 64 64 931142FB4 US931142FB49 -- 96.32 United States -- USD 3.61 4.93 1 Apr 15, 2028 3.9 3.62 -- 4.93 3.62 4.93 Apr 18, 2023 Apr 18, 2023 HCA HCA INC Consumer Non-Cyclical Fixed Income 6182.28 0.0053022073281442745 6182.28 64 64 404119BU2 US404119BU21 BYXYJS7 96.86 United States -- USD 2.46 5.72 1 Feb 15, 2027 4.5 2.57 -- 5.72 2.57 5.72 Aug 15, 2016 Aug 15, 2016 COMM COMMSCOPE TECHNOLOGIES LLC 144A Technology Fixed Income 6175.56 0.005296443947442473 6175.56 179 179 20338HAB9 US20338HAB96 BF08257 34.41 United States -- USD 2.48 50 1 Mar 15, 2027 5 2.03 -- 50 2.03 50 Mar 13, 2017 Mar 13, 2017 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 6175.27 0.005296195230120521 6175.27 66 66 09659T2A8 US09659T2A84 BDR5W68 93.34 France -- USD 3.39 6.29 1 Mar 01, 2033 4.38 3.42 -- 6.29 3.44 6.29 Mar 01, 2018 Mar 01, 2018 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 6175.27 0.005296195230120521 6175.27 67 67 771196BV3 US771196BV36 -- 92.44 Switzerland -- USD 2.71 5.18 1 Mar 10, 2027 2.31 2.72 -- 5.18 2.72 5.18 Mar 10, 2022 Mar 10, 2022 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 6175.27 0.005296195230120521 6175.27 66 66 928668BL5 US928668BL58 BNM52B8 93.29 Germany -- USD 1.52 5.75 1 Nov 24, 2025 1.25 1.52 -- 5.75 1.52 5.75 Nov 24, 2020 Nov 24, 2020 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 6161.25 0.005284171034073013 6161.25 61 61 06406RBL0 US06406RBL06 -- 101.36 United States -- USD 3.12 5.74 1 Oct 25, 2028 5.8 3.13 -- 5.37 3.14 5.37 Oct 25, 2022 Oct 25, 2022 EQT EQT CORP Energy Fixed Income 6159.5 0.005282670153681919 6159.5 65 65 26884LAF6 US26884LAF67 BZ2Z1G0 94.11 United States -- USD 3.12 5.82 1 Oct 01, 2027 3.9 3.14 -- 5.82 3.14 5.82 Oct 04, 2017 Oct 04, 2017 SPGI S&P GLOBAL INC Technology Fixed Income 6159.5 0.005282670153681919 6159.5 67 67 78409VBH6 US78409VBH69 -- 92.53 United States -- USD 2.68 5.31 1 Mar 01, 2027 2.45 2.68 -- 5.31 2.68 5.31 Mar 01, 2023 Feb 28, 2023 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 6157.75 0.005281169273290825 6157.75 65 65 53944YAD5 US53944YAD58 BDDXTF4 95.35 United Kingdom -- USD 2.51 5.62 1 Jan 11, 2027 3.75 2.5 -- 5.62 2.5 5.62 Jan 11, 2017 Jan 11, 2017 SPGI S&P GLOBAL INC Technology Fixed Income 6152.5 0.005276666632117543 6152.5 69 69 78409VBJ2 US78409VBJ26 -- 88.98 United States -- USD 4.42 5.31 1 Mar 01, 2029 2.7 4.42 -- 5.31 4.42 5.31 Mar 01, 2023 Feb 28, 2023 WSTP WESTPAC BANKING CORP Banking Fixed Income 6138.48 0.005264642436070037 6138.48 67 67 961214ER0 US961214ER00 -- 91.8 Australia -- USD 2.02 5.32 1 Jun 03, 2026 1.15 2.02 -- 5.32 2.02 5.32 Jun 03, 2021 Jun 03, 2021 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 6137.98 0.0052642136131011525 6137.98 283 283 -- MYBGY2100027 BMVBWD2 21.66 Malaysia -- USD 12.09 4.14 4.7775 Sep 30, 2041 4.42 12.15 -- 4.14 12.15 4.14 Mar 31, 2021 Mar 31, 2021 ENELIM ENEL FINANCE AMERICA LLC 144A Electric Fixed Income 6136.73 0.005263141555678943 6136.73 59 59 29280HAA0 US29280HAA05 -- 104.29 Italy -- USD 3.02 5.72 1 Oct 14, 2027 7.1 3.05 -- 5.69 2.98 5.69 Oct 14, 2022 Oct 14, 2022 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 6133.22 0.005260131218437377 6133.22 61 61 709599BW3 US709599BW38 -- 100.89 United States -- USD 3.66 5.81 1 Aug 01, 2028 6.05 3.67 -- 5.81 3.61 5.81 Aug 01, 2023 Aug 01, 2023 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 6133.22 0.005260131218437377 6133.22 67 67 808513BF1 US808513BF16 -- 91.95 United States -- USD 1.82 5.47 1 Mar 11, 2026 0.9 1.81 -- 5.47 1.81 5.47 Dec 11, 2020 Dec 11, 2020 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 6131.47 0.005258630338046283 6131.47 69 69 023135BR6 US023135BR65 -- 89.03 United States -- USD 2.96 5.06 1 Jun 03, 2027 1.2 2.96 -- 5.06 2.96 5.06 Jun 03, 2020 Jun 03, 2020 USB US BANCORP MTN Banking Fixed Income 6120.96 0.005249616479240341 6120.96 65 65 91159HHN3 US91159HHN35 BD6P612 93.75 United States -- USD 2.12 5.37 1 Jul 22, 2026 2.38 2.12 -- 5.37 2.12 5.37 Jul 22, 2016 Jul 22, 2016 BPLN BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 6108.7 0.005239101740043306 6108.7 64 64 10373QAE0 US10373QAE08 BGS1HD8 95.91 United States -- USD 3.92 5.26 1 Nov 06, 2028 4.23 3.97 -- 5.26 3.97 5.26 Nov 06, 2018 Nov 06, 2018 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 6108.7 0.005239101740043306 6108.7 66 66 86563VBA6 US86563VBA61 -- 92.82 Japan -- USD 2.7 5.53 1 Mar 10, 2027 2.8 2.69 -- 5.53 2.69 5.53 Mar 10, 2022 Mar 10, 2022 CAG CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 6106.95 0.005237600859652212 6106.95 58 58 205887AR3 US205887AR36 2297769 105.74 United States -- USD 3.8 5.52 1 Oct 01, 2028 7 3.78 -- 5.52 3.78 5.52 Oct 07, 1998 Oct 07, 1998 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 6103.77 0.005234873545570109 6103.77 277 277 -- ROWLVEJ2A207 -- 22.02 Romania -- USD 6.75 6.86 4.6453 Oct 30, 2033 7.2 6.56 -- 6.86 6.56 6.86 Oct 30, 2022 Jun 26, 2023 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 6101.69 0.005233089642019552 6101.69 61 61 693475BK0 US693475BK03 -- 99.28 United States -- USD 3.16 5.87 1 Dec 02, 2028 5.35 3.16 -- 5.58 3.17 5.58 Dec 02, 2022 Dec 02, 2022 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 6099.94 0.005231588761628458 6099.94 71 71 345397B93 US345397B934 -- 86.22 United States -- USD 4.35 6.27 1 Feb 10, 2029 2.9 4.32 -- 6.27 4.32 6.27 Jan 10, 2022 Jan 10, 2022 AMCX AMC NETWORKS INC 144A Communications Fixed Income 6085.02 0.0052187926842369595 6085.02 61 61 00164VAG8 US00164VAG86 -- 100.06 United States -- USD 3.3 10.2 1 Jan 15, 2029 10.25 3.65 -- 10.2 3.02 10.2 Apr 09, 2024 Apr 09, 2024 FTSCN FORTIS INC Electric Fixed Income 6080.67 0.005215061924407669 6080.67 65 65 349553AM9 US349553AM97 BDFFQX5 94.21 Canada -- USD 2.29 5.62 1 Oct 04, 2026 3.06 2.3 -- 5.62 2.3 5.62 Apr 04, 2017 Jun 28, 2017 PRU PRUDENTIAL FINANCIAL INC Insurance Fixed Income 6080.67 0.005215061924407669 6080.67 62 62 744320AV4 US744320AV41 BWX43N6 98.87 United States -- USD 0.99 8.4 1 May 15, 2045 5.38 0.87 -- 6.5 0.98 6.5 May 18, 2015 May 18, 2015 TAISEM TSMC ARIZONA CORP Technology Fixed Income 6075.41 0.00521055070677501 6075.41 66 66 872898AA9 US872898AA96 -- 91.57 Taiwan -- USD 2.4 5.4 1 Oct 25, 2026 1.75 2.39 -- 5.4 2.39 5.4 Oct 25, 2021 Oct 25, 2021 SANTAN BANCO SANTANDER SA Banking Fixed Income 6073.66 0.005209049826383916 6073.66 63 63 05971KAE9 US05971KAE91 -- 96.82 Spain -- USD 1.04 5.79 1 May 28, 2025 2.75 1.04 -- 5.79 1.04 5.79 May 28, 2020 May 28, 2020 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 6071.91 0.005207548945992822 6071.91 64 64 63254AAS7 US63254AAS78 BDDX567 94.15 Australia -- USD 2.1 5.34 1 Jul 12, 2026 2.5 2.09 -- 5.34 2.09 5.34 Jul 12, 2016 Jul 12, 2016 KOEWPW KOREA EAST-WEST POWER CO LTD 144A Owned No Guarantee Fixed Income 6070.16 0.005206048065601728 6070.16 63 63 5006EPAK7 US5006EPAK79 -- 96.07 Korea (South) -- USD 0.99 5.73 1 May 06, 2025 1.75 0.99 -- 5.73 0.99 5.73 May 06, 2020 May 06, 2020 TRPCN TRANSCANADA TRUST Energy Fixed Income 6063.15 0.005200035967577974 6063.15 63 63 89356BAB4 US89356BAB45 BDGMX78 95.69 Canada -- USD 2.12 9.86 1 Aug 15, 2076 5.88 1.87 -- 7.95 2.08 7.95 Aug 11, 2016 Aug 11, 2016 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 6059.65 0.005197034206795786 6059.65 66 66 37045XDK9 US37045XDK90 -- 91.54 United States -- USD 2.03 5.79 1 Jun 10, 2026 1.5 2.03 -- 5.79 2.03 5.79 Jun 10, 2021 Jun 10, 2021 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 6057.9 0.005195533326404692 6057.9 65 65 345397B77 US345397B777 -- 92.79 United States -- USD 2.17 6.12 1 Aug 10, 2026 2.7 2.16 -- 6.12 2.16 6.12 Aug 10, 2021 Aug 10, 2021 BAX BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 6052.64 0.005191022108772032 6052.64 70 70 071813CP2 US071813CP23 -- 86.51 United States -- USD 4.24 5.62 1 Dec 01, 2028 2.27 4.23 -- 5.62 4.23 5.62 Jun 01, 2022 Jun 10, 2022 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 6052.64 0.005191022108772032 6052.64 61 61 78016FZT4 US78016FZT47 -- 99.04 Canada -- USD 1.6 5.46 1 Jan 12, 2026 4.88 1.6 -- 5.46 1.6 5.46 Jan 12, 2023 Jan 12, 2023 TMUS T-MOBILE USA INC Communications Fixed Income 6050.89 0.005189521228380938 6050.89 62 62 87264ACZ6 US87264ACZ66 -- 98.16 United States -- USD 3.45 5.48 1 Mar 15, 2028 4.95 3.47 -- 5.48 3.47 5.48 Feb 09, 2023 Feb 09, 2023 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 6047.38 0.0051865108911393724 6047.38 61 61 05565ECE3 US05565ECE32 -- 98.99 Germany -- USD 3.76 5.31 1 Aug 11, 2028 5.05 3.77 -- 5.31 3.77 5.31 Aug 11, 2023 Aug 11, 2023 SOCGEN SOCIETE GENERALE SA 144A Banking Fixed Income 6042.13 0.0051820082499660905 6042.13 66 66 83368RBC5 US83368RBC51 -- 91.37 France -- USD 2.01 6.2 1 Jun 09, 2027 1.79 2.01 -- 6.19 2.01 6.19 Jun 09, 2021 Jun 09, 2021 ENTERP ERAC USA FINANCE LLC 144A Transportation Fixed Income 6038.62 0.005178997912724526 6038.62 62 62 26884TAV4 US26884TAV44 -- 97.1 United States -- USD 3.52 5.41 1 May 01, 2028 4.6 3.53 -- 5.41 3.53 5.41 May 01, 2023 May 01, 2023 INTNED ING GROEP NV Banking Fixed Income 6035.12 0.005175996151942338 6035.12 63 63 456837AM5 US456837AM56 BFZYYN2 96.11 Netherlands -- USD 3.95 5.55 1 Oct 02, 2028 4.55 3.94 -- 5.55 3.94 5.55 Oct 02, 2018 Oct 02, 2018 MARS MARS INC 144A Consumer Non-Cyclical Fixed Income 6035.12 0.005175996151942338 6035.12 62 62 571676AT2 US571676AT26 -- 97.21 United States -- USD 3.57 5.34 1 Apr 20, 2028 4.55 3.59 -- 5.34 3.59 5.34 Apr 20, 2023 Apr 20, 2023 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 6031.62 0.00517299439116015 6031.62 63 63 63254ABE7 US63254ABE73 -- 96.14 Australia -- USD 2.85 5.26 1 Jun 09, 2027 3.9 2.85 -- 5.26 2.85 5.26 Jun 09, 2022 Jun 09, 2022 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 6024.61 0.005166982293136396 6024.61 65 65 09659W2C7 US09659W2C78 BF189X3 92.94 France -- USD 3.24 5.72 1 Nov 16, 2027 3.5 3.22 -- 5.72 3.22 5.72 Nov 16, 2017 Nov 16, 2017 AIIB ASIAN INFRASTRUCTURE INVESTMENT BA MTN 144A Supranational Fixed Income 6024.43 0.005166827916867597 6024.43 60 60 04522N2A7 US04522N2A74 -- 99.82 Supranational -- USD 0.02 5.79 1 Apr 15, 2026 5.53 0.22 -- 5.79 0.22 5.79 Apr 15, 2021 Apr 15, 2021 SIEGR SIEMENS FINANCIERINGSMAATSCHAPPIJ 144A Capital Goods Fixed Income 6017.6 0.005160970195112642 6017.6 68 68 82620KBD4 US82620KBD46 -- 87.93 Germany -- USD 3.67 5.17 1 Mar 11, 2028 1.7 3.66 -- 5.17 3.66 5.17 Mar 11, 2021 Mar 11, 2021 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 6017.6 0.005160970195112642 6017.6 63 63 86562MAN0 US86562MAN02 BF370K2 95.02 Japan -- USD 2.53 5.44 1 Jan 11, 2027 3.45 2.51 -- 5.44 2.51 5.44 Jan 12, 2017 Jan 12, 2017 AZN ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 6008.84 0.0051534572166977944 6008.84 61 61 04636NAF0 US04636NAF06 -- 98.82 United Kingdom -- USD 3.42 5.21 1 Mar 03, 2028 4.88 3.45 -- 5.21 3.45 5.21 Mar 03, 2023 Mar 03, 2023 GD GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 6008.84 0.0051534572166977944 6008.84 63 63 369550BC1 US369550BC16 BZ5YFJ5 94.93 United States -- USD 3.59 5.15 1 May 15, 2028 3.75 3.63 -- 5.15 3.63 5.15 May 11, 2018 May 11, 2018 BCRED BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 6007.09 0.0051519563363067004 6007.09 66 66 09261HAD9 US09261HAD98 -- 90.69 United States -- USD 2.48 6.52 1 Dec 15, 2026 2.63 2.46 -- 6.52 2.46 6.52 Jun 15, 2022 Aug 08, 2022 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN Banking Fixed Income 6001.84 0.0051474536951334185 6001.84 61 61 05253JAZ4 US05253JAZ49 -- 98.73 Australia -- USD 2.5 5.25 1 Jan 18, 2027 4.75 2.49 -- 5.25 2.49 5.25 Jan 18, 2024 Jan 18, 2024 KO COCA-COLA CO Consumer Non-Cyclical Fixed Income 6001.84 0.0051474536951334185 6001.84 70 70 191216DD9 US191216DD90 -- 86.24 United States -- USD 3.72 4.93 1 Mar 15, 2028 1 3.72 -- 4.93 3.72 4.93 Sep 18, 2020 Sep 18, 2020 GSK GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 5998.33 0.005144443357891853 5998.33 61 61 377372AM9 US377372AM97 BF108S7 98.27 United Kingdom -- USD 1 5.33 1 May 15, 2025 3.63 1 -- 5.33 1 5.33 May 15, 2018 May 15, 2018 TMO THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 5996.58 0.005142942477500759 5996.58 61 61 883556DA7 US883556DA77 -- 98.91 United States -- USD 4.1 5.26 1 Jan 31, 2029 5 4.11 -- 5.26 4.11 5.26 Dec 05, 2023 Dec 05, 2023 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 5977.31 0.00512641564027997 5977.31 66 66 606822BZ6 US606822BZ65 -- 90.98 Japan -- USD 2.36 5.68 1 Oct 13, 2027 1.64 2.35 -- 5.6 2.36 5.6 Oct 13, 2021 Oct 13, 2021 AZN ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 5973.81 0.005123413879497782 5973.81 65 65 046353AV0 US046353AV09 -- 91.62 United Kingdom -- USD 1.89 5.27 1 Apr 08, 2026 0.7 1.89 -- 5.27 1.89 5.27 Aug 06, 2020 Aug 06, 2020 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 5972.05 0.00512190442264731 5972.05 62 62 928668BS0 US928668BS02 -- 96.5 Germany -- USD 2.81 5.59 1 Jun 08, 2027 4.35 2.82 -- 5.59 2.82 5.59 Jun 08, 2022 Jun 08, 2022 SVELEV 7-ELEVEN INC 144A Consumer Cyclical Fixed Income 5968.55 0.005118902661865122 5968.55 65 65 817826AC4 US817826AC47 -- 92.18 United States -- USD 1.74 5.6 1 Feb 10, 2026 0.95 1.73 -- 5.6 1.73 5.6 Feb 10, 2021 Feb 10, 2021 CDR CEDAR REALTY TRUST INC Financial Institutions Equity 5967.75 0.005118216545114908 5967.75 508 508 150602506 US1506025063 BF2N4D2 11.75 United States -- USD 6.97 14.19 1 Dec 31, 2079 6.5 7.05 -- 14.19 6.87 14.19 Aug 24, 2017 Aug 24, 2017 DUK DUKE ENERGY CORP Electric Fixed Income 5959.79 0.005111389683450275 5959.79 62 62 26441CBS3 US26441CBS35 -- 95.93 United States -- USD 3.49 5.48 1 Mar 15, 2028 4.3 3.5 -- 5.48 3.5 5.48 Aug 11, 2022 Aug 11, 2022 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 5954.54 0.005106887042276993 5954.54 63 63 78016EZD2 US78016EZD20 -- 95.14 Canada -- USD 2.77 5.39 1 May 04, 2027 3.63 2.76 -- 5.39 2.76 5.39 Apr 14, 2022 Apr 14, 2022 ATDBCN ALIMENTATION COUCHE-TARD INC 144A Consumer Cyclical Fixed Income 5947.53 0.005100874944253239 5947.53 63 63 01626PAH9 US01626PAH91 BZ9P925 94.31 Canada -- USD 2.96 5.48 1 Jul 26, 2027 3.55 2.99 -- 5.48 2.99 5.48 Jul 26, 2017 Jul 26, 2017 BPLN BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 5944.03 0.005097873183471051 5944.03 61 61 10373QBX7 US10373QBX79 -- 97.53 United Kingdom -- USD 4.24 5.26 1 Apr 10, 2029 4.7 4.31 -- 5.26 4.31 5.26 Jan 10, 2024 Jan 10, 2024 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 5942.27 0.005096363726620579 5942.27 65 65 65535HAZ2 US65535HAZ29 -- 91.35 Japan -- USD 2.59 5.78 1 Jan 22, 2027 2.33 2.58 -- 5.78 2.58 5.78 Jan 11, 2022 Jan 11, 2022 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 5940.52 0.005094862846229485 5940.52 62 62 928668AU6 US928668AU66 BGPMBN2 96.47 Germany -- USD 3.96 5.64 1 Nov 13, 2028 4.75 3.94 -- 5.64 3.94 5.64 Nov 13, 2018 Nov 13, 2018 BPLN BP CAPITAL MARKETS PLC Energy Fixed Income 5938.77 0.005093361965838391 5938.77 63 63 05565QDH8 US05565QDH83 BZ6CXN8 93.72 United Kingdom -- USD 4.04 5.28 1 Nov 28, 2028 3.72 4.08 -- 5.28 4.08 5.28 Nov 28, 2016 Nov 28, 2016 ROMGB ROMANIA (REPUBLIC OF) Treasuries Fixed Income 5927.49 0.0050836877196603686 5927.49 269 269 -- ROP9QVD42HO2 -- 22.06 Romania -- USD 2.64 6.28 4.6453 May 31, 2027 7.2 2.56 -- 6.28 2.56 6.28 May 31, 2022 May 24, 2023 STT STATE STREET CORP Banking Fixed Income 5923 0.005079836889399791 5923 61 61 857477AT0 US857477AT04 BYV7PL3 97.68 United States -- USD 1.25 5.4 1 Aug 18, 2025 3.55 1.25 -- 5.4 1.25 5.4 Aug 18, 2015 Aug 18, 2015 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 5921.25 0.005078336009008697 5921.25 59 59 853254CT5 US853254CT59 -- 100.47 Hong Kong -- USD 1.98 6.27 1 Jul 06, 2027 6.19 1.99 -- 5.95 1.99 5.95 Jul 06, 2023 Jul 06, 2023 ACAFP CREDIT AGRICOLE SA MTN 144A Banking Fixed Income 5903.73 0.005063310052179001 5903.73 64 64 225313AK1 US225313AK19 BDD91Y5 91.96 France -- USD 3.27 6.44 1 Jan 10, 2033 4 3.3 -- 6.44 3.32 6.44 Jan 10, 2018 Jan 10, 2018 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 5903.73 0.005063310052179001 5903.73 59 59 771196CE0 US771196CE02 -- 100.06 Switzerland -- USD 2.27 5.24 1 Nov 13, 2026 5.26 2.3 -- 5.24 2.3 5.24 Nov 13, 2023 Nov 13, 2023 BPLN BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 5898.48 0.005058807411005719 5898.48 61 61 10373QBE9 US10373QBE98 BHWXNR3 96.65 United States -- USD 1.69 5.39 1 Feb 11, 2026 3.41 1.7 -- 5.39 1.7 5.39 Feb 11, 2019 Feb 11, 2019 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 5892.08 0.005053318477004004 5892.08 59 59 44891ACL9 US44891ACL98 -- 100.44 United States -- USD 0.02 6.24 1 Aug 04, 2025 6.46 0.03 -- 6.24 0.03 6.24 Aug 04, 2023 Aug 04, 2023 NFLX NETFLIX INC Communications Fixed Income 5891.47 0.0050527953129819655 5891.47 60 60 64110LAN6 US64110LAN64 BDGJMQ1 97.63 United States -- USD 2.34 5.38 1 Nov 15, 2026 4.38 2.33 -- 5.38 2.33 5.38 Oct 27, 2016 Oct 27, 2016 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 5889.72 0.0050512944325908716 5889.72 65 65 14040HCH6 US14040HCH66 -- 90.73 United States -- USD 2.4 5.97 1 Nov 02, 2027 1.88 2.37 -- 5.89 2.38 5.89 Nov 02, 2021 Nov 02, 2021 MO ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 5887.97 0.0050497935521997776 5887.97 60 60 02209SBC6 US02209SBC61 BJ2W9T8 98.02 United States -- USD 1.67 5.56 1 Feb 14, 2026 4.4 1.69 -- 5.56 1.69 5.56 Feb 14, 2019 Feb 14, 2019 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 5887.97 0.0050497935521997776 5887.97 60 60 63253QAG9 US63253QAG91 -- 97.83 Australia -- USD 4.11 5.31 1 Jan 10, 2029 4.79 4.1 -- 5.31 4.1 5.31 Jan 10, 2024 Jan 10, 2024 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 5887.97 0.0050497935521997776 5887.97 64 64 89788MAD4 US89788MAD48 -- 92.12 United States -- USD 1.79 5.88 1 Mar 02, 2027 1.27 1.78 -- 5.81 1.78 5.81 Mar 02, 2021 Mar 02, 2021 JPM JPMORGAN CHASE & CO Banking Fixed Income 5884.46 0.005046783214958212 5884.46 55 55 059438AK7 US059438AK79 2297781 107.26 United States -- USD 2.59 5.36 1 Apr 29, 2027 8 2.58 -- 5.36 2.58 5.36 Apr 29, 1997 Apr 29, 1997 WMB WILLIAMS COMPANIES INC Energy Fixed Income 5882.71 0.005045282334567119 5882.71 59 59 969457CH1 US969457CH11 -- 99.59 United States -- USD 1.73 5.63 1 Mar 02, 2026 5.4 1.73 -- 5.63 1.73 5.63 Mar 02, 2023 Mar 02, 2023 IFF INTERNATIONAL FLAVORS & FRAGRANCES 144A Basic Industry Fixed Income 5879.21 0.005042280573784931 5879.21 67 67 459506AP6 US459506AP65 BNNFQD7 87.68 United States -- USD 3.29 5.8 1 Oct 15, 2027 1.83 3.28 -- 5.8 3.28 5.8 Sep 16, 2020 Sep 16, 2020 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 5872.2 0.005036268475761177 5872.2 60 60 378272BS6 US378272BS65 -- 98.05 Switzerland -- USD 4.26 5.83 1 Apr 04, 2029 5.37 4.26 -- 5.83 4.26 5.83 Apr 04, 2024 Apr 04, 2024 MFCCN MANULIFE FINANCIAL CORP Insurance Fixed Income 5870.45 0.005034767595370083 5870.45 60 60 56501RAC0 US56501RAC07 BYQ64Z2 97.65 Canada -- USD 1.75 5.5 1 Mar 04, 2026 4.15 1.75 -- 5.5 1.75 5.5 Mar 04, 2016 Mar 04, 2016 CLR CONTINENTAL RESOURCES INC Energy Fixed Income 5859.94 0.005025753736564141 5859.94 62 62 212015AS0 US212015AS02 BF19CF9 95.19 United States -- USD 3.31 5.83 1 Jan 15, 2028 4.38 3.33 -- 5.83 3.33 5.83 Dec 08, 2017 May 23, 2018 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 5851.18 0.0050182407581492935 5851.18 59 59 251526CV9 US251526CV96 -- 99.06 Germany -- USD 2.5 6.3 1 Feb 08, 2028 5.71 2.5 -- 6.07 2.51 6.07 Feb 08, 2024 Feb 08, 2024 ANZNZ ANZ NEW ZEALAND INTL LTD (LONDON B MTN 144A Banking Fixed Income 5845.92 0.005013729540516634 5845.92 59 59 00182EBU2 US00182EBU29 -- 99.35 New Zealand -- USD 3.77 5.52 1 Aug 14, 2028 5.36 3.76 -- 5.52 3.76 5.52 Aug 14, 2023 Aug 14, 2023 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 5844.17 0.00501222866012554 5844.17 60 60 05401AAU5 US05401AAU51 -- 98 Ireland -- USD 4.11 6.23 1 Mar 01, 2029 5.75 4.11 -- 6.23 4.11 6.23 Jan 25, 2024 Jan 25, 2024 VOD VODAFONE GROUP PLC Communications Fixed Income 5844.17 0.00501222866012554 5844.17 60 60 92857WBK5 US92857WBK53 BYWFV85 96.92 United Kingdom -- USD 3.64 5.22 1 May 30, 2028 4.38 3.63 -- 5.22 3.63 5.22 May 30, 2018 May 30, 2018 ABNANV ABN AMRO BANK NV MTN 144A Banking Fixed Income 5837.16 0.005006216562101786 5837.16 59 59 00080QAF2 US00080QAF28 BYVY376 98.2 Netherlands -- USD 1.19 6.26 1 Jul 28, 2025 4.75 1.19 -- 6.26 1.19 6.26 Jul 28, 2015 Jul 28, 2015 COMM COMMSCOPE INC 144A Technology Fixed Income 5831.96 0.005001756803225393 5831.96 172 172 203372AV9 US203372AV94 BM8MKY5 33.88 United States -- USD 2.99 41.85 1 Jul 01, 2028 7.13 2.52 -- 41.85 2.52 41.85 Jul 01, 2020 Jul 01, 2020 ABNANV ABN AMRO BANK NV 144A Banking Fixed Income 5824.9 0.004995701822904751 5824.9 68 68 00084DAW0 US00084DAW02 -- 86.14 Netherlands -- USD 4.16 6 1 Dec 13, 2029 2.47 4.21 -- 5.94 4.21 5.94 Dec 13, 2021 Dec 13, 2021 HYUELE SK HYNIX INC 144A Technology Fixed Income 5824.9 0.004995701822904751 5824.9 58 58 78392BAE7 US78392BAE74 -- 101.23 Korea (South) -- USD 3.25 6 1 Jan 17, 2028 6.38 3.23 -- 6 3.23 6 Jan 17, 2023 Jan 17, 2023 USB US BANCORP MTN Banking Fixed Income 5823.15 0.004994200942513657 5823.15 64 64 91159HJC5 US91159HJC51 -- 91.35 United States -- USD 2.6 5.77 1 Jan 27, 2028 2.21 2.6 -- 5.65 2.6 5.65 Jan 27, 2022 Jan 27, 2022 WMT WALMART INC Consumer Cyclical Fixed Income 5823.15 0.004994200942513657 5823.15 64 64 931142ER0 US931142ER00 -- 91.21 United States -- USD 2.31 4.99 1 Sep 17, 2026 1.05 2.31 -- 4.99 2.31 4.99 Sep 17, 2021 Sep 17, 2021 OXY OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 5821.4 0.004992700062122563 5821.4 57 57 674599EC5 US674599EC50 -- 102.03 United States -- USD 3.53 5.84 1 Sep 01, 2028 6.38 3.73 -- 5.78 3.35 5.78 Aug 26, 2020 Aug 26, 2020 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 5814.39 0.0049866879640988095 5814.39 64 64 60687YBP3 US60687YBP34 -- 91.43 Japan -- USD 1.98 5.74 1 May 22, 2027 1.23 1.98 -- 5.67 1.99 5.67 Feb 22, 2021 Feb 22, 2021 CPGX COLUMBIA PIPELINE GROUP INC Energy Fixed Income 5809.13 0.00498217674646615 5809.13 59 59 198280AF6 US198280AF63 BYY9FJ4 98.38 United States -- USD 1.03 6.04 1 Jun 01, 2025 4.5 1.04 -- 6.04 1.04 6.04 Dec 01, 2015 May 12, 2016 DTE DTE ENERGY COMPANY Electric Fixed Income 5809.13 0.00498217674646615 5809.13 60 60 233331BK2 US233331BK28 -- 97.56 United States -- USD 4.18 5.68 1 Mar 01, 2029 5.1 4.19 -- 5.68 4.19 5.68 Feb 15, 2024 Feb 15, 2024 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN Banking Fixed Income 5805.63 0.004979174985683962 5805.63 60 60 05253JAL5 US05253JAL52 BYQ2988 97.54 Australia -- USD 1.47 5.37 1 Nov 16, 2025 3.7 1.46 -- 5.37 1.46 5.37 Nov 16, 2015 Nov 16, 2015 PCG PACIFIC GAS AND ELECTRIC CO Electric Fixed Income 5805.63 0.004979174985683962 5805.63 63 63 694308HW0 US694308HW04 BG88F02 91.89 United States -- USD 3.27 5.83 1 Dec 01, 2027 3.3 3.27 -- 5.83 3.27 5.83 Nov 29, 2017 May 14, 2018 HEIANA HEINEKEN NV 144A Consumer Non-Cyclical Fixed Income 5802.13 0.004976173224901774 5802.13 62 62 423012AF0 US423012AF03 BF16R22 93.93 Netherlands -- USD 3.4 5.3 1 Jan 29, 2028 3.5 3.43 -- 5.3 3.43 5.3 Mar 29, 2017 Mar 29, 2017 RABOBK COOPERATIEVE RABOBANK UA MTN 144A Banking Fixed Income 5795.12 0.00497016112687802 5795.12 59 59 74977RDS0 US74977RDS04 -- 98.93 Netherlands -- USD 3.36 6.01 1 Feb 28, 2029 5.56 3.38 -- 5.88 3.38 5.88 Feb 28, 2023 Feb 28, 2023 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 5793.37 0.004968660246486926 5793.37 58 58 91324PEP3 US91324PEP36 -- 100.19 United States -- USD 3.36 5.19 1 Feb 15, 2028 5.25 3.38 -- 5.19 3.38 5.19 Oct 28, 2022 Oct 28, 2022 RIG TRANSOCEAN INC 144A Energy Fixed Income 5790.17 0.004965915779486069 5790.17 58 58 893830BY4 US893830BY45 -- 99.75 United States -- USD 3.58 8.28 1 May 15, 2029 8.25 4.06 -- 8.28 4.06 8.28 Apr 18, 2024 Apr 18, 2024 BMO BANK OF MONTREAL MTN Banking Fixed Income 5788.11 0.004964149028854266 5788.11 59 59 06368D3S1 US06368D3S13 -- 97.93 Canada -- USD 1.07 5.64 1 Jun 07, 2025 3.7 1.06 -- 5.64 1.06 5.64 Jun 07, 2022 Jun 07, 2022 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 5786.36 0.004962648148463172 5786.36 61 61 75513ECH2 US75513ECH27 BN6NLL1 95.21 United States -- USD 2.65 5.31 1 Mar 15, 2027 3.5 2.69 -- 5.31 2.69 5.31 Sep 15, 2020 Dec 08, 2020 DELL DELL INTERNATIONAL LLC / EMC CORP Technology Fixed Income 5782.85 0.004959637811221607 5782.85 58 58 24703DBJ9 US24703DBJ90 -- 99.32 United States -- USD 3.32 5.45 1 Feb 01, 2028 5.25 3.33 -- 5.45 3.33 5.45 Jan 24, 2023 Jan 24, 2023 MQGAU MACQUARIE GROUP LTD MTN 144A Banking Fixed Income 5782.85 0.004959637811221607 5782.85 62 62 55608JAR9 US55608JAR95 -- 92.62 Australia -- USD 1.65 6.12 1 Jan 12, 2027 1.34 1.64 -- 5.93 1.64 5.93 Jan 12, 2021 Jan 12, 2021 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 5774.98 0.004952888137691373 5774.98 577498 577498 -- IDG000013202 BGWLKF7 0.01 Indonesia -- USD 8.79 7.16 16187.5 Apr 15, 2039 8.38 8.79 -- 7.16 8.79 7.16 Oct 15, 2018 Jan 07, 2019 ET ENERGY TRANSFER PARTNERS LP Energy Fixed Income 5774.1 0.0049521334092661375 5774.1 59 59 29278NAF0 US29278NAF06 BDD88Q3 97.32 United States -- USD 3.56 5.68 1 Jun 15, 2028 4.95 3.62 -- 5.68 3.62 5.68 Jun 08, 2018 Jun 08, 2018 POHANG POSCO HOLDINGS INC 144A Basic Industry Fixed Income 5774.1 0.0049521334092661375 5774.1 58 58 73730EAD5 US73730EAD58 -- 100.11 Korea (South) -- USD 3.28 5.71 1 Jan 17, 2028 5.75 3.26 -- 5.71 3.26 5.71 Jan 17, 2023 Jan 17, 2023 KVUE KENVUE INC Consumer Non-Cyclical Fixed Income 5772.34 0.004950623952415666 5772.34 58 58 49177JAF9 US49177JAF93 -- 99.66 United States -- USD 3.7 4.83 1 Mar 22, 2028 5.05 3.73 -- 4.83 3.73 4.83 Sep 22, 2023 Oct 17, 2023 WMT WALMART INC Consumer Cyclical Fixed Income 5772.34 0.004950623952415666 5772.34 60 60 931142EX7 US931142EX77 -- 96.87 United States -- USD 3.08 4.97 1 Sep 09, 2027 3.95 3.09 -- 4.97 3.09 4.97 Sep 09, 2022 Sep 09, 2022 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 5770.59 0.004949123072024572 5770.59 57 57 05401AAS0 US05401AAS06 -- 100.52 Ireland -- USD 3.4 6.23 1 May 04, 2028 6.38 3.4 -- 6.23 3.34 6.23 May 04, 2023 May 04, 2023 PAA PLAINS ALL AMERICAN PIPELINE LP / Energy Fixed Income 5770.59 0.004949123072024572 5770.59 59 59 72650RBJ0 US72650RBJ05 BYX08D3 98.3 United States -- USD 1.36 5.87 1 Oct 15, 2025 4.65 1.4 -- 5.87 1.4 5.87 Aug 24, 2015 Aug 24, 2015 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y Banking Fixed Income 5767.09 0.004946121311242384 5767.09 58 58 63253QAA2 US63253QAA22 -- 99.37 Australia -- USD 1.6 5.35 1 Jan 12, 2026 4.97 1.6 -- 5.35 1.6 5.35 Jan 12, 2023 Jan 12, 2023 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 5765.34 0.00494462043085129 5765.34 57 57 86562MDB3 US86562MDB37 -- 100.94 Japan -- USD 3.66 5.55 1 Jul 13, 2028 5.8 3.64 -- 5.55 3.64 5.55 Jul 13, 2023 Jul 13, 2023 STANLN STANDARD CHARTERED PLC 6nc5 144A Banking Fixed Income 5763.58 0.004943110974000818 5763.58 55 55 853254CN8 US853254CN89 -- 105.61 United Kingdom -- USD 2.96 6.5 1 Nov 16, 2028 7.77 2.99 -- 5.99 3 5.99 Nov 16, 2022 Nov 16, 2022 APD AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 5761.83 0.004941610093609724 5761.83 59 59 009158BH8 US009158BH84 -- 97.51 United States -- USD 4.18 5.19 1 Feb 08, 2029 4.6 4.19 -- 5.19 4.19 5.19 Feb 08, 2024 Feb 08, 2024 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 5760.08 0.00494010921321863 5760.08 61 61 89114QCK2 US89114QCK22 -- 93.8 Canada -- USD 1.34 5.48 1 Sep 11, 2025 0.75 1.34 -- 5.48 1.34 5.48 Sep 11, 2020 Sep 11, 2020 WMB TRANSCONTINENTAL GAS PIPE LINE COM Energy Fixed Income 5760.08 0.00494010921321863 5760.08 56 56 893574AH6 US893574AH62 BYXR3R3 102.97 United States -- USD 1.42 6.04 1 Feb 01, 2026 7.85 1.61 -- 5.78 1.39 5.78 Aug 01, 2016 Jan 04, 2017 COXENT COX COMMUNICATIONS INC 144A Communications Fixed Income 5758.33 0.004938608332827536 5758.33 61 61 224044CG0 US224044CG04 BYVC6Q0 94.98 United States -- USD 2.23 5.62 1 Sep 15, 2026 3.35 2.24 -- 5.62 2.24 5.62 Sep 13, 2016 Sep 13, 2016 OKE ONEOK INC Energy Fixed Income 5756.58 0.004937107452436442 5756.58 57 57 682680BJ1 US682680BJ18 -- 100.17 United States -- USD 3.79 5.61 1 Nov 01, 2028 5.65 3.8 -- 5.61 3.8 5.61 Aug 24, 2023 Aug 24, 2023 C CITIBANK NA Banking Fixed Income 5754.83 0.004935606572045348 5754.83 57 57 17325FBB3 US17325FBB31 -- 101.69 United States -- USD 3.83 5.37 1 Sep 29, 2028 5.8 3.85 -- 5.36 3.79 5.36 Sep 29, 2023 Sep 29, 2023 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 5754.83 0.004935606572045348 5754.83 58 58 65339KCG3 US65339KCG31 -- 98.61 United States -- USD 1.09 5.71 1 Jun 20, 2025 4.45 1.09 -- 5.71 1.09 5.71 Jun 23, 2022 Jun 23, 2022 BHP BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 5751.32 0.004932596234803782 5751.32 59 59 055451AZ1 US055451AZ15 -- 98.2 Australia -- USD 3.42 5.27 1 Feb 28, 2028 4.75 3.44 -- 5.27 3.44 5.27 Feb 28, 2023 Feb 28, 2023 IMBLN IMPERIAL BRANDS FINANCE PLC 144A Consumer Non-Cyclical Fixed Income 5746.07 0.0049280935936305 5746.07 57 57 45262BAF0 US45262BAF04 -- 100.89 United Kingdom -- USD 2.85 5.82 1 Jul 27, 2027 6.13 2.88 -- 5.81 2.81 5.81 Jul 27, 2022 Jul 27, 2022 CAG CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 5742.56 0.004925083256388935 5742.56 58 58 205887CB6 US205887CB65 BFWSC00 98.23 United States -- USD 1.39 5.83 1 Nov 01, 2025 4.6 1.41 -- 5.83 1.41 5.83 Oct 22, 2018 Oct 22, 2018 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 5740.81 0.004923582375997841 5740.81 61 61 713448DY1 US713448DY13 BD31RD2 93.44 United States -- USD 3.2 5.08 1 Oct 15, 2027 3 3.23 -- 5.08 3.23 5.08 Oct 10, 2017 Oct 10, 2017 AL AIR LEASE CORPORATION MTN Finance Companies Fixed Income 5733.8 0.004917570277974087 5733.8 63 63 00914AAM4 US00914AAM45 -- 91.63 United States -- USD 2.21 5.81 1 Aug 15, 2026 1.88 2.19 -- 5.81 2.19 5.81 May 24, 2021 May 24, 2021 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 5732.05 0.004916069397582993 5732.05 59 59 05565AAR4 US05565AAR41 BD8ZS03 96.83 France -- USD 1.89 6.04 1 May 12, 2026 4.38 1.88 -- 6.04 1.88 6.04 May 12, 2016 May 12, 2016 TTWO TAKE-TWO INTERACTIVE SOFTWARE INC. Communications Fixed Income 5732.05 0.004916069397582993 5732.05 59 59 874054AK5 US874054AK58 -- 97.81 United States -- USD 3.49 5.58 1 Mar 28, 2028 4.95 3.5 -- 5.58 3.5 5.58 Apr 14, 2023 Apr 14, 2023 OTEXCN OPEN TEXT CORP 144A Technology Fixed Income 5719.79 0.004905554658385958 5719.79 56 56 683715AF3 US683715AF36 -- 102.18 Canada -- USD 3.06 6.21 1 Dec 01, 2027 6.9 3.07 -- 6.2 3.01 6.2 Dec 01, 2022 Dec 01, 2022 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 5716.28 0.004902544321144392 5716.28 62 62 86563VAV1 US86563VAV18 -- 92.72 Japan -- USD 1.84 5.61 1 Mar 25, 2026 1.55 1.84 -- 5.61 1.84 5.61 Mar 25, 2021 Mar 25, 2021 BNS BANK OF NOVA SCOTIA (FXD) Banking Fixed Income 5714.53 0.004901043440753298 5714.53 57 57 06418JAA9 US06418JAA97 -- 99.61 Canada -- USD 2.37 5.51 1 Dec 07, 2026 5.35 2.36 -- 5.51 2.36 5.51 Dec 07, 2023 Dec 07, 2023 CRBG COREBRIDGE FINANCIAL INC Insurance Fixed Income 5714.53 0.004901043440753298 5714.53 58 58 21871XAP4 US21871XAP42 991XAP4 98.83 United States -- USD 2.93 8.18 1 Dec 15, 2052 6.88 2.97 -- 7.27 2.9 7.27 Dec 15, 2022 May 24, 2023 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 5700.52 0.004889027821165169 5700.52 66 66 65535HAY5 US65535HAY53 -- 86.61 Japan -- USD 3.92 5.79 1 Jul 14, 2028 2.17 3.9 -- 5.79 3.9 5.79 Jul 12, 2021 Jul 12, 2021 GS GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 5698.77 0.004887526940774075 5698.77 58 58 38141GZT4 US38141GZT48 -- 97.48 United States -- USD 1.96 6.02 1 Jun 15, 2027 4.39 1.97 -- 5.65 1.98 5.65 Jun 13, 2022 Jun 13, 2022 TMUS T-MOBILE USA INC Communications Fixed Income 5695.26 0.004884516603532509 5695.26 59 59 87264ADA0 US87264ADA07 -- 97.34 United States -- USD 3.71 5.51 1 Jul 15, 2028 4.8 3.71 -- 5.51 3.71 5.51 May 11, 2023 May 11, 2023 FSK FS KKR CAPITAL CORP Finance Companies Fixed Income 5693.51 0.004883015723141415 5693.51 60 60 302635AG2 US302635AG21 -- 94.51 United States -- USD 1.63 6.83 1 Jan 15, 2026 3.4 1.62 -- 6.83 1.62 6.83 Dec 10, 2020 Dec 10, 2020 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 5691.76 0.004881514842750321 5691.76 58 58 571903BJ1 US571903BJ14 -- 98.62 United States -- USD 3.12 5.44 1 Oct 15, 2027 5 3.14 -- 5.44 3.14 5.44 Sep 08, 2022 Sep 08, 2022 RAKUTN RAKUTEN GROUP INC 144A Consumer Cyclical Fixed Income 5690.34 0.00488029698551869 5690.34 58 58 75102WAK4 US75102WAK45 -- 98.77 Japan -- USD 3.95 10.04 1 Apr 15, 2029 9.75 3.84 -- 10.04 3.84 10.04 Apr 10, 2024 Apr 10, 2024 UBS UBS GROUP AG 144A Banking Fixed Income 5688.26 0.004878513081968133 5688.26 56 56 225401BE7 US225401BE76 -- 101.41 Switzerland -- USD 3.76 6.06 1 Sep 22, 2029 6.25 3.79 -- 5.88 3.79 5.88 Sep 22, 2023 Sep 22, 2023 GM GENERAL MOTORS CO Consumer Cyclical Fixed Income 5684.75 0.004875502744726567 5684.75 55 55 37045VAU4 US37045VAU44 -- 103.26 United States -- USD 2.95 5.74 1 Oct 01, 2027 6.8 3.03 -- 5.69 2.89 5.69 May 12, 2020 May 12, 2020 NBNAUS NBN CO LTD MTN 144A Owned No Guarantee Fixed Income 5683 0.004874001864335473 5683 63 63 62878U2D3 US62878U2D30 -- 90.46 Australia -- USD 2.58 5.47 1 Jan 08, 2027 1.63 2.57 -- 5.47 2.57 5.47 Oct 08, 2021 Oct 08, 2021 BNS BANK OF NOVA SCOTIA Banking Fixed Income 5679.5 0.004871000103553285 5679.5 60 60 064159QE9 US064159QE92 BK6S8Q9 94.04 Canada -- USD 2.15 5.53 1 Aug 03, 2026 2.7 2.14 -- 5.53 2.14 5.53 Jul 29, 2019 Jul 29, 2019 BAC BANK OF AMERICA CORP MTN Banking Fixed Income 5677.74 0.0048694906467028135 5677.74 61 61 06051GHQ5 US06051GHQ55 BJ9NHM3 92.65 United States -- USD 4.2 5.87 1 Feb 07, 2030 3.97 5 -- 5.75 4.22 5.75 Feb 07, 2019 Feb 07, 2019 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 5670.74 0.004863487125138438 5670.74 60 60 58013MFF6 US58013MFF68 BFXSFH7 94.83 United States -- USD 3.54 5.27 1 Apr 01, 2028 3.8 3.58 -- 5.27 3.58 5.27 Mar 16, 2018 Mar 16, 2018 BATSLN BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 5661.98 0.004855974146723591 5661.98 58 58 05526DBP9 US05526DBP96 -- 97.44 United Kingdom -- USD 2.65 5.66 1 Apr 02, 2027 4.7 2.69 -- 5.66 2.69 5.66 Apr 02, 2020 Apr 02, 2020 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 5661.98 0.004855974146723591 5661.98 64 64 37045XDH6 US37045XDH61 BLFJCP7 88.2 United States -- USD 3.69 5.78 1 Apr 10, 2028 2.4 3.68 -- 5.78 3.68 5.78 Apr 09, 2021 Apr 09, 2021 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 5661.98 0.004855974146723591 5661.98 60 60 913017CR8 US913017CR85 BF2YLP6 93.74 United States -- USD 2.76 5.4 1 May 04, 2027 3.13 2.79 -- 5.4 2.79 5.4 May 04, 2017 May 04, 2017 CHTR CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 5647.96 0.004843949950676083 5647.96 68 68 161175CD4 US161175CD44 -- 83.28 United States -- USD 4.35 6.41 1 Jan 15, 2029 2.25 4.31 -- 6.41 4.31 6.41 Oct 12, 2021 Oct 12, 2021 CRHID CRH AMERICA FINANCE INC 144A Capital Goods Fixed Income 5644.46 0.004840948189893895 5644.46 59 59 12636YAC6 US12636YAC66 BDRXXR0 94.9 Ireland -- USD 3.54 5.4 1 Apr 04, 2028 3.95 3.58 -- 5.4 3.58 5.4 Apr 04, 2018 Apr 04, 2018 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 5640.96 0.004837946429111707 5640.96 57 57 03027XCC2 US03027XCC20 BRJVGL5 98.47 United States -- USD 3.68 5.66 1 Jul 15, 2028 5.25 3.68 -- 5.66 3.68 5.66 May 25, 2023 May 25, 2023 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 5633.95 0.0048319343310879535 5633.95 66 66 548661ED5 US548661ED58 -- 85.78 United States -- USD 4.12 5.38 1 Sep 15, 2028 1.7 4.11 -- 5.38 4.11 5.38 Sep 20, 2021 Sep 20, 2021 DT DEUTSCHE TELEKOM INTERNATIONAL FIN 144A Communications Fixed Income 5618.18 0.004818409254649353 5618.18 59 59 25156PBB8 US25156PBB85 BFWST32 95.98 Germany -- USD 3.63 5.47 1 Jun 21, 2028 4.38 3.68 -- 5.47 3.68 5.47 Jun 21, 2018 Jun 21, 2018 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 5618.18 0.004818409254649353 5618.18 56 56 37045XEB8 US37045XEB82 -- 100.84 United States -- USD 3.22 5.74 1 Jan 09, 2028 6 3.23 -- 5.74 3.16 5.74 Jan 09, 2023 Jan 09, 2023 WRK WRKCO INC Basic Industry Fixed Income 5618.18 0.004818409254649353 5618.18 58 58 92940PAD6 US92940PAD69 BJHN0K4 97.31 United States -- USD 4.2 5.53 1 Mar 15, 2029 4.9 4.26 -- 5.53 4.26 5.53 Dec 03, 2018 Feb 15, 2019 KEY KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 5612.93 0.004813906613476071 5612.93 57 57 49327M3F9 US49327M3F97 -- 98 United States -- USD 3.08 6.49 1 Nov 15, 2027 5.85 3.07 -- 6.49 3.07 6.49 Nov 15, 2022 Nov 15, 2022 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 5604.17 0.004806393635061223 5604.17 62 62 025816CM9 US025816CM94 -- 91.04 United States -- USD 2.4 5.5 1 Nov 04, 2026 1.65 2.39 -- 5.5 2.39 5.5 Nov 04, 2021 Nov 04, 2021 RIOLN RIO TINTO FINANCE (USA) LTD Basic Industry Fixed Income 5602.41 0.004804884178210751 5602.41 52 52 767201AD8 US767201AD89 B3B8V00 106.82 Australia -- USD 3.59 5.3 1 Jul 15, 2028 7.13 3.58 -- 5.3 3.58 5.3 Jun 27, 2008 Jun 27, 2008 ET ENERGY TRANSFER LP Energy Fixed Income 5598.91 0.0048018824174285634 5598.91 56 56 29273VAP5 US29273VAP58 -- 99.86 United States -- USD 3.34 5.59 1 Feb 15, 2028 5.55 3.35 -- 5.59 3.35 5.59 Dec 14, 2022 Dec 14, 2022 MDT MEDTRONIC GLOBAL HOLDINGS SCA Consumer Non-Cyclical Fixed Income 5593.66 0.0047973797762552815 5593.66 58 58 58507LBB4 US58507LBB45 -- 96.5 United States -- USD 3.53 5.25 1 Mar 30, 2028 4.25 3.55 -- 5.25 3.55 5.25 Mar 30, 2023 Mar 30, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 5590.15 0.004794369439013716 5590.15 56 56 78016FZZ0 US78016FZZ07 -- 99.62 Canada -- USD 2.06 5.38 1 Jul 20, 2026 5.2 2.06 -- 5.38 2.06 5.38 Jul 20, 2023 Jul 20, 2023 BOCAVI BOC AVIATION PTE LTD MTN 144A Owned No Guarantee Fixed Income 5586.65 0.004791367678231528 5586.65 58 58 09681LAB6 US09681LAB62 BD9XWC6 96.57 Singapore -- USD 1.83 5.71 1 Apr 27, 2026 3.88 1.86 -- 5.71 1.86 5.71 Apr 27, 2016 Apr 27, 2016 AZN ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 5581.39 0.004786856460598868 5581.39 56 56 04636NAK9 US04636NAK90 -- 98.82 United Kingdom -- USD 2.57 5.25 1 Feb 26, 2027 4.8 2.6 -- 5.25 2.6 5.25 Feb 26, 2024 Feb 26, 2024 EXPE EXPEDIA GROUP INC 144A Consumer Cyclical Fixed Income 5579.64 0.004785355580207774 5579.64 56 56 30212PAS4 US30212PAS48 BLD49V9 100.34 United States -- USD 0.77 5.9 1 May 01, 2025 6.25 0.94 -- 5.8 0.72 5.8 May 05, 2020 May 05, 2020 SO SOUTHERN COMPANY (THE) Electric Fixed Income 5576.14 0.004782353819425586 5576.14 56 56 842587DS3 US842587DS35 -- 99.51 United States -- USD 4.17 5.61 1 Mar 15, 2029 5.5 4.21 -- 5.61 4.21 5.61 Sep 08, 2023 Sep 08, 2023 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 5576.14 0.004782353819425586 5576.14 58 58 907818EY0 US907818EY04 BDFT2W8 95.43 United States -- USD 3.88 5.13 1 Sep 10, 2028 3.95 3.93 -- 5.13 3.93 5.13 Jun 08, 2018 Jun 08, 2018 TPR TAPESTRY INC Consumer Cyclical Fixed Income 5570.88 0.004777842601792926 5570.88 54 54 876030AD9 US876030AD93 -- 102.62 United States -- USD 3.75 6.67 1 Nov 27, 2028 7.35 3.75 -- 6.67 3.68 6.67 Nov 27, 2023 Nov 27, 2023 CCI CROWN CASTLE INC Communications Fixed Income 5565.63 0.004773339960619645 5565.63 57 57 22822VBA8 US22822VBA89 -- 97.38 United States -- USD 3.28 5.79 1 Jan 11, 2028 5 3.29 -- 5.79 3.29 5.79 Jan 11, 2023 Jan 11, 2023 TAISEM TSMC GLOBAL LTD 144A Technology Fixed Income 5556.87 0.0047658269822047974 5556.87 60 60 872882AH8 US872882AH89 -- 92.21 Taiwan -- USD 1.92 5.42 1 Apr 23, 2026 1.25 1.92 -- 5.42 1.92 5.42 Apr 23, 2021 Apr 23, 2021 MET METROPOLITAN LIFE GLOBAL FUNDING I 144A Insurance Fixed Income 5549.86 0.004759814884181044 5549.86 58 58 59217GBY4 US59217GBY44 BYM4751 95.22 United States -- USD 2.46 5.41 1 Dec 18, 2026 3.45 2.45 -- 5.41 2.45 5.41 Dec 19, 2016 Dec 19, 2016 GOOGL ALPHABET INC Technology Fixed Income 5548.11 0.00475831400378995 5548.11 63 63 02079KAJ6 US02079KAJ60 -- 87.93 United States -- USD 3.18 4.79 1 Aug 15, 2027 0.8 3.18 -- 4.79 3.18 4.79 Aug 05, 2020 Aug 05, 2020 BAYNGR BAYER US FINANCE LLC 144A Consumer Non-Cyclical Fixed Income 5546.36 0.004756813123398856 5546.36 55 55 07274EAJ2 US07274EAJ29 -- 100.21 Germany -- USD 3.99 6.19 1 Jan 21, 2029 6.25 3.99 -- 6.19 3.99 6.19 Nov 21, 2023 Nov 21, 2023 LUMN LUMEN TECHNOLOGIES INC 144A Communications Fixed Income 5541.75 0.004752859375625745 5541.75 85 85 156700BB1 US156700BB17 BJ170W4 64.87 United States -- USD 2.37 23.8 1 Dec 15, 2026 5.13 2.17 -- 23.8 2.17 23.8 Dec 16, 2019 Dec 16, 2019 FI FISERV INC Technology Fixed Income 5541.1 0.004752301905766196 5541.1 59 59 337738AR9 US337738AR95 BG8F4H3 94.55 United States -- USD 3.93 5.6 1 Oct 01, 2028 4.2 3.96 -- 5.6 3.96 5.6 Sep 25, 2018 Sep 25, 2018 INTNED ING GROEP NV Banking Fixed Income 5535.84 0.004747790688133536 5535.84 58 58 456837BB8 US456837BB82 -- 95.33 Netherlands -- USD 2.76 5.96 1 Mar 28, 2028 4.02 2.69 -- 5.78 2.7 5.78 Mar 28, 2022 Mar 28, 2022 KZOKZ NK KAZMUNAYGAZ AO 144A Owned No Guarantee Fixed Income 5535.84 0.004747790688133536 5535.84 58 58 48667QAN5 US48667QAN51 BZ0X445 95.64 Kazakhstan -- USD 2.74 6.38 1 Apr 19, 2027 4.75 2.72 -- 6.38 2.72 6.38 Apr 19, 2017 Apr 19, 2017 BPCEGP BPCE SA (FXD-FRN) MTN 144A Banking Fixed Income 5534.09 0.004746289807742442 5534.09 55 55 05571AAQ8 US05571AAQ85 -- 101.25 France -- USD 2.24 6.41 1 Oct 19, 2027 6.61 2.26 -- 6.06 2.26 6.06 Oct 19, 2023 Oct 19, 2023 SPG SIMON PROPERTY GROUP LP Reits Fixed Income 5534.09 0.004746289807742442 5534.09 57 57 828807CV7 US828807CV75 BYT34K5 97.38 United States -- USD 1.28 5.53 1 Sep 01, 2025 3.5 1.29 -- 5.53 1.29 5.53 Aug 17, 2015 Aug 17, 2015 CRM SALESFORCE INC Technology Fixed Income 5530.59 0.004743288046960254 5530.59 64 64 79466LAH7 US79466LAH78 -- 86.31 United States -- USD 3.98 5.15 1 Jul 15, 2028 1.5 3.97 -- 5.15 3.97 5.15 Jul 12, 2021 Jul 12, 2021 CPB CAMPBELL SOUP COMPANY Consumer Non-Cyclical Fixed Income 5528.84 0.00474178716656916 5528.84 58 58 134429BG3 US134429BG35 BG1XJ24 95.2 United States -- USD 3.47 5.54 1 Mar 15, 2028 4.15 3.51 -- 5.54 3.51 5.54 Mar 16, 2018 Mar 16, 2018 ET ENERGY TRANSFER LP Energy Fixed Income 5528.84 0.00474178716656916 5528.84 55 55 29273VAR1 US29273VAR15 -- 101.17 United States -- USD 2.29 5.56 1 Dec 01, 2026 6.05 2.33 -- 5.55 2.26 5.55 Oct 13, 2023 Oct 13, 2023 WDAY WORKDAY INC Technology Fixed Income 5527.08 0.0047402777097186885 5527.08 58 58 98138HAG6 US98138HAG65 -- 94.76 United States -- USD 2.72 5.46 1 Apr 01, 2027 3.5 2.73 -- 5.46 2.73 5.46 Apr 01, 2022 Apr 01, 2022 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 5522.74 0.004736555526348776 5522.74 552274 552274 -- IDG000009705 B6W43X5 0.01 Indonesia -- USD 5.8 7 16187.5 Jun 15, 2032 8.25 5.8 -- 7 5.8 7 Jun 15, 2011 Jul 21, 2011 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 5521.83 0.0047357750685454066 5521.83 59 59 110122DN5 US110122DN59 -- 93.25 United States -- USD 1.5 5.34 1 Nov 13, 2025 0.75 1.5 -- 5.34 1.5 5.34 Nov 13, 2020 Nov 13, 2020 NGGLN NATIONAL GRID PLC Electric Fixed Income 5518.33 0.004732773307763219 5518.33 55 55 636274AD4 US636274AD47 -- 99.87 United Kingdom -- USD 3.56 5.63 1 Jun 12, 2028 5.6 3.57 -- 5.63 3.57 5.63 Jun 12, 2023 Jun 12, 2023 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 5514.82 0.004729762970521654 5514.82 57 57 83368RBW1 US83368RBW16 -- 97.58 France -- USD 3.97 6.37 1 Jan 19, 2030 5.63 4.02 -- 6.23 4.03 6.23 Jan 19, 2024 Jan 19, 2024 MRO MARATHON OIL CORP Energy Fixed Income 5511.32 0.004726761209739466 5511.32 57 57 565849AP1 US565849AP16 BD41T57 96.22 United States -- USD 2.87 5.7 1 Jul 15, 2027 4.4 2.92 -- 5.7 2.92 5.7 Jul 24, 2017 Jul 24, 2017 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 5509.57 0.004725260329348372 5509.57 60 60 89236TJK2 US89236TJK25 -- 91.63 United States -- USD 2.07 5.3 1 Jun 18, 2026 1.13 2.06 -- 5.3 2.06 5.3 Jun 18, 2021 Jun 18, 2021 DELL DELL INTERNATIONAL LLC Technology Fixed Income 5504.31 0.004720749111715712 5504.31 55 55 24703TAC0 US24703TAC09 -- 100.15 United States -- USD 1.1 5.71 1 Jul 15, 2025 5.85 1.15 -- 5.71 1.07 5.71 Jan 15, 2021 Jun 15, 2021 ITC ITC HOLDINGS CORP 144A Electric Fixed Income 5504.31 0.004720749111715712 5504.31 56 56 465685AR6 US465685AR63 -- 97.97 United States -- USD 3.06 5.61 1 Sep 22, 2027 4.95 3.08 -- 5.61 3.08 5.61 Sep 22, 2022 Sep 22, 2022 SAGB SOUTH AFRICA (REPUBLIC OF) Treasuries Fixed Income 5501.86 0.00471864787916818 5501.86 1163 1163 -- ZAG000195280 -- 4.73 South Africa -- USD 6.14 12.93 19.06 Mar 31, 2053 11.63 7.52 -- 12.93 7.52 12.93 Mar 31, 2023 Apr 11, 2023 WSTP WESTPAC BANKING CORP Banking Fixed Income 5499.06 0.00471624647054243 5499.06 63 63 961214EW9 US961214EW94 -- 86.63 Australia -- USD 4.24 5.29 1 Nov 20, 2028 1.95 4.22 -- 5.29 4.22 5.29 Nov 18, 2021 Nov 18, 2021 PERTIJ PERTAMINA PERSERO PT MTN 144A Owned No Guarantee Fixed Income 5488.54 0.0047072240352771105 5488.54 59 59 69370PAK7 US69370PAK75 -- 92.25 Indonesia -- USD 1.73 6.04 1 Feb 09, 2026 1.4 1.72 -- 6.04 1.72 6.04 Feb 09, 2021 Feb 09, 2021 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 5488.54 0.0047072240352771105 5488.54 56 56 78016HZV5 US78016HZV58 -- 98.1 Canada -- USD 4.15 5.4 1 Feb 01, 2029 4.95 4.13 -- 5.4 4.13 5.4 Jan 19, 2024 Jan 19, 2024 ATH ATHENE HOLDING LTD Insurance Fixed Income 5483.29 0.0047027213941038285 5483.29 58 58 04686JAA9 US04686JAA97 BFW28L5 95.03 United States -- USD 3.3 5.62 1 Jan 12, 2028 4.13 3.34 -- 5.62 3.34 5.62 Jan 12, 2018 Jan 12, 2018 PYPL PAYPAL HOLDINGS INC Technology Fixed Income 5483.29 0.0047027213941038285 5483.29 57 57 70450YAG8 US70450YAG89 BMD8015 95.86 United States -- USD 1.06 5.59 1 Jun 01, 2025 1.65 1.06 -- 5.59 1.06 5.59 May 18, 2020 May 18, 2020 TPR TAPESTRY INC Consumer Cyclical Fixed Income 5483.29 0.0047027213941038285 5483.29 54 54 876030AC1 US876030AC11 -- 101.86 United States -- USD 2.29 6.21 1 Nov 27, 2026 7 2.28 -- 6.21 2.28 6.21 Nov 27, 2023 Nov 27, 2023 AXP AMERICAN EXPRESS COMPANY (FXD-FRN) Banking Fixed Income 5481.54 0.0047012205137127346 5481.54 54 54 025816DL0 US025816DL03 -- 100.85 United States -- USD 1.37 6.12 1 Oct 30, 2026 6.34 1.38 -- 5.74 1.38 5.74 Oct 30, 2023 Oct 30, 2023 BNCN BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 5476.28 0.004696709296080075 5476.28 58 58 11271LAC6 US11271LAC63 BD0FYX6 94.76 Canada -- USD 3.35 5.46 1 Jan 25, 2028 3.9 3.39 -- 5.46 3.39 5.46 Jan 17, 2018 Jan 17, 2018 ORCL ORACLE CORPORATION Technology Fixed Income 5476.28 0.004696709296080075 5476.28 57 57 68389XCM5 US68389XCM56 -- 96.88 United States -- USD 3.54 5.37 1 May 06, 2028 4.5 3.55 -- 5.37 3.55 5.37 Feb 06, 2023 Feb 06, 2023 BZLNZ BANK OF NEW ZEALAND MTN 144A Banking Fixed Income 5474.53 0.004695208415688981 5474.53 56 56 06407EAH8 US06407EAH80 -- 98.19 New Zealand -- USD 4.14 5.51 1 Jan 30, 2029 5.08 4.12 -- 5.51 4.12 5.51 Jan 30, 2024 Jan 30, 2024 ALLY ALLY FINANCIAL INC Banking Fixed Income 5472.78 0.004693707535297887 5472.78 54 54 02005NBU3 US02005NBU37 BP0R2M1 100.88 United States -- USD 3.83 6.85 1 Jan 03, 2030 6.85 3.88 -- 6.62 3.88 6.62 Dec 14, 2023 Dec 14, 2023 RABOBK COOPERATIEVE RABOBANK UA 144A Banking Fixed Income 5472.78 0.004693707535297887 5472.78 58 58 74977RDN1 US74977RDN17 -- 94.24 Netherlands -- USD 2.71 5.95 1 Apr 06, 2028 3.65 2.73 -- 5.8 2.73 5.8 Apr 06, 2022 Apr 06, 2022 TNOTE TREASURY NOTE Treasuries Fixed Income 5471.95 0.004692995689169539 5471.95 56 56 9128284R8 US9128284R87 BF50TQ8 97.54 United States -- USD 1.05 5.21 1 May 31, 2025 2.88 1.05 -- 5.21 1.05 5.21 May 31, 2018 May 31, 2018 ARCC ARES CAPITAL CORPORATION Finance Companies Fixed Income 5469.27 0.004690697198056321 5469.27 60 60 04010LBA0 US04010LBA08 -- 91.85 United States -- USD 2.11 6.12 1 Jul 15, 2026 2.15 2.1 -- 6.12 2.1 6.12 Jan 13, 2021 Jan 13, 2021 UNANA UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 5469.27 0.004690697198056321 5469.27 58 58 904764BC0 US904764BC04 BFMXK01 94.3 United States -- USD 3.53 5.13 1 Mar 22, 2028 3.5 3.58 -- 5.13 3.58 5.13 Mar 22, 2018 Mar 22, 2018 RPRX ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 5467.52 0.004689196317665227 5467.52 58 58 78081BAH6 US78081BAH69 -- 94.14 United States -- USD 1.31 5.77 1 Sep 02, 2025 1.2 1.31 -- 5.77 1.31 5.77 Mar 02, 2021 Aug 03, 2021 ADP AUTOMATIC DATA PROCESSING INC Technology Fixed Income 5464.02 0.00468619455688304 5464.02 56 56 053015AE3 US053015AE30 BZ0V2C3 97.49 United States -- USD 1.32 5.27 1 Sep 15, 2025 3.38 1.33 -- 5.27 1.33 5.27 Sep 15, 2015 Sep 15, 2015 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 5458.76 0.00468168333925038 5458.76 57 57 91324PCV2 US91324PCV22 BYYLJG5 96.15 United States -- USD 1.8 5.26 1 Mar 15, 2026 3.1 1.8 -- 5.26 1.8 5.26 Feb 25, 2016 Feb 25, 2016 ALLY ALLY FINANCIAL INC Banking Fixed Income 5457.01 0.004680182458859286 5457.01 53 53 02005NBT6 US02005NBT63 -- 102.02 United States -- USD 3.41 6.79 1 Jun 13, 2029 6.99 3.46 -- 6.42 3.47 6.42 Jun 13, 2023 Jun 13, 2023 BAYNGR BAYER US FINANCE LLC 144A Consumer Non-Cyclical Fixed Income 5457.01 0.004680182458859286 5457.01 54 54 07274EAH6 US07274EAH62 -- 100.14 Germany -- USD 2.27 6.06 1 Nov 21, 2026 6.13 2.29 -- 6.06 2.29 6.06 Nov 21, 2023 Nov 21, 2023 CE CELANESE US HOLDINGS LLC Basic Industry Fixed Income 5457.01 0.004680182458859286 5457.01 54 54 15089QAW4 US15089QAW42 -- 101.51 United States -- USD 3.8 5.97 1 Nov 15, 2028 6.35 3.81 -- 5.96 3.75 5.96 Aug 24, 2023 Aug 24, 2023 TMUS T-MOBILE USA INC Communications Fixed Income 5453.51 0.004677180698077098 5453.51 59 59 87264ABZ7 US87264ABZ75 -- 93.03 United States -- USD 1.75 5.61 1 Feb 15, 2026 1.5 1.73 -- 5.61 1.73 5.61 Feb 15, 2021 May 21, 2021 SRE SEMPRA Natural Gas Fixed Income 5450 0.0046741703608355325 5450 60 60 816851BM0 US816851BM02 -- 90.54 United States -- USD 2.49 7.62 1 Apr 01, 2052 4.13 2.54 -- 7.62 2.67 7.62 Nov 19, 2021 Nov 19, 2021 ET ENERGY TRANSFER LP Energy Fixed Income 5446.5 0.0046711686000533445 5446.5 55 55 29278NAN3 US29278NAN30 BHHMZ02 99.38 United States -- USD 2.66 5.72 1 Jun 01, 2027 5.5 2.75 -- 5.72 2.75 5.72 Dec 01, 2018 Mar 25, 2019 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 5444.75 0.0046696677196622505 5444.75 63 63 031162DB3 US031162DB37 -- 85.83 United States -- USD 4.05 5.38 1 Aug 15, 2028 1.65 4.04 -- 5.38 4.04 5.38 Aug 09, 2021 Aug 09, 2021 CCI CROWN CASTLE INC Communications Fixed Income 5443 0.0046681668392711565 5443 56 56 22822VAB7 US22822VAB71 BD5BSN7 97.82 United States -- USD 1.65 5.73 1 Feb 15, 2026 4.45 1.69 -- 5.73 1.69 5.73 Feb 08, 2016 Feb 08, 2016 AIA AIA GROUP LTD MTN 144A Insurance Fixed Income 5441.24 0.004666657382420685 5441.24 54 54 00131LAN5 US00131LAN55 -- 100.84 Hong Kong -- USD 3.15 5.36 1 Oct 25, 2027 5.63 3.14 -- 5.36 3.07 5.36 Oct 25, 2022 Oct 25, 2022 SANUK SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 5439.49 0.004665156502029591 5439.49 59 59 80281LAG0 US80281LAG05 BF5R442 92.94 United Kingdom -- USD 3.14 6.26 1 Nov 03, 2028 3.82 3.16 -- 6.08 3.16 6.08 Nov 03, 2017 Nov 03, 2017 AZN ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 5427.23 0.004654641762832555 5427.23 62 62 04636NAE3 US04636NAE31 -- 87.46 United Kingdom -- USD 3.83 5.19 1 May 28, 2028 1.75 3.82 -- 5.19 3.82 5.19 May 28, 2021 May 28, 2021 BNS BANK OF NOVA SCOTIA Banking Fixed Income 5423.73 0.004651640002050367 5423.73 57 57 064159VL7 US064159VL70 -- 95.4 Canada -- USD 1.09 5.56 1 Jun 11, 2025 1.3 1.09 -- 5.56 1.09 5.56 Jun 11, 2020 Jun 11, 2020 NORBK NORINCHUKIN BANK/THE 144A Banking Fixed Income 5414.97 0.004644127023635519 5414.97 60 60 656029AG0 US656029AG08 -- 90.38 Japan -- USD 2.32 5.61 1 Sep 22, 2026 1.28 2.31 -- 5.61 2.31 5.61 Sep 22, 2021 Sep 22, 2021 COST COSTCO WHOLESALE CORPORATION Consumer Cyclical Fixed Income 5413.21 0.0046426175667850485 5413.21 57 57 22160KAM7 US22160KAM71 BDFVGN3 94.46 United States -- USD 2.8 4.97 1 May 18, 2027 3 2.84 -- 4.97 2.84 4.97 May 18, 2017 May 18, 2017 MTB MANUFACTURERS AND TRADERS TRUST CO Banking Fixed Income 5413.21 0.0046426175667850485 5413.21 56 56 55279HAV2 US55279HAV24 -- 97.39 United States -- USD 1.63 6.23 1 Jan 27, 2026 4.65 1.64 -- 6.23 1.64 6.23 Jan 27, 2023 Jan 27, 2023 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 5411.46 0.0046411166863939545 5411.46 57 57 58013MFP4 US58013MFP41 -- 94.75 United States -- USD 2.9 5.31 1 Jul 01, 2027 3.5 2.92 -- 5.31 2.92 5.31 Mar 27, 2020 Mar 27, 2020 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 5409.71 0.0046396158060028605 5409.71 55 55 031162BY5 US031162BY57 BWTM3F6 97.49 United States -- USD 0.97 5.7 1 May 01, 2025 3.13 0.97 -- 5.7 0.97 5.7 May 01, 2015 May 01, 2015 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 5409.71 0.0046396158060028605 5409.71 54 54 78016HZS2 US78016HZS20 -- 99.27 Canada -- USD 3.75 5.39 1 Aug 01, 2028 5.2 3.73 -- 5.39 3.73 5.39 Jul 20, 2023 Jul 20, 2023 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 5407.96 0.0046381149256117665 5407.96 54 54 808513CG8 US808513CG89 -- 100.9 United States -- USD 2.09 5.45 1 Aug 24, 2026 5.88 2.13 -- 5.44 2.06 5.44 Aug 24, 2023 Aug 24, 2023 TXN TEXAS INSTRUMENTS INC Technology Fixed Income 5406.21 0.0046366140452206725 5406.21 55 55 882508BV5 US882508BV59 -- 98.34 United States -- USD 3.4 5.08 1 Feb 15, 2028 4.6 3.41 -- 5.08 3.41 5.08 Nov 18, 2022 Nov 18, 2022 FITB FIFTH THIRD BANCORP Banking Fixed Income 5404.46 0.0046351131648295785 5404.46 54 54 316773DJ6 US316773DJ68 BMWH0Y6 100.86 United States -- USD 2.99 6.37 1 Oct 27, 2028 6.36 3.01 -- 6.08 3.01 6.08 Oct 27, 2022 Oct 27, 2022 DANBNK DANSKE BANK A/S 144A Banking Fixed Income 5400.95 0.004632102827588013 5400.95 57 57 23636ABC4 US23636ABC45 -- 95.55 Denmark -- USD 2.67 6.21 1 Apr 01, 2028 4.3 2.69 -- 5.97 2.7 5.97 Apr 01, 2022 Apr 01, 2022 NI NISOURCE INC Natural Gas Fixed Income 5399.2 0.004630601947196919 5399.2 55 55 65473PAN5 US65473PAN50 -- 98.92 United States -- USD 3.47 5.56 1 Mar 30, 2028 5.25 3.49 -- 5.56 3.49 5.56 Mar 24, 2023 Mar 24, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 5395.41 0.004627351469092778 5395.41 56 56 9128284Z0 US9128284Z04 BG0MNF3 96.91 United States -- USD 1.3 5.15 1 Aug 31, 2025 2.75 1.29 -- 5.15 1.29 5.15 Aug 31, 2018 Aug 31, 2018 HGB HUNGARY (REPUBLIC OF) Treasuries Fixed Income 5387.05 0.0046201815490530375 5387.05 29928 29928 -- HU0000404892 BMC2VT3 0.18 Hungary -- USD 8.38 7.14 366.65735 Jun 22, 2034 2.25 8.08 -- 7.14 8.08 7.14 Jan 20, 2021 Jan 20, 2021 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 5386.94 0.004620087207999883 5386.94 53 53 65535HBM0 US65535HBM07 -- 101.15 Japan -- USD 3.64 5.76 1 Jul 12, 2028 6.07 3.62 -- 5.76 3.62 5.76 Jul 12, 2023 Jul 12, 2023 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 5385.19 0.004618586327608789 5385.19 54 54 641062BK9 US641062BK92 -- 99.99 Switzerland -- USD 1.76 5.25 1 Mar 13, 2026 5.25 1.76 -- 5.25 1.76 5.25 Mar 14, 2023 Mar 14, 2023 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 5381.68 0.004615575990367223 5381.68 54 54 58769JAF4 US58769JAF49 -- 98.87 Germany -- USD 1.81 5.42 1 Mar 30, 2026 4.8 1.81 -- 5.42 1.81 5.42 Mar 30, 2023 Mar 30, 2023 BBVASM BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 5378.18 0.004612574229585035 5378.18 54 54 05946KAQ4 US05946KAQ40 -- 98.9 Spain -- USD 4.23 5.64 1 Mar 13, 2029 5.38 4.21 -- 5.64 4.21 5.64 Mar 13, 2024 Mar 13, 2024 ET ENERGY TRANSFER PARTNERS LP Energy Fixed Income 5378.18 0.004612574229585035 5378.18 55 55 29273RBG3 US29273RBG39 BYQ2KJ6 98.37 United States -- USD 1.55 5.75 1 Jan 15, 2026 4.75 1.61 -- 5.75 1.61 5.75 Jun 23, 2015 Jun 23, 2015 STESP ST ENGINEERING URBAN SOLUTIONS USA MTN 144A Owned No Guarantee Fixed Income 5378.18 0.004612574229585035 5378.18 57 57 85235DAA7 US85235DAA72 -- 94.53 Singapore -- USD 2.75 5.36 1 May 05, 2027 3.38 2.78 -- 5.36 2.78 5.36 May 05, 2022 May 05, 2022 GPN GLOBAL PAYMENTS INC Technology Fixed Income 5374.67 0.00460956389234347 5374.67 58 58 37940XAE2 US37940XAE22 -- 92.27 United States -- USD 1.79 5.66 1 Mar 01, 2026 1.2 1.78 -- 5.66 1.78 5.66 Feb 26, 2021 Feb 26, 2021 HCA HCA INC Consumer Non-Cyclical Fixed Income 5374.67 0.00460956389234347 5374.67 54 54 404121AH8 US404121AH82 BYZLW87 99.21 United States -- USD 1.95 5.74 1 Sep 01, 2026 5.38 2.16 -- 5.74 2.16 5.74 Aug 23, 2018 Aug 23, 2018 CAD CAD CASH Cash and/or Derivatives Cash 5374.27 0.004609220833968363 5374.27 74 74 -- -- -- 72.96 Canada -- USD 0 5.29 1.37065 -- 0 0 -- 5.29 0 5.29 -- Jan 01, 1989 ET ENERGY TRANSFER OPERATING LP Energy Fixed Income 5371.17 0.004606562131561282 5371.17 55 55 29278NAP8 US29278NAP87 -- 97.06 United States -- USD 1 5.81 1 May 15, 2025 2.9 1 -- 5.81 1 5.81 Jan 22, 2020 Jan 22, 2020 UOBSP UNITED OVERSEAS BANK LTD MTN 144A Banking Fixed Income 5367.99 0.00460383481747918 5367.99 54 54 91127KAG7 US91127KAG76 -- 100.26 Singapore -- USD 0.02 5.9 1 Apr 07, 2025 6.02 0.2 -- 5.9 0.2 5.9 Apr 07, 2022 Apr 07, 2022 NVDA NVIDIA CORPORATION Technology Fixed Income 5365.91 0.004602050913928622 5365.91 56 56 67066GAE4 US67066GAE44 BD8C5W5 95.93 United States -- USD 2.22 5.03 1 Sep 16, 2026 3.2 2.26 -- 5.03 2.26 5.03 Sep 16, 2016 Sep 16, 2016 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 5364.16 0.004600550033537528 5364.16 57 57 89236THP3 US89236THP30 -- 93.7 United States -- USD 1.43 5.29 1 Oct 16, 2025 0.8 1.43 -- 5.29 1.43 5.29 Oct 16, 2020 Oct 16, 2020 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 5362.41 0.004599049153146434 5362.41 55 55 24422EXH7 US24422EXH79 -- 97.11 United States -- USD 4.15 5.2 1 Jan 16, 2029 4.5 4.14 -- 5.2 4.14 5.2 Jan 08, 2024 Jan 08, 2024 HES HESS CORP Energy Fixed Income 5357.16 0.004594546511973153 5357.16 55 55 42809HAG2 US42809HAG20 BD7XTG1 96.85 United States -- USD 2.64 5.48 1 Apr 01, 2027 4.3 2.7 -- 5.48 2.7 5.48 Sep 28, 2016 Sep 28, 2016 AON AON NORTH AMERICA INC Insurance Fixed Income 5351.9 0.004590035294340493 5351.9 54 54 03740MAB6 US03740MAB63 -- 98.58 United States -- USD 4.19 5.49 1 Mar 01, 2029 5.15 4.2 -- 5.49 4.2 5.49 Mar 01, 2024 Mar 01, 2024 J JACOBS ENGINEERING GROUP INC. Industrial Other Fixed Income 5350.15 0.004588534413949399 5350.15 53 53 469814AB3 US469814AB34 -- 101.55 United States -- USD 3.68 5.94 1 Aug 18, 2028 6.35 3.69 -- 5.93 3.63 5.93 Aug 18, 2023 Aug 18, 2023 MRK MERCK & CO INC Consumer Non-Cyclical Fixed Income 5348.4 0.004587033533558305 5348.4 58 58 58933YAY1 US58933YAY14 -- 92.43 United States -- USD 1.78 5.13 1 Feb 24, 2026 0.75 1.77 -- 5.13 1.77 5.13 Jun 24, 2020 Jun 24, 2020 LLY ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 5343.14 0.004582522315925645 5343.14 54 54 532457CJ5 US532457CJ56 -- 98.61 United States -- USD 2.54 5.04 1 Feb 09, 2027 4.5 2.56 -- 5.04 2.56 5.04 Feb 09, 2024 Feb 09, 2024 HPQ HP INC Technology Fixed Income 5341.39 0.004581021435534551 5341.39 57 57 40434LAB1 US40434LAB18 -- 93 United States -- USD 2.9 5.45 1 Jun 17, 2027 3 2.91 -- 5.45 2.91 5.45 Jun 17, 2020 Jun 17, 2020 PLN PLN CASH Cash and/or Derivatives Cash 5339.7 0.004579572013899723 5339.7 216 216 -- -- -- 24.77 Poland -- USD 0 5.85 4.03785 -- 0 0 -- 5.85 0 5.85 -- Jan 01, 1990 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 5339.64 0.004579520555143457 5339.64 54 54 345397A60 US345397A605 -- 98.86 United States -- USD 1.06 6.16 1 Jun 16, 2025 5.13 1.07 -- 6.16 1.07 6.16 Jun 19, 2020 Jun 19, 2020 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 5339.64 0.004579520555143457 5339.64 54 54 58769JAG2 US58769JAG22 -- 97.98 Germany -- USD 3.53 5.38 1 Mar 30, 2028 4.8 3.52 -- 5.38 3.52 5.38 Mar 30, 2023 Mar 30, 2023 BA BOEING CO Capital Goods Fixed Income 5334.38 0.004575009337510798 5334.38 59 59 097023DB8 US097023DB86 -- 90.1 United States -- USD 3.45 6.24 1 Feb 01, 2028 3.25 3.43 -- 6.24 3.43 6.24 Nov 02, 2020 Nov 02, 2020 ABBV ABBVIE INC Consumer Non-Cyclical Fixed Income 5332.63 0.004573508457119704 5332.63 55 55 00287YBF5 US00287YBF51 BGHCK77 96.22 United States -- USD 3.94 5.19 1 Nov 14, 2028 4.25 3.99 -- 5.19 3.99 5.19 Sep 18, 2018 Sep 18, 2018 TRPCN TRANSCANADA PIPELINES LTD Energy Fixed Income 5332.63 0.004573508457119704 5332.63 54 54 89352HAT6 US89352HAT68 BDCRXN3 98.77 Canada -- USD 1.53 5.63 1 Jan 15, 2026 4.88 1.61 -- 5.63 1.61 5.63 Jan 27, 2016 Jan 27, 2016 CCI CROWN CASTLE INC Communications Fixed Income 5330.88 0.00457200757672861 5330.88 57 57 22822VAH4 US22822VAH42 BF28NQ3 93.7 United States -- USD 3.06 5.74 1 Sep 01, 2027 3.65 3.07 -- 5.74 3.07 5.74 Aug 01, 2017 Aug 01, 2017 FI FISERV INC Technology Fixed Income 5330.88 0.00457200757672861 5330.88 59 59 337738BB3 US337738BB35 -- 90.75 United States -- USD 2.9 5.54 1 Jun 01, 2027 2.25 2.9 -- 5.54 2.9 5.54 May 13, 2020 May 13, 2020 SYK STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 5329.13 0.004570506696337516 5329.13 55 55 863667AN1 US863667AN16 BDGSDP4 96.46 United States -- USD 1.76 5.49 1 Mar 15, 2026 3.5 1.79 -- 5.49 1.79 5.49 Mar 10, 2016 Mar 10, 2016 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 5327.37 0.004568997239487044 5327.37 55 55 459200KX8 US459200KX88 -- 97.52 United States -- USD 3.38 5.23 1 Feb 06, 2028 4.5 3.39 -- 5.23 3.39 5.23 Feb 06, 2023 Feb 06, 2023 NOVNVX NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 5327.37 0.004568997239487044 5327.37 56 56 66989HAN8 US66989HAN89 BZ7NY82 94.52 Switzerland -- USD 2.79 5.06 1 May 17, 2027 3.1 2.83 -- 5.06 2.83 5.06 Feb 17, 2017 Feb 17, 2017 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 5327.37 0.004568997239487044 5327.37 56 56 713448FL7 US713448FL73 -- 95.1 United States -- USD 3.47 5.03 1 Feb 18, 2028 3.6 3.48 -- 5.03 3.48 5.03 Jul 18, 2022 Jul 18, 2022 ARCC ARES CAPITAL CORPORATION Finance Companies Fixed Income 5323.87 0.004565995478704856 5323.87 61 61 04010LBB8 US04010LBB80 BMVZBL5 87.81 United States -- USD 3.77 6.26 1 Jun 15, 2028 2.88 3.75 -- 6.26 3.75 6.26 Jun 10, 2021 Jun 10, 2021 ITW ILLINOIS TOOL WORKS INC Capital Goods Fixed Income 5323.87 0.004565995478704856 5323.87 56 56 452308AX7 US452308AX78 BDS6DT0 94.41 United States -- USD 2.38 5.01 1 Nov 15, 2026 2.65 2.4 -- 5.01 2.4 5.01 Nov 07, 2016 Nov 07, 2016 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 5323.87 0.004565995478704856 5323.87 54 54 548661EP8 US548661EP88 -- 98.88 United States -- USD 1.79 5.41 1 Apr 01, 2026 4.8 1.81 -- 5.41 1.81 5.41 Mar 30, 2023 Mar 30, 2023 DIS TWDC ENTERPRISES 18 CORP Communications Fixed Income 5320.37 0.004562993717922668 5320.37 55 55 25468PDK9 US25468PDK93 BD0SY68 96.08 United States -- USD 1.72 5.31 1 Feb 13, 2026 3 1.71 -- 5.31 1.71 5.31 Jan 08, 2016 Jan 08, 2016 TRGP TARGA RESOURCES CORP Energy Fixed Income 5318.61 0.004561484261072196 5318.61 52 52 87612GAE1 US87612GAE17 -- 101.58 United States -- USD 4.1 5.77 1 Mar 01, 2029 6.15 4.12 -- 5.76 4.05 5.76 Nov 09, 2023 Nov 09, 2023 UBS UBS AG (LONDON BRANCH) Banking Fixed Income 5316.86 0.004559983380681102 5316.86 53 53 902674ZV5 US902674ZV55 -- 100.21 Switzerland -- USD 1.3 5.64 1 Sep 11, 2025 5.8 1.3 -- 5.64 1.3 5.64 Sep 11, 2023 Sep 11, 2023 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 5315.11 0.004558482500290008 5315.11 52 52 693475BT1 US693475BT12 -- 102.09 United States -- USD 2.24 6.06 1 Oct 20, 2027 6.62 2.26 -- 5.7 2.27 5.7 Oct 20, 2023 Oct 20, 2023 DIS TWDC ENTERPRISES 18 CORP Communications Fixed Income 5311.61 0.00455548073950782 5311.61 57 57 25468PDM5 US25468PDM59 BDGT863 92.75 United States -- USD 2.16 5.29 1 Jul 30, 2026 1.85 2.16 -- 5.29 2.16 5.29 Jul 12, 2016 Jul 12, 2016 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 5311.61 0.00455548073950782 5311.61 53 53 928668BW1 US928668BW14 -- 100.05 Germany -- USD 3.8 5.64 1 Sep 12, 2028 5.65 3.81 -- 5.64 3.81 5.64 Sep 12, 2023 Sep 12, 2023 WEC WEC ENERGY GROUP INC Electric Fixed Income 5311.61 0.00455548073950782 5311.61 54 54 92939UAK2 US92939UAK25 -- 98.6 United States -- USD 1.57 5.62 1 Jan 09, 2026 4.75 1.59 -- 5.62 1.59 5.62 Jan 11, 2023 Jan 11, 2023 AVGO BROADCOM INC Technology Fixed Income 5309.86 0.004553979859116726 5309.86 56 56 11135FAL5 US11135FAL58 BKXB935 94.61 United States -- USD 3.89 5.51 1 Sep 15, 2028 4.11 3.92 -- 5.51 3.92 5.51 May 21, 2020 Aug 07, 2020 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 5308.1 0.004552470402266255 5308.1 56 56 53944YAS2 US53944YAS28 -- 94.71 United Kingdom -- USD 2.66 6.06 1 Mar 18, 2028 3.75 2.67 -- 5.76 2.68 5.76 Mar 18, 2022 Mar 18, 2022 DAL SKYMILES IP LTD 144A Transportation Fixed Income 5308.1 0.004552470402266255 5308.1 54 54 830867AA5 US830867AA59 -- 98.78 United States -- USD 0.82 6.02 1 Oct 20, 2025 4.5 0.83 -- 6.02 0.83 6.02 Sep 23, 2020 Sep 23, 2020 KO COCA-COLA CO Consumer Non-Cyclical Fixed Income 5281.83 0.00452994004348109 5281.83 55 55 191216CR9 US191216CR95 -- 95.95 United States -- USD 2.72 4.88 1 Mar 25, 2027 3.38 2.73 -- 4.88 2.73 4.88 Mar 25, 2020 Mar 25, 2020 ADM ARCHER DANIELS MIDLAND CO Consumer Non-Cyclical Fixed Income 5278.32 0.004526929706239524 5278.32 56 56 039483BL5 US039483BL57 BDGPG23 93.94 United States -- USD 2.17 5.34 1 Aug 11, 2026 2.5 2.17 -- 5.34 2.17 5.34 Aug 11, 2016 Aug 11, 2016 DIS WALT DISNEY CO Communications Fixed Income 5273.07 0.004522427065066242 5273.07 58 58 254687FW1 US254687FW18 -- 90.37 United States -- USD 3.48 5.07 1 Jan 13, 2028 2.2 3.47 -- 5.07 3.47 5.07 May 13, 2020 May 13, 2020 AXP AMERICAN EXPRESS COMPANY (FX-FRN) Banking Fixed Income 5264.31 0.0045149140866513945 5264.31 53 53 025816DG1 US025816DG18 -- 99.5 United States -- USD 2.06 5.84 1 Jul 28, 2027 5.39 2.07 -- 5.62 2.07 5.62 Jul 28, 2023 Jul 28, 2023 TELEFO TELEFONICA EMISIONES SAU Communications Fixed Income 5264.31 0.0045149140866513945 5264.31 55 55 87938WAT0 US87938WAT09 BF04KV7 96.24 Spain -- USD 2.65 5.54 1 Mar 08, 2027 4.1 2.65 -- 5.54 2.65 5.54 Mar 08, 2017 Mar 08, 2017 BPCEGP BPCE SA MTN 144A Banking Fixed Income 5260.8 0.004511903749409829 5260.8 51 51 05571AAR6 US05571AAR68 -- 102.77 France -- USD 3.8 6.26 1 Oct 19, 2029 6.71 3.83 -- 6 3.83 6 Oct 19, 2023 Oct 19, 2023 SVELEV 7-ELEVEN INC 144A Consumer Cyclical Fixed Income 5259.05 0.004510402869018735 5259.05 61 61 817826AD2 US817826AD20 -- 85.75 Japan -- USD 3.61 5.52 1 Feb 10, 2028 1.3 3.59 -- 5.52 3.59 5.52 Feb 10, 2021 Feb 10, 2021 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 5255.55 0.004507401108236547 5255.55 52 52 80282KBF2 US80282KBF21 -- 100.8 United States -- USD 3.33 6.53 1 Mar 09, 2029 6.5 3.35 -- 6.26 3.36 6.26 Mar 09, 2023 Mar 09, 2023 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 5253.8 0.004505900227845454 5253.8 55 55 05401AAL5 US05401AAL52 -- 96.21 Ireland -- USD 1.85 6.32 1 Apr 15, 2026 4.25 1.85 -- 6.32 1.85 6.32 Nov 23, 2020 Nov 23, 2020 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 5253.8 0.004505900227845454 5253.8 55 55 06406RAB3 US06406RAB33 BDCL4P4 94.96 United States -- USD 2.57 5.72 1 Feb 07, 2028 3.44 3.44 -- 5.41 2.59 5.41 Feb 07, 2017 Feb 07, 2017 CSX CSX CORP Transportation Fixed Income 5253.8 0.004505900227845454 5253.8 55 55 126408HM8 US126408HM81 BH4QB54 95.72 United States -- USD 4.26 5.25 1 Mar 15, 2029 4.25 4.32 -- 5.25 4.32 5.25 Nov 15, 2018 Nov 15, 2018 BXP BOSTON PROPERTIES LP Reits Fixed Income 5252.04 0.004504390770994982 5252.04 55 55 10112RAX2 US10112RAX26 BZCR7P7 95.9 United States -- USD 1.67 6.13 1 Feb 01, 2026 3.65 1.66 -- 6.13 1.66 6.13 Jan 20, 2016 Jan 20, 2016 STT STATE STREET CORP Banking Fixed Income 5252.04 0.004504390770994982 5252.04 53 53 857477CL5 US857477CL59 -- 99.16 United States -- USD 2.62 5.31 1 Mar 18, 2027 4.99 2.65 -- 5.31 2.65 5.31 Mar 18, 2024 Mar 18, 2024 CHTR CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 5248.54 0.004501389010212794 5248.54 57 57 161175BJ2 US161175BJ23 BD3JBT0 91.35 United States -- USD 3.44 6.34 1 Feb 15, 2028 3.75 3.43 -- 6.34 3.43 6.34 Jul 06, 2017 Nov 27, 2017 SBUX STARBUCKS CORPORATION Consumer Cyclical Fixed Income 5248.54 0.004501389010212794 5248.54 53 53 855244BE8 US855244BE89 -- 98.81 United States -- USD 1.68 5.44 1 Feb 15, 2026 4.75 1.69 -- 5.44 1.69 5.44 Feb 16, 2023 Feb 16, 2023 CMCSA COMCAST CORPORATION Communications Fixed Income 5246.79 0.0044998881298217 5246.79 54 54 20030NED9 US20030NED93 -- 96.98 United States -- USD 4.13 5.28 1 Jan 15, 2029 4.55 4.13 -- 5.28 4.13 5.28 May 09, 2023 May 09, 2023 SANTAN BANCO SANTANDER SA (FXD-FXD) Banking Fixed Income 5245.04 0.004498387249430606 5245.04 52 52 05964HAX3 US05964HAX35 -- 101.6 Spain -- USD 2.24 6.1 1 Nov 07, 2027 6.53 2.24 -- 5.84 2.24 5.84 Nov 07, 2023 Nov 07, 2023 RRX REGAL REXNORD CORP 144A Capital Goods Fixed Income 5245.04 0.004498387249430606 5245.04 52 52 758750AC7 US758750AC76 -- 100.07 United States -- USD 1.69 6 1 Feb 15, 2026 6.05 1.67 -- 6 1.67 6 Jan 24, 2023 Jan 24, 2023 RPRX ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 5243.29 0.004496886369039512 5243.29 59 59 78081BAJ2 US78081BAJ26 -- 88.42 United States -- USD 3.18 5.58 1 Sep 02, 2027 1.75 3.17 -- 5.58 3.17 5.58 Mar 02, 2021 Aug 03, 2021 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 5241.53 0.00449537691218904 5241.53 52 52 842400HY2 US842400HY20 -- 100.6 United States -- USD 3.85 5.49 1 Oct 01, 2028 5.65 3.86 -- 5.49 3.86 5.49 Sep 29, 2023 Sep 29, 2023 GOOGL ALPHABET INC Technology Fixed Income 5239.78 0.004493876031797946 5239.78 56 56 02079KAH0 US02079KAH05 -- 94.14 United States -- USD 1.27 5.15 1 Aug 15, 2025 0.45 1.27 -- 5.15 1.27 5.15 Aug 05, 2020 Aug 05, 2020 SINOPE SINOPEC GROUP OVERSEAS DEV 2016 144A Owned No Guarantee Fixed Income 5238.03 0.004492375151406852 5238.03 54 54 82939CAD9 US82939CAD92 BYZ7LF5 96.37 China -- USD 1.89 5.42 1 May 03, 2026 3.5 1.88 -- 5.42 1.88 5.42 May 03, 2016 May 03, 2016 JNJ JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 5234.53 0.004489373390624664 5234.53 55 55 478160CE2 US478160CE22 BF01Z79 94.83 United States -- USD 2.64 4.91 1 Mar 03, 2027 2.95 2.68 -- 4.91 2.68 4.91 Mar 03, 2017 Mar 03, 2017 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 5234.53 0.004489373390624664 5234.53 60 60 641062AS3 US641062AS38 -- 87.27 United States -- USD 3.25 5.14 1 Sep 15, 2027 1 3.25 -- 5.14 3.25 5.14 Sep 15, 2020 Sep 15, 2020 RABOBK COOPERATIEVE RABOBANK UA MTN 144A Banking Fixed Income 5227.52 0.0044833612926009105 5227.52 53 53 74977RDT8 US74977RDT86 -- 98.31 Netherlands -- USD 4.12 5.92 1 Mar 05, 2030 5.45 4.17 -- 5.85 4.18 5.85 Mar 05, 2024 Mar 05, 2024 CCI CROWN CASTLE INC Communications Fixed Income 5225.77 0.0044818604122098165 5225.77 56 56 22822VAK7 US22822VAK70 BFWK3V4 93.19 United States -- USD 3.43 5.82 1 Feb 15, 2028 3.8 3.44 -- 5.82 3.44 5.82 Jan 16, 2018 Jan 16, 2018 TAISEM TSMC GLOBAL LTD 144A Technology Fixed Income 5222.26 0.004478850074968251 5222.26 56 56 872882AE5 US872882AE58 -- 93.47 Taiwan -- USD 1.39 5.58 1 Sep 28, 2025 0.75 1.38 -- 5.58 1.38 5.58 Sep 28, 2020 Sep 28, 2020 ACAFP CREDIT AGRICOLE SA MTN 144A Banking Fixed Income 5220.51 0.004477349194577157 5220.51 53 53 22535WAK3 US22535WAK36 -- 98.01 France -- USD 4 5.99 1 Jan 10, 2030 5.34 4.04 -- 5.82 4.04 5.82 Jan 10, 2024 Jan 10, 2024 INTC INTEL CORPORATION Technology Fixed Income 5218.76 0.004475848314186063 5218.76 54 54 458140BQ2 US458140BQ26 -- 95.79 United States -- USD 2.67 5.33 1 Mar 25, 2027 3.75 2.71 -- 5.33 2.71 5.33 Mar 25, 2020 Mar 25, 2020 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 5218.76 0.004475848314186063 5218.76 55 55 89114QCH9 US89114QCH92 -- 95.25 Canada -- USD 1.09 5.55 1 Jun 12, 2025 1.15 1.09 -- 5.55 1.09 5.55 Jun 12, 2020 Jun 12, 2020 CZGB CZECH REPUBLIC Treasuries Fixed Income 5218.3 0.0044754537970546895 5218.3 1611 1611 -- CZ0001006316 BMW7176 3.24 Czech Republic -- USD 11.09 4.36 23.49435 Jul 30, 2037 1.95 10.86 -- 4.36 10.86 4.36 Aug 27, 2021 Aug 27, 2021 EDF ELECTRICITE DE FRANCE SA 144A Owned No Guarantee Fixed Income 5217.01 0.004474347433794969 5217.01 52 52 268317AY0 US268317AY01 -- 99.59 France -- USD 4.29 5.74 1 Apr 22, 2029 5.65 4.29 -- 5.74 4.29 5.74 Apr 22, 2024 Apr 22, 2024 LMT LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 5217.01 0.004474347433794969 5217.01 54 54 539830BH1 US539830BH11 BDCRZH1 97.18 United States -- USD 1.6 5.28 1 Jan 15, 2026 3.55 1.63 -- 5.28 1.63 5.28 Nov 23, 2015 Nov 23, 2015 CDW CDW LLC Technology Fixed Income 5215.26 0.004472846553403875 5215.26 56 56 12513GBG3 US12513GBG38 -- 92.43 United States -- USD 2.44 5.85 1 Dec 01, 2026 2.67 2.43 -- 5.85 2.43 5.85 Dec 01, 2021 Dec 01, 2021 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 5210 0.004468335335771215 5210 51 51 126650BJ8 US126650BJ87 B1XQP39 102.57 United States -- USD 2.74 5.34 1 Jun 01, 2027 6.25 2.73 -- 5.34 2.73 5.34 May 25, 2007 May 25, 2007 IFF INTERNATIONAL FLAVORS & FRAGRANCES 144A Basic Industry Fixed Income 5206.5 0.004465333574989027 5206.5 56 56 459506AN1 US459506AN18 -- 93.55 United States -- USD 1.39 5.99 1 Oct 01, 2025 1.23 1.38 -- 5.99 1.38 5.99 Sep 16, 2020 Sep 16, 2020 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 5202.99 0.004462323237747462 5202.99 53 53 24422EWF2 US24422EWF23 -- 97.86 United States -- USD 1.06 5.4 1 Jun 06, 2025 3.4 1.06 -- 5.4 1.06 5.4 Jun 06, 2022 Jun 06, 2022 SYY SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 5202.99 0.004462323237747462 5202.99 55 55 871829BC0 US871829BC08 BYQ4QL6 95.44 United States -- USD 2.06 5.51 1 Jul 15, 2026 3.3 2.08 -- 5.51 2.08 5.51 Apr 01, 2016 Apr 01, 2016 JXN JACKSON NATIONAL LIFE INSURANCE CO 144A Insurance Fixed Income 5199.49 0.004459321476965274 5199.49 51 51 468502AA7 US468502AA75 B09WQ19 102.74 United States -- USD 2.55 7.08 1 Mar 15, 2027 8.15 2.53 -- 7.08 2.53 7.08 Mar 15, 1997 Mar 18, 1997 DLR DIGITAL REALTY TRUST LP Reits Fixed Income 5197.74 0.00445782059657418 5197.74 55 55 25389JAR7 US25389JAR77 BD93Q02 94.51 United States -- USD 3 5.54 1 Aug 15, 2027 3.7 3.03 -- 5.54 3.03 5.54 Aug 07, 2017 Aug 07, 2017 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 5197.74 0.00445782059657418 5197.74 53 53 459200KS9 US459200KS93 -- 98.23 United States -- USD 1.2 5.48 1 Jul 27, 2025 4 1.19 -- 5.48 1.19 5.48 Jul 27, 2022 Jul 27, 2022 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y Banking Fixed Income 5197.74 0.00445782059657418 5197.74 53 53 63253QAE4 US63253QAE44 -- 98.54 Australia -- USD 3.64 5.3 1 Jun 13, 2028 4.9 3.63 -- 5.3 3.63 5.3 Jun 13, 2023 Jun 13, 2023 EXPE EXPEDIA GROUP INC Consumer Cyclical Fixed Income 5194.23 0.004454810259332614 5194.23 55 55 30212PAP0 US30212PAP09 BFFJZR8 93.65 United States -- USD 3.43 5.68 1 Feb 15, 2028 3.8 3.45 -- 5.68 3.45 5.68 Sep 21, 2017 Dec 28, 2017 ACAFP CREDIT AGRICOLE SA MTN 144A Banking Fixed Income 5192.48 0.0044533093789415204 5192.48 52 52 22534PAE3 US22534PAE34 -- 100 France -- USD 2.01 5.59 1 Jul 05, 2026 5.59 2.01 -- 5.59 2.01 5.59 Jul 05, 2023 Jul 05, 2023 EPD ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 5192.48 0.0044533093789415204 5192.48 55 55 29379VBN2 US29379VBN29 BF47Q58 94.11 United States -- USD 2.74 8.31 1 Aug 16, 2077 5.25 2.82 -- 7.28 2.93 7.28 Aug 16, 2017 Aug 16, 2017 NWIDE NATIONWIDE BUILDING SOCIETY 144A Banking Fixed Income 5192.48 0.0044533093789415204 5192.48 54 54 63859WAE9 US63859WAE93 BD3RRP2 95.43 United Kingdom -- USD 2.23 6.08 1 Sep 14, 2026 4 2.22 -- 6.08 2.22 6.08 Sep 14, 2016 Sep 14, 2016 CAG CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 5190.73 0.0044518084985504264 5190.73 60 60 205887CF7 US205887CF79 -- 86.49 United States -- USD 3.33 5.67 1 Nov 01, 2027 1.38 3.32 -- 5.67 3.32 5.67 Oct 16, 2020 Oct 16, 2020 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 5187.23 0.0044488067377682385 5187.23 52 52 58769JAL1 US58769JAL17 -- 98.97 Germany -- USD 3.76 5.37 1 Aug 03, 2028 5.1 3.75 -- 5.37 3.75 5.37 Aug 03, 2023 Aug 03, 2023 INTC INTEL CORPORATION Technology Fixed Income 5181.97 0.004444295520135579 5181.97 55 55 458140AU4 US458140AU47 BDDQWP4 94.68 United States -- USD 1.94 5.35 1 May 19, 2026 2.6 1.95 -- 5.35 1.95 5.35 May 19, 2016 May 19, 2016 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 5173.21 0.004436782541720731 5173.21 55 55 713448DN5 US713448DN57 BYQ4100 93.75 United States -- USD 2.32 5.12 1 Oct 06, 2026 2.38 2.33 -- 5.12 2.33 5.12 Oct 06, 2016 Oct 06, 2016 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 5167.96 0.004432279900547449 5167.96 53 53 24422EWK1 US24422EWK18 -- 96.91 United States -- USD 3.11 5.15 1 Sep 15, 2027 4.15 3.1 -- 5.15 3.1 5.15 Sep 08, 2022 Sep 08, 2022 HPQ HP INC Technology Fixed Income 5167.96 0.004432279900547449 5167.96 53 53 40434LAM7 US40434LAM72 BMQ7GF5 97.61 United States -- USD 3.31 5.46 1 Jan 15, 2028 4.75 3.32 -- 5.46 3.32 5.46 Jun 21, 2022 Jun 21, 2022 NTRS NORTHERN TRUST CORPORATION Banking Fixed Income 5167.96 0.004432279900547449 5167.96 54 54 665859AW4 US665859AW46 -- 96.46 United States -- USD 2.75 5.27 1 May 10, 2027 4 2.76 -- 5.27 2.76 5.27 May 10, 2022 May 10, 2022 SO SOUTHERN COMPANY (THE) Electric Fixed Income 5164.45 0.004429269563305883 5164.45 52 52 842587DD6 US842587DD65 -- 98.62 United States -- USD 2.95 5.58 1 Aug 01, 2027 5.11 2.93 -- 5.58 2.93 5.58 Aug 16, 2019 May 09, 2022 CSCHLD CSC HOLDINGS LLC 144A Communications Fixed Income 5163.32 0.004428300423396206 5163.32 124 124 126307BK2 US126307BK24 -- 41.5 United States -- USD 5.17 20.59 1 Nov 15, 2031 5 4.78 -- 20.59 4.78 20.59 May 13, 2021 May 13, 2021 RABOBK COOPERATIEVE RABOBANK UA Banking Fixed Income 5162.7 0.004427768682914789 5162.7 54 54 21684AAF3 US21684AAF30 BDHBPW3 95.43 Netherlands -- USD 2.09 5.96 1 Jul 21, 2026 3.75 2.08 -- 5.96 2.08 5.96 Jul 21, 2016 Jul 21, 2016 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 5160.95 0.004426267802523695 5160.95 59 59 37045XDP8 US37045XDP87 -- 86.78 United States -- USD 4.14 5.8 1 Oct 15, 2028 2.4 4.13 -- 5.8 4.13 5.8 Oct 15, 2021 Oct 15, 2021 XOM EXXON MOBIL CORP Energy Fixed Income 5155.69 0.0044217565848910356 5155.69 54 54 30231GBJ0 US30231GBJ04 -- 95.73 United States -- USD 2.67 4.89 1 Mar 19, 2027 3.29 2.71 -- 4.89 2.71 4.89 Mar 19, 2020 Mar 19, 2020 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 5150.44 0.004417253943717754 5150.44 54 54 06406RAH0 US06406RAH03 BG13NR7 95.22 United States -- USD 3.59 5.19 1 Apr 28, 2028 3.85 3.58 -- 5.19 3.58 5.19 Apr 30, 2018 Apr 30, 2018 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 5148.69 0.0044157530633266604 5148.69 54 54 378272AN8 US378272AN87 BYQ47H9 95.49 Switzerland -- USD 2.67 5.7 1 Mar 27, 2027 4 2.7 -- 5.7 2.7 5.7 Mar 27, 2017 Mar 27, 2017 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 5143.43 0.004411241845694001 5143.43 55 55 00774MAS4 US00774MAS44 BNK9N53 93.16 Ireland -- USD 1.7 5.88 1 Jan 30, 2026 1.75 1.69 -- 5.88 1.69 5.88 Jan 13, 2021 Jan 13, 2021 DANBNK DANSKE BANK A/S MTN 144A Banking Fixed Income 5138.17 0.004406730628061341 5138.17 52 52 23636ABG5 US23636ABG58 -- 99.03 Denmark -- USD 2.57 5.89 1 Mar 01, 2028 5.43 2.58 -- 5.8 2.58 5.8 Mar 01, 2024 Mar 01, 2024 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 5138.17 0.004406730628061341 5138.17 55 55 742718FL8 US742718FL83 -- 93.39 United States -- USD 1.46 5.16 1 Oct 29, 2025 0.55 1.46 -- 5.16 1.46 5.16 Oct 29, 2020 Oct 29, 2020 BATSLN BAT INTERNATIONAL FINANCE PLC Consumer Non-Cyclical Fixed Income 5136.42 0.004405229747670247 5136.42 51 51 05530QAQ3 US05530QAQ38 -- 100.59 United Kingdom -- USD 4.05 5.78 1 Feb 02, 2029 5.93 4.05 -- 5.78 3.99 5.78 Aug 02, 2023 Aug 02, 2023 MA MASTERCARD INC Technology Fixed Income 5136.42 0.004405229747670247 5136.42 54 54 57636QAR5 US57636QAR56 -- 94.92 United States -- USD 2.7 5.2 1 Mar 26, 2027 3.3 2.73 -- 5.2 2.73 5.2 Mar 26, 2020 Mar 26, 2020 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 5136.42 0.004405229747670247 5136.42 51 51 89236TKL8 US89236TKL88 -- 100.69 United States -- USD 3.12 5.23 1 Nov 10, 2027 5.45 3.11 -- 5.23 3.11 5.23 Nov 10, 2022 Nov 10, 2022 BMO BANK OF MONTREAL MTN Banking Fixed Income 5132.92 0.004402227986888059 5132.92 53 53 06368LAQ9 US06368LAQ95 -- 97.69 Canada -- USD 3.05 5.45 1 Sep 14, 2027 4.7 3.07 -- 5.45 3.07 5.45 Sep 14, 2022 Sep 14, 2022 CMI CUMMINS ENGINE COMPANY INC Consumer Cyclical Fixed Income 5131.17 0.004400727106496965 5131.17 48 48 231021AJ5 US231021AJ54 2157487 106.24 United States -- USD 3.34 5.31 1 Mar 01, 2028 7.13 3.33 -- 5.31 3.33 5.31 Mar 01, 1998 Mar 03, 1998 BACR BARCLAYS PLC (FXD-FRN) Banking Fixed Income 5125.91 0.004396215888864305 5125.91 51 51 06738ECJ2 US06738ECJ29 -- 101.17 United Kingdom -- USD 2.16 6.44 1 Sep 13, 2027 6.5 2.16 -- 5.96 2.17 5.96 Sep 13, 2023 Sep 13, 2023 BPLN BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 5125.91 0.004396215888864305 5125.91 54 54 10373QAT7 US10373QAT76 BH4K3S3 95.76 United States -- USD 1.88 5.35 1 May 04, 2026 3.12 1.9 -- 5.35 1.9 5.35 Nov 04, 2018 Dec 14, 2018 CSCO CISCO SYSTEMS INC Technology Fixed Income 5125.91 0.004396215888864305 5125.91 52 52 17275RBP6 US17275RBP64 -- 99.53 United States -- USD 1.72 5.17 1 Feb 26, 2026 4.9 1.72 -- 5.17 1.72 5.17 Feb 26, 2024 Feb 26, 2024 SJM J M SMUCKER CO Consumer Non-Cyclical Fixed Income 5122.41 0.004393214128082117 5122.41 50 50 832696AW8 US832696AW80 -- 101.71 United States -- USD 3.83 5.47 1 Nov 15, 2028 5.9 3.85 -- 5.46 3.78 5.46 Oct 25, 2023 Oct 25, 2023 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 5120.66 0.004391713247691023 5120.66 56 56 251526BN8 US251526BN89 BD2BV42 91.93 Germany -- USD 3.1 7.39 1 Dec 01, 2032 4.88 3.11 -- 7.39 3.15 7.39 Dec 01, 2017 Dec 01, 2017 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 5118.9 0.0043902037908405515 5118.9 59 59 110122DP0 US110122DP08 -- 87.17 United States -- USD 3.39 5.12 1 Nov 13, 2027 1.13 3.38 -- 5.12 3.38 5.12 Nov 13, 2020 Nov 13, 2020 CEG FELLS POINT FUNDING TRUST 144A Electric Fixed Income 5118.9 0.0043902037908405515 5118.9 55 55 314382AA0 US314382AA01 -- 93.05 United States -- USD 2.59 5.8 1 Jan 31, 2027 3.05 2.57 -- 5.8 2.57 5.8 Feb 09, 2022 Feb 09, 2022 OBDC OWL ROCK CAPITAL CORP Finance Companies Fixed Income 5118.9 0.0043902037908405515 5118.9 55 55 69121KAE4 US69121KAE47 BNDCHF7 93.75 United States -- USD 2.08 6.46 1 Jul 15, 2026 3.4 2.07 -- 6.46 2.07 6.46 Dec 08, 2020 Dec 08, 2020 HD HOME DEPOT INC Consumer Cyclical Fixed Income 5117.15 0.0043887029104494575 5117.15 55 55 437076BT8 US437076BT82 BDH44D6 92.78 United States -- USD 3.14 5.15 1 Sep 14, 2027 2.8 3.16 -- 5.15 3.16 5.15 Sep 14, 2017 Sep 14, 2017 MEXCAT MEXICO CITY AIRPORT TRUST 144A Owned No Guarantee Fixed Income 5117.15 0.0043887029104494575 5117.15 53 53 59284MAA2 US59284MAA27 BD87R02 96.25 Mexico -- USD 2.27 5.88 1 Oct 31, 2026 4.25 2.29 -- 5.88 2.29 5.88 Sep 29, 2016 Sep 29, 2016 MBGGR DAIMLER FINANCE NORTH AMERICA LLC 144A Consumer Cyclical Fixed Income 5115.4 0.0043872020300583636 5115.4 55 55 233851EC4 US233851EC41 -- 92.99 Germany -- USD 1.78 5.48 1 Mar 02, 2026 1.45 1.78 -- 5.48 1.78 5.48 Mar 02, 2021 Mar 02, 2021 CVX CHEVRON CORP Energy Fixed Income 5108.39 0.00438118993203461 5108.39 56 56 166764BX7 US166764BX70 -- 91.33 United States -- USD 2.86 5.11 1 May 11, 2027 2 2.86 -- 5.11 2.86 5.11 May 11, 2020 May 11, 2020 KBCBB KBC GROEP NV MTN 144A Banking Fixed Income 5108.39 0.00438118993203461 5108.39 51 51 48241FAB0 US48241FAB04 -- 99.27 Belgium -- USD 3.23 6.26 1 Jan 19, 2029 5.8 3.25 -- 6.01 3.26 6.01 Jan 19, 2023 Jan 19, 2023 HYUELE SK HYNIX INC 144A Technology Fixed Income 5108.39 0.00438118993203461 5108.39 55 55 78392BAB3 US78392BAB36 -- 92.83 Korea (South) -- USD 1.67 5.91 1 Jan 19, 2026 1.5 1.66 -- 5.91 1.66 5.91 Jan 19, 2021 Jan 19, 2021 AEE AMEREN CORPORATION Electric Fixed Income 5104.89 0.004378188171252422 5104.89 52 52 023608AQ5 US023608AQ57 -- 97.28 United States -- USD 4.07 5.66 1 Jan 15, 2029 5 4.07 -- 5.66 4.07 5.66 Dec 21, 2023 Dec 21, 2023 CBAAU COMMONWEALTH BANK OF AUSTRALIA 144A Banking Fixed Income 5103.14 0.004376687290861328 5103.14 56 56 2027A0KD0 US2027A0KD09 -- 91.57 Australia -- USD 2.06 5.35 1 Jun 15, 2026 1.13 2.05 -- 5.35 2.05 5.35 Sep 15, 2021 Sep 15, 2021 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 5103.14 0.004376687290861328 5103.14 54 54 606822AR5 US606822AR58 BF8F0T0 93.82 Japan -- USD 3.01 5.38 1 Jul 25, 2027 3.29 3 -- 5.38 3 5.38 Jul 25, 2017 Jul 25, 2017 XOM EXXON MOBIL CORP Energy Fixed Income 5101.39 0.004375186410470234 5101.39 54 54 30231GBD3 US30231GBD34 BJQZK01 93.93 United States -- USD 2.19 5.09 1 Aug 16, 2026 2.27 2.19 -- 5.09 2.19 5.09 Aug 16, 2019 Aug 16, 2019 F FORD MOTOR COMPANY Consumer Cyclical Fixed Income 5099.63 0.004373676953619763 5099.63 53 53 345370CR9 US345370CR99 BYPL1T1 96.56 United States -- USD 2.35 5.78 1 Dec 08, 2026 4.35 2.39 -- 5.78 2.39 5.78 Dec 08, 2016 Dec 08, 2016 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 5099.63 0.004373676953619763 5099.63 59 59 65339KBW9 US65339KBW99 -- 86.83 United States -- USD 3.86 5.5 1 Jun 15, 2028 1.9 3.85 -- 5.5 3.85 5.5 Jun 08, 2021 Jun 08, 2021 LRCX LAM RESEARCH CORPORATION Technology Fixed Income 5096.13 0.004370675192837575 5096.13 54 54 512807AU2 US512807AU29 BFZ93F2 94.9 United States -- USD 4.29 5.19 1 Mar 15, 2029 4 4.34 -- 5.19 4.34 5.19 Mar 04, 2019 Mar 04, 2019 FOXA FOX CORP Communications Fixed Income 5094.38 0.004369174312446481 5094.38 53 53 35137LAH8 US35137LAH87 BJLV907 96.45 United States -- USD 4.09 5.57 1 Jan 25, 2029 4.71 4.14 -- 5.57 4.14 5.57 Jan 25, 2020 Mar 30, 2020 FI FISERV INC Technology Fixed Income 5090.87 0.004366163975204915 5090.87 52 52 337738AP3 US337738AP30 BY58YF9 97.98 United States -- USD 1.04 5.77 1 Jun 01, 2025 3.85 1.04 -- 5.77 1.04 5.77 May 22, 2015 May 22, 2015 WTW WILLIS NORTH AMERICA INC Insurance Fixed Income 5090.87 0.004366163975204915 5090.87 52 52 970648AL5 US970648AL56 -- 97.16 United States -- USD 2.81 5.65 1 Jun 15, 2027 4.65 2.82 -- 5.65 2.82 5.65 May 19, 2022 May 19, 2022 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 5087.37 0.004363162214422727 5087.37 52 52 548661EK9 US548661EK91 -- 98.59 United States -- USD 1.3 5.48 1 Sep 08, 2025 4.4 1.3 -- 5.48 1.3 5.48 Sep 08, 2022 Sep 08, 2022 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 5080.36 0.0043571501163989735 5080.36 54 54 03027XAK6 US03027XAK63 BDGNML8 94.9 United States -- USD 2.31 5.61 1 Oct 15, 2026 3.38 2.32 -- 5.61 2.32 5.61 May 13, 2016 May 13, 2016 LHX L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 5080.36 0.0043571501163989735 5080.36 53 53 502431AM1 US502431AM16 BMBM688 95.72 United States -- USD 3.61 5.57 1 Jun 15, 2028 4.4 3.66 -- 5.57 3.66 5.57 Dec 15, 2019 May 01, 2020 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 5075.11 0.0043526474752256916 5075.11 55 55 91324PEC2 US91324PEC23 -- 92.07 United States -- USD 1.97 5.27 1 May 15, 2026 1.15 1.97 -- 5.27 1.97 5.27 May 19, 2021 May 19, 2021 RABOBK COOPERATIEVE RABOBANK UA MTN 144A Banking Fixed Income 5073.36 0.0043511465948345976 5073.36 56 56 74977RDL5 US74977RDL50 -- 90.57 Netherlands -- USD 2.48 5.9 1 Dec 15, 2027 1.98 2.48 -- 5.89 2.49 5.89 Dec 15, 2021 Dec 15, 2021 ENBCN ENBRIDGE INC Energy Fixed Income 5069.85 0.004348136257593032 5069.85 50 50 29250NBX2 US29250NBX21 -- 101.55 Canada -- USD 3.83 5.61 1 Nov 15, 2028 6 3.84 -- 5.6 3.78 5.6 Nov 09, 2023 Nov 09, 2023 CEG EXELON GENERATION COMPANY LLC Electric Fixed Income 5068.1 0.004346635377201938 5068.1 52 52 30161MAS2 US30161MAS26 -- 97.43 United States -- USD 1.05 5.69 1 Jun 01, 2025 3.25 1.05 -- 5.69 1.05 5.69 May 15, 2020 May 15, 2020 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 5064.6 0.00434363361641975 5064.6 51 51 02665WEM9 US02665WEM91 -- 99.27 United States -- USD 3.69 5.32 1 Jul 07, 2028 5.13 3.68 -- 5.32 3.68 5.32 Jul 07, 2023 Jul 07, 2023 CCI CROWN CASTLE INC Communications Fixed Income 5064.6 0.00434363361641975 5064.6 56 56 22822VAV3 US22822VAV36 -- 90.51 United States -- USD 2.14 5.65 1 Jul 15, 2026 1.05 2.13 -- 5.65 2.13 5.65 Feb 16, 2021 Feb 16, 2021 NEE NEXTERA ENERGY CAPITAL HOLD (FXD) Electric Fixed Income 5064.6 0.00434363361641975 5064.6 51 51 65339KCS7 US65339KCS78 -- 99.05 United States -- USD 1.65 5.52 1 Jan 29, 2026 4.95 1.64 -- 5.52 1.64 5.52 Jan 31, 2024 Jan 31, 2024 TOYOTA TOYOTA MOTOR CORPORATION Consumer Cyclical Fixed Income 5064.6 0.00434363361641975 5064.6 54 54 892331AM1 US892331AM12 -- 92.96 Japan -- USD 1.85 5.25 1 Mar 25, 2026 1.34 1.85 -- 5.25 1.85 5.25 Mar 25, 2021 Mar 25, 2021 VRSK VERISK ANALYTICS INC Technology Fixed Income 5064.6 0.00434363361641975 5064.6 52 52 92345YAD8 US92345YAD85 BXPB5D6 97.94 United States -- USD 1.08 5.89 1 Jun 15, 2025 4 1.08 -- 5.89 1.08 5.89 May 15, 2015 May 15, 2015 AXP AMERICAN EXPRESS COMPANY (FX-FRN) Banking Fixed Income 5062.84 0.004342124159569278 5062.84 51 51 025816DT3 US025816DT39 -- 99.93 United States -- USD 1.87 5.85 1 Apr 23, 2027 5.64 1.86 -- 5.7 1.86 5.7 Apr 25, 2024 Apr 25, 2024 BATSLN BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 5061.09 0.004340623279178184 5061.09 54 54 05526DBJ3 US05526DBJ37 BGMGN75 94.59 United Kingdom -- USD 2.22 5.69 1 Sep 06, 2026 3.21 2.22 -- 5.69 2.22 5.69 Sep 06, 2019 Sep 06, 2019 TTEFP TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 5061.09 0.004340623279178184 5061.09 55 55 89153VAQ2 US89153VAQ23 BHQ3T37 92.81 France -- USD 4.29 5.16 1 Feb 19, 2029 3.46 4.32 -- 5.16 4.32 5.16 Feb 19, 2019 Feb 19, 2019 HD HOME DEPOT INC Consumer Cyclical Fixed Income 5055.84 0.004336120638004902 5055.84 52 52 437076BK7 US437076BK73 BZ0V2D4 97.37 United States -- USD 1.32 5.34 1 Sep 15, 2025 3.35 1.33 -- 5.34 1.33 5.34 Sep 15, 2015 Sep 15, 2015 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 5054.09 0.004334619757613808 5054.09 51 51 025816DU0 US025816DU02 -- 99.76 United States -- USD 4.29 5.69 1 Apr 25, 2030 5.53 4.31 -- 5.59 4.31 5.59 Apr 25, 2024 Apr 25, 2024 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL MTN 144A Banking Fixed Income 5048.83 0.004330108539981148 5048.83 50 50 06675FBB2 US06675FBB22 -- 100.63 France -- USD 3.66 5.62 1 Jul 13, 2028 5.79 3.64 -- 5.62 3.64 5.62 Jul 13, 2023 Jul 13, 2023 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 5048.83 0.004330108539981148 5048.83 51 51 14040HCX1 US14040HCX17 BPQV3L3 98.2 United States -- USD 3.29 6.29 1 Feb 01, 2029 5.47 3.31 -- 6.01 3.31 6.01 Feb 01, 2023 Feb 01, 2023 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 5047.08 0.004328607659590054 5047.08 56 56 65339KBY5 US65339KBY55 -- 90.84 United States -- USD 2.59 5.55 1 Jan 15, 2027 1.88 2.58 -- 5.55 2.58 5.55 Dec 13, 2021 Dec 13, 2021 TGT TARGET CORPORATION Consumer Cyclical Fixed Income 5047.08 0.004328607659590054 5047.08 53 53 87612EBE5 US87612EBE59 BD07368 95.42 United States -- USD 1.89 4.96 1 Apr 15, 2026 2.5 1.89 -- 4.96 1.89 4.96 Apr 11, 2016 Apr 11, 2016 ABNANV ABN AMRO BANK NV MTN 144A Banking Fixed Income 5045.33 0.00432710677919896 5045.33 50 50 00084DBA7 US00084DBA72 -- 100.89 Netherlands -- USD 2.17 6.18 1 Sep 18, 2027 6.34 2.18 -- 5.93 2.18 5.93 Sep 18, 2023 Sep 18, 2023 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 5043.57 0.0043255973223484895 5043.57 51 51 378272BK3 US378272BK30 -- 98.57 Switzerland -- USD 3.48 5.8 1 May 08, 2028 5.4 3.49 -- 5.8 3.49 5.8 May 08, 2023 May 08, 2023 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 5041.82 0.0043240964419573955 5041.82 51 51 60687YCL1 US60687YCL11 -- 99.47 Japan -- USD 3.01 5.93 1 Sep 13, 2028 5.41 3.03 -- 5.58 3.03 5.58 Sep 13, 2022 Sep 13, 2022 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 5041.82 0.0043240964419573955 5041.82 50 50 842400HS5 US842400HS51 -- 101.1 United States -- USD 3.04 5.5 1 Nov 01, 2027 5.85 3.06 -- 5.5 3.06 5.5 Nov 08, 2022 Nov 08, 2022 CMCSA COMCAST CORPORATION Communications Fixed Income 5040.07 0.0043225955615663015 5040.07 50 50 20030NDZ1 US20030NDZ15 -- 99.85 United States -- USD 1.42 5.35 1 Nov 07, 2025 5.25 1.42 -- 5.35 1.42 5.35 Nov 07, 2022 Nov 07, 2022 UPS UNITED PARCEL SERVICE INC Transportation Fixed Income 5040.07 0.0043225955615663015 5040.07 54 54 911312BR6 US911312BR66 BJCRWL6 92.66 United States -- USD 4.36 5.11 1 Mar 15, 2029 3.4 4.4 -- 5.11 4.4 5.11 Mar 15, 2019 Mar 15, 2019 CABKSM CAIXABANK SA 144A Banking Fixed Income 5031.31 0.004315082583151454 5031.31 51 51 12803RAG9 US12803RAG92 -- 98.24 Spain -- USD 4.13 6.25 1 Mar 15, 2030 5.67 4.18 -- 6.09 4.18 6.09 Mar 15, 2024 Mar 15, 2024 AER AERCAP IRELAND CAPITAL LTD / AERCA Finance Companies Fixed Income 5019.05 0.004304567843954418 5019.05 54 54 00774MAB1 US00774MAB19 BDBSC18 93.6 Ireland -- USD 2.95 5.85 1 Jul 21, 2027 3.65 2.96 -- 5.85 2.96 5.85 Jul 21, 2017 Jul 21, 2017 INTNED ING GROEP NV Banking Fixed Income 5017.3 0.004303066963563324 5017.3 50 50 456837BF9 US456837BF96 -- 100.49 Netherlands -- USD 2.17 6.16 1 Sep 11, 2027 6.08 2.17 -- 5.85 2.17 5.85 Sep 11, 2023 Sep 11, 2023 DLTR DOLLAR TREE INC Consumer Cyclical Fixed Income 5013.79 0.004300056626321758 5013.79 51 51 256746AG3 US256746AG33 BFY8ZX2 98.23 United States -- USD 0.99 5.75 1 May 15, 2025 4 1 -- 5.75 1 5.75 Apr 19, 2018 Apr 19, 2018 WSTP WESTPAC BANKING CORP Banking Fixed Income 5012.04 0.004298555745930664 5012.04 52 52 961214FC2 US961214FC22 -- 96.65 Australia -- USD 3.06 5.15 1 Aug 26, 2027 4.04 3.05 -- 5.15 3.05 5.15 May 26, 2022 May 26, 2022 RSG REPUBLIC SERVICES INC Capital Goods Fixed Income 5006.79 0.004294053104757382 5006.79 53 53 760759AT7 US760759AT74 BF4NFK4 95.03 United States -- USD 3.57 5.33 1 May 15, 2028 3.95 3.61 -- 5.33 3.61 5.33 May 14, 2018 May 14, 2018 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 5003.28 0.004291042767515817 5003.28 54 54 14913R2H9 US14913R2H93 BMD2QK8 93.47 United States -- USD 1.5 5.24 1 Nov 13, 2025 0.8 1.5 -- 5.24 1.5 5.24 Nov 13, 2020 Nov 13, 2020 HLNLN HALEON US CAPITAL LLC Consumer Non-Cyclical Fixed Income 4999.78 0.004288041006733629 4999.78 55 55 36264FAL5 US36264FAL58 BP0SVZ0 91.07 United States -- USD 4.41 5.47 1 Mar 24, 2029 3.38 4.41 -- 5.47 4.41 5.47 Sep 24, 2022 Oct 28, 2022 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 4998.03 0.004286540126342535 4998.03 58 58 548661DX2 US548661DX22 -- 85.8 United States -- USD 3.79 5.31 1 Apr 15, 2028 1.3 3.77 -- 5.31 3.77 5.31 Oct 22, 2020 Oct 22, 2020 CEG CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 4996.27 0.004285030669492064 4996.27 50 50 210385AB6 US210385AB64 -- 100.05 United States -- USD 3.37 5.58 1 Mar 01, 2028 5.6 3.39 -- 5.58 3.39 5.58 Feb 24, 2023 Feb 24, 2023 SOCGEN SOCIETE GENERALE SA 144A Banking Fixed Income 4996.27 0.004285030669492064 4996.27 52 52 83368JKF6 US83368JKF65 BZ1N7B2 95.48 France -- USD 2.16 6.38 1 Aug 19, 2026 4.25 2.14 -- 6.38 2.14 6.38 Aug 19, 2016 Aug 19, 2016 CAG CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 4991.02 0.004280528028318782 4991.02 52 52 205887CC4 US205887CC49 BFWN1R5 96.67 United States -- USD 3.85 5.7 1 Nov 01, 2028 4.85 3.89 -- 5.7 3.89 5.7 Oct 22, 2018 Oct 22, 2018 ENBCN ENBRIDGE INC Energy Fixed Income 4991.02 0.004280528028318782 4991.02 54 54 29250NAS4 US29250NAS45 BF7GX73 92.11 Canada -- USD 2.87 8.94 1 Jul 15, 2077 5.5 2.68 -- 8.34 2.82 8.34 Jul 14, 2017 Jul 14, 2017 RDSALN SHELL INTERNATIONAL FINANCE BV Energy Fixed Income 4991.02 0.004280528028318782 4991.02 53 53 822582BX9 US822582BX94 BD3RRG3 93.97 Netherlands -- USD 2.27 5.23 1 Sep 12, 2026 2.5 2.26 -- 5.23 2.26 5.23 Sep 12, 2016 Sep 12, 2016 TAQAUH ABU DHABI NATIONAL ENERGY CO PJSC MTN 144A Owned No Guarantee Fixed Income 4989.27 0.004279027147927688 4989.27 51 51 00388WAC5 US00388WAC55 BD37VW7 97.63 United Arab Emirates -- USD 2 5.55 1 Jun 22, 2026 4.38 2 -- 5.55 2 5.55 Jun 22, 2016 Jun 22, 2016 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 4982.26 0.004273015049903934 4982.26 50 50 60687YCP2 US60687YCP25 -- 99.84 Japan -- USD 3.48 5.88 1 May 27, 2029 5.67 3.52 -- 5.71 3.52 5.71 Feb 27, 2023 Feb 27, 2023 NWG NATWEST GROUP PLC Banking Fixed Income 4982.26 0.004273015049903934 4982.26 50 50 639057AF5 US639057AF59 -- 98.96 United Kingdom -- USD 3.04 6.19 1 Sep 30, 2028 5.52 3.06 -- 5.85 3.07 5.85 Jun 30, 2022 Jun 30, 2022 CNP CENTERPOINT ENERGY RESOURCES CORPO Natural Gas Fixed Income 4978.76 0.004270013289121746 4978.76 50 50 15189YAG1 US15189YAG17 -- 99.15 United States -- USD 3.4 5.5 1 Mar 01, 2028 5.25 3.41 -- 5.5 3.41 5.5 Feb 23, 2023 Feb 23, 2023 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 4975.25 0.00426700295188018 4975.25 53 53 606822AJ3 US606822AJ33 BD8CNW1 93.86 Japan -- USD 2.26 5.54 1 Sep 13, 2026 2.76 2.25 -- 5.54 2.25 5.54 Sep 13, 2016 Sep 13, 2016 FRIDPT FREEPORT INDONESIA PT 144A Owned No Guarantee Fixed Income 4973.5 0.004265502071489086 4973.5 52 52 69377FAA4 US69377FAA49 -- 96.55 Indonesia -- USD 2.71 6.05 1 Apr 14, 2027 4.76 2.71 -- 6.05 2.71 6.05 Apr 14, 2022 Apr 14, 2022 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 4973.5 0.004265502071489086 4973.5 56 56 694308JF5 US694308JF52 BMYQX42 89.04 United States -- USD 3.08 5.83 1 Aug 01, 2027 2.1 3.06 -- 5.83 3.06 5.83 Jun 19, 2020 Jun 19, 2020 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 4966.49 0.004259489973465333 4966.49 48 48 06406RBT3 US06406RBT32 -- 103.2 United States -- USD 3.87 5.73 1 Oct 25, 2029 6.32 3.89 -- 5.5 3.89 5.5 Oct 25, 2023 Oct 25, 2023 T AT&T INC Communications Fixed Income 4961.24 0.004254987332292051 4961.24 50 50 00206RMP4 US00206RMP46 -- 99.78 United States -- USD 0.75 5.66 1 Feb 20, 2026 5.54 1.69 -- 5.66 1.69 5.66 Feb 22, 2023 Feb 22, 2023 SANTAN BANCO SANTANDER SA Banking Fixed Income 4961.24 0.004254987332292051 4961.24 52 52 05964HAB1 US05964HAB15 BDRXQT3 95.76 Spain -- USD 2.74 5.83 1 Apr 11, 2027 4.25 2.73 -- 5.83 2.73 5.83 Apr 11, 2017 Apr 11, 2017 ROP ROPER TECHNOLOGIES INC Technology Fixed Income 4957.73 0.004251976995050485 4957.73 52 52 776743AF3 US776743AF34 BGHJVQ4 95.33 United States -- USD 3.88 5.41 1 Sep 15, 2028 4.2 3.92 -- 5.41 3.92 5.41 Aug 28, 2018 Aug 28, 2018 DTE DTE ENERGY COMPANY Electric Fixed Income 4954.23 0.004248975234268297 4954.23 51 51 233331BJ5 US233331BJ54 -- 97.28 United States -- USD 3.58 5.63 1 Jun 01, 2028 4.88 3.59 -- 5.63 3.59 5.63 May 12, 2023 May 12, 2023 DLR DIGITAL REALTY TRUST LP Reits Fixed Income 4950.73 0.004245973473486109 4950.73 50 50 25389JAV8 US25389JAV89 -- 99.47 United States -- USD 3.27 5.71 1 Jan 15, 2028 5.55 3.27 -- 5.71 3.27 5.71 Sep 27, 2022 Sep 27, 2022 ABNANV ABN AMRO BANK NV MTN 144A Banking Fixed Income 4948.97 0.004244464016635637 4948.97 51 51 00084DAL4 US00084DAL47 BYP9PQ0 97.47 Netherlands -- USD 1.87 6.18 1 Apr 18, 2026 4.8 1.85 -- 6.18 1.85 6.18 Apr 18, 2016 Apr 18, 2016 ADI ANALOG DEVICES INC Technology Fixed Income 4945.47 0.004241462255853449 4945.47 52 52 032654AN5 US032654AN54 BYMJF41 95.86 United States -- USD 2.38 5.21 1 Dec 05, 2026 3.5 2.42 -- 5.21 2.42 5.21 Dec 05, 2016 Dec 05, 2016 TMUS T-MOBILE USA INC Communications Fixed Income 4941.97 0.004238460495071261 4941.97 56 56 87264ABS3 US87264ABS33 -- 87.96 United States -- USD 4.26 5.51 1 Feb 15, 2029 2.63 4.38 -- 5.51 4.38 5.51 Jan 14, 2021 Jan 14, 2021 FI FISERV INC Technology Fixed Income 4938.46 0.004235450157829696 4938.46 50 50 337738BD9 US337738BD90 -- 99.55 United States -- USD 3.39 5.58 1 Mar 02, 2028 5.45 3.4 -- 5.58 3.4 5.58 Mar 02, 2023 Mar 02, 2023 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 4934.74 0.0042322597149411995 4934.74 232 232 -- MYBGO1700018 BYQFLH0 21.3 Malaysia -- USD 2.99 3.67 4.7775 Jul 26, 2027 4.26 2.99 -- 3.67 2.99 3.67 Jan 26, 2017 Jan 26, 2017 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 4933.21 0.004230947516656414 4933.21 50 50 928668CG5 US928668CG54 -- 97.88 Germany -- USD 4.23 5.75 1 Mar 22, 2029 5.25 4.24 -- 5.75 4.24 5.75 Mar 22, 2024 Mar 22, 2024 NKE NIKE INC Consumer Cyclical Fixed Income 4931.46 0.00422944663626532 4931.46 53 53 654106AJ2 US654106AJ22 -- 93.75 United States -- USD 2.74 5.08 1 Mar 27, 2027 2.75 2.75 -- 5.08 2.75 5.08 Mar 27, 2020 Mar 27, 2020 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 4929.7 0.004227937179414849 4929.7 50 50 110122ED6 US110122ED68 -- 99.36 United States -- USD 1.71 5.32 1 Feb 20, 2026 4.95 1.7 -- 5.32 1.7 5.32 Feb 22, 2024 Feb 22, 2024 JBSSBZ JBS USA LUX SA Consumer Non-Cyclical Fixed Income 4929.7 0.004227937179414849 4929.7 51 51 46590XAZ9 US46590XAZ96 990XAZ9 97.19 Brazil -- USD 3.33 5.97 1 Feb 01, 2028 5.13 3.33 -- 5.97 3.33 5.97 Aug 01, 2023 Aug 21, 2023 RABOBK COOPERATIEVE RABOBANK UA MTN 144A Banking Fixed Income 4927.95 0.004226436299023755 4927.95 51 51 74977RDR2 US74977RDR21 -- 96.72 Netherlands -- USD 2.97 6.01 1 Aug 22, 2028 4.66 3 -- 5.75 3 5.75 Aug 22, 2022 Aug 22, 2022 HCA HCA INC Consumer Non-Cyclical Fixed Income 4926.2 0.004224935418632661 4926.2 53 53 404119CH0 US404119CH01 -- 93.54 United States -- USD 2.69 5.58 1 Mar 15, 2027 3.13 2.7 -- 5.58 2.7 5.58 Mar 15, 2023 Aug 07, 2023 INTU INTUIT INC. Technology Fixed Income 4926.2 0.004224935418632661 4926.2 49 49 46124HAF3 US46124HAF38 -- 99.73 United States -- USD 3.84 5.19 1 Sep 15, 2028 5.13 3.86 -- 5.19 3.86 5.19 Sep 15, 2023 Sep 15, 2023 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 4920.94 0.004220424201000001 4920.94 58 58 89788MAE2 US89788MAE21 -- 85.2 United States -- USD 3.79 6.05 1 Jun 07, 2029 1.89 3.82 -- 6 3.82 6 Jun 07, 2021 Jun 07, 2021 AIFP AIR LIQUIDE FINANCE SA 144A Basic Industry Fixed Income 4915.69 0.004215921559826719 4915.69 52 52 00913RAD8 US00913RAD89 BD878H6 93.95 France -- USD 2.29 5.19 1 Sep 27, 2026 2.5 2.3 -- 5.19 2.3 5.19 Sep 27, 2016 Sep 27, 2016 MBGGR DAIMLER FINANCE NORTH AMERICA LLC 144A Consumer Cyclical Fixed Income 4906.93 0.004208408581411871 4906.93 52 52 233851DF8 US233851DF80 BG1VND7 94.31 Germany -- USD 3.49 5.42 1 Feb 22, 2028 3.75 3.47 -- 5.42 3.47 5.42 Feb 22, 2018 Feb 22, 2018 NKE NIKE INC Consumer Cyclical Fixed Income 4906.93 0.004208408581411871 4906.93 52 52 654106AF0 US654106AF00 BD5FYS6 93.47 United States -- USD 2.36 5.17 1 Nov 01, 2026 2.38 2.36 -- 5.17 2.36 5.17 Oct 21, 2016 Oct 21, 2016 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 4899.92 0.0042023964833881175 4899.92 50 50 928668BE1 US928668BE16 -- 97.61 Germany -- USD 1 5.73 1 May 13, 2025 3.35 1 -- 5.73 1 5.73 May 13, 2020 May 13, 2020 SO SOUTHERN COMPANY (THE) Electric Fixed Income 4896.42 0.0041993947226059295 4896.42 54 54 842587DJ3 US842587DJ36 -- 91.45 United States -- USD 2.08 7.64 1 Sep 15, 2051 3.75 2.06 -- 7.64 2.21 7.64 May 06, 2021 May 06, 2021 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 4891.16 0.004194883504973271 4891.16 53 53 60687YAM1 US60687YAM12 BF93W31 92.81 Japan -- USD 3.14 5.53 1 Sep 11, 2027 3.17 3.12 -- 5.53 3.12 5.53 Sep 11, 2017 Sep 11, 2017 AON AON PLC Insurance Fixed Income 4885.91 0.004190380863799989 4885.91 50 50 00185AAK0 US00185AAK07 BYZ7348 97.31 United States -- USD 1.51 5.62 1 Dec 15, 2025 3.88 1.54 -- 5.62 1.54 5.62 Mar 01, 2016 Mar 01, 2016 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 4884.16 0.004188879983408895 4884.16 53 53 742718FP9 US742718FP97 -- 92.46 United States -- USD 1.93 5.02 1 Apr 23, 2026 1 1.93 -- 5.02 1.93 5.02 Apr 23, 2021 Apr 23, 2021 UBS UBS AG (LONDON BRANCH) Banking Fixed Income 4884.16 0.004188879983408895 4884.16 53 53 902674ZZ6 US902674ZZ69 9974ZZ6 91.62 Switzerland -- USD 2.02 5.53 1 Jun 01, 2026 1.25 2.01 -- 5.53 2.01 5.53 Jun 01, 2023 Oct 12, 2023 FE FIRSTENERGY CORPORATION Electric Fixed Income 4882.41 0.004187379103017801 4882.41 60 60 337932AP2 US337932AP26 -- 81.06 United States -- USD 5.74 5.86 1 Sep 01, 2030 2.25 5.71 -- 5.86 5.71 5.86 Jun 08, 2020 Jun 08, 2020 TSN TYSON FOODS INC Consumer Non-Cyclical Fixed Income 4880.65 0.004185869646167329 4880.65 52 52 902494BK8 US902494BK88 BDVLC17 94.73 United States -- USD 4.22 5.6 1 Mar 01, 2029 4.35 4.26 -- 5.6 4.26 5.6 Feb 19, 2019 Feb 19, 2019 AVGO BROADCOM INC Technology Fixed Income 4878.9 0.004184368765776235 4878.9 51 51 11135FBB6 US11135FBB67 -- 96.35 United States -- USD 1.48 5.64 1 Nov 15, 2025 3.15 1.47 -- 5.64 1.47 5.64 May 08, 2020 Aug 07, 2020 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 4878.9 0.004184368765776235 4878.9 51 51 80282KAP1 US80282KAP12 BF0NL88 95.79 United States -- USD 2.87 5.85 1 Jul 13, 2027 4.4 2.91 -- 5.85 2.91 5.85 Jan 13, 2018 Mar 01, 2018 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 4878.9 0.004184368765776235 4878.9 53 53 808513BR5 US808513BR53 -- 91.81 United States -- USD 1.97 5.42 1 May 13, 2026 1.15 1.97 -- 5.42 1.97 5.42 May 13, 2021 May 13, 2021 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 4873.65 0.004179866124602953 4873.65 50 50 771196CJ9 US771196CJ98 -- 98.45 Switzerland -- USD 4.24 5.15 1 Mar 08, 2029 4.79 4.26 -- 5.15 4.26 5.15 Mar 08, 2024 Mar 08, 2024 WSTP WESTPAC BANKING CORP Banking Fixed Income 4871.89 0.004178356667752481 4871.89 49 49 961214FL2 US961214FL21 -- 100.29 Australia -- USD 1.45 5.31 1 Nov 17, 2025 5.51 1.44 -- 5.31 1.44 5.31 Nov 17, 2023 Nov 17, 2023 MITCO MITSUBISHI CORPORATION 144A Industrial Other Fixed Income 4870.14 0.004176855787361387 4870.14 49 49 606769AH0 US606769AH06 -- 98.51 Japan -- USD 3.66 5.4 1 Jul 05, 2028 5 3.68 -- 5.4 3.68 5.4 Jul 05, 2023 Jul 05, 2023 FTV FORTIVE CORP Capital Goods Fixed Income 4868.39 0.004175354906970293 4868.39 51 51 34959JAG3 US34959JAG31 BF4TV93 95.42 United States -- USD 1.99 5.45 1 Jun 15, 2026 3.15 2.01 -- 5.45 2.01 5.45 Jun 15, 2017 Jun 15, 2017 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL 144A Banking Fixed Income 4863.13 0.0041708436893376334 4863.13 49 49 06675FBC0 US06675FBC05 -- 98.86 France -- USD 2.51 5.54 1 Jan 23, 2027 5.09 2.49 -- 5.54 2.49 5.54 Jan 23, 2024 Jan 23, 2024 MU MICRON TECHNOLOGY INC Technology Fixed Income 4863.13 0.0041708436893376334 4863.13 50 50 595112BP7 US595112BP79 BK53BK0 96.62 United States -- USD 2.56 5.5 1 Feb 15, 2027 4.18 2.58 -- 5.5 2.58 5.5 Jul 12, 2019 Jul 12, 2019 TACHEM BAXALTA INC Consumer Non-Cyclical Fixed Income 4859.63 0.0041678419285554455 4859.63 50 50 07177MAB9 US07177MAB90 BYN15Z7 98.15 United States -- USD 1.09 5.66 1 Jun 23, 2025 4 1.1 -- 5.66 1.1 5.66 Dec 23, 2015 May 27, 2016 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 4859.63 0.0041678419285554455 4859.63 51 51 14040HCE3 US14040HCE36 -- 94.66 United States -- USD 2.77 5.58 1 May 11, 2027 3.65 2.78 -- 5.58 2.78 5.58 May 11, 2020 May 11, 2020 PCP PRECISION CASTPARTS CORP Capital Goods Fixed Income 4859.63 0.0041678419285554455 4859.63 50 50 740189AM7 US740189AM73 BYYG2G1 97.6 United States -- USD 1.08 5.45 1 Jun 15, 2025 3.25 1.09 -- 5.45 1.09 5.45 Jun 10, 2015 Jun 10, 2015 RELLN RELX CAPITAL INC Technology Fixed Income 4859.63 0.0041678419285554455 4859.63 52 52 74949LAC6 US74949LAC63 BJ16XR7 94.24 United Kingdom -- USD 4.31 5.35 1 Mar 18, 2029 4 4.35 -- 5.35 4.35 5.35 Mar 18, 2019 Mar 18, 2019 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 4857.88 0.0041663410481643515 4857.88 48 48 44891ACN5 US44891ACN54 -- 101.23 United States -- USD 3.79 5.78 1 Sep 21, 2028 6.1 3.8 -- 5.77 3.74 5.77 Sep 21, 2023 Sep 21, 2023 OTIS OTIS WORLDWIDE CORP Capital Goods Fixed Income 4856.13 0.0041648401677732575 4856.13 49 49 68902VAP2 US68902VAP22 -- 99.71 United States -- USD 3.76 5.32 1 Aug 16, 2028 5.25 3.77 -- 5.32 3.77 5.32 Aug 16, 2023 Aug 16, 2023 SOCGEN SOCIETE GENERALE SA 144A Banking Fixed Income 4856.13 0.0041648401677732575 4856.13 50 50 83367TBR9 US83367TBR95 BDCBVW0 97.53 France -- USD 1.47 6.41 1 Nov 24, 2025 4.75 1.46 -- 6.41 1.46 6.41 Nov 24, 2015 Nov 24, 2015 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 4856.13 0.0041648401677732575 4856.13 48 48 853254CQ1 US853254CQ11 -- 100.25 Hong Kong -- USD 1.55 6.44 1 Jan 09, 2027 6.17 1.56 -- 6.01 1.57 6.01 Jan 09, 2023 Jan 09, 2023 NRG NRG ENERGY INC 144A Electric Fixed Income 4854.37 0.004163330710922786 4854.37 54 54 629377CP5 US629377CP59 BNKJS58 89.21 United States -- USD 3.34 5.81 1 Dec 02, 2027 2.45 3.33 -- 5.81 3.33 5.81 Dec 02, 2020 Dec 02, 2020 GP GEORGIA-PACIFIC LLC 144A Basic Industry Fixed Income 4852.62 0.004161829830531692 4852.62 51 51 37331NAJ0 US37331NAJ00 -- 94.83 United States -- USD 1.38 5.56 1 Sep 30, 2025 1.75 1.38 -- 5.56 1.38 5.56 Apr 30, 2020 Apr 30, 2020 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 4852.62 0.004161829830531692 4852.62 51 51 378272AX6 US378272AX69 -- 94.48 Switzerland -- USD 1.31 5.94 1 Sep 01, 2025 1.63 1.3 -- 5.94 1.3 5.94 Sep 01, 2020 Sep 01, 2020 AES AES CORPORATION (THE) 144A Electric Fixed Income 4847.37 0.00415732718935841 4847.37 50 50 00130HCB9 US00130HCB96 -- 96.86 United States -- USD 1.16 5.99 1 Jul 15, 2025 3.3 1.16 -- 5.99 1.16 5.99 May 27, 2020 May 27, 2020 EDF ELECTRICITE DE FRANCE SA 144A Owned No Guarantee Fixed Income 4847.37 0.00415732718935841 4847.37 51 51 268317AU8 US268317AU88 BF5HVB8 95.23 France -- USD 3.87 5.74 1 Sep 21, 2028 4.5 3.91 -- 5.74 3.91 5.74 Sep 21, 2018 Sep 21, 2018 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 4842.11 0.00415281597172575 4842.11 49 49 13607H6M9 US13607H6M92 -- 97.96 Canada -- USD 1.22 5.62 1 Aug 04, 2025 3.94 1.21 -- 5.62 1.21 5.62 Aug 04, 2022 Aug 04, 2022 LSELN LSEGA FINANCING PLC MTN 144A Brokerage/Asset Managers/Exchanges Fixed Income 4838.61 0.004149814210943562 4838.61 52 52 50220PAB9 US50220PAB94 -- 92.36 United Kingdom -- USD 1.88 5.57 1 Apr 06, 2026 1.38 1.87 -- 5.57 1.87 5.57 Apr 06, 2021 Apr 06, 2021 BCRED BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 4835.1 0.004146803873701997 4835.1 48 48 09261HBA4 US09261HBA41 2KXW9G0 100.95 United States -- USD 1.34 6.34 1 Sep 29, 2025 7.05 1.34 -- 6.34 1.34 6.34 Mar 29, 2023 May 18, 2023 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 4833.35 0.004145302993310903 4833.35 48 48 023135BN5 US023135BN51 BDG76K7 99.94 United States -- USD 1.36 5.23 1 Dec 03, 2025 5.2 1.49 -- 5.23 1.49 5.23 Dec 03, 2017 Dec 20, 2017 EQNR EQUINOR ASA Owned No Guarantee Fixed Income 4833.35 0.004145302993310903 4833.35 51 51 29446MAE2 US29446MAE21 BM8MM16 93.91 Norway -- USD 2.75 5.26 1 Apr 06, 2027 3 2.76 -- 5.26 2.76 5.26 Apr 06, 2020 Apr 06, 2020 ICBCAS INDUSTRIAL AND COMMERCIAL BANK OF Owned No Guarantee Fixed Income 4829.85 0.004142301232528715 4829.85 51 51 45580KAK4 US45580KAK43 BD9MY72 94.09 China -- USD 3.22 5.4 1 Nov 08, 2027 3.54 3.2 -- 5.4 3.2 5.4 Nov 08, 2017 Nov 08, 2017 SYDAU SYDNEY AIRPORT FINANCE COMPANY PTY 144A Transportation Fixed Income 4829.85 0.004142301232528715 4829.85 50 50 87124VAF6 US87124VAF67 BYMYHY0 95.88 Australia -- USD 1.85 5.83 1 Apr 28, 2026 3.63 1.86 -- 5.83 1.86 5.83 Apr 28, 2016 Apr 28, 2016 BKNG BOOKING HOLDINGS INC Consumer Cyclical Fixed Income 4822.84 0.0041362891345049614 4822.84 50 50 741503AZ9 US741503AZ91 BD0QRQ3 96.53 United States -- USD 1.93 5.37 1 Jun 01, 2026 3.6 1.96 -- 5.37 1.96 5.37 May 23, 2016 May 23, 2016 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 4822.84 0.0041362891345049614 4822.84 51 51 771196BK7 US771196BK70 BYP2L83 94.89 Switzerland -- USD 1.93 5.28 1 May 15, 2026 2.63 1.94 -- 5.28 1.94 5.28 Mar 01, 2016 Mar 01, 2016 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 4821.09 0.0041347882541138675 4821.09 48 48 031162DN7 US031162DN74 -- 99.79 United States -- USD 0.73 5.62 1 Mar 02, 2026 5.51 1.73 -- 5.62 1.73 5.62 Mar 02, 2023 Mar 02, 2023 JBSSBZ JBS USA LUX SA Consumer Non-Cyclical Fixed Income 4821.09 0.0041347882541138675 4821.09 53 53 46590XAS5 US46590XAS53 BLPNGZ7 91.24 Brazil -- USD 2.56 6.04 1 Jan 15, 2027 2.5 2.55 -- 6.04 2.55 6.04 Jul 15, 2023 Aug 21, 2023 LLOYDS LLOYDS BANKING GROUP PLC Banking Fixed Income 4815.83 0.004130277036481208 4815.83 52 52 53944YAP8 US53944YAP88 -- 91.78 United Kingdom -- USD 1.94 5.99 1 May 11, 2027 1.63 1.94 -- 5.96 1.94 5.96 Mar 11, 2021 Mar 11, 2021 BLTN BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 4814.13 0.0041288190383870025 4814.13 37 37 -- BRSTNCLTN897 BQC4T26 130.62 Brazil -- USD 3.5 11.27 5.17025 Jan 01, 2028 0 3.3 -- 11.27 3.3 11.27 Jan 05, 2024 Jan 05, 2024 ET ENABLE MIDSTREAM PARTNERS LP Energy Fixed Income 4807.07 0.00412276405806636 4807.07 49 49 292480AL4 US292480AL49 BFZYK67 97.36 United States -- USD 3.48 5.69 1 May 15, 2028 4.95 3.54 -- 5.69 3.54 5.69 May 10, 2018 May 10, 2018 WSTPNZ WESTPAC NEW ZEALAND LTD MTN 144A Banking Fixed Income 4805.32 0.004121263177675266 4805.32 49 49 96122FAC1 US96122FAC14 -- 98.39 New Zealand -- USD 4.21 5.58 1 Feb 28, 2029 5.2 4.19 -- 5.58 4.19 5.58 Feb 28, 2024 Feb 28, 2024 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 4801.82 0.004118261416893078 4801.82 50 50 345397A45 US345397A456 BKM3QM0 95.22 United States -- USD 2.47 6.21 1 Jan 09, 2027 4.27 2.47 -- 6.21 2.47 6.21 Jan 09, 2020 Jan 09, 2020 RABOBK COOPERATIEVE RABOBANK UA MTN 144A Banking Fixed Income 4801.82 0.004118261416893078 4801.82 51 51 74977RDH4 US74977RDH49 -- 94.95 Netherlands -- USD 1.12 6.03 1 Jun 24, 2026 1.34 1.12 -- 5.89 1.12 5.89 Jun 24, 2020 Jun 24, 2020 ANZ AUSTRALIA AND NEW ZEALAND BANKING Banking Fixed Income 4798.32 0.00411525965611089 4798.32 48 48 05254JAA8 US05254JAA88 BPCPZC4 99.53 Australia -- USD 1.51 5.39 1 Dec 08, 2025 5.09 1.51 -- 5.39 1.51 5.39 Dec 08, 2022 Dec 08, 2022 BA BOEING CO Capital Goods Fixed Income 4798.32 0.00411525965611089 4798.32 53 53 097023CM5 US097023CM50 BKDKHZ0 90.94 United States -- USD 2.6 6.32 1 Feb 01, 2027 2.7 2.58 -- 6.32 2.58 6.32 Jul 31, 2019 Jul 31, 2019 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 4796.56 0.004113750199260418 4796.56 52 52 91324PDE9 US91324PDE97 BF2JLL7 92.84 United States -- USD 3.24 5.23 1 Oct 15, 2027 2.95 3.23 -- 5.23 3.23 5.23 Oct 25, 2017 Oct 25, 2017 BCRED BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 4793.06 0.00411074843847823 4793.06 52 52 09261HAK3 US09261HAK32 BPLHNF0 91.78 United States -- USD 2.69 6.41 1 Mar 15, 2027 3.25 2.68 -- 6.41 2.68 6.41 Mar 15, 2022 Aug 08, 2022 VTRS MYLAN INC Consumer Non-Cyclical Fixed Income 4789.56 0.004107746677696042 4789.56 50 50 628530BK2 US628530BK28 BHQSS68 94.95 United States -- USD 3.53 6 1 Apr 15, 2028 4.55 3.56 -- 6 3.56 6 Oct 15, 2018 Jan 09, 2019 HON HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 4787.8 0.0041062372208455706 4787.8 53 53 438516CE4 US438516CE43 BM9STJ0 89.58 United States -- USD 2.74 5.07 1 Mar 01, 2027 1.1 2.74 -- 5.07 2.74 5.07 Aug 16, 2021 Aug 16, 2021 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 4787.8 0.0041062372208455706 4787.8 52 52 86562MCD0 US86562MCD02 -- 92.53 Japan -- USD 1.66 5.57 1 Jan 12, 2026 0.95 1.65 -- 5.57 1.65 5.57 Jan 12, 2021 Jan 12, 2021 KRW KRW CASH Cash and/or Derivatives Cash 4784.55 0.004103449871547825 4784.55 68351 68351 -- -- -- 0.07 Korea (South) -- USD 0 3.52 1375 -- 0 0 -- 3.52 0 3.52 -- Jan 01, 1989 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 4784.3 0.0041032354600633834 4784.3 49 49 641062AE4 US641062AE42 BG0QJN5 97.4 United States -- USD 1.34 5.43 1 Sep 24, 2025 3.5 1.35 -- 5.43 1.35 5.43 Sep 24, 2018 Sep 24, 2018 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 4782.55 0.0041017345796722894 4782.55 51 51 91324PDP4 US91324PDP45 BHHK971 94.48 United States -- USD 4.12 5.23 1 Dec 15, 2028 3.88 4.11 -- 5.23 4.11 5.23 Dec 17, 2018 Dec 17, 2018 AL AIR LEASE CORPORATION MTN Finance Companies Fixed Income 4779.05 0.0040987328188901015 4779.05 49 49 00914AAH5 US00914AAH59 -- 97.18 United States -- USD 1.13 5.87 1 Jul 01, 2025 3.38 1.13 -- 5.87 1.13 5.87 Jun 24, 2020 Jun 24, 2020 AEP AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 4777.29 0.00409722336203963 4777.29 49 49 025537AY7 US025537AY74 -- 98.14 United States -- USD 4.05 5.65 1 Jan 15, 2029 5.2 4.05 -- 5.65 4.05 5.65 Dec 08, 2023 Dec 08, 2023 CKHH CK HUTCHISON INTERNATIONAL (23) LT 144A Industrial Other Fixed Income 4773.79 0.004094221601257442 4773.79 49 49 12570FAA9 US12570FAA93 -- 97.51 Hong Kong -- USD 3.56 5.45 1 Apr 21, 2028 4.75 3.58 -- 5.45 3.58 5.45 Apr 21, 2023 Apr 21, 2023 EPD ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 4770.29 0.004091219840475254 4770.29 49 49 29379VBH5 US29379VBH50 BWWC4W7 97.22 United States -- USD 1.68 5.33 1 Feb 15, 2026 3.7 1.71 -- 5.33 1.71 5.33 May 07, 2015 May 07, 2015 LKQ LKQ CORP Consumer Cyclical Fixed Income 4770.29 0.004091219840475254 4770.29 48 48 501889AD1 US501889AD16 -- 99.8 United States -- USD 3.55 5.8 1 Jun 15, 2028 5.75 3.56 -- 5.8 3.56 5.8 May 24, 2023 Oct 20, 2023 BHP BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 4768.53 0.004089710383624782 4768.53 48 48 055451BB3 US055451BB38 BRJRL85 99.78 Australia -- USD 2.19 5.35 1 Sep 08, 2026 5.25 2.19 -- 5.35 2.19 5.35 Sep 08, 2023 Sep 08, 2023 BACR BARCLAYS PLC Banking Fixed Income 4766.78 0.004088209503233688 4766.78 48 48 06738ECR4 US06738ECR45 -- 98.62 United Kingdom -- USD 4.13 6.16 1 Mar 12, 2030 5.69 4.17 -- 6.02 4.17 6.02 Mar 12, 2024 Mar 12, 2024 EDPPL EDP FINANCE BV 144A Electric Fixed Income 4766.78 0.004088209503233688 4766.78 55 55 26835PAH3 US26835PAH38 -- 86.8 Portugal -- USD 3.54 5.67 1 Jan 24, 2028 1.71 3.52 -- 5.67 3.52 5.67 Sep 24, 2020 Sep 24, 2020 BACR BARCLAYS PLC Banking Fixed Income 4763.28 0.0040852077424515 4763.28 48 48 06738ECP8 US06738ECP88 -- 99.17 United Kingdom -- USD 2.6 6.2 1 Mar 12, 2028 5.67 2.6 -- 5.99 2.6 5.99 Mar 12, 2024 Mar 12, 2024 EFX EQUIFAX INC Technology Fixed Income 4759.77 0.004082197405209934 4759.77 48 48 294429AV7 US294429AV70 -- 98.47 United States -- USD 3.2 5.57 1 Dec 15, 2027 5.1 3.21 -- 5.57 3.21 5.57 Sep 12, 2022 Sep 12, 2022 OVV OVINTIV INC Energy Fixed Income 4759.77 0.004082197405209934 4759.77 48 48 69047QAB8 US69047QAB86 BNRR145 99.68 Canada -- USD 3.48 5.74 1 May 15, 2028 5.65 3.49 -- 5.74 3.49 5.74 May 31, 2023 May 31, 2023 WSTP WESTPAC BANKING CORP Banking Fixed Income 4756.27 0.004079195644427746 4756.27 50 50 961214DK6 US961214DK65 BDZWX46 95.03 Australia -- USD 2.68 5.24 1 Mar 08, 2027 3.35 2.67 -- 5.24 2.67 5.24 Mar 06, 2017 Mar 06, 2017 JBL JABIL INC Technology Fixed Income 4745.76 0.0040701817856218046 4745.76 49 49 466313AM5 US466313AM58 -- 95.89 United States -- USD 2.76 5.74 1 May 15, 2027 4.25 2.76 -- 5.74 2.76 5.74 May 04, 2022 May 04, 2022 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 4742.26 0.004067180024839617 4742.26 48 48 58769JAR8 US58769JAR86 -- 97.82 Germany -- USD 4.11 5.38 1 Jan 11, 2029 4.85 4.09 -- 5.38 4.09 5.38 Jan 11, 2024 Jan 11, 2024 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 4740.5 0.004065670567989145 4740.5 48 48 14913R3B1 US14913R3B15 -- 99.32 United States -- USD 1.59 5.22 1 Jan 06, 2026 4.8 1.59 -- 5.22 1.59 5.22 Jan 06, 2023 Jan 06, 2023 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 4740.5 0.004065670567989145 4740.5 51 51 742718FV6 US742718FV65 -- 92.32 United States -- USD 2.63 4.9 1 Feb 01, 2027 1.9 2.63 -- 4.9 2.63 4.9 Feb 01, 2022 Feb 01, 2022 SRE SEMPRA Natural Gas Fixed Income 4740.5 0.004065670567989145 4740.5 51 51 816851BG3 US816851BG34 BFWJFQ0 92.69 United States -- USD 3.41 5.58 1 Feb 01, 2028 3.4 3.43 -- 5.58 3.43 5.58 Jan 12, 2018 Jan 12, 2018 ANZ AUSTRALIA & NEW ZEALAND BANKING GR 144A Banking Fixed Income 4738.75 0.004064169687598051 4738.75 49 49 052528AK2 US052528AK26 BDDQWZ4 97.03 Australia -- USD 1.91 5.95 1 May 19, 2026 4.4 1.9 -- 5.95 1.9 5.95 May 19, 2016 May 19, 2016 TAISEM TSMC GLOBAL LTD 144A Technology Fixed Income 4738.75 0.004064169687598051 4738.75 54 54 872882AJ4 US872882AJ46 BNM6BM5 87.54 Taiwan -- USD 3.77 5.25 1 Apr 23, 2028 1.75 3.77 -- 5.25 3.77 5.25 Apr 23, 2021 Apr 23, 2021 MCHP MICROCHIP TECHNOLOGY INCORPORATED Technology Fixed Income 4737 0.004062668807206957 4737 48 48 595017BE3 US595017BE37 -- 98.17 United States -- USD 4.23 5.48 1 Mar 15, 2029 5.05 4.24 -- 5.48 4.24 5.48 Mar 07, 2024 Mar 07, 2024 OXY OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 4735.25 0.004061167926815863 4735.25 48 48 674599DC6 US674599DC69 BK8VN94 99.41 United States -- USD 1.65 5.88 1 Mar 15, 2026 5.55 1.76 -- 5.88 1.76 5.88 Sep 15, 2019 Sep 18, 2019 NI NISOURCE INC Natural Gas Fixed Income 4733.5 0.004059667046424769 4733.5 50 50 65473QBE2 US65473QBE26 BD20RF2 94.23 United States -- USD 2.78 5.57 1 May 15, 2027 3.49 2.8 -- 5.57 2.8 5.57 May 22, 2017 May 22, 2017 BXP BOSTON PROPERTIES LP Reits Fixed Income 4729.99 0.004056656709183204 4729.99 51 51 10112RAY0 US10112RAY09 BYXYJW1 92.57 United States -- USD 2.3 6.08 1 Oct 01, 2026 2.75 2.29 -- 6.08 2.29 6.08 Aug 17, 2016 Aug 17, 2016 ARCC ARES CAPITAL CORPORATION Finance Companies Fixed Income 4728.24 0.00405515582879211 4728.24 48 48 04010LBF9 US04010LBF94 -- 97.77 United States -- USD 4.1 6.41 1 Mar 01, 2029 5.88 4.09 -- 6.41 4.09 6.41 Jan 23, 2024 Jan 23, 2024 F FORD MOTOR CREDIT COMPANY LLC MTN Consumer Cyclical Fixed Income 4728.24 0.00405515582879211 4728.24 49 49 345397XU2 US345397XU23 BD0SY80 97.18 United States -- USD 1.6 6.15 1 Jan 08, 2026 4.39 1.59 -- 6.15 1.59 6.15 Jan 08, 2016 Jan 08, 2016 TAISEM TSMC ARIZONA CORP Technology Fixed Income 4728.24 0.00405515582879211 4728.24 49 49 872898AF8 US872898AF83 -- 96.25 Taiwan -- USD 2.76 5.25 1 Apr 22, 2027 3.88 2.78 -- 5.25 2.78 5.25 Apr 22, 2022 Apr 22, 2022 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 4726.49 0.004053654948401016 4726.49 50 50 05565EAH8 US05565EAH80 BD073G8 95.26 Germany -- USD 1.86 5.38 1 Apr 11, 2026 2.8 1.87 -- 5.38 1.87 5.38 Apr 11, 2016 Apr 11, 2016 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 4726.49 0.004053654948401016 4726.49 48 48 21688AAE2 US21688AAE29 BXTSMC1 97.93 Netherlands -- USD 1.02 5.38 1 May 21, 2025 3.38 1.02 -- 5.38 1.02 5.38 May 21, 2015 May 21, 2015 CBAAU COMMONWEALTH BANK OF AUSTRALIA (NE MTN Banking Fixed Income 4724.74 0.004052154068009922 4724.74 47 47 20271RAR1 US20271RAR12 -- 100.06 Australia -- USD 1.76 5.28 1 Mar 13, 2026 5.32 1.76 -- 5.28 1.76 5.28 Mar 13, 2023 Mar 13, 2023 GLPI GLP CAPITAL LP / GLP FINANCING II Consumer Cyclical Fixed Income 4719.48 0.004047642850377262 4719.48 48 48 361841AH2 US361841AH26 BYP9PM6 98.75 United States -- USD 1.75 6.05 1 Apr 15, 2026 5.38 1.84 -- 6.05 1.84 6.05 Apr 28, 2016 Apr 28, 2016 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 4719.48 0.004047642850377262 4719.48 51 51 606822BH6 US606822BH67 BJLRB98 93.12 Japan -- USD 4.35 5.37 1 Mar 07, 2029 3.74 4.34 -- 5.37 4.34 5.37 Mar 07, 2019 Mar 07, 2019 LHX L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 4717.73 0.004046141969986168 4717.73 49 49 413875AW5 US413875AW58 BYWFTW5 95.72 United States -- USD 3.61 5.57 1 Jun 15, 2028 4.4 3.66 -- 5.57 3.66 5.57 Jun 04, 2018 Jun 04, 2018 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 4717.73 0.004046141969986168 4717.73 48 48 57629W6F2 US57629W6F26 -- 98.27 United States -- USD 1.85 5.44 1 Apr 10, 2026 4.5 1.84 -- 5.44 1.84 5.44 Apr 12, 2023 Apr 12, 2023 BMO BANK OF MONTREAL MTN Banking Fixed Income 4714.23 0.00404314020920398 4714.23 47 47 06368LWT9 US06368LWT96 -- 100.46 Canada -- USD 1.34 5.57 1 Sep 25, 2025 5.92 1.34 -- 5.57 1.34 5.57 Sep 25, 2023 Sep 25, 2023 JNJ JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 4714.23 0.00404314020920398 4714.23 50 50 478160CN2 US478160CN21 -- 94.12 United States -- USD 1.32 5.11 1 Sep 01, 2025 0.55 1.31 -- 5.11 1.31 5.11 Aug 25, 2020 Aug 25, 2020 DFS DISCOVER BANK Banking Fixed Income 4712.47 0.0040416307523535085 4712.47 50 50 25466AAP6 US25466AAP66 BG49XV6 94.68 United States -- USD 3.84 6.05 1 Sep 13, 2028 4.65 3.87 -- 6.05 3.87 6.05 Sep 13, 2018 Sep 13, 2018 NWG NATWEST GROUP PLC Banking Fixed Income 4712.47 0.0040416307523535085 4712.47 51 51 780097BP5 US780097BP50 BMGLSV7 92.37 United Kingdom -- USD 2.81 6.26 1 May 22, 2028 3.07 2.82 -- 5.82 2.83 5.82 May 22, 2020 May 22, 2020 DINO HF SINCLAIR CORP Energy Fixed Income 4707.22 0.0040371281111802266 4707.22 47 47 403949AB6 US403949AB64 -- 100.24 United States -- USD 1.66 5.74 1 Apr 01, 2026 5.88 1.8 -- 5.73 1.58 5.73 Oct 01, 2022 Oct 20, 2022 CMCSA COMCAST CORPORATION Communications Fixed Income 4705.47 0.0040356272307891326 4705.47 47 47 20030NEA5 US20030NEA54 -- 100.48 United States -- USD 3.1 5.2 1 Nov 15, 2027 5.35 3.13 -- 5.2 3.13 5.2 Nov 07, 2022 Nov 07, 2022 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 4701.96 0.004032616893547567 4701.96 48 48 928668BR2 US928668BR29 -- 97.9 Germany -- USD 1.06 5.92 1 Jun 06, 2025 3.95 1.05 -- 5.92 1.05 5.92 Jun 08, 2022 Jun 08, 2022 BPLN BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 4696.71 0.004028114252374285 4696.71 50 50 10373QAV2 US10373QAV23 BHNZLH4 94.38 United States -- USD 2.53 5.25 1 Jan 16, 2027 3.02 2.54 -- 5.25 2.54 5.25 Jul 16, 2018 Dec 14, 2018 EL ESTEE LAUDER COMPANIES INC. (THE) Consumer Non-Cyclical Fixed Income 4696.71 0.004028114252374285 4696.71 48 48 29736RAS9 US29736RAS94 -- 97.09 United States -- USD 3.57 5.18 1 May 15, 2028 4.38 3.59 -- 5.18 3.59 5.18 May 12, 2023 May 12, 2023 USB US BANCORP MTN Banking Fixed Income 4694.96 0.004026613371983191 4694.96 50 50 91159HHS2 US91159HHS22 BG452M8 94.57 United States -- USD 3.56 5.43 1 Apr 26, 2028 3.9 3.56 -- 5.43 3.56 5.43 Apr 26, 2018 Apr 26, 2018 EFX EQUIFAX INC Technology Fixed Income 4693.2 0.004025103915132719 4693.2 48 48 294429AW5 US294429AW53 -- 97.95 United States -- USD 3.56 5.67 1 Jun 01, 2028 5.1 3.57 -- 5.67 3.57 5.67 May 16, 2023 May 16, 2023 BNS BANK OF NOVA SCOTIA Banking Fixed Income 4687.95 0.004020601273959437 4687.95 51 51 0641593U8 US0641593U89 -- 92.21 Canada -- USD 1.79 5.53 1 Mar 02, 2026 1.05 1.79 -- 5.53 1.79 5.53 Mar 02, 2021 Mar 02, 2021 CNXC CONCENTRIX CORP Technology Fixed Income 4687.95 0.004020601273959437 4687.95 47 47 20602DAB7 US20602DAB73 -- 99.4 United States -- USD 3.62 6.76 1 Aug 02, 2028 6.6 3.61 -- 6.76 3.61 6.76 Aug 02, 2023 Aug 02, 2023 BBDBCN BOMBARDIER INC 144A Capital Goods Fixed Income 4685.07 0.0040181312536586656 4685.07 47 47 097751CB5 US097751CB51 -- 99.88 Canada -- USD 4.57 7.24 1 Jul 01, 2031 7.25 5.51 -- 7.24 4.25 7.24 Apr 04, 2024 Apr 04, 2024 IQV IQVIA INC Consumer Non-Cyclical Fixed Income 4684.45 0.004017599513177249 4684.45 47 47 46266TAC2 US46266TAC27 -- 99.73 United States -- USD 3.47 5.78 1 May 15, 2028 5.7 3.49 -- 5.78 3.49 5.78 Nov 15, 2023 Feb 23, 2024 XPO XPO INC 144A Transportation Fixed Income 4684.45 0.004017599513177249 4684.45 47 47 98379KAA0 US98379KAA07 -- 99.56 United States -- USD 2.91 6.37 1 Jun 01, 2028 6.25 3.48 -- 6.37 3.48 6.37 May 24, 2023 May 24, 2023 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 4680.94 0.004014589175935684 4680.94 48 48 37045XAZ9 US37045XAZ96 BYM7H05 98.19 United States -- USD 1.14 5.86 1 Jul 13, 2025 4.3 1.15 -- 5.86 1.15 5.86 Jul 13, 2015 Jul 13, 2015 ENELIM ENEL FINANCE INTERNATIONAL NV 144A Electric Fixed Income 4679.19 0.00401308829554459 4679.19 48 48 29278GAW8 US29278GAW87 -- 97.2 Italy -- USD 2.81 5.61 1 Jun 15, 2027 4.63 2.83 -- 5.61 2.83 5.61 Jun 15, 2022 Jun 15, 2022 BBVASM BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 4677.44 0.004011587415153496 4677.44 47 47 05946KAK7 US05946KAK79 -- 99.73 Mexico -- USD 1.3 6.61 1 Sep 14, 2026 5.86 1.29 -- 6.06 1.3 6.06 Sep 14, 2022 Sep 14, 2022 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 4677.44 0.004011587415153496 4677.44 46 46 13607LWV1 US13607LWV16 -- 101.64 Canada -- USD 3.83 5.56 1 Oct 03, 2028 5.99 3.85 -- 5.56 3.78 5.56 Oct 03, 2023 Oct 03, 2023 BHR BRAEMAR HOTEL & RESORTS INC Financial Institutions Equity 4677.11 0.004011304391994032 4677.11 346 346 10482B200 US10482B2007 BD8ZZ68 13.5 United States New York Stock Exchange Inc. USD 7.36 41.02 1 Dec 31, 2079 5.5 9.82 -- 41.02 9.82 41.02 Apr 29, 2016 Apr 29, 2016 GIS GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 4675.69 0.004010086534762402 4675.69 47 47 370334CF9 US370334CF96 BFY3D11 98.49 United States -- USD 0.93 5.61 1 Apr 17, 2025 4 0.94 -- 5.61 0.94 5.61 Apr 17, 2018 Apr 17, 2018 SHBASS SVENSKA HANDELSBANKEN AB MTN 144A Banking Fixed Income 4670.43 0.0040055753171297425 4670.43 51 51 86959LAH6 US86959LAH69 -- 91.04 Sweden -- USD 2.03 5.92 1 Jun 11, 2027 1.42 2.03 -- 5.92 2.03 5.92 Jun 11, 2021 Jun 11, 2021 AMP AMERIPRISE FINANCIAL INC Brokerage/Asset Managers/Exchanges Fixed Income 4668.68 0.0040040744367386485 4668.68 46 46 03076CAN6 US03076CAN65 -- 101.1 United States -- USD 3.92 5.42 1 Dec 15, 2028 5.7 3.94 -- 5.41 3.88 5.41 Nov 09, 2023 Nov 09, 2023 SLB SCHLUMBERGER INVESTMENT SA Energy Fixed Income 4663.42 0.003999563219105989 4663.42 48 48 806854AK1 US806854AK11 -- 97.82 United States -- USD 3.56 5.1 1 May 15, 2028 4.5 3.58 -- 5.1 3.58 5.1 May 15, 2023 May 15, 2023 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 4663.42 0.003999563219105989 4663.42 48 48 842400GN7 US842400GN73 BD5H1M5 97.58 United States -- USD 1.2 5.7 1 Aug 01, 2025 3.7 1.2 -- 5.7 1.2 5.7 Aug 02, 2018 Aug 02, 2018 BPLN BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 4659.92 0.003996561458323801 4659.92 48 48 10373QAB6 US10373QAB68 BF5HW59 97.89 United States -- USD 1.33 5.37 1 Sep 21, 2025 3.8 1.34 -- 5.37 1.34 5.37 Sep 21, 2018 Sep 21, 2018 KEY KEYCORP MTN Banking Fixed Income 4659.92 0.003996561458323801 4659.92 50 50 49326EEG4 US49326EEG44 BDFWYY3 92.67 United States -- USD 3.57 6.19 1 Apr 30, 2028 4.1 3.54 -- 6.19 3.54 6.19 Apr 30, 2018 Apr 30, 2018 NWIDE NATIONWIDE BUILDING SOCIETY (FXD-F MTN 144A Banking Fixed Income 4659.92 0.003996561458323801 4659.92 46 46 63861VAJ6 US63861VAJ61 -- 101.67 United Kingdom -- USD 2.24 6.22 1 Oct 18, 2027 6.56 2.26 -- 5.82 2.26 5.82 Oct 18, 2023 Oct 18, 2023 PXD PIONEER NATURAL RESOURCES COMPANY Energy Fixed Income 4659.92 0.003996561458323801 4659.92 47 47 723787AV9 US723787AV90 -- 99.23 United States -- USD 1.81 5.53 1 Mar 29, 2026 5.1 1.8 -- 5.53 1.8 5.53 Mar 29, 2023 Mar 29, 2023 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 4658.17 0.003995060577932707 4658.17 51 51 37045XDR4 US37045XDR44 -- 91.37 United States -- USD 2.68 5.69 1 Feb 26, 2027 2.35 2.67 -- 5.69 2.67 5.69 Jan 11, 2022 Jan 11, 2022 LEN LENNAR CORPORATION Consumer Cyclical Fixed Income 4658.17 0.003995060577932707 4658.17 47 47 526057CD4 US526057CD41 BFFY830 98.33 United States -- USD 3.03 5.27 1 Nov 29, 2027 4.75 3.2 -- 5.27 3.2 5.27 May 29, 2018 Jun 11, 2018 PLD PROLOGIS LP Reits Fixed Income 4656.42 0.003993559697541613 4656.42 47 47 74340XCG4 US74340XCG43 -- 98.21 United States -- USD 3.62 5.36 1 Jun 15, 2028 4.88 3.63 -- 5.36 3.63 5.36 Jun 28, 2023 Jun 28, 2023 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 4654.66 0.003992050240691141 4654.66 46 46 03027XCE8 US03027XCE85 -- 100.45 United States -- USD 3.81 5.69 1 Nov 15, 2028 5.8 3.82 -- 5.69 3.76 5.69 Sep 15, 2023 Sep 15, 2023 WBD WARNERMEDIA HOLDINGS INC Communications Fixed Income 4651.16 0.003989048479908953 4651.16 47 47 55903VBG7 US55903VBG77 -- 100 United States -- USD 0.38 6.41 1 Mar 15, 2026 6.41 1.74 -- 6.4 0.08 6.4 Mar 10, 2023 Mar 10, 2023 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 4649.41 0.003987547599517859 4649.41 54 54 44891ABX4 US44891ABX46 -- 86.33 United States -- USD 3.85 5.76 1 Jun 15, 2028 2 3.84 -- 5.76 3.84 5.76 Jun 15, 2021 Jun 15, 2021 SRE SEMPRA Natural Gas Fixed Income 4649.41 0.003987547599517859 4649.41 47 47 816851BQ1 US816851BQ16 -- 99.54 United States -- USD 2.06 5.61 1 Aug 01, 2026 5.4 2.08 -- 5.61 2.08 5.61 Jun 23, 2023 Jun 23, 2023 BXSL BLACKSTONE SECURED LENDING FUND Finance Companies Fixed Income 4645.9 0.003984537262276293 4645.9 49 49 09261LAC2 US09261LAC28 BMZ6HQ1 95.35 United States -- USD 1.63 6.52 1 Jan 15, 2026 3.63 1.62 -- 6.52 1.62 6.52 Oct 23, 2020 Jul 06, 2021 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 4645.9 0.003984537262276293 4645.9 48 48 345397ZW6 US345397ZW60 BKPHQ30 96.59 United States -- USD 2.08 6.17 1 Aug 01, 2026 4.54 2.09 -- 6.17 2.09 6.17 Aug 01, 2019 Aug 01, 2019 HD HOME DEPOT INC Consumer Cyclical Fixed Income 4640.65 0.003980034621103011 4640.65 50 50 437076BN1 US437076BN13 BD8CP47 93.18 United States -- USD 2.27 5.2 1 Sep 15, 2026 2.13 2.28 -- 5.2 2.28 5.2 Sep 15, 2016 Sep 15, 2016 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 4635.39 0.003975523403470352 4635.39 48 48 06406RBN6 US06406RBN61 -- 96.93 United States -- USD 3.37 5.66 1 Feb 01, 2029 4.54 3.37 -- 5.45 3.37 5.45 Jan 31, 2023 Jan 31, 2023 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 4635.39 0.003975523403470352 4635.39 48 48 65339KCT5 US65339KCT51 -- 97.3 United States -- USD 4.22 5.53 1 Mar 15, 2029 4.9 4.23 -- 5.53 4.23 5.53 Jan 31, 2024 Jan 31, 2024 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 4630.14 0.00397102076229707 4630.14 51 51 59217GER6 US59217GER65 -- 91.07 United States -- USD 2.58 5.46 1 Jan 11, 2027 1.88 2.57 -- 5.46 2.57 5.46 Jan 11, 2022 Jan 11, 2022 HCA HCA INC Consumer Non-Cyclical Fixed Income 4628.39 0.003969519881905976 4628.39 46 46 404119BW8 US404119BW86 BFMY0T3 100.21 United States -- USD 3.89 5.82 1 Feb 01, 2029 5.88 4.05 -- 5.82 3.68 5.82 Jan 30, 2019 Jan 30, 2019 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 4626.63 0.003968010425055505 4626.63 49 49 89788MAG7 US89788MAG78 -- 95.36 United States -- USD 2.98 5.86 1 Jun 06, 2028 4.12 2.82 -- 5.77 2.82 5.77 Jun 06, 2022 Jun 06, 2022 WPLAU WOODSIDE FINANCE LTD 144A Energy Fixed Income 4626.63 0.003968010425055505 4626.63 50 50 980236AP8 US980236AP83 BD5WHV1 92.6 Australia -- USD 3.51 5.86 1 Mar 15, 2028 3.7 3.53 -- 5.86 3.53 5.86 Sep 13, 2017 Sep 13, 2017 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 4623.13 0.003965008664273317 4623.13 47 47 641062BF0 US641062BF08 -- 99.3 Switzerland -- USD 3.44 5.2 1 Mar 14, 2028 5 3.47 -- 5.2 3.47 5.2 Mar 14, 2023 Mar 14, 2023 TGT TARGET CORPORATION Consumer Cyclical Fixed Income 4623.13 0.003965008664273317 4623.13 50 50 87612EBM7 US87612EBM75 -- 92.18 United States -- USD 2.58 5.06 1 Jan 15, 2027 1.95 2.58 -- 5.06 2.58 5.06 Jan 24, 2022 Jan 24, 2022 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 4621.38 0.003963507783882223 4621.38 47 47 05531FBE2 US05531FBE25 BG31VV9 97.77 United States -- USD 1.05 5.8 1 Jun 05, 2025 3.7 1.05 -- 5.8 1.05 5.8 Jun 05, 2018 Jun 05, 2018 ENELIM ENEL FINANCE INTERNATIONAL NV 144A Electric Fixed Income 4619.63 0.003962006903491129 4619.63 49 49 29278GAA6 US29278GAA67 BD3VQ80 94.47 Italy -- USD 2.82 5.6 1 May 25, 2027 3.63 2.82 -- 5.6 2.82 5.6 May 25, 2017 May 25, 2017 TJX TJX COMPANIES INC Consumer Cyclical Fixed Income 4619.63 0.003962006903491129 4619.63 49 49 872540AQ2 US872540AQ25 BD2ZZL9 93.71 United States -- USD 2.27 5.08 1 Sep 15, 2026 2.25 2.27 -- 5.08 2.27 5.08 Sep 12, 2016 Sep 12, 2016 PSA PUBLIC STORAGE OPERATING CO Reits Fixed Income 4617.88 0.003960506023100035 4617.88 47 47 74460WAF4 US74460WAF41 -- 99.24 United States -- USD 4.07 5.31 1 Jan 15, 2029 5.13 4.08 -- 5.31 4.08 5.31 Jul 26, 2023 Jul 26, 2023 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 4617.74 0.003960385952668747 4617.74 103 103 071734AH0 US071734AH05 BKPNQ94 45 United States -- USD 3.15 30.56 1 Jan 30, 2028 5 2.79 -- 30.56 2.79 30.56 Dec 30, 2019 Dec 30, 2019 NACF NONGHYUP BANK MTN 144A Government Sponsored Fixed Income 4616.12 0.003958996566249563 4616.12 49 49 65540JAE8 US65540JAE82 -- 94.75 Korea (South) -- USD 1.2 5.71 1 Jul 20, 2025 1.25 1.19 -- 5.71 1.19 5.71 Jul 20, 2020 Jul 20, 2020 CCDJ FEDERATION DES CAISSES DESJARDINS 144A Banking Fixed Income 4612.62 0.003955994805467375 4612.62 47 47 31429KAL7 US31429KAL70 -- 98.02 Canada -- USD 4.3 5.71 1 Apr 26, 2029 5.25 4.28 -- 5.71 4.28 5.71 Jan 26, 2024 Jan 26, 2024 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 4605.61 0.003949982707443621 4605.61 51 51 74256LEP0 US74256LEP04 -- 90.44 United States -- USD 2.22 5.73 1 Aug 16, 2026 1.25 2.21 -- 5.73 2.21 5.73 Aug 16, 2021 Aug 16, 2021 NGGLN KEYSPAN GAS EAST CORPORATION 144A Natural Gas Fixed Income 4602.11 0.003946980946661433 4602.11 50 50 49338CAB9 US49338CAB90 BDBBHD4 92.84 United States -- USD 2.18 6.12 1 Aug 15, 2026 2.74 2.17 -- 6.12 2.17 6.12 Aug 05, 2016 Aug 05, 2016 TMUS T-MOBILE USA INC Communications Fixed Income 4600.36 0.003945480066270339 4600.36 51 51 87264ABV6 US87264ABV61 BKP78R8 90.68 United States -- USD 4.15 5.55 1 Apr 15, 2029 3.38 4.47 -- 5.55 4.47 5.55 Mar 23, 2021 Mar 23, 2021 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 4596.85 0.003942469729028774 4596.85 48 48 606822CE2 US606822CE28 -- 95.85 Japan -- USD 2.72 5.82 1 Apr 19, 2028 4.08 2.75 -- 5.61 2.76 5.61 Apr 19, 2022 Apr 19, 2022 CP CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 4589.85 0.003936466207464398 4589.85 50 50 13645RBE3 US13645RBE36 -- 91.19 Canada -- USD 2.47 5.43 1 Dec 02, 2026 1.75 2.47 -- 5.43 2.47 5.43 Dec 02, 2021 Dec 02, 2021 NDAFH NORDEA BANK ABP MTN 144A Banking Fixed Income 4589.85 0.003936466207464398 4589.85 46 46 65558RAD1 US65558RAD17 -- 99.29 Finland -- USD 3.07 5.6 1 Sep 22, 2027 5.38 3.06 -- 5.6 3.06 5.6 Sep 22, 2022 Sep 22, 2022 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 4589.85 0.003936466207464398 4589.85 47 47 66815L2K4 US66815L2K46 -- 96.66 United States -- USD 3.1 5.44 1 Sep 15, 2027 4.35 3.08 -- 5.44 3.08 5.44 Sep 15, 2022 Sep 15, 2022 EQIX EQUINIX INC Technology Fixed Income 4588.09 0.003934956750613926 4588.09 53 53 29444UBR6 US29444UBR68 -- 86.66 United States -- USD 3.77 5.73 1 May 15, 2028 2 3.76 -- 5.73 3.76 5.73 May 17, 2021 May 17, 2021 TSN TYSON FOODS INC Consumer Non-Cyclical Fixed Income 4586.34 0.003933455870222832 4586.34 47 47 902494BJ1 US902494BJ16 BDFZ8H3 97.05 United States -- USD 1.72 5.7 1 Mar 01, 2026 4 1.74 -- 5.7 1.74 5.7 Feb 19, 2019 Feb 19, 2019 EBAY EBAY INC Consumer Cyclical Fixed Income 4582.84 0.003930454109440644 4582.84 48 48 278642AU7 US278642AU75 BD82MS0 94.79 United States -- USD 2.82 5.44 1 Jun 05, 2027 3.6 2.85 -- 5.44 2.85 5.44 Jun 06, 2017 Jun 06, 2017 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 4579.33 0.003927443772199078 4579.33 49 49 24422EVK2 US24422EVK27 -- 92.65 United States -- USD 1.67 5.22 1 Jan 15, 2026 0.7 1.67 -- 5.22 1.67 5.22 Jan 07, 2021 Jan 07, 2021 NTRCN NUTRIEN LTD Basic Industry Fixed Income 4579.33 0.003927443772199078 4579.33 47 47 67077MBA5 US67077MBA53 -- 97.85 Canada -- USD 3.49 5.52 1 Mar 27, 2028 4.9 3.5 -- 5.52 3.5 5.52 Mar 27, 2023 Mar 27, 2023 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 4570.58 0.003919939370243609 4570.58 50 50 37045XDA1 US37045XDA19 -- 91.05 United States -- USD 3.09 5.7 1 Aug 20, 2027 2.7 3.09 -- 5.7 3.09 5.7 Aug 20, 2020 Aug 20, 2020 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 4567.07 0.003916929033002043 4567.07 47 47 025816CA5 US025816CA56 BGS1HC7 98.08 United States -- USD 1.42 5.52 1 Nov 06, 2025 4.2 1.43 -- 5.52 1.43 5.52 Nov 06, 2018 Nov 06, 2018 USB US BANCORP MTN Banking Fixed Income 4567.07 0.003916929033002043 4567.07 48 48 91159HHM5 US91159HHM51 BD9XW37 95.42 United States -- USD 1.87 5.54 1 Apr 27, 2026 3.1 1.88 -- 5.54 1.88 5.54 Apr 26, 2016 Apr 26, 2016 EOG EOG RESOURCES INC Energy Fixed Income 4561.82 0.003912426391828761 4561.82 47 47 26875PAP6 US26875PAP62 BYV01X6 98.06 United States -- USD 1.56 5.34 1 Jan 15, 2026 4.15 1.62 -- 5.34 1.62 5.34 Jan 14, 2016 Jan 14, 2016 NSANY NISSAN MOTOR ACCEPTANCE COMPANY LL 144A Consumer Cyclical Fixed Income 4561.82 0.003912426391828761 4561.82 49 49 654740BS7 US654740BS71 -- 92.32 United States -- USD 1.79 6.42 1 Mar 09, 2026 2 1.78 -- 6.42 1.78 6.42 Mar 09, 2021 Mar 09, 2021 BHP BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 4558.31 0.003909416054587196 4558.31 46 46 055451AY4 US055451AY40 -- 99.01 Australia -- USD 1.73 5.45 1 Feb 27, 2026 4.88 1.72 -- 5.45 1.72 5.45 Feb 28, 2023 Feb 28, 2023 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 4553.06 0.0039049134134139137 4553.06 46 46 80282KAE6 US80282KAE64 BYNP1N9 98.1 United States -- USD 1.14 6.12 1 Jul 17, 2025 4.5 1.16 -- 6.12 1.16 6.12 Jul 17, 2015 Jul 17, 2015 SGD SGD CASH Cash and/or Derivatives Cash 4552.37 0.003904321637716854 4552.37 62 62 -- -- -- 73.46 Singapore -- USD 0 3.94 1.3612 -- 0 0 -- 3.94 0 3.94 -- Jan 01, 1990 BMO BANK OF MONTREAL MTN Banking Fixed Income 4551.3 0.003903403956563442 4551.3 49 49 06368EDC3 US06368EDC30 -- 92.51 Canada -- USD 1.71 5.67 1 Jan 22, 2027 0.95 1.68 -- 5.52 1.68 5.52 Jan 22, 2021 Jan 22, 2021 HRL HORMEL FOODS CORPORATION Consumer Non-Cyclical Fixed Income 4551.3 0.003903403956563442 4551.3 52 52 440452AH3 US440452AH36 -- 87.3 United States -- USD 3.85 5.17 1 Jun 03, 2028 1.7 3.84 -- 5.17 3.84 5.17 Jun 03, 2021 Jun 03, 2021 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 4551.3 0.003903403956563442 4551.3 50 50 89114TZN5 US89114TZN52 -- 91.69 Canada -- USD 2.58 5.27 1 Jan 12, 2027 1.95 2.57 -- 5.27 2.57 5.27 Jan 12, 2022 Jan 12, 2022 HYNMTR HYUNDAI CAPITAL AMERICA 144A Consumer Cyclical Fixed Income 4549.55 0.003901903076172348 4549.55 50 50 44891ABZ9 US44891ABZ93 -- 90.83 United States -- USD 2.3 5.81 1 Sep 17, 2026 1.65 2.29 -- 5.81 2.29 5.81 Sep 17, 2021 Sep 17, 2021 CARR CARRIER GLOBAL CORP Capital Goods Fixed Income 4546.05 0.00389890131539016 4546.05 49 49 14448CAP9 US14448CAP95 BMYT051 92.15 United States -- USD 2.65 5.55 1 Feb 15, 2027 2.49 2.64 -- 5.55 2.64 5.55 Aug 15, 2020 Dec 08, 2020 RKTLN MEAD JOHNSON NUTRITION CO Consumer Non-Cyclical Fixed Income 4540.79 0.0038943900977575 4540.79 47 47 582839AH9 US582839AH96 BYV2S42 97.62 United States -- USD 1.44 5.74 1 Nov 15, 2025 4.13 1.45 -- 5.74 1.45 5.74 Nov 03, 2015 Nov 03, 2015 SINOPE SINOPEC GROUP OVERSEAS DEVELOPMENT 144A Owned No Guarantee Fixed Income 4540.79 0.0038943900977575 4540.79 48 48 82939CAH0 US82939CAH07 BD878D2 93.93 China -- USD 2.3 5.45 1 Sep 29, 2026 2.75 2.3 -- 5.45 2.3 5.45 Sep 29, 2016 Sep 29, 2016 TMO THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 4537.29 0.003891388336975312 4537.29 46 46 883556CV2 US883556CV24 -- 99.32 United States -- USD 2.09 5.27 1 Aug 10, 2026 4.95 2.12 -- 5.27 2.12 5.27 Aug 10, 2023 Aug 10, 2023 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 4533.79 0.0038883865761931246 4533.79 46 46 89236TLL7 US89236TLL79 -- 97.56 United States -- USD 4.11 5.24 1 Jan 05, 2029 4.65 4.1 -- 5.24 4.1 5.24 Jan 05, 2024 Jan 05, 2024 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 4532.03 0.003886877119342653 4532.03 46 46 125523BZ2 US125523BZ27 -- 98.28 United States -- USD 1.66 5.49 1 Feb 25, 2026 4.5 1.72 -- 5.49 1.72 5.49 Feb 25, 2020 Jul 13, 2020 FRAX UNIFRAX ESCROW ISSUER CORP 144A Basic Industry Fixed Income 4531.84 0.003886714166614477 4531.84 89 89 90473LAC6 US90473LAC63 -- 51 United States -- USD 4 24.16 1 Sep 30, 2029 7.5 3.65 -- 24.16 3.65 24.16 Sep 30, 2021 Sep 30, 2021 DFS DISCOVER FINANCIAL SERVICES Banking Fixed Income 4528.53 0.003883875358560465 4528.53 47 47 254709AM0 US254709AM01 BYNHPL1 95.36 United States -- USD 2.54 5.93 1 Feb 09, 2027 4.1 2.56 -- 5.93 2.56 5.93 Feb 09, 2017 Feb 09, 2017 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 4528.53 0.003883875358560465 4528.53 50 50 78016EZZ3 US78016EZZ32 -- 90.82 Canada -- USD 2.41 5.34 1 Nov 02, 2026 1.4 2.4 -- 5.34 2.4 5.34 Oct 07, 2021 Oct 07, 2021 MAT MATTEL INC 144A Consumer Non-Cyclical Fixed Income 4526.78 0.003882374478169371 4526.78 46 46 577081BD3 US577081BD37 -- 99.31 United States -- USD 1.37 6.09 1 Dec 15, 2027 5.88 3.16 -- 6.09 3.16 6.09 Nov 20, 2019 Nov 20, 2019 STLA STELLANTIS FINANCE US INC 144A Consumer Cyclical Fixed Income 4523.28 0.003879372717387183 4523.28 50 50 85855CAA8 US85855CAA80 -- 90.17 Netherlands -- USD 2.63 5.6 1 Jan 29, 2027 1.71 2.62 -- 5.6 2.62 5.6 Sep 15, 2021 Sep 15, 2021 BPCEGP BPCE SA MTN 144A Banking Fixed Income 4519.77 0.003876362380145617 4519.77 50 50 05583JAK8 US05583JAK88 -- 90.91 France -- USD 2.38 6.15 1 Oct 19, 2027 2.04 2.36 -- 6.04 2.36 6.04 Oct 19, 2021 Oct 19, 2021 SINOPE SINOPEC GROUP OVERSEAS DEVELOPMENT 144A Owned No Guarantee Fixed Income 4516.27 0.003873360619363429 4516.27 47 47 82938NAC8 US82938NAC83 BYWW692 95.58 China -- USD 2.76 5.26 1 Apr 12, 2027 3.63 2.76 -- 5.26 2.76 5.26 Apr 12, 2017 Apr 12, 2017 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 4513.27 0.0038707876815501255 4513.27 109 109 071734AL1 US071734AL17 -- 41.49 Canada -- USD 4.89 22.38 1 Feb 15, 2031 5.25 4.49 -- 22.38 4.49 22.38 Dec 03, 2020 Dec 03, 2020 BHCCN BAUSCH HEALTH COMPANIES INC 144A Consumer Non-Cyclical Fixed Income 4513.27 0.0038707876815501255 4513.27 107 107 071734AM9 US071734AM99 -- 42.1 Canada -- USD 3.83 27.34 1 Feb 15, 2029 5 3.44 -- 27.34 3.44 27.34 Dec 03, 2020 Dec 03, 2020 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 4505.76 0.003864346760557488 4505.76 47 47 025816CF4 US025816CF44 BK5JH55 95.37 United States -- USD 1.93 5.52 1 May 20, 2026 3.13 1.94 -- 5.52 1.94 5.52 May 20, 2019 May 20, 2019 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 4505.76 0.003864346760557488 4505.76 46 46 694308JL2 US694308JL21 -- 97.18 United States -- USD 1.13 5.94 1 Jul 01, 2025 3.45 1.12 -- 5.94 1.12 5.94 Jul 02, 2020 Jul 01, 2020 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 4504 0.003862837303707016 4504 46 46 14913UAJ9 US14913UAJ97 -- 98.54 United States -- USD 4.24 5.19 1 Feb 27, 2029 4.85 4.22 -- 5.19 4.22 5.19 Feb 27, 2024 Feb 27, 2024 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 4502.25 0.003861336423315922 4502.25 46 46 459200KW0 US459200KW06 -- 98.76 United States -- USD 1.68 5.24 1 Feb 06, 2026 4.5 1.67 -- 5.24 1.67 5.24 Feb 06, 2023 Feb 06, 2023 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 4500.5 0.003859835542924828 4500.5 45 45 02665WEJ6 US02665WEJ62 -- 99.49 United States -- USD 1.01 5.49 1 May 23, 2025 5 1.01 -- 5.49 1.01 5.49 May 25, 2023 May 25, 2023 VLTO VERALTO CORP 144A Capital Goods Fixed Income 4500.5 0.003859835542924828 4500.5 45 45 92338CAC7 US92338CAC73 -- 99.16 United States -- USD 3.84 5.57 1 Sep 18, 2028 5.35 3.85 -- 5.57 3.85 5.57 Sep 18, 2023 Sep 18, 2023 DTE DTE ENERGY COMPANY Electric Fixed Income 4497 0.00385683378214264 4497 47 47 233331BG1 US233331BG16 -- 95.02 United States -- USD 1.07 5.79 1 Jun 01, 2025 1.05 1.06 -- 5.79 1.06 5.79 Aug 06, 2020 Aug 06, 2020 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 4488.24 0.0038493208037277925 4488.24 46 46 59217GFR5 US59217GFR56 -- 97.43 United States -- USD 4.1 5.48 1 Jan 08, 2029 4.85 4.08 -- 5.48 4.08 5.48 Jan 08, 2024 Jan 08, 2024 SINOPE SINOPEC GROUP OVERSEAS DEVELOPMENT 144A Owned No Guarantee Fixed Income 4488.24 0.0038493208037277925 4488.24 46 46 82938BAC4 US82938BAC46 BX3JDM7 97.71 China -- USD 0.96 5.61 1 Apr 28, 2025 3.25 0.96 -- 5.61 0.96 5.61 Apr 28, 2015 Apr 28, 2015 SKGID SMURFIT KAPPA TREASURY Basic Industry Fixed Income 4486.49 0.0038478199233366985 4486.49 44 44 832724AB4 US832724AB40 2859255 101.78 Ireland -- USD 1.43 6.28 1 Nov 20, 2025 7.5 1.42 -- 6.28 1.42 6.28 Nov 20, 1995 Nov 20, 1995 WBD DISCOVERY COMMUNICATIONS LLC Communications Fixed Income 4484.73 0.003846310466486227 4484.73 46 46 25470DAL3 US25470DAL38 BDB5DP0 98.36 United States -- USD 1.68 5.83 1 Mar 11, 2026 4.9 1.76 -- 5.83 1.76 5.83 Mar 11, 2016 Mar 11, 2016 TRGP TARGA RESOURCES PARTNERS LP Energy Fixed Income 4477.73 0.003840306944921851 4477.73 44 44 87612BBL5 US87612BBL53 BKVFC29 100.74 United States -- USD 1.45 6.24 1 Jul 15, 2027 6.5 2.82 -- 5.85 1.14 5.85 Jan 17, 2019 Jan 17, 2019 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 4475.98 0.003838806064530757 4475.98 48 48 742718ER6 US742718ER62 BDH7178 94.15 United States -- USD 2.37 4.95 1 Nov 03, 2026 2.45 2.37 -- 4.95 2.37 4.95 Nov 03, 2016 Nov 03, 2016 MET METLIFE INC Insurance Fixed Income 4470.72 0.0038342948468980975 4470.72 46 46 59156RBQ0 US59156RBQ02 BYQ29N3 97.24 United States -- USD 1.44 5.48 1 Nov 13, 2025 3.6 1.46 -- 5.48 1.46 5.48 Nov 13, 2015 Nov 13, 2015 EQPTRC EQUATE PETROCHEMICAL BV MTN 144A Government Sponsored Fixed Income 4468.97 0.0038327939665070035 4468.97 47 47 29441WAC9 US29441WAC91 BYMS5S2 95.42 Kuwait -- USD 2.31 6.24 1 Nov 03, 2026 4.25 2.29 -- 6.24 2.29 6.24 Nov 03, 2016 Nov 03, 2016 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 4465.46 0.0038297836292654377 4465.46 44 44 02665WEV9 US02665WEV90 -- 101.3 United States -- USD 3.9 5.32 1 Nov 15, 2028 5.65 3.88 -- 5.32 3.88 5.32 Nov 15, 2023 Nov 15, 2023 BACARD BACARDI LTD 144A Consumer Non-Cyclical Fixed Income 4461.96 0.0038267818684832497 4461.96 45 45 067316AE9 US067316AE93 BYWFCV5 98.61 Bermuda -- USD 0.98 5.83 1 May 15, 2025 4.45 0.99 -- 5.83 0.99 5.83 Apr 30, 2018 Apr 30, 2018 MLPFT CASH COLLATERAL USD MLPFT Cash and/or Derivatives Cash Collateral and Margins 4460.56 0.0038255811641703746 4460.56 45 45 -- -- -- 100 United States -- USD 0 5.43 1 Dec 31, 2049 5.33 0 -- 5.43 0 5.43 Sep 30, 2015 Sep 30, 2015 BDN BRANDYWINE OPERATING PARTNERSHIP L Reits Fixed Income 4459.87 0.0038249893884733147 4459.87 44 44 105340AS2 US105340AS20 -- 102.01 United States -- USD 4 8.29 1 Apr 12, 2029 8.88 3.96 -- 8.28 3.9 8.28 Apr 12, 2024 Apr 12, 2024 STT STATE STREET CORP Banking Fixed Income 4458.46 0.0038237801077010618 4458.46 45 45 857477CB7 US857477CB77 -- 99.38 United States -- USD 0.99 6.1 1 May 18, 2026 5.1 0.99 -- 5.71 1 5.71 May 18, 2023 May 18, 2023 EMACN EMERA US FINANCE LP Electric Fixed Income 4456.7 0.0038222706508505904 4456.7 47 47 29103DAJ5 US29103DAJ54 BDRHY79 95.23 Canada -- USD 1.98 5.95 1 Jun 15, 2026 3.55 1.99 -- 5.95 1.99 5.95 Dec 15, 2016 Jan 17, 2017 SIGMA SIGMA ALIMENTOS SA DE CV 144A Consumer Non-Cyclical Fixed Income 4456.7 0.0038222706508505904 4456.7 46 46 82655AAC7 US82655AAC71 -- 96.75 Mexico -- USD 1.84 5.86 1 May 02, 2026 4.13 1.86 -- 5.86 1.86 5.86 May 02, 2016 May 02, 2016 UOBSP UNITED OVERSEAS BANK LTD MTN 144A Banking Fixed Income 4456.7 0.0038222706508505904 4456.7 47 47 91127KAH5 US91127KAH59 -- 94.13 Singapore -- USD 3.17 5.97 1 Oct 07, 2032 3.86 3.14 -- 5.76 3.16 5.76 Apr 07, 2022 Apr 07, 2022 CNXC CONCENTRIX CORP Technology Fixed Income 4454.95 0.0038207697704594965 4454.95 44 44 20602DAA9 US20602DAA90 -- 100.61 United States -- USD 2.03 6.35 1 Aug 02, 2026 6.65 2.05 -- 6.34 1.98 6.34 Aug 02, 2023 Aug 02, 2023 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 4454.95 0.0038207697704594965 4454.95 48 48 694308JK4 US694308JK48 -- 92.11 United States -- USD 3.76 5.9 1 Jul 01, 2028 3.75 3.74 -- 5.9 3.74 5.9 Jul 02, 2020 Jul 01, 2020 CTRA COTERRA ENERGY INC Energy Fixed Income 4453.2 0.0038192688900684025 4453.2 47 47 127097AG8 US127097AG80 -- 95.16 United States -- USD 2.75 5.65 1 May 15, 2027 3.9 2.78 -- 5.65 2.78 5.65 Nov 15, 2022 Dec 21, 2022 NSCCLF NATIONAL SECURITIES CLEARING CORP 144A Brokerage/Asset Managers/Exchanges Fixed Income 4449.7 0.0038162671292862145 4449.7 45 45 637639AK1 US637639AK12 -- 98.82 United States -- USD 3.56 5.32 1 May 30, 2028 5 3.58 -- 5.32 3.58 5.32 May 30, 2023 May 30, 2023 KVUE KENVUE INC Consumer Non-Cyclical Fixed Income 4446.19 0.0038132567920446487 4446.19 44 44 49177JAD4 US49177JAD46 -- 100.09 United States -- USD 1.78 5.19 1 Mar 22, 2026 5.35 1.82 -- 5.19 1.82 5.19 Sep 22, 2023 Oct 17, 2023 UPS UNITED PARCEL SERVICE INC Transportation Fixed Income 4446.19 0.0038132567920446487 4446.19 48 48 911312BM7 US911312BM79 BDRYRP9 93.17 United States -- USD 3.23 5.18 1 Nov 15, 2027 3.05 3.26 -- 5.18 3.26 5.18 Nov 14, 2017 Nov 14, 2017 SUZANO SUZANO INTERNATIONAL FINANCE BV Basic Industry Fixed Income 4444.44 0.0038117559116535547 4444.44 45 45 N8438JAB4 USN8438JAB46 BN6M6M4 98.94 Brazil -- USD 2.48 5.92 1 Jan 17, 2027 5.5 2.46 -- 5.92 2.46 5.92 Jan 17, 2017 Jan 17, 2017 BDX BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 4440.94 0.0038087541508713667 4440.94 46 46 075887CQ0 US075887CQ08 -- 97.21 United States -- USD 3.39 5.52 1 Feb 13, 2028 4.69 3.39 -- 5.52 3.39 5.52 Feb 13, 2023 Feb 13, 2023 SYY SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 4437.43 0.003805743813629801 4437.43 46 46 871829AZ0 US871829AZ02 BYZ0SH5 97.29 United States -- USD 1.36 5.74 1 Oct 01, 2025 3.75 1.37 -- 5.74 1.37 5.74 Sep 28, 2015 Sep 28, 2015 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 4435.68 0.003804242933238707 4435.68 47 47 05565EAY1 US05565EAY14 BF5HDP6 94.43 Germany -- USD 3.57 5.33 1 Apr 12, 2028 3.75 3.61 -- 5.33 3.61 5.33 Apr 12, 2018 Apr 12, 2018 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 4435.68 0.003804242933238707 4435.68 44 44 713448FV5 US713448FV55 -- 100.09 United States -- USD 1.43 5.19 1 Nov 10, 2025 5.25 1.43 -- 5.19 1.43 5.19 Nov 10, 2023 Nov 10, 2023 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 4435.68 0.003804242933238707 4435.68 45 45 89115A2V3 US89115A2V36 -- 99.62 Canada -- USD 2.38 5.42 1 Dec 11, 2026 5.26 2.38 -- 5.42 2.38 5.42 Dec 11, 2023 Dec 11, 2023 VMW VMWARE LLC Technology Fixed Income 4435.68 0.003804242933238707 4435.68 45 45 928563AD7 US928563AD71 -- 98.85 United States -- USD 0.98 5.63 1 May 15, 2025 4.5 0.99 -- 5.63 0.99 5.63 Apr 07, 2020 Apr 07, 2020 YANTZE THREE GORGES FINANCE I (CAYMAN ISL 144A Owned No Guarantee Fixed Income 4432.18 0.003801241172456519 4432.18 46 46 88556LAC0 US88556LAC00 -- 95.58 China -- USD 1.97 5.4 1 Jun 02, 2026 3.15 1.97 -- 5.4 1.97 5.4 Jun 02, 2016 Jun 02, 2016 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 4429.09 0.0037985910465088164 4429.09 442909 442909 -- IDG000009200 B5204T9 0.01 Indonesia -- USD 5.21 7.01 16187.5 Jul 15, 2031 9.5 5.21 -- 7.01 5.21 7.01 Jul 15, 2010 Jul 22, 2010 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN Banking Fixed Income 4428.68 0.0037982394116743315 4428.68 45 45 05253JB26 US05253JB264 -- 99.37 Australia -- USD 1.78 5.35 1 Mar 18, 2026 5 1.78 -- 5.35 1.78 5.35 Mar 18, 2024 Mar 18, 2024 CARGIL CARGILL INC 144A Consumer Non-Cyclical Fixed Income 4423.42 0.0037937281940416717 4423.42 45 45 141781BY9 US141781BY97 -- 99.29 United States -- USD 1.35 5.39 1 Oct 10, 2025 4.88 1.39 -- 5.39 1.39 5.39 Oct 11, 2022 Oct 11, 2022 GP GEORGIA-PACIFIC LLC 144A Basic Industry Fixed Income 4419.92 0.0037907264332594837 4419.92 48 48 37331NAN1 US37331NAN12 -- 91.2 United States -- USD 1.98 5.54 1 May 15, 2026 0.95 1.98 -- 5.54 1.98 5.54 Nov 19, 2020 Nov 19, 2020 INTNED ING GROEP NV Banking Fixed Income 4418.16 0.003789216976409012 4418.16 47 47 456837AQ6 US456837AQ60 BJFFD58 93.25 Netherlands -- USD 4.41 5.63 1 Apr 09, 2029 4.05 4.39 -- 5.63 4.39 5.63 Apr 09, 2019 Apr 09, 2019 NWG NATWEST GROUP PLC Banking Fixed Income 4418.16 0.003789216976409012 4418.16 44 44 639057AJ7 US639057AJ71 -- 99.96 United Kingdom -- USD 1.71 6.1 1 Mar 02, 2027 5.85 1.71 -- 5.87 1.72 5.87 Mar 02, 2023 Mar 02, 2023 BPCEGP BPCE SA MTN 144A Banking Fixed Income 4414.66 0.003786215215626824 4414.66 45 45 05571AAV7 US05571AAV70 -- 98.8 France -- USD 3.98 6.21 1 Jan 18, 2030 5.72 4.02 -- 6.01 4.02 6.01 Jan 18, 2024 Jan 18, 2024 DIS TWDC ENTERPRISES 18 CORP MTN Communications Fixed Income 4414.66 0.003786215215626824 4414.66 47 47 25468PDV5 US25468PDV58 BZ4CYQ0 94 United States -- USD 2.91 5.04 1 Jun 15, 2027 2.95 2.91 -- 5.04 2.91 5.04 Jun 06, 2017 Jun 06, 2017 ENCIAC ENCINO ACQUISITION PARTNERS HOLDIN 144A Energy Fixed Income 4413.44 0.003785168887582747 4413.44 44 44 29254BAB3 US29254BAB36 -- 100.38 United States -- USD 4.39 8.66 1 May 01, 2031 8.75 5.17 -- 8.63 4 8.63 Apr 29, 2024 Apr 29, 2024 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 4412.91 0.00378471433523573 4412.91 48 48 60687YBS7 US60687YBS72 -- 91.53 Japan -- USD 2.1 5.77 1 Jul 09, 2027 1.55 2.1 -- 5.69 2.11 5.69 Jul 09, 2021 Jul 09, 2021 NSANY NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 4412.91 0.00378471433523573 4412.91 43 43 65480CAF2 US65480CAF23 BNQQSJ7 102.66 United States -- USD 3.71 6.34 1 Sep 15, 2028 7.05 3.71 -- 6.33 3.65 6.33 Sep 15, 2023 Sep 15, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 4412.27 0.0037841654418355585 4412.27 441227 441227 -- IDG000018201 BMD8K26 0.01 Indonesia -- USD 8.05 7.12 16187.5 Jun 15, 2036 6.25 8.05 -- 7.12 8.05 7.12 Dec 15, 2020 Jan 07, 2021 CBAAU COMMONWEALTH BANK OF AUSTRALIA 144A Banking Fixed Income 4411.16 0.003783213454844636 4411.16 45 45 2027A0HR3 US2027A0HR32 BYXDMB8 97.84 Australia -- USD 1.52 5.91 1 Dec 09, 2025 4.5 1.51 -- 5.91 1.51 5.91 Dec 09, 2015 Dec 09, 2015 BPCEGP BPCE SA MTN 144A Banking Fixed Income 4409.4 0.0037817039979941643 4409.4 48 48 05578AAJ7 US05578AAJ79 BF950C2 92.05 France -- USD 3.4 5.65 1 Jan 11, 2028 3.25 3.39 -- 5.65 3.39 5.65 Jan 11, 2018 Jan 11, 2018 SO GEORGIA POWER COMPANY Electric Fixed Income 4409.4 0.0037817039979941643 4409.4 45 45 373334KS9 US373334KS95 -- 97.16 United States -- USD 3.53 5.44 1 May 16, 2028 4.65 3.57 -- 5.44 3.57 5.44 May 04, 2023 May 04, 2023 JPM JPMORGAN CHASE & CO Banking Fixed Income 4405.9 0.0037787022372119767 4405.9 42 42 059438AH4 US059438AH41 2139247 104.93 United States -- USD 2.24 5.46 1 Oct 15, 2026 7.63 2.24 -- 5.46 2.24 5.46 Oct 29, 1996 Oct 29, 1996 OKE ONEOK INC Energy Fixed Income 4405.9 0.0037787022372119767 4405.9 46 46 682680AU7 US682680AU71 BDDR183 96.08 United States -- USD 3.69 5.6 1 Jul 15, 2028 4.55 3.73 -- 5.6 3.73 5.6 Jul 02, 2018 Jul 02, 2018 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 4404.15 0.0037772013568208827 4404.15 44 44 00774MBD6 US00774MBD65 -- 100.74 Ireland -- USD 2.37 5.79 1 Jan 15, 2027 6.1 2.4 -- 5.78 2.33 5.78 Sep 25, 2023 Sep 25, 2023 ET ENERGY TRANSFER LP Energy Fixed Income 4400.65 0.0037741995960386947 4400.65 46 46 86765BAU3 US86765BAU35 BD35XP8 94.84 United States -- USD 3.11 5.67 1 Oct 01, 2027 4 3.14 -- 5.67 3.14 5.67 Sep 21, 2017 Sep 21, 2017 FRT FEDERAL REALTY OP LP Reits Fixed Income 4398.89 0.003772690139188223 4398.89 48 48 313747BB2 US313747BB27 -- 92.45 United States -- USD 1.75 5.71 1 Feb 15, 2026 1.25 1.74 -- 5.71 1.74 5.71 Oct 13, 2020 Oct 13, 2020 TRGP TARGA RESOURCES CORP Energy Fixed Income 4398.89 0.003772690139188223 4398.89 45 45 87612KAA0 US87612KAA07 -- 98.81 United States -- USD 2.83 5.61 1 Jul 01, 2027 5.2 2.85 -- 5.61 2.85 5.61 Jul 07, 2022 Jul 07, 2022 ADBE ADOBE INC Technology Fixed Income 4395.39 0.003769688378406035 4395.39 48 48 00724PAC3 US00724PAC32 -- 92.46 United States -- USD 2.62 5.11 1 Feb 01, 2027 2.15 2.62 -- 5.11 2.62 5.11 Feb 03, 2020 Feb 03, 2020 LNG CHENIERE ENERGY INC Energy Fixed Income 4395.39 0.003769688378406035 4395.39 46 46 16411RAK5 US16411RAK59 BNMB2S3 95.27 United States -- USD 3.23 5.84 1 Oct 15, 2028 4.63 3.96 -- 5.84 3.96 5.84 Apr 15, 2021 Jul 07, 2021 OKE ONEOK INC Energy Fixed Income 4390.13 0.0037651771607733753 4390.13 44 44 682680BH5 US682680BH51 -- 99.93 United States -- USD 2.21 5.58 1 Nov 01, 2026 5.55 2.24 -- 5.58 2.24 5.58 Aug 24, 2023 Aug 24, 2023 ALLY ALLY FINANCIAL INC Banking Fixed Income 4388.38 0.0037636762803822813 4388.38 52 52 02005NBP4 US02005NBP42 -- 84.41 United States -- USD 4.15 6.21 1 Nov 02, 2028 2.2 4.12 -- 6.21 4.12 6.21 Nov 02, 2021 Nov 02, 2021 TFC TRUIST FINANCIAL CORP Banking Fixed Income 4381.38 0.0037576727588179053 4381.38 45 45 867914BS1 US867914BS12 BF10TX9 98.37 United States -- USD 0.95 5.67 1 May 01, 2025 4 0.96 -- 5.67 0.96 5.67 Apr 26, 2018 Apr 26, 2018 DFS DISCOVER BANK Banking Fixed Income 4374.37 0.003751660660794152 4374.37 46 46 25466AAJ0 US25466AAJ07 BYM8106 94.47 United States -- USD 2.1 6.11 1 Jul 27, 2026 3.45 2.1 -- 6.11 2.1 6.11 Jul 27, 2016 Jul 27, 2016 MPLX MPLX LP Energy Fixed Income 4374.37 0.003751660660794152 4374.37 46 46 55336VBN9 US55336VBN91 -- 95.76 United States -- USD 3.18 5.57 1 Dec 01, 2027 4.25 3.22 -- 5.57 3.22 5.57 Dec 01, 2019 May 20, 2020 VRSN VERISIGN INC Technology Fixed Income 4372.62 0.003750159780403058 4372.62 45 45 92343EAL6 US92343EAL65 BDZV309 96.7 United States -- USD 2.4 5.89 1 Jul 15, 2027 4.75 2.9 -- 5.89 2.9 5.89 Jul 05, 2017 Sep 19, 2017 WY WEYERHAEUSER COMPANY Basic Industry Fixed Income 4372.62 0.003750159780403058 4372.62 44 44 962166CC6 US962166CC62 -- 98.45 United States -- USD 1.89 5.56 1 May 15, 2026 4.75 1.89 -- 5.56 1.89 5.56 May 17, 2023 May 17, 2023 MSI MOTOROLA SOLUTIONS INC Technology Fixed Income 4370.86 0.0037486503235525863 4370.86 45 45 620076BL2 US620076BL24 BF2J292 96.89 United States -- USD 3.37 5.51 1 Feb 23, 2028 4.6 3.43 -- 5.51 3.43 5.51 Feb 23, 2018 Feb 23, 2018 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 4370.86 0.0037486503235525863 4370.86 44 44 91324PEN8 US91324PEN87 -- 99.71 United States -- USD 1.4 5.36 1 Oct 15, 2025 5.15 1.4 -- 5.36 1.4 5.36 Oct 28, 2022 Oct 28, 2022 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 4365.61 0.0037441476823793043 4365.61 44 44 03027XAG5 US03027XAG51 BWWC5B3 98.16 United States -- USD 1.04 5.75 1 Jun 01, 2025 4 1.04 -- 5.75 1.04 5.75 May 07, 2015 May 07, 2015 MA MASTERCARD INC Technology Fixed Income 4362.11 0.0037411459215971163 4362.11 44 44 57636QAW4 US57636QAW42 -- 99.5 United States -- USD 3.44 5.02 1 Mar 09, 2028 4.88 3.47 -- 5.02 3.47 5.02 Mar 09, 2023 Mar 09, 2023 BNP BNP PARIBAS SA MTN 144A Banking Fixed Income 4360.35 0.0037396364647466446 4360.35 51 51 09659W2R4 US09659W2R48 BNBYGS1 85.68 France -- USD 4.03 6.04 1 Sep 15, 2029 2.16 4.06 -- 5.91 4.06 5.91 Sep 15, 2021 Sep 15, 2021 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 4360.35 0.0037396364647466446 4360.35 47 47 2027A0KK4 US2027A0KK42 -- 92.87 Australia -- USD 2.72 5.24 1 Mar 14, 2027 2.55 2.72 -- 5.24 2.72 5.24 Mar 14, 2022 Mar 14, 2022 DUBAEE DAE SUKUK DIFC LTD MTN 144A Owned No Guarantee Fixed Income 4360.35 0.0037396364647466446 4360.35 45 45 23302JAA3 US23302JAA34 -- 95.94 United Arab Emirates -- USD 1.72 6.16 1 Feb 15, 2026 3.75 1.7 -- 6.16 1.7 6.16 Nov 25, 2020 Nov 25, 2020 DGELN DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 4358.6 0.0037381355843555506 4358.6 44 44 25243YBG3 US25243YBG35 -- 99.92 United Kingdom -- USD 3.13 5.33 1 Oct 24, 2027 5.3 3.15 -- 5.33 3.15 5.33 Oct 24, 2022 Oct 24, 2022 CCDJ FEDERATION DES CAISSES DESJARDINS 144A Banking Fixed Income 4358.6 0.0037381355843555506 4358.6 44 44 31429KAK9 US31429KAK97 -- 99.83 Canada -- USD 3.44 5.75 1 Mar 14, 2028 5.7 3.42 -- 5.75 3.42 5.75 Mar 14, 2023 Mar 14, 2023 ES EVERSOURCE ENERGY Electric Fixed Income 4355.1 0.0037351338235733626 4355.1 43 43 30040WAW8 US30040WAW82 -- 101.06 United States -- USD 4.05 5.69 1 Feb 01, 2029 5.95 4.05 -- 5.69 3.99 5.69 Nov 10, 2023 Nov 10, 2023 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 4355.1 0.0037351338235733626 4355.1 48 48 80282KBC9 US80282KBC99 -- 90.33 United States -- USD 2.54 6.49 1 Jan 06, 2028 2.49 2.52 -- 6.45 2.52 6.45 Jan 06, 2022 Jan 06, 2022 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 4355.1 0.0037351338235733626 4355.1 42 42 853254CX6 US853254CX61 -- 103.99 United Kingdom -- USD 3.89 6.24 1 Feb 08, 2030 7.02 3.92 -- 6.04 3.93 6.04 Nov 08, 2023 Nov 08, 2023 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 4353.35 0.0037336329431822686 4353.35 46 46 2027A0HY8 US2027A0HY82 BZCGB07 94.04 Australia -- USD 2.25 5.34 1 Sep 06, 2026 2.63 2.24 -- 5.34 2.24 5.34 Sep 06, 2016 Sep 06, 2016 INTU INTUIT INC. Technology Fixed Income 4351.59 0.0037321234863317973 4351.59 43 43 46124HAE6 US46124HAE62 -- 100.25 United States -- USD 2.17 5.13 1 Sep 15, 2026 5.25 2.21 -- 5.13 2.21 5.13 Sep 15, 2023 Sep 15, 2023 NSANY NISSAN MOTOR CO LTD 144A Consumer Cyclical Fixed Income 4349.84 0.0037306226059407033 4349.84 45 45 654744AB7 US654744AB77 -- 96.27 Japan -- USD 1.33 6.35 1 Sep 17, 2025 3.52 1.33 -- 6.35 1.33 6.35 Sep 17, 2020 Sep 17, 2020 PSX PHILLIPS 66 Energy Fixed Income 4346.34 0.0037276208451585153 4346.34 46 46 718546AR5 US718546AR56 BDVLN47 94.58 United States -- USD 3.49 5.46 1 Mar 15, 2028 3.9 3.53 -- 5.46 3.53 5.46 Mar 01, 2018 Mar 01, 2018 EXC EXELON CORPORATION Electric Fixed Income 4344.59 0.0037261199647674213 4344.59 44 44 30161NAN1 US30161NAN12 BYT16N6 98.08 United States -- USD 1.07 5.71 1 Jun 15, 2025 3.95 1.08 -- 5.71 1.08 5.71 Dec 15, 2015 May 13, 2016 RCICN ROGERS COMMUNICATIONS INC Communications Fixed Income 4344.59 0.0037261199647674213 4344.59 45 45 775109BE0 US775109BE00 BYV6145 96.47 Canada -- USD 1.53 5.91 1 Dec 15, 2025 3.63 1.54 -- 5.91 1.54 5.91 Dec 08, 2015 Dec 08, 2015 MGS MALAYSIA (GOVERNMENT) Treasuries Fixed Income 4343.85 0.0037254853067734727 4343.85 201 201 -- MYBMK2200030 BNRQWN8 21.6 Malaysia -- USD 4.37 3.8 4.7775 Apr 30, 2029 4.5 4.37 -- 3.8 4.37 3.8 Apr 29, 2022 Apr 29, 2022 T AT&T INC Communications Fixed Income 4337.58 0.0037201078667436676 4337.58 45 45 00206RHW5 US00206RHW51 BK1MHJ2 95.75 United States -- USD 2.56 5.45 1 Feb 15, 2027 3.8 2.59 -- 5.45 2.59 5.45 Feb 15, 2019 Jun 05, 2019 CVX CHEVRON CORP Energy Fixed Income 4337.58 0.0037201078667436676 4337.58 45 45 166764BD1 US166764BD17 BYQKJL5 97.23 United States -- USD 1.45 5.2 1 Nov 17, 2025 3.33 1.47 -- 5.2 1.47 5.2 Nov 17, 2015 Nov 17, 2015 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 4337.58 0.0037201078667436676 4337.58 47 47 771196BL5 US771196BL53 BYN1J22 92.78 Switzerland -- USD 2.59 5.22 1 Jan 28, 2027 2.38 2.6 -- 5.22 2.6 5.22 Oct 31, 2016 Oct 31, 2016 SINOPE SINOPEC GROUP OVERSEAS DEVELOPMENT 144A Owned No Guarantee Fixed Income 4337.58 0.0037201078667436676 4337.58 46 46 82938NAH7 US82938NAH70 BD5ZX90 93.85 China -- USD 3.14 5.26 1 Sep 13, 2027 3.25 3.13 -- 5.26 3.13 5.26 Sep 13, 2017 Sep 13, 2017 ORLY OREILLY AUTOMOTIVE INC Consumer Cyclical Fixed Income 4332.32 0.003715596649111008 4332.32 46 46 67103HAF4 US67103HAF47 BF954Y2 94.46 United States -- USD 3.05 5.43 1 Sep 01, 2027 3.6 3.08 -- 5.43 3.08 5.43 Aug 17, 2017 Aug 17, 2017 DGELN DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 4328.82 0.00371259488832882 4328.82 43 43 25243YBK4 US25243YBK47 -- 100.13 United Kingdom -- USD 2.22 5.32 1 Oct 05, 2026 5.38 2.26 -- 5.32 2.26 5.32 Oct 05, 2023 Oct 05, 2023 EXPE EXPEDIA GROUP INC Consumer Cyclical Fixed Income 4327.07 0.003711094007937726 4327.07 45 45 30212PBK0 US30212PBK03 -- 96.97 United States -- USD 2.9 5.65 1 Aug 01, 2027 4.63 2.95 -- 5.65 2.95 5.65 Feb 01, 2021 Jun 15, 2021 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 4327.07 0.003711094007937726 4327.07 44 44 44891ACD7 US44891ACD72 -- 99.31 United States -- USD 3.45 5.8 1 Mar 30, 2028 5.6 3.47 -- 5.8 3.47 5.8 Mar 30, 2023 Mar 30, 2023 NWIDE NATIONWIDE BUILDING SOCIETY MTN 144A Banking Fixed Income 4327.07 0.003711094007937726 4327.07 48 48 63859UBH5 US63859UBH59 -- 90.76 United Kingdom -- USD 2.37 5.56 1 Oct 13, 2026 1.5 2.36 -- 5.56 2.36 5.56 Oct 13, 2021 Oct 13, 2021 MKC MCCORMICK & COMPANY INCORPORATED Consumer Non-Cyclical Fixed Income 4325.32 0.0037095931275466323 4325.32 46 46 579780AN7 US579780AN77 BF53JG7 93.71 United States -- USD 3.03 5.51 1 Aug 15, 2027 3.4 3.04 -- 5.51 3.04 5.51 Aug 11, 2017 Aug 11, 2017 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 4321.81 0.0037065827903050665 4321.81 46 46 06406RAD9 US06406RAD98 BDFVGH7 94.42 United States -- USD 2.78 5.25 1 May 16, 2027 3.25 2.81 -- 5.25 2.81 5.25 May 16, 2017 May 16, 2017 HBAN HUNTINGTON NATIONAL BANK (THE) Banking Fixed Income 4321.81 0.0037065827903050665 4321.81 45 45 44644MAF8 US44644MAF86 -- 96.24 United States -- USD 2.74 6.16 1 May 17, 2028 4.55 2.74 -- 5.91 2.75 5.91 May 17, 2022 May 17, 2022 OCBCSP OVERSEA-CHINESE BANKING CORPORATIO MTN 144A Banking Fixed Income 4321.81 0.0037065827903050665 4321.81 46 46 69033CAD1 US69033CAD11 BNC1B08 94.53 Singapore -- USD 1.29 6.22 1 Sep 10, 2030 1.83 1.29 -- 6.04 1.32 6.04 Sep 10, 2020 Sep 10, 2020 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 4320.06 0.0037050819099139726 4320.06 43 43 89236TLD5 US89236TLD53 -- 100.22 United States -- USD 2.32 5.31 1 Nov 20, 2026 5.4 2.32 -- 5.31 2.32 5.31 Nov 20, 2023 Nov 20, 2023 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 4316.56 0.0037020801491317846 4316.56 44 44 709599BT0 US709599BT09 -- 99.14 United States -- USD 3.45 5.79 1 May 01, 2028 5.55 3.46 -- 5.79 3.46 5.79 Mar 29, 2023 Mar 29, 2023 VST VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 4307.8 0.003694567170716937 4307.8 44 44 92840VAL6 US92840VAL62 -- 98.87 United States -- USD 0.98 6.25 1 May 13, 2025 5.13 0.98 -- 6.25 0.98 6.25 May 13, 2022 May 13, 2022 MMM 3M CO Capital Goods Fixed Income 4306.05 0.003693066290325843 4306.05 47 47 88579YAY7 US88579YAY77 BD6NJF1 91.9 United States -- USD 3.22 5.47 1 Oct 15, 2027 2.88 3.23 -- 5.47 3.23 5.47 Oct 02, 2017 Oct 02, 2017 WSTPNZ WESTPAC NEW ZEALAND LTD MTN 144A Banking Fixed Income 4306.05 0.003693066290325843 4306.05 44 44 96122FAB3 US96122FAB31 -- 98.94 New Zealand -- USD 2.59 5.54 1 Feb 26, 2027 5.13 2.58 -- 5.54 2.58 5.54 Feb 26, 2024 Feb 26, 2024 AVGO BROADCOM CORP/BROADCOM CAYMAN FIN Technology Fixed Income 4302.54 0.003690055953084277 4302.54 46 46 11134LAR0 US11134LAR06 BFX1781 93.25 United States -- USD 3.37 5.53 1 Jan 15, 2028 3.5 3.39 -- 5.53 3.39 5.53 Oct 17, 2017 Feb 14, 2018 DUBAEE DAE FUNDING LLC 144A Owned No Guarantee Fixed Income 4302.54 0.003690055953084277 4302.54 47 47 23371DAG9 US23371DAG97 -- 90.9 United Arab Emirates -- USD 3.56 6.03 1 Mar 20, 2028 3.38 3.56 -- 6.03 3.56 6.03 Jan 20, 2021 Jan 20, 2021 NYLIFE NEW YORK LIFE GLOBAL FUNDING 144A Insurance Fixed Income 4302.54 0.003690055953084277 4302.54 46 46 64952WDW0 US64952WDW01 -- 92.55 United States -- USD 1.67 5.44 1 Jan 15, 2026 0.85 1.66 -- 5.44 1.66 5.44 Jan 15, 2021 Jan 15, 2021 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 4299.04 0.0036870541923020896 4299.04 43 43 02665WEK3 US02665WEK36 -- 99.85 United States -- USD 2.02 5.32 1 Jul 07, 2026 5.25 2.02 -- 5.32 2.02 5.32 Jul 07, 2023 Jul 07, 2023 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 4299.04 0.0036870541923020896 4299.04 43 43 57629WDL1 US57629WDL19 -- 98.88 United States -- USD 3.21 5.39 1 Dec 07, 2027 5.05 3.2 -- 5.39 3.2 5.39 Dec 07, 2022 Dec 07, 2022 LMT LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 4297.29 0.0036855533119109956 4297.29 43 43 539830BV0 US539830BV05 -- 99.87 United States -- USD 3.12 5.14 1 Nov 15, 2027 5.1 3.14 -- 5.14 3.14 5.14 Oct 24, 2022 Oct 24, 2022 NGPLCO NGPL PIPECO LLC 144A Energy Fixed Income 4297.29 0.0036855533119109956 4297.29 45 45 62912XAF1 US62912XAF15 BD0BB66 96.37 United States -- USD 2.86 6.1 1 Aug 15, 2027 4.88 2.97 -- 6.1 2.97 6.1 Aug 01, 2017 Aug 01, 2017 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 4295.53 0.003684043855060524 4295.53 43 43 14913UAB6 US14913UAB61 -- 99.77 United States -- USD 1.23 5.33 1 Aug 11, 2025 5.15 1.22 -- 5.33 1.22 5.33 Aug 11, 2023 Aug 11, 2023 PSX PHILLIPS 66 CO Energy Fixed Income 4292.03 0.003681042094278336 4292.03 44 44 718547AT9 US718547AT95 -- 98.57 United States -- USD 3.17 5.39 1 Dec 01, 2027 4.95 3.19 -- 5.39 3.19 5.39 Mar 29, 2023 Mar 29, 2023 DAL DELTA AIR LINES INC 144A Transportation Fixed Income 4288.53 0.003678040333496148 4288.53 43 43 247361ZX9 US247361ZX93 -- 100.74 United States -- USD 0.94 6.24 1 May 01, 2025 7 0.94 -- 6.24 0.94 6.24 Apr 29, 2020 Apr 29, 2020 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 4285.02 0.003675029996254582 4285.02 45 45 60687YAT6 US60687YAT64 BFY0776 94.61 Japan -- USD 3.87 5.86 1 Sep 11, 2029 4.25 4.68 -- 5.66 3.9 5.66 Sep 11, 2018 Sep 11, 2018 NXPI NXP BV Technology Fixed Income 4285.02 0.003675029996254582 4285.02 44 44 62954HAZ1 US62954HAZ10 -- 96.61 United States -- USD 1.97 5.57 1 Jun 18, 2026 3.88 2 -- 5.57 2 5.57 Dec 18, 2021 May 16, 2022 SANUK SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 4285.02 0.003675029996254582 4285.02 47 47 80281LAQ8 US80281LAQ86 -- 91.22 United Kingdom -- USD 2.46 5.67 1 Jun 14, 2027 1.67 2.03 -- 5.67 2.03 5.67 Jun 14, 2021 Jun 14, 2021 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 4283.27 0.003673529115863488 4283.27 49 49 04685A2V2 US04685A2V22 -- 88.21 United States -- USD 3.64 5.92 1 Mar 24, 2028 2.5 3.62 -- 5.92 3.62 5.92 Mar 24, 2021 Mar 24, 2021 EQR ERP OPERATING LP Reits Fixed Income 4283.27 0.003673529115863488 4283.27 45 45 26884ABK8 US26884ABK88 BHLR8B5 95.08 United States -- USD 4 5.37 1 Dec 01, 2028 4.15 4.04 -- 5.37 4.04 5.37 Nov 30, 2018 Nov 30, 2018 ENELIM ENEL FINANCE INTERNATIONAL NV 144A Electric Fixed Income 4283.27 0.003673529115863488 4283.27 42 42 29278GAZ1 US29278GAZ19 -- 101.66 Italy -- USD 1.39 5.6 1 Oct 14, 2025 6.8 1.38 -- 5.6 1.38 5.6 Oct 14, 2022 Oct 14, 2022 ETR ENTERGY CORPORATION Electric Fixed Income 4281.52 0.003672028235472394 4281.52 46 46 29364GAM5 US29364GAM50 -- 93.65 United States -- USD 1.35 5.72 1 Sep 15, 2025 0.9 1.34 -- 5.72 1.34 5.72 Aug 26, 2020 Aug 26, 2020 K KELLANOVA Consumer Non-Cyclical Fixed Income 4281.52 0.003672028235472394 4281.52 45 45 487836BP2 US487836BP25 BD31BC9 95.98 United States -- USD 1.84 5.47 1 Apr 01, 2026 3.25 1.83 -- 5.47 1.83 5.47 Mar 07, 2016 Mar 07, 2016 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 4281.52 0.003672028235472394 4281.52 44 44 89236TKF1 US89236TKF11 -- 97.77 United States -- USD 1.25 5.43 1 Aug 18, 2025 3.65 1.25 -- 5.43 1.25 5.43 Aug 18, 2022 Aug 18, 2022 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 4278.02 0.003669026474690206 4278.02 43 43 709599BU7 US709599BU71 -- 99.95 United States -- USD 1.86 5.77 1 May 24, 2026 5.75 1.89 -- 5.77 1.89 5.77 May 24, 2023 May 24, 2023 ZTS ZOETIS INC Consumer Non-Cyclical Fixed Income 4274.51 0.003666016137448641 4274.51 43 43 98978VAK9 US98978VAK98 BYQ29J9 98.47 United States -- USD 1.39 5.55 1 Nov 13, 2025 4.5 1.44 -- 5.55 1.44 5.55 Nov 13, 2015 Nov 13, 2015 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 4271.01 0.003663014376666453 4271.01 43 43 89788MAJ1 US89788MAJ18 -- 99.92 United States -- USD 1.38 6.34 1 Oct 28, 2026 5.9 1.38 -- 5.95 1.38 5.95 Oct 28, 2022 Oct 28, 2022 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 4265.75 0.003658503159033793 4265.75 47 47 694308JW8 US694308JW85 -- 89.92 United States -- USD 3.76 5.77 1 Jun 15, 2028 3 3.75 -- 5.77 3.75 5.77 Jun 03, 2021 Jun 03, 2021 VLO VALERO ENERGY CORPORATION Energy Fixed Income 4265.75 0.003658503159033793 4265.75 44 44 91913YAV2 US91913YAV20 BFY2QV9 95.97 United States -- USD 3.58 5.46 1 Jun 01, 2028 4.35 3.63 -- 5.46 3.63 5.46 Jun 01, 2018 Jun 01, 2018 VST VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 4264 0.003657002278642699 4264 45 45 92840VAG7 US92840VAG77 -- 94.01 United States -- USD 2.56 6.08 1 Jan 30, 2027 3.7 2.55 -- 6.08 2.55 6.08 Nov 15, 2019 Nov 15, 2019 GLPI GLP CAPITAL LP / GLP FINANCING II Consumer Cyclical Fixed Income 4258.75 0.003652499637469417 4258.75 43 43 361841AJ8 US361841AJ81 BG08VZ7 99.13 United States -- USD 0.98 6.07 1 Jun 01, 2025 5.25 1.03 -- 6.07 1.03 6.07 May 21, 2018 May 21, 2018 MDLZ MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 4256.99 0.0036509901806189454 4256.99 44 44 609207AU9 US609207AU94 -- 95.96 United States -- USD 0.99 5.61 1 May 04, 2025 1.5 0.99 -- 5.61 0.99 5.61 May 04, 2020 May 04, 2020 TENGIZ TENGIZCHEVROIL FINANCE COMPANY INT 144A Energy Fixed Income 4256.99 0.0036509901806189454 4256.99 45 45 88034QAA5 US88034QAA58 BD1X365 93.99 Kazakhstan -- USD 1.93 7.2 1 Aug 15, 2026 4 1.91 -- 7.2 1.91 7.2 Jul 27, 2016 Jul 27, 2016 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 4248.23 0.003643477202204098 4248.23 43 43 24422EWV7 US24422EWV72 -- 99.09 United States -- USD 3.45 5.16 1 Mar 03, 2028 4.9 3.45 -- 5.16 3.45 5.16 Mar 03, 2023 Mar 03, 2023 PNC PNC BANK NA Banking Fixed Income 4248.23 0.003643477202204098 4248.23 46 46 69353RFG8 US69353RFG83 BF2JLM8 92.22 United States -- USD 3.26 5.58 1 Oct 25, 2027 3.1 3.25 -- 5.58 3.25 5.58 Oct 23, 2017 Oct 23, 2017 SO SOUTHERN COMPANY (THE) Electric Fixed Income 4246.48 0.003641976321813004 4246.48 44 44 842587DQ7 US842587DQ78 -- 97.42 United States -- USD 3.59 5.55 1 Jun 15, 2028 4.85 3.63 -- 5.55 3.63 5.55 May 18, 2023 May 18, 2023 BALN BAE SYSTEMS HOLDINGS INC 144A Capital Goods Fixed Income 4246.48 0.003641976321813004 4246.48 44 44 05523UAP5 US05523UAP57 BYMRMR7 97.15 United Kingdom -- USD 1.52 5.69 1 Dec 15, 2025 3.85 1.54 -- 5.69 1.54 5.69 Dec 10, 2015 Dec 10, 2015 DNBNO DNB BANK ASA 144A Banking Fixed Income 4246.48 0.003641976321813004 4246.48 46 46 23329PAG5 US23329PAG54 -- 91.78 Norway -- USD 1.99 5.6 1 May 25, 2027 1.53 1.99 -- 5.6 1.99 5.6 May 25, 2021 May 25, 2021 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 4244.73 0.00364047544142191 4244.73 42 42 571903BN2 US571903BN26 -- 100.18 United States -- USD 3.9 5.5 1 Oct 15, 2028 5.55 3.91 -- 5.5 3.91 5.5 Sep 15, 2023 Sep 15, 2023 VTR VENTAS REALTY LP Reits Fixed Income 4244.73 0.00364047544142191 4244.73 45 45 92277GAN7 US92277GAN79 BGB5RY8 94.25 United States -- USD 4.1 5.81 1 Jan 15, 2029 4.4 4.13 -- 5.81 4.13 5.81 Aug 15, 2018 Aug 15, 2018 NECELE RENESAS ELECTRONICS CORP 144A Technology Fixed Income 4242.98 0.003638974561030816 4242.98 47 47 75972BAB7 US75972BAB71 -- 91.18 Japan -- USD 2.44 5.9 1 Nov 25, 2026 2.17 2.43 -- 5.9 2.43 5.9 Nov 26, 2021 Nov 26, 2021 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 4242.98 0.003638974561030816 4242.98 43 43 89115A2W1 US89115A2W19 -- 98.74 Canada -- USD 2.7 5.45 1 Apr 05, 2027 4.98 2.69 -- 5.45 2.69 5.45 Apr 05, 2024 Apr 05, 2024 EPD ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 4241.23 0.003637473680639722 4241.23 43 43 29379VCC5 US29379VCC54 -- 99.48 United States -- USD 1.6 5.37 1 Jan 10, 2026 5.05 1.59 -- 5.37 1.59 5.37 Jan 10, 2023 Jan 10, 2023 ENIIM LASMO USA INC Energy Fixed Income 4237.72 0.0036344633433981564 4237.72 41 41 51808BAE2 US51808BAE20 2125837 104.62 Italy -- USD 3.04 5.84 1 Nov 15, 2027 7.3 3.02 -- 5.84 3.02 5.84 Nov 12, 1997 Nov 12, 1997 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 4232.47 0.0036299607022248744 4232.47 45 45 80282KAZ9 US80282KAZ93 -- 93.71 United States -- USD 2.3 6.05 1 Oct 05, 2026 3.24 2.29 -- 6.05 2.29 6.05 Oct 04, 2019 Feb 04, 2020 WSTP WESTPAC BANKING CORP Banking Fixed Income 4228.96 0.0036269503649833086 4228.96 45 45 961214DC4 US961214DC40 BD0FRJ3 94.45 Australia -- USD 2.19 5.27 1 Aug 19, 2026 2.7 2.19 -- 5.27 2.19 5.27 Aug 19, 2016 Aug 19, 2016 BOCAVI BOC AVIATION LTD MTN 144A Owned No Guarantee Fixed Income 4227.21 0.0036254494845922147 4227.21 43 43 09681LAL4 US09681LAL45 -- 97.35 Singapore -- USD 0.96 5.99 1 Apr 29, 2025 3.25 0.96 -- 5.99 0.96 5.99 Apr 29, 2020 Apr 29, 2020 CCI CROWN CASTLE INC Communications Fixed Income 4225.46 0.0036239486042011207 4225.46 44 44 22822VAC5 US22822VAC54 BDGKYQ8 95.99 United States -- USD 1.97 5.71 1 Jun 15, 2026 3.7 1.99 -- 5.71 1.99 5.71 May 06, 2016 May 06, 2016 JEF JEFFERIES GROUP LLC Brokerage/Asset Managers/Exchanges Fixed Income 4223.71 0.0036224477238100267 4223.71 43 43 47233JAG3 US47233JAG31 BYQ8H04 97.97 United States -- USD 2.49 5.66 1 Jan 15, 2027 4.85 2.48 -- 5.66 2.48 5.66 Jan 17, 2017 Jan 17, 2017 ROP ROPER TECHNOLOGIES INC Technology Fixed Income 4220.21 0.003619445963027839 4220.21 48 48 776743AN6 US776743AN67 -- 87.64 United States -- USD 3.23 5.44 1 Sep 15, 2027 1.4 3.22 -- 5.44 3.22 5.44 Sep 01, 2020 Sep 01, 2020 CMCSA COMCAST CORPORATION Communications Fixed Income 4216.7 0.0036164356257862734 4216.7 44 44 20030NDK4 US20030NDK46 -- 94.82 United States -- USD 2.72 5.23 1 Apr 01, 2027 3.3 2.74 -- 5.23 2.74 5.23 Mar 27, 2020 Mar 27, 2020 NSCCLF NATIONAL SECURITIES CLEARING CORP 144A Brokerage/Asset Managers/Exchanges Fixed Income 4216.7 0.0036164356257862734 4216.7 45 45 637639AE5 US637639AE51 -- 92.98 United States -- USD 1.57 5.34 1 Dec 07, 2025 0.75 1.56 -- 5.34 1.56 5.34 Dec 07, 2020 Dec 07, 2020 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 4215.7 0.0036155779798485053 4215.7 200 200 -- MYBGL1800012 BD965D7 21.1 Malaysia -- USD 1.25 3.5 4.7775 Aug 15, 2025 4.13 1.26 -- 3.5 1.26 3.5 Feb 07, 2018 Feb 07, 2018 BNG BNG BANK NV 144A Owned No Guarantee Fixed Income 4210.4 0.003611032456378335 4210.4 42 42 05591F2L3 US05591F2L30 -- 101.35 Netherlands -- USD 0.03 5.86 1 Aug 05, 2026 6.34 0.02 -- 5.86 0.02 5.86 Aug 05, 2021 Aug 05, 2021 BA BOEING CO Capital Goods Fixed Income 4206.19 0.0036074217669803317 4206.19 48 48 097023CD5 US097023CD51 -- 86.91 United States -- USD 4.36 6.38 1 Mar 01, 2029 3.2 4.34 -- 6.38 4.34 6.38 Feb 15, 2019 Feb 15, 2019 CME CME GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 4206.19 0.0036074217669803317 4206.19 44 44 12572QAJ4 US12572QAJ40 BFNJ462 95.41 United States -- USD 3.67 4.99 1 Jun 15, 2028 3.75 3.72 -- 4.99 3.72 4.99 Jun 21, 2018 Jun 21, 2018 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 4202.69 0.0036044200061981437 4202.69 44 44 57629WCH1 US57629WCH16 BJR9X25 96.41 United States -- USD 1.77 5.44 1 Mar 08, 2026 3.4 1.77 -- 5.44 1.77 5.44 Mar 08, 2019 Mar 08, 2019 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 4202.69 0.0036044200061981437 4202.69 43 43 89115A2Y7 US89115A2Y74 -- 97.8 Canada -- USD 4.32 5.51 1 Apr 05, 2029 4.99 4.3 -- 5.51 4.3 5.51 Apr 05, 2024 Apr 05, 2024 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 4200.93 0.003602910549347672 4200.93 49 49 641062AW4 US641062AW40 -- 85.69 United States -- USD 4.14 5.19 1 Sep 14, 2028 1.5 4.13 -- 5.19 4.13 5.19 Sep 14, 2021 Sep 14, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 4199.46 0.0036016498098191533 4199.46 302 302 -- CND10007LB61 -- 13.91 China -- USD 8.71 2.26 7.24715 Feb 25, 2034 2.35 8.71 -- 2.26 8.71 2.26 Feb 25, 2024 Feb 23, 2024 CTAS CINTAS NO 2 CORP Industrial Other Fixed Income 4199.18 0.003601409668956578 4199.18 43 43 17252MAP5 US17252MAP59 -- 97.95 United States -- USD 0.96 5.55 1 May 01, 2025 3.45 0.96 -- 5.55 0.96 5.55 May 03, 2022 May 03, 2022 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 4197.43 0.003599908788565484 4197.43 48 48 14040HCN3 US14040HCN35 -- 88.2 United States -- USD 4.27 6.29 1 Mar 01, 2030 3.27 4.34 -- 6.12 4.34 6.12 Mar 03, 2022 Mar 03, 2022 TRGP TARGA RESOURCES PARTNERS LP Energy Fixed Income 4197.43 0.003599908788565484 4197.43 43 43 87612BBG6 US87612BBG68 BFZRLM9 96.68 United States -- USD 2.68 6.01 1 Jan 15, 2028 5 3.29 -- 6.01 3.29 6.01 Oct 17, 2017 Oct 17, 2017 GD GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 4193.93 0.0035969070277832964 4193.93 43 43 369550BG2 US369550BG20 BG5L0S7 98.22 United States -- USD 0.99 5.26 1 May 15, 2025 3.5 1 -- 5.26 1 5.26 May 11, 2018 May 11, 2018 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 4192.18 0.0035954061473922024 4192.18 43 43 14913R2Z9 US14913R2Z91 -- 97.8 United States -- USD 1.24 5.42 1 Aug 12, 2025 3.65 1.24 -- 5.42 1.24 5.42 Aug 12, 2022 Aug 12, 2022 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 4190.42 0.0035938966905417306 4190.42 43 43 459200KT7 US459200KT76 -- 96.51 United States -- USD 2.95 5.33 1 Jul 27, 2027 4.15 2.97 -- 5.33 2.97 5.33 Jul 27, 2022 Jul 27, 2022 CVX CHEVRON USA INC Energy Fixed Income 4188.67 0.0035923958101506366 4188.67 44 44 166756AE6 US166756AE66 -- 94.28 United States -- USD 1.26 5.31 1 Aug 12, 2025 0.69 1.26 -- 5.31 1.26 5.31 Aug 12, 2020 Aug 12, 2020 NTAP NETAPP INC Technology Fixed Income 4188.67 0.0035923958101506366 4188.67 44 44 64110DAL8 US64110DAL82 -- 95.62 United States -- USD 1.12 5.84 1 Jun 22, 2025 1.88 1.11 -- 5.84 1.11 5.84 Jun 22, 2020 Jun 22, 2020 WRK WRKCO INC Basic Industry Fixed Income 4188.67 0.0035923958101506366 4188.67 43 43 92940PAB0 US92940PAB04 BJHGHL3 98.1 United States -- USD 1.73 5.72 1 Mar 15, 2026 4.65 1.77 -- 5.72 1.77 5.72 Dec 03, 2018 Feb 15, 2019 KLAC KLA CORP Technology Fixed Income 4186.92 0.0035908949297595427 4186.92 44 44 482480AG5 US482480AG50 BJDRF49 95.38 United States -- USD 4.28 5.18 1 Mar 15, 2029 4.1 4.34 -- 5.18 4.34 5.18 Mar 20, 2019 Mar 20, 2019 NACN NATIONAL BANK OF CANADA MTN Banking Fixed Income 4181.66 0.003586383712126883 4181.66 42 42 63307A2X2 US63307A2X29 -- 99.79 Canada -- USD 3.98 5.65 1 Dec 18, 2028 5.6 3.96 -- 5.65 3.96 5.65 Dec 18, 2023 Dec 18, 2023 AYR AIRCASTLE LTD 144A Finance Companies Fixed Income 4179.91 0.003584882831735789 4179.91 42 42 00928QAT8 US00928QAT85 -- 98.78 United States -- USD 1.21 6.24 1 Aug 11, 2025 5.25 1.22 -- 6.24 1.22 6.24 Aug 11, 2020 Aug 11, 2020 ENBCN ENBRIDGE INC Energy Fixed Income 4179.91 0.003584882831735789 4179.91 45 45 29250NAW5 US29250NAW56 BDVLN58 93.71 Canada -- USD 3.36 9.02 1 Mar 01, 2078 6.25 3.18 -- 8.18 3.3 8.18 Mar 01, 2018 Mar 01, 2018 SYY SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 4179.91 0.003584882831735789 4179.91 45 45 871829BF3 US871829BF39 BDGGZT6 93.51 United States -- USD 2.95 5.47 1 Jul 15, 2027 3.25 2.97 -- 5.47 2.97 5.47 Jun 22, 2017 Jun 22, 2017 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 4179.91 0.003584882831735789 4179.91 42 42 928668BU5 US928668BU57 -- 100 Germany -- USD 1.31 5.79 1 Sep 12, 2025 5.8 1.3 -- 5.79 1.3 5.79 Sep 12, 2023 Sep 12, 2023 WPLAU WOODSIDE FINANCE LTD 144A Energy Fixed Income 4179.91 0.003584882831735789 4179.91 44 44 980236AN3 US980236AN36 BD5NDT4 95.15 Australia -- USD 2.22 5.9 1 Sep 15, 2026 3.7 2.23 -- 5.9 2.23 5.9 Sep 15, 2016 Sep 15, 2016 ET ENERGY TRANSFER LP 144A Energy Fixed Income 4178.16 0.003583381951344695 4178.16 42 42 226373AR9 US226373AR90 -- 99.59 United States -- USD 2.6 6.1 1 Feb 01, 2029 6 4.04 -- 6.1 4.04 6.1 Jan 21, 2021 Jan 21, 2021 FIS FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 4178.16 0.003583381951344695 4178.16 48 48 31620MBS4 US31620MBS44 -- 86.79 United States -- USD 3.64 5.5 1 Mar 01, 2028 1.65 3.63 -- 5.5 3.63 5.5 Mar 02, 2021 Mar 02, 2021 WM WASTE MANAGEMENT INC Capital Goods Fixed Income 4178.16 0.003583381951344695 4178.16 49 49 94106LBN8 US94106LBN82 -- 85.84 United States -- USD 3.71 5.22 1 Mar 15, 2028 1.15 3.7 -- 5.22 3.7 5.22 Nov 17, 2020 Nov 17, 2020 RABOBK COOPERATIEVE RABOBANK UA NY MTN Banking Fixed Income 4176.41 0.003581881070953601 4176.41 42 42 21688AAW2 US21688AAW27 -- 99.94 Netherlands -- USD 1.16 5.55 1 Jul 18, 2025 5.5 1.16 -- 5.55 1.16 5.55 Jul 18, 2023 Jul 18, 2023 LAZ LAZARD GROUP LLC Brokerage/Asset Managers/Exchanges Fixed Income 4176.41 0.003581881070953601 4176.41 44 44 52107QAJ4 US52107QAJ40 BGKLMY2 95.02 United States -- USD 3.87 5.8 1 Sep 19, 2028 4.5 3.9 -- 5.8 3.9 5.8 Sep 19, 2018 Sep 19, 2018 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 4174.66 0.003580380190562507 4174.66 45 45 44891ABS5 US44891ABS50 -- 92.7 Korea (South) -- USD 1.64 5.87 1 Jan 08, 2026 1.3 1.63 -- 5.87 1.63 5.87 Jan 08, 2021 Jan 08, 2021 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 4172.91 0.003578879310171413 4172.91 42 42 02665WEY3 US02665WEY30 -- 99.22 United States -- USD 1.6 5.43 1 Jan 09, 2026 4.95 1.59 -- 5.43 1.59 5.43 Jan 10, 2024 Jan 10, 2024 DIS TWDC ENTERPRISES 18 CORP MTN Communications Fixed Income 4171.15 0.0035773698533209416 4171.15 43 43 25468PDF0 US25468PDF09 BYQSG07 96.92 United States -- USD 1.34 5.47 1 Sep 17, 2025 3.15 1.33 -- 5.47 1.33 5.47 Sep 17, 2015 Sep 17, 2015 SO SOUTHERN POWER COMPANY Electric Fixed Income 4167.65 0.0035743680925387536 4167.65 43 43 843646AM2 US843646AM23 BD5WCJ4 97.81 United States -- USD 1.46 5.6 1 Dec 01, 2025 4.15 1.5 -- 5.6 1.5 5.6 Nov 17, 2015 Nov 17, 2015 CF CF INDUSTRIES INC 144A Basic Industry Fixed Income 4165.9 0.0035728672121476597 4165.9 43 43 12527GAH6 US12527GAH65 BZ124W9 96.89 United States -- USD 2.38 5.8 1 Dec 01, 2026 4.5 2.37 -- 5.8 2.37 5.8 Nov 21, 2016 Nov 21, 2016 GLPI GLP CAPITAL LP Consumer Cyclical Fixed Income 4162.39 0.003569856874906094 4162.39 43 43 361841AL3 US361841AL38 BGLKMW6 96.9 United States -- USD 4.01 6.06 1 Jan 15, 2029 5.3 4.05 -- 6.06 4.05 6.06 Sep 26, 2018 Sep 26, 2018 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 4162.39 0.003569856874906094 4162.39 45 45 89236TJV8 US89236TJV89 -- 91.5 United States -- USD 2.58 5.3 1 Jan 13, 2027 1.9 2.57 -- 5.3 2.57 5.3 Jan 13, 2022 Jan 13, 2022 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 4160.64 0.003568355994515 4160.64 42 42 24422EWJ4 US24422EWJ45 -- 98.33 United States -- USD 1.31 5.33 1 Sep 08, 2025 4.05 1.3 -- 5.33 1.3 5.33 Sep 08, 2022 Sep 08, 2022 COR CENCORA INC Consumer Non-Cyclical Fixed Income 4158.89 0.003566855114123906 4158.89 44 44 03073EAP0 US03073EAP07 BFD9PD6 93.73 United States -- USD 3.28 5.37 1 Dec 15, 2027 3.45 3.31 -- 5.37 3.31 5.37 Dec 04, 2017 Dec 04, 2017 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 4158.89 0.003566855114123906 4158.89 42 42 55608PBQ6 US55608PBQ63 -- 99.77 Australia -- USD 2.37 5.48 1 Dec 07, 2026 5.39 2.36 -- 5.48 2.36 5.48 Dec 07, 2023 Dec 07, 2023 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 4158.89 0.003566855114123906 4158.89 42 42 713448FR4 US713448FR44 -- 98.17 United States -- USD 3.57 4.95 1 May 15, 2028 4.45 3.59 -- 4.95 3.59 4.95 Feb 15, 2023 Feb 15, 2023 INTNED ING GROEP NV Banking Fixed Income 4157.14 0.003565354233732812 4157.14 42 42 456837BL6 US456837BL64 -- 97.82 Netherlands -- USD 4.19 5.99 1 Mar 19, 2030 5.34 4.22 -- 5.85 4.22 5.85 Mar 19, 2024 Mar 19, 2024 PPL PPL CAPITAL FUNDING INC Electric Fixed Income 4157.14 0.003565354233732812 4157.14 44 44 69352PAL7 US69352PAL76 BDDQWQ5 95.55 United States -- USD 1.91 5.41 1 May 15, 2026 3.1 1.93 -- 5.41 1.93 5.41 May 17, 2016 May 17, 2016 RTX RTX CORP Capital Goods Fixed Income 4155.39 0.003563853353341718 4155.39 41 41 75513ECU3 US75513ECU38 -- 101.28 United States -- USD 3.98 5.43 1 Jan 15, 2029 5.75 3.99 -- 5.43 3.99 5.43 Nov 08, 2023 Nov 08, 2023 SYK STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 4155.39 0.003563853353341718 4155.39 43 43 863667AH4 US863667AH48 BYQGY29 96.79 United States -- USD 1.43 5.61 1 Nov 01, 2025 3.38 1.43 -- 5.61 1.43 5.61 Oct 29, 2015 Oct 29, 2015 WELL WELLTOWER OP LLC Reits Fixed Income 4155.39 0.003563853353341718 4155.39 44 44 95040QAD6 US95040QAD60 BFY3CZ8 95.19 United States -- USD 3.55 5.62 1 Apr 15, 2028 4.25 3.58 -- 5.62 3.58 5.62 Apr 10, 2018 Apr 10, 2018 CLP CLP CASH Cash and/or Derivatives Cash 4155.01 0.0035635274478853663 4155.01 37773 37773 -- -- -- 0.11 Chile -- USD 0 6.21 949.8 -- 0 0 -- 6.21 0 6.21 -- Jan 01, 1990 MFCCN MANULIFE FINANCIAL CORP Insurance Fixed Income 4151.88 0.003560843016100152 4151.88 44 44 56501RAE6 US56501RAE62 BF1GF62 94.6 Canada -- USD 2.62 6.31 1 Feb 24, 2032 4.06 2.57 -- 6.17 2.6 6.17 Feb 24, 2017 Feb 24, 2017 BLTN BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 4151.33 0.00356037131083438 4151.33 40 40 -- BRSTNCLTN8A7 BQC4T37 103.78 Brazil -- USD 5.39 11.64 5.17025 Jan 01, 2030 0 5.07 -- 11.64 5.07 11.64 Jan 05, 2024 Jan 05, 2024 MSFT MICROSOFT CORPORATION 144A Technology Fixed Income 4150.13 0.003559342135709058 4150.13 43 43 594918CG7 US594918CG78 -- 96.21 United States -- USD 2.21 5.11 1 Sep 15, 2026 3.4 2.25 -- 5.11 2.25 5.11 Sep 15, 2023 Nov 06, 2023 PAA PLAINS ALL AMERICAN PIPELINE LP / Energy Fixed Income 4148.38 0.003557841255317964 4148.38 43 43 72650RBL5 US72650RBL50 BDBGH39 97.33 United States -- USD 2.35 5.6 1 Dec 15, 2026 4.5 2.41 -- 5.6 2.41 5.6 Nov 22, 2016 Nov 22, 2016 COXENT COX COMMUNICATIONS INC 144A Communications Fixed Income 4143.12 0.003553330037685305 4143.12 44 44 224044CJ4 US224044CJ43 BF0MBJ6 93.95 United States -- USD 3.02 5.53 1 Aug 15, 2027 3.5 3.04 -- 5.53 3.04 5.53 Aug 07, 2017 Aug 07, 2017 ALLY ALLY FINANCIAL INC Banking Fixed Income 4141.37 0.003551829157294211 4141.37 40 40 02005NBR0 US02005NBR08 -- 103.23 United States -- USD 3 6.07 1 Nov 15, 2027 7.1 3.02 -- 6.06 2.96 6.06 Nov 15, 2022 Nov 15, 2022 FMEGR FRESENIUS MEDICAL CARE US FINANCE 144A Consumer Non-Cyclical Fixed Income 4137.87 0.003548827396512023 4137.87 46 46 35805BAC2 US35805BAC28 -- 89.98 Germany -- USD 2.47 6.1 1 Dec 01, 2026 1.88 2.45 -- 6.1 2.45 6.1 May 18, 2021 May 18, 2021 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 4134.36 0.003545817059270457 4134.36 42 42 05565ECJ2 US05565ECJ29 -- 98 Germany -- USD 4.3 5.37 1 Apr 02, 2029 4.9 4.31 -- 5.37 4.31 5.37 Apr 02, 2024 Apr 02, 2024 KEY KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 4130.86 0.003542815298488269 4130.86 43 43 49327M3E2 US49327M3E23 BMCS6H4 96.98 United States -- USD 1.22 6.64 1 Aug 08, 2025 4.15 1.21 -- 6.64 1.21 6.64 Aug 08, 2022 Aug 08, 2022 BRK BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 4127.36 0.003539813537706081 4127.36 44 44 084664CZ2 US084664CZ24 -- 93.01 United States -- USD 2.72 4.92 1 Mar 15, 2027 2.3 2.73 -- 4.92 2.73 4.92 Mar 15, 2022 Mar 15, 2022 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 4125.61 0.003538312657314987 4125.61 45 45 06406RBA4 US06406RBA41 -- 91.98 United States -- USD 2.61 5.22 1 Jan 26, 2027 2.05 2.61 -- 5.22 2.61 5.22 Jan 26, 2022 Jan 26, 2022 PNC PNC BANK NA Banking Fixed Income 4123.85 0.0035368032004645155 4123.85 45 45 69353RFJ2 US69353RFJ23 BF0SWW4 92.27 United States -- USD 3.43 5.57 1 Jan 22, 2028 3.25 3.42 -- 5.57 3.42 5.57 Jan 22, 2018 Jan 22, 2018 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 4123.85 0.0035368032004645155 4123.85 42 42 718172CU1 US718172CU19 -- 99.21 United States -- USD 1.45 5.53 1 Nov 17, 2025 5 1.45 -- 5.53 1.45 5.53 Nov 17, 2022 Nov 17, 2022 TNOTE TREASURY NOTE Treasuries Fixed Income 4123.53 0.00353652875376443 4123.53 42 42 9128283Z1 US9128283Z13 BYZMK08 97.95 United States -- USD 0.82 5.25 1 Feb 28, 2025 2.75 0.82 -- 5.25 0.82 5.25 Feb 28, 2018 Feb 28, 2018 VTRS VIATRIS INC Consumer Non-Cyclical Fixed Income 4122.1 0.0035353023200734215 4122.1 46 46 92556VAC0 US92556VAC00 -- 89.83 United States -- USD 2.96 5.88 1 Jun 22, 2027 2.3 2.95 -- 5.88 2.95 5.88 Jun 22, 2021 Oct 28, 2021 CPCHEM CHEVRON PHILLIPS CHEMICAL COMPANY 144A Basic Industry Fixed Income 4120.35 0.0035338014396823275 4120.35 44 44 166754AS0 US166754AS05 -- 94.19 United States -- USD 3.64 5.29 1 Jun 01, 2028 3.7 3.68 -- 5.29 3.68 5.29 Mar 08, 2018 Mar 08, 2018 FE MID-ATLANTIC INTERSTATE TRANSMISSI 144A Electric Fixed Income 4120.35 0.0035338014396823275 4120.35 44 44 59524QAA3 US59524QAA31 BFMHWX0 94.59 United States -- USD 3.56 5.61 1 May 15, 2028 4.1 3.6 -- 5.61 3.6 5.61 May 10, 2018 May 10, 2018 ENELIM ENEL FINANCE INTERNATIONAL NV 144A Electric Fixed Income 4116.85 0.0035307996789001395 4116.85 42 42 29278GAV0 US29278GAV05 -- 98.27 Italy -- USD 1.08 5.84 1 Jun 15, 2025 4.25 1.08 -- 5.84 1.08 5.84 Jun 15, 2022 Jun 15, 2022 GPC GENUINE PARTS COMPANY Consumer Cyclical Fixed Income 4116.85 0.0035307996789001395 4116.85 40 40 372460AE5 US372460AE59 -- 103.71 United States -- USD 3.76 5.56 1 Nov 01, 2028 6.5 3.78 -- 5.54 3.71 5.54 Nov 01, 2023 Nov 01, 2023 TRMB TRIMBLE INC Technology Fixed Income 4115.09 0.003529290222049668 4115.09 42 42 896239AC4 US896239AC42 BF4L962 97.79 United States -- USD 3.56 5.5 1 Jun 15, 2028 4.9 3.63 -- 5.5 3.63 5.5 Jun 15, 2018 Jun 15, 2018 AON AON CORP Insurance Fixed Income 4113.34 0.003527789341658574 4113.34 44 44 03740LAD4 US03740LAD47 -- 92.76 United States -- USD 2.86 5.42 1 May 28, 2027 2.85 2.86 -- 5.42 2.86 5.42 Feb 28, 2022 Feb 28, 2022 BPCEGP BPCE SA MTN 144A Banking Fixed Income 4113.34 0.003527789341658574 4113.34 42 42 05611C2A0 US05611C2A02 -- 99.09 France -- USD 1.64 5.65 1 Jan 26, 2026 5.1 1.63 -- 5.65 1.63 5.65 Jan 26, 2024 Jan 26, 2024 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 4111.59 0.00352628846126748 4111.59 41 41 05565ECC7 US05565ECC75 -- 99.73 Germany -- USD 1.22 5.51 1 Aug 11, 2025 5.3 1.22 -- 5.51 1.22 5.51 Aug 11, 2023 Aug 11, 2023 MISCMK MISC CAPITAL TWO (LABUAN) LTD 144A Owned No Guarantee Fixed Income 4108.09 0.003523286700485292 4108.09 43 43 60475DAB7 US60475DAB73 -- 94.83 Malaysia -- USD 2.73 5.68 1 Apr 06, 2027 3.75 2.73 -- 5.68 2.73 5.68 Apr 06, 2022 Apr 06, 2022 MO ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 4106.33 0.0035217772436348205 4106.33 42 42 02209SBH5 US02209SBH58 -- 96.75 United States -- USD 0.98 5.64 1 May 06, 2025 2.35 0.98 -- 5.64 0.98 5.64 May 06, 2020 May 06, 2020 SPG SIMON PROPERTY GROUP LP Reits Fixed Income 4106.33 0.0035217772436348205 4106.33 43 43 828807CW5 US828807CW58 BDFY6G5 96.33 United States -- USD 1.62 5.56 1 Jan 15, 2026 3.3 1.63 -- 5.56 1.63 5.56 Jan 13, 2016 Jan 13, 2016 BHF BRIGHTHOUSE FINANCIAL INC Insurance Fixed Income 4104.58 0.0035202763632437265 4104.58 44 44 10922NAC7 US10922NAC74 BD9C1J3 93.83 United States -- USD 2.87 5.87 1 Jun 22, 2027 3.7 2.88 -- 5.87 2.88 5.87 Dec 22, 2017 Apr 25, 2018 MBGGR DAIMLER FINANCE NORTH AMERICA LLC 144A Consumer Cyclical Fixed Income 4101.08 0.0035172746024615385 4101.08 43 43 233851CU6 US233851CU66 BYYPRY1 95.46 Germany -- USD 2.51 5.28 1 Jan 06, 2027 3.45 2.5 -- 5.28 2.5 5.28 Jan 06, 2017 Jan 06, 2017 VTRS VIATRIS INC Consumer Non-Cyclical Fixed Income 4101.08 0.0035172746024615385 4101.08 43 43 92556VAB2 US92556VAB27 -- 95.25 United States -- USD 1.12 5.96 1 Jun 22, 2025 1.65 1.11 -- 5.96 1.11 5.96 Jun 22, 2021 Oct 28, 2021 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 4099.33 0.0035157737220704445 4099.33 41 41 693475BV6 US693475BV67 -- 99.02 United States -- USD 2.47 5.95 1 Jan 21, 2028 5.3 2.48 -- 5.69 2.48 5.69 Jan 22, 2024 Jan 22, 2024 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 4097.58 0.0035142728416793505 4097.58 44 44 907818FB9 US907818FB91 BJ6H4T4 93.58 United States -- USD 4.29 5.21 1 Mar 01, 2029 3.7 4.33 -- 5.21 4.33 5.21 Feb 19, 2019 Feb 19, 2019 ENELCH ENEL CHILE SA Electric Fixed Income 4094.07 0.0035112625044377847 4094.07 43 43 29278DAA3 US29278DAA37 BF5C4C5 95.35 Chile -- USD 3.57 6.16 1 Jun 12, 2028 4.88 3.6 -- 6.16 3.6 6.16 Jun 12, 2018 Jun 12, 2018 EQMSRM EQUIPMENTSHARECOM INC 144A Capital Goods Fixed Income 4093.05 0.0035103877055812616 4093.05 40 40 29450YAB5 US29450YAB56 -- 101.88 United States -- USD 4.47 8.28 1 May 15, 2032 8.63 5.75 -- 8.13 4.04 8.13 Apr 16, 2024 Apr 16, 2024 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 4092.32 0.003509761624046691 4092.32 41 41 44891ACG0 US44891ACG04 -- 99.64 United States -- USD 1.98 5.82 1 Jun 26, 2026 5.65 1.98 -- 5.82 1.98 5.82 Jun 26, 2023 Jun 26, 2023 HOG HARLEY-DAVIDSON FINANCIAL SERVICES MTN 144A Consumer Cyclical Fixed Income 4090.57 0.003508260743655597 4090.57 41 41 41284VAC6 US41284VAC63 -- 100.73 United States -- USD 3.35 6.28 1 Mar 10, 2028 6.5 3.36 -- 6.28 3.29 6.28 Mar 10, 2023 Mar 10, 2023 ALB ALBEMARLE CORP Basic Industry Fixed Income 4088.82 0.003506759863264503 4088.82 42 42 012653AD3 US012653AD34 -- 96.97 United States -- USD 2.78 5.73 1 Jun 01, 2027 4.65 2.79 -- 5.73 2.79 5.73 May 13, 2022 May 13, 2022 EFNCN ELEMENT FLEET MANAGEMENT CORP 144A Transportation Fixed Income 4087.06 0.0035052504064140315 4087.06 40 40 286181AK8 US286181AK85 -- 101.39 Canada -- USD 3.86 5.97 1 Dec 04, 2028 6.32 3.86 -- 5.96 3.8 5.96 Dec 04, 2023 Dec 04, 2023 SMBCAC SMBC AVIATION CAPITAL FINANCE DAC 144A Finance Companies Fixed Income 4087.06 0.0035052504064140315 4087.06 41 41 78448TAH5 US78448TAH59 -- 98.53 Ireland -- USD 3.46 5.86 1 May 03, 2028 5.45 3.47 -- 5.86 3.47 5.86 May 03, 2023 May 03, 2023 ZTS ZOETIS INC Consumer Non-Cyclical Fixed Income 4087.06 0.0035052504064140315 4087.06 44 44 98978VAL7 US98978VAL71 BF58H80 92.63 United States -- USD 3.13 5.41 1 Sep 12, 2027 3 3.14 -- 5.41 3.14 5.41 Sep 12, 2017 Sep 12, 2017 WMB WILLIAMS COMPANIES INC Energy Fixed Income 4085.31 0.0035037495260229375 4085.31 42 42 96949LAB1 US96949LAB18 BW4PZB0 97.7 United States -- USD 1.31 5.75 1 Sep 15, 2025 4 1.32 -- 5.75 1.32 5.75 Mar 03, 2015 Mar 03, 2015 ACGCAP AVIATION CAPITAL GROUP LLC 144A Finance Companies Fixed Income 4083.56 0.0035022486456318435 4083.56 44 44 05369AAK7 US05369AAK79 -- 93.13 United States -- USD 1.69 6.11 1 Jan 30, 2026 1.95 1.68 -- 6.11 1.68 6.11 Jan 15, 2021 Jan 15, 2021 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 4080.06 0.0034992468848496555 4080.06 42 42 842400HQ9 US842400HQ95 -- 97.76 United States -- USD 2.77 5.5 1 Jun 01, 2027 4.7 2.79 -- 5.5 2.79 5.5 May 23, 2022 May 23, 2022 LGENSO LG ENERGY SOLUTION LTD 144A Consumer Cyclical Fixed Income 4078.31 0.0034977460044585615 4078.31 41 41 50205MAB5 US50205MAB54 -- 99.74 Korea (South) -- USD 3.86 5.82 1 Sep 25, 2028 5.75 3.83 -- 5.82 3.83 5.82 Sep 25, 2023 Sep 25, 2023 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 4076.55 0.0034962365476080897 4076.55 43 43 13607HR61 US13607HR618 -- 94.8 Canada -- USD 2.74 5.38 1 Apr 07, 2027 3.45 2.75 -- 5.38 2.75 5.38 Apr 07, 2022 Apr 07, 2022 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 4069.55 0.0034902330260437138 4069.55 41 41 04685A3Q2 US04685A3Q28 -- 99.06 United States -- USD 4.04 5.81 1 Jan 09, 2029 5.58 4.02 -- 5.81 4.02 5.81 Jan 09, 2024 Jan 09, 2024 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 4069.55 0.0034902330260437138 4069.55 42 42 05401AAG6 US05401AAG67 BJV0CQ1 96.4 Ireland -- USD 1.84 6.3 1 May 01, 2026 4.38 1.85 -- 6.3 1.85 6.3 Apr 16, 2019 Apr 16, 2019 LRCX LAM RESEARCH CORPORATION Technology Fixed Income 4069.55 0.0034902330260437138 4069.55 42 42 512807AS7 US512807AS72 -- 97.17 United States -- USD 1.76 5.34 1 Mar 15, 2026 3.75 1.79 -- 5.34 1.79 5.34 Mar 04, 2019 Mar 04, 2019 MPC MARATHON PETROLEUM CORP Energy Fixed Income 4069.55 0.0034902330260437138 4069.55 41 41 56585ABC5 US56585ABC53 BK1XBD7 98.98 United States -- USD 2.3 5.54 1 Dec 15, 2026 5.13 2.39 -- 5.54 2.39 5.54 Dec 15, 2018 May 22, 2019 NSANY NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 4069.55 0.0034902330260437138 4069.55 45 45 65480CAC9 US65480CAC91 -- 90.3 United States -- USD 2.29 6.28 1 Sep 16, 2026 1.85 2.27 -- 6.28 2.27 6.28 Sep 16, 2021 Sep 16, 2021 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 4066.04 0.0034872226888021485 4066.04 43 43 58013MFB5 US58013MFB54 BDFC7V1 95.41 United States -- USD 2.61 5.25 1 Mar 01, 2027 3.5 2.65 -- 5.25 2.65 5.25 Mar 09, 2017 Mar 09, 2017 TTWO TAKE-TWO INTERACTIVE SOFTWARE INC. Communications Fixed Income 4066.04 0.0034872226888021485 4066.04 41 41 874054AF6 US874054AF63 -- 98 United States -- USD 0.93 5.69 1 Apr 14, 2025 3.55 0.93 -- 5.69 0.93 5.69 Apr 14, 2022 Apr 14, 2022 WLK WESTLAKE CORP Basic Industry Fixed Income 4064.29 0.0034857218084110545 4064.29 43 43 960413AT9 US960413AT94 BDFZVC9 95.52 United States -- USD 2.14 5.7 1 Aug 15, 2026 3.6 2.15 -- 5.7 2.15 5.7 Feb 15, 2017 Apr 24, 2017 NFLX NETFLIX INC 144A Communications Fixed Income 4062.54 0.0034842209280199605 4062.54 42 42 64110LAY2 US64110LAY20 -- 97.8 United States -- USD 1.08 5.65 1 Jun 15, 2025 3.63 1.08 -- 5.65 1.08 5.65 Apr 28, 2020 Apr 28, 2020 LMT LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 4059.04 0.0034812191672377725 4059.04 42 42 539830BZ1 US539830BZ19 -- 97.33 United States -- USD 3.57 5.19 1 May 15, 2028 4.45 3.58 -- 5.19 3.58 5.19 May 25, 2023 May 25, 2023 TTWO TAKE-TWO INTERACTIVE SOFTWARE INC. Communications Fixed Income 4059.04 0.0034812191672377725 4059.04 41 41 874054AJ8 US874054AJ85 -- 98.83 United States -- USD 1.81 5.65 1 Mar 28, 2026 5 1.8 -- 5.65 1.8 5.65 Apr 14, 2023 Apr 14, 2023 ENTERP ERAC USA FINANCE LLC 144A Transportation Fixed Income 4055.53 0.0034782088299962067 4055.53 42 42 26884TAP7 US26884TAP75 BYZGCQ0 97.22 United States -- USD 1.41 5.74 1 Nov 01, 2025 3.8 1.42 -- 5.74 1.42 5.74 Nov 09, 2015 Nov 09, 2015 NEE FLORIDA POWER AND LIGHT CO Electric Fixed Income 4055.53 0.0034782088299962067 4055.53 42 42 341081FM4 US341081FM41 BDCRZK4 96.64 United States -- USD 1.5 5.34 1 Dec 01, 2025 3.13 1.51 -- 5.34 1.51 5.34 Nov 19, 2015 Nov 19, 2015 HYNMTR HYUNDAI CAPITAL AMERICA 144A Consumer Cyclical Fixed Income 4053.78 0.0034767079496051127 4053.78 43 43 44891ABN6 US44891ABN63 -- 94.32 Korea (South) -- USD 1.42 5.89 1 Oct 15, 2025 1.8 1.42 -- 5.89 1.42 5.89 Sep 18, 2020 Sep 18, 2020 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 4052.17 0.0034753271396453064 4052.17 405217 405217 -- IDG000009002 B45ZFW4 0.01 Indonesia -- USD 4.65 7.05 16187.5 Aug 15, 2030 10.5 4.66 -- 7.05 4.66 7.05 Aug 15, 2009 Aug 20, 2009 ENBCN ENBRIDGE INC Energy Fixed Income 4052.03 0.0034752070692140188 4052.03 40 40 29250NBW4 US29250NBW48 -- 100.69 Canada -- USD 2.26 5.61 1 Nov 15, 2026 5.9 2.28 -- 5.6 2.21 5.6 Nov 09, 2023 Nov 09, 2023 ANZ AUSTRALIA AND NEW ZEALAND BANKING MTN Banking Fixed Income 4050.28 0.0034737061888229248 4050.28 41 41 05253JAX9 US05253JAX90 -- 99.85 Australia -- USD 1.12 5.5 1 Jul 03, 2025 5.38 1.12 -- 5.5 1.12 5.5 Jul 03, 2023 Jul 03, 2023 D DOMINION ENERGY INC Electric Fixed Income 4050.28 0.0034737061888229248 4050.28 42 42 25746UCE7 US25746UCE73 BYTX2H8 97.54 United States -- USD 1.35 5.71 1 Oct 01, 2025 3.9 1.37 -- 5.71 1.37 5.71 Sep 24, 2015 Sep 24, 2015 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 4050.28 0.0034737061888229248 4050.28 40 40 345397C43 US345397C437 -- 101.32 United States -- USD 1.67 6.18 1 Mar 06, 2026 6.95 1.71 -- 6.17 1.64 6.17 Jan 06, 2023 Jan 06, 2023 HEI HEICO CORP Capital Goods Fixed Income 4048.52 0.003472196731972453 4048.52 41 41 422806AA7 US422806AA75 -- 98.93 United States -- USD 3.72 5.53 1 Aug 01, 2028 5.25 3.73 -- 5.53 3.73 5.53 Jul 27, 2023 Jul 27, 2023 MQGAU MACQUARIE GROUP LTD MTN 144A Banking Fixed Income 4048.52 0.003472196731972453 4048.52 45 45 55607PAF2 US55607PAF27 -- 90.66 Australia -- USD 2.33 5.95 1 Sep 23, 2027 1.63 2.3 -- 5.84 2.3 5.84 Jun 23, 2021 Jun 23, 2021 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 4048.52 0.003472196731972453 4048.52 41 41 64952WFD0 US64952WFD02 -- 98.15 United States -- USD 3.64 5.4 1 Jun 13, 2028 4.9 3.62 -- 5.4 3.62 5.4 Jun 13, 2023 Jun 13, 2023 HNDA AMERICAN HONDA FINANCE CORPORATION Consumer Cyclical Fixed Income 4046.77 0.003470695851581359 4046.77 43 43 02665WDL2 US02665WDL28 -- 95 United States -- USD 1.16 5.56 1 Jul 08, 2025 1.2 1.16 -- 5.56 1.16 5.56 Jul 08, 2020 Jul 08, 2020 V VISA INC Technology Fixed Income 4045.02 0.003469194971190265 4045.02 44 44 92826CAH5 US92826CAH51 BD5WJ15 92.79 United States -- USD 3.14 5.09 1 Sep 15, 2027 2.75 3.16 -- 5.09 3.16 5.09 Sep 11, 2017 Sep 11, 2017 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 4038.01 0.0034631828731665117 4038.01 43 43 92343VFF6 US92343VFF67 -- 93.72 United States -- USD 2.71 5.36 1 Mar 22, 2027 3 2.72 -- 5.36 2.72 5.36 Mar 20, 2020 Mar 20, 2020 NOC NORTHROP GRUMMAN CORP Capital Goods Fixed Income 4036.26 0.0034616819927754177 4036.26 43 43 666807BK7 US666807BK73 BYW4DC0 94.92 United States -- USD 2.55 5.19 1 Feb 01, 2027 3.2 2.58 -- 5.19 2.58 5.19 Dec 01, 2016 Dec 01, 2016 VICI VICI PROPERTIES LP 144A Consumer Cyclical Fixed Income 4036.26 0.0034616819927754177 4036.26 41 41 92564RAG0 US92564RAG02 BMH6ZL0 98.31 United States -- USD 1.06 6.17 1 Jun 15, 2025 4.63 1.07 -- 6.17 1.07 6.17 Dec 15, 2021 Apr 29, 2022 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 4034.51 0.0034601811123843237 4034.51 41 41 03027XBY5 US03027XBY58 -- 99.42 United States -- USD 3.42 5.67 1 Mar 15, 2028 5.5 3.43 -- 5.67 3.43 5.67 Mar 03, 2023 Mar 03, 2023 CHTR CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 4034.51 0.0034601811123843237 4034.51 43 43 161175BR4 US161175BR49 BH420W2 94.27 United States -- USD 4.24 6.42 1 Mar 30, 2029 5.05 4.26 -- 6.42 4.26 6.42 Jan 17, 2019 Jan 17, 2019 HON HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 4034.51 0.0034601811123843237 4034.51 42 42 438516CL8 US438516CL85 -- 96.33 United States -- USD 4.15 5.13 1 Jan 15, 2029 4.25 4.16 -- 5.13 4.16 5.13 May 17, 2023 May 17, 2023 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 4034.51 0.0034601811123843237 4034.51 40 40 86562MDA5 US86562MDA53 -- 100.66 Japan -- USD 2.03 5.56 1 Jul 13, 2026 5.88 2.02 -- 5.56 2.02 5.56 Jul 13, 2023 Jul 13, 2023 CLR CONTINENTAL RESOURCES INC 144A Energy Fixed Income 4031.01 0.0034571793516021358 4031.01 44 44 212015AU5 US212015AU57 -- 91.57 United States -- USD 2.41 5.87 1 Nov 15, 2026 2.27 2.4 -- 5.87 2.4 5.87 Nov 22, 2021 Nov 22, 2021 ELV ELEVANCE HEALTH INC Insurance Fixed Income 4029.25 0.003455669894751664 4029.25 43 43 036752AR4 US036752AR45 -- 92.91 United States -- USD 1.82 5.5 1 Mar 15, 2026 1.5 1.82 -- 5.5 1.82 5.5 Mar 17, 2021 Mar 17, 2021 ES EVERSOURCE ENERGY Electric Fixed Income 4029.25 0.003455669894751664 4029.25 42 42 30040WAR9 US30040WAR97 -- 96.99 United States -- USD 2.86 5.64 1 Jul 01, 2027 4.6 2.87 -- 5.64 2.87 5.64 Jun 27, 2022 Jun 27, 2022 GM GENERAL MOTORS CO Consumer Cyclical Fixed Income 4029.25 0.003455669894751664 4029.25 42 42 37045VAN0 US37045VAN01 BF6NPZ7 95.44 United States -- USD 3.09 5.68 1 Oct 01, 2027 4.2 3.13 -- 5.68 3.13 5.68 Aug 07, 2017 Aug 07, 2017 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 4029.25 0.003455669894751664 4029.25 43 43 693475AX3 US693475AX33 BJX5W42 93.99 United States -- USD 2.12 5.48 1 Jul 23, 2026 2.6 2.12 -- 5.48 2.12 5.48 Jul 23, 2019 Jul 23, 2019 GPN GLOBAL PAYMENTS INC Technology Fixed Income 4029.25 0.003455669894751664 4029.25 41 41 891906AC3 US891906AC37 BD1DGK0 98.47 United States -- USD 1.73 5.64 1 Apr 01, 2026 4.8 1.81 -- 5.64 1.81 5.64 Mar 17, 2016 Mar 17, 2016 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 4025.75 0.003452668133969476 4025.75 42 42 91324PCW0 US91324PCW05 BZ0X5S6 95.76 United States -- USD 2.53 5.14 1 Jan 15, 2027 3.45 2.53 -- 5.14 2.53 5.14 Dec 20, 2016 Dec 20, 2016 WAB WESTINGHOUSE AIR BRAKE TECHNOLOGIE Capital Goods Fixed Income 4025.75 0.003452668133969476 4025.75 42 42 960386AL4 US960386AL46 BYXGKP7 94.98 United States -- USD 2.34 5.59 1 Nov 15, 2026 3.45 2.36 -- 5.59 2.36 5.59 May 15, 2017 Aug 25, 2017 KORELE KOREA ELECTRIC POWER CORP 144A Owned No Guarantee Fixed Income 4024 0.003451167253578382 4024 40 40 500631AX4 US500631AX49 -- 99.6 Korea (South) -- USD 1.82 5.59 1 Apr 06, 2026 5.38 1.82 -- 5.59 1.82 5.59 Oct 06, 2022 Oct 06, 2022 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 4024 0.003451167253578382 4024 44 44 718172CR8 US718172CR89 -- 91.41 United States -- USD 1.94 5.43 1 May 01, 2026 0.88 1.94 -- 5.43 1.94 5.43 Nov 02, 2020 Nov 02, 2020 TFC TRUIST BANK Banking Fixed Income 4022.25 0.003449666373187288 4022.25 42 42 07330MAA5 US07330MAA53 BQYHBZ0 95.39 United States -- USD 2.3 5.8 1 Oct 30, 2026 3.8 2.31 -- 5.8 2.31 5.8 Sep 29, 2014 Sep 29, 2014 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 4020.49 0.0034481569163368163 4020.49 44 44 44891ABW6 US44891ABW62 BMHFKN4 91.56 United States -- USD 2.05 5.75 1 Jun 15, 2026 1.5 2.04 -- 5.75 2.04 5.75 Jun 15, 2021 Jun 15, 2021 PETMK PETRONAS ENERGY CANADA LTD MTN 144A Owned No Guarantee Fixed Income 4020.49 0.0034481569163368163 4020.49 45 45 71675BAA8 US71675BAA89 -- 88.54 Malaysia -- USD 3.66 5.4 1 Mar 23, 2028 2.11 3.66 -- 5.4 3.66 5.4 Mar 23, 2021 Mar 23, 2021 AL AIR LEASE CORPORATION MTN Finance Companies Fixed Income 4018.74 0.0034466560359457223 4018.74 41 41 00914AAU6 US00914AAU60 -- 98.32 United States -- USD 3.32 5.8 1 Feb 01, 2028 5.3 3.32 -- 5.8 3.32 5.8 Jan 13, 2023 Jan 13, 2023 AON AON NORTH AMERICA INC Insurance Fixed Income 4016.99 0.0034451551555546283 4016.99 40 40 03740MAA8 US03740MAA80 -- 99.37 United States -- USD 2.57 5.36 1 Mar 01, 2027 5.13 2.6 -- 5.36 2.6 5.36 Mar 01, 2024 Mar 01, 2024 NORBK NORINCHUKIN BANK/THE 144A Banking Fixed Income 4016.99 0.0034451551555546283 4016.99 41 41 656029AJ4 US656029AJ47 -- 97.82 Japan -- USD 3.07 5.58 1 Sep 14, 2027 4.87 3.06 -- 5.58 3.06 5.58 Sep 14, 2022 Sep 14, 2022 OPI OFFICE PROPERTIES INCOME TRUST Reits Fixed Income 4016.44 0.003444683450288856 4016.44 98 98 67623CAF6 US67623CAF68 -- 40.82 United States -- USD 5.89 18.28 1 Oct 15, 2031 3.45 5.51 -- 18.28 5.51 18.28 Sep 28, 2021 Sep 28, 2021 EIX EDISON INTERNATIONAL Electric Fixed Income 4015.24 0.0034436542751635343 4015.24 41 41 281020AY3 US281020AY36 -- 97.79 United States -- USD 3.9 5.81 1 Nov 15, 2028 5.25 3.9 -- 5.81 3.9 5.81 May 15, 2023 May 15, 2023 ADI ANALOG DEVICES INC Technology Fixed Income 4013.49 0.0034421533947724403 4013.49 47 47 032654AU9 US032654AU97 -- 86.15 United States -- USD 4.17 5.24 1 Oct 01, 2028 1.7 4.16 -- 5.24 4.16 5.24 Oct 05, 2021 Oct 05, 2021 AZN ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 4013.49 0.0034421533947724403 4013.49 43 43 046353AN8 US046353AN82 BF4SNF0 94.14 United Kingdom -- USD 2.87 5.18 1 Jun 12, 2027 3.13 2.89 -- 5.18 2.89 5.18 Jun 12, 2017 Jun 12, 2017 DGELN DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 4011.74 0.0034406525143813463 4011.74 42 42 25243YBC2 US25243YBC21 -- 94.47 United Kingdom -- USD 1.38 5.45 1 Sep 29, 2025 1.38 1.38 -- 5.45 1.38 5.45 Apr 29, 2020 Apr 29, 2020 RSG REPUBLIC SERVICES INC Capital Goods Fixed Income 4011.74 0.0034406525143813463 4011.74 41 41 760759BB5 US760759BB57 -- 97.92 United States -- USD 4.3 5.36 1 Apr 01, 2029 4.88 4.31 -- 5.36 4.31 5.36 Mar 28, 2023 Mar 28, 2023 SO AGL CAPITAL CORPORATION Natural Gas Fixed Income 4002.98 0.003433139535966499 4002.98 42 42 001192AM5 US001192AM59 BDCGVR0 95.19 United States -- USD 1.99 5.67 1 Jun 15, 2026 3.25 2 -- 5.67 2 5.67 May 18, 2016 May 18, 2016 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 4002.98 0.003433139535966499 4002.98 43 43 345397YT4 US345397YT41 BF00101 92.52 United States -- USD 3.16 6.21 1 Nov 02, 2027 3.81 3.16 -- 6.21 3.16 6.21 Nov 02, 2017 Nov 02, 2017 MHK MOHAWK INDUSTRIES INC Capital Goods Fixed Income 4002.98 0.003433139535966499 4002.98 40 40 608190AM6 US608190AM61 -- 100.91 United States -- USD 3.8 5.61 1 Sep 18, 2028 5.85 3.81 -- 5.61 3.81 5.61 Sep 18, 2023 Sep 18, 2023 FANG DIAMONDBACK ENERGY INC Energy Fixed Income 4001.22 0.0034316300791160273 4001.22 42 42 25278XAM1 US25278XAM11 -- 94.87 United States -- USD 2.4 5.39 1 Dec 01, 2026 3.25 2.41 -- 5.39 2.41 5.39 Dec 05, 2019 Dec 05, 2019 ACAFP CREDIT AGRICOLE SA (LONDON BRANCH) MTN 144A Banking Fixed Income 3999.47 0.0034301291987249333 3999.47 42 42 22535WAB3 US22535WAB37 BD0ZVC4 96.29 France -- USD 2.5 5.62 1 Jan 10, 2027 4.13 2.49 -- 5.62 2.49 5.62 Jan 10, 2017 Jan 10, 2017 CNHI CNH INDUSTRIAL CAPITAL LLC Capital Goods Fixed Income 3997.72 0.0034286283183338393 3997.72 42 42 12592BAQ7 US12592BAQ77 -- 96.23 United States -- USD 3.55 5.62 1 Apr 10, 2028 4.55 3.55 -- 5.62 3.55 5.62 Apr 10, 2023 Apr 10, 2023 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3995.97 0.0034271274379427453 3995.97 41 41 718172BQ1 US718172BQ16 BYR3C25 97.41 United States -- USD 1.23 5.47 1 Aug 11, 2025 3.38 1.24 -- 5.47 1.24 5.47 Aug 11, 2015 Aug 11, 2015 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 3995.97 0.0034271274379427453 3995.97 40 40 89236TKX2 US89236TKX27 -- 99.43 United States -- USD 2.13 5.26 1 Aug 14, 2026 5 2.13 -- 5.26 2.13 5.26 Aug 14, 2023 Aug 14, 2023 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 3994.22 0.0034256265575516513 3994.22 41 41 57629WDK3 US57629WDK36 -- 98.23 United States -- USD 1.27 5.53 1 Aug 26, 2025 4.15 1.27 -- 5.53 1.27 5.53 Aug 26, 2022 Aug 26, 2022 AVGO BROADCOM INC Technology Fixed Income 3992.46 0.0034241171007011796 3992.46 42 42 11135FAN1 US11135FAN15 -- 95.57 United States -- USD 2.23 5.46 1 Sep 15, 2026 3.46 2.24 -- 5.46 2.24 5.46 May 21, 2020 Aug 07, 2020 TMUS T-MOBILE USA INC Communications Fixed Income 3990.71 0.0034226162203100856 3990.71 40 40 87264AAT2 US87264AAT25 BYZNTR1 100.19 United States -- USD 1.34 5.31 1 Apr 15, 2027 5.38 2.71 -- 5.17 0.93 5.17 Mar 16, 2017 Mar 16, 2017 TD TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 3987.21 0.003419614459527898 3987.21 40 40 89115A2K7 US89115A2K70 -- 99.62 Canada -- USD 1.59 5.33 1 Jan 09, 2026 5.1 1.59 -- 5.33 1.59 5.33 Jan 10, 2023 Jan 10, 2023 WM WASTE MANAGEMENT INC Capital Goods Fixed Income 3987.21 0.003419614459527898 3987.21 40 40 94106LBV0 US94106LBV09 -- 98.68 United States -- USD 4.18 5.19 1 Feb 15, 2029 4.88 4.19 -- 5.19 4.19 5.19 Aug 03, 2023 Aug 03, 2023 AVGO BROADCOM INC 144A Technology Fixed Income 3983.71 0.00341661269874571 3983.71 43 43 11135FBR1 US11135FBR10 -- 93.29 United States -- USD 4.4 5.56 1 Apr 15, 2029 4 4.41 -- 5.56 4.41 5.56 Apr 14, 2022 Apr 14, 2022 MET METROPOLITAN LIFE GLOBAL FUNDING I 144A Insurance Fixed Income 3971.44 0.0034060893830892966 3971.44 43 43 59217GCK3 US59217GCK31 BYWJVC1 92.46 United States -- USD 3.17 5.46 1 Sep 19, 2027 3 3.15 -- 5.46 3.15 5.46 Sep 19, 2017 Sep 19, 2017 SYNNVX SYNGENTA FINANCE NV 144A Owned No Guarantee Fixed Income 3969.69 0.0034045885026982026 3969.69 40 40 87164KAG9 US87164KAG94 BFFZJ30 98.82 Switzerland -- USD 0.93 6.13 1 Apr 24, 2025 4.89 0.96 -- 6.13 0.96 6.13 Apr 24, 2018 Apr 24, 2018 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3967.94 0.0034030876223071086 3967.94 42 42 03027XAP5 US03027XAP50 BYVSWC6 93.92 United States -- USD 2.93 5.64 1 Jul 15, 2027 3.55 2.95 -- 5.64 2.95 5.64 Jun 30, 2017 Jun 30, 2017 SANLTD SANDS CHINA LTD Consumer Cyclical Fixed Income 3966.19 0.0034015867419160146 3966.19 41 41 80007RAK1 US80007RAK14 BMG00J6 96.24 Macau -- USD 1.6 6.41 1 Jan 08, 2026 4.05 1.59 -- 6.41 1.59 6.41 Jan 08, 2021 Feb 02, 2021 ENBCN ENBRIDGE INC Energy Fixed Income 3964.44 0.0034000858615249206 3964.44 41 41 29250NAL9 US29250NAL91 BZ6CXC7 97.01 Canada -- USD 2.32 5.5 1 Dec 01, 2026 4.25 2.38 -- 5.5 2.38 5.5 Nov 29, 2016 Nov 29, 2016 EXC EXELON CORPORATION Electric Fixed Income 3964.44 0.0034000858615249206 3964.44 41 41 30161NAU5 US30161NAU54 BD073L3 96.07 United States -- USD 1.85 5.53 1 Apr 15, 2026 3.4 1.87 -- 5.53 1.87 5.53 Apr 07, 2016 Apr 07, 2016 FE JERSEY CENTRAL POWER & LIGHT COMPA 144A Electric Fixed Income 3962.68 0.0033985764046744493 3962.68 41 41 476556DC6 US476556DC60 BYTGN63 97.3 United States -- USD 1.59 5.97 1 Jan 15, 2026 4.3 1.61 -- 5.97 1.61 5.97 Aug 18, 2015 Aug 18, 2015 DUK DUKE ENERGY CAROLINAS LLC Electric Fixed Income 3960.93 0.0033970755242833553 3960.93 42 42 26442CAS3 US26442CAS35 BZ3FFL2 94.47 United States -- USD 2.41 5.25 1 Dec 01, 2026 2.95 2.43 -- 5.25 2.43 5.25 Nov 17, 2016 Nov 17, 2016 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 3960.93 0.0033970755242833553 3960.93 42 42 571903AS2 US571903AS22 BDHLBY7 95.23 United States -- USD 1.99 5.52 1 Jun 15, 2026 3.13 2.01 -- 5.52 2.01 5.52 Jun 10, 2016 Jun 10, 2016 SWEDA SWEDBANK AB MTN 144A Banking Fixed Income 3960.93 0.0033970755242833553 3960.93 40 40 87020PAY3 US87020PAY34 -- 98.57 Sweden -- USD 4.23 5.74 1 Mar 14, 2029 5.41 4.21 -- 5.74 4.21 5.74 Mar 14, 2024 Mar 14, 2024 MQGAU MACQUARIE GROUP LTD 144A Banking Fixed Income 3959.18 0.0033955746438922613 3959.18 42 42 55608JAK4 US55608JAK43 BF2RBQ6 93.17 Australia -- USD 3.22 6.11 1 Nov 28, 2028 3.76 3.23 -- 5.9 3.23 5.9 Nov 28, 2017 Nov 28, 2017 NWG NATWEST MARKETS PLC MTN 144A Banking Fixed Income 3959.18 0.0033955746438922613 3959.18 43 43 63906YAD0 US63906YAD04 -- 91.06 United Kingdom -- USD 2.33 5.59 1 Sep 29, 2026 1.6 2.32 -- 5.59 2.32 5.59 Sep 29, 2021 Sep 29, 2021 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 3957.43 0.0033940737635011673 3957.43 42 42 928668BB7 US928668BB76 -- 94.54 Germany -- USD 2.28 5.65 1 Sep 26, 2026 3.2 2.28 -- 5.65 2.28 5.65 Sep 26, 2019 Sep 26, 2019 FITB FIFTH THIRD BANCORP Banking Fixed Income 3953.92 0.0033910634262596016 3953.92 43 43 316773DA5 US316773DA59 -- 91.33 United States -- USD 2.82 5.71 1 May 05, 2027 2.55 2.81 -- 5.71 2.81 5.71 May 05, 2020 May 05, 2020 MMC MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 3953.92 0.0033910634262596016 3953.92 41 41 571748AZ5 US571748AZ55 BYMYNL9 97.21 United States -- USD 1.75 5.32 1 Mar 14, 2026 3.75 1.78 -- 5.32 1.78 5.32 Sep 14, 2015 Sep 14, 2015 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 3950.42 0.0033880616654774136 3950.42 40 40 58013MFU3 US58013MFU36 -- 98.33 United States -- USD 3.78 5.24 1 Aug 14, 2028 4.8 3.8 -- 5.24 3.8 5.24 Aug 14, 2023 Aug 14, 2023 CSX CSX CORP Transportation Fixed Income 3945.16 0.003383550447844754 3945.16 42 42 126408HH9 US126408HH96 BYPF698 94.27 United States -- USD 2.83 5.28 1 Jun 01, 2027 3.25 2.85 -- 5.28 2.85 5.28 May 01, 2017 May 01, 2017 FERGLN FERGUSON FINANCE PLC 144A Capital Goods Fixed Income 3939.91 0.003379047806671472 3939.91 41 41 314890AA2 US314890AA22 -- 96.19 United States -- USD 3.95 5.47 1 Oct 24, 2028 4.5 4 -- 5.47 4 5.47 Oct 24, 2018 Oct 24, 2018 MU MICRON TECHNOLOGY INC Technology Fixed Income 3939.91 0.003379047806671472 3939.91 40 40 595112CA9 US595112CA91 -- 99.49 United States -- USD 3.52 5.52 1 Apr 15, 2028 5.38 3.53 -- 5.52 3.53 5.52 Apr 11, 2023 Apr 11, 2023 AL AIR LEASE CORPORATION MTN Finance Companies Fixed Income 3936.41 0.003376046045889284 3936.41 41 41 00914AAB8 US00914AAB89 BK6QRN3 95.98 United States -- USD 1.94 5.81 1 Jun 01, 2026 3.75 1.95 -- 5.81 1.95 5.81 May 23, 2019 May 23, 2019 EQIX EQUINIX INC Technology Fixed Income 3936.41 0.003376046045889284 3936.41 42 42 29444UBD7 US29444UBD72 BKDLSZ0 93.5 United States -- USD 2.39 5.66 1 Nov 18, 2026 2.9 2.39 -- 5.66 2.39 5.66 Nov 18, 2019 Nov 18, 2019 KEYS KEYSIGHT TECHNOLOGIES INC Technology Fixed Income 3934.65 0.0033745365890388125 3934.65 40 40 49338LAE3 US49338LAE39 BD1WWT8 97.56 United States -- USD 2.64 5.51 1 Apr 06, 2027 4.6 2.71 -- 5.51 2.71 5.51 Apr 06, 2017 Apr 06, 2017 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 3934.65 0.0033745365890388125 3934.65 40 40 641062BA1 US641062BA11 -- 98.2 Switzerland -- USD 1.31 5.37 1 Sep 12, 2025 4 1.32 -- 5.37 1.32 5.37 Sep 13, 2022 Sep 13, 2022 AKERBP AKER BP ASA 144A Energy Fixed Income 3932.9 0.0033730357086477186 3932.9 39 39 00973RAL7 US00973RAL78 -- 99.73 Norway -- USD 3.56 5.67 1 Jun 13, 2028 5.6 3.57 -- 5.67 3.57 5.67 Jun 13, 2023 Jun 13, 2023 HPE HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 3932.9 0.0033730357086477186 3932.9 40 40 42824CBP3 US42824CBP32 -- 99.2 United States -- USD 3.64 5.46 1 Jul 01, 2028 5.25 3.65 -- 5.46 3.65 5.46 Jun 14, 2023 Jun 14, 2023 EIX EDISON INTERNATIONAL Electric Fixed Income 3929.4 0.0033700339478655306 3929.4 42 42 281020AM9 US281020AM97 BF28Y93 94.01 United States -- USD 3.48 5.87 1 Mar 15, 2028 4.13 3.5 -- 5.87 3.5 5.87 Mar 13, 2018 Mar 13, 2018 IMBLN IMPERIAL BRANDS FINANCE PLC 144A Consumer Non-Cyclical Fixed Income 3929.4 0.0033700339478655306 3929.4 41 41 45262BAB9 US45262BAB99 -- 95.1 United Kingdom -- USD 2.1 5.85 1 Jul 26, 2026 3.5 2.1 -- 5.85 2.1 5.85 Jul 26, 2019 Jul 26, 2019 INDOIS PERUSAHAAN PENERBIT SBSN INDONESIA Treasuries Fixed Income 3927.5 0.003368404420583771 3927.5 392750 392750 -- IDP000004608 BKVD4Y9 0.01 Indonesia -- USD 2.03 6.66 16187.5 Jul 15, 2026 4.88 2.04 -- 6.66 2.04 6.66 Jul 15, 2021 Jul 29, 2021 VLTO VERALTO CORP 144A Capital Goods Fixed Income 3925.89 0.003367023610623965 3925.89 39 39 92338CAA1 US92338CAA18 -- 99.42 United States -- USD 2.18 5.76 1 Sep 18, 2026 5.5 2.2 -- 5.76 2.2 5.76 Sep 18, 2023 Sep 18, 2023 MA MASTERCARD INC Technology Fixed Income 3920.64 0.003362520969450683 3920.64 41 41 57636QAG9 US57636QAG91 BD6KVY5 94.79 United States -- USD 2.38 5.14 1 Nov 21, 2026 2.95 2.4 -- 5.14 2.4 5.14 Nov 21, 2016 Nov 21, 2016 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 3920.64 0.003362520969450683 3920.64 39 39 709599BS2 US709599BS26 -- 99.61 United States -- USD 3.29 5.81 1 Feb 01, 2028 5.7 3.3 -- 5.81 3.3 5.81 Jan 12, 2023 Jan 12, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 3920.64 0.003362520969450683 3920.64 40 40 78016FZW7 US78016FZW75 -- 98.23 Canada -- USD 3.31 5.43 1 Jan 12, 2028 4.9 3.3 -- 5.43 3.3 5.43 Jan 12, 2023 Jan 12, 2023 AIRFP AIRBUS GROUP SE 144A Capital Goods Fixed Income 3918.89 0.003361020089059589 3918.89 42 42 009279AA8 US009279AA86 BF14F33 94.43 France -- USD 2.74 5.21 1 Apr 10, 2027 3.15 2.77 -- 5.21 2.77 5.21 Apr 10, 2017 Apr 10, 2017 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL 144A Banking Fixed Income 3918.89 0.003361020089059589 3918.89 40 40 06675DCE0 US06675DCE04 -- 97.61 France -- USD 2.91 5.57 1 Jul 13, 2027 4.75 2.9 -- 5.57 2.9 5.57 Jul 13, 2022 Jul 13, 2022 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 3918.89 0.003361020089059589 3918.89 42 42 60687YAG4 US60687YAG44 BD3RRR4 93.93 Japan -- USD 2.26 5.59 1 Sep 13, 2026 2.84 2.25 -- 5.59 2.25 5.59 Sep 13, 2016 Sep 13, 2016 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3917.14 0.003359519208668495 3917.14 42 42 02665WDN8 US02665WDN83 -- 94.14 United States -- USD 1.33 5.48 1 Sep 10, 2025 1 1.33 -- 5.48 1.33 5.48 Sep 10, 2020 Sep 10, 2020 APD AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 3915.38 0.003358009751818023 3915.38 43 43 009158AY2 US009158AY27 -- 90.97 United States -- USD 2.88 5.08 1 May 15, 2027 1.85 2.88 -- 5.08 2.88 5.08 Apr 30, 2020 Apr 30, 2020 CSCO CISCO SYSTEMS INC Technology Fixed Income 3913.63 0.003356508871426929 3913.63 41 41 17275RBC5 US17275RBC51 BYYLHV6 96.02 United States -- USD 1.76 5.25 1 Feb 28, 2026 2.95 1.75 -- 5.25 1.75 5.25 Feb 29, 2016 Feb 29, 2016 KR KROGER CO Consumer Non-Cyclical Fixed Income 3913.63 0.003356508871426929 3913.63 42 42 501044DE8 US501044DE89 BDCG0L7 93.74 United States -- USD 2.33 5.39 1 Oct 15, 2026 2.65 2.34 -- 5.39 2.34 5.39 Oct 03, 2016 Oct 03, 2016 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3913.63 0.003356508871426929 3913.63 41 41 718172CN7 US718172CN75 -- 96.17 United States -- USD 0.98 5.43 1 May 01, 2025 1.5 0.98 -- 5.43 0.98 5.43 May 01, 2020 May 01, 2020 ROP ROPER TECHNOLOGIES INC Technology Fixed Income 3913.63 0.003356508871426929 3913.63 41 41 776743AD8 US776743AD85 BZCD799 96.09 United States -- USD 2.39 5.41 1 Dec 15, 2026 3.8 2.43 -- 5.41 2.43 5.41 Dec 19, 2016 Dec 19, 2016 SEB SKANDINAVISKA ENSKILDA BANKEN AB MTN 144A Banking Fixed Income 3913.63 0.003356508871426929 3913.63 40 40 830505BB8 US830505BB89 -- 98.3 Sweden -- USD 4.21 5.78 1 Mar 05, 2029 5.38 4.18 -- 5.78 4.18 5.78 Mar 05, 2024 Mar 05, 2024 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 3913.63 0.003356508871426929 3913.63 40 40 928668AT9 US928668AT93 BFMVZD3 98.31 Germany -- USD 1.45 5.78 1 Nov 13, 2025 4.63 1.44 -- 5.78 1.44 5.78 Nov 13, 2018 Nov 13, 2018 CAH CARDINAL HEALTH INC Consumer Non-Cyclical Fixed Income 3911.88 0.003355007991035835 3911.88 40 40 14149YBN7 US14149YBN76 -- 98.29 United States -- USD 4.16 5.53 1 Feb 15, 2029 5.13 4.16 -- 5.53 4.16 5.53 Feb 20, 2024 Feb 20, 2024 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3910.13 0.003353507110644741 3910.13 40 40 64952WEU3 US64952WEU36 -- 97.64 United States -- USD 1.22 5.54 1 Aug 05, 2025 3.6 1.22 -- 5.54 1.22 5.54 Aug 05, 2022 Aug 05, 2022 EFNCN ELEMENT FLEET MANAGEMENT CORP 144A Transportation Fixed Income 3906.62 0.003350496773403176 3906.62 39 39 286181AH5 US286181AH56 -- 100.51 Canada -- USD 1.93 6.01 1 Jun 26, 2026 6.27 1.96 -- 6 1.89 6 Jun 26, 2023 Jun 26, 2023 SO SOUTHERN POWER COMPANY Electric Fixed Income 3906.62 0.003350496773403176 3906.62 42 42 843646AW0 US843646AW05 -- 92.23 United States -- USD 1.67 5.7 1 Jan 15, 2026 0.9 1.66 -- 5.7 1.66 5.7 Jan 08, 2021 Jan 08, 2021 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 3904.87 0.003348995893012082 3904.87 43 43 709599BM5 US709599BM55 -- 91.8 United States -- USD 2.04 5.83 1 Jun 15, 2026 1.7 2.04 -- 5.83 2.04 5.83 Apr 13, 2021 Apr 13, 2021 BNS BANK OF NOVA SCOTIA Banking Fixed Income 3903.12 0.003347495012620988 3903.12 38 38 0641598S8 US0641598S88 -- 102.37 Canada -- USD 2.81 8.85 1 Oct 27, 2082 8.63 2.73 -- 7.92 2.89 7.92 Oct 25, 2022 Oct 25, 2022 FI FISERV INC Technology Fixed Income 3903.12 0.003347495012620988 3903.12 39 39 337738BG2 US337738BG22 -- 99.08 United States -- USD 3.76 5.61 1 Aug 21, 2028 5.38 3.77 -- 5.61 3.77 5.61 Aug 21, 2023 Aug 21, 2023 USB US BANCORP MTN Banking Fixed Income 3903.12 0.003347495012620988 3903.12 40 40 91159HJQ4 US91159HJQ48 -- 98.45 United States -- USD 4.03 5.95 1 Jan 23, 2030 5.38 4.07 -- 5.76 4.07 5.76 Jan 23, 2024 Jan 23, 2024 AMAT APPLIED MATERIALS INC Technology Fixed Income 3899.62 0.0033444932518388 3899.62 40 40 038222AJ4 US038222AJ43 BYTX3F3 98.02 United States -- USD 1.34 5.35 1 Oct 01, 2025 3.9 1.37 -- 5.35 1.37 5.35 Sep 24, 2015 Sep 24, 2015 AZN ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 3897.86 0.003342983794988328 3897.86 41 41 046353AT5 US046353AT52 BGHJW49 94.97 United Kingdom -- USD 4.14 5.21 1 Jan 17, 2029 4 4.19 -- 5.21 4.19 5.21 Aug 17, 2018 Aug 17, 2018 KDP KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 3896.11 0.003341482914597234 3896.11 40 40 49271VAT7 US49271VAT70 -- 98.32 United States -- USD 4.23 5.44 1 Mar 15, 2029 5.05 4.24 -- 5.44 4.24 5.44 Mar 07, 2024 Mar 07, 2024 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 3894.36 0.00333998203420614 3894.36 41 41 713448DF2 US713448DF24 BD3DY93 96.03 United States -- USD 1.73 5.15 1 Feb 24, 2026 2.85 1.74 -- 5.15 1.74 5.15 Feb 24, 2016 Feb 24, 2016 IQV IQVIA INC Consumer Non-Cyclical Fixed Income 3892.61 0.003338481153815046 3892.61 38 38 46266TAF5 US46266TAF57 -- 101.31 United States -- USD 4.02 5.93 1 Feb 01, 2029 6.25 4.02 -- 5.92 3.96 5.92 Feb 01, 2024 Feb 26, 2024 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 3892.61 0.003338481153815046 3892.61 39 39 63253QAF1 US63253QAF19 -- 99.03 Australia -- USD 1.52 5.38 1 Dec 10, 2025 4.75 1.52 -- 5.38 1.52 5.38 Jan 10, 2024 Jan 10, 2024 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 3892.61 0.003338481153815046 3892.61 40 40 80282KBB1 US80282KBB17 -- 97.15 United States -- USD 1.05 6.16 1 Jun 02, 2025 3.45 1.04 -- 6.16 1.04 6.16 Jun 01, 2020 Jun 01, 2020 NDAFH NORDEA BANK ABP MTN 144A Banking Fixed Income 3890.86 0.003336980273423952 3890.86 39 39 65558RAC3 US65558RAC34 -- 98.96 Finland -- USD 1.34 5.53 1 Sep 22, 2025 4.75 1.34 -- 5.53 1.34 5.53 Sep 22, 2022 Sep 22, 2022 SRE SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 3890.86 0.003336980273423952 3890.86 39 39 797440CE2 US797440CE27 -- 98.55 United States -- USD 3.78 5.33 1 Aug 15, 2028 4.95 3.79 -- 5.33 3.79 5.33 Aug 11, 2023 Aug 11, 2023 ETR ENTERGY CORPORATION Electric Fixed Income 3889.11 0.003335479393032858 3889.11 41 41 29364GAJ2 US29364GAJ22 BDHBW33 94.28 United States -- USD 2.21 5.58 1 Sep 01, 2026 2.95 2.21 -- 5.58 2.21 5.58 Aug 19, 2016 Aug 19, 2016 HPQ HP INC Technology Fixed Income 3889.11 0.003335479393032858 3889.11 42 42 40434LAK1 US40434LAK17 -- 93.3 United States -- USD 4.4 5.56 1 Apr 15, 2029 4 4.41 -- 5.56 4.41 5.56 Mar 31, 2022 Mar 31, 2022 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3889.11 0.003335479393032858 3889.11 41 41 718172BT5 US718172BT54 BYXXXF9 95.38 United States -- USD 1.74 5.43 1 Feb 25, 2026 2.75 1.74 -- 5.43 1.74 5.43 Feb 25, 2016 Feb 25, 2016 SPG SIMON PROPERTY GROUP LP Reits Fixed Income 3887.35 0.0033339699361823864 3887.35 44 44 828807DL8 US828807DL84 -- 87.74 United States -- USD 3.55 5.39 1 Feb 01, 2028 1.75 3.54 -- 5.39 3.54 5.39 Jan 21, 2021 Jan 21, 2021 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 3883.85 0.0033309681754001984 3883.85 42 42 05401AAM3 US05401AAM36 -- 92.88 Ireland -- USD 1.75 6.32 1 Feb 21, 2026 2.13 1.73 -- 6.32 1.73 6.32 Jan 21, 2021 Jan 21, 2021 O REALTY INCOME CORPORATION Reits Fixed Income 3883.85 0.0033309681754001984 3883.85 42 42 756109BH6 US756109BH64 -- 93.1 United States -- USD 3.39 5.47 1 Jan 15, 2028 3.4 3.39 -- 5.47 3.39 5.47 Jul 15, 2021 Jul 15, 2021 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3882.1 0.003329467295009105 3882.1 40 40 02665WFE6 US02665WFE66 -- 97.89 United States -- USD 4.27 5.4 1 Mar 13, 2029 4.9 4.26 -- 5.4 4.26 5.4 Mar 13, 2024 Mar 13, 2024 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 3880.35 0.003327966414618011 3880.35 41 41 126650DF4 US126650DF48 -- 94.62 United States -- USD 2.17 5.52 1 Aug 15, 2026 3 2.17 -- 5.52 2.17 5.52 Aug 15, 2019 Aug 15, 2019 ETR ENTERGY CORPORATION Electric Fixed Income 3880.35 0.003327966414618011 3880.35 45 45 29364GAN3 US29364GAN34 -- 86.72 United States -- USD 3.86 5.53 1 Jun 15, 2028 1.9 3.85 -- 5.53 3.85 5.53 Mar 05, 2021 Mar 05, 2021 R RYDER SYSTEM INC MTN Transportation Fixed Income 3880.35 0.003327966414618011 3880.35 39 39 78355HKW8 US78355HKW87 -- 98.92 United States -- USD 3.55 5.55 1 Jun 01, 2028 5.25 3.56 -- 5.55 3.56 5.55 May 19, 2023 May 19, 2023 SRE SOUTHERN CALIFORNIA GAS COMPANY Natural Gas Fixed Income 3880.35 0.003327966414618011 3880.35 41 41 842434CQ3 US842434CQ33 BDC5L55 94.5 United States -- USD 2.01 5.36 1 Jun 15, 2026 2.6 2.02 -- 5.36 2.02 5.36 Jun 03, 2016 Jun 03, 2016 BNS BANK OF NOVA SCOTIA Banking Fixed Income 3876.84 0.003324956077376445 3876.84 43 43 0641598K5 US0641598K52 BMHTCY1 90.66 Canada -- USD 2.3 5.53 1 Sep 15, 2026 1.3 2.29 -- 5.53 2.29 5.53 Sep 15, 2021 Sep 15, 2021 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3875.09 0.003323455196985351 3875.09 42 42 03027XAX8 US03027XAX84 -- 92.97 United States -- USD 2.55 5.57 1 Jan 15, 2027 2.75 2.55 -- 5.57 2.55 5.57 Oct 03, 2019 Oct 03, 2019 PEG PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 3871.59 0.003320453436203163 3871.59 38 38 744573AV8 US744573AV86 -- 101.11 United States -- USD 3.07 5.5 1 Nov 15, 2027 5.85 3.1 -- 5.5 3.1 5.5 Nov 08, 2022 Nov 08, 2022 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 3871.59 0.003320453436203163 3871.59 39 39 89236TKK0 US89236TKK06 -- 100.08 United States -- USD 1.43 5.34 1 Nov 10, 2025 5.4 1.43 -- 5.34 1.43 5.34 Nov 10, 2022 Nov 10, 2022 BNTNF BRAZIL FEDERATIVE REPUBLIC OF (GOV Treasuries Fixed Income 3869.51 0.003318669532652606 3869.51 22 22 -- BRSTNCNTF238 BRXL9P6 174.99 Brazil -- USD 6.04 11.68 5.17025 Jan 01, 2035 10 5.75 -- 11.68 5.75 11.68 Jan 01, 2024 Jan 05, 2024 HSBC HSBC HOLDINGS PLC Banking Fixed Income 3852.32 0.003303926598982374 3852.32 45 45 404280CV9 US404280CV97 -- 86.18 United Kingdom -- USD 3.95 6.02 1 Aug 17, 2029 2.21 3.98 -- 5.88 3.98 5.88 Aug 17, 2021 Aug 17, 2021 MOS MOSAIC CO/THE Basic Industry Fixed Income 3850.56 0.0033024171421319024 3850.56 40 40 61945CAG8 US61945CAG87 BD5W807 95.42 United States -- USD 3.15 5.48 1 Nov 15, 2027 4.05 3.19 -- 5.48 3.19 5.48 Nov 13, 2017 Nov 13, 2017 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 3848.81 0.0033009162617408084 3848.81 43 43 345397B51 US345397B512 BMT9FQ2 88.82 United States -- USD 3.51 6.24 1 Feb 16, 2028 2.9 3.49 -- 6.24 3.49 6.24 Feb 16, 2021 Feb 16, 2021 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 3848.81 0.0033009162617408084 3848.81 39 39 83368RBM3 US83368RBM34 -- 97.6 France -- USD 2.84 5.52 1 Jun 15, 2027 4.68 2.83 -- 5.52 2.83 5.52 Jun 15, 2022 Jun 15, 2022 GIS GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 3847.06 0.0032994153813497144 3847.06 41 41 370334BZ6 US370334BZ69 BYQ8GZ2 94.28 United States -- USD 2.58 5.44 1 Feb 10, 2027 3.2 2.6 -- 5.44 2.6 5.44 Jan 17, 2017 Jan 17, 2017 SYF SYNCHRONY FINANCIAL Banking Fixed Income 3847.06 0.0032994153813497144 3847.06 42 42 87165BAM5 US87165BAM54 BFNN1S5 92.55 United States -- USD 3.22 6.29 1 Dec 01, 2027 3.95 3.22 -- 6.29 3.22 6.29 Dec 01, 2017 Dec 01, 2017 BG BUNGE LIMITED FINANCE CORPORATION Consumer Non-Cyclical Fixed Income 3843.56 0.0032964136205675264 3843.56 40 40 120568AX8 US120568AX84 BD4FYR6 95.01 United States -- USD 2.16 5.58 1 Aug 15, 2026 3.25 2.16 -- 5.58 2.16 5.58 Aug 15, 2016 Aug 15, 2016 BNSF BURLINGTON NORTHERN SANTA FE CORPO Transportation Fixed Income 3843.56 0.0032964136205675264 3843.56 37 37 12189TAA2 US12189TAA25 2485122 102.5 United States -- USD 1.5 5.38 1 Dec 15, 2025 7 1.5 -- 5.38 1.5 5.38 Dec 11, 1995 Dec 11, 1995 KOROIL KOREA NATIONAL OIL CORP MTN 144A Owned No Guarantee Fixed Income 3841.81 0.0032949127401764324 3841.81 42 42 50066PAS9 US50066PAS92 -- 90.93 Korea (South) -- USD 2.83 5.46 1 Apr 18, 2027 2.13 2.82 -- 5.46 2.82 5.46 Jan 18, 2022 Jan 18, 2022 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 3840.05 0.0032934032833259607 3840.05 39 39 37045XCS3 US37045XCS36 BH420S8 99.08 United States -- USD 3.97 5.87 1 Jan 17, 2029 5.65 4.03 -- 5.87 4.03 5.87 Jan 17, 2019 Jan 17, 2019 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3838.3 0.0032919024029348667 3838.3 43 43 02665WDW8 US02665WDW82 -- 88.52 United States -- USD 3.68 5.28 1 Mar 24, 2028 2 3.67 -- 5.28 3.67 5.28 Mar 24, 2021 Mar 24, 2021 NWIDE NATIONWIDE BUILDING SOCIETY MTN 144A Banking Fixed Income 3838.3 0.0032919024029348667 3838.3 39 39 63861VAH0 US63861VAH06 -- 97.99 United Kingdom -- USD 2.94 5.53 1 Jul 27, 2027 4.85 2.93 -- 5.53 2.93 5.53 Jul 27, 2022 Jul 27, 2022 CDW CDW LLC Technology Fixed Income 3834.8 0.0032889006421526787 3834.8 41 41 12513GBD0 US12513GBD07 BKPQNF8 94.13 United States -- USD 3.14 5.95 1 Apr 01, 2028 4.25 3.54 -- 5.95 3.54 5.95 Sep 26, 2019 Sep 26, 2019 HD HOME DEPOT INC Consumer Cyclical Fixed Income 3829.54 0.0032843894245200194 3829.54 39 39 437076CV2 US437076CV20 -- 99.42 United States -- USD 2.22 5.21 1 Sep 30, 2026 4.95 2.25 -- 5.21 2.25 5.21 Dec 04, 2023 Dec 04, 2023 CANTOR CANTOR FITZGERALD LP 144A Brokerage/Asset Managers/Exchanges Fixed Income 3827.79 0.0032828885441289254 3827.79 38 38 138616AM9 US138616AM99 -- 101.43 United States -- USD 3.8 6.83 1 Dec 12, 2028 7.2 3.79 -- 6.83 3.74 6.83 Dec 12, 2023 Dec 12, 2023 SPG SIMON PROPERTY GROUP LP Reits Fixed Income 3827.79 0.0032828885441289254 3827.79 41 41 828807DC8 US828807DC85 BF2MPV4 94.4 United States -- USD 2.86 5.34 1 Jun 15, 2027 3.38 2.89 -- 5.34 2.89 5.34 Jun 01, 2017 Jun 01, 2017 WM WASTE MANAGEMENT INC Capital Goods Fixed Income 3827.79 0.0032828885441289254 3827.79 41 41 94106LBE8 US94106LBE83 BF4L069 93.61 United States -- USD 3.22 5.14 1 Nov 15, 2027 3.15 3.25 -- 5.14 3.25 5.14 Nov 08, 2017 Nov 08, 2017 ENBCN ENBRIDGE INC Energy Fixed Income 3822.54 0.0032783859029556434 3822.54 40 40 29250NAR6 US29250NAR61 BF5CKW7 94.95 Canada -- USD 2.91 5.43 1 Jul 15, 2027 3.7 2.95 -- 5.43 2.95 5.43 Jul 07, 2017 Jul 07, 2017 TT TRANE TECHNOLOGIES FINANCING LTD Capital Goods Fixed Income 3820.78 0.0032768764461051716 3820.78 41 41 456873AD0 US456873AD03 BJ1DL29 93.33 United States -- USD 4.33 5.36 1 Mar 21, 2029 3.8 4.37 -- 5.36 4.37 5.36 Mar 21, 2019 Mar 21, 2019 DUK DUKE ENERGY CAROLINAS LLC Electric Fixed Income 3820.78 0.0032768764461051716 3820.78 40 40 26442CAX2 US26442CAX20 -- 94.61 United States -- USD 3.98 5.3 1 Nov 15, 2028 3.95 4.02 -- 5.3 4.02 5.3 Nov 08, 2018 Nov 08, 2018 CENSUD CENCOSUD SA 144A Consumer Cyclical Fixed Income 3817.28 0.0032738746853229837 3817.28 40 40 15132HAH4 US15132HAH49 BF2GGQ8 95.3 Chile -- USD 2.89 5.99 1 Jul 17, 2027 4.38 2.92 -- 5.99 2.92 5.99 Jul 17, 2017 Jul 17, 2017 ENBCN ENBRIDGE INC Energy Fixed Income 3817.28 0.0032738746853229837 3817.28 39 39 29250NCB9 US29250NCB91 -- 98.85 United States -- USD 4.27 5.57 1 Apr 05, 2029 5.3 4.28 -- 5.57 4.28 5.57 Apr 05, 2024 Apr 05, 2024 MDLZ MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3815.53 0.0032723738049318897 3815.53 41 41 609207BA2 US609207BA22 -- 92.8 United States -- USD 2.71 5.34 1 Mar 17, 2027 2.63 2.72 -- 5.34 2.72 5.34 Mar 17, 2022 Mar 17, 2022 AIG AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 3813.78 0.0032708729245407957 3813.78 40 40 026874DM6 US026874DM66 BFMXK23 96.43 United States -- USD 3.48 7.94 1 Apr 01, 2048 5.75 3.37 -- 6.8 3.44 6.8 Mar 26, 2018 Mar 26, 2018 ECL ECOLAB INC Basic Industry Fixed Income 3813.78 0.0032708729245407957 3813.78 40 40 278865AV2 US278865AV25 BD9NGC4 94.36 United States -- USD 2.34 5.12 1 Nov 01, 2026 2.7 2.35 -- 5.12 2.35 5.12 Oct 18, 2016 Oct 18, 2016 GM GENERAL MOTORS CO Consumer Cyclical Fixed Income 3813.78 0.0032708729245407957 3813.78 39 39 37045VAS9 US37045VAS97 BGJNQ03 97.44 United States -- USD 3.85 5.66 1 Oct 01, 2028 5 3.9 -- 5.66 3.9 5.66 Sep 10, 2018 Sep 10, 2018 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3813.78 0.0032708729245407957 3813.78 39 39 718172DF3 US718172DF33 -- 98.54 United States -- USD 2.57 5.31 1 Feb 12, 2027 4.75 2.56 -- 5.31 2.56 5.31 Feb 13, 2024 Feb 13, 2024 CSX CSX CORP Transportation Fixed Income 3812.02 0.003269363467690324 3812.02 40 40 126408HJ5 US126408HJ52 BF3VPY3 95.12 United States -- USD 3.45 5.21 1 Mar 01, 2028 3.8 3.5 -- 5.21 3.5 5.21 Feb 20, 2018 Feb 20, 2018 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 3810.27 0.00326786258729923 3810.27 38 38 713448FW3 US713448FW39 -- 99.92 United States -- USD 2.27 5.16 1 Nov 10, 2026 5.13 2.3 -- 5.16 2.3 5.16 Nov 10, 2023 Nov 10, 2023 STLA STELLANTIS FINANCE US INC 144A Consumer Cyclical Fixed Income 3810.27 0.00326786258729923 3810.27 38 38 85855CAD2 US85855CAD20 -- 100.8 Netherlands -- USD 3.24 5.38 1 Jan 12, 2028 5.63 3.27 -- 5.38 3.2 5.38 Sep 12, 2022 Sep 12, 2022 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 3805.02 0.003263359946125948 3805.02 39 39 548661DH7 US548661DH71 BYMYMY5 97.13 United States -- USD 1.32 5.55 1 Sep 15, 2025 3.38 1.33 -- 5.55 1.33 5.55 Sep 16, 2015 Sep 16, 2015 MITHCC MITSUBISHI UFJ LEASE & FINANCE CO 144A Financial Other Fixed Income 3805.02 0.003263359946125948 3805.02 39 39 60682LAF9 US60682LAF94 -- 97.64 Japan -- USD 0.93 6.19 1 Apr 13, 2025 3.64 0.93 -- 6.19 0.93 6.19 Apr 13, 2020 Apr 13, 2020 BZLNZ BANK OF NEW ZEALAND MTN 144A Banking Fixed Income 3803.27 0.003261859065734854 3803.27 39 39 06407EAG0 US06407EAG08 -- 97.66 New Zealand -- USD 3.39 5.54 1 Feb 07, 2028 4.85 3.37 -- 5.54 3.37 5.54 Feb 07, 2023 Feb 07, 2023 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 3803.27 0.003261859065734854 3803.27 39 39 125523AV2 US125523AV22 BMCBZJ8 97.8 United States -- USD 0.94 5.61 1 Apr 15, 2025 3.25 0.94 -- 5.61 0.94 5.61 Apr 15, 2020 Jul 13, 2020 ET ENABLE MIDSTREAM PARTNERS LP Energy Fixed Income 3803.27 0.003261859065734854 3803.27 39 39 292480AK6 US292480AK65 BYXD3D7 96.78 United States -- USD 2.6 5.62 1 Mar 15, 2027 4.4 2.65 -- 5.62 2.65 5.62 Mar 09, 2017 Mar 09, 2017 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3798.01 0.0032573478481021947 3798.01 39 39 64952WFF5 US64952WFF59 -- 97.04 United States -- USD 4.17 5.41 1 Jan 29, 2029 4.7 4.15 -- 5.41 4.15 5.41 Jan 29, 2024 Jan 29, 2024 NRUC NATIONAL RURAL UTILITIES COOPERATI Electric Fixed Income 3792.75 0.003252836630469535 3792.75 41 41 637432NP6 US637432NP60 BFX72F1 93.24 United States -- USD 3.43 5.4 1 Feb 07, 2028 3.4 3.45 -- 5.4 3.45 5.4 Feb 07, 2018 Feb 07, 2018 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 3792.75 0.003252836630469535 3792.75 41 41 66815L2A6 US66815L2A63 BL6JRW8 92.44 United States -- USD 1.67 5.47 1 Jan 14, 2026 0.8 1.66 -- 5.47 1.66 5.47 Jan 14, 2021 Jan 14, 2021 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3791 0.003251335750078441 3791 41 41 03027XAR1 US03027XAR17 BF3VXW7 93 United States -- USD 3.37 5.71 1 Jan 15, 2028 3.6 3.38 -- 5.71 3.38 5.71 Dec 08, 2017 Dec 08, 2017 SCGAU SCENTRE GROUP TRUST 2 144A Reits Fixed Income 3789.25 0.003249834869687347 3789.25 40 40 76025LAA2 US76025LAA26 -- 95.23 Australia -- USD 2.21 8.91 1 Sep 24, 2080 4.75 1.96 -- 6.93 2.22 6.93 Sep 24, 2020 Sep 24, 2020 LIN LINDE INC Basic Industry Fixed Income 3787.5 0.003248333989296253 3787.5 39 39 74005PBQ6 US74005PBQ63 BYTX342 96.4 United States -- USD 1.66 5.36 1 Jan 30, 2026 3.2 1.67 -- 5.36 1.67 5.36 Sep 24, 2015 Sep 24, 2015 NWIDE NATIONWIDE BUILDING SOCIETY 144A Banking Fixed Income 3785.75 0.003246833108905159 3785.75 40 40 63861VAB3 US63861VAB36 BFZ2TB9 94.2 United Kingdom -- USD 3.44 6.2 1 Mar 08, 2029 4.3 4.27 -- 6 3.47 6 Mar 08, 2018 Mar 08, 2018 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 3785.75 0.003246833108905159 3785.75 40 40 808513BW4 US808513BW49 -- 94.44 United States -- USD 2.71 5.37 1 Apr 01, 2027 3.3 2.74 -- 5.37 2.74 5.37 Apr 01, 2021 Sep 22, 2021 HD HOME DEPOT INC Consumer Cyclical Fixed Income 3783.99 0.003245323652054687 3783.99 40 40 437076CN0 US437076CN04 -- 93.88 United States -- USD 2.79 5.12 1 Apr 15, 2027 2.88 2.79 -- 5.12 2.79 5.12 Mar 28, 2022 Mar 28, 2022 CKHH CK HUTCHISON INTERNATIONAL 21 LTD 144A Industrial Other Fixed Income 3782.24 0.003243822771663593 3782.24 41 41 12565WAA9 US12565WAA99 -- 92.58 Hong Kong -- USD 1.9 5.52 1 Apr 15, 2026 1.5 1.9 -- 5.52 1.9 5.52 Apr 15, 2021 Apr 15, 2021 LLY ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 3782.24 0.003243822771663593 3782.24 39 39 532457BH0 US532457BH00 BW0XTG1 97.3 United States -- USD 1.05 5.31 1 Jun 01, 2025 2.75 1.05 -- 5.31 1.05 5.31 Mar 05, 2015 Mar 05, 2015 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3778.74 0.0032408210108814052 3778.74 42 42 02665WDZ1 US02665WDZ14 -- 91.01 United States -- USD 2.28 5.39 1 Sep 09, 2026 1.3 2.28 -- 5.39 2.28 5.39 Sep 09, 2021 Sep 09, 2021 GBLATL GA GLOBAL FUNDING TRUST MTN 144A Insurance Fixed Income 3778.74 0.0032408210108814052 3778.74 39 39 36143L2L8 US36143L2L80 -- 98.05 United States -- USD 4.04 5.98 1 Jan 08, 2029 5.5 4.01 -- 5.98 4.01 5.98 Jan 08, 2024 Jan 08, 2024 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 3778.74 0.0032408210108814052 3778.74 39 39 713448CY2 US713448CY22 BYNP388 97.86 United States -- USD 1.16 5.32 1 Jul 17, 2025 3.5 1.17 -- 5.32 1.17 5.32 Jul 17, 2015 Jul 17, 2015 AVGO BROADCOM INC 144A Technology Fixed Income 3776.99 0.0032393201304903117 3776.99 43 43 11135FBE0 US11135FBE07 BMCGT13 87.82 United States -- USD 3.58 5.54 1 Feb 15, 2028 1.95 3.56 -- 5.54 3.56 5.54 Jan 19, 2021 Jan 19, 2021 CCI CROWN CASTLE INC Communications Fixed Income 3775.24 0.0032378192500992177 3775.24 41 41 22822VAZ4 US22822VAZ40 -- 92.72 United States -- USD 2.7 5.67 1 Mar 15, 2027 2.9 2.7 -- 5.67 2.7 5.67 Mar 04, 2022 Mar 04, 2022 TRPCN TRANSCANADA TRUST Energy Fixed Income 3775.24 0.0032378192500992177 3775.24 39 39 89356BAA6 US89356BAA61 BWX45C9 96.9 Canada -- USD 1 9.19 1 May 20, 2075 5.63 0.8 -- 8.72 0.98 8.72 May 20, 2015 May 20, 2015 WMT WALMART INC Consumer Cyclical Fixed Income 3775.24 0.0032378192500992177 3775.24 38 38 931142FA6 US931142FA65 -- 98.14 United States -- USD 1.84 5 1 Apr 15, 2026 4 1.87 -- 5 1.87 5 Apr 18, 2023 Apr 18, 2023 GGAMFI GGAM FINANCE LIMITED 144A Finance Companies Fixed Income 3774.98 0.003237596262155398 3774.98 38 38 36170JAD8 US36170JAD81 -- 99.81 Ireland -- USD 3.47 6.88 1 Apr 15, 2029 6.88 4.14 -- 6.88 4.14 6.88 Apr 02, 2024 Apr 02, 2024 CTAS CINTAS NO 2 CORP Industrial Other Fixed Income 3773.48 0.003236309793248746 3773.48 39 39 17252MAN0 US17252MAN02 BD096S7 96.24 United States -- USD 2.67 5.1 1 Apr 01, 2027 3.7 2.73 -- 5.1 2.73 5.1 Mar 14, 2017 Mar 14, 2017 DUK DUKE ENERGY CORP Electric Fixed Income 3773.48 0.003236309793248746 3773.48 38 38 26441CBW4 US26441CBW47 -- 98.51 United States -- USD 3.19 5.46 1 Dec 08, 2027 5 3.2 -- 5.46 3.2 5.46 Dec 08, 2022 Dec 08, 2022 GD GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 3773.48 0.003236309793248746 3773.48 40 40 369550BL1 US369550BL15 -- 95.47 United States -- USD 2.7 5.18 1 Apr 01, 2027 3.5 2.73 -- 5.18 2.73 5.18 Mar 25, 2020 Mar 25, 2020 HD HOME DEPOT INC Consumer Cyclical Fixed Income 3773.48 0.003236309793248746 3773.48 38 38 437076CW0 US437076CW03 -- 98.82 United States -- USD 4.34 5.17 1 Apr 15, 2029 4.9 4.35 -- 5.17 4.35 5.17 Dec 04, 2023 Dec 04, 2023 BRKHEC MIDAMERICAN ENERGY COMPANY Electric Fixed Income 3773.48 0.003236309793248746 3773.48 40 40 595620AQ8 US595620AQ82 BDFFS84 93.9 United States -- USD 2.76 5.32 1 May 01, 2027 3.1 2.78 -- 5.32 2.78 5.32 Feb 01, 2017 Feb 01, 2017 OKE ONEOK INC Energy Fixed Income 3773.48 0.003236309793248746 3773.48 40 40 682680AW3 US682680AW38 BJ2XVC8 94.6 United States -- USD 4.26 5.63 1 Mar 15, 2029 4.35 4.3 -- 5.63 4.3 5.63 Mar 13, 2019 Mar 13, 2019 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 3771.73 0.003234808912857652 3771.73 41 41 641062AR5 US641062AR54 -- 92.55 United States -- USD 1.67 5.2 1 Jan 15, 2026 0.63 1.67 -- 5.2 1.67 5.2 Sep 15, 2020 Sep 15, 2020 HD HOME DEPOT INC Consumer Cyclical Fixed Income 3769.98 0.003233308032466558 3769.98 38 38 437076CR1 US437076CR18 -- 98.18 United States -- USD 1.31 5.37 1 Sep 15, 2025 4 1.32 -- 5.37 1.32 5.37 Sep 19, 2022 Sep 19, 2022 K KELLANOVA Consumer Non-Cyclical Fixed Income 3769.98 0.003233308032466558 3769.98 39 39 487836BW7 US487836BW75 BG0BPZ4 96 United States -- USD 3.54 5.41 1 May 15, 2028 4.3 3.59 -- 5.41 3.59 5.41 May 14, 2018 May 14, 2018 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 3769.98 0.003233308032466558 3769.98 38 38 65339KBS8 US65339KBS87 BQH6109 100.05 United States -- USD 1.28 5.7 1 Sep 01, 2025 5.75 1.27 -- 5.7 1.27 5.7 Aug 10, 2023 Aug 10, 2023 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 3769.98 0.003233308032466558 3769.98 38 38 693475BQ7 US693475BQ72 -- 99.87 United States -- USD 1.04 6.29 1 Jun 12, 2026 5.81 1.05 -- 5.93 1.06 5.93 Jun 12, 2023 Jun 12, 2023 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 3768.23 0.003231807152075464 3768.23 39 39 58013MFN9 US58013MFN92 -- 97.52 United States -- USD 1.13 5.49 1 Jul 01, 2025 3.3 1.13 -- 5.49 1.13 5.49 Mar 27, 2020 Mar 27, 2020 CBOE CBOE GLOBAL MARKETS INC Brokerage/Asset Managers/Exchanges Fixed Income 3766.48 0.00323030627168437 3766.48 39 39 12503MAA6 US12503MAA62 BYPJTR9 96.03 United States -- USD 2.47 5.24 1 Jan 12, 2027 3.65 2.51 -- 5.24 2.51 5.24 Jan 12, 2017 Jan 12, 2017 EIX EDISON INTERNATIONAL Electric Fixed Income 3766.48 0.00323030627168437 3766.48 38 38 281020AN7 US281020AN70 BJQXMF4 100.02 United States -- USD 2.72 5.74 1 Jun 15, 2027 5.75 2.78 -- 5.74 2.78 5.74 Jun 21, 2019 Jun 21, 2019 GPN GLOBAL PAYMENTS INC Technology Fixed Income 3766.48 0.00323030627168437 3766.48 41 41 37940XAG7 US37940XAG79 -- 91.54 United States -- USD 2.58 5.54 1 Jan 15, 2027 2.15 2.57 -- 5.54 2.57 5.54 Nov 22, 2021 Nov 22, 2021 EVRG WESTAR ENERGY INC Electric Fixed Income 3766.48 0.00323030627168437 3766.48 40 40 95709TAN0 US95709TAN00 BD040M4 94.18 United States -- USD 2.06 5.41 1 Jul 01, 2026 2.55 2.06 -- 5.41 2.06 5.41 Jun 20, 2016 Jun 20, 2016 AALLN ANGLO AMERICAN CAPITAL PLC 144A Basic Industry Fixed Income 3764.72 0.003228796814833898 3764.72 39 39 034863AR1 US034863AR12 BZ584F6 97.4 South Africa -- USD 2.72 5.72 1 Apr 10, 2027 4.75 2.71 -- 5.72 2.71 5.72 Apr 10, 2017 Apr 10, 2017 ADBE ADOBE INC Technology Fixed Income 3759.47 0.003224294173660616 3759.47 38 38 00724PAF6 US00724PAF62 -- 98.78 United States -- USD 4.31 5.08 1 Apr 04, 2029 4.8 4.33 -- 5.08 4.33 5.08 Apr 04, 2024 Apr 04, 2024 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 3757.72 0.0032227932932695222 3757.72 38 38 13608JAA5 US13608JAA51 -- 98.55 Canada -- USD 4.28 5.6 1 Apr 08, 2029 5.26 4.29 -- 5.6 4.29 5.6 Apr 08, 2024 Apr 08, 2024 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3755.97 0.0032212924128784282 3755.97 38 38 02665WEF4 US02665WEF41 -- 99.12 United States -- USD 0.94 5.54 1 Apr 17, 2025 4.6 0.94 -- 5.54 0.94 5.54 Apr 17, 2023 Apr 17, 2023 D VIRGINIA ELEC & POWER CO Electric Fixed Income 3754.21 0.0032197829560279565 3754.21 40 40 927804FX7 US927804FX73 BYW9PH4 94.87 United States -- USD 2.65 5.44 1 Mar 15, 2027 3.5 2.69 -- 5.44 2.69 5.44 Mar 16, 2017 Mar 16, 2017 UNANA UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 3752.46 0.003218282075636863 3752.46 40 40 904764AU1 US904764AU11 BYYQNV3 93.3 Netherlands -- USD 2.15 5.18 1 Jul 28, 2026 2 2.15 -- 5.18 2.15 5.18 Jul 28, 2016 Jul 28, 2016 HD HOME DEPOT INC Consumer Cyclical Fixed Income 3750.71 0.003216781195245769 3750.71 40 40 437076CA8 US437076CA82 -- 92.76 United States -- USD 2.79 5.16 1 Apr 15, 2027 2.5 2.8 -- 5.16 2.8 5.16 Mar 30, 2020 Mar 30, 2020 CKHH CK HUTCHISON INTERNATIONAL (17) (I 144A Industrial Other Fixed Income 3748.96 0.003215280314854675 3748.96 40 40 12563XAC5 US12563XAC56 BYWXMR5 93.03 Hong Kong -- USD 3.18 5.51 1 Sep 29, 2027 3.25 3.17 -- 5.51 3.17 5.51 Sep 29, 2017 Sep 29, 2017 HPE HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 3748.96 0.003215280314854675 3748.96 40 40 42824CBK4 US42824CBK45 -- 93.05 United States -- USD 1.86 5.59 1 Apr 01, 2026 1.75 1.85 -- 5.59 1.85 5.59 Jul 17, 2020 Jul 17, 2020 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 3748.96 0.003215280314854675 3748.96 40 40 89236THW8 US89236THW80 -- 92.71 United States -- USD 1.65 5.33 1 Jan 09, 2026 0.8 1.65 -- 5.33 1.65 5.33 Jan 11, 2021 Jan 11, 2021 ACGCAP AVIATION CAPITAL GROUP LLC 144A Finance Companies Fixed Income 3747.21 0.003213779434463581 3747.21 41 41 05369AAL5 US05369AAL52 BP6GJP4 90.87 United States -- USD 2.3 6.09 1 Sep 20, 2026 1.95 2.28 -- 6.09 2.28 6.09 Sep 20, 2021 Sep 20, 2021 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 3747.21 0.003213779434463581 3747.21 39 39 37045XBQ8 US37045XBQ88 BYQ3L96 96.1 United States -- USD 2.25 5.73 1 Oct 06, 2026 4 2.28 -- 5.73 2.28 5.73 Oct 06, 2016 Oct 06, 2016 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3747.21 0.003213779434463581 3747.21 37 37 44891ACM7 US44891ACM71 -- 100.39 United States -- USD 2.21 5.77 1 Sep 21, 2026 5.95 2.2 -- 5.77 2.2 5.77 Sep 21, 2023 Sep 21, 2023 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3747.21 0.003213779434463581 3747.21 38 38 58769JAP2 US58769JAP21 -- 99.19 Germany -- USD 1.6 5.4 1 Jan 09, 2026 4.9 1.59 -- 5.4 1.59 5.4 Jan 11, 2024 Jan 11, 2024 TOYOTA TOYOTA MOTOR CORPORATION Consumer Cyclical Fixed Income 3747.21 0.003213779434463581 3747.21 38 38 892331AQ2 US892331AQ26 -- 99.88 Japan -- USD 3.67 5.15 1 Jul 13, 2028 5.12 3.7 -- 5.15 3.7 5.15 Jul 13, 2023 Jul 13, 2023 EMR EMERSON ELECTRIC CO Capital Goods Fixed Income 3745.45 0.003212269977613109 3745.45 41 41 291011BP8 US291011BP85 -- 90.28 United States -- USD 2.39 5.11 1 Oct 15, 2026 0.88 2.39 -- 5.11 2.39 5.11 Sep 22, 2020 Sep 22, 2020 BAX BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3743.7 0.003210769097222015 3743.7 40 40 071813BQ1 US071813BQ15 BDHDFF2 93.61 United States -- USD 2.18 5.59 1 Aug 15, 2026 2.6 2.18 -- 5.59 2.18 5.59 Aug 15, 2016 Aug 15, 2016 KOROIL KOREA NATIONAL OIL CORP MTN 144A Owned No Guarantee Fixed Income 3741.95 0.003209268216830921 3741.95 39 39 50066PAR1 US50066PAR10 -- 96.28 Korea (South) -- USD 0.95 5.7 1 Apr 18, 2025 1.75 0.95 -- 5.7 0.95 5.7 Jan 18, 2022 Jan 18, 2022 PFE PFIZER INC Consumer Non-Cyclical Fixed Income 3740.2 0.003207767336439827 3740.2 39 39 717081EX7 US717081EX73 -- 95.29 United States -- USD 1.05 5.3 1 May 28, 2025 0.8 1.06 -- 5.3 1.06 5.3 May 28, 2020 May 28, 2020 D VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 3740.2 0.003207767336439827 3740.2 39 39 927804FU3 US927804FU35 BYVXW98 96.16 United States -- USD 1.62 5.52 1 Jan 15, 2026 3.15 1.63 -- 5.52 1.63 5.52 Jan 14, 2016 Jan 14, 2016 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 3736.69 0.0032047569991982615 3736.69 38 38 05401AAK7 US05401AAK79 -- 98.54 Ireland -- USD 1.58 6.4 1 Jan 15, 2026 5.5 1.59 -- 6.4 1.59 6.4 Sep 29, 2020 Sep 29, 2020 CZGB CZECH REPUBLIC Treasuries Fixed Income 3734.98 0.0032032904246446785 3734.98 904 904 -- CZ0001006167 BKQMW14 4.13 Czech Republic -- USD 0.62 4.77 23.49435 Dec 12, 2024 0 0.6 -- 4.77 0.6 4.77 Feb 12, 2021 Feb 12, 2021 COF CAPITAL ONE FINANCIAL CRP (FX-FRN) Banking Fixed Income 3733.19 0.0032017552384160735 3733.19 36 36 14040HDB8 US14040HDB87 -- 102.86 United States -- USD 2.19 6.4 1 Oct 29, 2027 7.15 2.2 -- 5.92 2.2 5.92 Nov 01, 2023 Nov 01, 2023 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU MTN 144A Insurance Fixed Income 3733.19 0.0032017552384160735 3733.19 39 39 29449WAA5 US29449WAA53 BLBB7Q3 94.9 United States -- USD 1.16 5.86 1 Jul 07, 2025 1.4 1.16 -- 5.86 1.16 5.86 Jul 07, 2020 Jul 07, 2020 DTRGR DAIMLER TRUCKS FINANCE NORTH AMERI 144A Consumer Cyclical Fixed Income 3727.94 0.0031972525972427915 3727.94 39 39 233853AM2 US233853AM25 -- 94.92 Germany -- USD 2.75 5.54 1 Apr 07, 2027 3.65 2.74 -- 5.54 2.74 5.54 Apr 07, 2022 Apr 07, 2022 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3727.94 0.0031972525972427915 3727.94 37 37 74368CBQ6 US74368CBQ69 -- 99.65 United States -- USD 1.58 5.58 1 Jan 06, 2026 5.37 1.58 -- 5.58 1.58 5.58 Jan 06, 2023 Jan 06, 2023 SBUX STARBUCKS CORPORATION Consumer Cyclical Fixed Income 3727.94 0.0031972525972427915 3727.94 40 40 855244AP4 US855244AP46 BDVLF41 93.62 United States -- USD 3.48 5.36 1 Mar 01, 2028 3.5 3.51 -- 5.36 3.51 5.36 Feb 28, 2018 Feb 28, 2018 VICI VICI PROPERTIES LP 144A Consumer Cyclical Fixed Income 3727.94 0.0031972525972427915 3727.94 38 38 92564RAJ4 US92564RAJ41 BMGMNJ3 99.02 United States -- USD 2.41 6.14 1 Feb 01, 2027 5.75 2.49 -- 6.14 2.49 6.14 Feb 01, 2022 Apr 29, 2022 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 3726.18 0.00319574314039232 3726.18 42 42 14913R2G1 US14913R2G11 -- 87.71 United States -- USD 3.25 5.1 1 Sep 14, 2027 1.1 3.24 -- 5.1 3.24 5.1 Sep 14, 2020 Sep 14, 2020 SANUK SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 3722.68 0.003192741379610132 3722.68 40 40 80281LAM7 US80281LAM72 -- 94.16 United Kingdom -- USD 1.28 6.46 1 Aug 21, 2026 1.53 1.27 -- 6.2 1.27 6.2 Aug 21, 2020 Aug 21, 2020 SPG SIMON PROPERTY GROUP LP Reits Fixed Income 3722.68 0.003192741379610132 3722.68 40 40 828807DE4 US828807DE42 BF4BJ95 93.46 United States -- USD 3.25 5.4 1 Dec 01, 2027 3.38 3.28 -- 5.4 3.28 5.4 Dec 11, 2017 Dec 11, 2017 SCGAU SCENTRE GROUP TRUST 1 144A Reits Fixed Income 3713.92 0.0031852284011952845 3713.92 38 38 80622GAD6 US80622GAD60 -- 96.5 Australia -- USD 1.66 5.74 1 Jan 28, 2026 3.63 1.66 -- 5.74 1.66 5.74 May 28, 2020 May 28, 2020 NVDA NVIDIA CORPORATION Technology Fixed Income 3710.42 0.0031822266404130965 3710.42 42 42 67066GAM6 US67066GAM69 -- 87.46 United States -- USD 3.89 4.94 1 Jun 15, 2028 1.55 3.89 -- 4.94 3.89 4.94 Jun 16, 2021 Jun 16, 2021 KORGAS KOREA GAS CORP 144A Owned No Guarantee Fixed Income 3708.67 0.0031807257600220025 3708.67 39 39 50066AAH6 US50066AAH68 BNJ3516 95.85 Korea (South) -- USD 2.05 5.54 1 Jul 02, 2026 3.5 2.04 -- 5.54 2.04 5.54 Jul 02, 2014 Jul 02, 2014 USAACA USAA CAPITAL CORP MTN 144A Finance Companies Fixed Income 3705.16 0.0031777154227804368 3705.16 38 38 90327QD89 US90327QD891 -- 98 United States -- USD 0.96 5.42 1 May 01, 2025 3.38 0.97 -- 5.42 0.97 5.42 May 26, 2022 May 26, 2022 JDEPNA JDE PEETS NV 144A Consumer Non-Cyclical Fixed Income 3703.41 0.0031762145423893428 3703.41 42 42 47216QAB9 US47216QAB95 -- 89.17 Netherlands -- USD 2.61 5.73 1 Jan 15, 2027 1.38 2.59 -- 5.73 2.59 5.73 Sep 24, 2021 Sep 24, 2021 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 3703.41 0.0031762145423893428 3703.41 38 38 59217GFC8 US59217GFC87 -- 98.01 United States -- USD 1.27 5.61 1 Aug 25, 2025 4.05 1.27 -- 5.61 1.27 5.61 Aug 25, 2022 Aug 25, 2022 TMO THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 3703.41 0.0031762145423893428 3703.41 38 38 883556CT7 US883556CT77 -- 98.69 United States -- USD 3.16 5.21 1 Nov 21, 2027 4.8 3.17 -- 5.21 3.17 5.21 Nov 21, 2022 Nov 21, 2022 BX BLACKSTONE HOLDINGS FINANCE CO LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 3694.65 0.0031687015639744955 3694.65 43 43 09261BAC4 US09261BAC46 -- 85.85 United States -- USD 4.03 5.37 1 Aug 05, 2028 1.63 4.01 -- 5.37 4.01 5.37 Aug 05, 2021 Aug 05, 2021 DUK DUKE ENERGY CORP Electric Fixed Income 3694.65 0.0031687015639744955 3694.65 40 40 26441CAX3 US26441CAX39 BF46Z58 92.98 United States -- USD 3.04 5.5 1 Aug 15, 2027 3.15 3.06 -- 5.5 3.06 5.5 Aug 10, 2017 Aug 10, 2017 CVX CHEVRON USA INC Energy Fixed Income 3692.9 0.0031672006835834015 3692.9 42 42 166756AL0 US166756AL00 -- 87.63 United States -- USD 3.16 5.14 1 Aug 12, 2027 1.02 3.16 -- 5.14 3.16 5.14 Aug 12, 2020 Aug 12, 2020 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 3692.9 0.0031672006835834015 3692.9 38 38 742718FZ7 US742718FZ79 -- 96.98 United States -- USD 3.41 4.84 1 Jan 26, 2028 3.95 3.4 -- 4.84 3.4 4.84 Jan 26, 2023 Jan 26, 2023 AL AIR LEASE CORPORATION MTN Finance Companies Fixed Income 3689.39 0.0031641903463418357 3689.39 40 40 00914AAR3 US00914AAR32 -- 91.1 United States -- USD 2.57 5.78 1 Jan 15, 2027 2.2 2.56 -- 5.78 2.56 5.78 Jan 12, 2022 Jan 12, 2022 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 3685.89 0.0031611885855596478 3685.89 40 40 14913R2K2 US14913R2K23 -- 92.4 United States -- USD 1.79 5.26 1 Mar 02, 2026 0.9 1.79 -- 5.26 1.79 5.26 Mar 01, 2021 Mar 01, 2021 OTFINC OWL ROCK TECHNOLOGY FINANCE CORP 144A Finance Companies Fixed Income 3685.89 0.0031611885855596478 3685.89 38 38 691205AC2 US691205AC21 -- 95.79 United States -- USD 1.53 7.52 1 Dec 15, 2025 4.75 1.51 -- 7.52 1.51 7.52 Sep 23, 2020 Sep 23, 2020 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 3684.14 0.0031596877051685538 3684.14 37 37 928668BV3 US928668BV31 -- 99.98 Germany -- USD 2.2 5.7 1 Sep 12, 2026 5.7 2.18 -- 5.7 2.18 5.7 Sep 12, 2023 Sep 12, 2023 WMT WALMART INC Consumer Cyclical Fixed Income 3684.14 0.0031596877051685538 3684.14 38 38 931142EM1 US931142EM13 BJ9TYZ3 95.94 United States -- USD 2.05 5.02 1 Jul 08, 2026 3.05 2.07 -- 5.02 2.07 5.02 Apr 23, 2019 Apr 23, 2019 CSX CSX CORP Transportation Fixed Income 3682.39 0.0031581868247774598 3682.39 39 39 126408HE6 US126408HE65 BD9NGW4 93.82 United States -- USD 2.35 5.25 1 Nov 01, 2026 2.6 2.36 -- 5.25 2.36 5.25 Oct 18, 2016 Oct 18, 2016 NAB NATIONAL AUSTRALIA BANK LIMITED 144A Banking Fixed Income 3682.39 0.0031581868247774598 3682.39 39 39 6325C0DJ7 US6325C0DJ77 BDRKDN7 95.58 Australia -- USD 2.52 5.27 1 Jan 10, 2027 3.5 2.51 -- 5.27 2.51 5.27 Jan 10, 2017 Jan 10, 2017 ACGCAP AVIATION CAPITAL GROUP LLC 144A Finance Companies Fixed Income 3680.64 0.0031566859443863658 3680.64 37 37 05369AAN1 US05369AAN19 -- 100.71 United States -- USD 3.47 6.05 1 Apr 15, 2028 6.25 3.47 -- 6.04 3.4 6.04 Apr 03, 2023 Apr 03, 2023 FG FIDELITY & GUARANTY LIFE INSURANCE 144A Insurance Fixed Income 3680.64 0.0031566859443863658 3680.64 41 41 30321L2A9 US30321L2A99 -- 90.52 United States -- USD 2.08 6.48 1 Jun 30, 2026 1.75 2.07 -- 6.48 2.07 6.48 Jun 30, 2021 Jun 30, 2021 DTRGR DAIMLER TRUCKS FINANCE NORTH AMERI 144A Consumer Cyclical Fixed Income 3678.88 0.003155176487535894 3678.88 42 42 233853AG5 US233853AG56 -- 87.22 Germany -- USD 4.26 5.54 1 Dec 14, 2028 2.38 4.24 -- 5.54 4.24 5.54 Dec 14, 2021 Dec 14, 2021 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 3677.13 0.0031536756071448 3677.13 37 37 742718FY0 US742718FY05 -- 98.42 United States -- USD 1.65 5.05 1 Jan 26, 2026 4.1 1.65 -- 5.05 1.65 5.05 Jan 26, 2023 Jan 26, 2023 SYF SYNCHRONY FINANCIAL Banking Fixed Income 3677.13 0.0031536756071448 3677.13 38 38 87165BAG8 US87165BAG86 BYTRVS4 97.71 United States -- USD 1.17 6.44 1 Jul 23, 2025 4.5 1.17 -- 6.44 1.17 6.44 Jul 23, 2015 Jul 23, 2015 FCX FREEPORT-MCMORAN INC Basic Industry Fixed Income 3666.62 0.0031446617483388587 3666.62 39 39 35671DCG8 US35671DCG88 -- 94.5 United States -- USD 3.2 5.85 1 Aug 01, 2028 4.38 3.78 -- 5.85 3.78 5.85 Jul 27, 2020 Jul 27, 2020 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 3666.62 0.0031446617483388587 3666.62 37 37 86563VBG3 US86563VBG32 -- 100.12 Japan -- USD 1.74 5.58 1 Mar 09, 2026 5.65 1.74 -- 5.58 1.74 5.58 Mar 09, 2023 Mar 09, 2023 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3664.87 0.0031431608679477648 3664.87 37 37 03027XCG3 US03027XCG34 -- 98.15 United States -- USD 4.16 5.64 1 Feb 15, 2029 5.2 4.16 -- 5.64 4.16 5.64 Mar 07, 2024 Mar 07, 2024 DTE DTE ENERGY COMPANY Electric Fixed Income 3664.87 0.0031431608679477648 3664.87 39 39 233331AY3 US233331AY31 BDGL944 93.87 United States -- USD 2.29 5.58 1 Oct 01, 2026 2.85 2.3 -- 5.58 2.3 5.58 Oct 05, 2016 Oct 05, 2016 ENTERP ERAC USA FINANCE LLC 144A Transportation Fixed Income 3664.87 0.0031431608679477648 3664.87 37 37 26884TAY8 US26884TAY82 -- 98.22 United States -- USD 4.16 5.42 1 Feb 15, 2029 5 4.17 -- 5.42 4.17 5.42 Feb 08, 2024 Feb 08, 2024 EXPE EXPEDIA INC Consumer Cyclical Fixed Income 3664.87 0.0031431608679477648 3664.87 37 37 30212PAM7 US30212PAM77 BYWJ6Z9 98.8 United States -- USD 1.62 5.7 1 Feb 15, 2026 5 1.68 -- 5.7 1.68 5.7 Aug 15, 2016 Nov 10, 2016 NRUC NATIONAL RURAL UTILITIES COOPERATI Electric Fixed Income 3659.61 0.003138649650315105 3659.61 40 40 63743HEW8 US63743HEW88 -- 91.22 United States -- USD 2.06 5.4 1 Jun 15, 2026 1 2.06 -- 5.4 2.06 5.4 Feb 24, 2021 Feb 24, 2021 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 3659.61 0.003138649650315105 3659.61 37 37 694308KQ9 US694308KQ98 -- 98.76 United States -- USD 4.31 5.83 1 May 15, 2029 5.55 4.31 -- 5.83 4.31 5.83 Feb 28, 2024 Feb 28, 2024 BMO BANK OF MONTREAL MTN Banking Fixed Income 3656.11 0.003135647889532917 3656.11 37 37 06368LC53 US06368LC537 -- 99.41 Canada -- USD 2.38 5.51 1 Dec 11, 2026 5.27 2.38 -- 5.51 2.38 5.51 Dec 11, 2023 Dec 11, 2023 KORGAS KOREA GAS CORPORATION MTN 144A Owned No Guarantee Fixed Income 3656.11 0.003135647889532917 3656.11 40 40 50066AAQ6 US50066AAQ67 BKX7DZ3 90.92 Korea (South) -- USD 2.13 5.53 1 Jul 13, 2026 1.13 2.13 -- 5.53 2.13 5.53 Jul 13, 2021 Jul 13, 2021 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 3654.36 0.003134147009141823 3654.36 39 39 709599BL7 US709599BL72 -- 93.07 United States -- USD 1.51 5.93 1 Nov 15, 2025 1.2 1.49 -- 5.93 1.49 5.93 Oct 26, 2020 Oct 26, 2020 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 3652.61 0.003132646128750729 3652.61 37 37 63743HFJ6 US63743HFJ68 -- 98.74 United States -- USD 3.85 5.37 1 Sep 15, 2028 5.05 3.86 -- 5.37 3.86 5.37 Jun 29, 2023 Jun 29, 2023 NORBK NORINCHUKIN BANK/THE 144A Banking Fixed Income 3652.61 0.003132646128750729 3652.61 37 37 656029AL9 US656029AL92 -- 99.56 Japan -- USD 3.44 5.56 1 Mar 09, 2028 5.43 3.43 -- 5.56 3.43 5.56 Mar 09, 2023 Mar 09, 2023 BRITEL BRITISH TELECOMMUNICATIONS PLC Communications Fixed Income 3649.1 0.0031296357915091633 3649.1 37 37 111021AL5 US111021AL54 BHK1FJ5 98.4 United Kingdom -- USD 3.92 5.52 1 Dec 04, 2028 5.13 3.97 -- 5.52 3.97 5.52 Dec 04, 2018 Dec 04, 2018 SPG SIMON PROPERTY GROUP LP Reits Fixed Income 3649.1 0.0031296357915091633 3649.1 38 38 828807CY1 US828807CY15 BDBGH17 94.83 United States -- USD 2.39 5.41 1 Nov 30, 2026 3.25 2.41 -- 5.41 2.41 5.41 Nov 23, 2016 Nov 23, 2016 OVV OVINTIV INC Energy Fixed Income 3647.35 0.0031281349111180697 3647.35 37 37 69047QAA0 US69047QAA04 -- 99.71 Canada -- USD 0.99 5.93 1 May 15, 2025 5.65 0.99 -- 5.93 0.99 5.93 May 31, 2023 May 31, 2023 TTWO TAKE-TWO INTERACTIVE SOFTWARE INC. Communications Fixed Income 3647.35 0.0031281349111180697 3647.35 38 38 874054AG4 US874054AG47 -- 95.07 United States -- USD 2.75 5.52 1 Apr 14, 2027 3.7 2.76 -- 5.52 2.76 5.52 Apr 14, 2022 Apr 14, 2022 MO ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 3645.6 0.0031266340307269757 3645.6 38 38 02209SBD4 US02209SBD45 BFZ57Y7 96.91 United States -- USD 4.13 5.54 1 Feb 14, 2029 4.8 4.18 -- 5.54 4.18 5.54 Feb 14, 2019 Feb 14, 2019 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 3645.6 0.0031266340307269757 3645.6 39 39 913017CH0 US913017CH04 BYMS8Q1 93.68 United States -- USD 2.35 5.37 1 Nov 01, 2026 2.65 2.35 -- 5.37 2.35 5.37 Nov 01, 2016 Nov 01, 2016 AZO AUTOZONE INC Consumer Cyclical Fixed Income 3643.85 0.0031251331503358818 3643.85 35 35 053332BG6 US053332BG66 -- 102.98 United States -- USD 3.77 5.5 1 Nov 01, 2028 6.25 3.79 -- 5.49 3.73 5.49 Oct 25, 2023 Oct 25, 2023 SYK STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 3638.59 0.003120621932703222 3638.59 38 38 863667BA8 US863667BA85 -- 95.05 United States -- USD 1.1 5.7 1 Jun 15, 2025 1.15 1.1 -- 5.7 1.1 5.7 Jun 04, 2020 Jun 04, 2020 RADPAR RADIOLOGY PARTNERS INC 144A Consumer Non-Cyclical Fixed Income 3635.69 0.003118134759483695 3635.69 46 46 75041VAC8 US75041VAC81 -- 78.53 United States -- USD 4.2 15.52 1 Feb 15, 2030 9.78 3.98 -- 15.52 3.98 15.52 Feb 22, 2024 Feb 22, 2024 AEP AEP TEXAS INC Electric Fixed Income 3635.09 0.003117620171921034 3635.09 39 39 00108WAH3 US00108WAH34 BHNG070 93.55 United States -- USD 3.63 5.74 1 Jun 01, 2028 3.95 3.65 -- 5.74 3.65 5.74 Dec 01, 2018 Jan 17, 2019 SMBCAC SMBC AVIATION CAPITAL FINANCE DAC 144A Finance Companies Fixed Income 3635.09 0.003117620171921034 3635.09 37 37 78448TAL6 US78448TAL61 -- 97.49 Ireland -- USD 4.26 5.89 1 Apr 03, 2029 5.3 4.26 -- 5.89 4.26 5.89 Apr 03, 2024 Apr 03, 2024 DANBNK DANSKE BANK A/S 144A Banking Fixed Income 3629.83 0.0031131089542883743 3629.83 39 39 23636AAZ4 US23636AAZ49 -- 94.14 Denmark -- USD 1.33 6.3 1 Sep 11, 2026 1.62 1.32 -- 6.12 1.32 6.12 Sep 11, 2020 Sep 11, 2020 WSTP WESTPAC BANKING CORP Banking Fixed Income 3629.83 0.0031131089542883743 3629.83 39 39 961214DW0 US961214DW04 BYZGTJ2 93.62 Australia -- USD 3.43 5.3 1 Jan 25, 2028 3.4 3.42 -- 5.3 3.42 5.3 Jan 25, 2018 Jan 25, 2018 MEITUA MEITUAN 144A Consumer Cyclical Fixed Income 3628.08 0.0031116080738972803 3628.08 38 38 58533EAB9 US58533EAB92 -- 94.73 China -- USD 1.44 5.82 1 Oct 28, 2025 2.13 1.43 -- 5.82 1.43 5.82 Oct 28, 2020 Oct 28, 2020 TRGP TARGA RESOURCES PARTNERS LP Energy Fixed Income 3626.33 0.0031101071935061863 3626.33 36 36 87612BBN1 US87612BBN10 BL3FLF0 101.81 United States -- USD 0.08 6.42 1 Jan 15, 2029 6.88 3.92 -- -5 0.09 -5 Jan 17, 2019 Jan 17, 2019 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 3622.82 0.003107096856264621 3622.82 39 39 21036PAY4 US21036PAY43 BF42ZK1 93.47 United States -- USD 3.44 5.53 1 Feb 15, 2028 3.6 3.46 -- 5.53 3.46 5.53 Feb 07, 2018 Feb 07, 2018 GILD GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 3622.82 0.003107096856264621 3622.82 41 41 375558BX0 US375558BX02 -- 87.59 United States -- USD 3.29 5.19 1 Oct 01, 2027 1.2 3.28 -- 5.19 3.28 5.19 Sep 30, 2020 Sep 30, 2020 KOROIL KOREA NATIONAL OIL CORP 144A Owned No Guarantee Fixed Income 3622.82 0.003107096856264621 3622.82 39 39 50066PAD2 US50066PAD24 BYV6GD9 93.08 Korea (South) -- USD 2.38 5.5 1 Oct 24, 2026 2.5 2.37 -- 5.5 2.37 5.5 Oct 24, 2016 Oct 24, 2016 VICI VICI PROPERTIES LP 144A Consumer Cyclical Fixed Income 3622.82 0.003107096856264621 3622.82 39 39 92564RAD7 US92564RAD70 BKMH5X6 93.76 United States -- USD 2.52 6.2 1 Feb 15, 2027 3.75 2.59 -- 6.2 2.59 6.2 Feb 05, 2020 Feb 05, 2020 CHGRID STATE GRID OVERSEAS INVESTMENT (20 MTN 144A Owned No Guarantee Fixed Income 3619.32 0.003104095095482433 3619.32 37 37 857006AM2 US857006AM27 BD712C2 97.05 China -- USD 3.57 5.07 1 May 02, 2028 4.25 3.56 -- 5.07 3.56 5.07 May 02, 2018 May 02, 2018 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3617.57 0.003102594215091339 3617.57 39 39 03027XBL3 US03027XBL38 -- 92.45 United States -- USD 1.9 5.7 1 Apr 15, 2026 1.6 1.89 -- 5.7 1.89 5.7 Mar 29, 2021 Mar 29, 2021 PRU PRUDENTIAL FINANCIAL INC Insurance Fixed Income 3617.57 0.003102594215091339 3617.57 39 39 744320AW2 US744320AW24 BYWJV76 92.72 United States -- USD 3.08 7.7 1 Sep 15, 2047 4.5 2.98 -- 6.94 3.05 6.94 Sep 15, 2017 Sep 15, 2017 CNP CENTERPOINT ENERGY HOUSTON ELECTRI Electric Fixed Income 3615.82 0.003101093334700245 3615.82 36 36 15189XBD9 US15189XBD93 -- 99.56 United States -- USD 3.88 5.31 1 Oct 01, 2028 5.2 3.9 -- 5.31 3.9 5.31 Sep 18, 2023 Sep 18, 2023 AKERBP LUNDIN ENERGY FINANCE BV 144A Energy Fixed Income 3615.82 0.003101093334700245 3615.82 39 39 55037AAA6 US55037AAA60 BMBYZ32 92.03 Norway -- USD 2.12 5.88 1 Jul 15, 2026 2 2.11 -- 5.88 2.11 5.88 Jun 23, 2021 Jun 23, 2021 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 3612.31 0.0030980829974586793 3612.31 36 36 24422EWX3 US24422EWX39 -- 98.97 United States -- USD 1.96 5.27 1 Jun 08, 2026 4.75 1.95 -- 5.27 1.95 5.27 Jun 08, 2023 Jun 08, 2023 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 3610.56 0.0030965821170675853 3610.56 38 38 74256LAU3 US74256LAU35 BYP9PP9 95.05 United States -- USD 1.89 5.68 1 Apr 18, 2026 3 1.88 -- 5.68 1.88 5.68 Apr 18, 2016 Apr 18, 2016 CARGIL CARGILL INC 144A Consumer Non-Cyclical Fixed Income 3608.81 0.0030950812366764913 3608.81 37 37 141781CA0 US141781CA03 -- 98.45 United States -- USD 2 5.27 1 Jun 24, 2026 4.5 2 -- 5.27 2 5.27 Apr 24, 2023 Apr 24, 2023 KO COCA-COLA CO Consumer Non-Cyclical Fixed Income 3608.81 0.0030950812366764913 3608.81 41 41 191216DJ6 US191216DJ60 -- 88.09 United States -- USD 3.66 4.92 1 Mar 05, 2028 1.5 3.66 -- 4.92 3.66 4.92 Mar 05, 2021 Mar 05, 2021 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 3608.81 0.0030950812366764913 3608.81 37 37 808513AX3 US808513AX31 BFY2YY8 98.31 United States -- USD 1.01 5.49 1 May 21, 2025 3.85 1.02 -- 5.49 1.02 5.49 May 22, 2018 May 22, 2018 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 3605.31 0.0030920794758943033 3605.31 38 38 06406RBG1 US06406RBG11 -- 95.97 United States -- USD 2.95 5.53 1 Jun 13, 2028 3.99 2.85 -- 5.41 2.85 5.41 Jun 13, 2022 Jun 13, 2022 KHFC KOREA HOUSING FINANCE CORP 144A Owned No Guarantee Fixed Income 3605.31 0.0030920794758943033 3605.31 37 37 50065RAK3 US50065RAK32 -- 97.82 Korea (South) -- USD 3.45 5.26 1 Feb 24, 2028 4.63 3.43 -- 5.26 3.43 5.26 Feb 24, 2023 Feb 24, 2023 BLX BANCO LATINOAMERICANO DE COMERCIO 144A Government Sponsored Fixed Income 3600.05 0.0030875682582616436 3600.05 38 38 05968CAC6 US05968CAC64 -- 94.57 Panama -- USD 1.34 6.53 1 Sep 14, 2025 2.38 1.32 -- 6.53 1.32 6.53 Sep 14, 2020 Sep 14, 2020 WES WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 3600.05 0.0030875682582616436 3600.05 38 38 958254AH7 US958254AH78 -- 95.63 United States -- USD 3.41 5.78 1 Mar 01, 2028 4.5 3.45 -- 5.78 3.45 5.78 Mar 02, 2018 Mar 02, 2018 DTRGR DAIMLER TRUCK FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3598.3 0.0030860673778705496 3598.3 36 36 233853AP5 US233853AP55 -- 99.18 Germany -- USD 1.61 5.65 1 Jan 16, 2026 5.15 1.61 -- 5.65 1.61 5.65 Jan 19, 2023 Jan 19, 2023 WES WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 3598.3 0.0030860673778705496 3598.3 37 37 958254AK0 US958254AK08 BFXKXC4 96.42 United States -- USD 3.75 5.7 1 Aug 15, 2028 4.75 3.79 -- 5.7 3.79 5.7 Aug 09, 2018 Aug 09, 2018 WY WEYERHAEUSER COMPANY Basic Industry Fixed Income 3598.3 0.0030860673778705496 3598.3 35 35 962166AW4 US962166AW45 B0141N0 104.09 United States -- USD 3.04 5.62 1 Oct 01, 2027 6.95 3.02 -- 5.62 3.02 5.62 Oct 08, 1997 Oct 08, 1997 MQGAU MACQUARIE GROUP LTD MTN 144A Banking Fixed Income 3596.55 0.0030845664974794556 3596.55 37 37 55608JAP3 US55608JAP30 BG0SC43 96.96 Australia -- USD 4.07 5.75 1 Jan 15, 2030 5.03 4.08 -- 5.75 4.08 5.75 Oct 15, 2018 Oct 15, 2018 TENCNT TENCENT HOLDINGS LTD MTN 144A Technology Fixed Income 3596.55 0.0030845664974794556 3596.55 38 38 88032WAT3 US88032WAT36 BMXB5B9 93.89 China -- USD 1.68 5.51 1 Jan 26, 2026 1.81 1.68 -- 5.51 1.68 5.51 Jun 03, 2020 Jun 03, 2020 D VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 3596.55 0.0030845664974794556 3596.55 38 38 927804FZ2 US927804FZ22 BFYCQS6 94.29 United States -- USD 3.55 5.43 1 Apr 01, 2028 3.8 3.58 -- 5.43 3.58 5.43 Mar 22, 2018 Mar 22, 2018 MRVL MARVELL TECHNOLOGY INC Technology Fixed Income 3594.79 0.0030830570406289843 3594.79 37 37 573874AN4 US573874AN44 BP0XNH1 96.88 United States -- USD 3.59 5.73 1 Jun 22, 2028 4.88 3.64 -- 5.73 3.64 5.73 Jun 22, 2021 Dec 16, 2021 HUM HUMANA INC Insurance Fixed Income 3593.04 0.0030815561602378903 3593.04 36 36 444859BU5 US444859BU54 -- 100.44 United States -- USD 3.37 5.62 1 Mar 01, 2028 5.75 3.39 -- 5.62 3.32 5.62 Nov 22, 2022 Nov 22, 2022 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 3593.04 0.0030815561602378903 3593.04 37 37 709599BN3 US709599BN39 -- 96.21 United States -- USD 2.87 5.71 1 Jul 01, 2027 4.4 2.88 -- 5.71 2.88 5.71 Jun 09, 2022 Jun 09, 2022 CMCSA COMCAST CABLE COMMUNICATIONS LLC Communications Fixed Income 3593.04 0.0030815561602378903 3593.04 35 35 872287AF4 US872287AF41 2877235 104.02 United States -- USD 1.66 5.5 1 Feb 15, 2026 7.88 1.65 -- 5.5 1.65 5.5 Feb 14, 1996 Feb 14, 1996 BBVASM BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 3591.29 0.0030800552798467963 3591.29 36 36 05946KAL5 US05946KAL52 -- 100.93 Mexico -- USD 2.98 6.29 1 Sep 14, 2028 6.14 2.99 -- 5.83 3 5.83 Sep 14, 2022 Sep 14, 2022 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y Banking Fixed Income 3589.54 0.0030785543994557023 3589.54 37 37 63254AAP3 US63254AAP30 BD8RHK2 96.78 Australia -- USD 1.63 5.35 1 Jan 14, 2026 3.38 1.63 -- 5.35 1.63 5.35 Jan 14, 2016 Jan 14, 2016 FDX FEDEX CORP Transportation Fixed Income 3587.79 0.0030770535190646083 3587.79 37 37 31428XBF2 US31428XBF24 BD9Y0C5 96.29 United States -- USD 1.81 5.29 1 Apr 01, 2026 3.25 1.84 -- 5.29 1.84 5.29 Mar 24, 2016 Mar 24, 2016 ORI OLD REPUBLIC INTERNATIONAL CORPORA Insurance Fixed Income 3587.79 0.0030770535190646083 3587.79 37 37 680223AK0 US680223AK06 BD606N9 95.87 United States -- USD 2.17 5.79 1 Aug 26, 2026 3.88 2.18 -- 5.79 2.18 5.79 Aug 26, 2016 Aug 26, 2016 WELL WELLTOWER OP LLC Reits Fixed Income 3587.79 0.0030770535190646083 3587.79 39 39 95040QAK0 US95040QAK04 -- 92.85 United States -- USD 2.64 5.48 1 Feb 15, 2027 2.7 2.63 -- 5.48 2.63 5.48 Dec 16, 2019 Dec 16, 2019 ADSK AUTODESK INC Technology Fixed Income 3586.04 0.0030755526386735143 3586.04 38 38 052769AE6 US052769AE63 BF4SNS3 94.79 United States -- USD 2.85 5.32 1 Jun 15, 2027 3.5 2.88 -- 5.32 2.88 5.32 Jun 08, 2017 Jun 08, 2017 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3586.04 0.0030755526386735143 3586.04 38 38 44891ABD8 US44891ABD81 -- 94.81 Korea (South) -- USD 2.32 5.74 1 Nov 02, 2026 3.5 2.32 -- 5.74 2.32 5.74 Oct 31, 2019 Oct 31, 2019 SNX TD SYNNEX CORP Technology Fixed Income 3586.04 0.0030755526386735143 3586.04 39 39 87162WAF7 US87162WAF77 -- 91.09 United States -- USD 2.19 5.97 1 Aug 09, 2026 1.75 2.18 -- 5.97 2.18 5.97 Feb 09, 2022 Jul 14, 2022 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 3584.28 0.0030740431818230426 3584.28 38 38 86562MAY6 US86562MAY66 BFWJ225 93.61 Japan -- USD 3.41 5.46 1 Jan 17, 2028 3.54 3.39 -- 5.46 3.39 5.46 Jan 17, 2018 Jan 17, 2018 BRKHEC PACIFICORP Electric Fixed Income 3582.53 0.0030725423014319486 3582.53 36 36 695114DB1 US695114DB12 -- 98.75 United States -- USD 4.14 5.39 1 Feb 15, 2029 5.1 4.14 -- 5.39 4.14 5.39 Jan 05, 2024 Jan 05, 2024 O REALTY INCOME CORPORATION Reits Fixed Income 3582.53 0.0030725423014319486 3582.53 37 37 756109BG8 US756109BG81 -- 95.54 United States -- USD 2.98 5.44 1 Aug 15, 2027 3.95 3.02 -- 5.44 3.02 5.44 Aug 15, 2021 Aug 15, 2021 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 3582.53 0.0030725423014319486 3582.53 38 38 808513AZ8 US808513AZ88 BFY3NT9 94.74 United States -- USD 4.18 5.26 1 Feb 01, 2029 4 4.22 -- 5.26 4.22 5.26 Oct 31, 2018 Oct 31, 2018 AEE AMEREN CORPORATION Electric Fixed Income 3580.78 0.0030710414210408546 3580.78 36 36 023608AP7 US023608AP74 -- 100.24 United States -- USD 2.3 5.6 1 Dec 01, 2026 5.7 2.33 -- 5.6 2.26 5.6 Nov 20, 2023 Nov 20, 2023 WELL WELLTOWER OP LLC Reits Fixed Income 3580.78 0.0030710414210408546 3580.78 37 37 95040QAC8 US95040QAC87 BD6R618 97.43 United States -- USD 1.77 5.67 1 Apr 01, 2026 4.25 1.82 -- 5.67 1.82 5.67 Mar 01, 2016 Mar 01, 2016 SRE SEMPRA Natural Gas Fixed Income 3577.28 0.0030680396602586666 3577.28 38 38 816851BA6 US816851BA63 BD6DZZ3 93.2 United States -- USD 2.87 5.64 1 Jun 15, 2027 3.25 2.89 -- 5.64 2.89 5.64 Jun 09, 2017 Jun 09, 2017 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 3573.77 0.003065029323017101 3573.77 36 36 24422EWW5 US24422EWW55 -- 99.56 United States -- USD 1.05 5.36 1 Jun 06, 2025 4.95 1.05 -- 5.36 1.05 5.36 Jun 08, 2023 Jun 08, 2023 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 3572.02 0.003063528442626007 3572.02 38 38 742718EV7 US742718EV74 BYXG400 93.75 United States -- USD 3.07 4.93 1 Aug 11, 2027 2.85 3.07 -- 4.93 3.07 4.93 Aug 11, 2017 Aug 11, 2017 DCP DCP MIDSTREAM OPERATING LP Energy Fixed Income 3568.52 0.003060526681843819 3568.52 36 36 23311VAJ6 US23311VAJ61 -- 100.02 United States -- USD 2.77 5.62 1 Jul 15, 2027 5.63 2.87 -- 5.62 2.87 5.62 Jun 24, 2020 Jun 24, 2020 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3566.77 0.0030590258014527253 3566.77 36 36 64952WFB4 US64952WFB46 -- 98.61 United States -- USD 1.82 5.47 1 Apr 02, 2026 4.7 1.82 -- 5.47 1.82 5.47 Apr 05, 2023 Apr 05, 2023 FLEX FLEX LTD Technology Fixed Income 3565.01 0.0030575163446022536 3565.01 37 37 33938XAC9 US33938XAC92 -- 96.41 Singapore -- USD 1.67 5.92 1 Feb 01, 2026 3.75 1.66 -- 5.92 1.66 5.92 May 12, 2020 May 12, 2020 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3565.01 0.0030575163446022536 3565.01 36 36 58769JAQ0 US58769JAQ04 -- 98.55 Germany -- USD 2.48 5.38 1 Jan 11, 2027 4.8 2.47 -- 5.38 2.47 5.38 Jan 11, 2024 Jan 11, 2024 VTR VENTAS REALTY LP Reits Fixed Income 3563.26 0.0030560154642111596 3563.26 38 38 92277GAM9 US92277GAM96 BYWJDB4 93.8 United States -- USD 3.45 5.82 1 Mar 01, 2028 4 3.47 -- 5.82 3.47 5.82 Feb 23, 2018 Feb 23, 2018 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 3559.76 0.0030530137034289716 3559.76 36 36 66815L2J7 US66815L2J72 -- 98.29 United States -- USD 1.12 5.5 1 Jul 01, 2025 4 1.12 -- 5.5 1.12 5.5 Jul 01, 2022 Jul 01, 2022 NDAFH NORDEA BANK ABP 144A Banking Fixed Income 3558.01 0.0030515128230378776 3558.01 38 38 65559CAB7 US65559CAB72 -- 93.87 Finland -- USD 1.3 5.55 1 Aug 28, 2025 0.75 1.3 -- 5.55 1.3 5.55 Aug 28, 2020 Aug 28, 2020 ACAFP CREDIT AGRICOLE SA MTN 144A Banking Fixed Income 3556.25 0.003050003366187406 3556.25 39 39 22534PAB9 US22534PAB94 -- 91.62 France -- USD 2.57 5.38 1 Jan 11, 2027 2.02 2.56 -- 5.38 2.56 5.38 Jan 11, 2022 Jan 11, 2022 AZO AUTOZONE INC Consumer Cyclical Fixed Income 3552.75 0.003047001605405218 3552.75 37 37 053332AV4 US053332AV43 BYQJKB9 95.26 United States -- USD 2.79 5.43 1 Jun 01, 2027 3.75 2.83 -- 5.43 2.83 5.43 Apr 18, 2017 Apr 18, 2017 HAS HASBRO INC Consumer Non-Cyclical Fixed Income 3552.75 0.003047001605405218 3552.75 38 38 418056AY3 US418056AY31 BL3LYR1 94.67 United States -- USD 2.36 5.81 1 Nov 19, 2026 3.55 2.37 -- 5.81 2.37 5.81 Nov 19, 2019 Nov 19, 2019 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 3552.75 0.003047001605405218 3552.75 38 38 548661EG8 US548661EG89 -- 94.5 United States -- USD 2.73 5.4 1 Apr 01, 2027 3.35 2.73 -- 5.4 2.73 5.4 Mar 24, 2022 Mar 24, 2022 NDAFH NORDEA BANK ABP MTN 144A Banking Fixed Income 3551 0.003045500725014124 3551 39 39 65559CAE1 US65559CAE12 -- 90.73 Finland -- USD 2.33 5.63 1 Sep 30, 2026 1.5 2.33 -- 5.63 2.33 5.63 Sep 30, 2021 Sep 30, 2021 ROP ROPER TECHNOLOGIES INC Technology Fixed Income 3549.25 0.00304399984462303 3549.25 38 38 776743AM8 US776743AM84 -- 93.85 United States -- USD 1.35 5.66 1 Sep 15, 2025 1 1.34 -- 5.66 1.34 5.66 Sep 01, 2020 Sep 01, 2020 DRI DARDEN RESTAURANTS INC Consumer Cyclical Fixed Income 3547.5 0.003042498964231936 3547.5 37 37 237194AL9 US237194AL90 BDVK8W7 95.15 United States -- USD 2.71 5.62 1 May 01, 2027 3.85 2.74 -- 5.62 2.74 5.62 Apr 18, 2017 Apr 18, 2017 GBLATL GA GLOBAL FUNDING TRUST 144A Insurance Fixed Income 3547.5 0.003042498964231936 3547.5 38 38 36143L2A2 US36143L2A26 -- 92.58 United States -- USD 1.66 6.23 1 Jan 15, 2026 1.63 1.65 -- 6.23 1.65 6.23 Jan 15, 2021 Jan 15, 2021 HWM HOWMET AEROSPACE INC Capital Goods Fixed Income 3542.24 0.0030379877465992766 3542.24 35 35 013817AJ0 US013817AJ05 BFLRBF6 100.44 United States -- USD 2.5 5.72 1 Feb 01, 2027 5.9 2.49 -- 5.72 2.49 5.72 Jan 25, 2007 Jan 25, 2007 KORGAS KOREA GAS CORPORATION MTN 144A Owned No Guarantee Fixed Income 3542.24 0.0030379877465992766 3542.24 36 36 50066AAU7 US50066AAU79 -- 98.17 Korea (South) -- USD 3.7 5.37 1 Jul 05, 2028 4.88 3.69 -- 5.37 3.69 5.37 Jul 05, 2023 Jul 05, 2023 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3536.98 0.003033476528966617 3536.98 36 36 44891ACX3 US44891ACX37 -- 98.83 United States -- USD 2.64 5.74 1 Mar 19, 2027 5.3 2.64 -- 5.74 2.64 5.74 Mar 19, 2024 Mar 19, 2024 KOHNPW KOREA HYDRO & NUCLEAR POWER CO LTD MTN 144A Owned No Guarantee Fixed Income 3536.98 0.003033476528966617 3536.98 36 36 50064YAS2 US50064YAS28 -- 98.13 Korea (South) -- USD 3.72 5.5 1 Jul 18, 2028 5 3.71 -- 5.5 3.71 5.5 Jul 18, 2023 Jul 18, 2023 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3536.98 0.003033476528966617 3536.98 35 35 64953BBF4 US64953BBF40 -- 100.02 United States -- USD 2.21 5.44 1 Sep 18, 2026 5.45 2.21 -- 5.44 2.21 5.44 Sep 19, 2023 Sep 19, 2023 CRBG COREBRIDGE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3535.23 0.003031975648575523 3535.23 36 36 00138CAX6 US00138CAX65 -- 98.08 United States -- USD 4.08 5.67 1 Jan 12, 2029 5.2 4.06 -- 5.67 4.06 5.67 Jan 12, 2024 Jan 12, 2024 SYK STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 3535.23 0.003031975648575523 3535.23 38 38 863667AQ4 US863667AQ47 BFX0540 94.15 United States -- USD 3.49 5.34 1 Mar 07, 2028 3.65 3.52 -- 5.34 3.52 5.34 Mar 07, 2018 Mar 07, 2018 APAAU APT PIPELINES LTD 144A Natural Gas Fixed Income 3533.48 0.003030474768184429 3533.48 37 37 00205GAD9 US00205GAD97 BDZWFD9 96.47 Australia -- USD 2.87 5.46 1 Jul 15, 2027 4.25 2.93 -- 5.46 2.93 5.46 Mar 23, 2017 Mar 23, 2017 BHARTI BHARTI AIRTEL LTD 144A Communications Fixed Income 3531.73 0.003028973887793335 3531.73 36 36 08860HAA2 US08860HAA23 BYZZC56 98.3 India -- USD 1.06 5.95 1 Jun 10, 2025 4.38 1.06 -- 5.95 1.06 5.95 Jun 10, 2015 Jun 10, 2015 NACF NONGHYUP BANK MTN 144A Government Sponsored Fixed Income 3531.73 0.003028973887793335 3531.73 36 36 65540JAK4 US65540JAK43 -- 98.04 Korea (South) -- USD 3.69 5.4 1 Jul 03, 2028 4.88 3.68 -- 5.4 3.68 5.4 Jul 03, 2023 Jul 03, 2023 ALLY ALLY FINANCIAL INC Banking Fixed Income 3526.47 0.003024462670160675 3526.47 37 37 02005NBQ2 US02005NBQ25 -- 96.12 United States -- USD 2.8 6.13 1 Jun 09, 2027 4.75 2.8 -- 6.13 2.8 6.13 Jun 09, 2022 Jun 09, 2022 L LOEWS CORPORATION Insurance Fixed Income 3526.47 0.003024462670160675 3526.47 36 36 540424AS7 US540424AS76 BDFXRC5 96.97 United States -- USD 1.79 5.42 1 Apr 01, 2026 3.75 1.83 -- 5.42 1.83 5.42 Mar 22, 2016 Mar 22, 2016 NXPI NXP BV Technology Fixed Income 3526.47 0.003024462670160675 3526.47 35 35 62947QBC1 US62947QBC15 -- 99.72 United States -- USD 3.85 5.62 1 Dec 01, 2028 5.55 3.92 -- 5.62 3.92 5.62 Dec 01, 2021 May 16, 2022 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 3524.72 0.003022961789769581 3524.72 38 38 06406FAE3 US06406FAE34 BZC0LQ5 93.82 United States -- USD 2.18 5.32 1 Aug 17, 2026 2.45 2.19 -- 5.32 2.19 5.32 Aug 16, 2016 Aug 16, 2016 BG BUNGE LIMITED FINANCE CORPORATION Consumer Non-Cyclical Fixed Income 3524.72 0.003022961789769581 3524.72 37 37 120568BB5 US120568BB55 -- 94.97 United States -- USD 1.27 5.66 1 Aug 17, 2025 1.63 1.26 -- 5.66 1.26 5.66 Aug 17, 2020 Aug 17, 2020 ENBCN ENBRIDGE INC Energy Fixed Income 3524.72 0.003022961789769581 3524.72 37 37 29250NAN5 US29250NAN57 BD9N4C0 94.32 Canada -- USD 2.45 9.33 1 Jan 15, 2077 6 2.23 -- 8.37 2.4 8.37 Dec 19, 2016 Dec 19, 2016 DOC HEALTHPEAK OP LLC Reits Fixed Income 3524.72 0.003022961789769581 3524.72 39 39 42250PAC7 US42250PAC77 -- 89.65 United States -- USD 2.65 5.43 1 Feb 01, 2027 1.35 2.64 -- 5.43 2.64 5.43 Jul 12, 2021 Jul 12, 2021 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3524.72 0.003022961789769581 3524.72 35 35 58769JAB3 US58769JAB35 -- 99.86 Germany -- USD 1.47 5.47 1 Nov 26, 2025 5.38 1.47 -- 5.47 1.47 5.47 Nov 28, 2022 Nov 28, 2022 UHS UNIVERSAL HEALTH SERVICES INC Consumer Non-Cyclical Fixed Income 3522.97 0.003021460909378487 3522.97 39 39 913903AZ3 US913903AZ35 BMHDM43 90.73 United States -- USD 2.25 5.93 1 Sep 01, 2026 1.65 2.24 -- 5.93 2.24 5.93 Sep 01, 2022 Dec 22, 2022 JBHT JB HUNT TRANSPORT SERVICES INC Transportation Fixed Income 3515.96 0.003015448811354734 3515.96 36 36 445658CF2 US445658CF29 BH3W5S4 97.14 United States -- USD 1.72 5.52 1 Mar 01, 2026 3.88 1.74 -- 5.52 1.74 5.52 Mar 01, 2019 Mar 01, 2019 SYF SYNCHRONY BANK Banking Fixed Income 3515.96 0.003015448811354734 3515.96 36 36 87166FAE3 US87166FAE34 -- 97.87 United States -- USD 2.95 6.34 1 Aug 23, 2027 5.63 2.96 -- 6.34 2.96 6.34 Aug 23, 2022 Aug 23, 2022 AYR AIRCASTLE LTD 144A Finance Companies Fixed Income 3514.21 0.00301394793096364 3514.21 35 35 00928QAX9 US00928QAX97 -- 100.56 United States -- USD 3.59 6.34 1 Jul 18, 2028 6.5 3.59 -- 6.34 3.53 6.34 Jul 18, 2023 Jul 18, 2023 CKHH CK HUTCHISON INTERNATIONAL (16) LT 144A Industrial Other Fixed Income 3514.21 0.00301394793096364 3514.21 37 37 12563TAB6 US12563TAB61 BYYHDV6 93.76 Hong Kong -- USD 2.32 5.52 1 Oct 03, 2026 2.75 2.31 -- 5.52 2.31 5.52 Oct 03, 2016 Oct 03, 2016 SABIC SABIC CAPITAL II BV 144A Owned No Guarantee Fixed Income 3514.21 0.00301394793096364 3514.21 37 37 78520LAB6 US78520LAB62 -- 96.25 Saudi Arabia -- USD 3.98 5.46 1 Oct 10, 2028 4.5 3.96 -- 5.46 3.96 5.46 Oct 10, 2018 Oct 10, 2018 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 3514.21 0.00301394793096364 3514.21 35 35 80282KBJ4 US80282KBJ43 BQB8DW7 99.34 United States -- USD 3.9 6.56 1 Jan 09, 2030 6.17 3.95 -- 6.34 3.96 6.34 Jan 09, 2024 Jan 09, 2024 BBVASM BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 3512.46 0.003012447050572546 3512.46 37 37 05946KAJ0 US05946KAJ07 -- 93.73 Mexico -- USD 1.35 5.86 1 Sep 18, 2025 1.13 1.35 -- 5.86 1.35 5.86 Sep 18, 2020 Sep 18, 2020 DXC DXC TECHNOLOGY CO Technology Fixed Income 3512.46 0.003012447050572546 3512.46 39 39 23355LAL0 US23355LAL09 -- 90.78 United States -- USD 2.29 6 1 Sep 15, 2026 1.8 2.27 -- 6 2.27 6 Sep 09, 2021 Sep 09, 2021 IBM IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 3510.71 0.003010946170181452 3510.71 36 36 449276AA2 US449276AA20 -- 98.76 United States -- USD 1.67 5.44 1 Feb 05, 2026 4.7 1.66 -- 5.44 1.66 5.44 Feb 05, 2024 Feb 05, 2024 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 3508.95 0.00300943671333098 3508.95 37 37 06406RAF4 US06406RAF47 BF5DPL4 93.64 United States -- USD 3.41 5.29 1 Jan 29, 2028 3.4 3.43 -- 5.29 3.43 5.29 Jan 29, 2018 Jan 29, 2018 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 3507.2 0.003007935832939886 3507.2 35 35 65535HBE8 US65535HBE80 -- 98.96 Japan -- USD 1.12 6.01 1 Jul 03, 2025 5.1 1.12 -- 6.01 1.12 6.01 Jul 06, 2022 Jul 06, 2022 ZTS ZOETIS INC Consumer Non-Cyclical Fixed Income 3507.2 0.003007935832939886 3507.2 35 35 98978VAU7 US98978VAU70 -- 99.78 United States -- USD 1.4 5.55 1 Nov 14, 2025 5.4 1.44 -- 5.55 1.44 5.55 Nov 16, 2022 Nov 16, 2022 CDW CDW LLC Technology Fixed Income 3505.45 0.003006434952548792 3505.45 36 36 12513GBE8 US12513GBE89 -- 98.23 United States -- USD 0.95 5.94 1 May 01, 2025 4.13 0.96 -- 5.94 0.96 5.94 Apr 21, 2020 Apr 21, 2020 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 3505.45 0.003006434952548792 3505.45 36 36 63743HFG2 US63743HFG20 -- 98.21 United States -- USD 3.46 5.31 1 Mar 15, 2028 4.8 3.48 -- 5.31 3.48 5.31 Dec 16, 2022 Dec 16, 2022 PNC PNC BANK NA MTN Banking Fixed Income 3505.45 0.003006434952548792 3505.45 36 36 69353REQ7 US69353REQ74 BYPC934 97.39 United States -- USD 1.05 5.73 1 Jun 01, 2025 3.25 1.05 -- 5.73 1.05 5.73 Jun 01, 2015 Jun 01, 2015 MMM 3M CO MTN Capital Goods Fixed Income 3505.45 0.003006434952548792 3505.45 38 38 88579YAV3 US88579YAV39 BDGJKL2 92.88 United States -- USD 2.29 5.45 1 Sep 19, 2026 2.25 2.28 -- 5.45 2.28 5.45 Sep 19, 2016 Sep 19, 2016 LMT LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 3503.7 0.003004934072157698 3503.7 36 36 539830CC1 US539830CC15 -- 97.04 United States -- USD 4.2 5.2 1 Feb 15, 2029 4.5 4.21 -- 5.2 4.21 5.2 Jan 29, 2024 Jan 29, 2024 URWFP WEA FINANCE LLC 144A Reits Fixed Income 3503.7 0.003004934072157698 3503.7 39 39 92928QAH1 US92928QAH11 -- 90.99 United States -- USD 2.55 6.54 1 Jan 15, 2027 2.88 2.53 -- 6.54 2.53 6.54 Oct 15, 2019 Oct 15, 2019 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3501.95 0.003003433191766604 3501.95 35 35 02665WEQ0 US02665WEQ06 -- 100.33 United States -- USD 1.36 5.56 1 Oct 03, 2025 5.8 1.36 -- 5.56 1.36 5.56 Oct 04, 2023 Oct 04, 2023 PYPL PAYPAL HOLDINGS INC Technology Fixed Income 3500.2 0.00300193231137551 3500.2 36 36 70450YAK9 US70450YAK91 -- 96.2 United States -- USD 2.81 5.24 1 Jun 01, 2027 3.9 2.83 -- 5.24 2.83 5.24 May 23, 2022 May 23, 2022 HOG HARLEY-DAVIDSON FINANCIAL SERVICES 144A Consumer Cyclical Fixed Income 3498.44 0.0030004228545250384 3498.44 36 36 41283LAY1 US41283LAY11 -- 97.01 United States -- USD 1.07 6.15 1 Jun 08, 2025 3.35 1.06 -- 6.15 1.06 6.15 Jun 08, 2020 Jun 08, 2020 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 3498.44 0.0030004228545250384 3498.44 35 35 86563VBQ1 US86563VBQ14 -- 98.65 Japan -- USD 4.23 5.52 1 Mar 07, 2029 5.2 4.21 -- 5.52 4.21 5.52 Mar 07, 2024 Mar 07, 2024 CHRW CH ROBINSON WORLDWIDE INC Transportation Fixed Income 3494.94 0.0029974210937428504 3494.94 37 37 12541WAA8 US12541WAA80 BZ19JM5 95.36 United States -- USD 3.55 5.52 1 Apr 15, 2028 4.2 3.59 -- 5.52 3.59 5.52 Apr 11, 2018 Apr 11, 2018 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 3494.94 0.0029974210937428504 3494.94 37 37 86562MAV2 US86562MAV28 BZ1H0G0 93.26 Japan -- USD 3.23 5.51 1 Oct 18, 2027 3.35 3.22 -- 5.51 3.22 5.51 Oct 18, 2017 Oct 18, 2017 NTRCN NUTRIEN LTD Basic Industry Fixed Income 3493.19 0.0029959202133517564 3493.19 37 37 67077MAT5 US67077MAT53 BHPHFC1 94.23 Canada -- USD 4.32 5.55 1 Apr 01, 2029 4.2 4.36 -- 5.55 4.36 5.55 Apr 01, 2019 Apr 01, 2019 BPCEGP BPCE SA MTN 144A Banking Fixed Income 3491.44 0.0029944193329606624 3491.44 36 36 05578QAE3 US05578QAE35 BD9MTJ9 97.6 France -- USD 1.82 6.21 1 Apr 01, 2026 4.88 1.81 -- 6.21 1.81 6.21 Apr 01, 2016 Apr 01, 2016 HUM HUMANA INC Insurance Fixed Income 3491.44 0.0029944193329606624 3491.44 39 39 444859BQ4 US444859BQ43 -- 89.29 United States -- USD 2.66 5.57 1 Feb 03, 2027 1.35 2.64 -- 5.57 2.64 5.57 Aug 03, 2021 Aug 03, 2021 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 3491.44 0.0029944193329606624 3491.44 36 36 606822DE1 US606822DE19 -- 98.34 Japan -- USD 4.26 5.7 1 Apr 17, 2030 5.26 4.31 -- 5.65 4.31 5.65 Apr 17, 2024 Apr 17, 2024 CFPTCN ONTARIO TEACHERS CADILLAC FAIRVIEW 144A Government Sponsored Fixed Income 3491.44 0.0029944193329606624 3491.44 37 37 68327LAB2 US68327LAB27 -- 94.41 Canada -- USD 2.67 6 1 Mar 20, 2027 3.88 2.68 -- 6 2.68 6 Mar 20, 2017 Mar 20, 2017 AEP AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 3489.68 0.002992909876110191 3489.68 39 39 025537AU5 US025537AU52 -- 89 United States -- USD 2.37 7.56 1 Feb 15, 2062 3.88 2.4 -- 8.79 2.55 8.79 Nov 15, 2021 Nov 15, 2021 BPCEGP BPCE SA MTN 144A Banking Fixed Income 3486.18 0.002989908115328003 3486.18 35 35 05578AAY4 US05578AAY47 -- 98.28 France -- USD 3.32 5.64 1 Jan 18, 2028 5.13 3.3 -- 5.64 3.3 5.64 Jan 18, 2023 Jan 18, 2023 AALLN ANGLO AMERICAN CAPITAL PLC 144A Basic Industry Fixed Income 3484.43 0.002988407234936909 3484.43 36 36 034863AU4 US034863AU41 -- 95.81 South Africa -- USD 3.44 5.72 1 Mar 15, 2028 4.5 3.49 -- 5.72 3.49 5.72 Mar 15, 2018 Mar 15, 2018 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3482.68 0.002986906354545815 3482.68 34 34 44891ACR6 US44891ACR68 -- 102.89 United States -- USD 3.91 5.78 1 Jan 16, 2029 6.5 3.92 -- 5.78 3.86 5.78 Nov 03, 2023 Nov 03, 2023 OKE ONEOK INC Energy Fixed Income 3482.68 0.002986906354545815 3482.68 35 35 682680BD4 US682680BD48 -- 100.34 United States -- USD 1.56 5.63 1 Jan 15, 2026 5.85 1.59 -- 5.63 1.52 5.63 May 07, 2020 May 07, 2020 TXN TEXAS INSTRUMENTS INC Technology Fixed Income 3482.68 0.002986906354545815 3482.68 38 38 882508BK9 US882508BK94 -- 90.93 United States -- USD 2.3 5.21 1 Sep 15, 2026 1.13 2.3 -- 5.21 2.3 5.21 Sep 15, 2021 Sep 15, 2021 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 3480.92 0.0029853968976953434 3480.92 37 37 14913R3A3 US14913R3A32 -- 95.3 United States -- USD 3.04 5.17 1 Aug 12, 2027 3.6 3.03 -- 5.17 3.03 5.17 Aug 12, 2022 Aug 12, 2022 OKE ONEOK INC Energy Fixed Income 3480.92 0.0029853968976953434 3480.92 35 35 682680BR3 US682680BR34 -- 98.92 United States -- USD 1.64 5.62 1 Mar 01, 2026 5 1.73 -- 5.62 1.73 5.62 Feb 29, 2016 Feb 29, 2016 BBLTB BANGKOK BANK PUBLIC CO LTD (HONG K MTN 144A Banking Fixed Income 3479.17 0.0029838960173042494 3479.17 35 35 059895AW2 US059895AW22 -- 98.67 Thailand -- USD 3.85 5.64 1 Sep 21, 2028 5.3 3.86 -- 5.64 3.86 5.64 Sep 21, 2023 Sep 21, 2023 D VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 3477.42 0.0029823951369131554 3477.42 36 36 927804GH1 US927804GH15 -- 95.34 United States -- USD 2.78 5.42 1 May 15, 2027 3.75 2.79 -- 5.42 2.79 5.42 May 31, 2022 May 31, 2022 PH PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 3475.67 0.0029808942565220614 3475.67 37 37 701094AJ3 US701094AJ33 BF0TZW8 94.64 United States -- USD 2.63 5.3 1 Mar 01, 2027 3.25 2.66 -- 5.3 2.66 5.3 Sep 01, 2017 Dec 11, 2017 FG FIDELITY & GUARANTY LIFE HOLDINGS 144A Insurance Fixed Income 3472.17 0.0029778924957398734 3472.17 35 35 315786AC7 US315786AC73 BFFY3K2 99.05 United States -- USD 0.9 6.48 1 May 01, 2025 5.5 0.95 -- 6.48 0.95 6.48 Apr 20, 2018 Apr 20, 2018 TAISEM TSMC GLOBAL LTD 144A Technology Fixed Income 3468.66 0.0029748821584983077 3468.66 40 40 872882AF2 US872882AF24 -- 86.59 Taiwan -- USD 3.29 5.34 1 Sep 28, 2027 1 3.28 -- 5.34 3.28 5.34 Sep 28, 2020 Sep 28, 2020 NTAP NETAPP INC Technology Fixed Income 3466.91 0.0029733812781072137 3466.91 38 38 64110DAJ3 US64110DAJ37 -- 90.76 United States -- USD 2.95 5.61 1 Jun 22, 2027 2.38 2.95 -- 5.61 2.95 5.61 Jun 22, 2020 Jun 22, 2020 GP GEORGIA-PACIFIC LLC 144A Basic Industry Fixed Income 3465.16 0.0029718803977161197 3465.16 38 38 37331NAL5 US37331NAL55 -- 90.79 United States -- USD 2.82 5.45 1 Apr 30, 2027 2.1 2.82 -- 5.45 2.82 5.45 Apr 30, 2020 Apr 30, 2020 KOHNPW KOREA HYDRO & NUCLEAR POWER CO LTD 144A Owned No Guarantee Fixed Income 3465.16 0.0029718803977161197 3465.16 38 38 50064YAP8 US50064YAP88 -- 91.79 Korea (South) -- USD 1.92 5.64 1 Apr 27, 2026 1.25 1.92 -- 5.64 1.92 5.64 Apr 27, 2021 Apr 27, 2021 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 3463.41 0.0029703795173250257 3463.41 35 35 57629W6H8 US57629W6H81 -- 98.57 United States -- USD 3.63 5.44 1 Jun 14, 2028 5.05 3.62 -- 5.44 3.62 5.44 Jun 14, 2023 Jun 14, 2023 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 3463.41 0.0029703795173250257 3463.41 35 35 65535HBG3 US65535HBG39 -- 99.7 Japan -- USD 1.59 5.89 1 Jan 09, 2026 5.71 1.58 -- 5.89 1.58 5.89 Jan 11, 2023 Jan 11, 2023 PCG PACIFIC GAS & ELECTRIC UTILITIES Electric Fixed Income 3461.65 0.0029688700604745544 3461.65 36 36 694308HM2 US694308HM22 BZ0XXK4 97.16 United States -- USD 1.09 6.11 1 Jun 15, 2025 3.5 1.08 -- 6.11 1.08 6.11 Jun 12, 2015 Jun 12, 2015 BWP BOARDWALK PIPELINES LP Energy Fixed Income 3459.9 0.0029673691800834604 3459.9 34 34 096630AE8 US096630AE83 BDGLCM3 100.32 United States -- USD 1.78 5.78 1 Jun 01, 2026 5.95 1.9 -- 5.77 1.69 5.77 May 16, 2016 May 16, 2016 K KELLANOVA Consumer Non-Cyclical Fixed Income 3459.9 0.0029673691800834604 3459.9 37 37 487836BU1 US487836BU10 BD390Q0 93.44 United States -- USD 3.21 5.45 1 Nov 15, 2027 3.4 3.23 -- 5.45 3.23 5.45 Nov 13, 2017 Nov 13, 2017 ALL ALLSTATE CORPORATION (THE) Insurance Fixed Income 3458.15 0.0029658682996923664 3458.15 36 36 020002BD2 US020002BD26 BYNXM29 94.8 United States -- USD 2.43 5.42 1 Dec 15, 2026 3.28 2.45 -- 5.42 2.45 5.42 Dec 08, 2016 Dec 08, 2016 IBM IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 3456.4 0.0029643674193012724 3456.4 36 36 449276AC8 US449276AC85 -- 96.73 United States -- USD 4.17 5.38 1 Feb 05, 2029 4.6 4.18 -- 5.38 4.18 5.38 Feb 05, 2024 Feb 05, 2024 CNQCN CANADIAN NATURAL RESOURCES LTD Energy Fixed Income 3454.65 0.0029628665389101784 3454.65 36 36 136385AZ4 US136385AZ48 BM97MC1 95.52 Canada -- USD 1.17 5.9 1 Jul 15, 2025 2.05 1.17 -- 5.9 1.17 5.9 Jun 24, 2020 Jun 24, 2020 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 3452.9 0.0029613656585190844 3452.9 35 35 58013MEU4 US58013MEU45 BY3R522 97.7 United States -- USD 1.03 5.59 1 May 26, 2025 3.38 1.03 -- 5.59 1.03 5.59 May 26, 2015 May 26, 2015 MMM 3M CO MTN Capital Goods Fixed Income 3452.9 0.0029613656585190844 3452.9 38 38 88579YBG5 US88579YBG52 BJ2WB03 90.98 United States -- USD 4.33 5.52 1 Mar 01, 2029 3.38 4.35 -- 5.52 4.35 5.52 Feb 22, 2019 Feb 22, 2019 WTW TRINITY ACQUISITION PLC Insurance Fixed Income 3451.14 0.0029598562016686127 3451.14 35 35 89641UAC5 US89641UAC53 BDFXRH0 97.55 United States -- USD 1.73 5.78 1 Mar 15, 2026 4.4 1.77 -- 5.78 1.77 5.78 Mar 22, 2016 Mar 22, 2016 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 3445.89 0.0029553535604953307 3445.89 36 36 06406FAC7 US06406FAC77 BDHC924 95.23 United States -- USD 1.89 5.32 1 May 04, 2026 2.8 1.9 -- 5.32 1.9 5.32 May 02, 2016 May 02, 2016 BX BLACKSTONE HOLDINGS FINANCE CO LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 3444.14 0.0029538526801042367 3444.14 34 34 09261BAJ9 US09261BAJ98 -- 101.26 United States -- USD 3.04 5.5 1 Nov 03, 2027 5.9 3.06 -- 5.49 3 5.49 Nov 03, 2022 Nov 03, 2022 AYR AIRCASTLE LTD Finance Companies Fixed Income 3442.38 0.002952343223253765 3442.38 36 36 00928QAS0 US00928QAS03 BGBN0H6 96.71 United States -- USD 1.96 5.91 1 Jun 15, 2026 4.25 1.98 -- 5.91 1.98 5.91 Jun 13, 2019 Jun 13, 2019 IR INGERSOLL RAND INC Capital Goods Fixed Income 3442.38 0.002952343223253765 3442.38 35 35 45687VAA4 US45687VAA44 -- 99.54 United States -- USD 3.74 5.52 1 Aug 14, 2028 5.4 3.75 -- 5.52 3.75 5.52 Aug 14, 2023 Aug 14, 2023 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3442.38 0.002952343223253765 3442.38 35 35 718172DC0 US718172DC02 -- 99.47 United States -- USD 3.81 5.38 1 Sep 07, 2028 5.25 3.83 -- 5.38 3.83 5.38 Sep 07, 2023 Sep 07, 2023 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 3441.56 0.002951639953584795 3441.56 344156 344156 -- IDG000007204 B1FQ474 0.01 Indonesia -- USD 1.27 6.62 16187.5 Sep 15, 2025 11 1.27 -- 6.62 1.27 6.62 Sep 15, 2006 Sep 21, 2006 SEB SKANDINAVISKA ENSKILDA BANKEN AB 144A Banking Fixed Income 3438.88 0.002949341462471577 3438.88 35 35 830505AZ6 US830505AZ66 -- 99.11 Sweden -- USD 2.61 5.46 1 Mar 05, 2027 5.13 2.61 -- 5.46 2.61 5.46 Mar 05, 2024 Mar 05, 2024 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 3437.13 0.0029478405820804834 3437.13 34 34 13607LWT6 US13607LWT69 -- 100.86 Canada -- USD 2.24 5.54 1 Oct 02, 2026 5.93 2.24 -- 5.54 2.24 5.54 Oct 03, 2023 Oct 03, 2023 GLPI GLP CAPITAL LP Consumer Cyclical Fixed Income 3437.13 0.0029478405820804834 3437.13 35 35 361841AK5 US361841AK54 BG08VY6 98.58 United States -- USD 3.46 6.15 1 Jun 01, 2028 5.75 3.52 -- 6.15 3.52 6.15 May 21, 2018 May 21, 2018 NESNVX NESTLE CAPITAL CORP 144A Consumer Non-Cyclical Fixed Income 3433.62 0.0029448302448389176 3433.62 35 35 64105MAA9 US64105MAA99 -- 97.76 Switzerland -- USD 4.26 5.17 1 Mar 12, 2029 4.65 4.28 -- 5.17 4.28 5.17 Mar 12, 2024 Mar 12, 2024 ALL ALLSTATE CORPORATION (THE) Insurance Fixed Income 3431.87 0.0029433293644478237 3431.87 37 37 020002BH3 US020002BH30 -- 92.51 United States -- USD 1.59 5.6 1 Dec 15, 2025 0.75 1.58 -- 5.6 1.58 5.6 Nov 24, 2020 Nov 24, 2020 AALLN ANGLO AMERICAN CAPITAL PLC 144A Basic Industry Fixed Income 3431.87 0.0029433293644478237 3431.87 36 36 034863AT7 US034863AT77 BD5WJ82 94.79 South Africa -- USD 3.1 5.72 1 Sep 11, 2027 4 3.08 -- 5.72 3.08 5.72 Sep 11, 2017 Sep 11, 2017 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 3430.12 0.0029418284840567297 3430.12 36 36 89788MAA0 US89788MAA09 -- 94.43 United States -- USD 1.24 5.78 1 Aug 05, 2025 1.2 1.23 -- 5.78 1.23 5.78 Jun 05, 2020 Jun 05, 2020 CNL CLECO CORPORATE HOLDINGS LLC Electric Fixed Income 3428.37 0.0029403276036656357 3428.37 36 36 18551PAC3 US18551PAC32 BDFFY19 95.74 United States -- USD 1.85 6.02 1 May 01, 2026 3.74 1.87 -- 6.02 1.87 6.02 Nov 01, 2016 Apr 25, 2017 AER AERCAP IRELAND CAPITAL DAC / AERCA Finance Companies Fixed Income 3424.87 0.0029373258428834477 3424.87 36 36 00774MAR6 US00774MAR60 BMY48Z2 96.42 Ireland -- USD 3.12 5.78 1 Oct 15, 2027 4.63 3.15 -- 5.78 3.15 5.78 Sep 25, 2020 Sep 25, 2020 AHTLN ASHTEAD CAPITAL INC 144A Capital Goods Fixed Income 3421.36 0.002934315505641882 3421.36 37 37 045054AJ2 US045054AJ25 -- 92.94 United Kingdom -- USD 3.31 6 1 May 01, 2028 4 3.56 -- 6 3.56 6 Nov 04, 2019 Nov 04, 2019 DUK DUKE ENERGY OHIO INC Electric Fixed Income 3421.36 0.002934315505641882 3421.36 37 37 26442EAF7 US26442EAF79 BHZRWT7 92.9 United States -- USD 4.22 5.36 1 Feb 01, 2029 3.65 4.25 -- 5.36 4.25 5.36 Jan 08, 2019 Jan 08, 2019 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 3416.11 0.0029298128644686 3416.11 34 34 89236TLJ2 US89236TLJ24 -- 99.18 United States -- USD 1.59 5.31 1 Jan 05, 2026 4.8 1.58 -- 5.31 1.58 5.31 Jan 05, 2024 Jan 05, 2024 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 3416.11 0.0029298128644686 3416.11 39 39 89788MAC6 US89788MAC64 -- 87.22 United States -- USD 3.13 5.44 1 Aug 03, 2027 1.13 3.12 -- 5.44 3.12 5.44 Aug 03, 2020 Aug 03, 2020 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3414.35 0.0029283034076181286 3414.35 34 34 58769JAK3 US58769JAK34 -- 99.66 Germany -- USD 2.1 5.36 1 Aug 03, 2026 5.2 2.09 -- 5.36 2.09 5.36 Aug 03, 2023 Aug 03, 2023 RIFP PERNOD-RICARD SA 144A Consumer Non-Cyclical Fixed Income 3414.35 0.0029283034076181286 3414.35 36 36 714264AM0 US714264AM01 BYN15T1 95.74 France -- USD 1.97 5.4 1 Jun 08, 2026 3.25 1.98 -- 5.4 1.98 5.4 Jun 08, 2016 Jun 08, 2016 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 3412.6 0.0029268025272270346 3412.6 35 35 00774MAG0 US00774MAG06 BGHJW27 98.06 Ireland -- USD 1.34 5.88 1 Oct 01, 2025 4.45 1.36 -- 5.88 1.36 5.88 Aug 21, 2018 Aug 21, 2018 ZBH ZIMMER BIOMET HOLDINGS INC Consumer Non-Cyclical Fixed Income 3412.6 0.0029268025272270346 3412.6 34 34 98956PAX0 US98956PAX06 -- 99.51 United States -- USD 3.93 5.47 1 Dec 01, 2028 5.35 3.94 -- 5.47 3.94 5.47 Dec 01, 2023 Dec 01, 2023 AHTLN ASHTEAD CAPITAL INC 144A Capital Goods Fixed Income 3409.1 0.0029238007664448467 3409.1 36 36 045054AF0 US045054AF03 BD93QF7 95.14 United Kingdom -- USD 2.69 6.02 1 Aug 15, 2027 4.38 2.99 -- 6.02 2.99 6.02 Aug 09, 2017 Aug 09, 2017 GRYOAK GRAY OAK PIPELINE LLC 144A Energy Fixed Income 3409.1 0.0029238007664448467 3409.1 36 36 38937LAC5 US38937LAC54 -- 95.24 United States -- USD 1.42 6.03 1 Oct 15, 2025 2.6 1.41 -- 6.03 1.41 6.03 Sep 15, 2020 Sep 15, 2020 PCG PACIFIC GAS & ELECTRIC CO Electric Fixed Income 3409.1 0.0029238007664448467 3409.1 36 36 694308HP5 US694308HP52 BD6R3M8 94.93 United States -- USD 1.76 5.88 1 Mar 01, 2026 2.95 1.75 -- 5.88 1.75 5.88 Mar 01, 2016 Mar 01, 2016 STT STATE STREET CORP Banking Fixed Income 3409.1 0.0029238007664448467 3409.1 36 36 857477AW3 US857477AW33 BD724C9 94.83 United States -- USD 1.95 5.32 1 May 19, 2026 2.65 1.95 -- 5.32 1.95 5.32 May 19, 2016 May 19, 2016 CNA CNA FINANCIAL CORP Insurance Fixed Income 3407.35 0.0029222998860537527 3407.35 35 35 126117AT7 US126117AT75 BYNNSC1 97.84 United States -- USD 1.68 5.74 1 Mar 01, 2026 4.5 1.73 -- 5.74 1.73 5.74 Feb 24, 2016 Feb 24, 2016 DUK DUKE ENERGY CORP Electric Fixed Income 3407.35 0.0029222998860537527 3407.35 35 35 26441CCC7 US26441CCC73 -- 97.04 United States -- USD 4.07 5.57 1 Jan 05, 2029 4.85 4.07 -- 5.57 4.07 5.57 Jan 05, 2024 Jan 05, 2024 LWSN INFOR INC 144A Technology Fixed Income 3407.35 0.0029222998860537527 3407.35 36 36 45674CAA1 US45674CAA18 -- 94.73 United States -- USD 1.18 6.29 1 Jul 15, 2025 1.75 1.17 -- 6.29 1.17 6.29 Jun 05, 2020 Jun 05, 2020 MBGGR DAIMLER FINANCE NORTH AMERICA LLC 144A Consumer Cyclical Fixed Income 3405.6 0.0029207990056626587 3405.6 35 35 233851BW3 US233851BW32 BXQKTJ6 97.73 Germany -- USD 1.01 5.52 1 May 19, 2025 3.3 1.01 -- 5.52 1.01 5.52 May 18, 2015 May 18, 2015 D EAST OHIO GAS CO/THE 144A Natural Gas Fixed Income 3405.6 0.0029207990056626587 3405.6 36 36 27409LAA1 US27409LAA17 -- 94.99 United States -- USD 1.1 5.91 1 Jun 15, 2025 1.3 1.1 -- 5.91 1.1 5.91 Jun 16, 2020 Jun 16, 2020 NXPI NXP BV Technology Fixed Income 3405.6 0.0029207990056626587 3405.6 36 36 62954HAX6 US62954HAX61 -- 93.5 United States -- USD 2.77 5.52 1 May 01, 2027 3.15 2.77 -- 5.52 2.77 5.52 May 01, 2022 May 16, 2022 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 3403.84 0.002919289548812187 3403.84 36 36 86562MBC3 US86562MBC38 BZ56NG4 94.37 Japan -- USD 3.8 5.45 1 Jul 19, 2028 3.94 3.78 -- 5.45 3.78 5.45 Jul 19, 2018 Jul 19, 2018 ROST ROSS STORES INC Consumer Cyclical Fixed Income 3400.34 0.002916287788029999 3400.34 34 34 778296AB9 US778296AB92 -- 98.94 United States -- USD 0.92 5.74 1 Apr 15, 2025 4.6 0.93 -- 5.74 0.93 5.74 Apr 06, 2020 Apr 06, 2020 BSX BOSTON SCIENTIFIC CORPORATION Consumer Non-Cyclical Fixed Income 3398.59 0.002914786907638905 3398.59 35 35 101137AZ0 US101137AZ01 -- 96.08 United States -- USD 1.06 5.62 1 Jun 01, 2025 1.9 1.06 -- 5.62 1.06 5.62 May 18, 2020 May 18, 2020 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 3391.58 0.0029087748096151512 3391.58 34 34 05565ECG8 US05565ECG89 -- 99.48 Germany -- USD 1.82 5.33 1 Apr 02, 2026 5.05 1.81 -- 5.33 1.81 5.33 Apr 02, 2024 Apr 02, 2024 DG DOLLAR GENERAL CORPORATION Consumer Cyclical Fixed Income 3391.58 0.0029087748096151512 3391.58 35 35 256677AK1 US256677AK14 -- 97.24 United States -- USD 3.11 5.5 1 Nov 01, 2027 4.63 3.12 -- 5.5 3.12 5.5 Sep 20, 2022 Sep 20, 2022 D DOMINION ENERGY INC Electric Fixed Income 3388.08 0.0029057730488329632 3388.08 36 36 25746UCY3 US25746UCY38 BG43JQ5 95.31 United States -- USD 3.59 5.54 1 Jun 01, 2028 4.25 3.63 -- 5.54 3.63 5.54 Jun 05, 2018 Jun 05, 2018 MRVL MARVELL TECHNOLOGY INC Technology Fixed Income 3388.08 0.0029057730488329632 3388.08 38 38 573874AF1 US573874AF10 -- 88.69 United States -- USD 3.7 5.67 1 Apr 15, 2028 2.45 3.69 -- 5.67 3.69 5.67 Apr 12, 2021 Oct 07, 2021 TCP TC PIPELINES LP Energy Fixed Income 3388.08 0.0029057730488329632 3388.08 36 36 87233QAC2 US87233QAC24 BF2KDG9 94.75 United States -- USD 2.77 5.78 1 May 25, 2027 3.9 2.8 -- 5.78 2.8 5.78 May 25, 2017 May 25, 2017 TDY TELEDYNE TECHNOLOGIES INCORPORATED Capital Goods Fixed Income 3384.57 0.002902762711591398 3384.57 38 38 879360AD7 US879360AD71 -- 88.31 United States -- USD 3.68 5.6 1 Apr 01, 2028 2.25 3.67 -- 5.6 3.67 5.6 Mar 22, 2021 Mar 22, 2021 CFG CITIZENS BANK NA Banking Fixed Income 3382.82 0.002901261831200304 3382.82 36 36 75524KPG3 US75524KPG30 -- 94.69 United States -- USD 2.94 6.61 1 Aug 09, 2028 4.58 2.96 -- 6.39 2.96 6.39 Aug 09, 2022 Aug 09, 2022 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3381.07 0.00289976095080921 3381.07 36 36 03027XBV1 US03027XBV10 -- 94.82 United States -- USD 2.67 5.62 1 Mar 15, 2027 3.65 2.68 -- 5.62 2.68 5.62 Apr 01, 2022 Apr 01, 2022 ENGIFP ENGIE SA 144A Natural Gas Fixed Income 3381.07 0.00289976095080921 3381.07 34 34 29286DAA3 US29286DAA37 -- 98.41 France -- USD 4.29 5.62 1 Apr 10, 2029 5.25 4.29 -- 5.62 4.29 5.62 Apr 10, 2024 Apr 10, 2024 LH LABORATORY CORPORATION OF AMERICA Consumer Non-Cyclical Fixed Income 3379.32 0.002898260070418116 3379.32 36 36 50540RAU6 US50540RAU68 BD5KBB3 94.49 United States -- USD 3.05 5.42 1 Sep 01, 2027 3.6 3.08 -- 5.42 3.08 5.42 Aug 22, 2017 Aug 22, 2017 AWK AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 3375.81 0.00289524973317655 3375.81 37 37 03040WAQ8 US03040WAQ87 BDF0M09 92.4 United States -- USD 3.1 5.46 1 Sep 01, 2027 2.95 3.11 -- 5.46 3.11 5.46 Aug 10, 2017 Aug 10, 2017 DCP DCP MIDSTREAM OPERATING LP Energy Fixed Income 3375.81 0.00289524973317655 3375.81 34 34 23311VAG2 US23311VAG23 BDG06C8 99.33 United States -- USD 1.07 5.95 1 Jul 15, 2025 5.38 1.15 -- 5.95 1.15 5.95 Jul 17, 2018 Jul 17, 2018 KD KYNDRYL HOLDINGS INC Technology Fixed Income 3375.81 0.00289524973317655 3375.81 37 37 50155QAJ9 US50155QAJ94 -- 91.33 United States -- USD 2.36 5.87 1 Oct 15, 2026 2.05 2.35 -- 5.87 2.35 5.87 Apr 15, 2022 Sep 23, 2022 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 3375.81 0.00289524973317655 3375.81 35 35 69371RS80 US69371RS801 -- 97.49 United States -- USD 4.19 5.2 1 Jan 31, 2029 4.6 4.17 -- 5.2 4.17 5.2 Jan 31, 2024 Jan 31, 2024 MTB M&T BANK CORPORATION Banking Fixed Income 3374.06 0.002893748852785456 3374.06 36 36 55261FAQ7 US55261FAQ72 -- 94.29 United States -- USD 3.79 5.47 1 Aug 16, 2028 4.55 2.99 -- 5.47 2.99 5.47 Aug 16, 2022 Aug 16, 2022 MQGAU MACQUARIE GROUP LTD MTN 144A Banking Fixed Income 3374.06 0.002893748852785456 3374.06 34 34 55608JBF4 US55608JBF49 -- 99.13 Australia -- USD 1.19 6.49 1 Aug 09, 2026 5.11 1.21 -- 5.81 1.22 5.81 Aug 09, 2022 Aug 09, 2022 SANUK SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 3374.06 0.002893748852785456 3374.06 37 37 80281LAR6 US80281LAR69 -- 91.02 United Kingdom -- USD 2.54 6.24 1 Jan 11, 2028 2.47 2.53 -- 6.11 2.54 6.11 Jan 11, 2022 Jan 11, 2022 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 3372.31 0.002892247972394362 3372.31 34 34 05565ECH6 US05565ECH62 -- 98.92 Germany -- USD 2.7 5.3 1 Apr 02, 2027 4.9 2.69 -- 5.3 2.69 5.3 Apr 02, 2024 Apr 02, 2024 BPCEGP BPCE SA MTN 144A Banking Fixed Income 3370.56 0.0028907470920032682 3370.56 35 35 05578AE46 US05578AE465 -- 97.51 France -- USD 2.92 5.6 1 Jul 19, 2027 4.75 2.91 -- 5.6 2.91 5.6 Jul 19, 2022 Jul 19, 2022 ETR ENTERGY ARKANSAS INC Electric Fixed Income 3370.56 0.0028907470920032682 3370.56 35 35 29364DAU4 US29364DAU46 BYQ0FS4 96.64 United States -- USD 1.8 5.35 1 Apr 01, 2026 3.5 1.83 -- 5.35 1.83 5.35 Jan 08, 2016 Jan 08, 2016 RDSALN SHELL INTERNATIONAL FINANCE BV Energy Fixed Income 3370.56 0.0028907470920032682 3370.56 35 35 822582CB6 US822582CB65 BFXPTR6 95.02 United Kingdom -- USD 3.99 5.12 1 Nov 13, 2028 3.88 4.03 -- 5.12 4.03 5.12 Nov 13, 2018 Nov 13, 2018 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 3368.81 0.0028892462116121742 3368.81 35 35 345397XL2 US345397XL24 BYZ3FB7 97.48 United States -- USD 1.21 6.22 1 Aug 04, 2025 4.13 1.21 -- 6.22 1.21 6.22 Aug 04, 2015 Aug 04, 2015 AL AIR LEASE CORPORATION Finance Companies Fixed Income 3367.05 0.0028877367547617025 3367.05 36 36 00912XAV6 US00912XAV64 BF081M7 93.21 United States -- USD 2.71 6.19 1 Apr 01, 2027 3.63 2.71 -- 6.19 2.71 6.19 Mar 08, 2017 Mar 08, 2017 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 3365.3 0.0028862358743706085 3365.3 36 36 57629WCQ1 US57629WCQ15 -- 92.43 United States -- USD 2.57 5.38 1 Jan 14, 2027 2.35 2.56 -- 5.38 2.56 5.38 Jan 14, 2020 Jan 14, 2020 TMO THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 3356.54 0.002878722895955761 3356.54 34 34 883556CZ3 US883556CZ38 BS54VS7 99.6 United States -- USD 2.35 5.16 1 Dec 05, 2026 5 2.37 -- 5.16 2.37 5.16 Dec 05, 2023 Dec 05, 2023 MBONO MEXICO (UNITED MEXICAN STATES) (GO Treasuries Fixed Income 3355.74 0.0028780367792055465 3355.74 667 667 -- MXMSGO000001 -- 5.03 Mexico -- USD 6.66 9.98 17.2605 May 24, 2035 8 6.74 -- 9.98 6.74 9.98 Jun 08, 2023 Jul 24, 2023 MS MORGAN STANLEY MTN Banking Fixed Income 3354.79 0.002877222015564667 3354.79 35 35 6174468G7 US6174468G77 BJ2XKL0 95.07 United States -- USD 4.11 5.83 1 Jan 23, 2030 4.43 4.91 -- 5.63 4.15 5.63 Jan 23, 2019 Jan 23, 2019 NWIDE NATIONWIDE BUILDING SOCIETY FX-FRN MTN 144A Banking Fixed Income 3353.04 0.002875721135173573 3353.04 36 36 63861VAF4 US63861VAF40 -- 92.36 United Kingdom -- USD 2.62 6.14 1 Feb 16, 2028 2.97 2.61 -- 5.96 2.62 5.96 Feb 16, 2022 Feb 16, 2022 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 3353.04 0.002875721135173573 3353.04 35 35 6944PL2B4 US6944PL2B41 -- 95.15 United States -- USD 1.12 5.56 1 Jun 24, 2025 1.2 1.12 -- 5.56 1.12 5.56 Jun 24, 2020 Jun 24, 2020 PRXNA PROSUS NV MTN 144A Communications Fixed Income 3353.04 0.002875721135173573 3353.04 36 36 74365PAG3 US74365PAG37 -- 92.23 China -- USD 2.55 6.4 1 Jan 19, 2027 3.26 2.53 -- 6.4 2.53 6.4 Jan 19, 2022 Jan 19, 2022 CLX CLOROX COMPANY Consumer Non-Cyclical Fixed Income 3349.54 0.0028727193743913852 3349.54 35 35 189054AW9 US189054AW99 BG08VV3 95.15 United States -- USD 3.57 5.24 1 May 15, 2028 3.9 3.62 -- 5.24 3.62 5.24 May 09, 2018 May 09, 2018 POHANG POSCO CO LTD 144A Basic Industry Fixed Income 3349.54 0.0028727193743913852 3349.54 34 34 73730EAA1 US73730EAA10 -- 98.17 Korea (South) -- USD 1.21 5.88 1 Aug 04, 2025 4.38 1.21 -- 5.88 1.21 5.88 Aug 04, 2022 Aug 04, 2022 SHNHAN SHINHAN BANK MTN 144A Banking Fixed Income 3344.28 0.0028682081567587255 3344.28 35 35 82460CBF0 US82460CBF05 -- 96.93 Korea (South) -- USD 3.58 5.37 1 Apr 12, 2028 4.5 3.57 -- 5.37 3.57 5.37 Apr 12, 2023 Apr 12, 2023 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3342.53 0.0028667072763676315 3342.53 35 35 64952WEQ2 US64952WEQ24 -- 94.29 United States -- USD 2.76 5.37 1 Apr 07, 2027 3.25 2.75 -- 5.37 2.75 5.37 Apr 07, 2022 Apr 07, 2022 MMM 3M CO MTN Capital Goods Fixed Income 3342.53 0.0028667072763676315 3342.53 36 36 88579YBC4 US88579YBC49 BFNR3J2 93.06 United States -- USD 3.93 5.42 1 Sep 14, 2028 3.63 3.96 -- 5.42 3.96 5.42 Sep 14, 2018 Sep 14, 2018 EXC EXELON CORPORATION Electric Fixed Income 3340.78 0.0028652063959765375 3340.78 36 36 30161NBB6 US30161NBB64 -- 92.56 United States -- USD 2.71 5.57 1 Mar 15, 2027 2.75 2.71 -- 5.57 2.71 5.57 Sep 15, 2022 Jan 06, 2023 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 3340.78 0.0028652063959765375 3340.78 33 33 928668CB6 US928668CB67 -- 102.07 Germany -- USD 3.82 5.68 1 Nov 16, 2028 6.2 3.83 -- 5.67 3.77 5.67 Nov 16, 2023 Nov 16, 2023 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 3339.02 0.0028636969391260658 3339.02 33 33 694308KL0 US694308KL02 -- 100.81 United States -- USD 3.99 5.9 1 Jan 15, 2029 6.1 3.99 -- 5.9 3.99 5.9 Jun 05, 2023 Jun 05, 2023 BXSL BLACKSTONE SECURED LENDING FUND Finance Companies Fixed Income 3335.52 0.0028606951783438778 3335.52 36 36 09261XAB8 US09261XAB82 BMZ6HG1 91.81 United States -- USD 2.27 6.5 1 Sep 16, 2026 2.75 2.25 -- 6.5 2.25 6.5 Mar 16, 2021 Jul 06, 2021 TCN TELUS CORPORATION Communications Fixed Income 3335.52 0.0028606951783438778 3335.52 36 36 87971MBD4 US87971MBD48 BDGJP84 93.11 Canada -- USD 2.63 5.48 1 Feb 16, 2027 2.8 2.63 -- 5.48 2.63 5.48 Sep 19, 2016 Sep 19, 2016 ES EVERSOURCE ENERGY Electric Fixed Income 3333.77 0.0028591942979527838 3333.77 36 36 30040WAQ1 US30040WAQ15 -- 92.81 United States -- USD 2.67 5.67 1 Mar 01, 2027 2.9 2.66 -- 5.67 2.66 5.67 Feb 25, 2022 Feb 25, 2022 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3333.77 0.0028591942979527838 3333.77 33 33 58769JAJ6 US58769JAJ60 -- 99.86 Germany -- USD 1.2 5.49 1 Aug 01, 2025 5.38 1.19 -- 5.49 1.19 5.49 Aug 03, 2023 Aug 03, 2023 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 3333.77 0.0028591942979527838 3333.77 33 33 80282KBG0 US80282KBG04 -- 101.09 United States -- USD 3.45 6.58 1 Jun 12, 2029 6.57 3.49 -- 6.26 3.49 6.26 Jun 12, 2023 Jun 12, 2023 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 3332.02 0.00285769341756169 3332.02 34 34 21036PBK3 US21036PBK30 -- 96.93 United States -- USD 2.73 5.46 1 May 09, 2027 4.35 2.74 -- 5.46 2.74 5.46 May 09, 2022 May 09, 2022 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 3332.02 0.00285769341756169 3332.02 35 35 91324PEG3 US91324PEG37 -- 95.77 United States -- USD 2.78 5.22 1 May 15, 2027 3.7 2.79 -- 5.22 2.79 5.22 May 20, 2022 May 20, 2022 AL AIR LEASE CORPORATION SUKUK LTD 144A Finance Companies Fixed Income 3330.27 0.0028561925371705962 3330.27 34 34 00914QAA5 US00914QAA58 -- 98.33 Cayman Islands -- USD 3.45 6.33 1 Apr 01, 2028 5.85 3.44 -- 6.33 3.44 6.33 Mar 15, 2023 Mar 15, 2023 KDP KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 3328.51 0.0028546830803201245 3328.51 34 34 49271VAH3 US49271VAH33 BJQ4138 98.93 United States -- USD 1 5.44 1 May 25, 2025 4.42 1.02 -- 5.44 1.02 5.44 May 25, 2019 May 31, 2019 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 3328.51 0.0028546830803201245 3328.51 35 35 742718EP0 US742718EP07 BD5BSP9 96.09 United States -- USD 1.69 5.04 1 Feb 02, 2026 2.7 1.69 -- 5.04 1.69 5.04 Feb 02, 2016 Feb 02, 2016 CSL CARLISLE COMPANIES INCORPORATED Capital Goods Fixed Income 3326.76 0.0028531821999290305 3326.76 35 35 142339AH3 US142339AH37 BZ1JS39 94.37 United States -- USD 3.22 5.5 1 Dec 01, 2027 3.75 3.25 -- 5.5 3.25 5.5 Nov 16, 2017 Nov 16, 2017 KEY KEYCORP MTN Banking Fixed Income 3325.01 0.0028516813195379365 3325.01 37 37 49326EEK5 US49326EEK55 -- 89.37 United States -- USD 2.79 6.26 1 Apr 06, 2027 2.25 2.77 -- 6.26 2.77 6.26 Feb 06, 2020 Feb 06, 2020 OXY OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 3325.01 0.0028516813195379365 3325.01 33 33 674599EB7 US674599EB77 -- 99.8 United States -- USD 1.16 6.03 1 Sep 01, 2025 5.88 1.27 -- 6.03 1.27 6.03 Aug 26, 2020 Aug 26, 2020 TMO THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 3325.01 0.0028516813195379365 3325.01 38 38 883556CK6 US883556CK68 -- 86.5 United States -- USD 4.2 5.17 1 Oct 15, 2028 1.75 4.2 -- 5.17 4.2 5.17 Aug 23, 2021 Aug 23, 2021 UNANA UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 3325.01 0.0028516813195379365 3325.01 34 34 904764BS5 US904764BS55 -- 99.15 United Kingdom -- USD 3.84 5.09 1 Sep 08, 2028 4.88 3.86 -- 5.09 3.86 5.09 Sep 08, 2023 Sep 08, 2023 LIN LINDE INC Basic Industry Fixed Income 3323.26 0.0028501804391468425 3323.26 34 34 53522KAB9 US53522KAB98 -- 99.2 United States -- USD 1.47 5.22 1 Dec 05, 2025 4.7 1.5 -- 5.22 1.5 5.22 Dec 05, 2022 Dec 05, 2022 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 3323.26 0.0028501804391468425 3323.26 36 36 771196BS0 US771196BS07 -- 92.53 Switzerland -- USD 1.8 5.25 1 Mar 05, 2026 0.99 1.8 -- 5.25 1.8 5.25 Mar 05, 2021 Mar 05, 2021 DIS WALT DISNEY CO Communications Fixed Income 3321.51 0.0028486795587557485 3321.51 34 34 254687DD5 US254687DD54 BJSB795 97.5 United States -- USD 1.39 5.49 1 Oct 15, 2025 3.7 1.41 -- 5.49 1.41 5.49 Oct 15, 2019 Nov 22, 2019 WSTPNZ WESTPAC NEW ZEALAND LTD MTN 144A Banking Fixed Income 3319.75 0.0028471701019052767 3319.75 34 34 96122FAA5 US96122FAA57 -- 97.77 New Zealand -- USD 3.4 5.56 1 Feb 15, 2028 4.9 3.39 -- 5.56 3.39 5.56 Feb 15, 2023 Feb 15, 2023 DVN DEVON ENERGY CORPORATION Energy Fixed Income 3316.25 0.0028441683411230888 3316.25 33 33 25179MAV5 US25179MAV54 BYQ1PX2 100.1 United States -- USD 1.38 5.78 1 Dec 15, 2025 5.85 1.51 -- 5.78 1.51 5.78 Dec 15, 2015 Dec 15, 2015 DUK DUKE ENERGY CORP Electric Fixed Income 3316.25 0.0028441683411230888 3316.25 35 35 26441CBJ3 US26441CBJ36 -- 93.65 United States -- USD 1.35 5.72 1 Sep 15, 2025 0.9 1.34 -- 5.72 1.34 5.72 Sep 11, 2020 Sep 11, 2020 JCI JOHNSON CONTROLS INTERNATIONAL PLC Capital Goods Fixed Income 3316.25 0.0028441683411230888 3316.25 33 33 477921AA8 US477921AA87 -- 100.21 United States -- USD 4.29 5.45 1 Apr 19, 2029 5.5 4.31 -- 5.45 4.31 5.45 Apr 19, 2024 Apr 19, 2024 OHI OMEGA HEALTHCARE INVESTORS INC Reits Fixed Income 3316.25 0.0028441683411230888 3316.25 35 35 681936BF6 US681936BF65 BYY2WG9 95.72 United States -- USD 2.65 6.12 1 Apr 01, 2027 4.5 2.69 -- 6.12 2.69 6.12 Oct 01, 2015 Dec 16, 2015 EBAY EBAY INC Consumer Cyclical Fixed Income 3314.5 0.0028426674607319948 3314.5 36 36 278642AX1 US278642AX15 BMF4F38 92.09 United States -- USD 1.96 5.55 1 May 10, 2026 1.4 1.95 -- 5.55 1.95 5.55 May 10, 2021 May 10, 2021 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 3312.75 0.0028411665803409008 3312.75 35 35 21036PAQ1 US21036PAQ19 BDDWHX5 95.57 United States -- USD 2.38 5.54 1 Dec 06, 2026 3.7 2.41 -- 5.54 2.41 5.54 Dec 06, 2016 Dec 06, 2016 EQPTRC EQUATE PETROCHEMICAL BV MTN 144A Government Sponsored Fixed Income 3311 0.0028396656999498068 3311 38 38 29441WAD7 US29441WAD74 -- 87.82 Kuwait -- USD 3.67 6.1 1 Apr 28, 2028 2.63 3.65 -- 6.1 3.65 6.1 Apr 28, 2021 Apr 28, 2021 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3311 0.0028396656999498068 3311 34 34 44891ACU9 US44891ACU97 -- 97.94 United States -- USD 4.04 5.81 1 Jan 08, 2029 5.3 4.04 -- 5.81 4.04 5.81 Jan 08, 2024 Jan 08, 2024 SO ALABAMA POWER COMPANY Electric Fixed Income 3309.24 0.0028381562430993355 3309.24 35 35 010392FY9 US010392FY91 -- 95.01 United States -- USD 3.07 5.4 1 Sep 01, 2027 3.75 3.07 -- 5.4 3.07 5.4 Aug 12, 2022 Aug 12, 2022 SRE SOUTHERN CALIFORNIA GAS COMPANY Natural Gas Fixed Income 3309.24 0.0028381562430993355 3309.24 35 35 842434CW0 US842434CW01 -- 93.22 United States -- USD 2.78 5.45 1 Apr 15, 2027 2.95 2.78 -- 5.45 2.78 5.45 Mar 14, 2022 Mar 14, 2022 KMB KIMBERLY-CLARK CORPORATION Consumer Non-Cyclical Fixed Income 3307.49 0.0028366553627082415 3307.49 36 36 494368BZ5 US494368BZ58 BK97GJ2 91.43 United States -- USD 4.49 5.17 1 Apr 25, 2029 3.2 4.52 -- 5.17 4.52 5.17 Apr 25, 2019 Apr 25, 2019 CVX CHEVRON USA INC Energy Fixed Income 3305.74 0.0028351544823171475 3305.74 34 34 166756AR7 US166756AR79 -- 96.21 United States -- USD 3.33 4.98 1 Jan 15, 2028 3.85 3.38 -- 4.98 3.38 4.98 Jul 15, 2020 Jan 06, 2021 VRSK VERISK ANALYTICS INC Technology Fixed Income 3305.74 0.0028351544823171475 3305.74 35 35 92345YAF3 US92345YAF34 BJLZY60 94.12 United States -- USD 4.28 5.51 1 Mar 15, 2029 4.13 4.32 -- 5.51 4.32 5.51 Mar 06, 2019 Mar 06, 2019 XEL XCEL ENERGY INC Electric Fixed Income 3303.99 0.0028336536019260535 3303.99 34 34 98389BAR1 US98389BAR15 BYNHYC5 97.33 United States -- USD 1.05 5.84 1 Jun 01, 2025 3.3 1.04 -- 5.84 1.04 5.84 Jun 01, 2015 Jun 01, 2015 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 3302.24 0.0028321527215349595 3302.24 35 35 91324PCY6 US91324PCY60 BD9GGR8 95.25 United States -- USD 2.78 5.12 1 Apr 15, 2027 3.38 2.78 -- 5.12 2.78 5.12 Mar 13, 2017 Mar 13, 2017 AL AIR LEASE CORPORATION MTN Finance Companies Fixed Income 3300.48 0.0028306432646844877 3300.48 33 33 00914AAT9 US00914AAT97 BPCSJF4 100.22 United States -- USD 3.15 5.78 1 Dec 15, 2027 5.85 3.17 -- 5.78 3.17 5.78 Dec 05, 2022 Dec 05, 2022 MU MICRON TECHNOLOGY INC Technology Fixed Income 3300.48 0.0028306432646844877 3300.48 33 33 595112BN2 US595112BN22 BJH5486 99.05 United States -- USD 4.05 5.55 1 Feb 06, 2029 5.33 4.12 -- 5.55 4.12 5.55 Feb 06, 2019 Feb 06, 2019 RGA REINSURANCE GROUP OF AMERICA INCOR Insurance Fixed Income 3298.73 0.0028291423842933937 3298.73 34 34 759351AM1 US759351AM18 BD20310 96.74 United States -- USD 2.19 5.42 1 Sep 15, 2026 3.95 2.23 -- 5.42 2.23 5.42 Jun 08, 2016 Jun 08, 2016 CIMBMK CIMB BANK BHD MTN 144A Owned No Guarantee Fixed Income 3293.48 0.0028246397431201118 3293.48 37 37 12570RAA3 US12570RAA32 -- 90.12 Malaysia -- USD 3.04 5.5 1 Jul 20, 2027 2.13 3.04 -- 5.5 3.04 5.5 Jan 20, 2022 Jan 20, 2022 ET ENERGY TRANSFER LP Energy Fixed Income 3291.73 0.0028231388627290178 3291.73 32 32 29273VAS9 US29273VAS97 -- 101.63 United States -- USD 3.87 5.69 1 Dec 01, 2028 6.1 3.88 -- 5.69 3.82 5.69 Oct 13, 2023 Oct 13, 2023 EPD ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 3291.73 0.0028231388627290178 3291.73 34 34 29379VCE1 US29379VCE11 -- 98.26 United States -- USD 2.46 5.29 1 Jan 11, 2027 4.6 2.48 -- 5.29 2.48 5.29 Jan 11, 2024 Jan 11, 2024 KR KROGER CO Consumer Non-Cyclical Fixed Income 3289.97 0.002821629405878546 3289.97 35 35 501044DJ7 US501044DJ76 BF347Q8 95.01 United States -- USD 2.96 5.39 1 Aug 01, 2027 3.7 2.99 -- 5.39 2.99 5.39 Jul 24, 2017 Jul 24, 2017 LII LENNOX INTERNATIONAL INC Capital Goods Fixed Income 3289.97 0.002821629405878546 3289.97 33 33 526107AG2 US526107AG24 -- 99.42 United States -- USD 3.82 5.65 1 Sep 15, 2028 5.5 3.83 -- 5.65 3.83 5.65 Sep 15, 2023 Sep 15, 2023 UNANA UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 3289.97 0.002821629405878546 3289.97 34 34 904764AS6 US904764AS64 BYW41K4 97.43 Netherlands -- USD 1.21 5.22 1 Jul 30, 2025 3.1 1.21 -- 5.22 1.21 5.22 Jul 31, 2015 Jul 31, 2015 USB US BANCORP MTN Banking Fixed Income 3289.97 0.002821629405878546 3289.97 34 34 91159HHU7 US91159HHU77 BF5M0N8 97.63 United States -- USD 1.46 5.55 1 Nov 17, 2025 3.95 1.46 -- 5.55 1.46 5.55 Nov 16, 2018 Nov 16, 2018 ACGL ARCH CAPITAL FINANCE LLC Insurance Fixed Income 3286.47 0.002818627645096358 3286.47 34 34 03939CAA1 US03939CAA18 BDDW8L0 96.09 United States -- USD 2.38 5.62 1 Dec 15, 2026 4.01 2.42 -- 5.62 2.42 5.62 Dec 08, 2016 Dec 08, 2016 DHR DANAHER CORPORATION Consumer Non-Cyclical Fixed Income 3284.72 0.002817126764705264 3284.72 34 34 235851AQ5 US235851AQ51 BYNPNZ5 97.37 United States -- USD 1.32 5.34 1 Sep 15, 2025 3.35 1.33 -- 5.34 1.33 5.34 Sep 15, 2015 Sep 15, 2015 STT STATE STREET CORP Banking Fixed Income 3284.72 0.002817126764705264 3284.72 35 35 857477BD4 US857477BD43 BH31XH6 94.85 United States -- USD 4.03 5.61 1 Dec 03, 2029 4.14 4.82 -- 5.42 4.05 5.42 Dec 03, 2018 Dec 03, 2018 AVY AVERY DENNISON CORPORATION Capital Goods Fixed Income 3282.97 0.00281562588431417 3282.97 34 34 053611AJ8 US053611AJ82 BGLBS32 97.24 United States -- USD 3.94 5.56 1 Dec 06, 2028 4.88 3.99 -- 5.56 3.99 5.56 Dec 06, 2018 Dec 06, 2018 KOHNPW KOREA HYDRO & NUCLEAR POWER CO LTD MTN 144A Owned No Guarantee Fixed Income 3281.21 0.0028141164274636987 3281.21 34 34 50064YAQ6 US50064YAQ61 -- 96.22 Korea (South) -- USD 2.97 5.53 1 Jul 27, 2027 4.25 2.96 -- 5.53 2.96 5.53 Jul 27, 2022 Jul 27, 2022 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 3279.46 0.0028126155470726047 3279.46 33 33 110122EE4 US110122EE42 -- 99.22 United States -- USD 2.56 5.2 1 Feb 22, 2027 4.9 2.58 -- 5.2 2.58 5.2 Feb 22, 2024 Feb 22, 2024 MAT MATTEL INC 144A Consumer Non-Cyclical Fixed Income 3277.71 0.0028111146666815108 3277.71 34 34 577081BE1 US577081BE10 -- 95.36 United States -- USD 1.81 5.95 1 Apr 01, 2026 3.38 1.83 -- 5.95 1.83 5.95 Mar 19, 2021 Mar 19, 2021 ZBH ZIMMER BIOMET HOLDINGS INC Consumer Non-Cyclical Fixed Income 3277.71 0.0028111146666815108 3277.71 34 34 98956PAS1 US98956PAS11 -- 95.79 United States -- USD 1.63 5.65 1 Jan 15, 2026 3.05 1.63 -- 5.65 1.63 5.65 Mar 20, 2020 Mar 20, 2020 MDLZ MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 3274.21 0.0028081129058993228 3274.21 34 34 609207AM7 US609207AM78 BD6NTX9 96.14 United States -- USD 3.53 5.2 1 May 07, 2028 4.13 3.58 -- 5.2 3.58 5.2 May 07, 2018 May 07, 2018 SGAFT CASH COLLATERAL GBP SGAFT Cash and/or Derivatives Cash Collateral and Margins 3274.17 0.0028080786000618117 3274.17 26 26 -- -- -- 124.9 United Kingdom -- USD 0 0 0.800608462431448 Dec 31, 2049 5.28 0 -- 0 0 0 Aug 02, 2016 Aug 02, 2016 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 3272.45 0.002806603449048851 3272.45 36 36 05401AAJ0 US05401AAJ07 -- 92.13 Ireland -- USD 2.62 6.35 1 Feb 15, 2027 3.25 2.6 -- 6.35 2.6 6.35 Jan 14, 2020 Jan 14, 2020 HYNMTR HYUNDAI CAPITAL AMERICA 144A Consumer Cyclical Fixed Income 3270.7 0.002805102568657757 3270.7 37 37 44891ABP1 US44891ABP12 -- 89.6 Korea (South) -- USD 3.26 5.72 1 Oct 15, 2027 2.38 3.25 -- 5.72 3.25 5.72 Sep 18, 2020 Sep 18, 2020 VFC VF CORPORATION Consumer Cyclical Fixed Income 3268.95 0.002803601688266663 3268.95 34 34 918204BA5 US918204BA53 -- 96.47 United States -- USD 0.96 6.12 1 Apr 23, 2025 2.4 0.96 -- 6.12 0.96 6.12 Apr 23, 2020 Apr 23, 2020 BA BOEING CO Capital Goods Fixed Income 3265.45 0.002800599927484475 3265.45 35 35 097023CH6 US097023CH65 BJYSCL7 94.24 United States -- USD 1.89 6.18 1 May 01, 2026 3.1 1.88 -- 6.18 1.88 6.18 May 02, 2019 May 02, 2019 SYF SYNCHRONY BANK MTN Banking Fixed Income 3265.45 0.002800599927484475 3265.45 33 33 87166FAD5 US87166FAD50 BNBX2S0 98.73 United States -- USD 1.24 6.41 1 Aug 22, 2025 5.4 1.25 -- 6.41 1.25 6.41 Aug 23, 2022 Aug 23, 2022 AEP AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 3263.7 0.002799099047093381 3263.7 32 32 025537AV3 US025537AV36 -- 100.94 United States -- USD 3.04 5.45 1 Nov 01, 2027 5.75 3.07 -- 5.45 3.07 5.45 Nov 02, 2022 Nov 02, 2022 BPLN BP CAPITAL MARKETS AMERICA INC. Energy Fixed Income 3263.7 0.002799099047093381 3263.7 34 34 10373QAZ3 US10373QAZ37 BH4K3R2 95.41 United States -- USD 2.72 5.28 1 Apr 14, 2027 3.59 2.76 -- 5.28 2.76 5.28 Oct 14, 2018 Dec 14, 2018 CSLAU CSL FINANCE PLC 144A Consumer Non-Cyclical Fixed Income 3261.94 0.0027975895902429093 3261.94 34 34 12661PAA7 US12661PAA75 -- 95.38 Australia -- USD 2.72 5.54 1 Apr 27, 2027 3.85 2.73 -- 5.54 2.73 5.54 Apr 27, 2022 Apr 27, 2022 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 3261.94 0.0027975895902429093 3261.94 33 33 89236TLB9 US89236TLB97 -- 99.96 United States -- USD 3.85 5.26 1 Sep 11, 2028 5.25 3.84 -- 5.26 3.84 5.26 Sep 11, 2023 Sep 11, 2023 DOC HEALTHPEAK OP LLC Reits Fixed Income 3256.69 0.0027930869490696273 3256.69 34 34 40414LAQ2 US40414LAQ23 BKDK9B0 95.07 United States -- USD 2.07 5.64 1 Jul 15, 2026 3.25 2.08 -- 5.64 2.08 5.64 Jul 05, 2019 Jul 05, 2019 PSA PUBLIC STORAGE OPERATING CO Reits Fixed Income 3256.69 0.0027930869490696273 3256.69 37 37 74460WAD9 US74460WAD92 -- 87.46 United States -- USD 3.75 5.36 1 May 01, 2028 1.85 3.74 -- 5.36 3.74 5.36 Apr 23, 2021 Apr 23, 2021 SHBASS SVENSKA HANDELSBANKEN AB MTN 144A Banking Fixed Income 3253.18 0.002790076611828062 3253.18 34 34 86959LAL7 US86959LAL71 -- 95.66 Sweden -- USD 2.85 5.48 1 Jun 10, 2027 3.95 2.84 -- 5.48 2.84 5.48 Jun 10, 2022 Jun 10, 2022 SWEDA SWEDBANK AB MTN 144A Banking Fixed Income 3253.18 0.002790076611828062 3253.18 33 33 87020PAT4 US87020PAT49 -- 98.65 Sweden -- USD 3.07 5.78 1 Sep 20, 2027 5.34 3.05 -- 5.78 3.05 5.78 Sep 20, 2022 Sep 20, 2022 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3251.43 0.002788575731436968 3251.43 33 33 44891ACF2 US44891ACF21 -- 99.94 United States -- USD 1.1 5.85 1 Jun 26, 2025 5.8 1.1 -- 5.85 1.1 5.85 Jun 26, 2023 Jun 26, 2023 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 3251.43 0.002788575731436968 3251.43 32 32 928668CA8 US928668CA84 -- 100.85 Germany -- USD 2.29 5.64 1 Nov 16, 2026 6 2.29 -- 5.64 2.29 5.64 Nov 16, 2023 Nov 16, 2023 MO ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 3249.68 0.002787074851045874 3249.68 32 32 02209SBQ5 US02209SBQ57 -- 102.29 United States -- USD 3.78 5.62 1 Nov 01, 2028 6.2 3.79 -- 5.61 3.73 5.61 Nov 01, 2023 Nov 01, 2023 BG BUNGE LIMITED FINANCE CORPORATION Consumer Non-Cyclical Fixed Income 3246.18 0.002784073090263686 3246.18 34 34 120568AZ3 US120568AZ33 BD8Q7B0 94.63 United States -- USD 3.11 5.49 1 Sep 25, 2027 3.75 3.14 -- 5.49 3.14 5.49 Sep 25, 2017 Sep 25, 2017 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 3244.43 0.002782572209872592 3244.43 34 34 808513AQ8 US808513AQ89 BDZV3Q5 94.22 United States -- USD 2.64 5.41 1 Mar 02, 2027 3.2 2.66 -- 5.41 2.66 5.41 Mar 02, 2017 Mar 02, 2017 NSANY NISSAN MOTOR ACCEPTANCE COMPANY LL 144A Consumer Cyclical Fixed Income 3240.92 0.0027795618726310263 3240.92 37 37 654740BT5 US654740BT54 BL656M9 87.4 United States -- USD 3.58 6.48 1 Mar 09, 2028 2.75 3.56 -- 6.48 3.56 6.48 Mar 09, 2021 Mar 09, 2021 BKNG BOOKING HOLDINGS INC Consumer Cyclical Fixed Income 3240.92 0.0027795618726310263 3240.92 35 35 741503BC9 US741503BC97 BF5KDT9 93.89 United States -- USD 3.51 5.31 1 Mar 15, 2028 3.55 3.55 -- 5.31 3.55 5.31 Aug 15, 2017 Aug 15, 2017 SINOPE SINOPEC GROUP OVERSEAS DEVELOPMENT 144A Owned No Guarantee Fixed Income 3240.92 0.0027795618726310263 3240.92 33 33 82939GAB4 US82939GAB41 BFM4WB9 97.98 China -- USD 1.32 5.66 1 Sep 12, 2025 4.13 1.31 -- 5.66 1.31 5.66 Sep 12, 2018 Sep 12, 2018 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3239.17 0.0027780609922399323 3239.17 33 33 02665WEC1 US02665WEC10 -- 98.93 United States -- USD 1.61 5.41 1 Jan 12, 2026 4.75 1.6 -- 5.41 1.6 5.41 Jan 12, 2023 Jan 12, 2023 FLEX FLEX LTD Technology Fixed Income 3239.17 0.0027780609922399323 3239.17 33 33 33938EAU1 US33938EAU10 BDFY5T1 98.7 Singapore -- USD 1.05 5.94 1 Jun 15, 2025 4.75 1.07 -- 5.94 1.07 5.94 Dec 15, 2015 Jan 14, 2016 EA ELECTRONIC ARTS INC Communications Fixed Income 3237.42 0.0027765601118488383 3237.42 33 33 285512AD1 US285512AD11 BYXF1W8 98.86 United States -- USD 1.64 5.45 1 Mar 01, 2026 4.8 1.73 -- 5.45 1.73 5.45 Feb 24, 2016 Feb 24, 2016 NSC NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 3233.91 0.0027735497746072726 3233.91 34 34 655844BS6 US655844BS65 BYZ2G77 95.14 United States -- USD 2 5.33 1 Jun 15, 2026 2.9 2.01 -- 5.33 2.01 5.33 Jun 03, 2016 Jun 03, 2016 ILMN ILLUMINA INC Consumer Non-Cyclical Fixed Income 3232.16 0.0027720488942161786 3232.16 32 32 452327AP4 US452327AP42 -- 99.95 United States -- USD 3.15 5.76 1 Dec 13, 2027 5.75 3.17 -- 5.76 3.17 5.76 Dec 13, 2022 Dec 13, 2022 MGCN MAGNA INTERNATIONAL INC MTN Consumer Cyclical Fixed Income 3230.41 0.0027705480138250846 3230.41 33 33 559222AR5 US559222AR55 BYSD5C5 98.04 Canada -- USD 1.33 5.59 1 Oct 01, 2025 4.15 1.36 -- 5.59 1.36 5.59 Sep 23, 2015 Sep 23, 2015 AEGON AEGON NV Insurance Fixed Income 3223.4 0.0027645359158013313 3223.4 34 34 007924AJ2 US007924AJ23 BF1B9L0 95.93 Netherlands -- USD 3.51 8.44 1 Apr 11, 2048 5.5 3.39 -- 6.69 3.48 6.69 Apr 11, 2018 Apr 11, 2018 NGGLN BROOKLYN UNION GAS CO 144A Natural Gas Fixed Income 3221.65 0.0027630350354102373 3221.65 34 34 114259AN4 US114259AN42 BYZ04D3 95.52 United States -- USD 1.76 5.96 1 Mar 10, 2026 3.41 1.77 -- 5.96 1.77 5.96 Mar 10, 2016 Mar 10, 2016 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 3221.65 0.0027630350354102373 3221.65 33 33 55608XAB3 US55608XAB38 BZ0CSB7 98.61 Australia -- USD 1.06 6.16 1 Jun 10, 2025 4.88 1.06 -- 6.16 1.06 6.16 Jun 10, 2015 Jun 10, 2015 ACAFP CREDIT AGRICOLE SA (FXD) MTN 144A Banking Fixed Income 3219.9 0.0027615341550191433 3219.9 33 33 22534PAH6 US22534PAH64 -- 99.07 France -- USD 2.63 5.48 1 Mar 11, 2027 5.13 2.62 -- 5.48 2.62 5.48 Mar 11, 2024 Mar 11, 2024 WHR WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 3219.9 0.0027615341550191433 3219.9 33 33 963320AW6 US963320AW61 BHNH7R2 96.24 United States -- USD 4.17 5.65 1 Feb 26, 2029 4.75 4.21 -- 5.65 4.21 5.65 Feb 26, 2019 Feb 26, 2019 GWOCN GREAT-WEST LIFECO US FINANCE 2020 144A Insurance Fixed Income 3218.15 0.0027600332746280493 3218.15 34 34 391399AA0 US391399AA00 -- 94.08 Canada -- USD 1.26 5.7 1 Aug 12, 2025 0.9 1.25 -- 5.7 1.25 5.7 Aug 12, 2020 Aug 12, 2020 CONOPC BESTFOODS MTN Consumer Non-Cyclical Fixed Income 3212.89 0.0027555220569953896 3212.89 31 31 08658EAA5 US08658EAA55 2229159 105.19 United States -- USD 3.49 5.16 1 Apr 15, 2028 6.63 3.47 -- 5.16 3.47 5.16 Mar 24, 1998 Mar 24, 1998 MCK MCKESSON CORP Consumer Non-Cyclical Fixed Income 3212.89 0.0027555220569953896 3212.89 32 32 581557BS3 US581557BS37 -- 99.71 United States -- USD 0.81 5.41 1 Feb 15, 2026 5.25 1.68 -- 5.41 1.68 5.41 Feb 15, 2023 Feb 15, 2023 OCINCC OWL ROCK CORE INCOME CORP 144A Finance Companies Fixed Income 3212.89 0.0027555220569953896 3212.89 31 31 69120VAR2 US69120VAR24 -- 102.18 United States -- USD 3.4 7.32 1 Jun 13, 2028 7.95 3.39 -- 7.32 3.33 7.32 Jun 13, 2023 Jun 13, 2023 TCN TELUS CORPORATION Communications Fixed Income 3212.89 0.0027555220569953896 3212.89 34 34 87971MBF9 US87971MBF95 BF04ZQ7 94.58 Canada -- USD 3.08 5.47 1 Sep 15, 2027 3.7 3.11 -- 5.47 3.11 5.47 Mar 06, 2017 Mar 06, 2017 CZGB CZECH REPUBLIC Treasuries Fixed Income 3210.77 0.0027537038476073217 3210.77 677 677 -- CZ0001006969 -- 4.74 Czech Republic -- USD 5.66 4.33 23.49435 Jun 16, 2031 6.2 5.54 -- 4.33 5.54 4.33 Jun 16, 2023 Jun 16, 2023 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3209.39 0.0027525202962132016 3209.39 38 38 04685A3C3 US04685A3C32 -- 85.22 United States -- USD 4.03 5.91 1 Aug 19, 2028 1.99 4.01 -- 5.91 4.01 5.91 Aug 19, 2021 Aug 19, 2021 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3207.64 0.0027510194158221076 3207.64 37 37 03027XBJ8 US03027XBJ81 -- 85.88 United States -- USD 3.57 5.72 1 Jan 31, 2028 1.5 3.55 -- 5.72 3.55 5.72 Nov 20, 2020 Nov 20, 2020 BNS BANK OF NOVA SCOTIA MTN Banking Fixed Income 3207.64 0.0027510194158221076 3207.64 35 35 06417XAD3 US06417XAD30 -- 91.2 Canada -- USD 2.63 5.41 1 Feb 02, 2027 1.95 2.62 -- 5.41 2.62 5.41 Jan 10, 2022 Jan 10, 2022 STT STATE STREET CORP Banking Fixed Income 3207.64 0.0027510194158221076 3207.64 35 35 857477BS1 US857477BS12 -- 91.74 United States -- USD 2.66 5.6 1 Feb 07, 2028 2.2 2.63 -- 5.44 2.63 5.44 Feb 07, 2022 Feb 07, 2022 HD HOME DEPOT INC Consumer Cyclical Fixed Income 3205.88 0.002749509958971636 3205.88 34 34 437076BW1 US437076BW12 BGY2QV6 94.95 United States -- USD 4.04 5.14 1 Dec 06, 2028 3.9 4.09 -- 5.14 4.09 5.14 Dec 06, 2018 Dec 06, 2018 SBUX STARBUCKS CORPORATION Consumer Cyclical Fixed Income 3205.88 0.002749509958971636 3205.88 34 34 855244AR0 US855244AR02 BFXV4Q8 95.11 United States -- USD 3.97 5.22 1 Nov 15, 2028 4 4.02 -- 5.22 4.02 5.22 Aug 10, 2018 Aug 10, 2018 ARE ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 3204.13 0.0027480090785805423 3204.13 33 33 015271AP4 US015271AP43 BJL1178 96.53 United States -- USD 1.84 5.69 1 Apr 15, 2026 3.8 1.86 -- 5.69 1.86 5.69 Mar 21, 2019 Mar 21, 2019 FFHCN FAIRFAX FINANCIAL HOLDINGS LTD Insurance Fixed Income 3202.38 0.0027465081981894483 3202.38 33 33 303901BB7 US303901BB79 BJH0PC2 97.13 Canada -- USD 3.5 5.66 1 Apr 17, 2028 4.85 3.56 -- 5.66 3.56 5.66 Oct 17, 2018 Jan 17, 2019 BHI BAKER HUGHES HOLDINGS LLC Energy Fixed Income 3198.88 0.0027435064374072603 3198.88 35 35 05724BAD1 US05724BAD10 -- 91.83 United States -- USD 2.5 5.42 1 Dec 15, 2026 2.06 2.49 -- 5.42 2.49 5.42 Dec 09, 2021 Dec 09, 2021 HCSERV HEALTH CARE SERVICE CORPORATION 144A Insurance Fixed Income 3198.88 0.0027435064374072603 3198.88 34 34 42218SAD0 US42218SAD09 BM8Y9R7 95.27 United States -- USD 1.06 6 1 Jun 01, 2025 1.5 1.06 -- 6 1.06 6 Jun 01, 2020 Jun 01, 2020 CITCOR FLORIDA GAS TRANSMISSION CO LLC 144A Energy Fixed Income 3197.13 0.0027420055570161663 3197.13 33 33 340711AW0 US340711AW02 BYQF6C0 98 United States -- USD 1.14 6.07 1 Jul 15, 2025 4.35 1.16 -- 6.07 1.16 6.07 Jul 15, 2015 Jul 15, 2015 OCINCC BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 3197.13 0.0027420055570161663 3197.13 31 31 69120VAP6 US69120VAP67 -- 101.93 United States -- USD 2.92 7.1 1 Sep 16, 2027 7.75 2.92 -- 7.09 2.86 7.09 Mar 16, 2023 Aug 23, 2023 WFC WELLS FARGO & COMPANY MTN Banking Fixed Income 3197.13 0.0027420055570161663 3197.13 34 34 95000U2D4 US95000U2D40 BJ2KZB6 94.44 United States -- USD 4.15 5.49 1 Jan 24, 2029 4.15 4.18 -- 5.49 4.18 5.49 Jan 24, 2019 Jan 24, 2019 BWP BOARDWALK PIPELINES LP Energy Fixed Income 3195.37 0.0027404961001656946 3195.37 33 33 096630AF5 US096630AF58 BYZ3056 96.67 United States -- USD 2.86 5.59 1 Jul 15, 2027 4.45 2.92 -- 5.59 2.92 5.59 Jan 12, 2017 Jan 12, 2017 HBAN HUNTINGTON BANCSHARES INC Banking Fixed Income 3195.37 0.0027404961001656946 3195.37 33 33 446150BB9 US446150BB90 -- 95.77 United States -- USD 2.94 6.19 1 Aug 04, 2028 4.44 2.96 -- 5.88 2.96 5.88 Aug 04, 2022 Aug 04, 2022 GBLATL GA GLOBAL FUNDING TRUST 144A Insurance Fixed Income 3193.62 0.0027389952197746006 3193.62 35 35 36143L2G9 US36143L2G95 -- 90.9 United States -- USD 2.55 5.95 1 Jan 06, 2027 2.25 2.53 -- 5.95 2.53 5.95 Jan 06, 2022 Jan 06, 2022 CNO CNO FINANCIAL GROUP INC Insurance Fixed Income 3191.87 0.0027374943393835066 3191.87 32 32 12621EAK9 US12621EAK91 BY2ZH09 99.2 United States -- USD 0.96 6.01 1 May 30, 2025 5.25 1.03 -- 6.01 1.03 6.01 May 19, 2015 May 19, 2015 CAH CARDINAL HEALTH INC Consumer Non-Cyclical Fixed Income 3191.87 0.0027374943393835066 3191.87 33 33 14149YBE7 US14149YBE77 BYNQPJ6 97.39 United States -- USD 1.31 5.73 1 Sep 15, 2025 3.75 1.32 -- 5.73 1.32 5.73 Jun 23, 2015 Jun 23, 2015 KIAMTR KIA CORP 144A Consumer Cyclical Fixed Income 3191.87 0.0027374943393835066 3191.87 34 34 49374JAD5 US49374JAD54 -- 92.58 Korea (South) -- USD 2.64 5.65 1 Feb 14, 2027 2.75 2.62 -- 5.65 2.62 5.65 Feb 14, 2022 Feb 14, 2022 NFG NATIONAL FUEL GAS COMPANY Energy Fixed Income 3191.87 0.0027374943393835066 3191.87 32 32 636180BQ3 US636180BQ36 -- 99.3 United States -- USD 1.57 5.93 1 Jan 15, 2026 5.5 1.6 -- 5.93 1.6 5.93 Jun 03, 2020 Jun 03, 2020 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 3191.87 0.0027374943393835066 3191.87 35 35 66815L2F5 US66815L2F50 -- 90.83 United States -- USD 2.58 5.43 1 Jan 11, 2027 1.75 2.57 -- 5.43 2.57 5.43 Jan 11, 2022 Jan 11, 2022 EQNR EQUINOR ASA 144A Owned No Guarantee Fixed Income 3188.37 0.0027344925786013186 3188.37 30 30 24820RAG3 US24820RAG39 2324601 105.26 Norway -- USD 3.88 5.2 1 Dec 01, 2028 6.5 3.87 -- 5.2 3.87 5.2 Dec 01, 1998 Dec 14, 1998 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 3188.37 0.0027344925786013186 3188.37 33 33 907818EH7 US907818EH70 BD31BF2 95.46 United States -- USD 1.75 5.36 1 Mar 01, 2026 2.75 1.76 -- 5.36 1.76 5.36 Mar 01, 2016 Mar 01, 2016 AYR AIRCASTLE LTD 144A Finance Companies Fixed Income 3186.61 0.002732983121750847 3186.61 32 32 00928QAY7 US00928QAY70 -- 98.29 United States -- USD 3.73 6.37 1 Feb 15, 2029 5.95 4.05 -- 6.37 4.05 6.37 Jan 22, 2024 Jan 22, 2024 DELL DELL INTERNATIONAL LLC Technology Fixed Income 3184.86 0.002731482241359753 3184.86 31 31 24703TAF3 US24703TAF30 -- 101.7 United States -- USD 2.78 5.51 1 Jul 15, 2027 6.1 2.85 -- 5.49 2.72 5.49 Jan 15, 2021 Jun 15, 2021 EQIX EQUINIX INC Technology Fixed Income 3184.86 0.002731482241359753 3184.86 36 36 29444UBG0 US29444UBG04 -- 88.85 United States -- USD 3.04 5.63 1 Jul 15, 2027 1.8 3.04 -- 5.63 3.04 5.63 Jun 22, 2020 Jun 22, 2020 TFC TRUIST BANK Banking Fixed Income 3183.11 0.002729981360968659 3183.11 33 33 86787GAJ1 US86787GAJ13 BDGLCV2 95.28 United States -- USD 1.92 5.76 1 May 15, 2026 3.3 1.92 -- 5.76 1.92 5.76 May 16, 2016 May 16, 2016 ARE ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 3181.36 0.002728480480577565 3181.36 33 33 015271AL3 US015271AL39 BDRYRY8 97.69 United States -- USD 0.96 5.83 1 Apr 30, 2025 3.45 0.96 -- 5.83 0.96 5.83 Nov 20, 2017 Nov 20, 2017 ET ENERGY TRANSFER LP Energy Fixed Income 3181.36 0.002728480480577565 3181.36 33 33 29273RBK4 US29273RBK41 BDHTRN2 96.07 United States -- USD 2.69 5.65 1 Apr 15, 2027 4.2 2.74 -- 5.65 2.74 5.65 Jan 17, 2017 Jan 17, 2017 ENELIM ENEL AMERICAS SA Electric Fixed Income 3181.36 0.002728480480577565 3181.36 33 33 29274FAF1 US29274FAF18 BD0RY76 95.5 Chile -- USD 2.31 5.96 1 Oct 25, 2026 4 2.33 -- 5.96 2.33 5.96 Oct 25, 2016 Oct 25, 2016 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 3181.36 0.002728480480577565 3181.36 32 32 63743HFM9 US63743HFM97 -- 98.97 United States -- USD 2.52 5.2 1 Feb 05, 2027 4.8 2.54 -- 5.2 2.54 5.2 Feb 05, 2024 Feb 05, 2024 WRK WRKCO INC Basic Industry Fixed Income 3179.61 0.002726979600186471 3179.61 34 34 96145DAH8 US96145DAH89 BJHN0D7 94.42 United States -- USD 3.48 5.61 1 Mar 15, 2028 4 3.52 -- 5.61 3.52 5.61 Sep 15, 2018 Feb 15, 2019 NSCCLF NATIONAL SECURITIES CLEARING CORP 144A Brokerage/Asset Managers/Exchanges Fixed Income 3177.85 0.0027254701433359996 3177.85 32 32 637639AH8 US637639AH82 -- 99.26 United States -- USD 3.14 5.33 1 Nov 21, 2027 5.1 3.16 -- 5.33 3.16 5.33 Nov 21, 2022 Nov 21, 2022 NWG NATWEST GROUP PLC Banking Fixed Income 3176.1 0.0027239692629449056 3176.1 32 32 639057AL2 US639057AL28 -- 99.29 United Kingdom -- USD 2.56 5.96 1 Mar 01, 2028 5.58 2.57 -- 5.85 2.58 5.85 Feb 29, 2024 Feb 29, 2024 FE TRANS-ALLEGHENY INTERSTATE LINE CO 144A Electric Fixed Income 3174.35 0.0027224683825538116 3174.35 32 32 893045AE4 US893045AE41 BTF3103 97.8 United States -- USD 1.04 5.94 1 Jun 01, 2025 3.85 1.04 -- 5.94 1.04 5.94 Dec 11, 2014 Dec 11, 2014 CNHI CNH INDUSTRIAL CAPITAL LLC Capital Goods Fixed Income 3170.85 0.0027194666217716236 3170.85 35 35 12592BAM6 US12592BAM63 BNHS104 91.38 United States -- USD 2.13 5.63 1 Jul 15, 2026 1.45 2.12 -- 5.63 2.12 5.63 May 24, 2021 May 24, 2021 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3169.1 0.0027179657413805296 3169.1 36 36 44891ABT3 US44891ABT34 -- 86.87 Korea (South) -- USD 3.49 5.78 1 Jan 10, 2028 1.8 3.47 -- 5.78 3.47 5.78 Jan 08, 2021 Jan 08, 2021 BBY BEST BUY CO INC Consumer Cyclical Fixed Income 3165.59 0.002714955404138964 3165.59 33 33 08652BAA7 US08652BAA70 BFZFBR8 96.16 United States -- USD 3.9 5.44 1 Oct 01, 2028 4.45 3.94 -- 5.44 3.94 5.44 Sep 27, 2018 Sep 27, 2018 DTRGR DAIMLER TRUCK FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3163.84 0.00271345452374787 3163.84 32 32 233853AS9 US233853AS94 -- 99.77 Germany -- USD 1.21 5.78 1 Aug 08, 2025 5.6 1.21 -- 5.78 1.21 5.78 Aug 09, 2023 Aug 09, 2023 AGCO AGCO CORPORATION Capital Goods Fixed Income 3160.34 0.002710452762965682 3160.34 32 32 001084AR3 US001084AR30 -- 99.66 United States -- USD 2.61 5.58 1 Mar 21, 2027 5.45 2.64 -- 5.58 2.64 5.58 Mar 21, 2024 Mar 21, 2024 OHI OMEGA HEALTHCARE INVESTORS INC Reits Fixed Income 3160.34 0.002710452762965682 3160.34 32 32 681936BH2 US681936BH22 BDG12R8 98.64 United States -- USD 1.53 6.09 1 Jan 15, 2026 5.25 1.6 -- 6.09 1.6 6.09 Sep 23, 2015 Jan 07, 2016 ACGCAP AVIATION CAPITAL GROUP LLC 144A Finance Companies Fixed Income 3158.58 0.00270894330611521 3158.58 32 32 05369AAD3 US05369AAD37 -- 97.22 United States -- USD 1.2 6.44 1 Aug 01, 2025 4.13 1.2 -- 6.44 1.2 6.44 Aug 01, 2018 Aug 01, 2018 AMCR AMCOR FLEXIBLES NORTH AMERICA INC Capital Goods Fixed Income 3156.83 0.002707442425724116 3156.83 32 32 02343JAA8 US02343JAA88 -- 98 United States -- USD 1.01 5.97 1 May 17, 2025 4 1 -- 5.97 1 5.97 May 17, 2022 May 17, 2022 CAT CATERPILLAR FINANCIAL SRVCS (FXD) MTN Capital Goods Fixed Income 3156.83 0.002707442425724116 3156.83 32 32 14913UAF7 US14913UAF75 -- 99.57 United States -- USD 1.73 5.3 1 Feb 27, 2026 5.05 1.72 -- 5.3 1.72 5.3 Feb 27, 2024 Feb 27, 2024 DANBNK DANSKE BANK A/S MTN 144A Banking Fixed Income 3156.83 0.002707442425724116 3156.83 33 33 23636AAR2 US23636AAR23 BDD88P2 94.38 Denmark -- USD 3.66 5.93 1 Jun 12, 2028 4.38 3.64 -- 5.93 3.64 5.93 Jun 12, 2018 Jun 12, 2018 KDP KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 3156.83 0.002707442425724116 3156.83 34 34 49271VAP5 US49271VAP58 -- 93.37 United States -- USD 4.4 5.49 1 Apr 15, 2029 3.95 4.42 -- 5.49 4.42 5.49 Apr 22, 2022 Apr 22, 2022 SFD SMITHFIELD FOODS INC 144A Consumer Non-Cyclical Fixed Income 3156.83 0.002707442425724116 3156.83 33 33 832248AZ1 US832248AZ15 BD7F912 95.24 United States -- USD 2.52 6.14 1 Feb 01, 2027 4.25 2.53 -- 6.14 2.53 6.14 Feb 01, 2017 Feb 01, 2017 AED AED CASH Cash and/or Derivatives Cash 3156.55 0.002707202284861541 3156.55 116 116 -- -- -- 27.23 United Arab Emirates -- USD 0 5.35 3.6729 -- 0 0 -- 5.35 0 5.35 Dec 31, 1989 Dec 31, 1989 AVT AVNET INC Technology Fixed Income 3155.08 0.002705941545333022 3155.08 31 31 053807AW3 US053807AW30 -- 101.23 United States -- USD 3.37 5.89 1 Mar 15, 2028 6.25 3.39 -- 5.88 3.33 5.88 Mar 09, 2023 Mar 09, 2023 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 3155.08 0.002705941545333022 3155.08 32 32 55608PAW4 US55608PAW41 BYVXLR9 97.39 Australia -- USD 1.63 5.51 1 Jan 15, 2026 3.9 1.62 -- 5.51 1.62 5.51 Jan 15, 2016 Jan 15, 2016 NOC NORTHROP GRUMMAN CORP Capital Goods Fixed Income 3153.33 0.002704440664941928 3153.33 33 33 666807CK6 US666807CK64 -- 96.93 United States -- USD 4.16 5.34 1 Feb 01, 2029 4.6 4.17 -- 5.34 4.17 5.34 Jan 31, 2024 Jan 31, 2024 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 3149.83 0.00270143890415974 3149.83 34 34 06406RAQ0 US06406RAQ02 -- 92.29 United States -- USD 1.7 5.41 1 Jan 28, 2026 0.75 1.7 -- 5.41 1.7 5.41 Jan 28, 2021 Jan 28, 2021 VMW VMWARE LLC Technology Fixed Income 3149.83 0.00270143890415974 3149.83 32 32 928563AE5 US928563AE54 -- 97.3 United States -- USD 2.71 5.62 1 May 15, 2027 4.65 2.74 -- 5.62 2.74 5.62 Apr 07, 2020 Apr 07, 2020 AEP AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 3146.32 0.002698428566918175 3146.32 32 32 02557TAD1 US02557TAD19 -- 99.73 United States -- USD 1.23 5.91 1 Aug 15, 2025 5.7 1.23 -- 5.91 1.23 5.91 Aug 14, 2020 Aug 14, 2020 NEE FLORIDA POWER & LIGHT CO Electric Fixed Income 3146.32 0.002698428566918175 3146.32 32 32 341081GR2 US341081GR29 -- 98.45 United States -- USD 1.87 5.25 1 May 15, 2026 4.45 1.9 -- 5.25 1.9 5.25 May 18, 2023 May 18, 2023 INDOIS PERUSAHAAN PENERBIT SURAT BERHARGA Treasuries Fixed Income 3145.83 0.0026980083204086684 3145.83 314583 314583 -- IDP000005605 BQFLCB4 0.01 Indonesia -- USD 8 6.68 16187.5 Mar 15, 2036 6.88 8.01 -- 6.68 8.01 6.68 Sep 15, 2022 Jan 12, 2023 O REALTY INCOME CORPORATION Reits Fixed Income 3144.57 0.002696927686527081 3144.57 32 32 756109AR5 US756109AR55 BR30M10 97 United States -- USD 2.25 5.44 1 Oct 15, 2026 4.13 2.31 -- 5.44 2.31 5.44 Sep 23, 2014 Sep 23, 2014 ELV ELEVANCE HEALTH INC Insurance Fixed Income 3142.82 0.002695426806135987 3142.82 32 32 28622HAA9 US28622HAA95 -- 98.78 United States -- USD 1.31 5.62 1 Feb 08, 2026 4.9 1.67 -- 5.62 1.67 5.62 Feb 08, 2023 Feb 08, 2023 VOYA VOYA FINANCIAL INC Insurance Fixed Income 3141.07 0.002693925925744893 3141.07 33 33 929089AB6 US929089AB68 BZBZ075 95.79 United States -- USD 2 5.77 1 Jun 15, 2026 3.65 1.99 -- 5.77 1.99 5.77 Jun 13, 2016 Jun 13, 2016 KR KROGER CO Consumer Non-Cyclical Fixed Income 3139.31 0.002692416468894421 3139.31 32 32 501044DC2 US501044DC24 BDFYKQ3 96.6 United States -- USD 1.66 5.54 1 Feb 01, 2026 3.5 1.67 -- 5.54 1.67 5.54 Jan 15, 2016 Jan 15, 2016 SOCGEN SOCIETE GENERALE SA 144A Banking Fixed Income 3139.31 0.002692416468894421 3139.31 33 33 83368RAK8 US83368RAK86 BZ7P9D8 95.08 France -- USD 2.51 5.99 1 Jan 12, 2027 4 2.49 -- 5.99 2.49 5.99 Jan 12, 2017 Jan 12, 2017 SOLV SOLVENTUM CORP 144A Consumer Non-Cyclical Fixed Income 3139.31 0.002692416468894421 3139.31 32 32 83444MAA9 US83444MAA99 -- 99.22 United States -- USD 2.58 5.75 1 Feb 25, 2027 5.45 2.57 -- 5.75 2.57 5.75 Feb 27, 2024 Feb 27, 2024 HSBC HSBC USA INC Banking Fixed Income 3134.06 0.002687913827721139 3134.06 31 31 40428HA44 US40428HA448 -- 99.68 United States -- USD 2.61 5.41 1 Mar 04, 2027 5.29 2.6 -- 5.41 2.6 5.41 Mar 04, 2024 Mar 04, 2024 PKG PACKAGING CORP OF AMERICA Basic Industry Fixed Income 3132.31 0.002686412947330045 3132.31 33 33 695156AT6 US695156AT63 BDZ79G5 93.54 United States -- USD 3.29 5.38 1 Dec 15, 2027 3.4 3.31 -- 5.38 3.31 5.38 Dec 13, 2017 Dec 13, 2017 OXY OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 3130.55 0.0026849034904795734 3130.55 29 29 674599DZ5 US674599DZ54 -- 107.18 United States -- USD 2.43 6.01 1 Jul 15, 2027 8.5 2.76 -- 5.61 2.38 5.61 Jul 13, 2020 Jul 13, 2020 IBM IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 3128.8 0.0026834026100884794 3128.8 32 32 449276AB0 US449276AB03 -- 97.93 United States -- USD 2.53 5.41 1 Feb 05, 2027 4.6 2.54 -- 5.41 2.54 5.41 Feb 05, 2024 Feb 05, 2024 RASGAS RAS LAFFAN LNG 3 144A Owned No Guarantee Fixed Income 3127.05 0.0026819017296973854 3127.05 31 31 75405UAD8 US75405UAD81 B1FL5Z4 101.43 Qatar -- USD 1.63 5.45 1 Sep 30, 2027 6.33 1.63 -- 5.45 1.63 5.45 Sep 26, 2006 Sep 26, 2006 O REALTY INCOME CORPORATION Reits Fixed Income 3127.05 0.0026819017296973854 3127.05 36 36 756109BJ2 US756109BJ21 -- 87.67 United States -- USD 3.83 5.58 1 Jun 15, 2028 2.2 3.82 -- 5.58 3.82 5.58 Jun 15, 2021 Nov 09, 2021 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 3123.55 0.002678899968915198 3123.55 32 32 63743HFH0 US63743HFH03 -- 98.38 United States -- USD 1.74 5.36 1 Mar 13, 2026 4.45 1.77 -- 5.36 1.77 5.36 Feb 09, 2023 Feb 09, 2023 ORLY OREILLY AUTOMOTIVE INC Consumer Cyclical Fixed Income 3121.8 0.002677399088524104 3121.8 31 31 67103HAM9 US67103HAM97 -- 100.62 United States -- USD 2.27 5.48 1 Nov 20, 2026 5.75 2.31 -- 5.48 2.23 5.48 Nov 20, 2023 Nov 20, 2023 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 3121.8 0.002677399088524104 3121.8 34 34 74256LES4 US74256LES43 -- 90.62 United States -- USD 2.44 5.48 1 Nov 17, 2026 1.5 2.44 -- 5.48 2.44 5.48 Nov 17, 2021 Nov 17, 2021 WEC WEC ENERGY GROUP INC Electric Fixed Income 3121.8 0.002677399088524104 3121.8 31 31 92939UAM8 US92939UAM80 -- 100.18 United States -- USD 2.16 5.52 1 Sep 12, 2026 5.6 2.19 -- 5.52 2.12 5.52 Sep 12, 2023 Sep 12, 2023 WSTP WESTPAC BANKING CORP Banking Fixed Income 3121.8 0.002677399088524104 3121.8 32 32 961214FA6 US961214FA65 -- 97.84 Australia -- USD 1.27 5.43 1 Aug 26, 2025 3.73 1.27 -- 5.43 1.27 5.43 May 26, 2022 May 26, 2022 HII HUNTINGTON INGALLS INDUSTRIES INC Capital Goods Fixed Income 3120.04 0.002675889631673632 3120.04 32 32 446413AS5 US446413AS53 -- 97.92 United States -- USD 0.96 5.99 1 May 01, 2025 3.84 0.96 -- 5.99 0.96 5.99 Nov 01, 2020 Dec 22, 2020 GIBACN CGI INC Technology Fixed Income 3118.29 0.002674388751282538 3118.29 34 34 12532HAC8 US12532HAC88 BNG8BV6 90.63 Canada -- USD 2.29 5.71 1 Sep 14, 2026 1.45 2.28 -- 5.71 2.28 5.71 Mar 14, 2022 Jun 09, 2022 SANLTD SANDS CHINA LTD Consumer Cyclical Fixed Income 3114.79 0.00267138699050035 3114.79 35 35 80007RAN5 US80007RAN52 BNG94V0 89.83 Macau -- USD 2.71 6.22 1 Mar 08, 2027 2.3 2.7 -- 6.22 2.7 6.22 Mar 08, 2022 Aug 08, 2022 INDOIS PERUSAHAAN PENERBIT SURAT BERHARGA Treasuries Fixed Income 3111.03 0.0026681622417743423 3111.03 311103 311103 -- IDP000005308 BP0BFN5 0.01 Indonesia -- USD 4.43 6.7 16187.5 Sep 15, 2029 6.63 4.44 -- 6.7 4.44 6.7 Sep 15, 2022 Sep 22, 2022 VITRRA VITERRA FINANCE BV 144A Consumer Non-Cyclical Fixed Income 3109.53 0.0026668757728676904 3109.53 34 34 92852LAA7 US92852LAA70 -- 92.48 Netherlands -- USD 1.91 6.07 1 Apr 21, 2026 2 1.9 -- 6.07 1.9 6.07 Apr 21, 2021 Apr 21, 2021 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 3107.78 0.0026653748924765964 3107.78 34 34 03027XBR0 US03027XBR08 -- 90.87 United States -- USD 2.3 5.59 1 Sep 15, 2026 1.45 2.29 -- 5.59 2.29 5.59 Sep 27, 2021 Sep 27, 2021 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 3107.78 0.0026653748924765964 3107.78 32 32 14913R2C0 US14913R2C07 -- 95.96 United States -- USD 1.02 5.44 1 May 15, 2025 1.45 1.02 -- 5.44 1.02 5.44 May 15, 2020 May 15, 2020 DG DOLLAR GENERAL CORPORATION Consumer Cyclical Fixed Income 3107.78 0.0026653748924765964 3107.78 32 32 256677AE5 US256677AE53 BD1XCZ7 95.81 United States -- USD 2.71 5.42 1 Apr 15, 2027 3.88 2.75 -- 5.42 2.75 5.42 Apr 11, 2017 Apr 11, 2017 FBINUS FORTUNE BRANDS INNOVATIONS INC Capital Goods Fixed Income 3107.78 0.0026653748924765964 3107.78 32 32 34964CAA4 US34964CAA45 BZ0C8W8 97.87 United States -- USD 1.08 5.96 1 Jun 15, 2025 4 1.08 -- 5.96 1.08 5.96 Jun 15, 2015 Jun 15, 2015 KDP KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 3106.03 0.0026638740120855024 3106.03 33 33 26138EAX7 US26138EAX76 BYPL1M4 94.34 United States -- USD 2.85 5.41 1 Jun 15, 2027 3.43 2.88 -- 5.41 2.88 5.41 Dec 14, 2016 Dec 14, 2016 APD AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 3104.28 0.0026623731316944084 3104.28 33 33 009158BB1 US009158BB15 -- 94.72 United States -- USD 1.42 5.28 1 Oct 15, 2025 1.5 1.42 -- 5.28 1.42 5.28 Apr 30, 2020 Apr 30, 2020 WU WESTERN UNION CO/THE Technology Fixed Income 3104.28 0.0026623731316944084 3104.28 34 34 959802AZ2 US959802AZ22 -- 91.94 United States -- USD 1.82 5.92 1 Mar 15, 2026 1.35 1.81 -- 5.92 1.81 5.92 Mar 09, 2021 Mar 09, 2021 CBAAU COMMONWEALTH BANK OF AUSTRALIA (NE MTN Banking Fixed Income 3102.53 0.0026608722513033144 3102.53 31 31 20271RAS9 US20271RAS94 -- 100.11 Australia -- USD 1.31 5.41 1 Sep 12, 2025 5.5 1.31 -- 5.41 1.31 5.41 Sep 12, 2023 Sep 12, 2023 FI FISERV INC Technology Fixed Income 3102.53 0.0026608722513033144 3102.53 31 31 337738BJ6 US337738BJ60 -- 98.99 United States -- USD 2.6 5.53 1 Mar 15, 2027 5.15 2.63 -- 5.53 2.63 5.53 Mar 04, 2024 Mar 04, 2024 TXN TEXAS INSTRUMENTS INC Technology Fixed Income 3100.77 0.0026593627944528427 3100.77 32 32 882508CG7 US882508CG73 -- 97.98 United States -- USD 4.18 5.08 1 Feb 08, 2029 4.6 4.2 -- 5.08 4.2 5.08 Feb 08, 2024 Feb 08, 2024 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 3099.02 0.002657861914061749 3099.02 31 31 14040HBZ7 US14040HBZ73 BDFD1H8 98.55 United States -- USD 0.95 5.74 1 Apr 30, 2025 4.25 0.96 -- 5.74 0.96 5.74 Apr 30, 2018 Apr 30, 2018 VMW VMWARE LLC Technology Fixed Income 3099.02 0.002657861914061749 3099.02 36 36 928563AK1 US928563AK15 -- 85.6 United States -- USD 4.03 5.61 1 Aug 15, 2028 1.8 4.02 -- 5.61 4.02 5.61 Aug 02, 2021 Aug 02, 2021 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 3097.27 0.002656361033670655 3097.27 31 31 75513ECQ2 US75513ECQ26 -- 99.25 United States -- USD 1.69 5.43 1 Feb 27, 2026 5 1.72 -- 5.43 1.72 5.43 Feb 27, 2023 Feb 27, 2023 BNS BANK OF NOVA SCOTIA MTN Banking Fixed Income 3095.52 0.002654860153279561 3095.52 33 33 06418BAE8 US06418BAE83 -- 93.51 Canada -- USD 2.7 5.41 1 Mar 11, 2027 2.95 2.69 -- 5.41 2.69 5.41 Mar 11, 2022 Mar 11, 2022 GSBD GOLDMAN SACHS BDC INC Finance Companies Fixed Income 3093.77 0.002653359272888467 3093.77 33 33 38147UAD9 US38147UAD90 -- 95.12 United States -- USD 1.64 5.89 1 Jan 15, 2026 2.88 1.63 -- 5.89 1.63 5.89 Nov 24, 2020 Nov 24, 2020 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 3093.77 0.002653359272888467 3093.77 34 34 459200KM2 US459200KM24 -- 91.95 United States -- USD 2.64 5.34 1 Feb 09, 2027 2.2 2.63 -- 5.34 2.63 5.34 Feb 09, 2022 Feb 09, 2022 KCN KINROSS GOLD CORP Basic Industry Fixed Income 3093.77 0.002653359272888467 3093.77 32 32 496902AQ0 US496902AQ09 BG34680 96.36 Canada -- USD 2.86 5.75 1 Jul 15, 2027 4.5 2.91 -- 5.75 2.91 5.75 Jul 15, 2018 Jul 10, 2018 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 3092.01 0.0026518498160379954 3092.01 32 32 21036PBC1 US21036PBC14 BGL8WR5 96.64 United States -- USD 3.9 5.49 1 Nov 15, 2028 4.65 3.95 -- 5.49 3.95 5.49 Oct 29, 2018 Oct 29, 2018 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 3092.01 0.0026518498160379954 3092.01 32 32 742718GF0 US742718GF07 -- 97.76 United States -- USD 4.2 4.88 1 Jan 29, 2029 4.35 4.2 -- 4.88 4.2 4.88 Jan 29, 2024 Jan 29, 2024 ORBIA ORBIA ADVANCE CORPORATION SAB DE C 144A Basic Industry Fixed Income 3090.26 0.0026503489356469014 3090.26 34 34 68560EAA6 US68560EAA64 -- 91.83 Mexico -- USD 1.94 6.19 1 May 11, 2026 1.88 1.94 -- 6.19 1.94 6.19 May 11, 2021 May 11, 2021 O REALTY INCOME CORPORATION Reits Fixed Income 3090.26 0.0026503489356469014 3090.26 31 31 756109BF0 US756109BF09 -- 98.76 United States -- USD 1.85 5.51 1 Jun 01, 2026 4.88 1.93 -- 5.51 1.93 5.51 Jun 01, 2021 Nov 09, 2021 BIDU BAIDU INC Technology Fixed Income 3088.51 0.0026488480552558074 3088.51 32 32 056752AL2 US056752AL23 BFN93R6 96.17 China -- USD 3.48 5.47 1 Mar 29, 2028 4.38 3.54 -- 5.47 3.54 5.47 Mar 29, 2018 Mar 29, 2018 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 3088.51 0.0026488480552558074 3088.51 31 31 44891ACQ8 US44891ACQ85 -- 100.5 United States -- USD 1.4 5.9 1 Nov 03, 2025 6.25 1.39 -- 5.9 1.39 5.9 Nov 03, 2023 Nov 03, 2023 ARW ARROW ELECTRONICS INC Technology Fixed Income 3085.01 0.0026458462944736194 3085.01 33 33 042735BF6 US042735BF63 BZ4DLS4 93.8 United States -- USD 3.33 5.75 1 Jan 12, 2028 3.88 3.35 -- 5.75 3.35 5.75 Jun 12, 2017 Jun 12, 2017 PRU PRICOA GLOBAL FUNDING I MTN 144A Insurance Fixed Income 3085.01 0.0026458462944736194 3085.01 31 31 74153WCS6 US74153WCS61 -- 98.43 United States -- USD 3.58 5.53 1 May 30, 2028 5.1 3.57 -- 5.53 3.57 5.53 May 30, 2023 May 30, 2023 BNCN BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 3083.25 0.0026443368376231477 3083.25 32 32 11271LAA0 US11271LAA08 BYV8VH4 97.36 Canada -- USD 1.9 5.6 1 Jun 02, 2026 4.25 1.94 -- 5.6 1.94 5.6 Jun 02, 2016 Jun 02, 2016 NTT NTT FINANCE CORP 144A Communications Fixed Income 3083.25 0.0026443368376231477 3083.25 31 31 62954WAJ4 US62954WAJ45 -- 98.32 Japan -- USD 1.19 5.64 1 Jul 25, 2025 4.24 1.19 -- 5.64 1.19 5.64 Jul 27, 2022 Jul 27, 2022 RCICN ROGERS COMMUNICATIONS INC Communications Fixed Income 3083.25 0.0026443368376231477 3083.25 33 33 775109BF7 US775109BF74 BD5JQZ9 93.64 Canada -- USD 2.38 5.6 1 Nov 15, 2026 2.9 2.38 -- 5.6 2.38 5.6 Nov 04, 2016 Nov 04, 2016 AYR AIRCASTLE LTD 144A Finance Companies Fixed Income 3081.5 0.0026428359572320537 3081.5 35 35 00928QAU5 US00928QAU58 -- 88.96 United States -- USD 3.46 6.19 1 Jan 26, 2028 2.85 3.44 -- 6.19 3.44 6.19 Jan 26, 2021 Jan 26, 2021 GPN GLOBAL PAYMENTS INC Technology Fixed Income 3079.75 0.0026413350768409597 3079.75 31 31 37940XAP7 US37940XAP78 -- 97.96 United States -- USD 2.96 5.63 1 Aug 15, 2027 4.95 2.97 -- 5.63 2.97 5.63 Aug 22, 2022 Aug 22, 2022 FCX FREEPORT-MCMORAN INC Basic Industry Fixed Income 3076.25 0.0026383333160587717 3076.25 31 31 35671DCC7 US35671DCC74 BK9Z6S5 98.06 United States -- USD 2.21 5.64 1 Sep 01, 2027 5 3.02 -- 5.64 3.02 5.64 Aug 15, 2019 Aug 15, 2019 DNBNO DNB BANK ASA 144A Banking Fixed Income 3074.5 0.0026368324356676777 3074.5 35 35 25601B2B0 US25601B2B00 -- 88.58 Norway -- USD 2.77 5.9 1 Mar 30, 2028 1.61 2.78 -- 5.9 2.78 5.9 Sep 30, 2021 Sep 30, 2021 EPD ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 3074.5 0.0026368324356676777 3074.5 32 32 29379VBL6 US29379VBL62 BD073Q8 96.57 United States -- USD 2.55 5.28 1 Feb 15, 2027 3.95 2.59 -- 5.28 2.59 5.28 Apr 13, 2016 Apr 13, 2016 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 3074.5 0.0026368324356676777 3074.5 31 31 89236TLY9 US89236TLY90 -- 99.28 United States -- USD 2.66 5.27 1 Mar 19, 2027 5 2.65 -- 5.27 2.65 5.27 Mar 21, 2024 Mar 21, 2024 PSD PUGET ENERGY INC Electric Fixed Income 3072.74 0.0026353229788172064 3072.74 35 35 745310AM4 US745310AM41 -- 87.73 United States -- USD 3.82 5.75 1 Jun 15, 2028 2.38 3.8 -- 5.75 3.8 5.75 Jun 14, 2021 Oct 12, 2021 CCI CROWN CASTLE INTERNATIONAL CORP Communications Fixed Income 3069.24 0.0026323212180350184 3069.24 32 32 22822VAS0 US22822VAS07 -- 94.85 United States -- USD 1.18 5.77 1 Jul 15, 2025 1.35 1.18 -- 5.77 1.18 5.77 Jun 15, 2020 Jun 15, 2020 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 3069.24 0.0026323212180350184 3069.24 31 31 548661DT1 US548661DT10 BMH9HC4 98.47 United States -- USD 0.93 5.64 1 Apr 15, 2025 4 0.94 -- 5.64 0.94 5.64 Mar 26, 2020 Mar 26, 2020 HUM HUMANA INC Insurance Fixed Income 3065.74 0.0026293194572528304 3065.74 32 32 444859BF8 US444859BF87 BYZKXV4 96.01 United States -- USD 2.62 5.46 1 Mar 15, 2027 3.95 2.67 -- 5.46 2.67 5.46 Mar 16, 2017 Mar 16, 2017 AEL AMERICAN EQUITY INVESTMENT LIFE HO Insurance Fixed Income 3063.98 0.0026278100004023587 3063.98 32 32 025676AM9 US025676AM95 BDT5NV8 95.75 United States -- USD 2.77 6.52 1 Jun 15, 2027 5 2.79 -- 6.52 2.79 6.52 Jun 16, 2017 Jun 16, 2017 ILMN ILLUMINA INC Consumer Non-Cyclical Fixed Income 3063.98 0.0026278100004023587 3063.98 31 31 452327AN9 US452327AN93 -- 99.78 United States -- USD 1.47 5.94 1 Dec 12, 2025 5.8 1.5 -- 5.94 1.5 5.94 Dec 13, 2022 Dec 13, 2022 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 3063.98 0.0026278100004023587 3063.98 31 31 91324PEY4 US91324PEY43 -- 98.3 United States -- USD 2.7 5.22 1 Apr 15, 2027 4.6 2.73 -- 5.22 2.73 5.22 Mar 21, 2024 Mar 21, 2024 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 3062.23 0.0026263091200112647 3062.23 30 30 378272BN7 US378272BN78 -- 101.41 Switzerland -- USD 3.83 5.76 1 Oct 06, 2028 6.13 3.84 -- 5.76 3.78 5.76 Oct 06, 2023 Oct 06, 2023 NUE NUCOR CORPORATION Basic Industry Fixed Income 3062.23 0.0026263091200112647 3062.23 32 32 670346AY1 US670346AY11 -- 97.14 United States -- USD 2.77 5.32 1 May 23, 2027 4.3 2.79 -- 5.32 2.79 5.32 May 23, 2022 May 23, 2022 KRC KILROY REALTY LP Reits Fixed Income 3060.48 0.0026248082396201707 3060.48 33 33 49427RAN2 US49427RAN26 BHJVLP4 93.93 United States -- USD 3.99 6.28 1 Dec 15, 2028 4.75 4 -- 6.28 4 6.28 Nov 29, 2018 Nov 29, 2018 LDOS LEIDOS INC Technology Fixed Income 3060.48 0.0026248082396201707 3060.48 31 31 52532XAD7 US52532XAD75 -- 97.64 United States -- USD 1 5.96 1 May 15, 2025 3.63 1 -- 5.96 1 5.96 May 15, 2021 Jun 21, 2021 ENBCN SPECTRA ENERGY PARTNERS LP Energy Fixed Income 3060.48 0.0026248082396201707 3060.48 32 32 84756NAH2 US84756NAH26 BZBFK42 94.89 United States -- USD 2.31 5.62 1 Oct 15, 2026 3.38 2.32 -- 5.62 2.32 5.62 Oct 17, 2016 Oct 17, 2016 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 3058.73 0.0026233073592290767 3058.73 31 31 02665WED9 US02665WED92 -- 98.02 United States -- USD 3.33 5.29 1 Jan 12, 2028 4.7 3.32 -- 5.29 3.32 5.29 Jan 12, 2023 Jan 12, 2023 MOS MOSAIC CO/THE Basic Industry Fixed Income 3056.98 0.0026218064788379827 3056.98 31 31 61945CAH6 US61945CAH60 -- 99.18 United States -- USD 3.9 5.58 1 Nov 15, 2028 5.38 3.91 -- 5.58 3.91 5.58 Dec 07, 2023 Dec 07, 2023 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 3048.22 0.002614293500423135 3048.22 33 33 378272BD9 US378272BD96 -- 92.33 Switzerland -- USD 1.91 5.73 1 Apr 27, 2026 1.63 1.91 -- 5.73 1.91 5.73 Apr 27, 2021 Apr 27, 2021 PNW PINNACLE WEST CAPITAL CORPORATION Electric Fixed Income 3046.47 0.002612792620032041 3046.47 32 32 723484AH4 US723484AH45 -- 94.75 United States -- USD 1.1 6.14 1 Jun 15, 2025 1.3 1.1 -- 6.14 1.1 6.14 Jun 17, 2020 Jun 17, 2020 BERY BERRY GLOBAL INC Capital Goods Fixed Income 3044.71 0.0026112831631815697 3044.71 31 31 08576PAL5 US08576PAL58 -- 98.77 United States -- USD 3.51 5.85 1 Apr 15, 2028 5.5 3.51 -- 5.85 3.51 5.85 Oct 15, 2023 Feb 27, 2024 TRICN THOMSON REUTERS CORPORATION Technology Fixed Income 3044.71 0.0026112831631815697 3044.71 32 32 884903BV6 US884903BV64 BD0N366 95.72 Canada -- USD 1.9 5.58 1 May 15, 2026 3.35 1.92 -- 5.58 1.92 5.58 May 09, 2016 May 09, 2016 VW VOLKSWAGEN GROUP OF AMERICA (FXD) 144A Consumer Cyclical Fixed Income 3044.71 0.0026112831631815697 3044.71 31 31 928668CE0 US928668CE07 -- 99.39 Germany -- USD 1.78 5.74 1 Mar 20, 2026 5.4 1.77 -- 5.74 1.77 5.74 Mar 22, 2024 Mar 22, 2024 PACLIF PACIFIC LIFE GLOBAL FUNDING II 144A Insurance Fixed Income 3042.96 0.0026097822827904757 3042.96 30 30 6944PL2U2 US6944PL2U22 -- 99.82 United States -- USD 3.69 5.55 1 Jul 18, 2028 5.5 3.68 -- 5.55 3.68 5.55 Jul 18, 2023 Jul 18, 2023 AVT AVNET INC Technology Fixed Income 3041.21 0.0026082814023993817 3041.21 31 31 053807AS2 US053807AS28 BD20MJ1 97.74 United States -- USD 1.79 5.86 1 Apr 15, 2026 4.63 1.85 -- 5.86 1.85 5.86 Mar 29, 2016 Mar 29, 2016 INTU INTUIT INC. Technology Fixed Income 3039.46 0.0026067805220082877 3039.46 34 34 46124HAC0 US46124HAC07 -- 88.67 United States -- USD 3.07 5.22 1 Jul 15, 2027 1.35 3.07 -- 5.22 3.07 5.22 Jun 29, 2020 Jun 29, 2020 SYY SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 3039.46 0.0026067805220082877 3039.46 30 30 871829BS5 US871829BS59 -- 100.9 United States -- USD 3.99 5.53 1 Jan 17, 2029 5.75 4 -- 5.52 3.94 5.52 Nov 17, 2023 Nov 17, 2023 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 3037.71 0.0026052796416171937 3037.71 32 32 05565ECA1 US05565ECA10 -- 94.92 Germany -- USD 2.73 5.34 1 Apr 01, 2027 3.45 2.73 -- 5.34 2.73 5.34 Apr 01, 2022 Apr 01, 2022 PEG PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 3037.71 0.0026052796416171937 3037.71 32 32 744573AP1 US744573AP19 -- 93.84 United States -- USD 1.27 5.76 1 Aug 15, 2025 0.8 1.26 -- 5.76 1.26 5.76 Aug 14, 2020 Aug 14, 2020 CNA CNA FINANCIAL CORP Insurance Fixed Income 3035.96 0.0026037787612260997 3035.96 32 32 126117AU4 US126117AU49 BF47012 93.66 United States -- USD 3.02 5.58 1 Aug 15, 2027 3.45 3.04 -- 5.58 3.04 5.58 Aug 10, 2017 Aug 10, 2017 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 3035.96 0.0026037787612260997 3035.96 30 30 571903BD4 US571903BD44 -- 100.06 United States -- USD 0.9 5.68 1 May 01, 2025 5.75 0.95 -- 5.68 0.95 5.68 Apr 16, 2020 Apr 16, 2020 KMI TENNESSEE GAS PIPELINE COMPANY LLC Energy Fixed Income 3035.96 0.0026037787612260997 3035.96 29 29 880451AV1 US880451AV10 2298278 104.75 United States -- USD 3.84 5.78 1 Oct 15, 2028 7 3.81 -- 5.78 3.81 5.78 Oct 09, 1998 Oct 09, 1998 FE METROPOLITAN EDISON COMPANY 144A Electric Fixed Income 3034.2 0.002602269304375628 3034.2 31 31 591894CE8 US591894CE82 -- 98.9 United States -- USD 3.49 5.51 1 Apr 01, 2028 5.2 3.5 -- 5.51 3.5 5.51 Mar 30, 2023 Mar 30, 2023 MTBCP CARECLOUD CUMULATIVE REDEEMABLE P Industrial Equity 3032.6 0.002600897070875199 3032.6 540 540 14167R209 US14167R2094 BKP32F2 5.62 United States NASDAQ USD 0.53 50 1 Dec 31, 2079 11 0.48 -- 50 0.48 50 Nov 04, 2015 Nov 04, 2015 SLB SCHLUMBERGER HOLDINGS CORP 144A Energy Fixed Income 3030.7 0.00259926754359344 3030.7 31 31 806851AG6 US806851AG69 BYQ1SC2 97.6 United States -- USD 1.52 5.53 1 Dec 21, 2025 4 1.55 -- 5.53 1.55 5.53 Dec 21, 2015 Dec 21, 2015 CL COLGATE-PALMOLIVE CO Consumer Non-Cyclical Fixed Income 3027.2 0.002596265782811252 3027.2 31 31 194162AM5 US194162AM58 -- 97.4 United States -- USD 1.25 5.18 1 Aug 15, 2025 3.1 1.25 -- 5.18 1.25 5.18 Aug 09, 2022 Aug 09, 2022 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 3027.2 0.002596265782811252 3027.2 30 30 65535HBH1 US65535HBH12 -- 100.15 Japan -- USD 3.28 5.79 1 Jan 18, 2028 5.84 3.26 -- 5.79 3.26 5.79 Jan 11, 2023 Jan 11, 2023 INTNED ING GROEP NV Banking Fixed Income 3025.44 0.00259475632596078 3025.44 33 33 456837AV5 US456837AV55 -- 92.51 Netherlands -- USD 1.86 6.06 1 Apr 01, 2027 1.73 1.85 -- 5.88 1.85 5.88 Apr 01, 2021 Apr 01, 2021 BNS BANK OF NOVA SCOTIA Banking Fixed Income 3023.69 0.0025932554455696862 3023.69 33 33 0641594A1 US0641594A17 -- 91.74 Canada -- USD 2.08 5.44 1 Jun 24, 2026 1.35 2.07 -- 5.44 2.07 5.44 Jun 24, 2021 Jun 24, 2021 BXSL BLACKSTONE SECURED LENDING FUND Finance Companies Fixed Income 3023.69 0.0025932554455696862 3023.69 34 34 09261XAD4 US09261XAD49 -- 89.45 United States -- USD 2.66 6.28 1 Feb 15, 2027 2.13 2.64 -- 6.28 2.64 6.28 Feb 15, 2022 Jun 28, 2022 SCCO SOUTHERN COPPER CORP Basic Industry Fixed Income 3023.69 0.0025932554455696862 3023.69 31 31 84265VAH8 US84265VAH87 BWXV3K4 97.97 Mexico -- USD 0.96 6.01 1 Apr 23, 2025 3.88 0.96 -- 6.01 0.96 6.01 Apr 23, 2015 Apr 23, 2015 BIDU BAIDU INC Technology Fixed Income 3021.94 0.0025917545651785922 3021.94 32 32 056752AJ7 US056752AJ76 BF25212 94.58 China -- USD 2.94 5.49 1 Jul 06, 2027 3.63 2.93 -- 5.49 2.93 5.49 Jul 06, 2017 Jul 06, 2017 BPLN BP CAPITAL MARKETS PLC Energy Fixed Income 3020.19 0.0025902536847874982 3020.19 31 31 05565QDU9 US05565QDU94 -- 97.41 United Kingdom -- USD 1.11 4.85 1 Dec 31, 2079 4.38 1.31 -- 6.76 1.09 6.76 Jun 22, 2020 Jun 22, 2020 ENAPCL EMPRESA NACIONAL DEL PETROLEO ENAP 144A Owned No Guarantee Fixed Income 3018.44 0.0025887528043964047 3018.44 32 32 29245JAJ1 US29245JAJ16 BD1FF43 95.33 Chile -- USD 2.11 5.97 1 Aug 05, 2026 3.75 2.12 -- 5.97 2.12 5.97 Aug 05, 2016 Aug 05, 2016 ONCRTX ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 3016.68 0.002587243347545933 3016.68 32 32 68233JBH6 US68233JBH68 BGC1MM8 93.26 United States -- USD 4.01 5.39 1 Nov 15, 2028 3.7 4.04 -- 5.39 4.04 5.39 Nov 15, 2018 Jan 24, 2019 SYK STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 3016.68 0.002587243347545933 3016.68 31 31 863667BC4 US863667BC42 -- 97.97 United States -- USD 3.99 5.35 1 Dec 08, 2028 4.85 4.01 -- 5.35 4.01 5.35 Dec 08, 2023 Dec 08, 2023 MMM 3M CO MTN Capital Goods Fixed Income 3014.93 0.002585742467154839 3014.93 31 31 88579YAR2 US88579YAR27 BYQMXM0 96.8 United States -- USD 1.23 5.61 1 Aug 07, 2025 3 1.23 -- 5.61 1.23 5.61 Aug 07, 2015 Aug 07, 2015 DTRGR DAIMLER TRUCK FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 3013.18 0.002584241586763745 3013.18 30 30 233853AT7 US233853AT77 -- 99.42 Germany -- USD 3.87 5.55 1 Sep 20, 2028 5.4 3.85 -- 5.55 3.85 5.55 Aug 09, 2023 Aug 09, 2023 KEY KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 3011.43 0.002582740706372651 3011.43 31 31 49327M2K9 US49327M2K91 BYNHY03 96.58 United States -- USD 1.05 6.57 1 Jun 01, 2025 3.3 1.04 -- 6.57 1.04 6.57 Jun 01, 2015 Jun 01, 2015 NSC NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 3009.68 0.002581239825981557 3009.68 28 28 655844AJ7 US655844AJ75 2536172 106.85 United States -- USD 2.64 5.34 1 May 15, 2027 7.8 2.63 -- 5.34 2.63 5.34 May 19, 1997 May 19, 1997 EQT EQT CORP Energy Fixed Income 3007.93 0.002579738945590463 3007.93 30 30 26884LAQ2 US26884LAQ23 -- 99.43 United States -- USD 3.46 5.86 1 Apr 01, 2028 5.7 3.46 -- 5.86 3.46 5.86 Oct 04, 2022 Oct 04, 2022 LNT INTERSTATE POWER AND LIGHT CO Electric Fixed Income 3007.93 0.002579738945590463 3007.93 32 32 461070AP9 US461070AP91 BGHHQC9 94.42 United States -- USD 3.92 5.54 1 Sep 26, 2028 4.1 3.95 -- 5.54 3.95 5.54 Sep 26, 2018 Sep 26, 2018 NYLIFE NEW YORK LIFE GLOBAL FUNDING 144A Insurance Fixed Income 3007.93 0.002579738945590463 3007.93 33 33 64952WED1 US64952WED11 -- 91.43 United States -- USD 2.04 5.48 1 Jun 09, 2026 1.15 2.04 -- 5.48 2.04 5.48 Jun 09, 2021 Jun 09, 2021 ET ENERGY TRANSFER LP Energy Fixed Income 3007.93 0.002579738945590463 3007.93 31 31 86765BAT6 US86765BAT61 BDGTNQ8 96.34 United States -- USD 2.03 5.68 1 Jul 15, 2026 3.9 2.07 -- 5.68 2.07 5.68 Jul 12, 2016 Jul 12, 2016 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 3006.17 0.002578229488739991 3006.17 30 30 592179KF1 US592179KF10 -- 98.61 United States -- USD 3.29 5.47 1 Jan 06, 2028 5.05 3.28 -- 5.47 3.28 5.47 Jan 06, 2023 Jan 06, 2023 OBDC OWL ROCK CAPITAL CORP Finance Companies Fixed Income 3006.17 0.002578229488739991 3006.17 31 31 69121KAD6 US69121KAD63 -- 96.4 United States -- USD 1.61 6.49 1 Jan 15, 2026 4.25 1.61 -- 6.49 1.61 6.49 Jul 23, 2020 Jul 23, 2020 O REALTY INCOME CORPORATION Reits Fixed Income 3006.17 0.002578229488739991 3006.17 32 32 756109AS3 US756109AS39 BYVQW75 93.88 United States -- USD 2.53 5.45 1 Jan 15, 2027 3 2.54 -- 5.45 2.54 5.45 Oct 12, 2016 Oct 12, 2016 ROSW ROCHE HOLDINGS INC 144A Consumer Non-Cyclical Fixed Income 3004.42 0.0025767286083488972 3004.42 31 31 771196BJ0 US771196BJ08 BYZT021 96.74 Switzerland -- USD 1.45 5.22 1 Nov 10, 2025 3 1.46 -- 5.22 1.46 5.22 Nov 10, 2015 Nov 10, 2015 PSX PHILLIPS 66 Energy Fixed Income 3002.67 0.0025752277279578032 3002.67 32 32 718546AZ7 US718546AZ72 -- 92.89 United States -- USD 1.75 5.49 1 Feb 15, 2026 1.3 1.74 -- 5.49 1.74 5.49 Nov 18, 2020 Nov 18, 2020 CRBG COREBRIDGE GLOBAL FUNDING MTN 144A Insurance Fixed Income 3000.92 0.0025737268475667092 3000.92 30 30 00138CAU2 US00138CAU27 -- 99.46 United States -- USD 2 6.01 1 Jul 02, 2026 5.75 1.99 -- 6.01 1.99 6.01 Jul 03, 2023 Jul 03, 2023 PENSKE PENSKE TRUCK LEASING COMPANY LP / 144A Transportation Fixed Income 3000.92 0.0025737268475667092 3000.92 32 32 709599AW4 US709599AW47 BF251V5 94.36 United States -- USD 2.35 5.81 1 Nov 15, 2026 3.4 2.36 -- 5.81 2.36 5.81 Nov 02, 2016 Nov 02, 2016 CNHI CNH INDUSTRIAL CAPITAL LLC Capital Goods Fixed Income 2999.17 0.0025722259671756152 2999.17 31 31 12592BAS3 US12592BAS34 -- 97.64 United States -- USD 4.31 5.65 1 Apr 20, 2029 5.1 4.32 -- 5.65 4.32 5.65 Mar 21, 2024 Mar 21, 2024 BNCN BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 2997.41 0.0025707165103251435 2997.41 31 31 11271LAD4 US11271LAD47 BJ555V8 97.05 Canada -- USD 4.24 5.54 1 Mar 29, 2029 4.85 4.3 -- 5.54 4.3 5.54 Jan 29, 2019 Jan 29, 2019 MRO MARATHON OIL CORP Energy Fixed Income 2997.41 0.0025707165103251435 2997.41 31 31 565849AQ9 US565849AQ98 -- 97.82 United States -- USD 4.26 5.81 1 Apr 01, 2029 5.3 4.26 -- 5.81 4.26 5.81 Mar 28, 2024 Mar 28, 2024 CBG CBRE SERVICES INC Consumer Cyclical Fixed Income 2995.66 0.0025692156299340495 2995.66 30 30 12505BAD2 US12505BAD29 BZ4V360 98.35 United States -- USD 1.66 5.82 1 Mar 01, 2026 4.88 1.73 -- 5.82 1.73 5.82 Aug 13, 2015 Aug 13, 2015 VLO VALERO ENERGY CORPORATION Energy Fixed Income 2995.66 0.0025692156299340495 2995.66 33 33 91913YBB5 US91913YBB56 -- 89.99 United States -- USD 3.19 5.42 1 Sep 15, 2027 2.15 3.19 -- 5.42 3.19 5.42 Sep 10, 2020 Sep 10, 2020 ABT ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 2993.91 0.002567714749542956 2993.91 30 30 002824BM1 US002824BM11 BD3FM06 98.21 United States -- USD 1.29 5.22 1 Sep 15, 2025 3.88 1.33 -- 5.22 1.33 5.22 Mar 15, 2017 Mar 22, 2017 XEL XCEL ENERGY INC Electric Fixed Income 2993.91 0.002567714749542956 2993.91 32 32 98389BAV2 US98389BAV27 BG0ZMM2 93.89 United States -- USD 3.61 5.68 1 Jun 15, 2028 4 3.68 -- 5.68 3.68 5.68 Jun 25, 2018 Jun 25, 2018 FSK FS KKR CAPITAL CORP Finance Companies Fixed Income 2992.16 0.002566213869151862 2992.16 35 35 302635AK3 US302635AK33 -- 85.8 United States -- USD 4.07 6.87 1 Oct 12, 2028 3.13 4.03 -- 6.87 4.03 6.87 Oct 12, 2021 Oct 12, 2021 BR BROADRIDGE FINANCIAL SOLUTIONS INC Technology Fixed Income 2988.66 0.002563212108369674 2988.66 31 31 11133TAC7 US11133TAC71 BYYYNP1 95.57 United States -- USD 2.02 5.59 1 Jun 27, 2026 3.4 2.03 -- 5.59 2.03 5.59 Jun 27, 2016 Jun 27, 2016 KR KROGER CO Consumer Non-Cyclical Fixed Income 2985.15 0.002560201771128108 2985.15 31 31 501044DL2 US501044DL23 BJ1STQ4 96.55 United States -- USD 4.08 5.34 1 Jan 15, 2029 4.5 4.13 -- 5.34 4.13 5.34 Jan 14, 2019 Jan 14, 2019 MAS MASCO CORPORATION Capital Goods Fixed Income 2985.15 0.002560201771128108 2985.15 35 35 574599BS4 US574599BS40 -- 86.06 United States -- USD 3.61 5.62 1 Feb 15, 2028 1.5 3.59 -- 5.62 3.59 5.62 Mar 04, 2021 Mar 04, 2021 SEE SEALED AIR CORPORATION 144A Capital Goods Fixed Income 2985.15 0.002560201771128108 2985.15 33 33 81211KAZ3 US81211KAZ30 -- 89.92 United States -- USD 2.37 6.02 1 Oct 15, 2026 1.57 2.36 -- 6.02 2.36 6.02 Sep 29, 2021 Sep 29, 2021 OCINCC BLUE OWL CREDIT INCOME CORP 144A Finance Companies Fixed Income 2983.4 0.0025587008907370142 2983.4 29 29 69120VAU5 US69120VAU52 -- 101.5 United States -- USD 3.82 7.36 1 Jan 15, 2029 7.75 3.8 -- 7.36 3.8 7.36 Dec 04, 2023 Dec 04, 2023 AMCR AMCOR FINANCE (USA) INC Capital Goods Fixed Income 2981.65 0.0025572000103459202 2981.65 31 31 02343UAG0 US02343UAG04 -- 95.87 United States -- USD 1.85 5.83 1 Apr 28, 2026 3.63 1.86 -- 5.83 1.86 5.83 Oct 28, 2019 Apr 21, 2020 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2979.9 0.0025556991299548262 2979.9 33 33 24422EVR7 US24422EVR79 -- 91.54 United States -- USD 2.06 5.27 1 Jun 17, 2026 1.05 2.06 -- 5.27 2.06 5.27 Jun 17, 2021 Jun 17, 2021 MEXCAT MEXICO CITY AIRPORT TRUST 144A Owned No Guarantee Fixed Income 2974.64 0.0025511879123221665 2974.64 32 32 59284MAC8 US59284MAC82 BF0GKQ8 93.09 Mexico -- USD 3.55 5.83 1 Apr 30, 2028 3.88 3.57 -- 5.83 3.57 5.83 Sep 20, 2017 Sep 20, 2017 PPG PPG INDUSTRIES INC Basic Industry Fixed Income 2974.64 0.0025511879123221665 2974.64 32 32 693506BU0 US693506BU04 -- 92.24 United States -- USD 1.82 5.59 1 Mar 15, 2026 1.2 1.82 -- 5.59 1.82 5.59 Mar 04, 2021 Mar 04, 2021 PSA PUBLIC STORAGE OPERATING CO Reits Fixed Income 2974.64 0.0025511879123221665 2974.64 33 33 74460DAG4 US74460DAG43 -- 91.02 United States -- USD 2.42 5.33 1 Nov 09, 2026 1.5 2.42 -- 5.33 2.42 5.33 Nov 09, 2021 Nov 09, 2021 BRX BRIXMOR OPERATING PARTNERSHIP LP Reits Fixed Income 2972.89 0.0025496870319310725 2972.89 31 31 11120VAC7 US11120VAC72 BD203J8 96.67 United States -- USD 1.95 5.8 1 Jun 15, 2026 4.13 1.98 -- 5.8 1.98 5.8 Jun 13, 2016 Jun 13, 2016 H HYATT HOTELS CORP Consumer Cyclical Fixed Income 2972.89 0.0025496870319310725 2972.89 30 30 448579AQ5 US448579AQ51 -- 100.38 United States -- USD 2.47 5.59 1 Jan 30, 2027 5.75 2.49 -- 5.59 2.42 5.59 Jul 06, 2023 Jul 06, 2023 AEP AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 2969.38 0.002546676694689507 2969.38 32 32 025537AJ0 US025537AJ08 BD5W829 92.58 United States -- USD 3.23 5.53 1 Nov 13, 2027 3.2 3.24 -- 5.53 3.24 5.53 Nov 13, 2017 Nov 13, 2017 PFG PRINCIPAL LIFE GLOBAL FUNDING II 144A Insurance Fixed Income 2965.88 0.002543674933907319 2965.88 32 32 74256LEK1 US74256LEK17 -- 92.2 United States -- USD 1.66 5.71 1 Jan 12, 2026 0.88 1.65 -- 5.71 1.65 5.71 Jan 12, 2021 Jan 12, 2021 LLY ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 2964.13 0.002542174053516225 2964.13 32 32 532457BV9 US532457BV93 BJKQ1M9 92.83 United States -- USD 4.36 5.05 1 Mar 15, 2029 3.38 4.4 -- 5.05 4.4 5.05 Feb 22, 2019 Feb 22, 2019 DGX QUEST DIAGNOSTICS INCORPORATED Consumer Non-Cyclical Fixed Income 2962.38 0.0025406731731251312 2962.38 31 31 74834LAZ3 US74834LAZ31 BYQ6DV1 96 United States -- USD 1.94 5.49 1 Jun 01, 2026 3.45 1.96 -- 5.49 1.96 5.49 May 26, 2016 May 26, 2016 WAB WESTINGHOUSE AIR BRAKE TECHNOLOGIE Capital Goods Fixed Income 2960.63 0.0025391722927340372 2960.63 31 31 960386AQ3 US960386AQ33 -- 96.95 United States -- USD 1.09 6.01 1 Jun 15, 2025 3.2 1.08 -- 6.01 1.08 6.01 Jun 29, 2020 Jun 29, 2020 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 2958.87 0.0025376628358835655 2958.87 30 30 69371RR99 US69371RR993 -- 97.7 United States -- USD 1.24 5.41 1 Aug 11, 2025 3.55 1.23 -- 5.41 1.23 5.41 Aug 11, 2022 Aug 11, 2022 ENBCN ENBRIDGE ENERGY PARTNERS LP Energy Fixed Income 2957.12 0.0025361619554924715 2957.12 30 30 29250RAW6 US29250RAW60 BYN7R04 100.07 United States -- USD 1.26 5.82 1 Oct 15, 2025 5.88 1.39 -- 5.82 1.16 5.82 Oct 06, 2015 Oct 06, 2015 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 2957.12 0.0025361619554924715 2957.12 27 27 713448EG9 US713448EG97 BGMH282 108.2 United States -- USD 4.09 5.07 1 Mar 01, 2029 7 4.08 -- 5.07 4.08 5.07 Sep 01, 2018 Jan 02, 2019 CTVA EIDP INC Basic Industry Fixed Income 2955.37 0.0025346610751013775 2955.37 31 31 263534CN7 US263534CN75 -- 95.39 United States -- USD 1.18 5.65 1 Jul 15, 2025 1.7 1.18 -- 5.65 1.18 5.65 May 15, 2020 May 15, 2020 RIFP PERNOD RICARD INTERNATIONAL FINANC 144A Consumer Non-Cyclical Fixed Income 2951.87 0.0025316593143191895 2951.87 34 34 71427QAA6 US71427QAA67 -- 85.64 France -- USD 3.75 5.35 1 Apr 01, 2028 1.25 3.74 -- 5.35 3.74 5.35 Oct 01, 2020 Oct 01, 2020 NDAQ NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 2950.11 0.0025301498574687178 2950.11 31 31 631103AG3 US631103AG34 BD202W4 96.58 United States -- USD 1.99 5.54 1 Jun 30, 2026 3.85 2.03 -- 5.54 2.03 5.54 Jun 07, 2016 Jun 07, 2016 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 2948.36 0.0025286489770776238 2948.36 29 29 21688AAY8 US21688AAY82 -- 100.19 Netherlands -- USD 2.26 5.41 1 Oct 05, 2026 5.5 2.25 -- 5.41 2.25 5.41 Oct 05, 2023 Oct 05, 2023 ECL ECOLAB INC Basic Industry Fixed Income 2948.36 0.0025286489770776238 2948.36 29 29 278865BP4 US278865BP48 -- 100.19 United States -- USD 3.28 5.19 1 Jan 15, 2028 5.25 3.3 -- 5.19 3.23 5.19 Nov 17, 2022 Nov 17, 2022 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 2948.36 0.0025286489770776238 2948.36 30 30 378272BR8 US378272BR82 -- 98.89 Switzerland -- USD 2.69 5.75 1 Apr 04, 2027 5.34 2.68 -- 5.75 2.68 5.75 Apr 04, 2024 Apr 04, 2024 EMR EMERSON ELECTRIC CO Capital Goods Fixed Income 2946.61 0.0025271480966865298 2946.61 30 30 291011BG8 US291011BG86 BY3R4Q9 97.73 United States -- USD 1.05 5.29 1 Jun 01, 2025 3.15 1.05 -- 5.29 1.05 5.29 May 21, 2015 May 21, 2015 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 2946.61 0.0025271480966865298 2946.61 30 30 6944PL2S7 US6944PL2S75 -- 97.66 United States -- USD 3.54 5.57 1 Apr 04, 2028 4.9 3.52 -- 5.57 3.52 5.57 Mar 31, 2023 Mar 31, 2023 NRG ALEXANDER FUNDING TRUST II 144A Electric Fixed Income 2944.86 0.0025256472162954358 2944.86 28 28 014916AA8 US014916AA85 -- 104.05 United States -- USD 3.56 6.36 1 Jul 31, 2028 7.47 3.57 -- 6.35 3.51 6.35 Aug 29, 2023 Aug 29, 2023 BHF BRIGHTHOUSE FINANCIAL GLOBAL FUNDI 144A Insurance Fixed Income 2944.86 0.0025256472162954358 2944.86 32 32 10921U2C1 US10921U2C16 -- 91.22 United States -- USD 1.99 6.11 1 May 24, 2026 1.55 1.98 -- 6.11 1.98 6.11 May 24, 2021 May 24, 2021 CNO CNO GLOBAL FUNDING MTN 144A Insurance Fixed Income 2943.11 0.002524146335904342 2943.11 33 33 18977W2A7 US18977W2A75 -- 90.42 United States -- USD 2.35 6.01 1 Oct 07, 2026 1.75 2.33 -- 6.01 2.33 6.01 Oct 07, 2021 Oct 07, 2021 CL COLGATE-PALMOLIVE CO Consumer Non-Cyclical Fixed Income 2943.11 0.002524146335904342 2943.11 30 30 194162AQ6 US194162AQ62 -- 99.5 United States -- USD 1.74 5.08 1 Mar 02, 2026 4.8 1.74 -- 5.08 1.74 5.08 Mar 01, 2023 Mar 01, 2023 CMI CUMMINS INC Consumer Cyclical Fixed Income 2943.11 0.002524146335904342 2943.11 30 30 231021AV8 US231021AV82 -- 98.81 United States -- USD 4.19 5.18 1 Feb 20, 2029 4.9 4.2 -- 5.18 4.2 5.18 Feb 20, 2024 Feb 20, 2024 MBGGR MERCEDES-BENZ FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 2943.11 0.002524146335904342 2943.11 30 30 58769JAC1 US58769JAC18 BP7LTY7 99.66 Germany -- USD 3.18 5.35 1 Nov 29, 2027 5.25 3.17 -- 5.35 3.17 5.35 Nov 28, 2022 Nov 28, 2022 DGELN DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 2939.6 0.0025211359986627765 2939.6 29 29 25243YBF5 US25243YBF51 -- 99.73 United Kingdom -- USD 1.42 5.39 1 Oct 24, 2025 5.2 1.42 -- 5.39 1.42 5.39 Oct 24, 2022 Oct 24, 2022 MRK MERCK & CO INC Consumer Non-Cyclical Fixed Income 2939.6 0.0025211359986627765 2939.6 30 30 58933YBH7 US58933YBH71 -- 96.56 United States -- USD 3.6 5 1 May 17, 2028 4.05 3.62 -- 5 3.62 5 May 17, 2023 May 17, 2023 OBDC OWL ROCK CAPITAL CORP Finance Companies Fixed Income 2939.6 0.0025211359986627765 2939.6 30 30 69121KAC8 US69121KAC80 -- 96.89 United States -- USD 1.18 6.39 1 Jul 22, 2025 3.75 1.18 -- 6.39 1.18 6.39 Jan 22, 2020 Jan 22, 2020 TRPCN TRANSCANADA PIPELINES LTD Energy Fixed Income 2936.1 0.0025181342378805885 2936.1 29 29 89352HBE8 US89352HBE80 -- 100 Canada -- USD 0.36 6.2 1 Mar 09, 2026 6.2 1.73 -- 6.12 0.08 6.12 Mar 09, 2023 Mar 09, 2023 RON RON CASH Cash and/or Derivatives Cash 2935.91 0.0025179712851524125 2935.91 136 136 -- -- -- 21.53 Romania -- USD 0 0 4.6453 -- 0 0 -- 0 0 0 -- Jan 01, 1990 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2932.6 0.0025151324770984005 2932.6 31 31 24422ETH2 US24422ETH26 BYYYV13 94.82 United States -- USD 2.01 5.26 1 Jun 10, 2026 2.65 2.01 -- 5.26 2.01 5.26 Jun 10, 2016 Jun 10, 2016 WEC WEC ENERGY GROUP INC Electric Fixed Income 2932.6 0.0025151324770984005 2932.6 30 30 92939UAL0 US92939UAL08 -- 97.92 United States -- USD 3.31 5.37 1 Jan 15, 2028 4.75 3.32 -- 5.37 3.32 5.37 Jan 11, 2023 Jan 11, 2023 HR HEALTHCARE TRUST OF AMERICA HOLDIN Reits Fixed Income 2929.09 0.0025121221398568348 2929.09 31 31 42225UAD6 US42225UAD63 BD1DQP5 94.9 United States -- USD 2.12 5.94 1 Aug 01, 2026 3.5 2.12 -- 5.94 2.12 5.94 Jul 12, 2016 Jul 12, 2016 OHI OMEGA HEALTHCARE INVESTORS INC Reits Fixed Income 2927.34 0.0025106212594657408 2927.34 31 31 681936BK5 US681936BK50 BDVPZZ4 94.87 United States -- USD 3.29 6.32 1 Jan 15, 2028 4.75 3.3 -- 6.32 3.3 6.32 Apr 04, 2017 Apr 04, 2017 O REALTY INCOME CORPORATION Reits Fixed Income 2927.34 0.0025106212594657408 2927.34 30 30 756109BS2 US756109BS20 -- 96.6 United States -- USD 4.02 5.54 1 Dec 15, 2028 4.7 4.03 -- 5.54 4.03 5.54 Apr 14, 2023 Apr 14, 2023 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 2925.59 0.0025091203790746468 2925.59 30 30 842400JA2 US842400JA26 -- 98.42 United States -- USD 2.5 5.49 1 Feb 01, 2027 4.88 2.52 -- 5.49 2.52 5.49 Jan 11, 2024 Jan 11, 2024 NTRCN NUTRIEN LTD Basic Industry Fixed Income 2920.33 0.002504609161441987 2920.33 29 29 67077MAY4 US67077MAY49 -- 100.47 Canada -- USD 1.41 5.63 1 Nov 07, 2025 5.95 1.41 -- 5.63 1.41 5.63 Nov 09, 2022 Nov 09, 2022 HON HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 2918.58 0.002503108281050893 2918.58 29 29 438516CJ3 US438516CJ30 -- 99.45 United States -- USD 3.37 5.11 1 Feb 15, 2028 4.95 3.4 -- 5.11 3.4 5.11 Nov 02, 2022 Nov 02, 2022 DNBNO DNB BANK ASA (FXD-FRN) 144A Banking Fixed Income 2916.83 0.002501607400659799 2916.83 29 29 23341CAC7 US23341CAC73 BP9S4T6 99.97 Norway -- USD 1.37 6.44 1 Oct 09, 2026 5.9 1.37 -- 5.91 1.37 5.91 Oct 12, 2022 Oct 12, 2022 F FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 2916.83 0.002501607400659799 2916.83 29 29 345397D26 US345397D260 -- 101.43 United States -- USD 1.87 6.21 1 Jun 10, 2026 6.95 1.91 -- 6.19 1.83 6.19 Jun 08, 2023 Jun 08, 2023 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2911.57 0.0024970961830271397 2911.57 31 31 40139LBC6 US40139LBC63 -- 92.79 United States -- USD 1.57 5.58 1 Dec 10, 2025 0.88 1.57 -- 5.58 1.57 5.58 Dec 10, 2020 Dec 10, 2020 MDLZ MONDELEZ INTERNATIONAL HOLDINGS NE 144A Consumer Non-Cyclical Fixed Income 2911.57 0.0024970961830271397 2911.57 30 30 60920LAS3 US60920LAS34 -- 98.02 United States -- USD 1.32 5.75 1 Sep 15, 2025 4.25 1.32 -- 5.75 1.32 5.75 Sep 15, 2022 Sep 15, 2022 GAIF GAIF BOND ISSUER PTY LTD 144A Reits Fixed Income 2909.82 0.0024955953026360458 2909.82 31 31 361435AA8 US361435AA82 BDCFT73 94.55 Australia -- USD 2.27 5.83 1 Sep 30, 2026 3.4 2.28 -- 5.83 2.28 5.83 Sep 30, 2016 Sep 30, 2016 MA MASTERCARD INC Technology Fixed Income 2908.07 0.0024940944222449518 2908.07 31 31 57636QAJ3 US57636QAJ31 BF51819 94.71 United States -- USD 3.47 5.03 1 Feb 26, 2028 3.5 3.51 -- 5.03 3.51 5.03 Feb 26, 2018 Feb 26, 2018 PGR PROGRESSIVE CORPORATION (THE) Insurance Fixed Income 2908.07 0.0024940944222449518 2908.07 31 31 743315AV5 US743315AV57 -- 94.67 United States -- USD 4.26 5.26 1 Mar 01, 2029 4 4.3 -- 5.26 4.3 5.26 Oct 23, 2018 Oct 23, 2018 ROK ROCKWELL AUTOMATION INC Capital Goods Fixed Income 2908.07 0.0024940944222449518 2908.07 31 31 773903AH2 US773903AH27 BJK31W0 93.06 United States -- USD 4.31 5.13 1 Mar 01, 2029 3.5 4.35 -- 5.13 4.35 5.13 Mar 01, 2019 Mar 01, 2019 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2906.32 0.0024925935418538578 2906.32 30 30 24422EXF1 US24422EXF14 -- 98.4 United States -- USD 2.48 5.14 1 Jan 08, 2027 4.5 2.48 -- 5.14 2.48 5.14 Jan 08, 2024 Jan 08, 2024 HPQ HP INC Technology Fixed Income 2904.57 0.0024910926614627638 2904.57 32 32 40434LAF2 US40434LAF22 -- 91.69 United States -- USD 2.05 5.62 1 Jun 17, 2026 1.45 2.05 -- 5.62 2.05 5.62 Dec 17, 2021 Jan 20, 2022 TSN TYSON FOODS INC Consumer Non-Cyclical Fixed Income 2904.57 0.0024910926614627638 2904.57 29 29 902494BL6 US902494BL61 -- 98.74 United States -- USD 4.2 5.7 1 Mar 15, 2029 5.4 4.21 -- 5.7 4.21 5.7 Mar 08, 2024 Mar 08, 2024 WBD WARNERMEDIA HOLDINGS INC Communications Fixed Income 2902.81 0.002489583204612292 2902.81 32 32 55903VBB8 US55903VBB80 BN6V4H2 91.46 United States -- USD 4.31 6.1 1 Mar 15, 2029 4.05 4.31 -- 6.1 4.31 6.1 Mar 15, 2023 Apr 28, 2023 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 2901.06 0.002488082324221198 2901.06 30 30 03027XAJ9 US03027XAJ90 BZ128L6 97.81 United States -- USD 1.66 5.69 1 Feb 15, 2026 4.4 1.69 -- 5.69 1.69 5.69 Jan 12, 2016 Jan 12, 2016 RSG REPUBLIC SERVICES INC Capital Goods Fixed Income 2899.31 0.002486581443830104 2899.31 30 30 760759AR1 US760759AR19 BYZCMG8 95.27 United States -- USD 2.04 5.22 1 Jul 01, 2026 2.9 2.06 -- 5.22 2.06 5.22 Jul 05, 2016 Jul 05, 2016 TENCNT TENCENT HOLDINGS LTD MTN 144A Technology Fixed Income 2899.31 0.002486581443830104 2899.31 30 30 88032WAM8 US88032WAM82 -- 96.45 China -- USD 1.85 5.51 1 Apr 11, 2026 3.58 1.86 -- 5.51 1.86 5.51 Apr 11, 2019 Apr 11, 2019 SITC SITE CENTERS CORP Reits Fixed Income 2897.56 0.00248508056343901 2897.56 30 30 23317HAF9 US23317HAF91 BYZ8KH3 97.87 United States -- USD 2.72 5.45 1 Jun 01, 2027 4.7 2.79 -- 5.45 2.79 5.45 May 26, 2017 May 26, 2017 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 2897.56 0.00248508056343901 2897.56 30 30 66815L2M0 US66815L2M02 -- 97.63 United States -- USD 3.63 5.55 1 Jun 12, 2028 4.9 3.62 -- 5.55 3.62 5.55 Jun 12, 2023 Jun 12, 2023 SRE SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 2895.81 0.002483579683047916 2895.81 31 31 797440BU7 US797440BU77 BD724F2 94.4 United States -- USD 1.93 5.42 1 May 15, 2026 2.5 1.94 -- 5.42 1.94 5.42 May 19, 2016 May 19, 2016 KALLPA CERRO DEL AGUILA SA 144A Electric Fixed Income 2894.06 0.002482078802656822 2894.06 31 31 156830AA9 US156830AA95 -- 94.43 Peru -- USD 2.99 6 1 Aug 16, 2027 4.13 3.01 -- 6 3.01 6 Aug 16, 2017 Aug 16, 2017 KZTGKZ KAZTRANSGAZ AO 144A Owned No Guarantee Fixed Income 2894.06 0.002482078802656822 2894.06 31 31 48668NAA9 US48668NAA90 BD35XN6 93.1 Kazakhstan -- USD 3.12 6.66 1 Sep 26, 2027 4.38 3.09 -- 6.66 3.09 6.66 Sep 26, 2017 Sep 26, 2017 TGT TARGET CORPORATION Consumer Cyclical Fixed Income 2894.06 0.002482078802656822 2894.06 31 31 87612EBH8 US87612EBH80 BJY5HG8 92.51 United States -- USD 4.45 5.1 1 Apr 15, 2029 3.38 4.48 -- 5.1 4.48 5.1 Mar 27, 2019 Mar 27, 2019 GULFNG GULFSTREAM NATURAL GAS SYSTEM LLC 144A Energy Fixed Income 2892.3 0.0024805693458063503 2892.3 30 30 402740AD6 US402740AD65 BYTX319 98 United States -- USD 1.29 6.12 1 Sep 15, 2025 4.6 1.31 -- 6.12 1.31 6.12 Sep 24, 2015 Sep 24, 2015 AXP AMERICAN EXPRESS COMPANY Banking Fixed Income 2890.55 0.0024790684654152563 2890.55 29 29 025816DP1 US025816DP17 -- 98.84 United States -- USD 2.57 5.7 1 Feb 16, 2028 5.1 2.55 -- 5.54 2.56 5.54 Feb 16, 2024 Feb 16, 2024 AMP AMERIPRISE FINANCIAL INC Brokerage/Asset Managers/Exchanges Fixed Income 2888.8 0.0024775675850241628 2888.8 31 31 03076CAH9 US03076CAH97 BYXYJQ5 94.25 United States -- USD 2.25 5.47 1 Sep 15, 2026 2.88 2.25 -- 5.47 2.25 5.47 Aug 11, 2016 Aug 11, 2016 MU MICRON TECHNOLOGY INC Technology Fixed Income 2888.8 0.0024775675850241628 2888.8 29 29 595112BM4 US595112BM49 -- 98.9 United States -- USD 1.61 5.63 1 Feb 06, 2026 4.97 1.66 -- 5.63 1.66 5.63 Feb 06, 2019 Feb 06, 2019 PRU PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 2887.05 0.0024760667046330688 2887.05 30 30 74432QCC7 US74432QCC78 BFNNX45 95.1 United States -- USD 3.52 5.28 1 Mar 27, 2028 3.88 3.56 -- 5.28 3.56 5.28 Mar 27, 2018 Mar 27, 2018 HYUCAP HYUNDAI CAPITAL SERVICES INC 144A Consumer Cyclical Fixed Income 2885.3 0.0024745658242419748 2885.3 31 31 44920UAT5 US44920UAT51 BLN8096 91.82 Korea (South) -- USD 2.59 5.76 1 Jan 24, 2027 2.5 2.58 -- 5.76 2.58 5.76 Jan 24, 2022 Jan 24, 2022 CNY CNY CASH Cash and/or Derivatives Cash 2884.3 0.0024737081783042067 2884.3 209 209 -- -- -- 13.8 China -- USD 0 0 7.24715 -- 0 0 -- 0 0 0 -- Dec 31, 1989 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 2883.54 0.002473056367391503 2883.54 29 29 21036PBN7 US21036PBN78 -- 98.83 United States -- USD 1.28 5.7 1 Feb 02, 2026 5 1.65 -- 5.7 1.65 5.7 Feb 02, 2023 Feb 02, 2023 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 2880.04 0.002470054606609315 2880.04 29 29 21688ABA9 US21688ABA97 -- 99.21 Netherlands -- USD 1.6 5.34 1 Jan 09, 2026 4.85 1.59 -- 5.34 1.59 5.34 Jan 09, 2024 Jan 09, 2024 D DOMINION ENERGY INC Electric Fixed Income 2880.04 0.002470054606609315 2880.04 31 31 25746UDJ5 US25746UDJ51 -- 92.29 United States -- USD 1.9 5.64 1 Apr 15, 2026 1.45 1.9 -- 5.64 1.9 5.64 Apr 05, 2021 Apr 05, 2021 WEC WEC ENERGY GROUP INC Electric Fixed Income 2878.29 0.002468553726218221 2878.29 29 29 92939UAJ5 US92939UAJ51 -- 98.89 United States -- USD 3.07 5.51 1 Oct 01, 2027 5.15 3.09 -- 5.51 3.09 5.51 Sep 27, 2022 Sep 27, 2022 EXPNLN EXPERIAN FINANCE PLC 144A Technology Fixed Income 2876.54 0.002467052845827127 2876.54 30 30 30217AAB9 US30217AAB98 -- 94.83 United Kingdom -- USD 4.16 5.5 1 Feb 01, 2029 4.25 4.19 -- 5.5 4.19 5.5 Jan 31, 2019 Jan 31, 2019 LUMN LUMEN TECHNOLOGIES INC 144A Communications Fixed Income 2874.19 0.002465037377873372 2874.19 87 87 156700BD7 US156700BD72 -- 33.13 United States -- USD 3.68 33.78 1 Jan 15, 2029 4.5 3.22 -- 33.78 3.22 33.78 Nov 27, 2020 Nov 27, 2020 EXC COMMONWEALTH EDISON COMPANY Electric Fixed Income 2873.03 0.0024640425085855613 2873.03 30 30 202795JH4 US202795JH45 BYMX9Q3 94.55 United States -- USD 2.01 5.28 1 Jun 15, 2026 2.55 2.02 -- 5.28 2.02 5.28 Jun 27, 2016 Jun 27, 2016 JCI JOHNSON CONTROLS INTERNATIONAL PLC Capital Goods Fixed Income 2871.28 0.0024625416281944673 2871.28 30 30 478375AR9 US478375AR95 BDH2HM0 97.05 United States -- USD 1.68 5.64 1 Feb 14, 2026 3.9 1.7 -- 5.64 1.7 5.64 Aug 14, 2016 Dec 28, 2016 TOYOTA TOYOTA MOTOR CORPORATION Consumer Cyclical Fixed Income 2871.28 0.0024625416281944673 2871.28 29 29 892331AP4 US892331AP43 -- 100.03 Japan -- USD 2 5.26 1 Jul 13, 2026 5.28 2.04 -- 5.26 2.04 5.26 Jul 13, 2023 Jul 13, 2023 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2869.53 0.0024610407478033733 2869.53 29 29 40139LBG7 US40139LBG77 -- 100.67 United States -- USD 3.08 5.34 1 Oct 28, 2027 5.55 3.07 -- 5.34 3.07 5.34 Oct 28, 2022 Oct 28, 2022 CELARA CELULOSA ARAUCO Y CONSTITUCION SA Basic Industry Fixed Income 2867.78 0.0024595398674122793 2867.78 31 31 151191BB8 US151191BB89 BG88VF9 93 Chile -- USD 3.15 6.12 1 Nov 02, 2027 3.88 3.15 -- 6.12 3.15 6.12 May 02, 2018 Jun 11, 2018 MCK MCKESSON CORP Consumer Non-Cyclical Fixed Income 2866.03 0.0024580389870211853 2866.03 29 29 581557BT1 US581557BT10 -- 98.44 United States -- USD 3.7 5.32 1 Jul 15, 2028 4.9 3.71 -- 5.32 3.71 5.32 Jun 15, 2023 Jun 15, 2023 NUE NUCOR CORPORATION Basic Industry Fixed Income 2866.03 0.0024580389870211853 2866.03 30 30 670346AR6 US670346AR69 BL6D1B7 96.39 United States -- USD 1.06 5.43 1 Jun 01, 2025 2 1.06 -- 5.43 1.06 5.43 May 22, 2020 May 22, 2020 EXR EXTRA SPACE STORAGE LP Reits Fixed Income 2864.27 0.002456529530170714 2864.27 30 30 30225VAL1 US30225VAL18 BS3BHY8 95.59 United States -- USD 2.02 5.67 1 Jul 01, 2026 3.5 2.04 -- 5.67 2.04 5.67 Jul 01, 2023 Jul 25, 2023 CAG CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 2860.77 0.002453527769388526 2860.77 29 29 205887CJ9 US205887CJ91 -- 99.3 United States -- USD 2.25 5.61 1 Oct 01, 2026 5.3 2.24 -- 5.61 2.24 5.61 Jul 31, 2023 Jul 31, 2023 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 2859.02 0.002452026888997432 2859.02 30 30 74256LEE5 US74256LEE56 -- 95.18 United States -- USD 1.12 5.59 1 Jun 23, 2025 1.25 1.12 -- 5.59 1.12 5.59 Jun 23, 2020 Jun 23, 2020 HUM HUMANA INC Insurance Fixed Income 2855.51 0.0024490165517558663 2855.51 31 31 444859BT8 US444859BT81 -- 92.04 United States -- USD 4.38 5.57 1 Mar 23, 2029 3.7 4.38 -- 5.57 4.38 5.57 Mar 23, 2022 Mar 23, 2022 WEC WEC ENERGY GROUP INC Electric Fixed Income 2855.51 0.0024490165517558663 2855.51 33 33 92939UAG1 US92939UAG13 -- 86.81 United States -- USD 4.27 5.46 1 Dec 15, 2028 2.2 4.26 -- 5.46 4.26 5.46 Dec 13, 2021 Dec 13, 2021 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 2853.76 0.0024475156713647723 2853.76 29 29 59217GFB0 US59217GFB05 -- 96.81 United States -- USD 2.89 5.5 1 Jun 30, 2027 4.4 2.88 -- 5.5 2.88 5.5 Jun 30, 2022 Jun 30, 2022 WAIR WOLVERINE ESCROW LLC 144A Capital Goods Fixed Income 2848.65 0.002443133100622778 2848.65 218 218 97789LAB2 US97789LAB27 BJXCLY6 13.05 United States -- USD 0 -- 1 Nov 15, 2026 9 0 -- -- 0 -- Nov 27, 2019 Nov 27, 2019 ADVHEA ADVOCATE HEALTH AND HOSPITALS CORP Consumer Non-Cyclical Fixed Income 2848.51 0.0024430130301914903 2848.51 30 30 007589AA2 US007589AA28 BHZQ089 94.3 United States -- USD 3.83 5.33 1 Aug 15, 2028 3.83 3.87 -- 5.33 3.87 5.33 Aug 16, 2018 Aug 16, 2018 AMH AMERICAN HOMES 4 RENT LP Reits Fixed Income 2848.51 0.0024430130301914903 2848.51 30 30 02666TAA5 US02666TAA51 BG12X96 94.46 United States -- USD 3.39 5.89 1 Feb 15, 2028 4.25 3.42 -- 5.89 3.42 5.89 Feb 07, 2018 Feb 07, 2018 ENIIM ENI SPA 144A Energy Fixed Income 2848.51 0.0024430130301914903 2848.51 29 29 26874RAE8 US26874RAE80 BGJNPX9 97.04 Italy -- USD 3.89 5.52 1 Sep 12, 2028 4.75 3.87 -- 5.52 3.87 5.52 Sep 12, 2018 Sep 12, 2018 ETR ENTERGY LOUISIANA LLC Electric Fixed Income 2848.51 0.0024430130301914903 2848.51 31 31 29364WAW8 US29364WAW82 BDFXRD6 92.4 United States -- USD 3.59 5.42 1 Apr 01, 2028 3.25 3.61 -- 5.42 3.61 5.42 Mar 24, 2016 Mar 24, 2016 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 2846.76 0.0024415121498003963 2846.76 29 29 55608PBM5 US55608PBM59 -- 99.36 Australia -- USD 1.97 5.52 1 Jun 15, 2026 5.21 1.96 -- 5.52 1.96 5.52 Jun 15, 2023 Jun 15, 2023 TRTN TRITON CONTAINER INTERNATIONAL LTD 144A Transportation Fixed Income 2846.76 0.0024415121498003963 2846.76 31 31 89680YAA3 US89680YAA38 -- 92.35 Bermuda -- USD 1.89 6.23 1 Apr 15, 2026 2.05 1.88 -- 6.23 1.88 6.23 Apr 15, 2021 Apr 15, 2021 XEL XCEL ENERGY INC Electric Fixed Income 2846.76 0.0024415121498003963 2846.76 30 30 98389BAU4 US98389BAU44 BYW4D97 94.56 United States -- USD 2.37 5.63 1 Dec 01, 2026 3.35 2.41 -- 5.63 2.41 5.63 Dec 01, 2016 Dec 01, 2016 INTU INTUIT INC. Technology Fixed Income 2843.25 0.0024385018125588306 2843.25 30 30 46124HAB2 US46124HAB24 -- 94.66 United States -- USD 1.18 5.53 1 Jul 15, 2025 0.95 1.18 -- 5.53 1.18 5.53 Jun 29, 2020 Jun 29, 2020 KORELE KOREA ELECTRIC POWER CORP MTN 144A Owned No Guarantee Fixed Income 2843.25 0.0024385018125588306 2843.25 30 30 500631AU0 US500631AU00 BMHKYZ9 95.05 Korea (South) -- USD 1.1 5.68 1 Jun 15, 2025 1.13 1.1 -- 5.68 1.1 5.68 Jun 15, 2020 Jun 15, 2020 ASBBNK ASB BANK LTD MTN 144A Banking Fixed Income 2841.5 0.0024370009321677366 2841.5 29 29 00216LAF0 US00216LAF04 -- 99.44 New Zealand -- USD 3.17 5.57 1 Nov 29, 2027 5.4 3.16 -- 5.57 3.16 5.57 Nov 29, 2022 Nov 29, 2022 CBAAU COMMONWEALTH BANK OF AUSTRALIA 144A Banking Fixed Income 2841.5 0.0024370009321677366 2841.5 30 30 2027A0JT7 US2027A0JT79 BDZSB06 93.3 Australia -- USD 3.16 5.33 1 Sep 19, 2027 3.15 3.15 -- 5.33 3.15 5.33 Sep 19, 2017 Sep 19, 2017 LMT LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 2841.5 0.0024370009321677366 2841.5 29 29 539830BU2 US539830BU22 -- 99.57 United States -- USD 1.36 5.26 1 Oct 15, 2025 4.95 1.4 -- 5.26 1.4 5.26 Oct 24, 2022 Oct 24, 2022 DTRGR DAIMLER TRUCK FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 2839.75 0.0024355000517766426 2839.75 29 29 233853AQ3 US233853AQ39 -- 98.56 Germany -- USD 3.32 5.55 1 Jan 19, 2028 5.13 3.31 -- 5.55 3.31 5.55 Jan 19, 2023 Jan 19, 2023 BRKHEC SIERRA PACIFIC POWER COMPANY Electric Fixed Income 2839.75 0.0024355000517766426 2839.75 30 30 826418BM6 US826418BM64 BYM95K7 94.65 United States -- USD 1.89 5.44 1 May 01, 2026 2.6 1.9 -- 5.44 1.9 5.44 Apr 15, 2016 Oct 14, 2016 SWKS SKYWORKS SOLUTIONS INC. Technology Fixed Income 2839.75 0.0024355000517766426 2839.75 31 31 83088MAK8 US83088MAK80 -- 92.25 United States -- USD 2 5.77 1 Jun 01, 2026 1.8 2 -- 5.77 2 5.77 May 26, 2021 May 26, 2021 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 2838 0.0024339991713855486 2838 29 29 06406HCQ0 US06406HCQ02 BGKDMV5 97.73 United States -- USD 1.46 5.48 1 Nov 18, 2025 3.95 1.47 -- 5.48 1.47 5.48 Nov 18, 2013 Nov 18, 2013 ITC ITC HOLDINGS CORP Electric Fixed Income 2834.49 0.0024309888341439833 2834.49 30 30 465685AK1 US465685AK11 BD420B3 95.32 United States -- USD 2.03 5.55 1 Jun 30, 2026 3.25 2.04 -- 5.55 2.04 5.55 Jul 05, 2016 Jul 05, 2016 LGCHM LG CHEM LTD 144A Basic Industry Fixed Income 2834.49 0.0024309888341439833 2834.49 31 31 501955AC2 US501955AC24 -- 90.94 Korea (South) -- USD 2.11 5.82 1 Jul 07, 2026 1.38 2.1 -- 5.82 2.1 5.82 Jul 07, 2021 Jul 07, 2021 SLB SCHLUMBERGER FINANCE CANADA LTD Energy Fixed Income 2832.74 0.0024294879537528893 2832.74 30 30 80685XAC5 US80685XAC56 -- 94.67 United States -- USD 1.35 5.42 1 Sep 17, 2025 1.4 1.35 -- 5.42 1.35 5.42 Sep 18, 2020 Sep 18, 2020 KORGAS KOREA GAS CORPORATION MTN 144A Owned No Guarantee Fixed Income 2830.99 0.0024279870733617953 2830.99 30 30 50066AAT0 US50066AAT07 -- 95.52 Korea (South) -- USD 2.94 5.41 1 Jul 13, 2027 3.88 2.94 -- 5.41 2.94 5.41 Jul 13, 2022 Jul 13, 2022 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 2830.99 0.0024279870733617953 2830.99 29 29 571903BL6 US571903BL69 -- 97.2 United States -- USD 4.33 5.55 1 Apr 15, 2029 4.9 4.34 -- 5.55 4.34 5.55 Mar 27, 2023 Mar 27, 2023 NXPI NXP BV Technology Fixed Income 2830.99 0.0024279870733617953 2830.99 28 28 62947QBB3 US62947QBB32 -- 99.48 United States -- USD 1.65 5.65 1 Mar 01, 2026 5.35 1.72 -- 5.65 1.72 5.65 Mar 01, 2022 May 16, 2022 WPROIN WIPRO IT SERVICES LLC 144A Technology Fixed Income 2830.99 0.0024279870733617953 2830.99 31 31 97654MAA4 US97654MAA45 -- 91.75 India -- USD 2.07 5.61 1 Jun 23, 2026 1.5 2.06 -- 5.61 2.06 5.61 Jun 23, 2021 Jun 23, 2021 FMC FMC CORPORATION Basic Industry Fixed Income 2829.24 0.0024264861929707013 2829.24 29 29 302491AW5 US302491AW57 -- 98.8 United States -- USD 1.86 5.78 1 May 18, 2026 5.15 1.89 -- 5.78 1.89 5.78 May 18, 2023 May 18, 2023 OXY OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 2829.24 0.0024264861929707013 2829.24 28 28 674599EE1 US674599EE17 -- 99.49 United States -- USD 1.38 5.83 1 Dec 01, 2025 5.5 1.48 -- 5.83 1.48 5.83 Dec 22, 2020 Dec 22, 2020 SWK STANLEY BLACK & DECKER INC Capital Goods Fixed Income 2829.24 0.0024264861929707013 2829.24 29 29 854502AK7 US854502AK74 BJLV1C3 96.07 United States -- USD 1.74 5.67 1 Mar 01, 2026 3.4 1.75 -- 5.67 1.75 5.67 Mar 01, 2019 Mar 01, 2019 CSCO CISCO SYSTEMS INC Technology Fixed Income 2825.73 0.0024234758557291356 2825.73 29 29 17275RAW2 US17275RAW25 BZ0XSL0 98.02 United States -- USD 1.09 5.31 1 Jun 15, 2025 3.5 1.08 -- 5.31 1.08 5.31 Jun 17, 2015 Jun 17, 2015 WM WASTE MANAGEMENT INC Capital Goods Fixed Income 2825.73 0.0024234758557291356 2825.73 30 30 94106LBL2 US94106LBL27 -- 93.15 United States -- USD 1.51 5.4 1 Nov 15, 2025 0.75 1.5 -- 5.4 1.5 5.4 Nov 17, 2020 Nov 17, 2020 APO APOLLO MANAGEMENT HOLDINGS LP 144A Brokerage/Asset Managers/Exchanges Fixed Income 2822.23 0.0024204740949469476 2822.23 29 29 03765HAB7 US03765HAB78 BDB4ZC8 97.25 United States -- USD 1.88 5.81 1 May 27, 2026 4.4 1.93 -- 5.81 1.93 5.81 May 27, 2016 May 27, 2016 FG F&G ANNUITIES & LIFE INC Insurance Fixed Income 2822.23 0.0024204740949469476 2822.23 28 28 30190AAC8 US30190AAC80 2KQ7Q38 102.52 United States -- USD 3.15 6.62 1 Jan 13, 2028 7.4 3.15 -- 6.6 3.09 6.6 Jul 13, 2023 Sep 19, 2023 MCK MCKESSON CORP Consumer Non-Cyclical Fixed Income 2822.23 0.0024204740949469476 2822.23 30 30 581557BQ7 US581557BQ70 -- 92.96 United States -- USD 1.55 5.54 1 Dec 03, 2025 0.9 1.55 -- 5.54 1.55 5.54 Dec 03, 2020 Dec 03, 2020 HII HUNTINGTON INGALLS INDUSTRIES INC Capital Goods Fixed Income 2820.48 0.0024189732145558536 2820.48 33 33 446413AZ9 US446413AZ96 BMZ3QW1 86.05 United States -- USD 4.01 5.74 1 Aug 16, 2028 2.04 4 -- 5.74 4 5.74 Feb 16, 2022 Jun 21, 2022 LHX L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 2818.73 0.0024174723341647596 2818.73 29 29 502431AL3 US502431AL33 -- 95.95 United States -- USD 2.39 5.52 1 Dec 15, 2026 3.85 2.43 -- 5.52 2.43 5.52 Dec 15, 2019 May 01, 2020 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 2818.73 0.0024174723341647596 2818.73 28 28 63743HFF4 US63743HFF47 -- 99.88 United States -- USD 1.4 5.53 1 Oct 30, 2025 5.45 1.4 -- 5.53 1.4 5.53 Oct 31, 2022 Oct 31, 2022 AHTLN ASHTEAD CAPITAL INC 144A Capital Goods Fixed Income 2816.97 0.002415962877314288 2816.97 31 31 045054AN3 US045054AN37 -- 90.67 United Kingdom -- USD 2.2 5.9 1 Aug 12, 2026 1.5 2.19 -- 5.9 2.19 5.9 Aug 12, 2021 Aug 12, 2021 WPLAU WOODSIDE FINANCE LTD 144A Energy Fixed Income 2816.97 0.002415962877314288 2816.97 30 30 980236AQ6 US980236AQ66 BJ4T5C2 94.7 Australia -- USD 4.22 5.76 1 Mar 04, 2029 4.5 4.25 -- 5.76 4.25 5.76 Mar 04, 2019 Mar 04, 2019 DVN DEVON ENERGY CORPORATION Energy Fixed Income 2815.22 0.002414461996923194 2815.22 28 28 25179MBD4 US25179MBD48 -- 98.8 United States -- USD 2.1 5.63 1 Oct 15, 2027 5.25 3.12 -- 5.63 3.12 5.63 Oct 15, 2021 Dec 29, 2021 EQR ERP OPERATING LP Reits Fixed Income 2815.22 0.002414461996923194 2815.22 30 30 26884ABJ1 US26884ABJ16 BDT7DM5 93.39 United States -- USD 3.48 5.42 1 Mar 01, 2028 3.5 3.51 -- 5.42 3.51 5.42 Feb 07, 2018 Feb 07, 2018 LYB LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 2813.47 0.0024129611165321 2813.47 30 30 50249AAF0 US50249AAF03 -- 93.72 United States -- USD 1.39 5.88 1 Oct 01, 2025 1.25 1.38 -- 5.88 1.38 5.88 Oct 08, 2020 Oct 08, 2020 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 2811.72 0.002411460236141006 2811.72 29 29 00774MAL9 US00774MAL90 BK15Z86 97.7 Ireland -- USD 1.8 5.72 1 Apr 03, 2026 4.45 1.82 -- 5.72 1.82 5.72 Apr 03, 2019 Apr 03, 2019 VITRRA VITERRA FINANCE BV 144A Consumer Non-Cyclical Fixed Income 2808.21 0.0024084498988994406 2808.21 29 29 92852LAC3 US92852LAC37 -- 97.35 Netherlands -- USD 2.72 5.88 1 Apr 21, 2027 4.9 2.73 -- 5.88 2.73 5.88 Apr 21, 2022 Apr 21, 2022 BXSL BLACKSTONE SECURED LENDING FUND Finance Companies Fixed Income 2806.46 0.0024069490185083466 2806.46 32 32 09261XAG7 US09261XAG79 -- 86.68 United States -- USD 4.07 6.34 1 Sep 30, 2028 2.85 4.03 -- 6.34 4.03 6.34 Mar 30, 2022 Jun 28, 2022 DUK DUKE ENERGY CORP Electric Fixed Income 2802.96 0.0024039472577261586 2802.96 28 28 26441CBV6 US26441CBV63 -- 99.16 United States -- USD 1.51 5.55 1 Dec 08, 2025 5 1.51 -- 5.55 1.51 5.55 Dec 08, 2022 Dec 08, 2022 WMB NORTHWEST PIPELINE LLC Energy Fixed Income 2802.96 0.0024039472577261586 2802.96 29 29 66775VAB1 US66775VAB18 BF42B58 96 United States -- USD 2.67 5.49 1 Apr 01, 2027 4 2.71 -- 5.49 2.71 5.49 Oct 01, 2017 Feb 28, 2018 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2801.21 0.0024024463773350646 2801.21 30 30 24422EUU1 US24422EUU18 BJJTN12 92.73 United States -- USD 4.38 5.16 1 Mar 07, 2029 3.45 4.37 -- 5.16 4.37 5.16 Mar 07, 2019 Mar 07, 2019 KORELE KOREA ELECTRIC POWER CORP MTN 144A Owned No Guarantee Fixed Income 2799.46 0.0024009454969439706 2799.46 29 29 500631AV8 US500631AV82 -- 97.77 Korea (South) -- USD 1.09 5.68 1 Jun 14, 2025 3.63 1.08 -- 5.68 1.08 5.68 Jun 14, 2022 Jun 14, 2022 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 2799.46 0.0024009454969439706 2799.46 28 28 65535HBF5 US65535HBF55 -- 99.27 Japan -- USD 2.86 5.64 1 Jul 06, 2027 5.39 2.85 -- 5.64 2.85 5.64 Jul 06, 2022 Jul 06, 2022 RECLIN REC LIMITED MTN 144A Owned No Guarantee Fixed Income 2799.46 0.0024009454969439706 2799.46 28 28 74947LAD6 US74947LAD64 -- 99.02 India -- USD 3.51 5.91 1 Apr 11, 2028 5.63 3.49 -- 5.91 3.49 5.91 Apr 11, 2023 Apr 11, 2023 CCI CROWN CASTLE INC Communications Fixed Income 2797.7 0.002399436040093499 2797.7 29 29 22822VAE1 US22822VAE11 BYP2P36 95.72 United States -- USD 2.59 5.64 1 Mar 01, 2027 4 2.63 -- 5.64 2.63 5.64 Feb 02, 2017 Feb 02, 2017 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2797.7 0.002399436040093499 2797.7 30 30 74368CBC7 US74368CBC73 -- 92.6 United States -- USD 1.9 5.63 1 Apr 15, 2026 1.62 1.89 -- 5.63 1.89 5.63 Apr 12, 2021 Apr 12, 2021 SO SOUTHERN COMPANY (THE) Electric Fixed Income 2797.7 0.002399436040093499 2797.7 28 28 842587DM6 US842587DM64 -- 99.37 United States -- USD 1.37 5.61 1 Oct 06, 2025 5.15 1.37 -- 5.61 1.37 5.61 Oct 06, 2022 Oct 06, 2022 MO ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 2795.95 0.002397935159702405 2795.95 30 30 02209SAU7 US02209SAU78 BD8G4R5 93.79 United States -- USD 2.26 5.43 1 Sep 16, 2026 2.63 2.26 -- 5.43 2.26 5.43 Sep 16, 2016 Sep 16, 2016 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 2794.2 0.002396434279311311 2794.2 29 29 57629W5B2 US57629W5B21 -- 97.58 United States -- USD 4.13 5.43 1 Jan 17, 2029 4.85 4.11 -- 5.43 4.11 5.43 Jan 17, 2024 Jan 17, 2024 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 2790.7 0.002393432518529123 2790.7 28 28 21036PBB3 US21036PBB31 BGL8WS6 98.08 United States -- USD 1.43 5.71 1 Nov 15, 2025 4.4 1.45 -- 5.71 1.45 5.71 Oct 29, 2018 Oct 29, 2018 SBUX STARBUCKS CORPORATION Consumer Cyclical Fixed Income 2790.7 0.002393432518529123 2790.7 31 31 855244AV1 US855244AV14 -- 91.25 United States -- USD 2.73 5.32 1 Mar 12, 2027 2 2.73 -- 5.32 2.73 5.32 Mar 12, 2020 Mar 12, 2020 CITADL CITADEL FINANCE LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 2788.94 0.002391923061678651 2788.94 30 30 17287HAA8 US17287HAA86 -- 93.61 United States -- USD 1.77 7.08 1 Mar 09, 2026 3.38 1.76 -- 7.08 1.76 7.08 Mar 08, 2021 Mar 08, 2021 CL COLGATE-PALMOLIVE CO Consumer Non-Cyclical Fixed Income 2788.94 0.002391923061678651 2788.94 30 30 194162AN3 US194162AN32 -- 94.45 United States -- USD 3.06 4.94 1 Aug 15, 2027 3.1 3.07 -- 4.94 3.07 4.94 Aug 09, 2022 Aug 09, 2022 MIZUHO MIZUHO FINANCIAL GROUP INC 144A Banking Fixed Income 2788.94 0.002391923061678651 2788.94 29 29 60687YAA7 US60687YAA73 BYZTVJ5 97.72 Japan -- USD 1.42 5.98 1 Oct 20, 2025 4.35 1.41 -- 5.98 1.41 5.98 Oct 20, 2015 Oct 20, 2015 PGR PROGRESSIVE CORPORATION (THE) Insurance Fixed Income 2788.94 0.002391923061678651 2788.94 30 30 743315AR4 US743315AR46 BDGKS44 92.94 United States -- USD 2.57 5.27 1 Jan 15, 2027 2.45 2.56 -- 5.27 2.56 5.27 Aug 25, 2016 Aug 25, 2016 CARGIL CARGILL INC 144A Consumer Non-Cyclical Fixed Income 2787.19 0.002390422181287557 2787.19 29 29 141781BV5 US141781BV58 -- 95.5 United States -- USD 2.77 5.27 1 Apr 22, 2027 3.63 2.78 -- 5.27 2.78 5.27 Apr 22, 2022 Apr 22, 2022 WEC WEC ENERGY GROUP INC Electric Fixed Income 2785.44 0.002388921300896463 2785.44 28 28 92939UAH9 US92939UAH95 -- 99.09 United States -- USD 1.34 5.67 1 Sep 27, 2025 5 1.35 -- 5.67 1.35 5.67 Sep 27, 2022 Sep 27, 2022 EL ESTEE LAUDER COMPANIES INC. (THE) Consumer Non-Cyclical Fixed Income 2783.69 0.0023874204205053696 2783.69 29 29 29736RAJ9 US29736RAJ95 BYNHPN3 94.65 United States -- USD 2.67 5.16 1 Mar 15, 2027 3.15 2.7 -- 5.16 2.7 5.16 Feb 09, 2017 Feb 09, 2017 FRT FEDERAL REALTY OP LP Reits Fixed Income 2783.69 0.0023874204205053696 2783.69 28 28 313747BC0 US313747BC00 -- 98.69 United States -- USD 3.46 5.75 1 May 01, 2028 5.38 3.47 -- 5.75 3.47 5.75 Apr 12, 2023 Apr 12, 2023 NIPLIF NIPPON LIFE INSURANCE CO 144A Insurance Fixed Income 2783.69 0.0023874204205053696 2783.69 30 30 654579AF8 US654579AF81 BF16788 93.51 Japan -- USD 3.04 7.25 1 Sep 19, 2047 4 3 -- 6.14 3.1 6.14 Sep 19, 2017 Sep 19, 2017 SJM J M SMUCKER CO Consumer Non-Cyclical Fixed Income 2783.69 0.0023874204205053696 2783.69 30 30 832696AR9 US832696AR95 BF1Q658 93.53 United States -- USD 3.29 5.35 1 Dec 15, 2027 3.38 3.32 -- 5.35 3.32 5.35 Dec 07, 2017 Dec 07, 2017 INGR INGREDION INC Consumer Non-Cyclical Fixed Income 2781.94 0.0023859195401142756 2781.94 29 29 457187AB8 US457187AB87 BZC0DX6 94.69 United States -- USD 2.28 5.56 1 Oct 01, 2026 3.2 2.29 -- 5.56 2.29 5.56 Sep 22, 2016 Sep 22, 2016 SWFP SODEXO INC 144A Consumer Non-Cyclical Fixed Income 2780.18 0.002384410083263804 2780.18 30 30 833794AA8 US833794AA85 -- 92.36 France -- USD 1.9 5.78 1 Apr 16, 2026 1.63 1.89 -- 5.78 1.89 5.78 Apr 16, 2021 Apr 16, 2021 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 2776.68 0.002381408322481616 2776.68 28 28 89236TKZ7 US89236TKZ74 -- 100.34 United States -- USD 1.3 5.33 1 Sep 11, 2025 5.6 1.3 -- 5.33 1.3 5.33 Sep 11, 2023 Sep 11, 2023 PARA PARAMOUNT GLOBAL Communications Fixed Income 2774.93 0.002379907442090522 2774.93 31 31 124857AX1 US124857AX11 BJ12BT3 88.9 United States -- USD 3.66 6.85 1 Jun 01, 2028 3.7 3.64 -- 6.85 3.64 6.85 Dec 01, 2018 Dec 12, 2018 HUBB HUBBELL INCORPORATED Capital Goods Fixed Income 2771.43 0.002376905681308334 2771.43 30 30 443510AJ1 US443510AJ12 BFX72D9 93.36 United States -- USD 3.45 5.45 1 Feb 15, 2028 3.5 3.47 -- 5.45 3.47 5.45 Feb 02, 2018 Feb 02, 2018 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 2771.43 0.002376905681308334 2771.43 29 29 641062BB9 US641062BB93 -- 96.68 Switzerland -- USD 3.13 5.19 1 Oct 01, 2027 4.13 3.14 -- 5.19 3.14 5.19 Sep 13, 2022 Sep 13, 2022 VLO VALERO ENERGY PARTNERS LP Energy Fixed Income 2771.43 0.002376905681308334 2771.43 29 29 91914JAB8 US91914JAB89 BG33JS8 96.43 United States -- USD 3.44 5.53 1 Mar 15, 2028 4.5 3.49 -- 5.53 3.49 5.53 Mar 29, 2018 Mar 29, 2018 NUE NUCOR CORPORATION Basic Industry Fixed Income 2769.67 0.002375396224457862 2769.67 28 28 670346AX3 US670346AX38 -- 98.18 United States -- USD 1.02 5.71 1 May 23, 2025 3.95 1.02 -- 5.71 1.02 5.71 May 23, 2022 May 23, 2022 NTT NTT FINANCE CORP 144A Communications Fixed Income 2767.92 0.002373895344066768 2767.92 29 29 62954WAK1 US62954WAK18 -- 96.95 Japan -- USD 2.94 5.4 1 Jul 27, 2027 4.37 2.95 -- 5.4 2.95 5.4 Jul 27, 2022 Jul 27, 2022 ECL ECOLAB INC Basic Industry Fixed Income 2766.17 0.002372394463675674 2766.17 30 30 278865BD1 US278865BD18 BYX31L1 93.64 United States -- USD 3.26 5.21 1 Dec 01, 2027 3.25 3.29 -- 5.21 3.29 5.21 Nov 27, 2017 Apr 17, 2018 FCX FREEPORT-MCMORAN INC Basic Industry Fixed Income 2766.17 0.002372394463675674 2766.17 29 29 35671DCE3 US35671DCE31 -- 93.88 United States -- USD 3.17 5.92 1 Mar 01, 2028 4.13 3.46 -- 5.92 3.46 5.92 Mar 04, 2020 Mar 04, 2020 WBD DISCOVERY COMMUNICATIONS LLC Communications Fixed Income 2762.67 0.002369392702893486 2762.67 28 28 25470DBE8 US25470DBE85 -- 97.74 United States -- USD 1.08 6.03 1 Jun 15, 2025 3.95 1.08 -- 6.03 1.08 6.03 Dec 15, 2018 Apr 02, 2019 ALCSW ALCON FINANCE CORP 144A Consumer Non-Cyclical Fixed Income 2762.67 0.002369392702893486 2762.67 29 29 01400EAA1 US01400EAA10 -- 93.66 Switzerland -- USD 2.28 5.6 1 Sep 23, 2026 2.75 2.28 -- 5.6 2.28 5.6 Sep 23, 2019 Sep 23, 2019 MAA MID-AMERICA APARTMENTS LP Reits Fixed Income 2760.91 0.0023678832460430144 2760.91 29 29 59523UAN7 US59523UAN72 BDGKT30 95.01 United States -- USD 2.8 5.37 1 Jun 01, 2027 3.6 2.84 -- 5.37 2.84 5.37 May 09, 2017 May 09, 2017 CONOPC CONOPCO INC Consumer Non-Cyclical Fixed Income 2759.16 0.002366382365651921 2759.16 26 26 126149AD5 US126149AD59 2696504 105.02 United States -- USD 2.34 5.19 1 Dec 15, 2026 7.25 2.34 -- 5.19 2.34 5.19 Dec 18, 1996 Dec 18, 1996 MET MET TOWER GLOBAL FUNDING MTN 144A Insurance Fixed Income 2759.16 0.002366382365651921 2759.16 28 28 58989V2H6 US58989V2H68 -- 98.84 United States -- USD 4.32 5.52 1 Apr 12, 2029 5.25 4.3 -- 5.52 4.3 5.52 Apr 12, 2024 Apr 12, 2024 WFC WACHOVIA CORPORATION Banking Fixed Income 2757.41 0.002364881485260827 2757.41 27 27 337358BH7 US337358BH79 2664062 103.46 United States -- USD 2.05 5.91 1 Aug 01, 2026 7.57 2.03 -- 5.91 2.03 5.91 Aug 01, 1996 Aug 07, 1996 HSY HERSHEY COMPANY THE Consumer Non-Cyclical Fixed Income 2757.41 0.002364881485260827 2757.41 29 29 427866AX6 US427866AX66 BYYGSG3 93.69 United States -- USD 2.19 5.24 1 Aug 15, 2026 2.3 2.19 -- 5.24 2.19 5.24 Aug 09, 2016 Aug 09, 2016 FE MONONGAHELA POWER COMPANY 144A Electric Fixed Income 2757.41 0.002364881485260827 2757.41 29 29 610202BR3 US610202BR34 BF35NP2 94.39 United States -- USD 2.77 5.57 1 May 15, 2027 3.55 2.79 -- 5.57 2.79 5.57 May 16, 2017 May 16, 2017 XYL XYLEM INC/NY Capital Goods Fixed Income 2757.41 0.002364881485260827 2757.41 29 29 98419MAJ9 US98419MAJ99 BYQ3L30 94.76 United States -- USD 2.32 5.51 1 Nov 01, 2026 3.25 2.33 -- 5.51 2.33 5.51 Oct 11, 2016 Oct 11, 2016 TCLAU TRANSURBAN FINANCE COMPANY PTY LTD 144A Transportation Fixed Income 2755.66 0.002363380604869733 2755.66 28 28 89400PAE3 US89400PAE34 BYSRLN0 97.03 Australia -- USD 1.64 5.91 1 Feb 02, 2026 4.13 1.66 -- 5.91 1.66 5.91 Nov 02, 2015 Nov 02, 2015 JXN JACKSON NATIONAL LIFE GLOBAL FUNDI MTN 144A Insurance Fixed Income 2753.91 0.002361879724478639 2753.91 28 28 46849LUX7 US46849LUX71 -- 99.06 United States -- USD 1.59 6.08 1 Jan 09, 2026 5.5 1.58 -- 6.08 1.58 6.08 Jan 09, 2023 Jan 09, 2023 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 2753.91 0.002361879724478639 2753.91 28 28 66815L2Q1 US66815L2Q16 -- 97.17 United States -- USD 4.12 5.4 1 Jan 10, 2029 4.71 4.1 -- 5.4 4.1 5.4 Jan 10, 2024 Jan 10, 2024 DUK DUKE ENERGY PROGRESS INC Electric Fixed Income 2752.16 0.002360378844087545 2752.16 28 28 26442UAA2 US26442UAA25 BYT32V2 97.29 United States -- USD 1.24 5.42 1 Aug 15, 2025 3.25 1.25 -- 5.42 1.25 5.42 Aug 13, 2015 Aug 13, 2015 BKH BLACK HILLS CORPORATION Electric Fixed Income 2750.4 0.002358869387237073 2750.4 27 27 092113AV1 US092113AV12 -- 101.51 United States -- USD 3.39 5.51 1 Mar 15, 2028 5.95 3.42 -- 5.51 3.35 5.51 Mar 07, 2023 Mar 07, 2023 EXR EXTRA SPACE STORAGE LP Reits Fixed Income 2750.4 0.002358869387237073 2750.4 28 28 30225VAJ6 US30225VAJ61 -- 99.86 United States -- USD 3.46 5.74 1 Apr 01, 2028 5.7 3.47 -- 5.74 3.47 5.74 Mar 28, 2023 Mar 28, 2023 CITNAT KOOKMIN BANK MTN 144A Banking Fixed Income 2750.4 0.002358869387237073 2750.4 28 28 50050GAU2 US50050GAU22 -- 97.25 Korea (South) -- USD 3.6 5.4 1 Apr 21, 2028 4.63 3.58 -- 5.4 3.58 5.4 Apr 21, 2023 Apr 21, 2023 MARS MARS INC 144A Consumer Non-Cyclical Fixed Income 2750.4 0.002358869387237073 2750.4 30 30 571676AJ4 US571676AJ44 -- 90.67 United States -- USD 2.15 5.38 1 Jul 16, 2026 0.88 2.14 -- 5.38 2.14 5.38 Jul 16, 2020 Jul 16, 2020 BPCEGP BPCE SA MTN Banking Fixed Income 2748.65 0.002357368506845979 2748.65 29 29 05578DAX0 US05578DAX03 BYV4406 95.26 France -- USD 2.42 5.35 1 Dec 02, 2026 3.38 2.41 -- 5.35 2.41 5.35 Dec 02, 2016 Dec 02, 2016 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2746.9 0.002355867626454885 2746.9 30 30 04685A2Z3 US04685A2Z36 -- 91.38 United States -- USD 2.08 5.88 1 Jun 29, 2026 1.61 2.07 -- 5.88 2.07 5.88 Jun 29, 2021 Jun 29, 2021 MCK MCKESSON CORP Consumer Non-Cyclical Fixed Income 2743.4 0.002352865865672697 2743.4 30 30 581557BR5 US581557BR53 -- 91.13 United States -- USD 2.22 5.44 1 Aug 15, 2026 1.3 2.21 -- 5.44 2.21 5.44 Aug 12, 2021 Aug 12, 2021 TENGIZ TENGIZCHEVROIL FINANCE COMPANY INT 144A Energy Fixed Income 2743.4 0.002352865865672697 2743.4 29 29 88034QAB3 US88034QAB32 -- 94.73 Kazakhstan -- USD 1.25 6.91 1 Aug 15, 2025 2.63 1.24 -- 6.91 1.24 6.91 Jul 23, 2020 Jul 23, 2020 CPCHEM CHEVRON PHILLIPS CHEMICAL COMPANY 144A Basic Industry Fixed Income 2741.64 0.0023513564088222254 2741.64 29 29 166754AP6 US166754AP65 BYQ4FB9 95.13 United States -- USD 2.38 5.43 1 Dec 01, 2026 3.4 2.41 -- 5.43 2.41 5.43 Nov 22, 2016 Nov 22, 2016 ITC ITC HOLDINGS CORP Electric Fixed Income 2741.64 0.0023513564088222254 2741.64 29 29 465685AP0 US465685AP08 BFMQXV2 93.18 United States -- USD 3.21 5.49 1 Nov 15, 2027 3.35 3.23 -- 5.49 3.23 5.49 May 15, 2018 Jun 18, 2018 VST PALOMINO FUNDING TRUST I 144A Electric Fixed Income 2741.64 0.0023513564088222254 2741.64 27 27 69754AAA8 US69754AAA88 -- 103.24 United States -- USD 3.37 6.31 1 May 17, 2028 7.23 3.39 -- 6.3 3.33 6.3 Jun 15, 2023 Jun 15, 2023 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 2739.89 0.0023498555284311314 2739.89 29 29 110122BB3 US110122BB30 BDRHC31 95.4 United States -- USD 2.66 5.01 1 Feb 27, 2027 3.25 2.65 -- 5.01 2.65 5.01 Feb 27, 2017 Feb 27, 2017 GIS GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 2739.89 0.0023498555284311314 2739.89 28 28 370334CX0 US370334CX03 -- 98.12 United States -- USD 2.51 5.44 1 Jan 30, 2027 4.7 2.53 -- 5.44 2.53 5.44 Jan 30, 2024 Jan 30, 2024 CITADL CITADEL LP 144A Brokerage/Asset Managers/Exchanges Fixed Income 2738.14 0.0023483546480400374 2738.14 28 28 17288XAB0 US17288XAB01 BKSYG49 96.43 United States -- USD 2.45 6.32 1 Jan 15, 2027 4.88 2.47 -- 6.32 2.47 6.32 Sep 16, 2019 Sep 16, 2019 FDS FACTSET RESEARCH SYSTEMS INC Technology Fixed Income 2738.14 0.0023483546480400374 2738.14 29 29 303075AA3 US303075AA30 -- 92.87 United States -- USD 2.67 5.64 1 Mar 01, 2027 2.9 2.66 -- 5.64 2.66 5.64 Mar 01, 2022 Mar 01, 2022 LNC LINCOLN NATIONAL CORPORATION Insurance Fixed Income 2738.14 0.0023483546480400374 2738.14 29 29 534187BH1 US534187BH11 BFWZ881 94.11 United States -- USD 3.42 5.52 1 Mar 01, 2028 3.8 3.46 -- 5.52 3.46 5.52 Feb 12, 2018 Feb 12, 2018 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y Banking Fixed Income 2738.14 0.0023483546480400374 2738.14 27 27 63253QAD6 US63253QAD60 -- 99.79 Australia -- USD 0.98 5.4 1 May 13, 2025 5.2 0.99 -- 5.4 0.99 5.4 Jun 13, 2023 Jun 13, 2023 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 2738.14 0.0023483546480400374 2738.14 28 28 713448FQ6 US713448FQ60 -- 98.96 United States -- USD 1.66 5.16 1 Feb 13, 2026 4.55 1.69 -- 5.16 1.69 5.16 Feb 15, 2023 Feb 15, 2023 BAH BOOZ ALLEN HAMILTON INC 144A Industrial Other Fixed Income 2736.39 0.0023468537676489434 2736.39 30 30 09951LAA1 US09951LAA17 BKSH2Y0 92.27 United States -- USD 3.58 5.92 1 Sep 01, 2028 3.88 3.89 -- 5.92 3.89 5.92 Aug 24, 2020 Aug 24, 2020 CPB CAMPBELL SOUP COMPANY Consumer Non-Cyclical Fixed Income 2734.64 0.0023453528872578494 2734.64 28 28 134429BM0 US134429BM03 -- 99.31 United States -- USD 2.65 5.46 1 Mar 19, 2027 5.2 2.64 -- 5.46 2.64 5.46 Mar 21, 2024 Mar 21, 2024 PGR PROGRESSIVE CORPORATION (THE) Insurance Fixed Income 2734.64 0.0023453528872578494 2734.64 29 29 743315AY9 US743315AY96 -- 92.78 United States -- USD 2.72 5.22 1 Mar 15, 2027 2.5 2.72 -- 5.22 2.72 5.22 Mar 09, 2022 Mar 09, 2022 KDP KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 2732.89 0.0023438520068667554 2732.89 28 28 26138EAS8 US26138EAS81 BY7R001 96.75 United States -- USD 1.46 5.61 1 Nov 15, 2025 3.4 1.46 -- 5.61 1.46 5.61 Nov 09, 2015 Nov 09, 2015 CUBE CUBESMART LP Reits Fixed Income 2731.13 0.002342342550016284 2731.13 32 32 22966RAH9 US22966RAH93 -- 86.07 United States -- USD 4.26 5.71 1 Dec 15, 2028 2.25 4.25 -- 5.71 4.25 5.71 Nov 30, 2021 Nov 30, 2021 ENBCN ENBRIDGE INC 60NC5 Energy Fixed Income 2731.13 0.002342342550016284 2731.13 28 28 29250NBN4 US29250NBN49 -- 97.94 Canada -- USD 3.18 8.52 1 Jan 15, 2083 7.38 2.97 -- 8.02 3.13 8.02 Sep 20, 2022 Sep 20, 2022 LEA LEAR CORPORATION Consumer Cyclical Fixed Income 2731.13 0.002342342550016284 2731.13 29 29 521865AY1 US521865AY17 BF6Q3F2 94.48 United States -- USD 3.08 5.61 1 Sep 15, 2027 3.8 3.11 -- 5.61 3.11 5.61 Aug 17, 2017 Aug 17, 2017 VFC VF CORPORATION Consumer Cyclical Fixed Income 2731.13 0.002342342550016284 2731.13 31 31 918204BB3 US918204BB37 -- 89.5 United States -- USD 2.81 6.73 1 Apr 23, 2027 2.8 2.79 -- 6.73 2.79 6.73 Apr 23, 2020 Apr 23, 2020 AL AIR LEASE CORPORATION MTN Finance Companies Fixed Income 2729.38 0.00234084166962519 2729.38 28 28 00914AAV4 US00914AAV44 -- 97.1 United States -- USD 4.17 5.79 1 Mar 01, 2029 5.1 4.17 -- 5.79 4.17 5.79 Jan 24, 2024 Jan 24, 2024 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 2729.38 0.00234084166962519 2729.38 29 29 21036PAS7 US21036PAS74 BDGKT85 94.44 United States -- USD 2.75 5.51 1 May 09, 2027 3.5 2.78 -- 5.51 2.78 5.51 May 09, 2017 May 09, 2017 O REALTY INCOME CORPORATION Reits Fixed Income 2729.38 0.00234084166962519 2729.38 28 28 756109BE3 US756109BE34 -- 98.59 United States -- USD 1.38 5.61 1 Nov 01, 2025 4.63 1.41 -- 5.61 1.41 5.61 Nov 01, 2021 Nov 01, 2021 CGB CHINA PEOPLES REPUBLIC OF (GOVERNM Treasuries Fixed Income 2726.58 0.0023384402609994397 2726.58 194 194 -- CND1000716Y2 -- 14.08 China -- USD 4.19 2.07 7.24715 Oct 15, 2028 2.55 4.15 -- 2.07 4.15 2.07 Oct 15, 2023 Oct 13, 2023 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2725.88 0.002337839908843002 2725.88 29 29 24422EWD7 US24422EWD74 -- 92.47 United States -- USD 2.71 5.21 1 Mar 08, 2027 2.35 2.71 -- 5.21 2.71 5.21 Mar 07, 2022 Mar 07, 2022 CSX CSX CORP Transportation Fixed Income 2724.13 0.002336339028451908 2724.13 28 28 126408HD8 US126408HD82 BYNBFG8 96.82 United States -- USD 1.43 5.57 1 Nov 01, 2025 3.35 1.43 -- 5.57 1.43 5.57 Oct 20, 2015 Oct 20, 2015 MDLZ MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 2724.13 0.002336339028451908 2724.13 28 28 609207BC8 US609207BC87 -- 97.2 United States -- USD 4.2 5.42 1 Feb 20, 2029 4.75 4.21 -- 5.42 4.21 5.42 Feb 20, 2024 Feb 20, 2024 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 2722.37 0.0023348295716014364 2722.37 28 28 44891ACT2 US44891ACT25 -- 98.87 United States -- USD 2.46 5.7 1 Jan 08, 2027 5.25 2.45 -- 5.7 2.45 5.7 Jan 08, 2024 Jan 08, 2024 WRK WRKCO INC Basic Industry Fixed Income 2720.62 0.0023333286912103424 2720.62 29 29 96145DAD7 US96145DAD75 BJJDZ74 93.82 United States -- USD 3.1 5.39 1 Sep 15, 2027 3.38 3.13 -- 5.39 3.13 5.39 Sep 15, 2018 Feb 15, 2019 AEP AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 2718.87 0.0023318278108192484 2718.87 29 29 025537AM3 US025537AM37 BHQ9BM8 94.84 United States -- USD 3.99 5.59 1 Dec 01, 2028 4.3 4.02 -- 5.59 4.02 5.59 Nov 30, 2018 Nov 30, 2018 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 2717.12 0.0023303269304281544 2717.12 27 27 86563VBH1 US86563VBH15 -- 100.16 Japan -- USD 3.44 5.45 1 Mar 09, 2028 5.5 3.42 -- 5.45 3.42 5.45 Mar 09, 2023 Mar 09, 2023 FRT FEDERAL REALTY OP LP Reits Fixed Income 2715.37 0.0023288260500370604 2715.37 29 29 313747AY3 US313747AY39 BF0BV48 92.89 United States -- USD 2.95 5.69 1 Jul 15, 2027 3.25 2.97 -- 5.69 2.97 5.69 Jun 23, 2017 Jun 23, 2017 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2713.61 0.0023273165931865887 2713.61 31 31 40139LBA0 US40139LBA08 -- 86.93 United States -- USD 3.39 5.32 1 Nov 19, 2027 1.25 3.38 -- 5.32 3.38 5.32 Nov 19, 2020 Nov 19, 2020 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2711.86 0.0023258157127954947 2711.86 29 29 04685A2K6 US04685A2K66 BKTSLK1 93.21 United States -- USD 2.38 5.86 1 Nov 12, 2026 2.95 2.37 -- 5.86 2.37 5.86 Nov 12, 2019 Nov 12, 2019 ANTHOL ANTARES HOLDINGS LP 144A Owned No Guarantee Fixed Income 2706.61 0.0023213130716222127 2706.61 30 30 03666HAE1 US03666HAE18 -- 90.52 Canada -- USD 2.95 7.09 1 Jul 15, 2027 3.75 2.92 -- 7.09 2.92 7.09 Jan 26, 2022 Jan 26, 2022 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU 144A Insurance Fixed Income 2706.61 0.0023213130716222127 2706.61 30 30 29449WAL1 US29449WAL19 -- 90.37 United States -- USD 2.42 5.82 1 Nov 12, 2026 1.7 2.41 -- 5.82 2.41 5.82 Nov 12, 2021 Nov 12, 2021 HST HOST HOTELS & RESORTS LP Reits Fixed Income 2706.61 0.0023213130716222127 2706.61 28 28 44107TAV8 US44107TAV89 BXC5W18 97.7 United States -- USD 1.08 6.11 1 Jun 15, 2025 4 1.08 -- 6.11 1.08 6.11 May 15, 2015 May 15, 2015 LNC LINCOLN NATIONAL CORPORATION Insurance Fixed Income 2706.61 0.0023213130716222127 2706.61 28 28 534187BF5 US534187BF54 BYPL1W4 95.11 United States -- USD 2.43 5.65 1 Dec 12, 2026 3.63 2.45 -- 5.65 2.45 5.65 Dec 12, 2016 Dec 12, 2016 BALN BAE SYSTEMS PLC 144A Capital Goods Fixed Income 2704.86 0.0023198121912311187 2704.86 27 27 05523RAH0 US05523RAH03 -- 98.6 United Kingdom -- USD 2.64 5.52 1 Mar 26, 2027 5 2.67 -- 5.52 2.67 5.52 Mar 26, 2024 Mar 26, 2024 CARGIL CARGILL INC 144A Consumer Non-Cyclical Fixed Income 2704.86 0.0023198121912311187 2704.86 29 29 141781BN3 US141781BN33 -- 92.43 United States -- USD 1.72 5.29 1 Feb 02, 2026 0.75 1.71 -- 5.29 1.71 5.29 Feb 02, 2021 Feb 02, 2021 R RYDER SYSTEM INC MTN Transportation Fixed Income 2704.86 0.0023198121912311187 2704.86 27 27 78355HKZ1 US78355HKZ19 -- 98.93 United States -- USD 4.2 5.63 1 Mar 15, 2029 5.38 4.21 -- 5.63 4.21 5.63 Feb 29, 2024 Feb 29, 2024 NRG NRG ENERGY INC 144A Electric Fixed Income 2703.1 0.0023183027343806474 2703.1 29 29 629377CN0 US629377CN02 -- 93.57 United States -- USD 1.53 6.28 1 Dec 02, 2025 2 1.52 -- 6.28 1.52 6.28 Dec 02, 2020 Dec 02, 2020 EMR EMERSON ELECTRIC CO Capital Goods Fixed Income 2701.35 0.0023168018539895534 2701.35 31 31 291011BQ6 US291011BQ68 -- 87.29 United States -- USD 4.31 5.1 1 Dec 21, 2028 2 4.31 -- 5.1 4.31 5.1 Dec 21, 2021 Dec 21, 2021 XYL XYLEM INC Capital Goods Fixed Income 2701.35 0.0023168018539895534 2701.35 31 31 98419MAM2 US98419MAM29 -- 88.46 United States -- USD 3.53 5.38 1 Jan 30, 2028 1.95 3.53 -- 5.38 3.53 5.38 Jun 26, 2020 Jun 26, 2020 CNHI CNH INDUSTRIAL CAPITAL LLC Capital Goods Fixed Income 2699.6 0.0023153009735984594 2699.6 28 28 12592BAN4 US12592BAN47 -- 98.03 United States -- USD 1.02 5.86 1 May 23, 2025 3.95 1.02 -- 5.86 1.02 5.86 May 23, 2022 May 23, 2022 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 2699.6 0.0023153009735984594 2699.6 31 31 928668BN1 US928668BN15 -- 87.38 Germany -- USD 3.38 5.56 1 Nov 24, 2027 1.63 3.37 -- 5.56 3.37 5.56 Nov 24, 2020 Nov 24, 2020 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 2697.85 0.0023138000932073654 2697.85 28 28 86562MBG4 US86562MBG42 BGSJG46 96.26 Japan -- USD 4.01 5.26 1 Oct 16, 2028 4.31 4 -- 5.26 4 5.26 Oct 16, 2018 Oct 16, 2018 MAIN MAIN STREET CAPITAL CORP Finance Companies Fixed Income 2692.59 0.0023092888755747057 2692.59 29 29 56035LAE4 US56035LAE48 -- 92.73 United States -- USD 2.09 6.57 1 Jul 14, 2026 3 2.07 -- 6.57 2.07 6.57 Jan 14, 2021 Jan 14, 2021 RDN RADIAN GROUP INC Insurance Fixed Income 2690.84 0.0023077879951836117 2690.84 28 28 750236AW1 US750236AW16 BJQ3RC6 96.27 United States -- USD 2.53 6.31 1 Mar 15, 2027 4.88 2.63 -- 6.31 2.63 6.31 Jun 24, 2019 Jun 24, 2019 CNP CENTERPOINT ENERGY INC Electric Fixed Income 2689.09 0.0023062871147925177 2689.09 29 29 15189TBA4 US15189TBA43 -- 91.99 United States -- USD 2.01 5.54 1 Jun 01, 2026 1.45 2.01 -- 5.54 2.01 5.54 May 13, 2021 May 13, 2021 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 2687.34 0.0023047862344014237 2687.34 29 29 03027XBB5 US03027XBB55 -- 94.22 United States -- USD 1.35 5.68 1 Sep 15, 2025 1.3 1.34 -- 5.68 1.34 5.68 Jun 03, 2020 Jun 03, 2020 HAL HALLIBURTON COMPANY Energy Fixed Income 2687.34 0.0023047862344014237 2687.34 28 28 406216BG5 US406216BG59 BYNR4P8 97.46 United States -- USD 1.44 5.52 1 Nov 15, 2025 3.8 1.46 -- 5.52 1.46 5.52 Nov 13, 2015 Nov 13, 2015 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 2687.34 0.0023047862344014237 2687.34 27 27 57629W4S6 US57629W4S64 -- 99.24 United States -- USD 2.71 5.38 1 Apr 09, 2027 5.1 2.7 -- 5.38 2.7 5.38 Apr 09, 2024 Apr 09, 2024 ATH ATHENE GLOBAL FUNDING 144A Insurance Fixed Income 2685.59 0.0023032853540103297 2685.59 29 29 04685A2U4 US04685A2U49 -- 92.78 United States -- USD 1.64 5.97 1 Jan 08, 2026 1.45 1.63 -- 5.97 1.63 5.97 Jan 08, 2021 Jan 08, 2021 BPCEGP BPCE SA MTN 144A Banking Fixed Income 2685.59 0.0023032853540103297 2685.59 27 27 05571AAT2 US05571AAT25 -- 99.07 France -- USD 2.49 5.57 1 Jan 18, 2027 5.2 2.48 -- 5.57 2.48 5.57 Jan 18, 2024 Jan 18, 2024 NXPI NXP BV / NXP FUNDING LLC / NXP USA Technology Fixed Income 2685.59 0.0023032853540103297 2685.59 28 28 62954HAW8 US62954HAW88 -- 97.08 United States -- USD 0.97 5.7 1 May 01, 2025 2.7 0.97 -- 5.7 0.97 5.7 May 01, 2022 May 16, 2022 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 2685.59 0.0023032853540103297 2685.59 27 27 842400JB0 US842400JB09 -- 99.65 United States -- USD 1.73 5.54 1 Mar 01, 2026 5.35 1.73 -- 5.54 1.73 5.54 Mar 01, 2024 Mar 01, 2024 MLM MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 2683.83 0.002301775897159858 2683.83 29 29 573284AT3 US573284AT34 BF0CG68 93.89 United States -- USD 3.28 5.37 1 Dec 15, 2027 3.5 3.31 -- 5.37 3.31 5.37 Dec 20, 2017 Dec 20, 2017 LH LABORATORY CORPORATION OF AMERICA Consumer Non-Cyclical Fixed Income 2682.08 0.002300275016768764 2682.08 29 29 50540RAX0 US50540RAX08 -- 92.06 United States -- USD 2.01 5.61 1 Jun 01, 2026 1.55 2 -- 5.61 2 5.61 May 26, 2021 May 26, 2021 PEG PUBLIC SERVICE ELECTRIC AND GAS CO Electric Fixed Income 2682.08 0.002300275016768764 2682.08 29 29 74456QBS4 US74456QBS49 BZ4CKZ1 93.77 United States -- USD 2.8 5.23 1 May 15, 2027 3 2.82 -- 5.23 2.82 5.23 May 05, 2017 May 05, 2017 LYB MONTELL FINANCE BV 144A Basic Industry Fixed Income 2680.33 0.00229877413637767 2680.33 26 26 61238QAA6 US61238QAA67 B095FB1 105.09 Netherlands -- USD 2.56 6.15 1 Mar 15, 2027 8.1 2.54 -- 6.15 2.54 6.15 Mar 25, 1997 Mar 25, 1997 ADTIN ADANI TRANSMISSION LTD 144A Electric Fixed Income 2678.58 0.0022972732559865764 2678.58 29 29 00652XAA6 US00652XAA63 BD08C19 92.93 India -- USD 2.12 7.44 1 Aug 03, 2026 4 2.09 -- 7.44 2.09 7.44 Aug 03, 2016 Aug 03, 2016 ARCC ARES CAPITAL CORPORATION Finance Companies Fixed Income 2678.58 0.0022972732559865764 2678.58 26 26 04010LBE2 US04010LBE20 -- 101.86 United States -- USD 2.43 6.24 1 Jan 15, 2027 7 2.41 -- 6.24 2.41 6.24 Aug 03, 2023 Aug 03, 2023 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU 144A Insurance Fixed Income 2678.58 0.0022972732559865764 2678.58 31 31 29449WAB3 US29449WAB37 BMZMR47 86.63 United States -- USD 3.18 5.87 1 Aug 27, 2027 1.4 3.17 -- 5.87 3.17 5.87 Aug 28, 2020 Aug 28, 2020 NYLIFE NEW YORK LIFE GLOBAL FUNDING 144A Insurance Fixed Income 2678.58 0.0022972732559865764 2678.58 28 28 64952WDQ3 US64952WDQ33 -- 94.87 United States -- USD 1.13 5.56 1 Jun 24, 2025 0.95 1.13 -- 5.56 1.13 5.56 Jun 24, 2020 Jun 24, 2020 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 2678.58 0.0022972732559865764 2678.58 31 31 66815L2D0 US66815L2D03 -- 86.12 United States -- USD 3.85 5.53 1 Jun 01, 2028 1.7 3.83 -- 5.53 3.83 5.53 Jun 01, 2021 Jun 01, 2021 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 2678.58 0.0022972732559865764 2678.58 29 29 91324PDW9 US91324PDW95 BMFKVT4 93.4 United States -- USD 1.66 5.31 1 Jan 15, 2026 1.25 1.66 -- 5.31 1.66 5.31 May 18, 2020 May 18, 2020 CBAAU COMMONWEALTH BANK OF AUSTRALIA MTN 144A Banking Fixed Income 2676.83 0.0022957723755954824 2676.83 28 28 2027A0HT9 US2027A0HT97 BDGLCW3 95.12 Australia -- USD 1.94 5.38 1 May 18, 2026 2.85 1.94 -- 5.38 1.94 5.38 May 18, 2016 May 18, 2016 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2676.83 0.0022957723755954824 2676.83 27 27 74368CBV5 US74368CBV54 -- 99.69 United States -- USD 3.97 5.54 1 Dec 08, 2028 5.47 3.95 -- 5.54 3.95 5.54 Dec 08, 2023 Dec 08, 2023 VNT VONTIER CORP Capital Goods Fixed Income 2675.07 0.0022942629187450107 2675.07 29 29 928881AB7 US928881AB78 -- 92.43 United States -- USD 1.86 6 1 Apr 01, 2026 1.8 1.85 -- 6 1.85 6 Oct 01, 2021 Jan 11, 2022 AEE AMEREN CORPORATION Electric Fixed Income 2673.32 0.0022927620383539167 2673.32 29 29 023608AL6 US023608AL60 -- 90.73 United States -- USD 2.74 5.46 1 Mar 15, 2027 1.95 2.74 -- 5.46 2.74 5.46 Nov 18, 2021 Nov 18, 2021 JBSSBZ JBS USA LUX SA Consumer Non-Cyclical Fixed Income 2673.32 0.0022927620383539167 2673.32 31 31 46590XAN6 US46590XAN66 BMZ6DZ2 87.01 Brazil -- USD 4.31 6.19 1 Feb 02, 2029 3 4.29 -- 6.19 4.29 6.19 Aug 02, 2023 Aug 21, 2023 TXT TEXTRON INC Capital Goods Fixed Income 2669.82 0.0022897602775717287 2669.82 27 27 883203BW0 US883203BW05 BYXVC23 97.12 United States -- USD 1.74 5.62 1 Mar 15, 2026 4 1.78 -- 5.62 1.78 5.62 Mar 11, 2016 Mar 11, 2016 OVV OVINTIV INC Energy Fixed Income 2668.07 0.0022882593971806347 2668.07 27 27 651290AR9 US651290AR99 BWB8YK4 99.16 United States -- USD 1.48 5.9 1 Jan 01, 2026 5.38 1.56 -- 5.9 1.56 5.9 Mar 10, 2015 Mar 10, 2015 SCGAU SCENTRE GROUP TRUST 1 / SCENTRE GR 144A Reits Fixed Income 2666.31 0.002286749940330163 2666.31 28 28 806213AD6 US806213AD65 BWYJQY2 96.43 Australia -- USD 1.42 5.76 1 Oct 28, 2025 3.25 1.42 -- 5.76 1.42 5.76 Apr 28, 2015 Apr 28, 2015 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 2664.56 0.002285249059939069 2664.56 27 27 02665WFD8 US02665WFD83 -- 98.95 United States -- USD 2.64 5.3 1 Mar 12, 2027 4.9 2.64 -- 5.3 2.64 5.3 Mar 13, 2024 Mar 13, 2024 DANBNK DANSKE BANK A/S MTN 144A Banking Fixed Income 2664.56 0.002285249059939069 2664.56 29 29 23636ABB6 US23636ABB61 -- 90.69 Denmark -- USD 2.27 5.84 1 Sep 10, 2027 1.55 2.27 -- 5.8 2.27 5.8 Sep 10, 2021 Sep 10, 2021 FLEX FLEX LTD Technology Fixed Income 2664.56 0.002285249059939069 2664.56 27 27 33938XAE5 US33938XAE58 -- 100.12 Singapore -- USD 3.24 5.96 1 Jan 15, 2028 6 3.24 -- 5.96 3.24 5.96 Dec 07, 2022 Dec 07, 2022 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 2662.81 0.002283748179547975 2662.81 30 30 641062AV6 US641062AV66 -- 89.83 United States -- USD 2.61 5.21 1 Jan 14, 2027 1.15 2.61 -- 5.21 2.61 5.21 Sep 14, 2021 Sep 14, 2021 MBGGR DAIMLER FINANCE NORTH AMERICA LLC 144A Consumer Cyclical Fixed Income 2661.06 0.002282247299156881 2661.06 27 27 233851CB8 US233851CB85 BYWZX90 97.57 Germany -- USD 1.22 5.5 1 Aug 03, 2025 3.5 1.21 -- 5.5 1.21 5.5 Aug 03, 2015 Aug 03, 2015 DIS WALT DISNEY CO Communications Fixed Income 2661.06 0.002282247299156881 2661.06 28 28 254687FP6 US254687FP66 -- 96.23 United States -- USD 2.71 5.11 1 Mar 23, 2027 3.7 2.71 -- 5.11 2.71 5.11 Mar 23, 2020 Mar 23, 2020 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 2661.06 0.002282247299156881 2661.06 27 27 69371RS49 US69371RS496 -- 98.71 United States -- USD 1.82 5.16 1 Mar 30, 2026 4.45 1.82 -- 5.16 1.82 5.16 Mar 30, 2023 Mar 30, 2023 TAISEM TSMC GLOBAL LTD 144A Technology Fixed Income 2661.06 0.002282247299156881 2661.06 27 27 872882AM7 US872882AM74 -- 97.23 Taiwan -- USD 2.92 5.32 1 Jul 22, 2027 4.38 2.94 -- 5.32 2.94 5.32 Jul 22, 2022 Jul 22, 2022 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 2659.31 0.002280746418765787 2659.31 27 27 66815L2R9 US66815L2R98 -- 99.23 United States -- USD 2.67 5.36 1 Mar 25, 2027 5.07 2.67 -- 5.36 2.67 5.36 Mar 25, 2024 Mar 25, 2024 BPLN BP CAPITAL MARKETS AMERICA INC. Energy Fixed Income 2657.56 0.002279245538374693 2657.56 28 28 10373QBK5 US10373QBK58 -- 95.32 United Kingdom -- USD 2.72 5.28 1 Apr 06, 2027 3.54 2.74 -- 5.28 2.74 5.28 Apr 06, 2020 Apr 06, 2020 ANZNZ ANZ NEW ZEALAND INTL LTD (LONDON B 144A Banking Fixed Income 2655.8 0.0022777360815242212 2655.8 29 29 00182EBJ7 US00182EBJ73 BF5DYR3 93.14 New Zealand -- USD 3.42 5.5 1 Jan 21, 2028 3.45 3.4 -- 5.5 3.4 5.5 Jan 23, 2018 Jan 23, 2018 FTNT FORTINET INC Technology Fixed Income 2654.05 0.0022762352011331277 2654.05 29 29 34959EAA7 US34959EAA73 -- 91.78 United States -- USD 1.83 5.65 1 Mar 15, 2026 1 1.82 -- 5.65 1.82 5.65 Mar 05, 2021 Mar 05, 2021 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2652.3 0.0022747343207420337 2652.3 29 29 24422EVF3 US24422EVF32 -- 90.97 United States -- USD 2.73 5.17 1 Mar 09, 2027 1.75 2.73 -- 5.17 2.73 5.17 Mar 09, 2020 Mar 09, 2020 ES EVERSOURCE ENERGY Electric Fixed Income 2652.3 0.0022747343207420337 2652.3 27 27 30040WAV0 US30040WAV00 -- 98.27 United States -- USD 1.89 5.65 1 May 15, 2026 4.75 1.89 -- 5.65 1.89 5.65 May 11, 2023 May 11, 2023 MRVL MARVELL TECHNOLOGY INC Technology Fixed Income 2652.3 0.0022747343207420337 2652.3 29 29 573874AC8 US573874AC88 -- 92.64 United States -- USD 1.9 5.64 1 Apr 15, 2026 1.65 1.89 -- 5.64 1.89 5.64 Apr 12, 2021 Oct 07, 2021 AER AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 2650.55 0.0022732334403509397 2650.55 26 26 00774MBG9 US00774MBG96 BLDCKL0 101.92 Ireland -- USD 2.64 5.74 1 Apr 15, 2027 6.45 2.67 -- 5.72 2.6 5.72 Apr 15, 2024 Apr 17, 2024 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 2650.55 0.0022732334403509397 2650.55 29 29 06406RAV9 US06406RAV96 BMVCBP0 90.26 United States -- USD 2.39 5.31 1 Oct 15, 2026 1.05 2.38 -- 5.31 2.38 5.31 Jul 27, 2021 Jul 27, 2021 ETR SYSTEM ENERGY RESOURCES INC Electric Fixed Income 2650.55 0.0022732334403509397 2650.55 26 26 871911AU7 US871911AU71 -- 100.29 United States -- USD 3.48 5.92 1 Apr 15, 2028 6 3.48 -- 5.91 3.42 5.91 Mar 14, 2023 Mar 14, 2023 WES WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 2650.55 0.0022732334403509397 2650.55 27 27 958254AF1 US958254AF13 BD2NKX0 97.71 United States -- USD 1.95 5.78 1 Jul 01, 2026 4.65 2.01 -- 5.78 2.01 5.78 Jul 12, 2016 Jul 12, 2016 AVB AVALONBAY COMMUNITIES INC MTN Reits Fixed Income 2647.04 0.002270223103109374 2647.04 27 27 05348EAV1 US05348EAV11 BXC5VY4 97.79 United States -- USD 1.05 5.54 1 Jun 01, 2025 3.45 1.05 -- 5.54 1.05 5.54 May 13, 2015 May 13, 2015 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 2647.04 0.002270223103109374 2647.04 29 29 05565EBW4 US05565EBW49 -- 91.38 Germany -- USD 2.21 5.28 1 Aug 12, 2026 1.25 2.21 -- 5.28 2.21 5.28 Aug 12, 2021 Aug 12, 2021 DUK DUKE ENERGY CORP Electric Fixed Income 2643.54 0.002267221342327186 2643.54 27 27 26441CCB9 US26441CCB90 -- 98.51 United States -- USD 2.46 5.45 1 Jan 05, 2027 4.85 2.45 -- 5.45 2.45 5.45 Jan 05, 2024 Jan 05, 2024 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK Banking Fixed Income 2641.79 0.002265720461936092 2641.79 27 27 21688ABD3 US21688ABD37 -- 99.08 Netherlands -- USD 2.62 5.39 1 Mar 05, 2027 5.04 2.61 -- 5.39 2.61 5.39 Mar 05, 2024 Mar 05, 2024 HAS HASBRO INC Consumer Non-Cyclical Fixed Income 2641.79 0.002265720461936092 2641.79 28 28 418056AV9 US418056AV91 BF0P0H6 93.01 United States -- USD 3.1 5.8 1 Sep 15, 2027 3.5 3.11 -- 5.8 3.11 5.8 Sep 13, 2017 Sep 13, 2017 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 2641.79 0.002265720461936092 2641.79 27 27 709599BJ2 US709599BJ27 BM97NQ2 97.74 United States -- USD 1.16 5.94 1 Jul 15, 2025 4 1.16 -- 5.94 1.16 5.94 Apr 08, 2020 Apr 08, 2020 SRE SOUTHERN CALIFORNIA GAS COMPANY Natural Gas Fixed Income 2641.79 0.002265720461936092 2641.79 27 27 842434CP5 US842434CP59 BYNRK05 97.51 United States -- USD 1.09 5.48 1 Jun 15, 2025 3.2 1.09 -- 5.48 1.09 5.48 Jun 18, 2015 Jun 18, 2015 TEL TYCO ELECTRONICS GROUP SA Technology Fixed Income 2638.29 0.002262718701153904 2638.29 27 27 902133AZ0 US902133AZ06 -- 98.45 Switzerland -- USD 1.69 5.41 1 Feb 13, 2026 4.5 1.69 -- 5.41 1.69 5.41 Feb 13, 2023 Feb 13, 2023 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 2634.78 0.0022597083639123382 2634.78 29 29 78016EYV3 US78016EYV37 -- 91.79 Canada -- USD 2.6 5.31 1 Jan 21, 2027 2.05 2.59 -- 5.31 2.59 5.31 Jan 21, 2022 Jan 21, 2022 XEL XCEL ENERGY INC Electric Fixed Income 2634.78 0.0022597083639123382 2634.78 29 29 98388MAB3 US98388MAB37 -- 89.87 United States -- USD 2.75 5.59 1 Mar 15, 2027 1.75 2.74 -- 5.59 2.74 5.59 Nov 03, 2021 Nov 03, 2021 MOHEGN MOHEGAN GAMING & ENTERTAINMENT 144A Consumer Cyclical Fixed Income 2630.42 0.00225596902762367 2630.42 27 27 608328BF6 US608328BF64 BDGL8Z8 98.85 United States -- USD 0.46 10.41 1 Oct 15, 2024 7.88 0.45 -- 10.41 0.45 10.41 Oct 14, 2016 Oct 14, 2016 ABNANV ABN AMRO BANK NV 144A Banking Fixed Income 2629.53 0.0022552057227390562 2629.53 29 29 00084DAU4 US00084DAU46 -- 91.01 Netherlands -- USD 2.04 6.06 1 Jun 16, 2027 1.54 2.04 -- 6.06 2.04 6.06 Jun 16, 2021 Jun 16, 2021 ES CONNECTICUT LIGHT AND POWER COMPAN Electric Fixed Income 2627.77 0.002253696265888585 2627.77 28 28 207597EJ0 US207597EJ05 BF0BD31 94.49 United States -- USD 2.67 5.28 1 Mar 15, 2027 3.2 2.7 -- 5.28 2.7 5.28 Mar 10, 2017 Mar 10, 2017 SPGI S&P GLOBAL INC Technology Fixed Income 2627.77 0.002253696265888585 2627.77 28 28 78409VAM6 US78409VAM63 BF0LM78 94.07 United States -- USD 2.55 5.3 1 Jan 22, 2027 2.95 2.56 -- 5.3 2.56 5.3 Jan 22, 2017 Apr 21, 2017 WEC WEC ENERGY GROUP INC Electric Fixed Income 2627.77 0.002253696265888585 2627.77 30 30 92939UAD8 US92939UAD81 BN0XPB5 87.18 United States -- USD 3.31 5.48 1 Oct 15, 2027 1.38 3.3 -- 5.48 3.3 5.48 Oct 09, 2020 Oct 09, 2020 NESNVX NESTLE HOLDINGS INC. 144A Consumer Non-Cyclical Fixed Income 2626.02 0.002252195385497491 2626.02 26 26 641062BL7 US641062BL75 -- 99.25 Switzerland -- USD 3.85 5.19 1 Sep 12, 2028 5 3.86 -- 5.19 3.86 5.19 Sep 12, 2023 Sep 12, 2023 OGE OKLAHOMA GAS AND ELECTRIC COMPANY Electric Fixed Income 2626.02 0.002252195385497491 2626.02 28 28 678858BT7 US678858BT77 BGHJVW0 94.24 United States -- USD 3.78 5.31 1 Aug 15, 2028 3.8 3.87 -- 5.31 3.87 5.31 Aug 17, 2018 Aug 17, 2018 SLGN SILGAN HOLDINGS INC 144A Capital Goods Fixed Income 2626.02 0.002252195385497491 2626.02 29 29 827048AX7 US827048AX76 -- 91.24 United States -- USD 1.86 6.28 1 Apr 01, 2026 1.4 1.85 -- 6.28 1.85 6.28 Feb 10, 2021 Feb 10, 2021 AEP AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 2624.27 0.002250694505106397 2624.27 28 28 025537AR2 US025537AR24 -- 93.09 United States -- USD 1.47 5.83 1 Nov 01, 2025 1 1.46 -- 5.83 1.46 5.83 Nov 20, 2020 Nov 20, 2020 RY ROYAL BANK OF CANADA MTN Banking Fixed Income 2622.23 0.0022489449073933502 2622.23 26 26 78016EZ91 US78016EZ911 -- 100.37 Canada -- USD 0.01 5.92 1 Apr 14, 2025 6.16 0.21 -- 5.92 0.21 5.92 Apr 14, 2022 Apr 14, 2022 KO COCA-COLA CO Consumer Non-Cyclical Fixed Income 2619.01 0.002246183287473737 2619.01 28 28 191216CE8 US191216CE82 BD3VQ46 94.21 United States -- USD 2.86 4.95 1 May 25, 2027 2.9 2.86 -- 4.95 2.86 4.95 May 25, 2017 May 25, 2017 DIS WALT DISNEY CO Communications Fixed Income 2619.01 0.002246183287473737 2619.01 27 27 254687DK9 US254687DK97 -- 95.62 United States -- USD 2.34 5.23 1 Nov 15, 2026 3.38 2.37 -- 5.23 2.37 5.23 Nov 15, 2019 Nov 26, 2019 SUI SUN COMMUNITIES OPERATING LP Reits Fixed Income 2619.01 0.002246183287473737 2619.01 27 27 866677AK3 US866677AK36 -- 97.95 United States -- USD 4.04 6 1 Jan 15, 2029 5.5 4.03 -- 6 4.03 6 Jan 11, 2024 Jan 11, 2024 MKC MCCORMICK & COMPANY INCORPORATED Consumer Non-Cyclical Fixed Income 2617.26 0.002244682407082643 2617.26 28 28 579780AR8 US579780AR81 -- 92.27 United States -- USD 1.76 5.45 1 Feb 15, 2026 0.9 1.74 -- 5.45 1.74 5.45 Feb 11, 2021 Feb 11, 2021 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 2617.26 0.002244682407082643 2617.26 27 27 60687YBD0 US60687YBD04 BKMGC54 96.28 Japan -- USD 1.05 5.98 1 May 25, 2026 2.23 1.03 -- 5.82 1.04 5.82 Feb 25, 2020 Feb 25, 2020 ONCRTX ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 2617.26 0.002244682407082643 2617.26 28 28 68233JBZ6 US68233JBZ66 -- 93.32 United States -- USD 1.39 5.46 1 Oct 01, 2025 0.55 1.39 -- 5.46 1.39 5.46 Apr 01, 2021 Jun 03, 2021 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU MTN 144A Insurance Fixed Income 2615.51 0.0022431815266915492 2615.51 29 29 29449W7M3 US29449W7M32 -- 90.43 United States -- USD 2.13 5.98 1 Jul 12, 2026 1.3 2.12 -- 5.98 2.12 5.98 Jul 12, 2021 Jul 12, 2021 AEE UNION ELECTRIC CO Electric Fixed Income 2615.51 0.0022431815266915492 2615.51 28 28 906548CM2 US906548CM25 BYSWYD6 93.03 United States -- USD 2.89 5.39 1 Jun 15, 2027 2.95 2.9 -- 5.39 2.9 5.39 Jun 15, 2017 Jun 15, 2017 MET MET TOWER GLOBAL FUNDING MTN 144A Insurance Fixed Income 2612.01 0.0022401797659093612 2612.01 26 26 58989V2F0 US58989V2F03 -- 99.72 United States -- USD 1.98 5.54 1 Jun 20, 2026 5.4 1.97 -- 5.54 1.97 5.54 Jun 20, 2023 Jun 20, 2023 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2612.01 0.0022401797659093612 2612.01 26 26 74368CBS2 US74368CBS26 -- 99.47 United States -- USD 1.85 5.5 1 Apr 14, 2026 5.21 1.84 -- 5.5 1.84 5.5 Apr 14, 2023 Apr 14, 2023 HIMARK HIGHMARK INC 144A Insurance Fixed Income 2610.26 0.0022386788855182672 2610.26 29 29 431116AD4 US431116AD45 -- 90.98 United States -- USD 1.95 6.22 1 May 10, 2026 1.45 1.94 -- 6.22 1.94 6.22 May 10, 2021 May 10, 2021 JBL JABIL INC Technology Fixed Income 2610.26 0.0022386788855182672 2610.26 28 28 466313AL7 US466313AL75 BMF1LD1 92.6 United States -- USD 1.9 5.72 1 Apr 15, 2026 1.7 1.89 -- 5.72 1.89 5.72 Apr 14, 2021 Apr 14, 2021 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 2610.26 0.0022386788855182672 2610.26 28 28 571903AY9 US571903AY99 BFY3CX6 94.7 United States -- USD 3.57 5.5 1 Apr 15, 2028 4 3.6 -- 5.5 3.6 5.5 Apr 06, 2018 Apr 06, 2018 PG PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 2610.26 0.0022386788855182672 2610.26 28 28 742718FG9 US742718FG98 -- 94.03 United States -- USD 2.74 5.02 1 Mar 25, 2027 2.8 2.74 -- 5.02 2.74 5.02 Mar 25, 2020 Mar 25, 2020 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 2608.5 0.0022371694286677955 2608.5 30 30 44891ACA3 US44891ACA34 -- 86.05 United States -- USD 4.09 5.74 1 Sep 15, 2028 2.1 4.07 -- 5.74 4.07 5.74 Sep 17, 2021 Sep 17, 2021 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 2605 0.0022341676678856075 2605 29 29 14913R2Q9 US14913R2Q92 -- 90.92 United States -- USD 2.3 5.25 1 Sep 14, 2026 1.15 2.3 -- 5.25 2.3 5.25 Sep 14, 2021 Sep 14, 2021 MQGAU MACQUARIE GROUP LTD FXD-FRN MTN 144A Banking Fixed Income 2605 0.0022341676678856075 2605 27 27 55608JBC1 US55608JBC18 -- 95.48 Australia -- USD 2.84 6.09 1 Jun 21, 2028 4.1 2.86 -- 5.68 2.86 5.68 Mar 21, 2022 Mar 21, 2022 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 2605 0.0022341676678856075 2605 26 26 86563VBM0 US86563VBM00 -- 100.02 Japan -- USD 3.84 5.54 1 Sep 14, 2028 5.55 3.82 -- 5.54 3.82 5.54 Sep 14, 2023 Sep 14, 2023 VTR VENTAS REALTY LP Reits Fixed Income 2605 0.0022341676678856075 2605 27 27 92277GAG2 US92277GAG29 BYMPWN7 97.16 United States -- USD 1.59 5.88 1 Jan 15, 2026 4.13 1.61 -- 5.88 1.61 5.88 Jul 16, 2015 Jul 16, 2015 RDN RADIAN GROUP INC Insurance Fixed Income 2603.25 0.0022326667874945135 2603.25 26 26 750236AY7 US750236AY71 -- 99.39 United States -- USD 4.2 6.34 1 May 15, 2029 6.2 4.25 -- 6.34 4.25 6.34 Mar 04, 2024 Mar 04, 2024 UPMCHS UPMC HEALTH SYSTEM Consumer Non-Cyclical Fixed Income 2603.25 0.0022326667874945135 2603.25 27 27 90320WAD5 US90320WAD56 -- 98.08 United States -- USD 0.91 5.73 1 Apr 03, 2025 3.6 0.9 -- 5.73 0.9 5.73 Apr 03, 2020 Apr 03, 2020 WMT WALMART INC Consumer Cyclical Fixed Income 2601.5 0.0022311659071034195 2601.5 30 30 931142ES8 US931142ES82 -- 86.64 United States -- USD 4.16 4.91 1 Sep 22, 2028 1.5 4.16 -- 4.91 4.16 4.91 Sep 22, 2021 Sep 22, 2021 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2599.74 0.002229656450252948 2599.74 28 28 24422EVB2 US24422EVB28 BK7CR96 93.32 United States -- USD 2.27 5.26 1 Sep 14, 2026 2.25 2.27 -- 5.26 2.27 5.26 Sep 12, 2019 Sep 12, 2019 LEG LEGGETT & PLATT INC Capital Goods Fixed Income 2597.99 0.002228155569861854 2597.99 29 29 524660AY3 US524660AY34 BFN4DJ3 91.11 United States -- USD 3.22 6.33 1 Nov 15, 2027 3.5 3.21 -- 6.33 3.21 6.33 Nov 16, 2017 Nov 16, 2017 ELV ELEVANCE HEALTH INC Insurance Fixed Income 2596.24 0.0022266546894707602 2596.24 26 26 036752AV5 US036752AV56 -- 99.66 United States -- USD 1.36 5.59 1 Oct 15, 2025 5.35 1.39 -- 5.59 1.39 5.59 Nov 04, 2022 Nov 04, 2022 CNHI CNH INDUSTRIAL CAPITAL LLC Capital Goods Fixed Income 2596.24 0.0022266546894707602 2596.24 28 28 12592BAL8 US12592BAL80 -- 93.78 United States -- USD 1.65 5.72 1 Jan 15, 2026 1.88 1.65 -- 5.72 1.65 5.72 Oct 06, 2020 Oct 06, 2020 KORELE KOREA ELECTRIC POWER CORP 144A Owned No Guarantee Fixed Income 2596.24 0.0022266546894707602 2596.24 27 27 500631AW6 US500631AW65 -- 95.85 Korea (South) -- USD 2.86 5.46 1 Jun 14, 2027 4 2.85 -- 5.46 2.85 5.46 Jun 14, 2022 Jun 14, 2022 AEP SOUTHWESTERN ELECTRIC POWER COMPAN Electric Fixed Income 2596.24 0.0022266546894707602 2596.24 28 28 845437BS0 US845437BS08 -- 92.92 United States -- USD 1.82 5.65 1 Mar 15, 2026 1.65 1.81 -- 5.65 1.81 5.65 Mar 10, 2021 Mar 10, 2021 AFL AFLAC INCORPORATED Insurance Fixed Income 2590.99 0.0022221520482974782 2590.99 28 28 001055BK7 US001055BK72 -- 92.28 United States -- USD 1.83 5.48 1 Mar 15, 2026 1.13 1.82 -- 5.48 1.82 5.48 Mar 08, 2021 Mar 08, 2021 ACGCAP AVIATION CAPITAL GROUP LLC 144A Finance Companies Fixed Income 2590.99 0.0022221520482974782 2590.99 25 25 05369AAP6 US05369AAP66 BRBVSZ1 102.52 United States -- USD 3.87 6.1 1 Oct 25, 2028 6.75 3.85 -- 6.09 3.78 6.09 Oct 05, 2023 Oct 05, 2023 GD GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 2590.99 0.0022221520482974782 2590.99 28 28 369550AX6 US369550AX61 BZC0XD6 93.23 United States -- USD 2.2 5.28 1 Aug 15, 2026 2.13 2.19 -- 5.28 2.19 5.28 Aug 12, 2016 Aug 12, 2016 GD GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 2590.99 0.0022221520482974782 2590.99 28 28 369550BN7 US369550BN70 -- 91.8 United States -- USD 2.02 5.33 1 Jun 01, 2026 1.15 2.02 -- 5.33 2.02 5.33 May 10, 2021 May 10, 2021 TOMARI RELIANCE STANDARD LIFE GLOBAL FUND 144A Insurance Fixed Income 2590.99 0.0022221520482974782 2590.99 27 27 75951AAP3 US75951AAP30 -- 96.81 United States -- USD 0.98 5.98 1 May 07, 2025 2.75 0.98 -- 5.98 0.98 5.98 May 07, 2020 May 07, 2020 HR HEALTHCARE TRUST OF AMERICA HOLDIN Reits Fixed Income 2589.23 0.0022206425914470065 2589.23 28 28 42225UAF1 US42225UAF12 BZ4CYX7 93.44 United States -- USD 2.89 6.04 1 Jul 01, 2027 3.75 2.9 -- 6.04 2.9 6.04 Jun 08, 2017 Jun 08, 2017 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2587.48 0.0022191417110559125 2587.48 29 29 04685A3D1 US04685A3D15 -- 90.46 United States -- USD 2.33 6 1 Oct 02, 2026 1.73 2.32 -- 6 2.32 6 Oct 04, 2021 Oct 04, 2021 BHP BHP BILLITON FINANCE Basic Industry Fixed Income 2587.48 0.0022191417110559125 2587.48 25 25 055450AH3 US055450AH34 2093581 101.63 Australia -- USD 1.72 5.48 1 Mar 01, 2026 6.42 1.71 -- 5.48 1.71 5.48 Mar 01, 1996 Mar 12, 1996 SMBCAC SMBC AVIATION CAPITAL FINANCE DAC 144A Finance Companies Fixed Income 2583.98 0.0022161399502737245 2583.98 28 28 78448TAG7 US78448TAG76 -- 90.89 Ireland -- USD 2.36 5.92 1 Oct 15, 2026 1.9 2.35 -- 5.92 2.35 5.92 Oct 15, 2021 Oct 15, 2021 CATMED COMMONSPIRIT HEALTH Consumer Non-Cyclical Fixed Income 2582.23 0.0022146390698826305 2582.23 27 27 20268JAE3 US20268JAE38 BN4NVD5 93.92 United States -- USD 1.39 6.04 1 Oct 01, 2025 1.55 1.38 -- 6.04 1.38 6.04 Oct 28, 2020 Oct 28, 2020 GIS GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 2582.23 0.0022146390698826305 2582.23 26 26 370334CW2 US370334CW20 -- 100.23 United States -- USD 3.9 5.44 1 Oct 17, 2028 5.5 3.92 -- 5.44 3.92 5.44 Oct 17, 2023 Oct 17, 2023 ATH ATHENE GLOBAL FUNDING 144A Insurance Fixed Income 2580.47 0.0022131296130321588 2580.47 26 26 04685A3T6 US04685A3T66 -- 99.1 United States -- USD 2.65 5.85 1 Mar 25, 2027 5.52 2.64 -- 5.85 2.64 5.85 Mar 26, 2024 Mar 26, 2024 PSA PUBLIC STORAGE OPERATING CO Reits Fixed Income 2580.47 0.0022131296130321588 2580.47 28 28 74460DAC3 US74460DAC39 BFB5MJ1 93.21 United States -- USD 3.12 5.31 1 Sep 15, 2027 3.09 3.14 -- 5.31 3.14 5.31 Sep 18, 2017 Sep 18, 2017 AZO AUTOZONE INC Consumer Cyclical Fixed Income 2578.72 0.0022116287326410648 2578.72 27 27 053332BC5 US053332BC52 -- 96.8 United States -- USD 3.37 5.45 1 Feb 01, 2028 4.5 3.37 -- 5.45 3.37 5.45 Jan 27, 2023 Jan 27, 2023 ECL ECOLAB INC Basic Industry Fixed Income 2578.72 0.0022116287326410648 2578.72 28 28 278865BL3 US278865BL34 -- 91.03 United States -- USD 2.64 5.17 1 Feb 01, 2027 1.65 2.63 -- 5.17 2.63 5.17 Dec 15, 2021 Dec 15, 2021 PLD PROLOGIS LP Reits Fixed Income 2575.22 0.002208626971858877 2575.22 28 28 74340XBV2 US74340XBV29 -- 93.64 United States -- USD 3.29 5.32 1 Dec 15, 2027 3.38 3.32 -- 5.32 3.32 5.32 Jun 15, 2022 Oct 04, 2022 CHD CHURCH & DWIGHT CO INC Consumer Non-Cyclical Fixed Income 2571.71 0.0022056166346173115 2571.71 27 27 171340AN2 US171340AN27 BF0CDT0 93.84 United States -- USD 3 5.22 1 Aug 01, 2027 3.15 3.02 -- 5.22 3.02 5.22 Jul 25, 2017 Jul 25, 2017 ENTEL ENTEL CHILE SA 144A Communications Fixed Income 2569.96 0.0022041157542262175 2569.96 26 26 29245VAB1 US29245VAB18 BP9DL67 97.64 Chile -- USD 1.62 6.18 1 Aug 01, 2026 4.75 1.64 -- 6.18 1.64 6.18 Jul 22, 2014 Jul 22, 2014 O REALTY INCOME CORPORATION Reits Fixed Income 2569.96 0.0022041157542262175 2569.96 26 26 756109BQ6 US756109BQ63 -- 99.54 United States -- USD 0.93 5.33 1 Jan 13, 2026 5.05 1.6 -- 5.33 1.6 5.33 Jan 13, 2023 Jan 13, 2023 SPG SIMON PROPERTY GROUP LP Reits Fixed Income 2569.96 0.0022041157542262175 2569.96 29 29 828807DP9 US828807DP98 -- 89.95 United States -- USD 2.6 5.39 1 Jan 15, 2027 1.38 2.6 -- 5.39 2.6 5.39 Aug 18, 2021 Aug 18, 2021 BKH BLACK HILLS CORPORATION Electric Fixed Income 2564.71 0.0021996131130529355 2564.71 27 27 092113AM1 US092113AM13 BDHDFB8 93.53 United States -- USD 2.51 5.75 1 Jan 15, 2027 3.15 2.53 -- 5.75 2.53 5.75 Aug 19, 2016 Aug 19, 2016 EPD ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 2564.71 0.0021996131130529355 2564.71 28 28 29379VBR3 US29379VBR33 BYWF668 92.29 United States -- USD 2.86 8.05 1 Feb 15, 2078 5.38 3.23 -- 7.75 3.31 7.75 Feb 15, 2018 Feb 15, 2018 FMC FMC CORPORATION Basic Industry Fixed Income 2564.71 0.0021996131130529355 2564.71 27 27 302491AT2 US302491AT29 BJYGNN0 94.04 United States -- USD 2.29 5.86 1 Oct 01, 2026 3.2 2.29 -- 5.86 2.29 5.86 Sep 20, 2019 Sep 20, 2019 OTIS OTIS WORLDWIDE CORP Capital Goods Fixed Income 2564.71 0.0021996131130529355 2564.71 28 28 68902VAJ6 US68902VAJ61 -- 92.03 United States -- USD 2.78 5.25 1 Apr 05, 2027 2.29 2.78 -- 5.25 2.78 5.25 Feb 27, 2020 Sep 04, 2020 PEP PEPSICO INC Consumer Non-Cyclical Fixed Income 2564.71 0.0021996131130529355 2564.71 27 27 713448ER5 US713448ER52 -- 93.32 United States -- USD 2.72 5.13 1 Mar 19, 2027 2.63 2.73 -- 5.13 2.73 5.13 Mar 19, 2020 Mar 19, 2020 REG REGENCY CENTERS LP Reits Fixed Income 2564.71 0.0021996131130529355 2564.71 27 27 75884RAV5 US75884RAV50 BYMXPD2 95.4 United States -- USD 2.53 5.41 1 Feb 01, 2027 3.6 2.56 -- 5.41 2.56 5.41 Jan 26, 2017 Jan 26, 2017 OCINCC BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 2562.96 0.0021981122326618415 2562.96 27 27 69120VAF8 US69120VAF85 BMV2F03 94.45 United States -- USD 2.55 6.92 1 Feb 08, 2027 4.7 2.53 -- 6.92 2.53 6.92 Aug 08, 2022 Aug 23, 2022 VW VOLKSWAGEN GROUP OF AMERICA FINANC 144A Consumer Cyclical Fixed Income 2562.96 0.0021981122326618415 2562.96 26 26 928668CF7 US928668CF71 -- 99.17 Germany -- USD 2.65 5.61 1 Mar 22, 2027 5.3 2.65 -- 5.61 2.65 5.61 Mar 22, 2024 Mar 22, 2024 NDAFH NORDEA BANK ABP 144A Banking Fixed Income 2561.2 0.0021966027758113698 2561.2 26 26 65558RAG4 US65558RAG48 -- 98.94 Finland -- USD 2.65 5.4 1 Mar 19, 2027 5 2.65 -- 5.4 2.65 5.4 Mar 19, 2024 Mar 19, 2024 V VISA INC Technology Fixed Income 2559.45 0.0021951018954202758 2559.45 29 29 92826CAP7 US92826CAP77 -- 87.39 United States -- USD 3.19 4.93 1 Aug 15, 2027 0.75 3.18 -- 4.93 3.18 4.93 Aug 17, 2020 Aug 17, 2020 ETN EATON CORPORATION Capital Goods Fixed Income 2555.95 0.0021921001346380878 2555.95 26 26 278062AK0 US278062AK03 -- 97.16 United States -- USD 3.58 5.13 1 May 18, 2028 4.35 3.6 -- 5.13 3.6 5.13 May 18, 2023 May 18, 2023 FE METROPOLITAN EDISON COMPANY 144A Electric Fixed Income 2555.95 0.0021921001346380878 2555.95 27 27 591894CC2 US591894CC27 -- 94.6 United States -- USD 4.11 5.62 1 Jan 15, 2029 4.3 4.14 -- 5.62 4.14 5.62 Jan 10, 2019 Jan 10, 2019 IDASAL INDONESIA ASAHAN ALUMINIUM PERSERO 144A Owned No Guarantee Fixed Income 2555.95 0.0021921001346380878 2555.95 25 25 74445PAC6 US74445PAC68 -- 102.02 Indonesia -- USD 3.82 6.01 1 Nov 15, 2028 6.53 3.8 -- 6.01 3.8 6.01 Nov 15, 2018 Nov 15, 2018 STLD STEEL DYNAMICS INC Basic Industry Fixed Income 2555.95 0.0021921001346380878 2555.95 27 27 858119BL3 US858119BL37 -- 96.18 United States -- USD 1.09 5.92 1 Jun 15, 2025 2.4 1.09 -- 5.92 1.09 5.92 Jun 05, 2020 Jun 05, 2020 TPR TAPESTRY INC Consumer Cyclical Fixed Income 2552.44 0.002189089797396522 2552.44 25 25 876030AB3 US876030AB38 -- 101.5 United States -- USD 1.46 6.04 1 Nov 27, 2025 7.05 1.45 -- 6.04 1.45 6.04 Nov 27, 2023 Nov 27, 2023 AVB AVALONBAY COMMUNITIES INC Reits Fixed Income 2550.69 0.0021875889170054285 2550.69 30 30 053484AC5 US053484AC59 -- 86.2 United States -- USD 4.27 5.32 1 Dec 01, 2028 1.9 4.26 -- 5.32 4.26 5.32 Nov 18, 2021 Nov 18, 2021 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 2547.19 0.0021845871562232405 2547.19 26 26 44891ACY1 US44891ACY10 -- 98.22 United States -- USD 4.22 5.77 1 Mar 19, 2029 5.35 4.22 -- 5.77 4.22 5.77 Mar 19, 2024 Mar 19, 2024 MET MET TOWER GLOBAL FUNDING MTN 144A Insurance Fixed Income 2547.19 0.0021845871562232405 2547.19 28 28 58989V2D5 US58989V2D54 -- 90.55 United States -- USD 2.3 5.53 1 Sep 14, 2026 1.25 2.29 -- 5.53 2.29 5.53 Sep 14, 2021 Sep 14, 2021 ES NSTAR ELECTRIC CO Electric Fixed Income 2547.19 0.0021845871562232405 2547.19 27 27 67021CAM9 US67021CAM91 BDT7CP1 94.3 United States -- USD 2.79 5.24 1 May 15, 2027 3.2 2.81 -- 5.24 2.81 5.24 May 15, 2017 May 15, 2017 PLD PROLOGIS LP Reits Fixed Income 2547.19 0.0021845871562232405 2547.19 27 27 74340XBH3 US74340XBH35 BFNC7H3 94.29 United States -- USD 3.91 5.35 1 Sep 15, 2028 3.88 3.94 -- 5.35 3.94 5.35 Jun 20, 2018 Jun 20, 2018 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 2545.44 0.0021830862758321465 2545.44 26 26 907818GE2 US907818GE22 -- 99.15 United States -- USD 1.69 5.24 1 Feb 21, 2026 4.75 1.71 -- 5.24 1.71 5.24 Feb 21, 2023 Feb 21, 2023 PEP PEPSICO SINGAPORE FINANCING I PTE Consumer Non-Cyclical Fixed Income 2543.69 0.0021815853954410525 2543.69 26 26 713466AB6 US713466AB69 -- 97.09 United States -- USD 4.21 5.24 1 Feb 16, 2029 4.55 4.22 -- 5.24 4.22 5.24 Feb 16, 2024 Feb 16, 2024 AVB AVALONBAY COMMUNITIES INC MTN Reits Fixed Income 2541.93 0.0021800759385905808 2541.93 27 27 05348EBC2 US05348EBC21 BD5W7Z5 92.62 United States -- USD 3.4 5.41 1 Jan 15, 2028 3.2 3.41 -- 5.41 3.41 5.41 Nov 15, 2017 Nov 15, 2017 RSG REPUBLIC SERVICES INC Capital Goods Fixed Income 2541.93 0.0021800759385905808 2541.93 27 27 760759AS9 US760759AS91 BYZM730 93.94 United States -- USD 3.21 5.27 1 Nov 15, 2027 3.38 3.24 -- 5.27 3.24 5.27 Nov 16, 2017 Nov 16, 2017 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 2541.93 0.0021800759385905808 2541.93 26 26 907818ED6 US907818ED66 BYPCRC9 97.24 United States -- USD 1.24 5.46 1 Aug 15, 2025 3.25 1.25 -- 5.46 1.25 5.46 Jun 19, 2015 Jun 19, 2015 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 2540.18 0.0021785750581994868 2540.18 27 27 126650DH0 US126650DH04 -- 95.2 United States -- USD 2.7 5.42 1 Apr 01, 2027 3.63 2.73 -- 5.42 2.73 5.42 Mar 31, 2020 Mar 31, 2020 SRE SEMPRA Natural Gas Fixed Income 2538.43 0.0021770741778083928 2538.43 28 28 816851BP3 US816851BP33 -- 91.71 United States -- USD 4.39 5.65 1 Apr 01, 2029 3.7 4.4 -- 5.65 4.4 5.65 Mar 24, 2022 Mar 24, 2022 CPT CAMDEN PROPERTY TRUST Reits Fixed Income 2536.68 0.0021755732974172988 2536.68 25 25 133131BA9 US133131BA99 -- 100.77 United States -- USD 2.22 5.52 1 Nov 03, 2026 5.85 2.26 -- 5.52 2.18 5.52 Nov 03, 2023 Nov 03, 2023 KORELE KOREA ELECTRIC POWER CORP MTN 144A Owned No Guarantee Fixed Income 2536.68 0.0021755732974172988 2536.68 25 25 500631AY2 US500631AY22 -- 100.15 Korea (South) -- USD 3.51 5.46 1 Apr 06, 2028 5.5 3.5 -- 5.46 3.5 5.46 Oct 06, 2022 Oct 06, 2022 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 2536.68 0.0021755732974172988 2536.68 26 26 842400HW6 US842400HW63 -- 98.68 United States -- USD 1.91 5.57 1 Jun 01, 2026 4.9 1.93 -- 5.57 1.93 5.57 May 22, 2023 May 22, 2023 DTRGR DAIMLER TRUCK FINANCE NORTH AMERIC 144A Consumer Cyclical Fixed Income 2534.93 0.002174072417026205 2534.93 26 26 233853AV2 US233853AV24 -- 98.71 Germany -- USD 2.49 5.51 1 Jan 15, 2027 5 2.48 -- 5.51 2.48 5.51 Jan 18, 2024 Jan 18, 2024 LSELN LSEG US FIN CORP 144A Brokerage/Asset Managers/Exchanges Fixed Income 2534.93 0.002174072417026205 2534.93 26 26 50222CAA8 US50222CAA80 -- 98.54 United Kingdom -- USD 2.65 5.42 1 Mar 28, 2027 4.88 2.68 -- 5.42 2.68 5.42 Mar 28, 2024 Mar 28, 2024 NWMLIC NORTHWESTERN MUTUAL GLOBAL FUNDING MTN 144A Insurance Fixed Income 2534.93 0.002174072417026205 2534.93 26 26 66815L2L2 US66815L2L29 -- 98.34 United States -- USD 1.83 5.61 1 Apr 06, 2026 4.7 1.83 -- 5.61 1.83 5.61 Apr 06, 2023 Apr 06, 2023 PDM PIEDMONT OPERATING PARTNERSHIP LP Reits Fixed Income 2534.93 0.002174072417026205 2534.93 24 24 720198AG5 US720198AG56 -- 105.14 United States -- USD 3.42 7.8 1 Jul 20, 2028 9.25 3.41 -- 7.77 3.35 7.77 Jul 20, 2023 Jul 20, 2023 PSX PHILLIPS 66 CO Energy Fixed Income 2533.17 0.002172562960175733 2533.17 26 26 718547AF9 US718547AF91 -- 95.61 United States -- USD 2.26 5.5 1 Oct 01, 2026 3.55 2.28 -- 5.5 2.28 5.5 Apr 01, 2023 Apr 28, 2023 PSEC PROSPECT CAPITAL CORP Finance Companies Fixed Income 2533.17 0.002172562960175733 2533.17 27 27 74348TAU6 US74348TAU60 BMYC6W9 94.5 United States -- USD 1.65 7.11 1 Jan 22, 2026 3.71 1.63 -- 7.11 1.63 7.11 Jan 22, 2021 Jan 22, 2021 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 2531.42 0.002171062079784639 2531.42 27 27 44891AAK3 US44891AAK34 BYMBB38 93.23 Korea (South) -- USD 2.3 5.78 1 Sep 27, 2026 2.75 2.29 -- 5.78 2.29 5.78 Sep 27, 2016 Sep 27, 2016 STLD STEEL DYNAMICS INC Basic Industry Fixed Income 2531.42 0.002171062079784639 2531.42 26 26 858119BF6 US858119BF68 BD2ZND7 98.65 United States -- USD 1.62 5.55 1 Dec 15, 2026 5 2.39 -- 5.55 2.39 5.55 Dec 06, 2016 May 16, 2017 PSD PUGET ENERGY INC Electric Fixed Income 2529.67 0.002169561199393545 2529.67 26 26 745310AH5 US745310AH55 BYV76B0 97.54 United States -- USD 1 6.09 1 May 15, 2025 3.65 1 -- 6.09 1 6.09 Nov 15, 2015 Dec 24, 2015 CPB CAMPBELL SOUP COMPANY Consumer Non-Cyclical Fixed Income 2527.92 0.002168060319002451 2527.92 26 26 134429BN8 US134429BN85 -- 98.48 United States -- USD 4.24 5.56 1 Mar 21, 2029 5.2 4.25 -- 5.56 4.25 5.56 Mar 21, 2024 Mar 21, 2024 SBRA SABRA HEALTH CARE LP Reits Fixed Income 2527.92 0.002168060319002451 2527.92 26 26 14162VAB2 US14162VAB27 BD574M6 97.78 United States -- USD 2.07 6.17 1 Aug 15, 2026 5.13 2.12 -- 6.17 2.12 6.17 Jul 14, 2016 Feb 08, 2017 BNS BANK OF NOVA SCOTIA Banking Fixed Income 2526.17 0.002166559438611357 2526.17 32 32 0641598N9 US0641598N91 -- 78.84 Canada -- USD 0.61 8.5 1 Oct 27, 2081 3.63 2.04 -- 8.5 2.21 8.5 Oct 07, 2021 Oct 07, 2021 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 2526.17 0.002166559438611357 2526.17 26 26 86563VBP3 US86563VBP31 -- 99.03 Japan -- USD 2.62 5.57 1 Mar 07, 2027 5.2 2.61 -- 5.57 2.61 5.57 Mar 07, 2024 Mar 07, 2024 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 2526.17 0.002166559438611357 2526.17 26 26 907818ES3 US907818ES36 BDFY0J6 97.95 United States -- USD 1.15 5.51 1 Jul 15, 2025 3.75 1.16 -- 5.51 1.16 5.51 Jun 08, 2018 Jun 08, 2018 CMS CONSUMERS ENERGY COMPANY Electric Fixed Income 2524.41 0.0021650499817608857 2524.41 26 26 210518DS2 US210518DS21 -- 97.67 United States -- USD 3.41 5.33 1 Mar 01, 2028 4.65 3.45 -- 5.33 3.45 5.33 Jan 10, 2023 Jan 10, 2023 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 2524.41 0.0021650499817608857 2524.41 25 25 694308KF3 US694308KF34 -- 99.28 United States -- USD 2.77 5.7 1 Jun 15, 2027 5.45 2.79 -- 5.7 2.79 5.7 Jun 08, 2022 Jun 08, 2022 TKR TIMKEN COMPANY Capital Goods Fixed Income 2524.41 0.0021650499817608857 2524.41 26 26 887389AK0 US887389AK07 -- 95.76 United States -- USD 4 5.55 1 Dec 15, 2028 4.5 4.05 -- 5.55 4.05 5.55 Sep 06, 2018 Sep 06, 2018 PII POLARIS INC Consumer Non-Cyclical Fixed Income 2522.66 0.0021635491013697918 2522.66 24 24 731068AA0 US731068AA07 -- 104.04 United States -- USD 4.08 5.98 1 Mar 15, 2029 6.95 4.09 -- 5.97 4.03 5.97 Nov 16, 2023 Nov 16, 2023 GBLATL GA GLOBAL FUNDING TRUST 144A Insurance Fixed Income 2520.91 0.0021620482209786978 2520.91 26 26 36143L2J3 US36143L2J35 -- 98.05 United States -- USD 0.93 5.96 1 Apr 11, 2025 3.85 0.92 -- 5.96 0.92 5.96 Apr 11, 2022 Apr 11, 2022 LHX L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 2520.91 0.0021620482209786978 2520.91 26 26 413875AR6 US413875AR63 BX2KBJ4 98.23 United States -- USD 0.95 5.67 1 Apr 27, 2025 3.83 0.95 -- 5.67 0.95 5.67 Apr 27, 2015 Apr 27, 2015 NYLIFE NEW YORK LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2519.16 0.0021605473405876038 2519.16 25 25 64953BBM9 US64953BBM90 -- 98.96 United States -- USD 2.7 5.29 1 Apr 02, 2027 4.9 2.69 -- 5.29 2.69 5.29 Apr 04, 2024 Apr 04, 2024 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 2519.16 0.0021605473405876038 2519.16 27 27 842400GQ0 US842400GQ05 BJMTK85 94.35 United States -- USD 4.24 5.54 1 Mar 01, 2029 4.2 4.28 -- 5.54 4.28 5.54 Mar 15, 2019 Mar 15, 2019 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL MTN 144A Banking Fixed Income 2513.9 0.002156036122954944 2513.9 28 28 06675FAY3 US06675FAY34 -- 91.24 France -- USD 2.35 5.49 1 Oct 04, 2026 1.6 2.34 -- 5.49 2.34 5.49 Oct 04, 2021 Oct 04, 2021 IPG INTERPUBLIC GROUP OF COMPANIES INC Communications Fixed Income 2513.9 0.002156036122954944 2513.9 26 26 460690BP4 US460690BP43 BF4NV40 96.33 United States -- USD 3.88 5.6 1 Oct 01, 2028 4.65 3.93 -- 5.6 3.93 5.6 Sep 21, 2018 Sep 21, 2018 NWIDE NATIONWIDE BUILDING SOCIETY MTN 144A Banking Fixed Income 2512.15 0.00215453524256385 2512.15 27 27 63859WAF6 US63859WAF68 BZ1DKX5 91.49 United Kingdom -- USD 3.11 6.75 1 Oct 18, 2032 4.13 3.13 -- 6.75 3.15 6.75 Oct 18, 2017 Oct 18, 2017 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 2510.4 0.002153034362172756 2510.4 28 28 65339KAV2 US65339KAV26 -- 91.26 United States -- USD 3.19 7.91 1 Dec 01, 2077 4.8 3.06 -- 7.62 3.15 7.62 Nov 02, 2017 Nov 02, 2017 H HYATT HOTELS CORP Consumer Cyclical Fixed Income 2508.65 0.002151533481781662 2508.65 26 26 448579AG7 US448579AG79 BDT6C36 95.19 United States -- USD 3.86 5.63 1 Sep 15, 2028 4.38 3.9 -- 5.63 3.9 5.63 Aug 16, 2018 Aug 16, 2018 VNT VONTIER CORP Capital Goods Fixed Income 2508.65 0.002151533481781662 2508.65 29 29 928881AD3 US928881AD35 -- 87.2 United States -- USD 3.67 6.11 1 Apr 01, 2028 2.4 3.65 -- 6.11 3.65 6.11 Oct 01, 2021 Jan 11, 2022 YARNO YARA INTERNATIONAL ASA 144A Basic Industry Fixed Income 2508.65 0.002151533481781662 2508.65 26 26 984851AF2 US984851AF24 BFCCDF4 95.38 Brazil -- USD 3.55 6.04 1 Jun 01, 2028 4.75 3.58 -- 6.04 3.58 6.04 Jun 01, 2018 Jun 01, 2018 AVB AVALONBAY COMMUNITIES INC MTN Reits Fixed Income 2506.9 0.002150032601390568 2506.9 26 26 05348EAX7 US05348EAX76 BD8BS56 95.08 United States -- USD 1.91 5.53 1 May 11, 2026 2.95 1.92 -- 5.53 1.92 5.53 May 11, 2016 May 11, 2016 TOMARI RELIANCE STANDARD LIFE GLOBAL FUND MTN 144A Insurance Fixed Income 2506.9 0.002150032601390568 2506.9 28 28 75951AAQ1 US75951AAQ13 -- 89.36 United States -- USD 2.33 6.31 1 Sep 28, 2026 1.51 2.31 -- 6.31 2.31 6.31 Sep 28, 2021 Sep 28, 2021 AALLN ANGLO AMERICAN CAPITAL PLC 144A Basic Industry Fixed Income 2505.14 0.0021485231445400963 2505.14 28 28 034863AZ3 US034863AZ38 -- 88.2 South Africa -- USD 3.64 5.67 1 Mar 17, 2028 2.25 3.63 -- 5.67 3.63 5.67 Mar 17, 2021 Mar 17, 2021 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 2505.14 0.0021485231445400963 2505.14 25 25 592179KD6 US592179KD61 -- 99.23 United States -- USD 1.59 5.48 1 Jan 06, 2026 5 1.58 -- 5.48 1.58 5.48 Jan 06, 2023 Jan 06, 2023 HUF HUF CASH Cash and/or Derivatives Cash 2504.5 0.002147974251139925 2504.5 9276 9276 -- -- -- 0.27 Hungary -- USD 0 7.75 366.65735 -- 0 0 -- 7.75 0 7.75 -- Jan 01, 1990 PVH PVH CORP Consumer Cyclical Fixed Income 2503.39 0.0021470222641490023 2503.39 25 25 693656AC4 US693656AC47 -- 98.2 United States -- USD 1.13 6.19 1 Jul 10, 2025 4.63 1.14 -- 6.19 1.14 6.19 Jul 10, 2020 Oct 16, 2020 CAT CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 2501.64 0.0021455213837579083 2501.64 27 27 14913R2U0 US14913R2U05 -- 91.27 United States -- USD 2.58 5.2 1 Jan 08, 2027 1.7 2.57 -- 5.2 2.57 5.2 Jan 10, 2022 Jan 10, 2022 DG DOLLAR GENERAL CORPORATION Consumer Cyclical Fixed Income 2501.64 0.0021455213837579083 2501.64 26 26 256677AD7 US256677AD70 BYNBFS0 97.78 United States -- USD 1.4 5.7 1 Nov 01, 2025 4.15 1.42 -- 5.7 1.42 5.7 Oct 20, 2015 Oct 20, 2015 WES WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 2501.64 0.0021455213837579083 2501.64 25 25 958254AE4 US958254AE48 BYLHT44 98.19 United States -- USD 1.04 5.67 1 Jun 01, 2025 3.95 1.04 -- 5.67 1.04 5.67 Jun 04, 2015 Jun 04, 2015 KMI KINDER MORGAN INC Energy Fixed Income 2499.89 0.0021440205033668143 2499.89 27 27 49456BAU5 US49456BAU52 -- 91.19 United States -- USD 2.43 5.49 1 Nov 15, 2026 1.75 2.42 -- 5.49 2.42 5.49 Nov 09, 2021 Nov 09, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 2497.61 0.0021420650706287037 2497.61 25 25 91282CGU9 US91282CGU99 BPQYN34 98.8 United States -- USD 0.9 5.21 1 Mar 31, 2025 3.88 0.9 -- 5.21 0.9 5.21 Mar 31, 2023 Mar 31, 2023 LEG LEGGETT & PLATT INC Capital Goods Fixed Income 2494.63 0.002139509285734155 2494.63 27 27 524660AZ0 US524660AZ09 BJR2197 91.38 United States -- USD 4.27 6.48 1 Mar 15, 2029 4.4 4.27 -- 6.48 4.27 6.48 Mar 07, 2019 Mar 07, 2019 PEG PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 2494.63 0.002139509285734155 2494.63 25 25 744573AY2 US744573AY26 -- 98.07 United States -- USD 4.27 5.65 1 Apr 01, 2029 5.2 4.27 -- 5.65 4.27 5.65 Mar 27, 2024 Mar 27, 2024 TE TAMPA ELECTRIC COMPANY Electric Fixed Income 2494.63 0.002139509285734155 2494.63 26 26 875127BM3 US875127BM30 -- 97.64 United States -- USD 4.19 5.46 1 Mar 01, 2029 4.9 4.21 -- 5.46 4.21 5.46 Jan 30, 2024 Jan 30, 2024 MCD MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 2491.13 0.002136507524951967 2491.13 26 26 58013MFL3 US58013MFL37 -- 94.79 United States -- USD 1.31 5.51 1 Sep 01, 2025 1.45 1.3 -- 5.51 1.3 5.51 Mar 05, 2020 Mar 05, 2020 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 2489.38 0.002135006644560873 2489.38 27 27 44891ABG1 US44891ABG13 -- 92.98 Korea (South) -- USD 2.61 5.76 1 Feb 10, 2027 3 2.6 -- 5.76 2.6 5.76 Feb 10, 2020 Feb 10, 2020 EPR EPR PROPERTIES Reits Fixed Income 2487.63 0.002133505764169779 2487.63 26 26 26884UAD1 US26884UAD19 BZ11Z12 93.99 United States -- USD 2.77 6.68 1 Jun 01, 2027 4.5 2.78 -- 6.68 2.78 6.68 May 23, 2017 May 23, 2017 TEL TYCO ELECTRONICS GROUP SA Technology Fixed Income 2487.63 0.002133505764169779 2487.63 27 27 902133AU1 US902133AU19 BF08MT1 93.39 Switzerland -- USD 3.04 5.33 1 Aug 15, 2027 3.13 3.06 -- 5.33 3.06 5.33 Aug 03, 2017 Aug 03, 2017 MGII MALAYSIA (GOVERNMENT) Treasuries Fixed Income 2485.93 0.0021320477660755734 2485.93 112 112 -- MYBGT2200033 BNTDBD0 22.26 Malaysia -- USD 10.25 4.06 4.7775 Mar 31, 2038 4.66 10.28 -- 4.06 10.28 4.06 Sep 30, 2022 Sep 30, 2022 NGGLN BOSTON GAS COMPANY 144A Natural Gas Fixed Income 2485.87 0.0021319963073193073 2485.87 27 27 100743AK9 US100743AK97 BF08MQ8 91.43 United States -- USD 3.02 6.08 1 Aug 01, 2027 3.15 3.01 -- 6.08 3.01 6.08 Aug 03, 2017 Aug 03, 2017 KOROIL KOREA NATIONAL OIL CORP MTN 144A Owned No Guarantee Fixed Income 2485.87 0.0021319963073193073 2485.87 25 25 50065WAP1 US50065WAP14 -- 97.82 Korea (South) -- USD 3.54 5.5 1 Apr 03, 2028 4.88 3.52 -- 5.5 3.52 5.5 Apr 03, 2023 Apr 03, 2023 R RYDER SYSTEM INC MTN Transportation Fixed Income 2485.87 0.0021319963073193073 2485.87 25 25 78355HKV0 US78355HKV05 -- 100.41 United States -- USD 3.37 5.53 1 Mar 01, 2028 5.65 3.39 -- 5.53 3.33 5.53 Feb 23, 2023 Feb 23, 2023 TFC TRUIST BANK Banking Fixed Income 2480.62 0.0021274936661460253 2480.62 25 25 86787EBB2 US86787EBB20 -- 97.85 United States -- USD 1.4 5.54 1 Nov 03, 2025 4.05 1.42 -- 5.54 1.42 5.54 Oct 26, 2018 Oct 26, 2018 TDY TELEDYNE TECHNOLOGIES INCORPORATED Capital Goods Fixed Income 2478.87 0.0021259927857549313 2478.87 27 27 879360AC9 US879360AC98 -- 92.7 United States -- USD 1.86 5.63 1 Apr 01, 2026 1.6 1.86 -- 5.63 1.86 5.63 Mar 22, 2021 Mar 22, 2021 COKE COCA-COLA BOTTLING CO. CONSOLIDATE Consumer Non-Cyclical Fixed Income 2477.12 0.0021244919053638373 2477.12 25 25 191098AK8 US191098AK89 BZ4BML8 97.45 United States -- USD 1.46 5.5 1 Nov 25, 2025 3.8 1.49 -- 5.5 1.49 5.5 Nov 25, 2015 Nov 25, 2015 RABOBK COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 2477.12 0.0021244919053638373 2477.12 25 25 21688ABC5 US21688ABC53 -- 97.52 Netherlands -- USD 4.11 5.4 1 Jan 09, 2029 4.8 4.09 -- 5.4 4.09 5.4 Jan 09, 2024 Jan 09, 2024 TPR TAPESTRY INC Consumer Cyclical Fixed Income 2475.36 0.0021229824485133656 2475.36 26 26 189754AC8 US189754AC88 BD6F010 94.17 United States -- USD 2.9 6.14 1 Jul 15, 2027 4.13 2.92 -- 6.14 2.92 6.14 Jun 20, 2017 Jun 20, 2017 AEP AEP TRANSMISSION COMPANY LLC Electric Fixed Income 2473.61 0.0021214815681222716 2473.61 26 26 00115AAE9 US00115AAE91 BF029M5 94.48 United States -- USD 2.4 5.4 1 Dec 01, 2026 3.1 2.42 -- 5.4 2.42 5.4 Nov 21, 2016 May 17, 2017 NOMURA NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 2473.61 0.0021214815681222716 2473.61 28 28 65535HBB4 US65535HBB42 -- 87.29 Japan -- USD 4.32 5.81 1 Jan 22, 2029 2.71 4.3 -- 5.81 4.3 5.81 Jan 11, 2022 Jan 11, 2022 NACF NONGHYUP BANK MTN 144A Government Sponsored Fixed Income 2473.61 0.0021214815681222716 2473.61 26 26 65540JAJ7 US65540JAJ79 -- 96.36 Korea (South) -- USD 2.91 5.51 1 Jul 06, 2027 4.25 2.9 -- 5.51 2.9 5.51 Jul 06, 2022 Jul 06, 2022 PSX PHILLIPS 66 CO Energy Fixed Income 2473.61 0.0021214815681222716 2473.61 26 26 718547AH5 US718547AH57 -- 94.06 United States -- USD 3.46 5.48 1 Mar 01, 2028 3.75 3.5 -- 5.48 3.5 5.48 Mar 01, 2023 Apr 28, 2023 PEG PUBLIC SERVICE ELECTRIC AND GAS CO MTN Electric Fixed Income 2471.86 0.0021199806877311776 2471.86 27 27 74456QBR6 US74456QBR65 BD3RS15 93.16 United States -- USD 2.27 5.34 1 Sep 15, 2026 2.25 2.27 -- 5.34 2.27 5.34 Sep 13, 2016 Sep 13, 2016 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU MTN 144A Insurance Fixed Income 2470.11 0.0021184798073400836 2470.11 27 27 29449WAE7 US29449WAE75 -- 92.24 United States -- USD 1.65 5.85 1 Jan 09, 2026 1 1.64 -- 5.85 1.64 5.85 Jan 11, 2021 Jan 11, 2021 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2470.11 0.0021184798073400836 2470.11 26 26 40139LAG8 US40139LAG86 -- 95.01 United States -- USD 1.12 5.59 1 Jun 23, 2025 1.1 1.12 -- 5.59 1.12 5.59 Jun 23, 2020 Jun 23, 2020 MET METROPOLITAN LIFE GLOBAL FUNDING I MTN 144A Insurance Fixed Income 2466.6 0.0021154694700985183 2466.6 25 25 59217GFQ7 US59217GFQ73 -- 99.54 United States -- USD 3.85 5.52 1 Sep 12, 2028 5.4 3.83 -- 5.52 3.83 5.52 Sep 12, 2023 Sep 12, 2023 LIBMUT LIBERTY MUTUAL GROUP INC 144A Insurance Fixed Income 2464.85 0.0021139685897074243 2464.85 26 26 53079EBG8 US53079EBG89 BHWZ164 94.77 United States -- USD 4.18 5.84 1 Feb 01, 2029 4.57 4.16 -- 5.84 4.16 5.84 Jan 28, 2019 Jan 28, 2019 MRVL MARVELL TECHNOLOGY INC Technology Fixed Income 2464.85 0.0021139685897074243 2464.85 25 25 573874AP9 US573874AP91 -- 100.41 United States -- USD 4.1 5.65 1 Feb 15, 2029 5.75 4.11 -- 5.65 4.04 5.65 Sep 18, 2023 Sep 18, 2023 PRU PRICOA GLOBAL FUNDING I MTN 144A Insurance Fixed Income 2464.85 0.0021139685897074243 2464.85 27 27 74153WCP2 US74153WCP23 -- 90.64 United States -- USD 2.26 5.5 1 Sep 01, 2026 1.2 2.26 -- 5.5 2.26 5.5 Aug 31, 2021 Aug 31, 2021 DHI D R HORTON INC Consumer Cyclical Fixed Income 2459.6 0.0021094659485341423 2459.6 27 27 23331ABQ1 US23331ABQ13 BP2BQY1 90.25 United States -- USD 2.38 5.58 1 Oct 15, 2026 1.3 2.37 -- 5.58 2.37 5.58 Aug 05, 2021 Aug 05, 2021 JXN JACKSON NATIONAL LIFE GLOBAL FUNDI 144A Insurance Fixed Income 2459.6 0.0021094659485341423 2459.6 26 26 46849LSQ5 US46849LSQ58 BYYXKQ8 94.57 United States -- USD 1.88 5.96 1 Apr 29, 2026 3.05 1.88 -- 5.96 1.88 5.96 Apr 29, 2016 Apr 29, 2016 USB US BANCORP (FX-FRN) Banking Fixed Income 2459.6 0.0021094659485341423 2459.6 24 24 91159HJP6 US91159HJP64 -- 102.56 United States -- USD 2.2 6.09 1 Oct 26, 2027 6.79 2.2 -- 5.67 2.21 5.67 Oct 26, 2023 Oct 26, 2023 ENBCN ENBRIDGE INC Energy Fixed Income 2457.84 0.0021079564916836706 2457.84 27 27 29250NBH7 US29250NBH70 -- 90.9 Canada -- USD 2.34 5.64 1 Oct 04, 2026 1.6 2.33 -- 5.64 2.33 5.64 Oct 04, 2021 Oct 04, 2021 HWM HOWMET AEROSPACE INC Capital Goods Fixed Income 2457.84 0.0021079564916836706 2457.84 28 28 443201AB4 US443201AB48 -- 88.57 United States -- USD 4.27 5.8 1 Jan 15, 2029 3 4.25 -- 5.8 4.25 5.8 Sep 01, 2021 Sep 01, 2021 SWK STANLEY BLACK & DECKER INC Capital Goods Fixed Income 2457.84 0.0021079564916836706 2457.84 24 24 854502AT8 US854502AT83 -- 101.54 United States -- USD 3.36 5.55 1 Mar 06, 2028 6 3.39 -- 5.54 3.32 5.54 Mar 06, 2023 Mar 06, 2023 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2456.09 0.0021064556112925766 2456.09 25 25 24422EXD6 US24422EXD65 -- 99.8 United States -- USD 2.19 5.24 1 Sep 08, 2026 5.15 2.19 -- 5.24 2.19 5.24 Sep 08, 2023 Sep 08, 2023 EXR EXTRA SPACE STORAGE LP Reits Fixed Income 2456.09 0.0021064556112925766 2456.09 26 26 30225VAM9 US30225VAM90 995VAM9 93.98 United States -- USD 3.25 5.73 1 Dec 15, 2027 3.88 3.28 -- 5.73 3.28 5.73 Jun 15, 2023 Jul 25, 2023 GBDC GOLUB CAPITAL BDC INC. Finance Companies Fixed Income 2456.09 0.0021064556112925766 2456.09 27 27 38173MAB8 US38173MAB81 -- 91.49 United States -- USD 2.21 6.49 1 Aug 24, 2026 2.5 2.19 -- 6.49 2.19 6.49 Feb 24, 2021 Feb 24, 2021 TT TRANE TECHNOLOGIES FINANCING LTD Capital Goods Fixed Income 2456.09 0.0021064556112925766 2456.09 26 26 456873AE8 US456873AE85 BJT0N59 96.26 United States -- USD 1.79 5.59 1 Mar 21, 2026 3.5 1.8 -- 5.59 1.8 5.59 Mar 21, 2019 Mar 21, 2019 LYB LYB INTERNATIONAL FINANCE II BV Basic Industry Fixed Income 2452.59 0.0021034538505103886 2452.59 26 26 50247WAB3 US50247WAB37 BF1GF51 94.53 United States -- USD 2.62 5.6 1 Mar 02, 2027 3.5 2.65 -- 5.6 2.65 5.6 Mar 02, 2017 Mar 02, 2017 LEN LENNAR CORPORATION Consumer Cyclical Fixed Income 2452.59 0.0021034538505103886 2452.59 25 25 526057BV5 US526057BV57 BWYJQX1 98.84 United States -- USD 0.99 5.85 1 May 30, 2025 4.75 1.03 -- 5.85 1.03 5.85 Apr 28, 2015 Apr 28, 2015 PFG PRINCIPAL FINANCIAL GROUP INC Insurance Fixed Income 2452.59 0.0021034538505103886 2452.59 25 25 74251VAK8 US74251VAK89 BWWC513 97.64 United States -- USD 1 5.73 1 May 15, 2025 3.4 1 -- 5.73 1 5.73 May 07, 2015 May 07, 2015 ARES ARES FINANCE CO III LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 2450.84 0.0021019529701192946 2450.84 27 27 04018VAA1 US04018VAA17 -- 91.57 United States -- USD 1.84 8.02 1 Jun 30, 2051 4.13 1.84 -- 8.02 1.99 8.02 Jun 30, 2021 Jun 30, 2021 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU 144A Insurance Fixed Income 2445.58 0.0020974417524866353 2445.58 25 25 29449WAQ0 US29449WAQ06 -- 98.15 United States -- USD 3.42 5.99 1 Mar 03, 2028 5.45 3.4 -- 5.99 3.4 5.99 Mar 03, 2023 Mar 03, 2023 ARE ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 2442.08 0.0020944399917044473 2442.08 26 26 015271AK5 US015271AK55 BDFD446 94.43 United States -- USD 3.34 5.63 1 Jan 15, 2028 3.95 3.36 -- 5.63 3.36 5.63 Mar 03, 2017 Mar 03, 2017 BIDU BAIDU INC Technology Fixed Income 2442.08 0.0020944399917044473 2442.08 26 26 056752AS7 US056752AS75 -- 92.8 China -- USD 1.88 5.66 1 Apr 09, 2026 1.72 1.88 -- 5.66 1.88 5.66 Oct 09, 2020 Oct 09, 2020 BK BANK OF NEW YORK MELLON/THE MTN Banking Fixed Income 2440.48 0.0020930677582040183 2440.48 24 24 06405LAE1 US06405LAE11 -- 100.06 United States -- USD 0.01 6.07 1 Mar 13, 2026 5.96 0.13 -- 6.02 0.13 6.02 Mar 14, 2024 Mar 14, 2024 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2440.33 0.0020929391113133533 2440.33 24 24 24422EWT2 US24422EWT27 -- 99.64 United States -- USD 1.74 5.25 1 Mar 03, 2026 5.05 1.74 -- 5.25 1.74 5.25 Mar 03, 2023 Mar 03, 2023 ORLY OREILLY AUTOMOTIVE INC Consumer Cyclical Fixed Income 2440.33 0.0020929391113133533 2440.33 25 25 67103HAE7 US67103HAE71 BDCP9W8 96.46 United States -- USD 1.76 5.54 1 Mar 15, 2026 3.55 1.79 -- 5.54 1.79 5.54 Mar 08, 2016 Mar 08, 2016 PPG PPG INDUSTRIES INC Basic Industry Fixed Income 2440.33 0.0020929391113133533 2440.33 26 26 693506BP1 US693506BP19 BDR5VX8 94.63 United States -- USD 3.5 5.29 1 Mar 15, 2028 3.75 3.54 -- 5.29 3.54 5.29 Feb 27, 2018 Feb 27, 2018 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 2440.33 0.0020929391113133533 2440.33 26 26 808513AU9 US808513AU91 BFNV4N5 92.54 United States -- USD 3.42 5.42 1 Jan 25, 2028 3.2 3.43 -- 5.42 3.43 5.42 Dec 07, 2017 Dec 07, 2017 IVZ INVESCO FINANCE PLC Brokerage/Asset Managers/Exchanges Fixed Income 2438.57 0.0020914296544628816 2438.57 25 25 46132FAD2 US46132FAD24 BYXVX42 96.88 United States -- USD 1.63 5.68 1 Jan 15, 2026 3.75 1.62 -- 5.68 1.62 5.68 Oct 14, 2015 Oct 14, 2015 SCGAU SCENTRE GROUP TRUST 1 / SCENTRE GR MTN 144A Reits Fixed Income 2435.07 0.0020884278936806936 2435.07 26 26 80622GAC8 US80622GAC87 BDZW3P7 94.7 Australia -- USD 2.67 5.75 1 Mar 23, 2027 3.75 2.69 -- 5.75 2.69 5.75 Mar 23, 2017 Mar 23, 2017 ET SUNOCO LOGISTICS PARTNERS OPERATIO Energy Fixed Income 2435.07 0.0020884278936806936 2435.07 24 24 86765BAS8 US86765BAS88 BD5WCM7 100.16 United States -- USD 1.34 5.84 1 Dec 01, 2025 5.95 1.47 -- 5.83 1.25 5.83 Nov 17, 2015 Nov 17, 2015 MEGCN MEG ENERGY CORP 144A Energy Fixed Income 2433.08 0.0020867211782645352 2433.08 25 25 552704AF5 US552704AF51 -- 96.28 Canada -- USD 3.13 6.8 1 Feb 01, 2029 5.88 4.02 -- 6.8 4.02 6.8 Feb 02, 2021 Feb 02, 2021 GMT GATX CORPORATION Finance Companies Fixed Income 2431.57 0.0020854261328985056 2431.57 25 25 361448BE2 US361448BE25 BJ78X44 96.12 United States -- USD 4.27 5.61 1 Apr 01, 2029 4.7 4.31 -- 5.61 4.31 5.61 Jan 31, 2019 Jan 31, 2019 WDAY WORKDAY INC Technology Fixed Income 2431.57 0.0020854261328985056 2431.57 26 26 98138HAH4 US98138HAH49 -- 92.15 United States -- USD 4.39 5.54 1 Apr 01, 2029 3.7 4.4 -- 5.54 4.4 5.54 Apr 01, 2022 Apr 01, 2022 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 2429.82 0.0020839252525074116 2429.82 28 28 02665WEB3 US02665WEB37 -- 87.5 United States -- USD 4.35 5.28 1 Jan 12, 2029 2.25 4.33 -- 5.28 4.33 5.28 Jan 13, 2022 Jan 13, 2022 EQR ERP OPERATING LP Reits Fixed Income 2428.06 0.00208241579565694 2428.06 25 25 26884ABD4 US26884ABD46 BXQ9S63 97.54 United States -- USD 1.05 5.71 1 Jun 01, 2025 3.38 1.04 -- 5.71 1.04 5.71 May 14, 2015 May 14, 2015 PEP PEPSICO SINGAPORE FINANCING I PTE Consumer Non-Cyclical Fixed Income 2428.06 0.00208241579565694 2428.06 25 25 713466AA8 US713466AA86 -- 98.4 United States -- USD 2.55 5.27 1 Feb 16, 2027 4.65 2.57 -- 5.27 2.57 5.27 Feb 16, 2024 Feb 16, 2024 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 2428.06 0.00208241579565694 2428.06 26 26 89236TFT7 US89236TFT79 -- 93.32 United States -- USD 4.2 5.27 1 Jan 08, 2029 3.65 4.19 -- 5.27 4.19 5.27 Jan 08, 2019 Jan 08, 2019 ARCC ARES CAPITAL CORPORATION Finance Companies Fixed Income 2426.31 0.002080914915265846 2426.31 27 27 04010LBD4 US04010LBD47 -- 91.33 United States -- USD 2.91 5.94 1 Jun 15, 2027 2.88 2.9 -- 5.94 2.9 5.94 Jan 13, 2022 Jan 13, 2022 FSK FS KKR CAPITAL CORP Finance Companies Fixed Income 2426.31 0.002080914915265846 2426.31 27 27 302635AL1 US302635AL16 -- 89.99 United States -- USD 2.97 6.76 1 Jul 15, 2027 3.25 2.95 -- 6.76 2.95 6.76 Jan 18, 2022 Jan 18, 2022 PLD PROLOGIS LP Reits Fixed Income 2426.31 0.002080914915265846 2426.31 27 27 74340XBN0 US74340XBN03 BHNBBS3 91.22 United States -- USD 2.81 5.36 1 Apr 15, 2027 2.13 2.81 -- 5.36 2.81 5.36 Feb 18, 2020 Feb 18, 2020 KOHNPW KOREA HYDRO & NUCLEAR POWER CO LTD 144A Owned No Guarantee Fixed Income 2424.56 0.002079414034874752 2424.56 26 26 50064YAM5 US50064YAM57 -- 92.95 Korea (South) -- USD 3.01 5.52 1 Jul 25, 2027 3.13 3 -- 5.52 3 5.52 Jul 25, 2017 Jul 25, 2017 TOL TOLL BROTHERS FINANCE CORP. Consumer Cyclical Fixed Income 2424.56 0.002079414034874752 2424.56 25 25 88947EAT7 US88947EAT73 BFMTXH7 95.39 United States -- USD 3.38 5.71 1 Feb 15, 2028 4.35 3.41 -- 5.71 3.41 5.71 Jan 22, 2018 Jan 22, 2018 SWEDA SWEDBANK AB MTN 144A Banking Fixed Income 2422.81 0.002077913154483658 2422.81 24 24 87020PAV9 US87020PAV94 -- 99.74 Sweden -- USD 1.96 5.6 1 Jun 15, 2026 5.47 1.95 -- 5.6 1.95 5.6 Jun 15, 2023 Jun 15, 2023 T AT&T INC Communications Fixed Income 2421.06 0.002076412274092564 2421.06 25 25 00206RHT2 US00206RHT23 BK5YPZ6 97.3 United States -- USD 1.59 5.54 1 Jan 15, 2026 3.88 1.62 -- 5.54 1.62 5.54 Jan 15, 2019 Jun 05, 2019 NTRCN NUTRIEN LTD Basic Industry Fixed Income 2421.06 0.002076412274092564 2421.06 25 25 67077MAE8 US67077MAE84 BDRJWH1 96.24 Canada -- USD 2.38 5.55 1 Dec 15, 2026 4 2.42 -- 5.55 2.42 5.55 Dec 15, 2017 Apr 10, 2018 AIB AIB GROUP PLC MTN 144A Banking Fixed Income 2419.3 0.0020749028172420926 2419.3 24 24 00135TAD6 US00135TAD63 -- 101.9 Ireland -- USD 3.7 6.35 1 Sep 13, 2029 6.61 3.74 -- 6.11 3.74 6.11 Sep 13, 2023 Sep 13, 2023 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 2415.8 0.0020719010564599046 2415.8 27 27 06406GAA9 US06406GAA94 BYX1YH2 90.39 United States -- USD 4.05 5.43 1 Oct 30, 2028 3 4.06 -- 5.43 4.06 5.43 Oct 31, 2016 Oct 31, 2016 R RYDER SYSTEM INC MTN Transportation Fixed Income 2415.8 0.0020719010564599046 2415.8 24 24 78355HKX6 US78355HKX60 -- 102.75 United States -- USD 3.83 5.61 1 Dec 01, 2028 6.3 3.85 -- 5.6 3.79 5.6 Nov 01, 2023 Nov 01, 2023 BDX BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 2414.05 0.0020704001760688106 2414.05 25 25 075887CR8 US075887CR80 -- 97.51 United States -- USD 4.16 5.47 1 Feb 08, 2029 4.87 4.16 -- 5.47 4.16 5.47 Feb 08, 2024 Feb 08, 2024 ETN EATON CORPORATION Capital Goods Fixed Income 2414.05 0.0020704001760688106 2414.05 26 26 278062AG9 US278062AG90 BD5WHZ5 93.5 United States -- USD 3.12 5.22 1 Sep 15, 2027 3.1 3.14 -- 5.22 3.14 5.22 Sep 15, 2017 Sep 15, 2017 VICI VICI PROPERTIES LP Consumer Cyclical Fixed Income 2414.05 0.0020704001760688106 2414.05 25 25 925650AA1 US925650AA17 -- 98.35 United States -- USD 0.99 6.01 1 May 15, 2025 4.38 0.99 -- 6.01 0.99 6.01 Apr 29, 2022 Apr 29, 2022 MFCCN MANULIFE FINANCIAL CORP Insurance Fixed Income 2412.3 0.0020688992956777166 2412.3 26 26 56501RAK2 US56501RAK23 BLCVM90 91.93 Canada -- USD 2.85 5.37 1 May 19, 2027 2.48 2.86 -- 5.37 2.86 5.37 May 19, 2020 May 19, 2020 CPT CAMDEN PROPERTY TRUST Reits Fixed Income 2410.54 0.002067389838827245 2410.54 25 25 133131AW2 US133131AW29 BF19XY5 95.04 United States -- USD 3.97 5.36 1 Oct 15, 2028 4.1 4.01 -- 5.36 4.01 5.36 Oct 04, 2018 Oct 04, 2018 PSA PUBLIC STORAGE OPERATING CO Reits Fixed Income 2410.54 0.002067389838827245 2410.54 26 26 74460WAA5 US74460WAA53 -- 92.18 United States -- USD 1.76 5.48 1 Feb 15, 2026 0.88 1.74 -- 5.48 1.74 5.48 Jan 19, 2021 Jan 19, 2021 ES CONNECTICUT LIGHT AND POWER COMPAN Electric Fixed Income 2408.79 0.002065888958436151 2408.79 25 25 207597ER2 US207597ER21 -- 97.2 United States -- USD 4.09 5.33 1 Jan 01, 2029 4.65 4.1 -- 5.33 4.1 5.33 Jan 23, 2024 Jan 23, 2024 OBDC OWL ROCK CAPITAL CORP Finance Companies Fixed Income 2407.04 0.002064388078045057 2407.04 27 27 69121KAF1 US69121KAF12 -- 90.79 United States -- USD 2.56 6.36 1 Jan 15, 2027 2.63 2.54 -- 6.36 2.54 6.36 Apr 26, 2021 Apr 26, 2021 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 2403.54 0.002061386317262869 2403.54 24 24 709599BR4 US709599BR43 -- 100.26 United States -- USD 3.07 5.79 1 Nov 15, 2027 5.88 3.09 -- 5.79 3.09 5.79 Nov 21, 2022 Nov 21, 2022 CNP CENTERPOINT ENERGY INC Electric Fixed Income 2401.79 0.002059885436871775 2401.79 24 24 15189TBF3 US15189TBF30 -- 99.4 United States -- USD 2.11 5.53 1 Aug 10, 2026 5.25 2.11 -- 5.53 2.11 5.53 Aug 10, 2023 Aug 10, 2023 MXN MXN CASH Cash and/or Derivatives Cash 2401.35 0.002059508072659157 2401.35 415 415 -- -- -- 5.79 Mexico -- USD 0 11.24 17.2605 -- 0 0 -- 11.24 0 11.24 -- Jan 01, 1990 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 2400.03 0.002058375980021303 2400.03 26 26 03027XAU4 US03027XAU46 BJQN856 92.57 United States -- USD 4.31 5.71 1 Mar 15, 2029 3.95 4.33 -- 5.71 4.33 5.71 Mar 15, 2019 Mar 15, 2019 KOROIL KOREA NATIONAL OIL CORP MTN 144A Owned No Guarantee Fixed Income 2400.03 0.002058375980021303 2400.03 25 25 50066PAG5 US50066PAG54 -- 94.47 Korea (South) -- USD 2.73 5.45 1 Mar 27, 2027 3.38 2.72 -- 5.45 2.72 5.45 Mar 27, 2017 Mar 27, 2017 HOLNSW LAFARGEHOLCIM FINANCE US LLC 144A Capital Goods Fixed Income 2398.28 0.002056875099630209 2398.28 25 25 50587KAA9 US50587KAA97 BYND5J7 95.43 Switzerland -- USD 2.24 5.55 1 Sep 22, 2026 3.5 2.26 -- 5.55 2.26 5.55 Sep 22, 2016 Sep 22, 2016 DG DOLLAR GENERAL CORPORATION Consumer Cyclical Fixed Income 2394.78 0.002053873338848021 2394.78 24 24 256677AN5 US256677AN52 -- 98.63 United States -- USD 3.65 5.57 1 Jul 05, 2028 5.2 3.66 -- 5.57 3.66 5.57 Jun 07, 2023 Jun 07, 2023 SNV SYNOVUS BANK Banking Fixed Income 2389.52 0.002049362121215362 2389.52 25 25 87164DVJ6 US87164DVJ61 -- 95.53 United States -- USD 3.34 6.98 1 Feb 15, 2028 5.63 3.32 -- 6.98 3.32 6.98 Feb 15, 2023 Feb 15, 2023 AIG AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 2386.02 0.002046360360433174 2386.02 25 25 026874DK0 US026874DK01 BFMNDQ8 95.68 United States -- USD 3.51 5.43 1 Apr 01, 2028 4.2 3.55 -- 5.43 3.55 5.43 Mar 26, 2018 Mar 26, 2018 EQR ERP OPERATING LP Reits Fixed Income 2386.02 0.002046360360433174 2386.02 25 25 26884ABF9 US26884ABF93 BYVQW64 93.99 United States -- USD 2.34 5.44 1 Nov 01, 2026 2.85 2.34 -- 5.44 2.34 5.44 Oct 12, 2016 Oct 12, 2016 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 2386.02 0.002046360360433174 2386.02 26 26 37045XDV5 US37045XDV55 -- 93.47 United States -- USD 4.34 5.84 1 Apr 06, 2029 4.3 4.35 -- 5.84 4.35 5.84 Apr 07, 2022 Apr 07, 2022 ADC AGREE LP Reits Fixed Income 2379.01 0.00204034826240942 2379.01 28 28 008513AB9 US008513AB91 -- 86.33 United States -- USD 3.85 5.76 1 Jun 15, 2028 2 3.84 -- 5.76 3.84 5.76 May 14, 2021 May 14, 2021 DUK DUKE ENERGY CORP Electric Fixed Income 2375.51 0.002037346501627232 2375.51 27 27 26441CBP9 US26441CBP95 -- 87.5 United States -- USD 2.31 7.27 1 Jan 15, 2082 3.25 2.33 -- 9 2.49 9 Sep 28, 2021 Sep 28, 2021 ANTHOL ANTARES HOLDINGS LP 144A Owned No Guarantee Fixed Income 2373.76 0.002035845621236138 2373.76 24 24 03666HAG6 US03666HAG65 -- 97.27 Canada -- USD 4.01 7.18 1 Feb 08, 2029 6.5 3.98 -- 7.18 3.98 7.18 Feb 08, 2024 Feb 08, 2024 TMUS T-MOBILE USA INC Communications Fixed Income 2370.25 0.0020328352839945724 2370.25 27 27 87264ACS2 US87264ACS24 BMWDS51 86.82 United States -- USD 4.49 5.51 1 Mar 15, 2029 2.4 4.48 -- 5.51 4.48 5.51 Dec 06, 2021 Jul 01, 2022 WMT WALMART INC Consumer Cyclical Fixed Income 2370.25 0.0020328352839945724 2370.25 24 24 931142ED1 US931142ED14 BG0MT44 98.13 United States -- USD 1.1 5.22 1 Jun 26, 2025 3.55 1.11 -- 5.22 1.11 5.22 Jun 27, 2018 Jun 27, 2018 AQNCN LIBERTY UTILITIES CO 144A Electric Fixed Income 2368.5 0.0020313344036034784 2368.5 24 24 531542AA6 US531542AA64 -- 98.71 United States -- USD 4.06 5.89 1 Jan 31, 2029 5.58 4.06 -- 5.89 4.06 5.89 Jan 12, 2024 Jan 12, 2024 KEBHNB KEB HANA BANK MTN 144A Banking Fixed Income 2366.75 0.0020298335232123844 2366.75 25 25 48723RAC9 US48723RAC97 -- 94.11 Korea (South) -- USD 2.74 5.45 1 Mar 30, 2027 3.25 2.73 -- 5.45 2.73 5.45 Mar 30, 2022 Mar 30, 2022 LM LEGG MASON INC Brokerage/Asset Managers/Exchanges Fixed Income 2366.75 0.0020298335232123844 2366.75 24 24 524901AV7 US524901AV77 BYSVN69 98.76 United States -- USD 1.78 5.45 1 Mar 15, 2026 4.75 1.77 -- 5.45 1.77 5.45 Mar 22, 2016 Mar 22, 2016 RS RELIANCE INC Basic Industry Fixed Income 2366.75 0.0020298335232123844 2366.75 25 25 759509AF9 US759509AF91 -- 94.42 United States -- USD 1.26 5.8 1 Aug 15, 2025 1.3 1.26 -- 5.8 1.26 5.8 Aug 03, 2020 Aug 03, 2020 PEG PUBLIC SERVICE ELECTRIC AND GAS CO MTN Electric Fixed Income 2365 0.0020283326428212904 2365 26 26 74456QCF1 US74456QCF19 -- 92.41 United States -- USD 1.83 5.22 1 Mar 15, 2026 0.95 1.83 -- 5.22 1.83 5.22 Mar 04, 2021 Mar 04, 2021 VICI VICI PROPERTIES LP 144A Consumer Cyclical Fixed Income 2361.49 0.002025322305579725 2361.49 24 24 92564RAH8 US92564RAH84 BMGMNH1 96.45 United States -- USD 2.14 6.14 1 Sep 01, 2026 4.5 2.17 -- 6.14 2.17 6.14 Mar 01, 2022 Apr 29, 2022 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 2359.74 0.002023821425188631 2359.74 24 24 63743HFN7 US63743HFN70 -- 97.66 United States -- USD 4.16 5.41 1 Feb 07, 2029 4.85 4.16 -- 5.41 4.16 5.41 Feb 05, 2024 Feb 05, 2024 MRK MERCK & CO INC Consumer Non-Cyclical Fixed Income 2354.49 0.002019318784015349 2354.49 27 27 58933YBD6 US58933YBD67 -- 86.86 United States -- USD 4.29 5.13 1 Dec 10, 2028 1.9 4.29 -- 5.13 4.29 5.13 Dec 10, 2021 Dec 10, 2021 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 2352.73 0.0020178093271648774 2352.73 26 26 031162DD9 US031162DD92 -- 90.49 United States -- USD 4.36 5.26 1 Feb 22, 2029 3 4.37 -- 5.26 4.37 5.26 Feb 22, 2022 Feb 22, 2022 DHI D R HORTON INC Consumer Cyclical Fixed Income 2352.73 0.0020178093271648774 2352.73 25 25 23331ABN8 US23331ABN81 -- 95.57 United States -- USD 1.42 5.78 1 Oct 15, 2025 2.6 1.41 -- 5.78 1.41 5.78 May 05, 2020 May 05, 2020 KORGAS KOREA GAS CORPORATION MTN 144A Owned No Guarantee Fixed Income 2352.73 0.0020178093271648774 2352.73 25 25 50066AAL7 US50066AAL70 BZ4T3B9 93.18 Korea (South) -- USD 2.12 5.54 1 Jul 18, 2026 2.25 2.11 -- 5.54 2.11 5.54 Jul 18, 2016 Jul 18, 2016 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 2350.98 0.0020163084467737834 2350.98 24 24 74256LEY1 US74256LEY11 -- 97.64 United States -- USD 4.12 5.67 1 Jan 25, 2029 5.1 4.1 -- 5.67 4.1 5.67 Jan 25, 2024 Jan 25, 2024 DOV DOVER CORP Capital Goods Fixed Income 2349.23 0.0020148075663826894 2349.23 24 24 260003AM0 US260003AM01 BY7RFV7 96.36 United States -- USD 1.47 5.62 1 Nov 15, 2025 3.15 1.47 -- 5.62 1.47 5.62 Nov 03, 2015 Nov 03, 2015 DOC HCP INC Reits Fixed Income 2349.23 0.0020148075663826894 2349.23 24 24 40414LAN9 US40414LAN91 BXTSMF4 97.97 United States -- USD 1.04 5.93 1 Jun 01, 2025 4 1.04 -- 5.93 1.04 5.93 May 20, 2015 May 20, 2015 ORBIA ORBIA ADVANCE CORPORATION SAB DE C 144A Basic Industry Fixed Income 2349.23 0.0020148075663826894 2349.23 25 25 59284BAF5 US59284BAF58 BZ308J6 93.25 Mexico -- USD 3.13 6.21 1 Oct 04, 2027 4 3.14 -- 6.21 3.14 6.21 Oct 04, 2017 Oct 04, 2017 OC OWENS CORNING Capital Goods Fixed Income 2345.73 0.0020118058056005014 2345.73 25 25 690742AF8 US690742AF87 BD4G3W7 95.16 United States -- USD 2.15 5.67 1 Aug 15, 2026 3.4 2.16 -- 5.67 2.16 5.67 Aug 08, 2016 Aug 08, 2016 VMC VULCAN MATERIALS COMPANY Capital Goods Fixed Income 2345.73 0.0020118058056005014 2345.73 24 24 929160AT6 US929160AT60 BYQ6J57 96.01 United States -- USD 2.67 5.39 1 Apr 01, 2027 3.9 2.72 -- 5.39 2.72 5.39 Mar 14, 2017 Mar 14, 2017 INDOIS PERUSAHAAN PENERBIT SBSN INDONESIA Treasuries Fixed Income 2344.44 0.0020106994423407807 2344.44 234444 234444 -- IDP000004806 BNM1WC7 0.01 Indonesia -- USD 9.24 6.71 16187.5 Jun 15, 2039 6.5 9.26 -- 6.71 9.26 6.71 Dec 15, 2021 Jan 13, 2022 MTB M&T BANK CORPORATION MTN Banking Fixed Income 2343.97 0.0020102963487500297 2343.97 23 23 55261FAS3 US55261FAS39 BNVR680 103.37 United States -- USD 3.62 6.75 1 Oct 30, 2029 7.41 3.67 -- 6.54 3.68 6.54 Oct 30, 2023 Oct 30, 2023 KEY KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 2336.97 0.002004292827185654 2336.97 25 25 49327V2A1 US49327V2A11 BD96MR0 93.73 United States -- USD 1.93 6.69 1 May 20, 2026 3.4 1.92 -- 6.69 1.92 6.69 May 20, 2016 May 20, 2016 KOROIL KOREA NATIONAL OIL CORP MTN 144A Owned No Guarantee Fixed Income 2335.22 0.00200279194679456 2335.22 25 25 50066PAP5 US50066PAP53 BMD26V9 92.13 Korea (South) -- USD 1.88 5.57 1 Apr 07, 2026 1.25 1.88 -- 5.57 1.88 5.57 Apr 07, 2021 Apr 07, 2021 CSUCN CONSTELLATION SOFTWARE INC 144A Technology Fixed Income 2333.46 0.0020012824899440884 2333.46 24 24 21037XAC4 US21037XAC48 -- 97.73 Canada -- USD 4.15 5.7 1 Feb 16, 2029 5.16 4.15 -- 5.7 4.15 5.7 Feb 16, 2024 Feb 16, 2024 STT STATE STREET CORP Banking Fixed Income 2333.46 0.0020012824899440884 2333.46 23 23 857477BX0 US857477BX07 -- 100.17 United States -- USD 1.38 6.04 1 Nov 04, 2026 5.75 1.4 -- 5.63 1.4 5.63 Nov 04, 2022 Nov 04, 2022 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 2329.96 0.0019982807291619004 2329.96 26 26 65339KBJ8 US65339KBJ88 BJLTXW1 91.26 United States -- USD 4.4 5.55 1 Apr 01, 2029 3.5 4.42 -- 5.55 4.42 5.55 Apr 04, 2019 Apr 04, 2019 CKHH CK HUTCHISON INTERNATIONAL (17) LT 144A Industrial Other Fixed Income 2328.21 0.0019967798487708064 2328.21 25 25 12563UAB3 US12563UAB35 BYQCLK4 94.78 Hong Kong -- USD 2.75 5.44 1 Apr 05, 2027 3.5 2.74 -- 5.44 2.74 5.44 Apr 05, 2017 Apr 05, 2017 SO GEORGIA POWER COMPANY Electric Fixed Income 2326.46 0.0019952789683797124 2326.46 25 25 373334KH3 US373334KH31 BF02077 94.12 United States -- USD 2.71 5.45 1 Mar 30, 2027 3.25 2.73 -- 5.45 2.73 5.45 Mar 03, 2017 Mar 03, 2017 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU MTN 144A Insurance Fixed Income 2324.7 0.0019937695115292407 2324.7 23 23 29449WAP2 US29449WAP23 -- 99.39 United States -- USD 1.49 5.9 1 Dec 02, 2025 5.5 1.48 -- 5.9 1.48 5.9 Dec 02, 2022 Dec 02, 2022 EXC ATLANTIC CITY ELECTRIC CO Electric Fixed Income 2317.7 0.0019877659899648647 2317.7 25 25 048303CH2 US048303CH28 BGSJG13 94.33 United States -- USD 3.98 5.44 1 Oct 15, 2028 4 4.01 -- 5.44 4.01 5.44 Oct 16, 2018 Oct 16, 2018 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 2317.7 0.0019877659899648647 2317.7 24 24 21036PAP3 US21036PAP36 BYTY1G3 98.51 United States -- USD 1.49 5.73 1 Dec 01, 2025 4.75 1.49 -- 5.73 1.49 5.73 Dec 04, 2015 Dec 04, 2015 COF CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 2315.94 0.0019862565331143934 2315.94 23 23 14040HDE2 US14040HDE27 -- 98.6 United States -- USD 4.01 6.23 1 Feb 01, 2030 5.7 4.06 -- 6.04 4.06 6.04 Feb 01, 2024 Feb 01, 2024 CMI CUMMINS INC Consumer Cyclical Fixed Income 2315.94 0.0019862565331143934 2315.94 25 25 231021AU0 US231021AU00 -- 94.04 United States -- USD 1.31 5.39 1 Sep 01, 2025 0.75 1.31 -- 5.39 1.31 5.39 Aug 24, 2020 Aug 24, 2020 LHX L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 2314.19 0.0019847556527232994 2314.19 24 24 502431AS8 US502431AS85 -- 97.63 United States -- USD 4.43 5.58 1 Jun 01, 2029 5.05 4.41 -- 5.58 4.41 5.58 Mar 13, 2024 Mar 13, 2024 GL TORCHMARK CORPORATION Insurance Fixed Income 2312.44 0.0019832547723322054 2312.44 25 25 891027AS3 US891027AS33 BFZYYP4 92 United States -- USD 3.87 6.68 1 Sep 15, 2028 4.55 3.86 -- 6.68 3.86 6.68 Sep 27, 2018 Sep 27, 2018 EQIX EQUINIX INC Technology Fixed Income 2310.69 0.0019817538919411114 2310.69 25 25 29444UBQ8 US29444UBQ85 -- 91.74 United States -- USD 1.97 5.77 1 May 15, 2026 1.45 1.96 -- 5.77 1.96 5.77 May 17, 2021 May 17, 2021 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 2310.69 0.0019817538919411114 2310.69 24 24 709599BZ6 US709599BZ68 -- 98.08 United States -- USD 4.25 5.8 1 Mar 30, 2029 5.35 4.25 -- 5.8 4.25 5.8 Apr 02, 2024 Apr 02, 2024 ANZNZ AUSTRALIA AND NEW ZEALAND BANKING 144A Banking Fixed Income 2307.19 0.0019787521311589234 2307.19 25 25 00182EBF5 US00182EBF51 -- 93.83 New Zealand -- USD 2.98 5.56 1 Jul 17, 2027 3.45 2.96 -- 5.56 2.96 5.56 Jul 18, 2017 Jul 18, 2017 DOC HEALTHPEAK OP LLC Reits Fixed Income 2307.19 0.0019787521311589234 2307.19 27 27 42250PAD5 US42250PAD50 -- 86.42 United States -- USD 4.24 5.51 1 Dec 01, 2028 2.13 4.23 -- 5.51 4.23 5.51 Nov 24, 2021 Nov 24, 2021 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 2307.19 0.0019787521311589234 2307.19 23 23 69371RS72 US69371RS728 -- 99.93 United States -- USD 2.3 5.23 1 Nov 09, 2026 5.2 2.3 -- 5.23 2.3 5.23 Nov 09, 2023 Nov 09, 2023 EQNR EQUINOR ASA Owned No Guarantee Fixed Income 2305.43 0.0019772426743084517 2305.43 24 24 29446MAB8 US29446MAB81 BFYKMS2 94.31 Norway -- USD 3.92 5.09 1 Sep 10, 2028 3.63 3.96 -- 5.09 3.96 5.09 Sep 10, 2018 Sep 10, 2018 DOC PHYSICIANS REALTY LP Reits Fixed Income 2303.68 0.0019757417939173577 2303.68 24 24 71951QAB8 US71951QAB86 BD3JBP6 94.3 United States -- USD 3.34 5.67 1 Jan 15, 2028 3.95 3.36 -- 5.67 3.36 5.67 Dec 01, 2017 Dec 01, 2017 PL PROTECTIVE LIFE CORPORATION 144A Insurance Fixed Income 2303.68 0.0019757417939173577 2303.68 24 24 743674BD4 US743674BD46 BYW5475 95.27 United States -- USD 3.91 5.52 1 Sep 30, 2028 4.3 3.95 -- 5.52 3.95 5.52 Aug 23, 2018 Aug 23, 2018 HYUCAP HYUNDAI CAPITAL SERVICES INC MTN 144A Consumer Cyclical Fixed Income 2301.93 0.0019742409135262637 2301.93 25 25 44920UAP3 US44920UAP30 -- 92.29 Korea (South) -- USD 1.73 5.86 1 Feb 08, 2026 1.25 1.72 -- 5.86 1.72 5.86 Feb 08, 2021 Feb 08, 2021 HWM HOWMET AEROSPACE INC Capital Goods Fixed Income 2300.18 0.0019727400331351697 2300.18 22 22 022249AU0 US022249AU09 2767541 103.08 United States -- USD 3.23 5.82 1 Jan 15, 2028 6.75 3.21 -- 5.82 3.21 5.82 Jan 27, 1998 Jan 27, 1998 NNN NNN REIT INC Reits Fixed Income 2300.18 0.0019727400331351697 2300.18 24 24 637417AL0 US637417AL01 BF5HW04 94.76 United States -- USD 3.95 5.64 1 Oct 15, 2028 4.3 3.99 -- 5.64 3.99 5.64 Sep 27, 2018 Sep 27, 2018 CNHI CNH INDUSTRIAL CAPITAL LLC Capital Goods Fixed Income 2298.43 0.0019712391527440757 2298.43 23 23 12592BAP9 US12592BAP94 -- 99.72 United States -- USD 1.39 5.65 1 Oct 14, 2025 5.45 1.39 -- 5.65 1.39 5.65 Oct 14, 2022 Oct 14, 2022 HOG HARLEY-DAVIDSON FINANCIAL SERVICES MTN 144A Consumer Cyclical Fixed Income 2298.43 0.0019712391527440757 2298.43 25 25 41283LBA2 US41283LBA26 -- 92.65 United States -- USD 2.63 5.93 1 Feb 14, 2027 3.05 2.61 -- 5.93 2.61 5.93 Feb 14, 2022 Feb 14, 2022 HPE HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 2294.92 0.00196822881550251 2294.92 23 23 42824CBM0 US42824CBM01 -- 99.62 United States -- USD 0.91 6.31 1 Apr 01, 2026 6.1 1.79 -- 6.31 1.79 6.31 Mar 21, 2023 Mar 21, 2023 HYUCAP HYUNDAI CAPITAL SERVICES INC MTN 144A Consumer Cyclical Fixed Income 2294.92 0.00196822881550251 2294.92 24 24 44920UAV0 US44920UAV08 -- 96.95 Korea (South) -- USD 4.15 5.86 1 Feb 05, 2029 5.13 4.12 -- 5.86 4.12 5.86 Feb 05, 2024 Feb 05, 2024 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 2293.17 0.001966727935111416 2293.17 24 24 459200JR3 US459200JR30 BD06B61 95.15 United States -- USD 2.57 5.21 1 Jan 27, 2027 3.3 2.57 -- 5.21 2.57 5.21 Jan 27, 2017 Jan 27, 2017 R RYDER SYSTEM INC MTN Transportation Fixed Income 2293.17 0.001966727935111416 2293.17 25 25 78355HKT5 US78355HKT58 -- 93.05 United States -- USD 2.67 5.52 1 Mar 01, 2027 2.85 2.67 -- 5.52 2.67 5.52 Feb 24, 2022 Feb 24, 2022 MTNA ARCELORMITTAL SA Basic Industry Fixed Income 2291.42 0.001965227054720322 2291.42 23 23 03938LBA1 US03938LBA17 BJNXWZ7 97.73 Luxembourg -- USD 1.76 5.84 1 Mar 11, 2026 4.55 1.76 -- 5.84 1.76 5.84 Mar 11, 2019 Mar 11, 2019 HCA HCA INC Consumer Non-Cyclical Fixed Income 2289.67 0.001963726174329228 2289.67 25 25 404119CJ6 US404119CJ66 -- 89.82 United States -- USD 4.38 5.79 1 Mar 15, 2029 3.38 4.38 -- 5.79 4.38 5.79 Mar 15, 2023 Aug 07, 2023 CDW CDW LLC Technology Fixed Income 2287.92 0.001962225293938134 2287.92 26 26 12513GBH1 US12513GBH11 -- 89.38 United States -- USD 4.12 5.95 1 Dec 01, 2028 3.28 4.1 -- 5.95 4.1 5.95 Dec 01, 2021 Dec 01, 2021 DBSSP DBS GROUP HOLDINGS LTD MTN 144A Banking Fixed Income 2287.92 0.001962225293938134 2287.92 26 26 24023KAF5 US24023KAF57 -- 89.17 Singapore -- USD 2.77 5.29 1 Mar 15, 2027 1.19 2.77 -- 5.29 2.77 5.29 Sep 15, 2021 Sep 15, 2021 CNRCN CANADIAN NATIONAL RAILWAY COMPANY Transportation Fixed Income 2282.66 0.0019577140763054747 2282.66 24 24 136375CJ9 US136375CJ97 BYY7LC3 95.84 Canada -- USD 1.75 5.13 1 Mar 01, 2026 2.75 1.76 -- 5.13 1.76 5.13 Feb 23, 2016 Feb 23, 2016 RPM RPM INTERNATIONAL INC Basic Industry Fixed Income 2282.66 0.0019577140763054747 2282.66 24 24 749685AV5 US749685AV56 BF01Y27 94.76 United States -- USD 2.65 5.74 1 Mar 15, 2027 3.75 2.67 -- 5.74 2.67 5.74 Mar 02, 2017 Mar 02, 2017 AEE UNION ELECTRIC CO Electric Fixed Income 2282.66 0.0019577140763054747 2282.66 25 25 906548CP5 US906548CP55 BH3VZB4 92.01 United States -- USD 4.35 5.38 1 Mar 15, 2029 3.5 4.38 -- 5.38 4.38 5.38 Mar 06, 2019 Mar 06, 2019 GPK GRAPHIC PACKAGING INTERNATIONAL LL 144A Basic Industry Fixed Income 2280.91 0.0019562131959143807 2280.91 25 25 38869PAP9 US38869PAP99 -- 91.59 United States -- USD 1.9 6.11 1 Apr 15, 2026 1.51 1.89 -- 6.11 1.89 6.11 Mar 08, 2021 Mar 08, 2021 MCK MCKESSON CORP Consumer Non-Cyclical Fixed Income 2280.91 0.0019562131959143807 2280.91 24 24 581557BJ3 US581557BJ38 BFWZ8C5 95.11 United States -- USD 3.41 5.39 1 Feb 16, 2028 3.95 3.45 -- 5.39 3.45 5.39 Feb 16, 2018 Feb 16, 2018 OBDC OWL ROCK CAPITAL CORP Finance Companies Fixed Income 2280.91 0.0019562131959143807 2280.91 26 26 69121KAG9 US69121KAG94 -- 87.2 United States -- USD 3.77 6.46 1 Jun 11, 2028 2.88 3.74 -- 6.46 3.74 6.46 Jun 11, 2021 Jun 11, 2021 WELL WELLTOWER OP LLC Reits Fixed Income 2275.65 0.001951701978281721 2275.65 27 27 95040QAN4 US95040QAN43 -- 85.32 United States -- USD 4.37 5.63 1 Jan 15, 2029 2.05 4.35 -- 5.63 4.35 5.63 Jun 28, 2021 Jun 28, 2021 KMB KIMBERLY-CLARK CORPORATION Consumer Non-Cyclical Fixed Income 2272.15 0.001948700217499533 2272.15 24 24 494368BU6 US494368BU61 BYXB6F4 95.91 United States -- USD 1.73 5.15 1 Feb 15, 2026 2.75 1.72 -- 5.15 1.72 5.15 Feb 22, 2016 Feb 22, 2016 MPC MARATHON PETROLEUM CORP Energy Fixed Income 2272.15 0.001948700217499533 2272.15 24 24 56585ABD3 US56585ABD37 BK203R5 94.16 United States -- USD 3.55 5.47 1 Apr 01, 2028 3.8 3.57 -- 5.47 3.57 5.47 Apr 01, 2019 May 22, 2019 AN AUTONATION INC Consumer Cyclical Fixed Income 2270.4 0.001947199337108439 2270.4 27 27 05329WAR3 US05329WAR34 -- 85.03 United States -- USD 3.98 5.97 1 Aug 01, 2028 1.95 3.96 -- 5.97 3.96 5.97 Jul 29, 2021 Jul 29, 2021 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2268.64 0.0019456898802579674 2268.64 25 25 24422EVW6 US24422EVW64 -- 91 United States -- USD 2.37 5.24 1 Oct 13, 2026 1.3 2.37 -- 5.24 2.37 5.24 Oct 13, 2021 Oct 13, 2021 MITHCC MITSUBISHI HC FINANCE AMERICA LLC 144A Finance Companies Fixed Income 2268.64 0.0019456898802579674 2268.64 23 23 606790AB9 US606790AB96 -- 100.13 Japan -- USD 3.79 5.77 1 Sep 12, 2028 5.81 3.8 -- 5.77 3.8 5.77 Sep 12, 2023 Sep 12, 2023 NDAQ NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 2266.89 0.0019441889998668734 2266.89 23 23 63111XAG6 US63111XAG60 -- 99.94 United States -- USD 1.11 5.7 1 Jun 28, 2025 5.65 1.1 -- 5.7 1.1 5.7 Jun 28, 2023 Jun 28, 2023 PCG PACIFIC GAS AND ELECTRIC CO Electric Fixed Income 2266.89 0.0019441889998668734 2266.89 24 24 694308HS9 US694308HS91 BYXYH72 93.68 United States -- USD 2.67 5.7 1 Mar 15, 2027 3.3 2.69 -- 5.7 2.69 5.7 Mar 10, 2017 Mar 10, 2017 SHW SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 2263.39 0.0019411872390846855 2263.39 23 23 824348AR7 US824348AR78 BYW41J3 97.2 United States -- USD 1.21 5.77 1 Aug 01, 2025 3.45 1.21 -- 5.77 1.21 5.77 Jul 31, 2015 Jul 31, 2015 EQNR EQUINOR ASA Owned No Guarantee Fixed Income 2261.64 0.0019396863586935915 2261.64 22 22 656531AD2 US656531AD28 2106229 102.52 Norway -- USD 1.43 5.44 1 Nov 15, 2025 7.15 1.42 -- 5.44 1.42 5.44 Nov 15, 1995 Nov 17, 1995 ETR ENTERGY LOUISIANA LLC Electric Fixed Income 2258.13 0.0019366760214520257 2258.13 24 24 29364WAY4 US29364WAY49 BZ0BJP5 93.23 United States -- USD 2.31 5.4 1 Oct 01, 2026 2.4 2.31 -- 5.4 2.31 5.4 Oct 04, 2016 Oct 04, 2016 BCRED BLACKSTONE PRIVATE CREDIT FUND 144A Finance Companies Fixed Income 2256.38 0.0019351751410609317 2256.38 22 22 09261HBB2 US09261HBB24 -- 102.61 United States -- USD 3.76 6.63 1 Nov 27, 2028 7.3 3.75 -- 6.63 3.69 6.63 Nov 27, 2023 Nov 27, 2023 DNBNO DNB BANK ASA MTN 144A Banking Fixed Income 2256.38 0.0019351751410609317 2256.38 24 24 23329PAF7 US23329PAF71 -- 93.67 Norway -- USD 1.35 5.98 1 Sep 16, 2026 1.13 1.34 -- 5.93 1.34 5.93 Sep 16, 2020 Sep 16, 2020 AER AERCAP IRELAND CAPITAL DAC / AERCA Finance Companies Fixed Income 2252.88 0.001932173380278744 2252.88 24 24 00774MAE5 US00774MAE57 BFNJ8W6 93.26 Ireland -- USD 3.37 5.9 1 Jan 23, 2028 3.88 3.38 -- 5.9 3.38 5.9 Jan 23, 2018 Jan 23, 2018 SO SOUTHERN COMPANY (THE) Electric Fixed Income 2251.13 0.00193067249988765 2251.13 26 26 842587DH7 US842587DH79 -- 86.75 United States -- USD 3.67 5.59 1 Mar 15, 2028 1.75 3.66 -- 5.59 3.66 5.59 Feb 26, 2021 Feb 26, 2021 STT STATE STREET CORP Banking Fixed Income 2251.13 0.00193067249988765 2251.13 25 25 857477BQ5 US857477BQ55 -- 91.35 United States -- USD 2.45 5.51 1 Nov 18, 2027 1.68 2.43 -- 5.34 2.43 5.34 Nov 18, 2021 Nov 18, 2021 BAC BANK OF AMERICA CORP Banking Fixed Income 2249.37 0.0019291630430371782 2249.37 22 22 59022CAB9 US59022CAB90 B1DWW69 101.42 United States -- USD 2.19 5.57 1 Sep 15, 2026 6.22 2.18 -- 5.57 2.18 5.57 Sep 12, 2006 Sep 12, 2006 PHM PULTE GROUP INC Consumer Cyclical Fixed Income 2249.37 0.0019291630430371782 2249.37 23 23 745867AW1 US745867AW12 BD319W5 99.61 United States -- USD 1.61 5.72 1 Mar 01, 2026 5.5 1.72 -- 5.72 1.72 5.72 Mar 01, 2016 Mar 01, 2016 HXL HEXCEL CORPORATION Capital Goods Fixed Income 2247.62 0.0019276621626460842 2247.62 24 24 428291AN8 US428291AN87 BYWC807 95.3 United States -- USD 2.56 6.04 1 Feb 15, 2027 4.2 2.57 -- 6.04 2.57 6.04 Feb 16, 2017 Feb 16, 2017 AEP SOUTHWESTERN ELECTRIC POWER COMPAN Electric Fixed Income 2247.62 0.0019276621626460842 2247.62 24 24 845437BP6 US845437BP68 BYVZDD5 93.29 United States -- USD 2.3 5.74 1 Oct 01, 2026 2.75 2.3 -- 5.74 2.3 5.74 Sep 29, 2016 Sep 29, 2016 ANTHOL ANTARES HOLDINGS LP 144A Owned No Guarantee Fixed Income 2245.87 0.0019261612822549902 2245.87 24 24 03666HAC5 US03666HAC51 -- 93.68 Canada -- USD 2.07 7.07 1 Jul 15, 2026 3.95 2.05 -- 7.07 2.05 7.07 Jan 26, 2021 Jan 26, 2021 TAQAUH ABU DHABI NATIONAL ENERGY COMPANY MTN 144A Owned No Guarantee Fixed Income 2244.12 0.0019246604018638962 2244.12 26 26 00388WAJ0 US00388WAJ09 -- 87.44 United Arab Emirates -- USD 3.73 5.53 1 Apr 29, 2028 2 3.72 -- 5.53 3.72 5.53 Apr 29, 2021 Apr 29, 2021 KMT KENNAMETAL INC Capital Goods Fixed Income 2244.12 0.0019246604018638962 2244.12 23 23 489170AE0 US489170AE03 BDD8528 96.2 United States -- USD 3.59 5.67 1 Jun 15, 2028 4.63 3.64 -- 5.67 3.64 5.67 Jun 07, 2018 Jun 07, 2018 BIO BIO-RAD LABORATORIES INC Consumer Non-Cyclical Fixed Income 2240.62 0.0019216586410817083 2240.62 24 24 090572AR9 US090572AR99 -- 94 United States -- USD 2.69 5.58 1 Mar 15, 2027 3.3 2.69 -- 5.58 2.69 5.58 Mar 02, 2022 Mar 02, 2022 JNPR JUNIPER NETWORKS INC Technology Fixed Income 2240.62 0.0019216586410817083 2240.62 24 24 48203RAN4 US48203RAN44 -- 92.77 United States -- USD 1.57 5.93 1 Dec 10, 2025 1.2 1.56 -- 5.93 1.56 5.93 Dec 10, 2020 Dec 10, 2020 PENSKE PENSKE TRUCK LEASING CO LP / PTL F 144A Transportation Fixed Income 2240.62 0.0019216586410817083 2240.62 23 23 709599AX2 US709599AX20 BD8QKH7 96.01 United States -- USD 2.66 5.69 1 Apr 01, 2027 4.2 2.7 -- 5.69 2.7 5.69 Mar 20, 2017 Mar 20, 2017 NRUC NATIONAL RURAL UTILITIES COOPERATI Electric Fixed Income 2238.86 0.0019201491842312367 2238.86 24 24 637432NN1 US637432NN13 BYX2XG7 93.65 United States -- USD 2.79 5.37 1 Apr 25, 2027 3.05 2.81 -- 5.37 2.81 5.37 Apr 25, 2017 Apr 25, 2017 C CITIGROUP INC Banking Fixed Income 2237.11 0.0019186483038401427 2237.11 21 21 172967AR2 US172967AR23 2551142 104.16 United States -- USD 3.24 5.37 1 Jan 15, 2028 6.63 3.23 -- 5.37 3.23 5.37 Jan 09, 1998 Jan 09, 1998 KD KYNDRYL HOLDINGS INC Technology Fixed Income 2237.11 0.0019186483038401427 2237.11 26 26 50155QAK6 US50155QAK67 -- 87.21 United States -- USD 4.12 6 1 Oct 15, 2028 2.7 4.1 -- 6 4.1 6 Apr 15, 2022 Sep 23, 2022 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 2235.36 0.0019171474234490487 2235.36 24 24 02665WBH3 US02665WBH34 BD8F5P7 93.28 United States -- USD 2.26 5.35 1 Sep 09, 2026 2.3 2.25 -- 5.35 2.25 5.35 Sep 09, 2016 Sep 09, 2016 KIM KIMCO REALTY OP LLC Reits Fixed Income 2235.36 0.0019171474234490487 2235.36 24 24 49446RAP4 US49446RAP47 BZC0T38 93.97 United States -- USD 2.29 5.48 1 Oct 01, 2026 2.8 2.3 -- 5.48 2.3 5.48 Aug 18, 2016 Aug 18, 2016 CFELEC COMISION FEDERAL DE ELECTRICIDAD 144A Owned No Guarantee Fixed Income 2233.61 0.0019156465430579547 2233.61 23 23 200447AF7 US200447AF75 BYM7FH8 96.42 Mexico -- USD 2.6 6.14 1 Feb 23, 2027 4.75 2.58 -- 6.14 2.58 6.14 Oct 18, 2016 Oct 18, 2016 SYNNVX SYNGENTA FINANCE NV 144A Owned No Guarantee Fixed Income 2233.61 0.0019156465430579547 2233.61 23 23 87164KAC8 US87164KAC80 BFFZHS1 97.38 Switzerland -- USD 3.5 5.93 1 Apr 24, 2028 5.18 3.55 -- 5.93 3.55 5.93 Apr 24, 2018 Apr 24, 2018 CP CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 2230.1 0.0019126362058163892 2230.1 23 23 13645RAY0 US13645RAY09 BFM2GZ5 95.14 Canada -- USD 3.61 5.33 1 Jun 01, 2028 4 3.65 -- 5.33 3.65 5.33 May 16, 2018 May 16, 2018 KHC KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 2228.35 0.0019111353254252952 2228.35 23 23 50077LAT3 US50077LAT35 BG1ZYX6 96.82 United States -- USD 4.11 5.39 1 Jan 30, 2029 4.63 4.16 -- 5.39 4.16 5.39 Jun 15, 2018 Jun 15, 2018 HUBB HUBBELL INCORPORATED Capital Goods Fixed Income 2226.6 0.0019096344450342012 2226.6 23 23 443510AG7 US443510AG72 BYZ7359 96.03 United States -- USD 1.74 5.64 1 Mar 01, 2026 3.35 1.75 -- 5.64 1.75 5.64 Mar 01, 2016 Mar 01, 2016 ICICI ICICI BANK LTD (DUBAI BRANCH) MTN 144A Banking Fixed Income 2226.6 0.0019096344450342012 2226.6 23 23 45112EAG4 US45112EAG44 BYQJLX8 96.79 India -- USD 1.79 5.81 1 Mar 18, 2026 4 1.79 -- 5.81 1.79 5.81 Mar 18, 2016 Mar 18, 2016 AN AUTONATION INC Consumer Cyclical Fixed Income 2224.85 0.0019081335646431072 2224.85 23 23 05329WAM4 US05329WAM47 BYSD5F8 98.07 United States -- USD 1.33 5.92 1 Oct 01, 2025 4.5 1.36 -- 5.92 1.36 5.92 Sep 21, 2015 Sep 21, 2015 JEF JEFFERIES GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 2224.85 0.0019081335646431072 2224.85 22 22 472319AE2 US472319AE27 B1YKFT6 101.82 United States -- USD 2.75 5.8 1 Jun 08, 2027 6.45 2.73 -- 5.8 2.73 5.8 Jun 08, 2007 Jun 08, 2007 GIS GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 2221.35 0.0019051318038609192 2221.35 22 22 370334CS1 US370334CS18 -- 99.44 United States -- USD 0.96 5.62 1 Nov 18, 2025 5.24 1.45 -- 5.62 1.45 5.62 Nov 18, 2022 Nov 18, 2022 JXN JACKSON NATIONAL LIFE GLOBAL FUNDI 144A Insurance Fixed Income 2221.35 0.0019051318038609192 2221.35 23 23 46849LTC5 US46849LTC53 -- 97.51 United States -- USD 1.07 6.19 1 Jun 11, 2025 3.88 1.07 -- 6.19 1.07 6.19 Jun 11, 2018 Jun 11, 2018 STZ CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 2219.59 0.0019036223470104475 2219.59 23 23 21036PBQ0 US21036PBQ00 -- 97.06 United States -- USD 4.1 5.51 1 Jan 15, 2029 4.8 4.1 -- 5.51 4.1 5.51 Jan 11, 2024 Jan 11, 2024 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 2219.59 0.0019036223470104475 2219.59 23 23 606822AN4 US606822AN45 BD8BY70 95.57 Japan -- USD 2.63 5.39 1 Feb 22, 2027 3.68 2.62 -- 5.39 2.62 5.39 Feb 22, 2017 Feb 22, 2017 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 2219.59 0.0019036223470104475 2219.59 22 22 74256LEX3 US74256LEX38 -- 98.95 United States -- USD 2.49 5.42 1 Jan 16, 2027 5 2.48 -- 5.42 2.48 5.42 Jan 16, 2024 Jan 16, 2024 T AT&T INC Communications Fixed Income 2217.84 0.0019021214666193535 2217.84 23 23 00206RHV7 US00206RHV78 BK5YQ08 94.79 United States -- USD 2.08 5.47 1 Jul 15, 2026 2.95 2.09 -- 5.47 2.09 5.47 Jan 15, 2019 Jun 05, 2019 CE CELANESE US HOLDINGS LLC Basic Industry Fixed Income 2217.84 0.0019021214666193535 2217.84 24 24 15089QAK0 US15089QAK04 -- 90.75 United States -- USD 2.19 5.79 1 Aug 05, 2026 1.4 2.18 -- 5.79 2.18 5.79 Aug 05, 2021 Aug 05, 2021 AL AIR LEASE CORPORATION Finance Companies Fixed Income 2214.34 0.0018991197058371657 2214.34 23 23 00912XBF0 US00912XBF06 BFXR1J8 95.56 United States -- USD 3.89 5.77 1 Oct 01, 2028 4.63 3.92 -- 5.77 3.92 5.77 Sep 17, 2018 Sep 17, 2018 HRL HORMEL FOODS CORPORATION Consumer Non-Cyclical Fixed Income 2214.34 0.0018991197058371657 2214.34 22 22 440452AK6 US440452AK64 -- 98.87 United States -- USD 2.65 5.22 1 Mar 30, 2027 4.8 2.68 -- 5.22 2.68 5.22 Mar 08, 2024 Mar 08, 2024 HUM HUMANA INC Insurance Fixed Income 2214.34 0.0018991197058371657 2214.34 22 22 444859BZ4 US444859BZ42 -- 100.39 United States -- USD 3.88 5.65 1 Dec 01, 2028 5.75 3.89 -- 5.65 3.83 5.65 Nov 09, 2023 Nov 09, 2023 EQT EQT CORP 144A Energy Fixed Income 2212.59 0.0018976188254460717 2212.59 23 23 26884LAM1 US26884LAM19 -- 94.41 United States -- USD 1.91 6.06 1 May 15, 2026 3.13 1.92 -- 6.06 1.92 6.06 May 17, 2021 May 17, 2021 CL COLGATE-PALMOLIVE CO Consumer Non-Cyclical Fixed Income 2210.83 0.0018961093685956 2210.83 22 22 194162AR4 US194162AR46 -- 98.91 United States -- USD 3.43 4.91 1 Mar 01, 2028 4.6 3.46 -- 4.91 3.46 4.91 Mar 01, 2023 Mar 01, 2023 JLL JONES LANG LASALLE INCORPORATED Consumer Cyclical Fixed Income 2209.08 0.001894608488204506 2209.08 21 21 48020QAB3 US48020QAB32 -- 103.43 United States -- USD 3.79 6.01 1 Dec 01, 2028 6.88 3.8 -- 6 3.74 6 Nov 13, 2023 Nov 13, 2023 AALLN ANGLO AMERICAN CAPITAL PLC 144A Basic Industry Fixed Income 2207.33 0.001893107607813412 2207.33 24 24 034863BB5 US034863BB50 BPW7CL8 92.26 South Africa -- USD 4.33 5.71 1 Mar 16, 2029 3.88 4.34 -- 5.71 4.34 5.71 Mar 16, 2022 Mar 16, 2022 NXPI NXP BV Technology Fixed Income 2207.33 0.001893107607813412 2207.33 23 23 62954HBE7 US62954HBE71 -- 96.88 United States -- USD 2.79 5.51 1 Jun 01, 2027 4.4 2.8 -- 5.51 2.8 5.51 May 16, 2022 May 16, 2022 DGFP VINCI SA 144A Transportation Fixed Income 2207.33 0.001893107607813412 2207.33 24 24 927320AA9 US927320AA96 BGSLVF8 93.57 France -- USD 4.4 5.24 1 Apr 10, 2029 3.75 4.43 -- 5.24 4.43 5.24 Apr 10, 2019 Apr 10, 2019 D DOMINION RESOURCES INC/VA Electric Fixed Income 2205.58 0.001891606727422318 2205.58 23 23 25746UCK3 US25746UCK34 BZ03LH7 94.23 United States -- USD 2.17 5.55 1 Aug 15, 2026 2.85 2.17 -- 5.55 2.17 5.55 Aug 09, 2016 Aug 09, 2016 BC BRUNSWICK CORP Consumer Non-Cyclical Fixed Income 2200.32 0.0018870955097896585 2200.32 22 22 117043AW9 US117043AW94 -- 99.03 United States -- USD 4.17 6.08 1 Mar 18, 2029 5.85 4.17 -- 6.08 4.17 6.08 Mar 18, 2024 Mar 18, 2024 CAG CONAGRA FOODS INC Consumer Non-Cyclical Fixed Income 2196.82 0.0018840937490074705 2196.82 21 21 205887AF9 US205887AF97 2151337 103.37 United States -- USD 2.22 5.62 1 Oct 01, 2026 7.13 2.21 -- 5.62 2.21 5.62 Oct 03, 1996 Oct 03, 1996 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2196.82 0.0018840937490074705 2196.82 24 24 74368CBH6 US74368CBH60 -- 90.34 United States -- USD 2.31 5.66 1 Sep 20, 2026 1.3 2.3 -- 5.66 2.3 5.66 Sep 20, 2021 Sep 20, 2021 NFG NATIONAL FUEL GAS CO Energy Fixed Income 2193.32 0.0018810919882252825 2193.32 22 22 636180BM2 US636180BM22 BYTH9W4 99.15 United States -- USD 1.08 5.92 1 Jul 15, 2025 5.2 1.15 -- 5.92 1.15 5.92 Jun 25, 2015 Jun 25, 2015 UOBSP UNITED OVERSEAS BANK LTD MTN 144A Banking Fixed Income 2193.32 0.0018810919882252825 2193.32 24 24 91127KAE2 US91127KAE29 BN4N061 91.27 Singapore -- USD 2.33 5.9 1 Oct 14, 2031 2 2.32 -- 5.85 2.35 5.85 Apr 14, 2021 Apr 14, 2021 TCLAU TRANSURBAN FINANCE COMPANY PTY LTD 144A Transportation Fixed Income 2191.56 0.001879582531374811 2191.56 23 23 89400PAG8 US89400PAG81 BZCR898 93.6 Australia -- USD 2.69 5.8 1 Mar 22, 2027 3.38 2.7 -- 5.8 2.7 5.8 Sep 22, 2016 Sep 22, 2016 AMH AMERICAN HOMES 4 RENT LP Reits Fixed Income 2189.81 0.001878081650983717 2189.81 23 23 02666TAB3 US02666TAB35 BJCYLG5 96.16 United States -- USD 4.13 5.82 1 Feb 15, 2029 4.9 4.17 -- 5.82 4.17 5.82 Jan 23, 2019 Jan 23, 2019 VW VOLKSWAGEN GROUP OF AMERICA (FRN) 144A Consumer Cyclical Fixed Income 2186.37 0.001875131348957795 2186.37 22 22 928668CD2 US928668CD24 -- 100.17 Germany -- USD 0.01 6.22 1 Mar 20, 2026 6.16 0.15 -- 6.22 0.15 6.22 Mar 22, 2024 Mar 22, 2024 CAT CATERPILLAR FINANCIAL SERVICES COR Capital Goods Fixed Income 2186.31 0.001875079890201529 2186.31 22 22 14913UAE0 US14913UAE01 -- 98.42 United States -- USD 2.48 5.13 1 Jan 08, 2027 4.5 2.48 -- 5.13 2.48 5.13 Jan 08, 2024 Jan 08, 2024 D VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 2186.31 0.001875079890201529 2186.31 23 23 927804FV1 US927804FV18 BYMCDX5 94.23 United States -- USD 2.37 5.4 1 Nov 15, 2026 2.95 2.38 -- 5.4 2.38 5.4 Nov 16, 2016 Nov 16, 2016 BK BANK OF NEW YORK MELLON/THE MTN Banking Fixed Income 2184.56 0.001873579009810435 2184.56 22 22 06405LAD3 US06405LAD38 -- 99.49 United States -- USD 1.01 6.02 1 May 22, 2026 5.15 1.01 -- 5.64 1.01 5.64 May 24, 2023 May 24, 2023 EBAY EBAY INC Consumer Cyclical Fixed Income 2182.8 0.0018720695529599633 2182.8 22 22 278642BC6 US278642BC68 -- 100.26 United States -- USD 1.42 5.72 1 Nov 22, 2025 5.9 1.45 -- 5.72 1.38 5.72 Nov 22, 2022 Nov 22, 2022 EFNCN ELEMENT FLEET MANAGEMENT CORP 144A Transportation Fixed Income 2179.3 0.0018690677921777753 2179.3 22 22 286181AM4 US286181AM42 -- 99.35 Canada -- USD 2.59 5.89 1 Mar 13, 2027 5.64 2.61 -- 5.89 2.61 5.89 Mar 13, 2024 Mar 13, 2024 HOG HARLEY-DAVIDSON INC Consumer Cyclical Fixed Income 2179.3 0.0018690677921777753 2179.3 22 22 412822AD0 US412822AD08 BYZ7VL1 97.05 United States -- USD 1.2 5.96 1 Jul 28, 2025 3.5 1.2 -- 5.96 1.2 5.96 Jul 28, 2015 Jul 28, 2015 SECBEN SBL HOLDINGS LLC 144A Insurance Fixed Income 2177.55 0.0018675669117866813 2177.55 23 23 78432MAA3 US78432MAA36 -- 94.51 United States -- USD 2.29 7.53 1 Nov 13, 2026 5.13 2.28 -- 7.53 2.28 7.53 Nov 13, 2019 Nov 13, 2019 AZO AUTOZONE INC Consumer Cyclical Fixed Income 2175.8 0.0018660660313955873 2175.8 23 23 053332AW2 US053332AW26 BJLVV45 92.6 United States -- USD 4.42 5.47 1 Apr 18, 2029 3.75 4.45 -- 5.47 4.45 5.47 Apr 18, 2019 Apr 18, 2019 BXBAU BRAMBLES USA INC 144A Transportation Fixed Income 2172.29 0.0018630556941540218 2172.29 22 22 10510KAC1 US10510KAC18 BYQ5FH8 97.43 Australia -- USD 1.41 5.95 1 Oct 23, 2025 4.13 1.42 -- 5.95 1.42 5.95 Oct 23, 2015 Oct 23, 2015 CMS CMS ENERGY CORPORATION Electric Fixed Income 2170.54 0.0018615548137629278 2170.54 23 23 125896BS8 US125896BS82 BYYQJF9 94.47 United States -- USD 3.02 5.29 1 Aug 15, 2027 3.45 3.05 -- 5.29 3.05 5.29 Feb 13, 2017 Feb 13, 2017 AMXLMM AMERICA MOVIL SAB DE CV Communications Fixed Income 2165.29 0.0018570521725896458 2165.29 24 24 02364WBH7 US02364WBH79 BK7K1Y3 91.55 Mexico -- USD 4.45 5.59 1 Apr 22, 2029 3.63 4.46 -- 5.59 4.46 5.59 Apr 22, 2019 Apr 22, 2019 SWK STANLEY BLACK & DECKER INC Capital Goods Fixed Income 2163.53 0.0018555427157391743 2163.53 23 23 854502AH4 US854502AH46 BFY3NH7 95.01 United States -- USD 3.95 5.5 1 Nov 15, 2028 4.25 3.99 -- 5.5 3.99 5.5 Nov 06, 2018 Nov 06, 2018 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 2163.53 0.0018555427157391743 2163.53 22 22 91324PEZ1 US91324PEZ18 -- 97.7 United States -- USD 4.34 5.23 1 Apr 15, 2029 4.7 4.35 -- 5.23 4.35 5.23 Mar 21, 2024 Mar 21, 2024 EPR EPR PROPERTIES Reits Fixed Income 2161.78 0.0018540418353480803 2161.78 23 23 26884UAC3 US26884UAC36 BDRYQ07 95.96 United States -- USD 2.36 6.44 1 Dec 15, 2026 4.75 2.39 -- 6.44 2.39 6.44 Dec 14, 2016 Dec 14, 2016 DLR DIGITAL REALTY TRUST LP Reits Fixed Income 2156.53 0.0018495391941747983 2156.53 23 23 25389JAT3 US25389JAT34 BDZSS16 95.32 United States -- USD 3.7 5.71 1 Jul 15, 2028 4.45 3.73 -- 5.71 3.73 5.71 Jun 21, 2018 Jun 21, 2018 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 2156.53 0.0018495391941747983 2156.53 25 25 86562MCN8 US86562MCN83 -- 87.49 Japan -- USD 4.33 5.52 1 Jan 14, 2029 2.47 4.31 -- 5.52 4.31 5.52 Jan 14, 2022 Jan 14, 2022 SUCN SUNCOR ENERGY INC Energy Fixed Income 2154.77 0.0018480297373243265 2154.77 21 21 71644EAF9 US71644EAF97 2320557 105.04 Canada -- USD 3.79 5.73 1 Nov 15, 2028 7 3.77 -- 5.73 3.77 5.73 Nov 24, 1998 Nov 24, 1998 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2153.02 0.0018465288569332325 2153.02 22 22 24422EXK0 US24422EXK09 -- 99.49 United States -- USD 1.75 5.24 1 Mar 06, 2026 4.95 1.75 -- 5.24 1.75 5.24 Mar 07, 2024 Mar 07, 2024 AEE AMEREN CORPORATION Electric Fixed Income 2151.27 0.0018450279765421386 2151.27 22 22 023608AG7 US023608AG75 BDCBVH5 96.39 United States -- USD 1.7 5.78 1 Feb 15, 2026 3.65 1.7 -- 5.78 1.7 5.78 Nov 24, 2015 Nov 24, 2015 LPLA LPL HOLDINGS INC 144A Brokerage/Asset Managers/Exchanges Fixed Income 2149.52 0.0018435270961510448 2149.52 23 23 50212YAC8 US50212YAC84 BK8J5W5 95.08 United States -- USD 2.76 6.19 1 Nov 15, 2027 4.63 3.15 -- 6.19 3.15 6.19 Nov 12, 2019 Nov 12, 2019 OKE ONEOK INC Energy Fixed Income 2149.52 0.0018435270961510448 2149.52 23 23 682680BA0 US682680BA09 -- 95.23 United States -- USD 1.34 5.82 1 Sep 15, 2025 2.2 1.33 -- 5.82 1.33 5.82 Mar 10, 2020 Mar 10, 2020 GULFNG GULFSTREAM NATURAL GAS SYSTEMS 144A Energy Fixed Income 2140.76 0.001836014117736197 2140.76 21 21 402740AB0 US402740AB00 B0MTR47 99.91 United States -- USD 1.4 6.25 1 Nov 01, 2025 6.19 1.39 -- 6.25 1.39 6.25 Oct 26, 2005 Oct 26, 2005 KIM KIMCO REALTY OP LLC Reits Fixed Income 2139.01 0.001834513237345103 2139.01 25 25 49446RAX7 US49446RAX70 BKPTTY8 87.2 United States -- USD 3.62 5.64 1 Mar 01, 2028 1.9 3.61 -- 5.64 3.61 5.64 Aug 24, 2020 Aug 24, 2020 ROST ROSS STORES INC Consumer Cyclical Fixed Income 2139.01 0.001834513237345103 2139.01 23 23 778296AF0 US778296AF07 -- 91.52 United States -- USD 1.91 5.47 1 Apr 15, 2026 0.88 1.91 -- 5.47 1.91 5.47 Oct 21, 2020 Oct 21, 2020 ESS ESSEX PROPERTY TRUST INC Reits Fixed Income 2137.26 0.001833012356954009 2137.26 25 25 29717PAY3 US29717PAY34 -- 86.1 United States -- USD 3.63 5.78 1 Mar 01, 2028 1.7 3.62 -- 5.78 3.62 5.78 Mar 01, 2021 Mar 01, 2021 ES CONNECTICUT LIGHT AND POWER COMPAN Electric Fixed Income 2135.5 0.0018315029001035375 2135.5 23 23 207597EM3 US207597EM34 -- 93.08 United States -- USD 1.55 5.32 1 Dec 01, 2025 0.75 1.55 -- 5.32 1.55 5.32 Dec 01, 2020 Dec 01, 2020 HD HOME DEPOT INC Consumer Cyclical Fixed Income 2135.5 0.0018315029001035375 2135.5 25 25 437076CH3 US437076CH36 -- 85.97 United States -- USD 4.14 5.11 1 Sep 15, 2028 1.5 4.14 -- 5.11 4.14 5.11 Sep 21, 2021 Sep 21, 2021 OLYMPU OLYMPUS CORP 144A Consumer Non-Cyclical Fixed Income 2135.5 0.0018315029001035375 2135.5 23 23 68163WAA7 US68163WAA71 -- 91.39 Japan -- USD 2.47 5.73 1 Dec 08, 2026 2.14 2.47 -- 5.73 2.47 5.73 Dec 08, 2021 Dec 08, 2021 FNF FIDELITY NATIONAL FINANCIAL INC Insurance Fixed Income 2133.75 0.0018300020197124435 2133.75 22 22 31620RAH8 US31620RAH84 BKDZTM6 94.87 United States -- USD 3.77 5.86 1 Aug 15, 2028 4.5 3.8 -- 5.86 3.8 5.86 Feb 15, 2019 Jun 17, 2019 KDP KEURIG DR PEPPER INC (FXD) Consumer Non-Cyclical Fixed Income 2133.75 0.0018300020197124435 2133.75 22 22 49271VAW0 US49271VAW00 -- 99.23 United States -- USD 2.6 5.39 1 Mar 15, 2027 5.1 2.63 -- 5.39 2.63 5.39 Mar 07, 2024 Mar 07, 2024 NIPDES DENSO CORPORATION 144A Consumer Cyclical Fixed Income 2130.25 0.0018270002589302556 2130.25 24 24 24872BAA8 US24872BAA89 BNYDGB8 90.25 Japan -- USD 2.3 5.66 1 Sep 16, 2026 1.24 2.29 -- 5.66 2.29 5.66 Sep 16, 2021 Sep 16, 2021 AEP APPALACHIAN POWER CO Electric Fixed Income 2128.5 0.0018254993785391616 2128.5 22 22 037735CU9 US037735CU97 BXPB5S1 97.47 United States -- USD 1.05 5.8 1 Jun 01, 2025 3.4 1.04 -- 5.8 1.04 5.8 May 18, 2015 May 18, 2015 CABKSM CAIXABANK SA (FXD-FRN) MTN 144A Banking Fixed Income 2128.5 0.0018254993785391616 2128.5 21 21 12803RAB0 US12803RAB06 -- 101.3 Spain -- USD 2.16 6.61 1 Sep 13, 2027 6.68 2.15 -- 6.09 2.16 6.09 Sep 13, 2023 Sep 13, 2023 AZO AUTOZONE INC Consumer Cyclical Fixed Income 2126.75 0.0018239984981480676 2126.75 21 21 053332BE1 US053332BE19 -- 99.35 United States -- USD 2.05 5.36 1 Jul 15, 2026 5.05 2.05 -- 5.36 2.05 5.36 Jul 21, 2023 Jul 21, 2023 CPB CAMPBELL SOUP COMPANY Consumer Non-Cyclical Fixed Income 2124.99 0.001822489041297596 2124.99 21 21 134429BL2 US134429BL20 -- 99.56 United States -- USD 1.78 5.55 1 Mar 20, 2026 5.3 1.78 -- 5.55 1.78 5.55 Mar 21, 2024 Mar 21, 2024 EFX EQUIFAX INC Technology Fixed Income 2124.99 0.001822489041297596 2124.99 22 22 294429AR6 US294429AR68 -- 95.16 United States -- USD 1.56 5.74 1 Dec 15, 2025 2.6 1.55 -- 5.74 1.55 5.74 Apr 27, 2020 Apr 27, 2020 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 2124.99 0.001822489041297596 2124.99 23 23 907818EP9 US907818EP96 BYQ1XW7 94.07 United States -- USD 2.76 5.18 1 Apr 15, 2027 3 2.79 -- 5.18 2.79 5.18 Apr 05, 2017 Apr 05, 2017 DUK DUKE ENERGY FLORIDA LLC Electric Fixed Income 2121.49 0.001819487280515408 2121.49 22 22 26444HAC5 US26444HAC51 BYYPRS5 94.55 United States -- USD 2.51 5.38 1 Jan 15, 2027 3.2 2.53 -- 5.38 2.53 5.38 Jan 06, 2017 Jan 06, 2017 ESS ESSEX PORTFOLIO LP Reits Fixed Income 2121.49 0.001819487280515408 2121.49 22 22 29717PAQ0 US29717PAQ00 BYPJNX3 95.74 United States -- USD 1.85 5.69 1 Apr 15, 2026 3.38 1.87 -- 5.69 1.87 5.69 Apr 11, 2016 Apr 11, 2016 KRC KILROY REALTY LP Reits Fixed Income 2121.49 0.001819487280515408 2121.49 22 22 49427RAL6 US49427RAL69 BYMYP80 97.45 United States -- USD 1.35 6.26 1 Oct 01, 2025 4.38 1.36 -- 6.26 1.36 6.26 Sep 16, 2015 Sep 16, 2015 PHM PULTE GROUP INC Consumer Cyclical Fixed Income 2119.74 0.001817986400124314 2119.74 22 22 745867AX9 US745867AX94 BYN9BW0 98.54 United States -- USD 2.39 5.58 1 Jan 15, 2027 5 2.47 -- 5.58 2.47 5.58 Jul 29, 2016 Jul 29, 2016 STT STATE STREET CORP Banking Fixed Income 2117.99 0.00181648551973322 2117.99 21 21 857477BY8 US857477BY89 -- 101.4 United States -- USD 3.07 5.71 1 Nov 04, 2028 5.82 3.07 -- 5.38 3.07 5.38 Nov 04, 2022 Nov 04, 2022 GXO GXO LOGISTICS INC Transportation Fixed Income 2116.23 0.0018149760628827483 2116.23 23 23 36262GAB7 US36262GAB77 BQKNM60 91.15 United States -- USD 2.12 5.96 1 Jul 15, 2026 1.65 2.12 -- 5.96 2.12 5.96 Jan 15, 2022 Jun 23, 2022 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2114.48 0.0018134751824916543 2114.48 21 21 24422EXM6 US24422EXM64 -- 99.15 United States -- USD 2.62 5.17 1 Mar 05, 2027 4.85 2.62 -- 5.17 2.62 5.17 Mar 07, 2024 Mar 07, 2024 NNN NNN REIT INC Reits Fixed Income 2110.98 0.0018104734217094663 2110.98 22 22 637417AH9 US637417AH98 BYZR2Z2 97.41 United States -- USD 1.44 5.76 1 Nov 15, 2025 4 1.45 -- 5.76 1.45 5.76 Oct 21, 2015 Oct 21, 2015 CFG CITIZENS BANK NA MTN Banking Fixed Income 2109.23 0.0018089725413183726 2109.23 22 22 17401QAU5 US17401QAU58 BJ204T7 96.06 United States -- USD 1.7 6.07 1 Feb 18, 2026 3.75 1.71 -- 6.07 1.71 6.07 Feb 14, 2019 Feb 14, 2019 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 2109.23 0.0018089725413183726 2109.23 22 22 637432NG6 US637432NG61 BYR4QD7 96.66 United States -- USD 1.43 5.58 1 Nov 01, 2025 3.25 1.43 -- 5.58 1.43 5.58 Oct 27, 2015 Oct 27, 2015 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2107.47 0.0018074630844679008 2107.47 24 24 04685A2P5 US04685A2P53 -- 89.61 United States -- USD 3.11 5.94 1 Aug 20, 2027 2.45 3.09 -- 5.94 3.09 5.94 Aug 21, 2020 Aug 21, 2020 KIM KIMCO REALTY OP LLC Reits Fixed Income 2107.47 0.0018074630844679008 2107.47 22 22 49446RAS8 US49446RAS85 BD0XNK0 95.39 United States -- USD 2.68 5.52 1 Apr 01, 2027 3.8 2.72 -- 5.52 2.72 5.52 Mar 30, 2017 Mar 30, 2017 NDSN NORDSON CORPORATION Capital Goods Fixed Income 2107.47 0.0018074630844679008 2107.47 21 21 655663AA0 US655663AA07 -- 99.8 United States -- USD 3.81 5.65 1 Sep 15, 2028 5.6 3.82 -- 5.65 3.82 5.65 Sep 13, 2023 Sep 13, 2023 AALLN ANGLO AMERICAN CAPITAL PLC 144A Basic Industry Fixed Income 2105.72 0.0018059622040768068 2105.72 21 21 034863AP5 US034863AP55 BXDZPD0 98.92 South Africa -- USD 0.99 5.94 1 May 14, 2025 4.88 0.99 -- 5.94 0.99 5.94 May 14, 2015 May 14, 2015 SITC SITE CENTERS CORP Reits Fixed Income 2105.72 0.0018059622040768068 2105.72 22 22 23317HAE2 US23317HAE27 BYZR2V8 97.91 United States -- USD 1.61 5.5 1 Feb 01, 2026 4.25 1.66 -- 5.5 1.66 5.5 Oct 21, 2015 Oct 21, 2015 LPLA LPL HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 2103.97 0.0018044613236857128 2103.97 21 21 50212YAH7 US50212YAH71 -- 102.58 United States -- USD 3.78 6.09 1 Nov 17, 2028 6.75 3.78 -- 6.08 3.72 6.08 Nov 17, 2023 Nov 17, 2023 MQGAU MACQUARIE GROUP LTD MTN 144A Banking Fixed Income 2103.97 0.0018044613236857128 2103.97 24 24 55608JAX6 US55608JAX63 -- 89.31 Australia -- USD 2.84 6.01 1 Apr 14, 2028 1.94 2.81 -- 5.91 2.81 5.91 Oct 14, 2021 Oct 14, 2021 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2103.97 0.0018044613236857128 2103.97 22 22 74368CBP8 US74368CBP86 -- 97.83 United States -- USD 2.89 5.46 1 Jul 06, 2027 4.71 2.88 -- 5.46 2.88 5.46 Jul 06, 2022 Jul 06, 2022 SHW SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 2102.22 0.0018029604432946188 2102.22 21 21 824348BR6 US824348BR69 -- 98.25 United States -- USD 1.22 5.68 1 Aug 08, 2025 4.25 1.22 -- 5.68 1.22 5.68 Aug 10, 2022 Aug 10, 2022 MITHCC MITSUBISHI HC CAPITAL INC 144A Financial Other Fixed Income 2098.72 0.0017999586825124308 2098.72 21 21 60682LAH5 US60682LAH50 BPMQ4X1 98.47 Japan -- USD 3.04 5.58 1 Sep 15, 2027 5.08 3.05 -- 5.58 3.05 5.58 Sep 15, 2022 Sep 15, 2022 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2091.71 0.0017939465844886773 2091.71 23 23 24422ETW9 US24422ETW92 BF58H79 92.63 United States -- USD 3.15 5.21 1 Sep 08, 2027 2.8 3.14 -- 5.21 3.14 5.21 Sep 08, 2017 Sep 08, 2017 VTR VENTAS REALTY LP Reits Fixed Income 2091.71 0.0017939465844886773 2091.71 22 22 92277GAJ6 US92277GAJ67 BDHDQ15 94 United States -- USD 2.32 5.89 1 Oct 15, 2026 3.25 2.32 -- 5.89 2.32 5.89 Sep 21, 2016 Sep 21, 2016 AL AIR LEASE CORPORATION Finance Companies Fixed Income 2089.96 0.0017924457040975833 2089.96 22 22 00912XAY0 US00912XAY04 BF3RHG7 93.21 United States -- USD 3.27 5.74 1 Dec 01, 2027 3.63 3.25 -- 5.74 3.25 5.74 Nov 20, 2017 Nov 20, 2017 INVH INVITATION HOMES OPERATING PARTNER Reits Fixed Income 2089.96 0.0017924457040975833 2089.96 24 24 46188BAB8 US46188BAB80 BL55PQ7 86.5 United States -- USD 4.18 5.71 1 Nov 15, 2028 2.3 4.16 -- 5.71 4.16 5.71 Nov 05, 2021 Nov 05, 2021 LLY ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 2088.2 0.0017909362472471116 2088.2 21 21 532457AZ1 US532457AZ17 B1V4L60 101.62 United States -- USD 2.63 4.89 1 Mar 15, 2027 5.5 2.63 -- 4.89 2.63 4.89 Mar 14, 2007 Mar 14, 2007 R RYDER SYSTEM INC MTN Transportation Fixed Income 2084.7 0.0017879344864649238 2084.7 21 21 78355HKQ1 US78355HKQ10 -- 98.66 United States -- USD 1.03 5.89 1 Jun 01, 2025 4.63 1.04 -- 5.89 1.04 5.89 Apr 06, 2020 Apr 06, 2020 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 2082.95 0.0017864336060738298 2082.95 21 21 24422EXC8 US24422EXC82 -- 99.96 United States -- USD 1.3 5.33 1 Sep 08, 2025 5.3 1.3 -- 5.33 1.3 5.33 Sep 08, 2023 Sep 08, 2023 PRU PRICOA GLOBAL FUNDING I 144A Insurance Fixed Income 2081.2 0.0017849327256827358 2081.2 22 22 74153WCM9 US74153WCM91 -- 93.81 United States -- USD 1.31 5.63 1 Sep 01, 2025 0.8 1.31 -- 5.63 1.31 5.63 Sep 01, 2020 Sep 01, 2020 KORELE KOREA ELECTRIC POWER CORP Owned No Guarantee Fixed Income 2079.45 0.0017834318452916418 2079.45 20 20 500631AH9 US500631AH98 2273480 104.13 Korea (South) -- USD 2.47 5.37 1 Feb 01, 2027 7 2.46 -- 5.37 2.46 5.37 Jan 31, 1997 Jan 31, 1997 AMT AMERICAN TOWER CORPORATION Communications Fixed Income 2074.19 0.001778920627658982 2074.19 22 22 03027XAM2 US03027XAM20 BDCVX35 93.58 United States -- USD 2.53 5.7 1 Jan 15, 2027 3.13 2.53 -- 5.7 2.53 5.7 Sep 30, 2016 Sep 30, 2016 FG F&G GLOBAL FUNDING 144A Insurance Fixed Income 2072.44 0.0017774197472678881 2072.44 23 23 30321L2D3 US30321L2D39 -- 89.02 United States -- USD 2.8 6.43 1 Apr 11, 2027 2.3 2.78 -- 6.43 2.78 6.43 Jan 11, 2022 Jan 11, 2022 KIAMTR KIA CORP 144A Consumer Cyclical Fixed Income 2072.44 0.0017774197472678881 2072.44 23 23 49374JAA1 US49374JAA16 -- 91.01 Korea (South) -- USD 2.37 5.69 1 Oct 16, 2026 1.75 2.36 -- 5.69 2.36 5.69 Apr 16, 2021 Apr 16, 2021 KEY KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 2068.93 0.0017744094100263226 2068.93 21 21 49327M3G7 US49327M3G70 -- 97.27 United States -- USD 1.63 6.37 1 Jan 26, 2026 4.7 1.63 -- 6.37 1.63 6.37 Jan 26, 2023 Jan 26, 2023 MUTOMA MUTUAL OF OMAHA COMPANIES GLOBAL F MTN 144A Insurance Fixed Income 2068.93 0.0017744094100263226 2068.93 21 21 62829D2A7 US62829D2A73 -- 100.08 United States -- USD 2.07 5.76 1 Jul 27, 2026 5.8 2.06 -- 5.76 2.06 5.76 Jul 27, 2023 Jul 27, 2023 TOL TOLL BROTHERS FINANCE CORP. Consumer Cyclical Fixed Income 2068.93 0.0017744094100263226 2068.93 21 21 88947EAS9 US88947EAS90 BDFXGP1 97.69 United States -- USD 2.57 5.75 1 Mar 15, 2027 4.88 2.64 -- 5.75 2.64 5.75 Mar 10, 2017 Mar 10, 2017 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2067.18 0.0017729085296352286 2067.18 22 22 74368CAX2 US74368CAX20 -- 94.64 United States -- USD 1.18 5.77 1 Jul 15, 2025 1.17 1.18 -- 5.77 1.18 5.77 Jul 15, 2020 Jul 15, 2020 SBUX STARBUCKS CORPORATION Consumer Cyclical Fixed Income 2063.68 0.0017699067688530406 2063.68 22 22 855244AK5 US855244AK58 BDGLCP6 94.08 United States -- USD 2.02 5.41 1 Jun 15, 2026 2.45 2.02 -- 5.41 2.02 5.41 May 16, 2016 May 16, 2016 AVB AVALONBAY COMMUNITIES INC MTN Reits Fixed Income 2060.17 0.001766896431611475 2060.17 22 22 05348EBA6 US05348EBA64 BF19282 94.49 United States -- USD 2.78 5.33 1 May 15, 2027 3.35 2.81 -- 5.33 2.81 5.33 May 12, 2017 May 12, 2017 LNT WISCONSIN POWER AND LIGHT COMPANY Electric Fixed Income 2060.17 0.001766896431611475 2060.17 22 22 976826BL0 US976826BL07 BF032Q3 92.53 United States -- USD 3.21 5.44 1 Oct 15, 2027 3.05 3.22 -- 5.44 3.22 5.44 Oct 10, 2017 Oct 10, 2017 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 2058.42 0.001765395551220381 2058.42 22 22 06406RBD8 US06406RBD89 -- 93.88 United States -- USD 4.35 5.26 1 Apr 26, 2029 3.85 4.38 -- 5.26 4.38 5.26 Apr 26, 2022 Apr 26, 2022 AON AON CORP Insurance Fixed Income 2053.17 0.001760892910047099 2053.17 21 21 037389BB8 US037389BB82 BHK1FK6 96.04 United States -- USD 4 5.48 1 Dec 15, 2028 4.5 4.05 -- 5.48 4.05 5.48 Dec 03, 2018 Dec 03, 2018 O REALTY INCOME CORPORATION Reits Fixed Income 2051.42 0.0017593920296560051 2051.42 21 21 756109AV6 US756109AV67 BDZ7GV9 98.42 United States -- USD 0.93 5.57 1 Apr 15, 2025 3.88 0.94 -- 5.57 0.94 5.57 Apr 04, 2018 Apr 04, 2018 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 2049.66 0.0017578825728055334 2049.66 22 22 125523AZ3 US125523AZ36 BLCB784 92.71 United States -- USD 3.21 5.38 1 Oct 15, 2027 3.05 3.22 -- 5.38 3.22 5.38 Apr 15, 2020 Jul 13, 2020 KDP KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 2046.16 0.0017548808120233456 2046.16 22 22 26138EAU3 US26138EAU38 BYVC6X7 93.5 United States -- USD 2.26 5.49 1 Sep 15, 2026 2.55 2.26 -- 5.49 2.26 5.49 Sep 16, 2016 Sep 16, 2016 EW EDWARDS LIFESCIENCES CORP Consumer Non-Cyclical Fixed Income 2046.16 0.0017548808120233456 2046.16 21 21 28176EAD0 US28176EAD04 BDGMR09 95.75 United States -- USD 3.62 5.46 1 Jun 15, 2028 4.3 3.67 -- 5.46 3.67 5.46 Jun 15, 2018 Jun 15, 2018 PARA PARAMOUNT GLOBAL Communications Fixed Income 2044.41 0.0017533799316322516 2044.41 22 22 124857AR4 US124857AR43 BD8ZQT8 91.25 United States -- USD 2.55 6.45 1 Jan 15, 2027 2.9 2.53 -- 6.45 2.53 6.45 Jul 11, 2016 Jul 11, 2016 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 2044.41 0.0017533799316322516 2044.41 22 22 125523CP3 US125523CP36 -- 92.34 United States -- USD 1.82 5.58 1 Mar 15, 2026 1.25 1.82 -- 5.58 1.82 5.58 Mar 03, 2021 Mar 03, 2021 AEP INDIANA MICHIGAN POWER CO Electric Fixed Income 2044.41 0.0017533799316322516 2044.41 22 22 454889AS5 US454889AS52 BG227Y8 93.97 United States -- USD 3.58 5.53 1 May 15, 2028 3.85 3.62 -- 5.53 3.62 5.53 May 02, 2018 May 02, 2018 REXR REXFORD INDUSTRIAL REALTY LP Reits Fixed Income 2044.41 0.0017533799316322516 2044.41 21 21 76169XAC8 US76169XAC83 -- 97.58 United States -- USD 3.61 5.66 1 Jun 15, 2028 5 3.61 -- 5.66 3.61 5.66 Mar 30, 2023 Mar 30, 2023 SO AGL CAPITAL CORPORATION Natural Gas Fixed Income 2039.15 0.0017488687139995919 2039.15 21 21 001192AL7 US001192AL76 BDCRZ59 97.05 United States -- USD 1.45 5.89 1 Nov 15, 2025 3.88 1.46 -- 5.89 1.46 5.89 Nov 18, 2015 Nov 18, 2015 KMI COLORADO INTERSTATE GAS COMPANY LL 144A Energy Fixed Income 2039.15 0.0017488687139995919 2039.15 21 21 196500AA0 US196500AA09 BDCX8W5 96.1 United States -- USD 2.12 5.98 1 Aug 15, 2026 4.15 2.14 -- 5.98 2.14 5.98 Aug 16, 2016 Aug 16, 2016 BA BOEING CO Capital Goods Fixed Income 2037.4 0.0017473678336084979 2037.4 23 23 097023CA1 US097023CA13 BGYTGW8 89.1 United States -- USD 4.01 6.26 1 Nov 01, 2028 3.45 4 -- 6.26 4 6.26 Oct 31, 2018 Oct 31, 2018 HXL HEXCEL CORPORATION Capital Goods Fixed Income 2037.4 0.0017473678336084979 2037.4 21 21 428291AM0 US428291AM05 BZ04XV8 98.7 United States -- USD 1.19 5.99 1 Aug 15, 2025 4.95 1.23 -- 5.99 1.23 5.99 Aug 03, 2015 Aug 03, 2015 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 2033.9 0.0017443660728263099 2033.9 22 22 37045XCG9 US37045XCG97 BF3T633 93.64 United States -- USD 3.31 5.78 1 Jan 05, 2028 3.85 3.33 -- 5.78 3.33 5.78 Jan 05, 2018 Jan 05, 2018 HII HUNTINGTON INGALLS INDUSTRIES INC Capital Goods Fixed Income 2032.15 0.001742865192435216 2032.15 22 22 446413AL0 US446413AL01 BGJWTK1 92.81 United States -- USD 3.25 5.72 1 Dec 01, 2027 3.48 3.26 -- 5.72 3.26 5.72 Jun 01, 2018 Jun 14, 2018 LEN LENNAR CORPORATION Consumer Cyclical Fixed Income 2032.15 0.001742865192435216 2032.15 21 21 526057CV4 US526057CV49 BFN4WD0 98.57 United States -- USD 2.63 5.5 1 Jun 15, 2027 5 2.81 -- 5.5 2.81 5.5 Dec 15, 2017 Jun 11, 2018 AFL AFLAC INCORPORATED Insurance Fixed Income 2030.39 0.0017413557355847444 2030.39 22 22 001055AQ5 US001055AQ51 BDHDTT4 94.15 United States -- USD 2.32 5.43 1 Oct 15, 2026 2.88 2.34 -- 5.43 2.34 5.43 Sep 19, 2016 Sep 19, 2016 DFS DISCOVER FINANCIAL SERVICES Banking Fixed Income 2030.39 0.0017413557355847444 2030.39 21 21 254709AP3 US254709AP32 BHWF829 97.5 United States -- USD 1.63 6.01 1 Jan 30, 2026 4.5 1.65 -- 6.01 1.65 6.01 Jan 31, 2019 Jan 31, 2019 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 2030.39 0.0017413557355847444 2030.39 22 22 40139LBF9 US40139LBF94 -- 94.25 United States -- USD 2.74 5.39 1 Mar 29, 2027 3.25 2.73 -- 5.39 2.73 5.39 Mar 29, 2022 Mar 29, 2022 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 2030.39 0.0017413557355847444 2030.39 22 22 693475BB0 US693475BB04 -- 90.93 United States -- USD 2.21 5.39 1 Aug 13, 2026 1.15 2.21 -- 5.39 2.21 5.39 Aug 13, 2021 Aug 13, 2021 MAA MID-AMERICA APARTMENTS LP Reits Fixed Income 2025.14 0.0017368530944114624 2025.14 21 21 59523UAM9 US59523UAM99 BYZG709 97.62 United States -- USD 1.44 5.62 1 Nov 15, 2025 4 1.46 -- 5.62 1.46 5.62 Nov 09, 2015 Nov 09, 2015 FDX FEDEX CORP Transportation Fixed Income 2023.39 0.0017353522140203684 2023.39 22 22 31428XBP0 US31428XBP06 BF42ZG7 93.32 United States -- USD 3.45 5.36 1 Feb 15, 2028 3.4 3.48 -- 5.36 3.48 5.36 Jan 31, 2018 Jan 31, 2018 OTFINC OWL ROCK TECHNOLOGY FINANCE CORP 144A Finance Companies Fixed Income 2023.39 0.0017353522140203684 2023.39 22 22 691205AE8 US691205AE86 -- 92.4 United States -- USD 2 7.65 1 Jun 17, 2026 3.75 1.97 -- 7.65 1.97 7.65 Dec 17, 2020 Dec 17, 2020 MCAIRH MACQUARIE AIRFINANCE HOLDINGS LTD 144A Finance Companies Fixed Income 2022.15 0.0017342887330575362 2022.15 20 20 55609NAD0 US55609NAD03 -- 99.78 United Kingdom -- USD 5.47 6.48 1 Mar 26, 2031 6.5 5.48 -- 6.48 5.48 6.48 Mar 26, 2024 Mar 26, 2024 O REALTY INCOME CORPORATION Reits Fixed Income 2021.63 0.0017338427571698969 2021.63 21 21 756109CF9 US756109CF99 -- 96.62 United States -- USD 4.17 5.56 1 Feb 15, 2029 4.75 4.17 -- 5.56 4.17 5.56 Jan 16, 2024 Jan 16, 2024 MSI MOTOROLA SOLUTIONS INC Technology Fixed Income 2019.88 0.0017323418767788029 2019.88 21 21 620076BY4 US620076BY45 -- 97.66 United States -- USD 4.32 5.54 1 Apr 15, 2029 5 4.32 -- 5.54 4.32 5.54 Mar 25, 2024 Mar 25, 2024 ES EVERSOURCE ENERGY Electric Fixed Income 2018.13 0.0017308409963877089 2018.13 20 20 30040WAY4 US30040WAY49 -- 98.48 United States -- USD 2.46 5.62 1 Jan 01, 2027 5 2.44 -- 5.62 2.44 5.62 Jan 19, 2024 Jan 19, 2024 CNO CNO GLOBAL FUNDING MTN 144A Insurance Fixed Income 2014.63 0.0017278392356055209 2014.63 24 24 18977W2C3 US18977W2C32 -- 85.52 United States -- USD 4.29 6.25 1 Jan 06, 2029 2.65 4.25 -- 6.25 4.25 6.25 Jan 06, 2022 Jan 06, 2022 AVOL AVOLON HOLDINGS FUNDING LTD 144A Finance Companies Fixed Income 2011.12 0.0017248288983639551 2011.12 23 23 05401AAP6 US05401AAP66 -- 88.2 Ireland -- USD 3.54 6.27 1 Feb 21, 2028 2.75 3.51 -- 6.27 3.51 6.27 Jan 21, 2021 Jan 21, 2021 EIX EDISON INTERNATIONAL Electric Fixed Income 2011.12 0.0017248288983639551 2011.12 20 20 281020AU1 US281020AU14 -- 98.45 United States -- USD 1.24 5.94 1 Aug 15, 2025 4.7 1.23 -- 5.94 1.23 5.94 Aug 04, 2022 Aug 04, 2022 KEY KEYCORP MTN Banking Fixed Income 2011.12 0.0017248288983639551 2011.12 21 21 49326EEH2 US49326EEH27 -- 97.06 United States -- USD 1.41 6.22 1 Oct 29, 2025 4.15 1.41 -- 6.22 1.41 6.22 Oct 29, 2018 Oct 29, 2018 INDOGB INDONESIA (REPUBLIC OF) Treasuries Fixed Income 2006.37 0.0017207550801595572 2006.37 200637 200637 -- IDG000019803 BNYJXQ0 0.01 Indonesia -- USD 8.54 6.96 16187.5 Jul 15, 2037 6.38 8.55 -- 6.96 8.55 6.96 Jul 15, 2021 Jan 06, 2022 BNSF BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 2005.87 0.0017203262571906732 2005.87 21 21 12189LBA8 US12189LBA89 BDFC7Y4 94.62 United States -- USD 2.86 5.13 1 Jun 15, 2027 3.25 2.89 -- 5.13 2.89 5.13 Mar 09, 2017 Mar 09, 2017 SYF SYNCHRONY FINANCIAL Banking Fixed Income 2005.87 0.0017203262571906732 2005.87 20 20 87165BAS2 US87165BAS25 -- 98.32 United States -- USD 1.06 6.42 1 Jun 13, 2025 4.88 1.06 -- 6.42 1.06 6.42 Jun 13, 2022 Jun 13, 2022 EXC COMMONWEALTH EDISON COMPANY Electric Fixed Income 2002.36 0.0017173159199491076 2002.36 21 21 202795JN1 US202795JN13 BFXKXD5 93.93 United States -- USD 3.84 5.29 1 Aug 15, 2028 3.7 3.88 -- 5.29 3.88 5.29 Aug 14, 2018 Aug 14, 2018 ESS ESSEX PORTFOLIO LP Reits Fixed Income 2002.36 0.0017173159199491076 2002.36 21 21 29717PAR8 US29717PAR82 BDD9509 94.21 United States -- USD 2.73 5.74 1 May 01, 2027 3.63 2.75 -- 5.74 2.75 5.74 Apr 10, 2017 Apr 10, 2017 VICI VICI PROPERTIES LP 144A Consumer Cyclical Fixed Income 2002.36 0.0017173159199491076 2002.36 21 21 92564RAK1 US92564RAK14 -- 94.79 United States -- USD 3.3 6.08 1 Jan 15, 2028 4.5 3.32 -- 6.08 3.32 6.08 Jan 15, 2022 Apr 29, 2022 BCSF BAIN CAPITAL SPECIALTY FINANCE INC Finance Companies Fixed Income 2000.61 0.0017158150395580136 2000.61 21 21 05684BAB3 US05684BAB36 -- 93.72 United States -- USD 1.78 6.56 1 Mar 10, 2026 2.95 1.77 -- 6.56 1.77 6.56 Mar 10, 2021 Mar 10, 2021 VTR VENTAS REALTY LP Reits Fixed Income 2000.61 0.0017158150395580136 2000.61 21 21 92277GAL1 US92277GAL14 BDFZTZ8 95.08 United States -- USD 2.68 5.69 1 Apr 01, 2027 3.85 2.71 -- 5.69 2.71 5.69 Mar 29, 2017 Mar 29, 2017 AGR ROCHESTER GAS AND ELECTRIC CORPORA 144A Electric Fixed Income 1998.86 0.0017143141591669196 1998.86 21 21 771367CD9 US771367CD97 BDZYZZ7 93.44 United States -- USD 2.84 5.43 1 Jun 01, 2027 3.1 2.86 -- 5.43 2.86 5.43 May 24, 2017 May 24, 2017 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 1995.36 0.0017113123983847317 1995.36 21 21 718172CB3 US718172CB38 BDFJZP2 93.58 United States -- USD 3.04 5.26 1 Aug 17, 2027 3.13 3.07 -- 5.26 3.07 5.26 Aug 17, 2017 Aug 17, 2017 WAIR WOLVERINE ESCROW LLC 144A Capital Goods Fixed Income 1994.29 0.00171039471723132 1994.29 153 153 97789LAC0 US97789LAC00 -- 13.05 United States -- USD 0 -- 1 Nov 15, 2024 8.5 0 -- -- 0 -- Nov 27, 2019 Nov 27, 2019 AWH ALLIED WORLD ASSURANCE CO HOLDINGS Insurance Fixed Income 1993.6 0.0017098029415342601 1993.6 20 20 01959EAC2 US01959EAC21 BYQGXV1 97.35 United States -- USD 1.39 6.21 1 Oct 29, 2025 4.35 1.4 -- 6.21 1.4 6.21 Oct 29, 2015 Oct 29, 2015 CCLBCN CCL INDUSTRIES INC 144A Capital Goods Fixed Income 1993.6 0.0017098029415342601 1993.6 21 21 124900AB7 US124900AB71 BZCR434 93.88 Canada -- USD 2.28 5.99 1 Oct 01, 2026 3.25 2.28 -- 5.99 2.28 5.99 Sep 20, 2016 Sep 20, 2016 EVRG EVERGY MISSOURI WEST INC 144A Electric Fixed Income 1991.85 0.0017083020611431661 1991.85 20 20 30037FAA8 US30037FAA84 -- 98.62 United States -- USD 3.2 5.57 1 Dec 15, 2027 5.15 3.21 -- 5.57 3.21 5.57 Dec 05, 2022 Dec 05, 2022 GBDC GOLUB CAPITAL BDC INC. Finance Companies Fixed Income 1991.85 0.0017083020611431661 1991.85 20 20 38173MAD4 US38173MAD48 -- 100.95 United States -- USD 3.8 6.8 1 Dec 05, 2028 7.05 3.79 -- 6.8 3.73 6.8 Dec 05, 2023 Dec 05, 2023 UNH UNITEDHEALTH GROUP INC Insurance Fixed Income 1991.85 0.0017083020611431661 1991.85 20 20 91324PDN9 US91324PDN96 BH42CV5 97.4 United States -- USD 1.55 5.37 1 Dec 15, 2025 3.7 1.54 -- 5.37 1.54 5.37 Dec 17, 2018 Dec 17, 2018 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 1990.1 0.0017068011807520721 1990.1 22 22 13607HVE9 US13607HVE97 -- 91.56 Canada -- USD 2.07 5.45 1 Jun 22, 2026 1.25 2.07 -- 5.45 2.07 5.45 Jun 22, 2021 Jun 22, 2021 DRAWBR DRAWBRIDGE SPECIAL OPPORTUNITIES F 144A Brokerage/Asset Managers/Exchanges Fixed Income 1990.1 0.0017068011807520721 1990.1 21 21 26150TAE9 US26150TAE91 -- 94.41 United States -- USD 1.71 7.23 1 Feb 15, 2026 3.88 1.69 -- 7.23 1.69 7.23 Jan 26, 2021 Jan 26, 2021 NEE NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 1988.35 0.0017053003003609781 1988.35 22 22 65339KCB4 US65339KCB44 -- 89.61 United States -- USD 2.68 7.36 1 Mar 15, 2082 3.8 2.47 -- 7.89 2.64 7.89 Dec 14, 2021 Dec 14, 2021 RSG REPUBLIC SERVICES INC Capital Goods Fixed Income 1988.35 0.0017053003003609781 1988.35 21 21 760759AY6 US760759AY69 -- 93.08 United States -- USD 1.51 5.58 1 Nov 15, 2025 0.88 1.5 -- 5.58 1.5 5.58 Nov 24, 2020 Nov 24, 2020 EQR ERP OPERATING LP Reits Fixed Income 1986.6 0.0017037994199698842 1986.6 21 21 26884ABG7 US26884ABG76 BF07MP4 93.39 United States -- USD 3 5.49 1 Aug 01, 2027 3.25 3.01 -- 5.49 3.01 5.49 Aug 03, 2017 Aug 03, 2017 ANZNZ ANZ BANK NEW ZEALAND LTD 144A Banking Fixed Income 1984.85 0.0017022985395787902 1984.85 20 20 00182YAA3 US00182YAA38 -- 98.84 New Zealand -- USD 2.92 6.72 1 Aug 11, 2032 5.55 2.9 -- 5.94 2.93 5.94 Aug 11, 2022 Aug 11, 2022 EXC EXELON CORPORATION Electric Fixed Income 1984.85 0.0017022985395787902 1984.85 20 20 30161NBM2 US30161NBM20 -- 98.16 United States -- USD 4.22 5.58 1 Mar 15, 2029 5.15 4.23 -- 5.58 4.23 5.58 Feb 27, 2024 Feb 27, 2024 ACGCAP AVIATION CAPITAL GROUP LLC 144A Finance Companies Fixed Income 1983.09 0.0017007890827283184 1983.09 22 22 05369AAA9 US05369AAA97 BZ1DXR0 92.05 United States -- USD 3.17 6.04 1 Nov 01, 2027 3.5 3.17 -- 6.04 3.17 6.04 Oct 18, 2017 Oct 18, 2017 SWEDA SWEDBANK AB MTN 144A Banking Fixed Income 1979.59 0.0016977873219461306 1979.59 20 20 87020PAX5 US87020PAX50 -- 100.53 Sweden -- USD 2.19 5.89 1 Sep 12, 2026 6.14 2.17 -- 5.89 2.17 5.89 Sep 12, 2023 Sep 12, 2023 RGA RGA GLOBAL FUNDING MTN 144A Insurance Fixed Income 1977.84 0.0016962864415550366 1977.84 19 19 76209PAC7 US76209PAC77 -- 101.57 United States -- USD 3.88 5.6 1 Nov 21, 2028 6 3.86 -- 5.6 3.86 5.6 Nov 21, 2023 Nov 21, 2023 WCNCN WASTE CONNECTIONS INC Capital Goods Fixed Income 1977.84 0.0016962864415550366 1977.84 21 21 941053AH3 US941053AH36 BH4PGR8 95.67 United States -- USD 3.99 5.32 1 Dec 01, 2028 4.25 4.04 -- 5.32 4.04 5.32 Nov 16, 2018 Nov 16, 2018 ADSK AUTODESK INC Technology Fixed Income 1976.09 0.0016947855611639427 1976.09 20 20 052769AD8 US052769AD80 BZ04XL8 98.83 United States -- USD 1.04 5.44 1 Jun 15, 2025 4.38 1.08 -- 5.44 1.08 5.44 Jun 05, 2015 Jun 05, 2015 BA BOEING CO Capital Goods Fixed Income 1976.09 0.0016947855611639427 1976.09 21 21 097023BR5 US097023BR56 BD72430 92.05 United States -- USD 2.03 6.28 1 Jun 15, 2026 2.25 2.02 -- 6.28 2.02 6.28 May 18, 2016 May 18, 2016 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 1976.09 0.0016947855611639427 1976.09 20 20 63743HFK3 US63743HFK32 -- 100.41 United States -- USD 2.26 5.43 1 Nov 13, 2026 5.6 2.29 -- 5.42 2.22 5.42 Nov 02, 2023 Nov 02, 2023 CMPCCI INVERSIONES CMPC SA 144A Basic Industry Fixed Income 1974.33 0.001693276104313471 1974.33 21 21 46128MAJ0 US46128MAJ09 BDRNVF4 95.62 Chile -- USD 2.72 6.02 1 Apr 04, 2027 4.38 2.7 -- 6.02 2.7 6.02 Apr 04, 2017 Apr 04, 2017 MMM 3M CO Capital Goods Fixed Income 1974.33 0.001693276104313471 1974.33 20 20 88579YBM2 US88579YBM21 -- 97.14 United States -- USD 0.94 5.71 1 Apr 15, 2025 2.65 0.94 -- 5.71 0.94 5.71 Mar 27, 2020 Mar 27, 2020 JXN JACKSON NATIONAL LIFE GLOBAL FUNDI 144A Insurance Fixed Income 1972.58 0.001691775223922377 1972.58 21 21 46849LUY5 US46849LUY54 -- 95.92 United States -- USD 3.53 6.43 1 Apr 12, 2028 5.25 3.5 -- 6.43 3.5 6.43 Apr 12, 2023 Apr 12, 2023 NRUC NATIONAL RURAL UTILITIES COOPERATI Electric Fixed Income 1972.58 0.001691775223922377 1972.58 21 21 637432NS0 US637432NS00 BJJH996 92.81 United States -- USD 4.33 5.39 1 Mar 15, 2029 3.7 4.36 -- 5.39 4.36 5.39 Jan 31, 2019 Jan 31, 2019 HAR HARMAN INTERNATIONAL INDUSTRIES IN Consumer Cyclical Fixed Income 1970.83 0.001690274343531283 1970.83 20 20 413086AH2 US413086AH29 BXC5W07 98.29 United States -- USD 0.98 5.84 1 May 15, 2025 4.15 1 -- 5.84 1 5.84 May 11, 2015 May 11, 2015 CMS CONSUMERS ENERGY COMPANY Electric Fixed Income 1969.08 0.001688773463140189 1969.08 20 20 210518DV5 US210518DV59 -- 98.26 United States -- USD 4.15 5.31 1 Feb 15, 2029 4.9 4.18 -- 5.31 4.18 5.31 Aug 04, 2023 Aug 04, 2023 FSK FS KKR CAPITAL CORP Finance Companies Fixed Income 1967.33 0.001687272582749095 1967.33 22 22 302635AH0 US302635AH04 -- 90.03 United States -- USD 2.56 6.69 1 Jan 15, 2027 2.63 2.54 -- 6.69 2.54 6.69 Jun 17, 2021 Jun 17, 2021 DOC PHYSICIANS REALTY LP Reits Fixed Income 1967.33 0.001687272582749095 1967.33 20 20 71951QAA0 US71951QAA04 BF0BD42 96.96 United States -- USD 2.6 5.45 1 Mar 15, 2027 4.3 2.66 -- 5.45 2.66 5.45 Mar 07, 2017 Mar 07, 2017 R RYDER SYSTEM INC MTN Transportation Fixed Income 1967.33 0.001687272582749095 1967.33 20 20 78355HKR9 US78355HKR92 -- 96.77 United States -- USD 1.29 5.87 1 Sep 01, 2025 3.35 1.29 -- 5.87 1.29 5.87 May 07, 2020 May 07, 2020 TNOTE TREASURY NOTE Treasuries Fixed Income 1966.54 0.0016865950424582584 1966.54 20 20 912828J27 US912828J272 BVVT3Q9 97.4 United States -- USD 0.79 5.33 1 Feb 15, 2025 2 0.78 -- 5.33 0.78 5.33 Feb 15, 2015 Feb 17, 2015 HSY HERSHEY COMPANY THE Consumer Non-Cyclical Fixed Income 1965.58 0.001685771702358001 1965.58 20 20 427866BH0 US427866BH08 -- 97.28 United States -- USD 3.55 5.01 1 May 04, 2028 4.25 3.57 -- 5.01 3.57 5.01 May 04, 2023 May 04, 2023 NSANY NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 1965.58 0.001685771702358001 1965.58 19 19 65480CAE5 US65480CAE57 -- 101.81 United States -- USD 2.18 6.12 1 Sep 15, 2026 6.95 2.16 -- 6.12 2.16 6.12 Sep 15, 2023 Sep 15, 2023 CNHI CNH INDUSTRIAL NV MTN Capital Goods Fixed Income 1962.07 0.0016827613651164354 1962.07 21 21 12594KAB8 US12594KAB89 BD2BR88 95.16 United Kingdom -- USD 3.17 5.36 1 Nov 15, 2027 3.85 3.21 -- 5.36 3.21 5.36 Nov 14, 2017 Nov 14, 2017 EXC COMMONWEALTH EDISON COMPANY Electric Fixed Income 1962.07 0.0016827613651164354 1962.07 21 21 202795JK7 US202795JK73 BF2N4F4 92.83 United States -- USD 3.05 5.34 1 Aug 15, 2027 2.95 3.07 -- 5.34 3.07 5.34 Aug 23, 2017 Aug 23, 2017 AXS AXIS SPECIALTY FINANCE PLC Insurance Fixed Income 1960.32 0.0016812604847253414 1960.32 21 21 05464HAC4 US05464HAC43 BFD9P92 94.53 United States -- USD 3.22 5.69 1 Dec 06, 2027 4 3.25 -- 5.69 3.25 5.69 Dec 06, 2017 Dec 06, 2017 BDVC BUSINESS DEVELOPMENT CORPORATION O Finance Companies Fixed Income 1960.32 0.0016812604847253414 1960.32 21 21 12325JAJ0 US12325JAJ07 -- 93.38 United States -- USD 1.83 6.97 1 Mar 30, 2026 3.25 1.82 -- 6.97 1.82 6.97 Mar 29, 2021 Sep 21, 2021 ET ENERGY TRANSFER LP 144A Energy Fixed Income 1960.32 0.0016812604847253414 1960.32 20 20 226373AQ1 US226373AQ18 BJV0CV6 98.86 United States -- USD 1.78 6.04 1 May 01, 2027 5.63 2.66 -- 6.04 2.66 6.04 Apr 15, 2019 Apr 15, 2019 HSY HERSHEY COMPANY THE Consumer Non-Cyclical Fixed Income 1960.32 0.0016812604847253414 1960.32 21 21 427866BF4 US427866BF42 -- 95.24 United States -- USD 1.07 5.42 1 Jun 01, 2025 0.9 1.06 -- 5.42 1.06 5.42 Jun 01, 2020 Jun 01, 2020 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 1958.57 0.0016797596043342474 1958.57 20 20 6944PL2W8 US6944PL2W87 -- 99.97 United States -- USD 2.16 5.51 1 Aug 28, 2026 5.5 2.15 -- 5.51 2.15 5.51 Aug 30, 2023 Aug 30, 2023 NOKIA NOKIA OYJ Technology Fixed Income 1956.82 0.0016782587239431534 1956.82 20 20 654902AE5 US654902AE56 BF4SNT4 95.75 Finland -- USD 2.84 5.88 1 Jun 12, 2027 4.38 2.82 -- 5.88 2.82 5.88 Jun 12, 2017 Jun 12, 2017 RGA RGA GLOBAL FUNDING MTN 144A Insurance Fixed Income 1956.82 0.0016782587239431534 1956.82 21 21 76209PAA1 US76209PAA12 -- 91.13 United States -- USD 2.46 5.72 1 Nov 30, 2026 2 2.45 -- 5.72 2.45 5.72 Nov 30, 2021 Nov 30, 2021 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 1955.06 0.001676749267092682 1955.06 20 20 842400HU0 US842400HU08 -- 99.4 United States -- USD 3.39 5.47 1 Mar 01, 2028 5.3 3.41 -- 5.47 3.41 5.47 Mar 02, 2023 Mar 02, 2023 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 1949.81 0.0016722466259194 1949.81 20 20 69371RS31 US69371RS314 -- 97.99 United States -- USD 3.33 5.2 1 Jan 10, 2028 4.6 3.32 -- 5.2 3.32 5.2 Jan 10, 2023 Jan 10, 2023 MQGAU MACQUARIE BANK LTD MTN 144A Banking Fixed Income 1948.06 0.001670745745528306 1948.06 20 20 55608PAQ7 US55608PAQ72 BZ03S65 98 Australia -- USD 1.2 5.66 1 Jul 29, 2025 4 1.2 -- 5.66 1.2 5.66 Jul 29, 2015 Jul 29, 2015 RL RALPH LAUREN CORP Consumer Cyclical Fixed Income 1948.06 0.001670745745528306 1948.06 20 20 751212AC5 US751212AC57 BFX84Q9 97.51 United States -- USD 1.32 5.63 1 Sep 15, 2025 3.75 1.32 -- 5.63 1.32 5.63 Aug 09, 2018 Aug 09, 2018 BKH BLACK HILLS CORPORATION Electric Fixed Income 1944.55 0.0016677354082867402 1944.55 20 20 092113AL3 US092113AL30 BZ128M7 96.98 United States -- USD 1.58 5.82 1 Jan 15, 2026 3.95 1.62 -- 5.82 1.62 5.82 Jan 13, 2016 Jan 13, 2016 EFNCN ELEMENT FLEET MANAGEMENT CORP 144A Transportation Fixed Income 1944.55 0.0016677354082867402 1944.55 20 20 286181AD4 US286181AD43 -- 97.54 Canada -- USD 1.08 6.11 1 Jun 15, 2025 3.85 1.08 -- 6.11 1.08 6.11 Jun 02, 2020 Jun 02, 2020 G GENPACT LUXEMBOURG SARL Technology Fixed Income 1944.55 0.0016677354082867402 1944.55 21 21 37190AAA7 US37190AAA79 -- 92.74 Luxembourg -- USD 1.88 5.72 1 Apr 10, 2026 1.75 1.88 -- 5.72 1.88 5.72 Mar 26, 2021 Mar 26, 2021 PEAHEA PEACEHEALTH SYSTEM SERVICES Consumer Non-Cyclical Fixed Income 1942.8 0.0016662345278956462 1942.8 21 21 70462GAB4 US70462GAB41 -- 92.9 United States -- USD 1.5 6.24 1 Nov 15, 2025 1.38 1.49 -- 6.24 1.49 6.24 Oct 08, 2020 Oct 08, 2020 SBUX STARBUCKS CORPORATION Consumer Cyclical Fixed Income 1942.8 0.0016662345278956462 1942.8 20 20 855244BG3 US855244BG38 -- 98.8 United States -- USD 2.52 5.32 1 Feb 08, 2027 4.85 2.55 -- 5.32 2.55 5.32 Feb 08, 2024 Feb 08, 2024 GMT GATX CORPORATION Finance Companies Fixed Income 1941.05 0.0016647336475045524 1941.05 20 20 361448AY9 US361448AY97 BDCBXW4 94.71 United States -- USD 2.23 5.65 1 Sep 15, 2026 3.25 2.24 -- 5.65 2.24 5.65 Sep 13, 2016 Sep 13, 2016 BRX BRIXMOR OPERATING PARTNERSHIP LP Reits Fixed Income 1939.3 0.0016632327671134584 1939.3 20 20 11120VAE3 US11120VAE39 BF0BHP1 94.66 United States -- USD 2.64 5.94 1 Mar 15, 2027 3.9 2.67 -- 5.94 2.67 5.94 Mar 08, 2017 Mar 08, 2017 EQIX EQUINIX INC Technology Fixed Income 1939.3 0.0016632327671134584 1939.3 23 23 29444UBL9 US29444UBL98 -- 85.66 United States -- USD 3.68 5.72 1 Mar 15, 2028 1.55 3.67 -- 5.72 3.67 5.72 Oct 07, 2020 Oct 07, 2020 D VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 1939.3 0.0016632327671134584 1939.3 20 20 927804FS8 US927804FS88 BXPB5F8 97.52 United States -- USD 1 5.55 1 May 15, 2025 3.1 1 -- 5.55 1 5.55 May 13, 2015 May 13, 2015 NDAFH NORDEA BANK ABP MTN 144A Banking Fixed Income 1937.55 0.0016617318867223644 1937.55 20 20 65558RAA7 US65558RAA77 -- 97.88 Finland -- USD 1.06 5.58 1 Jun 06, 2025 3.6 1.06 -- 5.58 1.06 5.58 Jun 08, 2022 Jun 08, 2022 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 1934.04 0.0016587215494807987 1934.04 18 18 75513EBY6 US75513EBY68 -- 105.58 United States -- USD 2.91 5.33 1 Aug 15, 2027 7.2 2.9 -- 5.33 2.9 5.33 Aug 15, 2020 Dec 08, 2020 ED CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 1932.29 0.0016572206690897047 1932.29 21 21 209111FJ7 US209111FJ72 BZ2Z104 93.63 United States -- USD 2.42 5.56 1 Dec 01, 2026 2.9 2.42 -- 5.56 2.42 5.56 Nov 16, 2016 Nov 16, 2016 ENBCN ENBRIDGE INC Energy Fixed Income 1932.29 0.0016572206690897047 1932.29 19 19 29250NCA1 US29250NCA19 -- 99.19 United States -- USD 2.66 5.55 1 Apr 05, 2027 5.25 2.68 -- 5.55 2.68 5.55 Apr 05, 2024 Apr 05, 2024 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 1932.29 0.0016572206690897047 1932.29 21 21 548661DR5 US548661DR53 BH3TYV1 92.65 United States -- USD 4.39 5.36 1 Apr 05, 2029 3.65 4.42 -- 5.36 4.42 5.36 Apr 05, 2019 Apr 05, 2019 PNC PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 1932.29 0.0016572206690897047 1932.29 21 21 693475AT2 US693475AT21 BZ0W3C3 93.83 United States -- USD 2.82 5.36 1 May 19, 2027 3.15 2.83 -- 5.36 2.83 5.36 May 19, 2017 May 19, 2017 KMI TENNESSEE GAS PIPELINE COMPANY LLC Energy Fixed Income 1930.54 0.0016557197886986107 1930.54 19 19 880451AS8 US880451AS80 2689667 103.75 United States -- USD 2.59 5.57 1 Mar 15, 2027 7 2.58 -- 5.57 2.58 5.57 Mar 13, 1997 Mar 13, 1997 FITB FIFTH THIRD BANCORP Banking Fixed Income 1923.53 0.0016497076906748572 1923.53 20 20 316773CV0 US316773CV06 BG0V3P0 93.84 United States -- USD 3.52 5.74 1 Mar 14, 2028 3.95 3.51 -- 5.74 3.51 5.74 Mar 14, 2018 Mar 14, 2018 HIW HIGHWOODS REALTY LP Reits Fixed Income 1923.53 0.0016497076906748572 1923.53 21 21 431282AQ5 US431282AQ55 BDGGSD1 92.33 United States -- USD 3.49 6.38 1 Mar 15, 2028 4.13 3.49 -- 6.38 3.49 6.38 Mar 05, 2018 Mar 05, 2018 TEL TYCO ELECTRONICS GROUP SA Technology Fixed Income 1921.78 0.0016482068102837632 1921.78 20 20 902133AT4 US902133AT46 BYY3712 97.02 Switzerland -- USD 1.68 5.45 1 Feb 15, 2026 3.7 1.7 -- 5.45 1.7 5.45 Jan 28, 2016 Jan 28, 2016 PFG PRINCIPAL FINANCIAL GROUP INC Insurance Fixed Income 1920.03 0.0016467059298926692 1920.03 20 20 74251VAM4 US74251VAM46 BYN1J11 94.35 United States -- USD 2.36 5.5 1 Nov 15, 2026 3.1 2.37 -- 5.5 2.37 5.5 Nov 10, 2016 Nov 10, 2016 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 1918.28 0.0016452050495015752 1918.28 19 19 709599BY9 US709599BY93 -- 98.97 United States -- USD 2.43 5.76 1 Jan 12, 2027 5.35 2.45 -- 5.76 2.45 5.76 Jan 12, 2024 Jan 12, 2024 AEP APPALACHIAN POWER CO Electric Fixed Income 1916.52 0.0016436955926511037 1916.52 21 21 037735CW5 US037735CW53 BYZMJS9 93.28 United States -- USD 2.83 5.69 1 Jun 01, 2027 3.3 2.85 -- 5.69 2.85 5.69 May 11, 2017 May 11, 2017 STOR STORE CAPITAL LLC Reits Fixed Income 1916.52 0.0016436955926511037 1916.52 21 21 862121AA8 US862121AA88 BF28W33 93.07 United States -- USD 3.46 6.55 1 Mar 15, 2028 4.5 3.47 -- 6.55 3.47 6.55 Mar 15, 2018 Mar 15, 2018 BERY BERRY GLOBAL INC Capital Goods Fixed Income 1914.77 0.0016421947122600097 1914.77 21 21 08576PAF8 US08576PAF80 -- 90.23 United States -- USD 2.6 5.57 1 Jan 15, 2027 1.65 2.59 -- 5.57 2.59 5.57 Jun 14, 2021 Oct 19, 2021 PENSKE PENSKE TRUCK LEASING CO LP 144A Transportation Fixed Income 1914.77 0.0016421947122600097 1914.77 20 20 709599BE3 US709599BE30 -- 97.64 United States -- USD 1.62 5.87 1 Jan 29, 2026 4.45 1.65 -- 5.87 1.65 5.87 Jan 29, 2019 Jan 29, 2019 R RYDER SYSTEM INC MTN Transportation Fixed Income 1914.77 0.0016421947122600097 1914.77 21 21 78355HKS7 US78355HKS75 -- 91.6 United States -- USD 2.25 5.61 1 Sep 01, 2026 1.75 2.24 -- 5.61 2.24 5.61 Nov 03, 2021 Nov 03, 2021 AN AUTONATION INC Consumer Cyclical Fixed Income 1913.02 0.0016406938318689157 1913.02 21 21 05329WAP7 US05329WAP77 BD390X7 92.72 United States -- USD 3.19 6.11 1 Nov 15, 2027 3.8 3.19 -- 6.11 3.19 6.11 Nov 10, 2017 Nov 10, 2017 BPCEGP BPCE SA MTN 144A Banking Fixed Income 1913.02 0.0016406938318689157 1913.02 20 20 05583JAE2 US05583JAE29 BGLRQH0 96.1 France -- USD 3.9 5.64 1 Sep 12, 2028 4.63 3.88 -- 5.64 3.88 5.64 Sep 12, 2018 Sep 12, 2018 EXC PECO ENERGY CO Electric Fixed Income 1913.02 0.0016406938318689157 1913.02 20 20 693304AT4 US693304AT44 BYWWMP0 96.93 United States -- USD 1.4 5.35 1 Oct 15, 2025 3.15 1.41 -- 5.35 1.41 5.35 Oct 05, 2015 Oct 05, 2015 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 1911.27 0.0016391929514778217 1911.27 20 20 24422ETC3 US24422ETC39 BYMKCK9 97.36 United States -- USD 1.32 5.41 1 Sep 11, 2025 3.4 1.32 -- 5.41 1.32 5.41 Sep 11, 2015 Sep 11, 2015 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 1911.27 0.0016391929514778217 1911.27 20 20 89236TDR3 US89236TDR32 BDDXTK9 94.8 United States -- USD 2.54 5.27 1 Jan 11, 2027 3.2 2.53 -- 5.27 2.53 5.27 Jan 09, 2017 Jan 09, 2017 CCEP COCA-COLA EUROPEAN PARTNERS PLC 144A Consumer Non-Cyclical Fixed Income 1909.52 0.0016376920710867277 1909.52 21 21 19123MAF0 US19123MAF05 -- 90.5 United Kingdom -- USD 2.6 5.29 1 Jan 15, 2027 1.5 2.59 -- 5.29 2.59 5.29 May 05, 2021 May 05, 2021 FDX FEDEX CORP Transportation Fixed Income 1906.01 0.001634681733845162 1906.01 20 20 31428XBR6 US31428XBR61 BFWSC77 95.32 United States -- USD 3.96 5.39 1 Oct 17, 2028 4.2 4.01 -- 5.39 4.01 5.39 Oct 17, 2018 Oct 17, 2018 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 1906.01 0.001634681733845162 1906.01 18 18 907818CF3 US907818CF33 2381781 105.65 United States -- USD 4.04 5.27 1 Feb 01, 2029 6.63 4.02 -- 5.27 4.02 5.27 Feb 01, 1999 Feb 01, 1999 EQT EQT CORP Energy Fixed Income 1904.26 0.001633180853454068 1904.26 20 20 26884LAL3 US26884LAL36 BMDMZ01 96.36 United States -- USD 3.97 5.89 1 Jan 15, 2029 5 4.08 -- 5.89 4.08 5.89 Nov 16, 2020 Nov 16, 2020 DGELN DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 1902.51 0.001631679973062974 1902.51 20 20 25243YAZ2 US25243YAZ25 BF2G248 95.22 United Kingdom -- USD 3.58 5.19 1 May 18, 2028 3.88 3.63 -- 5.19 3.63 5.19 May 18, 2018 May 18, 2018 KMB KIMBERLY-CLARK CORPORATION Consumer Non-Cyclical Fixed Income 1902.51 0.001631679973062974 1902.51 20 20 494368BR3 US494368BR33 BYQK8H4 97.12 United States -- USD 1.25 5.36 1 Aug 15, 2025 3.05 1.25 -- 5.36 1.25 5.36 Aug 06, 2015 Aug 06, 2015 HST HOST HOTELS & RESORTS LP Reits Fixed Income 1900.76 0.0016301790926718802 1900.76 20 20 44107TAW6 US44107TAW62 BYYHGD9 97.43 United States -- USD 1.63 6.05 1 Feb 01, 2026 4.5 1.65 -- 6.05 1.65 6.05 Oct 14, 2015 Oct 14, 2015 MGCN MAGNA INTERNATIONAL INC Consumer Cyclical Fixed Income 1900.76 0.0016301790926718802 1900.76 19 19 559222BA1 US559222BA12 -- 97.92 Canada -- USD 4.23 5.54 1 Mar 14, 2029 5.05 4.24 -- 5.54 4.24 5.54 Mar 14, 2024 Mar 14, 2024 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 1899 0.0016286696358214085 1899 20 20 842400GV9 US842400GV99 -- 92.66 United States -- USD 1.71 5.62 1 Feb 01, 2026 1.2 1.7 -- 5.62 1.7 5.62 Oct 01, 2020 Oct 01, 2020 EBAY EBAY INC Consumer Cyclical Fixed Income 1897.25 0.0016271687554303145 1897.25 19 19 278642BA0 US278642BA03 -- 102.12 United States -- USD 3.09 5.29 1 Nov 22, 2027 5.95 3.12 -- 5.28 3.05 5.28 Nov 22, 2022 Nov 22, 2022 BMY BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 1895.5 0.0016256678750392205 1895.5 20 20 110122DD7 US110122DD77 -- 94.41 United States -- USD 3.2 5.19 1 Nov 15, 2027 3.45 3.23 -- 5.19 3.23 5.19 May 15, 2020 Jul 15, 2020 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 1893.75 0.0016241669946481265 1893.75 19 19 571903BM4 US571903BM43 -- 99.95 United States -- USD 2.17 5.47 1 Sep 15, 2026 5.45 2.2 -- 5.47 2.2 5.47 Sep 15, 2023 Sep 15, 2023 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 1893.75 0.0016241669946481265 1893.75 19 19 6944PL2Z1 US6944PL2Z19 -- 97.62 United States -- USD 4.1 5.48 1 Jan 11, 2029 4.9 4.09 -- 5.48 4.09 5.48 Jan 11, 2024 Jan 11, 2024 WOORIB WOORI BANK MTN 144A Banking Fixed Income 1890.25 0.0016211652338659385 1890.25 19 19 98105EAM9 US98105EAM93 BL66785 98.32 Korea (South) -- USD 3.35 5.37 1 Jan 26, 2028 4.88 3.34 -- 5.37 3.34 5.37 Jan 26, 2023 Jan 26, 2023 ENELIM ENEL FINANCE INTERNATIONAL NV 144A Electric Fixed Income 1884.99 0.001616654016233279 1884.99 22 22 29278GAN8 US29278GAN88 -- 86.62 Italy -- USD 3.94 5.47 1 Jul 12, 2028 1.88 3.93 -- 5.47 3.93 5.47 Jul 12, 2021 Jul 12, 2021 ORLY OREILLY AUTOMOTIVE INC Consumer Cyclical Fixed Income 1884.99 0.001616654016233279 1884.99 20 20 67103HAG2 US67103HAG20 BD9G894 96.42 United States -- USD 3.58 5.33 1 Jun 01, 2028 4.35 3.63 -- 5.33 3.63 5.33 May 17, 2018 May 17, 2018 MET METROPOLITAN LIFE INSURANCE CO 144A Insurance Fixed Income 1883.24 0.001615153135842185 1883.24 18 18 592173AE8 US592173AE84 B4RLS76 102.43 United States -- USD 1.38 6.1 1 Nov 01, 2025 7.8 1.37 -- 6.1 1.37 6.1 Nov 01, 1995 Nov 13, 1995 O REALTY INCOME CORPORATION Reits Fixed Income 1881.49 0.001613652255451091 1881.49 20 20 756109AU8 US756109AU84 BYVHXJ7 93.84 United States -- USD 3.36 5.5 1 Jan 15, 2028 3.65 3.38 -- 5.5 3.38 5.5 Dec 06, 2017 Dec 06, 2017 FCNCA FIRST-CITIZENS BANK & TRUST CO Banking Fixed Income 1879.73 0.0016121427986006192 1879.73 19 19 125581GX0 US125581GX07 BZ00V01 101.23 United States -- USD 3.4 5.76 1 Mar 09, 2028 6.13 3.39 -- 5.76 3.39 5.76 Mar 09, 2018 Mar 09, 2018 AGO ASSURED GUARANTY US HOLDINGS INC Insurance Fixed Income 1877.98 0.0016106419182095252 1877.98 19 19 04621WAF7 US04621WAF77 -- 101.29 Bermuda -- USD 3.77 5.79 1 Sep 15, 2028 6.13 3.78 -- 5.78 3.72 5.78 Aug 21, 2023 Aug 21, 2023 LII LENNOX INTERNATIONAL INC Capital Goods Fixed Income 1877.98 0.0016106419182095252 1877.98 20 20 526107AE7 US526107AE75 -- 94.45 United States -- USD 1.22 5.96 1 Aug 01, 2025 1.35 1.22 -- 5.96 1.22 5.96 Jul 30, 2020 Jul 30, 2020 D DOMINION ENERGY INC Electric Fixed Income 1876.23 0.0016091410378184315 1876.23 20 20 25746UDF3 US25746UDF30 -- 94.81 United States -- USD 2.66 5.57 1 Mar 15, 2027 3.6 2.68 -- 5.57 2.68 5.57 Mar 19, 2020 Mar 19, 2020 NFG NATIONAL FUEL GAS COMPANY Energy Fixed Income 1876.23 0.0016091410378184315 1876.23 20 20 636180BN0 US636180BN05 BZ6CQY0 94.2 United States -- USD 3.07 5.86 1 Sep 15, 2027 3.95 3.09 -- 5.86 3.09 5.86 Sep 27, 2017 Sep 27, 2017 SWX SOUTHWEST GAS CORP Natural Gas Fixed Income 1876.23 0.0016091410378184315 1876.23 19 19 845011AH8 US845011AH89 -- 99.55 United States -- USD 3.44 5.58 1 Mar 23, 2028 5.45 3.46 -- 5.58 3.46 5.58 Mar 23, 2023 Mar 23, 2023 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 1874.48 0.0016076401574273375 1874.48 21 21 24422EWA3 US24422EWA36 -- 91.13 United States -- USD 2.58 5.25 1 Jan 11, 2027 1.7 2.58 -- 5.25 2.58 5.25 Jan 10, 2022 Jan 10, 2022 THG HANOVER INSURANCE GROUP INC Insurance Fixed Income 1874.48 0.0016076401574273375 1874.48 19 19 410867AF2 US410867AF22 BYQ9LH2 97.7 United States -- USD 1.8 5.75 1 Apr 15, 2026 4.5 1.85 -- 5.75 1.85 5.75 Apr 08, 2016 Apr 08, 2016 PETMK PETROLIAM NASIONAL BERHAD 144A Owned No Guarantee Fixed Income 1874.48 0.0016076401574273375 1874.48 18 18 716708AF9 US716708AF90 2152697 104.84 Malaysia -- USD 2.24 5.5 1 Oct 15, 2026 7.63 2.24 -- 5.5 2.24 5.5 Oct 18, 1996 Oct 18, 1996 BCP BANCO DE CREDITO DEL PERU 144A Banking Fixed Income 1872.73 0.0016061392770362435 1872.73 20 20 05971U2D8 US05971U2D82 -- 92.01 Peru -- USD 2.27 7.05 1 Sep 30, 2031 3.25 2.23 -- 6.88 2.27 6.88 Mar 30, 2021 Mar 30, 2021 SHINFN SHINHAN FINANCIAL GROUP CO LTD MTN 144A Banking Fixed Income 1872.73 0.0016061392770362435 1872.73 19 19 824596AC4 US824596AC41 -- 97.34 Korea (South) -- USD 3.74 5.71 1 Jul 24, 2028 5 3.72 -- 5.71 3.72 5.71 Jul 24, 2023 Jul 24, 2023 GBDC GOLUB CAPITAL BDC INC. Finance Companies Fixed Income 1870.98 0.0016046383966451495 1870.98 21 21 38173MAC6 US38173MAC64 -- 88.58 United States -- USD 2.67 6.57 1 Feb 15, 2027 2.05 2.64 -- 6.57 2.64 6.57 Aug 03, 2021 Aug 03, 2021 PXD PIONEER NATURAL RESOURCES COMPANY Energy Fixed Income 1870.98 0.0016046383966451495 1870.98 20 20 723787AT4 US723787AT45 -- 92.82 United States -- USD 1.66 5.55 1 Jan 15, 2026 1.13 1.66 -- 5.55 1.66 5.55 Jan 29, 2021 Jan 29, 2021 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 1869.22 0.0016031289397946777 1869.22 18 18 40139LBH5 US40139LBH50 -- 101.6 United States -- USD 3.88 5.33 1 Oct 02, 2028 5.74 3.87 -- 5.33 3.87 5.33 Oct 02, 2023 Oct 02, 2023 CPGX COLUMBIA PIPELINES HOLDING COMPANY 144A Energy Fixed Income 1867.47 0.0016016280594035837 1867.47 19 19 19828AAA5 US19828AAA51 -- 100.27 United States -- USD 2.08 5.92 1 Aug 15, 2026 6.05 2.1 -- 5.92 2.1 5.92 Aug 08, 2023 Aug 08, 2023 PPL KENTUCKY UTILITIES COMPANY Electric Fixed Income 1867.47 0.0016016280594035837 1867.47 19 19 491674BK2 US491674BK27 BYTX3H5 96.64 United States -- USD 1.37 5.78 1 Oct 01, 2025 3.3 1.37 -- 5.78 1.37 5.78 Sep 28, 2015 Sep 28, 2015 AZO AUTOZONE INC Consumer Cyclical Fixed Income 1862.22 0.0015971254182303018 1862.22 19 19 053332AY8 US053332AY81 -- 98.09 United States -- USD 0.94 5.68 1 Apr 15, 2025 3.63 0.94 -- 5.68 0.94 5.68 Mar 30, 2020 Mar 30, 2020 BXP BOSTON PROPERTIES LP Reits Fixed Income 1862.22 0.0015971254182303018 1862.22 20 20 10112RBA1 US10112RBA14 BGL9BF9 93.09 United States -- USD 3.98 6.25 1 Dec 01, 2028 4.5 3.99 -- 6.25 3.99 6.25 Nov 28, 2018 Nov 28, 2018 CANTOR CANTOR FITZGERALD LP 144A Brokerage/Asset Managers/Exchanges Fixed Income 1860.46 0.0015956159613798302 1860.46 20 20 138616AK3 US138616AK34 -- 94.46 United States -- USD 2.7 6.59 1 Apr 14, 2027 4.5 2.71 -- 6.59 2.71 6.59 Apr 14, 2022 Apr 14, 2022 CUBE CUBESMART LP Reits Fixed Income 1860.46 0.0015956159613798302 1860.46 20 20 22966RAE6 US22966RAE62 BJ5HB05 94.08 United States -- USD 4.19 5.8 1 Feb 15, 2029 4.38 4.21 -- 5.8 4.21 5.8 Jan 30, 2019 Jan 30, 2019 GUARDN GUARDIAN LIFE GLOBAL FUNDING 144A Insurance Fixed Income 1858.71 0.0015941150809887362 1858.71 20 20 40139LBD4 US40139LBD47 -- 91.72 United States -- USD 1.97 5.58 1 May 13, 2026 1.25 1.96 -- 5.58 1.96 5.58 May 13, 2021 May 13, 2021 CCDJ FEDERATION DES CAISSES DESJARDINS 144A Banking Fixed Income 1855.21 0.0015911133202065482 1855.21 19 19 31429KAH6 US31429KAH68 -- 97.34 Canada -- USD 3.03 5.43 1 Aug 23, 2027 4.55 3.02 -- 5.43 3.02 5.43 Aug 23, 2022 Aug 23, 2022 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 1855.21 0.0015911133202065482 1855.21 20 20 606822AV6 US606822AV60 BDVLN36 95.13 Japan -- USD 3.5 5.37 1 Mar 02, 2028 3.96 3.49 -- 5.37 3.49 5.37 Mar 02, 2018 Mar 02, 2018 FITB FIFTH THIRD BANCORP Banking Fixed Income 1853.46 0.0015896124398154543 1853.46 20 20 316773DE7 US316773DE71 -- 94.21 United States -- USD 3.02 6.2 1 Apr 25, 2028 4.05 2.76 -- 6.19 2.76 6.19 Apr 25, 2022 Apr 25, 2022 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 1851.7 0.0015881029829649827 1851.7 19 19 83368RAX0 US83368RAX08 -- 95.09 France -- USD 1.16 5.65 1 Jul 08, 2025 1.38 1.16 -- 5.65 1.16 5.65 Jul 08, 2020 Jul 08, 2020 PRU PRICOA GLOBAL FUNDING I MTN 144A Insurance Fixed Income 1848.2 0.0015851012221827947 1848.2 18 18 74153WCT4 US74153WCT45 -- 100.25 United States -- USD 2.16 5.43 1 Aug 28, 2026 5.55 2.15 -- 5.43 2.15 5.43 Aug 28, 2023 Aug 28, 2023 AZO AUTOZONE INC Consumer Cyclical Fixed Income 1846.45 0.0015836003417917007 1846.45 19 19 053332AR3 US053332AR31 BWY4YW1 97.79 United States -- USD 0.94 5.62 1 Apr 15, 2025 3.25 0.94 -- 5.62 0.94 5.62 Apr 29, 2015 Apr 29, 2015 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 1842.95 0.0015805985810095128 1842.95 19 19 694308KE6 US694308KE68 -- 98.81 United States -- USD 1.06 6.06 1 Jun 08, 2025 4.95 1.05 -- 6.06 1.05 6.06 Jun 08, 2022 Jun 08, 2022 TXT TEXTRON INC Capital Goods Fixed Income 1842.95 0.0015805985810095128 1842.95 19 19 883203BX8 US883203BX87 BF01TW2 94.97 United States -- USD 2.65 5.56 1 Mar 15, 2027 3.65 2.68 -- 5.56 2.68 5.56 Mar 06, 2017 Mar 06, 2017 HLENDS HPS CORPORATE LENDING FUND 144A Finance Companies Fixed Income 1839.44 0.001577588243767947 1839.44 19 19 40440VAA3 US40440VAA35 -- 98.34 United States -- USD 3.97 7.16 1 Jan 30, 2029 6.75 3.94 -- 7.16 3.94 7.16 Jan 30, 2024 Jan 30, 2024 CARGIL CARGILL INC 144A Consumer Non-Cyclical Fixed Income 1835.94 0.0015745864829857592 1835.94 19 19 141781BU7 US141781BU75 -- 98.28 United States -- USD 0.95 5.31 1 Apr 22, 2025 3.5 0.96 -- 5.31 0.96 5.31 Apr 22, 2022 Apr 22, 2022 DUK DUKE ENERGY PROGRESS LLC Electric Fixed Income 1835.94 0.0015745864829857592 1835.94 20 20 26442UAH7 US26442UAH77 BHWV322 92.02 United States -- USD 4.36 5.33 1 Mar 15, 2029 3.45 4.39 -- 5.33 4.39 5.33 Mar 07, 2019 Mar 07, 2019 CMS CMS ENERGY CORPORATION Electric Fixed Income 1832.43 0.0015715761457441935 1832.43 19 19 125896BQ2 US125896BQ27 BD31895 94.88 United States -- USD 1.92 5.67 1 May 15, 2026 3 1.93 -- 5.67 1.93 5.67 May 05, 2016 May 05, 2016 PLD PROLOGIS LP Reits Fixed Income 1832.43 0.0015715761457441935 1832.43 19 19 74340XBU4 US74340XBU46 -- 95.63 United States -- USD 2.02 5.4 1 Jun 30, 2026 3.25 2.04 -- 5.4 2.04 5.4 Jun 30, 2022 Oct 04, 2022 SRE SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 1832.43 0.0015715761457441935 1832.43 18 18 797440BH6 US797440BH66 B16Q990 101.19 United States -- USD 1.91 5.39 1 Jun 01, 2026 6 1.91 -- 5.39 1.91 5.39 Jun 08, 2006 Jun 08, 2006 UDR UDR INC MTN Reits Fixed Income 1832.43 0.0015715761457441935 1832.43 19 19 90265EAP5 US90265EAP51 BF1BCP5 94.68 United States -- USD 4.13 5.69 1 Jan 26, 2029 4.4 4.16 -- 5.69 4.16 5.69 Oct 26, 2018 Oct 26, 2018 ADSEZ ADANI PORTS AND SPECIAL ECONOMIC Z 144A Transportation Fixed Income 1830.68 0.0015700752653530995 1830.68 20 20 00652MAG7 US00652MAG78 BK7YPC1 90.94 India -- USD 2.96 7.36 1 Aug 04, 2027 4.2 2.94 -- 7.36 2.94 7.36 Aug 04, 2020 Aug 04, 2020 COLBUN COLBUN SA 144A Electric Fixed Income 1828.93 0.0015685743849620055 1828.93 19 19 192714AC7 US192714AC73 BF8F6S1 94.67 Chile -- USD 3.14 5.67 1 Oct 11, 2027 3.95 3.17 -- 5.67 3.17 5.67 Oct 11, 2017 Oct 11, 2017 SCHW CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 1828.93 0.0015685743849620055 1828.93 19 19 808513AM7 US808513AM75 BYQ29T9 96.42 United States -- USD 1.69 5.56 1 Feb 13, 2026 3.45 1.7 -- 5.56 1.7 5.56 Nov 13, 2015 Nov 13, 2015 MS MORGAN STANLEY Brokerage/Asset Managers/Exchanges Fixed Income 1821.92 0.001562562286938252 1821.92 19 19 278265AE3 US278265AE30 BDD98H7 94.99 United States -- USD 2.71 5.36 1 Apr 06, 2027 3.5 2.74 -- 5.36 2.74 5.36 Apr 06, 2017 Apr 06, 2017 ES EVERSOURCE ENERGY Electric Fixed Income 1821.92 0.001562562286938252 1821.92 19 19 30040WAF5 US30040WAF59 BHX1VD8 93.73 United States -- USD 4.32 5.73 1 Apr 01, 2029 4.25 4.35 -- 5.73 4.35 5.73 Dec 13, 2018 Dec 13, 2018 NSC NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 1820.17 0.001561061406547158 1820.17 19 19 655844BZ0 US655844BZ09 BD5H1N6 94.31 United States -- USD 3.79 5.31 1 Aug 01, 2028 3.8 3.83 -- 5.31 3.83 5.31 Aug 02, 2018 Aug 02, 2018 ATO ATMOS ENERGY CORPORATION Natural Gas Fixed Income 1813.16 0.0015550493085234043 1813.16 19 19 049560AN5 US049560AN51 BF4SN38 93.41 United States -- USD 2.88 5.31 1 Jun 15, 2027 3 2.9 -- 5.31 2.9 5.31 Jun 08, 2017 Jun 08, 2017 NEE FLORIDA POWER & LIGHT CO Electric Fixed Income 1813.16 0.0015550493085234043 1813.16 19 19 402479CF4 US402479CF43 BYQMFX5 94.14 United States -- USD 2.82 5.38 1 May 30, 2027 3.3 2.85 -- 5.38 2.85 5.38 May 18, 2017 May 18, 2017 H HYATT HOTELS CORP Consumer Cyclical Fixed Income 1813.16 0.0015550493085234043 1813.16 18 18 448579AF9 US448579AF96 BYPJ117 98.49 United States -- USD 1.69 5.7 1 Mar 15, 2026 4.85 1.77 -- 5.7 1.77 5.7 Mar 07, 2016 Mar 07, 2016 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 1813.16 0.0015550493085234043 1813.16 18 18 842400HP1 US842400HP13 -- 98.41 United States -- USD 1.04 5.7 1 Jun 01, 2025 4.2 1.04 -- 5.7 1.04 5.7 May 23, 2022 May 23, 2022 SHW SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 1811.41 0.0015535484281323105 1811.41 19 19 824348BF2 US824348BF22 BF5KFT3 97.44 United States -- USD 1.59 5.53 1 Jan 15, 2026 3.95 1.62 -- 5.53 1.62 5.53 Jul 15, 2017 Aug 07, 2017 EXC BALTIMORE GAS AND ELECTRIC CO Electric Fixed Income 1809.66 0.0015520475477412165 1809.66 19 19 059165EG1 US059165EG13 BD3BW59 94.13 United States -- USD 2.18 5.13 1 Aug 15, 2026 2.4 2.19 -- 5.13 2.19 5.13 Aug 18, 2016 Aug 18, 2016 AZO AUTOZONE INC Consumer Cyclical Fixed Income 1804.4 0.0015475363301085568 1804.4 19 19 053332AT9 US053332AT96 BD39B78 95.59 United States -- USD 1.88 5.5 1 Apr 21, 2026 3.13 1.89 -- 5.5 1.89 5.5 Apr 21, 2016 Apr 21, 2016 TTXCO TTX COMPANY MTN 144A Transportation Fixed Income 1800.9 0.0015445345693263688 1800.9 18 18 87305QCQ2 US87305QCQ29 -- 99.56 United States -- USD 2.23 5.7 1 Sep 25, 2026 5.5 2.22 -- 5.7 2.22 5.7 Sep 25, 2023 Sep 25, 2023 PLD PROLOGIS LP Reits Fixed Income 1797.4 0.0015415328085441808 1797.4 19 19 74340XBL4 US74340XBL47 -- 95.93 United States -- USD 4.14 5.35 1 Feb 01, 2029 4.38 4.19 -- 5.35 4.19 5.35 Feb 01, 2020 Feb 10, 2020 YRICN YAMANA GOLD INC Basic Industry Fixed Income 1797.4 0.0015415328085441808 1797.4 19 19 98462YAD2 US98462YAD22 BDSH9Q2 95.94 Canada -- USD 3.19 5.88 1 Dec 15, 2027 4.63 3.23 -- 5.88 3.23 5.88 Dec 04, 2017 Jun 04, 2018 APH AMPHENOL CORPORATION Capital Goods Fixed Income 1793.89 0.0015385224713026153 1793.89 18 18 032095AM3 US032095AM37 -- 98.71 United States -- USD 1.81 5.46 1 Mar 30, 2026 4.75 1.81 -- 5.46 1.81 5.46 Mar 30, 2023 Mar 30, 2023 EPR EPR PROPERTIES Reits Fixed Income 1792.14 0.0015370215909115213 1792.14 19 19 26884UAE9 US26884UAE91 BFNSMR6 93.97 United States -- USD 3.52 6.7 1 Apr 15, 2028 4.95 3.52 -- 6.7 3.52 6.7 Apr 16, 2018 Apr 16, 2018 CNP CENTERPOINT ENERGY HOUSTON ELECTRI Electric Fixed Income 1790.39 0.0015355207105204273 1790.39 19 19 15189XAQ1 US15189XAQ16 BYXYJR6 93.65 United States -- USD 2.23 5.31 1 Sep 01, 2026 2.4 2.23 -- 5.31 2.23 5.31 Aug 11, 2016 Aug 11, 2016 HTGC HERCULES CAPITAL INC Finance Companies Fixed Income 1788.64 0.0015340198301293333 1788.64 20 20 427096AJ1 US427096AJ17 -- 91.24 United States -- USD 2.55 6.94 1 Jan 20, 2027 3.38 2.52 -- 6.94 2.52 6.94 Jan 20, 2022 Jan 20, 2022 PNM PUBLIC SERVICE COMPANY OF NEW MEXI Electric Fixed Income 1788.64 0.0015340198301293333 1788.64 18 18 744542AC5 US744542AC53 BYS2SY5 97.38 United States -- USD 1.2 6.02 1 Aug 01, 2025 3.85 1.2 -- 6.02 1.2 6.02 Aug 11, 2015 Aug 11, 2015 NFG NATIONAL FUEL GAS COMPANY Energy Fixed Income 1786.89 0.0015325189497382393 1786.89 18 18 636180BS9 US636180BS91 -- 99.23 United States -- USD 2.25 5.84 1 Oct 01, 2026 5.5 2.24 -- 5.84 2.24 5.84 May 18, 2023 May 18, 2023 SYDAU SYDNEY AIRPORT FINANCE CO PTY LTD 144A Transportation Fixed Income 1785.13 0.0015310094928877678 1785.13 18 18 87124VAE9 US87124VAE92 BX1N8C6 97.39 Australia -- USD 0.96 6.07 1 Apr 30, 2025 3.38 0.96 -- 6.07 0.96 6.07 Apr 30, 2015 Apr 30, 2015 CNHI CNH INDUSTRIAL CAPITAL LLC Capital Goods Fixed Income 1783.38 0.0015295086124966738 1783.38 18 18 12592BAR5 US12592BAR50 -- 99.49 United States -- USD 4.03 5.62 1 Jan 12, 2029 5.5 4.04 -- 5.62 4.04 5.62 Sep 13, 2023 Sep 13, 2023 MAA MID-AMERICA APARTMENTS LP Reits Fixed Income 1778.13 0.0015250059713233918 1778.13 19 19 59523UAP2 US59523UAP21 BG5NSH8 95.71 United States -- USD 3.63 5.37 1 Jun 15, 2028 4.2 3.68 -- 5.37 3.68 5.37 May 14, 2018 May 14, 2018 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 1774.62 0.001521995634081826 1774.62 18 18 378272AV0 US378272AV04 BJR8WG9 96.43 Australia -- USD 4.2 5.72 1 Mar 12, 2029 4.88 4.24 -- 5.72 4.24 5.72 Mar 12, 2019 Mar 12, 2019 BA BOEING CO Capital Goods Fixed Income 1772.87 0.001520494753690732 1772.87 20 20 097023BX2 US097023BX25 BFXHLL0 89.82 United States -- USD 3.52 6.27 1 Mar 01, 2028 3.25 3.51 -- 6.27 3.51 6.27 Feb 23, 2018 Feb 23, 2018 ENTERP ERAC USA FINANCE LLC 144A Transportation Fixed Income 1772.87 0.001520494753690732 1772.87 19 19 26884TAR3 US26884TAR32 BDF16B1 94.72 United States -- USD 2.39 5.51 1 Dec 01, 2026 3.3 2.41 -- 5.51 2.41 5.51 May 26, 2016 May 26, 2016 MDLZ MONDELEZ INTERNATIONAL HOLDINGS NE 144A Consumer Non-Cyclical Fixed Income 1772.87 0.001520494753690732 1772.87 20 20 60920LAR5 US60920LAR50 -- 90.56 United States -- USD 2.32 5.48 1 Sep 24, 2026 1.25 2.32 -- 5.48 2.32 5.48 Sep 24, 2021 Sep 24, 2021 SON SONOCO PRODUCTS COMPANY Capital Goods Fixed Income 1771.12 0.0015189938732996383 1771.12 19 19 835495AN2 US835495AN20 -- 91.82 United States -- USD 2.62 5.47 1 Feb 01, 2027 2.25 2.61 -- 5.47 2.61 5.47 Jan 21, 2022 Jan 21, 2022 BRX BRIXMOR OPERATING PARTNERSHIP LP Reits Fixed Income 1765.86 0.0015144826556669785 1765.86 20 20 11120VAK9 US11120VAK98 BM9ZRT7 87.35 United States -- USD 3.68 5.9 1 Apr 01, 2028 2.25 3.66 -- 5.9 3.66 5.9 Mar 05, 2021 Mar 05, 2021 PFG PRINCIPAL LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 1765.86 0.0015144826556669785 1765.86 18 18 74256LEW5 US74256LEW54 -- 98.55 United States -- USD 3.63 5.89 1 Jun 28, 2028 5.5 3.61 -- 5.89 3.61 5.89 Jun 28, 2023 Jun 28, 2023 GXO GXO LOGISTICS INC Transportation Fixed Income 1764.11 0.0015129817752758846 1764.11 18 18 36262GAF8 US36262GAF81 -- 99.46 United States -- USD 4.27 6.33 1 May 06, 2029 6.25 4.26 -- 6.33 4.26 6.33 May 06, 2024 May 06, 2024 NGGLN BROOKLYN UNION GAS CO 144A Natural Gas Fixed Income 1762.36 0.0015114808948847906 1762.36 18 18 114259AV6 US114259AV67 -- 96.02 United States -- USD 2.95 5.98 1 Aug 05, 2027 4.63 2.95 -- 5.98 2.95 5.98 Aug 05, 2022 Aug 05, 2022 RPM RPM INTERNATIONAL INC Basic Industry Fixed Income 1758.86 0.0015084791341026026 1758.86 18 18 749685AX1 US749685AX13 -- 95.1 United States -- USD 4.2 5.72 1 Mar 01, 2029 4.55 4.24 -- 5.72 4.24 5.72 Feb 27, 2019 Feb 27, 2019 BCBSMN BLUE CROSS & BLUE SHIELD OF MINNES 144A Insurance Fixed Income 1757.1 0.001506969677252131 1757.1 18 18 05490LAA7 US05490LAA70 BX3JD38 97.59 United States -- USD 0.96 6.28 1 May 01, 2025 3.79 0.96 -- 6.28 0.96 6.28 Apr 24, 2015 Apr 24, 2015 CDP COPT DEFENSE PROPERTIES LP Reits Fixed Income 1757.1 0.001506969677252131 1757.1 19 19 22003BAL0 US22003BAL09 -- 93.84 United States -- USD 1.81 5.74 1 Mar 15, 2026 2.25 1.8 -- 5.74 1.8 5.74 Sep 17, 2020 Sep 17, 2020 OKE ONEOK INC Energy Fixed Income 1755.35 0.001505468796861037 1755.35 18 18 682680AS2 US682680AS26 BF7GWC1 95.32 United States -- USD 2.89 5.61 1 Jul 13, 2027 4 2.93 -- 5.61 2.93 5.61 Jul 13, 2017 Jul 13, 2017 MCO MOODYS CORPORATION Technology Fixed Income 1753.6 0.001503967916469943 1753.6 18 18 615369AP0 US615369AP01 BFZYRJ9 95.55 United States -- USD 4.15 5.32 1 Feb 01, 2029 4.25 4.2 -- 5.32 4.2 5.32 Dec 17, 2018 Dec 17, 2018 WEC WISCONSIN PUBLIC SERVICE CORPORATI Electric Fixed Income 1753.6 0.001503967916469943 1753.6 18 18 976843BP6 US976843BP69 -- 99.75 United States -- USD 1.39 5.52 1 Nov 10, 2025 5.35 1.43 -- 5.52 1.43 5.52 Nov 10, 2022 Nov 10, 2022 TNOTE TREASURY NOTE Treasuries Fixed Income 1748.03 0.0014991908285965753 1748.03 18 18 91282CGG0 US91282CGG06 BL6BW29 99.12 United States -- USD 0.74 5.3 1 Jan 31, 2025 4.13 0.74 -- 5.3 0.74 5.3 Jan 31, 2023 Jan 31, 2023 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 1746.59 0.0014979558184461895 1746.59 18 18 04685A2N0 US04685A2N06 -- 95.93 United States -- USD 1.13 6.18 1 Jun 29, 2025 2.55 1.12 -- 6.18 1.12 6.18 Jun 29, 2020 Jun 29, 2020 COLPLN COLONIAL PIPELINE CO. 144A Energy Fixed Income 1746.59 0.0014979558184461895 1746.59 18 18 195869AP7 US195869AP74 BD6RJR5 97.3 United States -- USD 1.36 5.74 1 Oct 01, 2025 3.75 1.37 -- 5.74 1.37 5.74 Sep 22, 2015 Sep 22, 2015 EFX EQUIFAX INC. Technology Fixed Income 1744.84 0.0014964549380550955 1744.84 18 18 294429AL9 US294429AL98 BDB2XJ5 95.26 United States -- USD 1.95 5.68 1 Jun 01, 2026 3.25 1.96 -- 5.68 1.96 5.68 May 12, 2016 May 12, 2016 GSCCOR GS CALTEX CORP 144A Energy Fixed Income 1744.84 0.0014964549380550955 1744.84 18 18 36294BAK0 US36294BAK08 -- 97.94 Korea (South) -- USD 1.59 5.79 1 Jan 05, 2026 4.5 1.58 -- 5.79 1.58 5.79 Jul 05, 2022 Jul 05, 2022 FE PENNSYLVANIA ELECTRIC COMPANY 144A Electric Fixed Income 1743.09 0.0014949540576640016 1743.09 18 18 708696CA5 US708696CA52 -- 98.62 United States -- USD 1.81 5.91 1 Mar 30, 2026 5.15 1.8 -- 5.91 1.8 5.91 Mar 30, 2023 Mar 30, 2023 BBDC BARINGS BDC INC Finance Companies Fixed Income 1741.34 0.0014934531772729076 1741.34 19 19 06759LAC7 US06759LAC72 BPBS728 91.07 United States -- USD 2.39 7.15 1 Nov 23, 2026 3.3 2.37 -- 7.15 2.37 7.15 May 23, 2022 Oct 21, 2022 RF REGIONS FINANCIAL CORPORATION Banking Fixed Income 1741.34 0.0014934531772729076 1741.34 21 21 7591EPAT7 US7591EPAT77 -- 84.85 United States -- USD 4.03 5.84 1 Aug 12, 2028 1.8 4.01 -- 5.84 4.01 5.84 Aug 12, 2021 Aug 12, 2021 PCG PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 1739.59 0.0014919522968818136 1739.59 18 18 694308JC2 US694308JC22 BLPHDN6 94.93 United States -- USD 3.73 6.01 1 Aug 01, 2028 4.65 3.75 -- 6.01 3.75 6.01 Feb 01, 2020 Jun 26, 2020 PLD PROLOGIS LP Reits Fixed Income 1737.83 0.0014904428400313418 1737.83 18 18 74340XBK6 US74340XBK63 -- 95.19 United States -- USD 2.27 5.38 1 Oct 01, 2026 3.25 2.29 -- 5.38 2.29 5.38 Oct 01, 2019 Feb 10, 2020 VARNO VAR ENERGI ASA 144A Energy Fixed Income 1734.33 0.0014874410792491538 1734.33 18 18 92212WAA8 US92212WAA80 -- 96.59 Norway -- USD 2.72 6.24 1 May 18, 2027 5 2.73 -- 6.24 2.73 6.24 May 18, 2022 May 18, 2022 LII LENNOX INTERNATIONAL INC Capital Goods Fixed Income 1732.58 0.0014859401988580598 1732.58 20 20 526107AF4 US526107AF41 -- 88.66 United States -- USD 3.1 5.54 1 Aug 01, 2027 1.7 3.09 -- 5.54 3.09 5.54 Jul 30, 2020 Jul 30, 2020 WPC WP CAREY INC Reits Fixed Income 1732.58 0.0014859401988580598 1732.58 18 18 92936UAE9 US92936UAE91 BD3RRV8 97.09 United States -- USD 2.21 5.54 1 Oct 01, 2026 4.25 2.27 -- 5.54 2.27 5.54 Sep 12, 2016 Sep 12, 2016 SPSP SP POWERASSETS LIMITED MTN 144A Owned No Guarantee Fixed Income 1729.08 0.001482938438075872 1729.08 18 18 78462QAD1 US78462QAD16 BDCBVX1 96.66 Singapore -- USD 1.49 5.48 1 Nov 24, 2025 3.25 1.49 -- 5.48 1.49 5.48 Nov 24, 2015 Nov 24, 2015 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 1723.82 0.0014784272204432123 1723.82 20 20 06406RAZ0 US06406RAZ01 -- 86.2 United States -- USD 4.41 5.22 1 Jan 25, 2029 1.9 4.41 -- 5.22 4.41 5.22 Oct 25, 2021 Oct 25, 2021 BNSF BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 1723.82 0.0014784272204432123 1723.82 18 18 12189LAY7 US12189LAY74 BYV3D62 97.68 United States -- USD 1.28 5.45 1 Sep 01, 2025 3.65 1.29 -- 5.45 1.29 5.45 Aug 20, 2015 Aug 20, 2015 ED CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 1722.07 0.0014769263400521183 1722.07 19 19 209111FM0 US209111FM02 BF3RHH8 93.06 United States -- USD 3.23 5.29 1 Nov 15, 2027 3.13 3.25 -- 5.29 3.25 5.29 Nov 16, 2017 Nov 16, 2017 DUK DUKE ENERGY CAROLINAS LLC Electric Fixed Income 1720.32 0.0014754254596610243 1720.32 17 17 264399DK9 US264399DK95 2428707 103.14 United States -- USD 3.91 5.22 1 Dec 01, 2028 6 3.9 -- 5.22 3.9 5.22 Dec 04, 1998 Dec 04, 1998 FITB FIFTH THIRD BANK (OHIO) Banking Fixed Income 1718.56 0.0014739160028105528 1718.56 18 18 31677AAB0 US31677AAB08 BYSXRC9 96.04 United States -- USD 1.78 6.1 1 Mar 15, 2026 3.85 1.78 -- 6.1 1.78 6.1 Mar 15, 2016 Mar 15, 2016 REG REGENCY CENTERS LP Reits Fixed Income 1718.56 0.0014739160028105528 1718.56 18 18 75884RAX1 US75884RAX17 BDD1H65 94.83 United States -- USD 3.47 5.62 1 Mar 15, 2028 4.13 3.51 -- 5.62 3.51 5.62 Mar 09, 2018 Mar 09, 2018 ARE ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 1715.06 0.0014709142420283648 1715.06 18 18 015271AJ8 US015271AJ82 BYN1609 95.63 United States -- USD 2.48 5.71 1 Jan 15, 2027 3.95 2.5 -- 5.71 2.5 5.71 Jun 10, 2016 Jun 10, 2016 OCINCC BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 1715.06 0.0014709142420283648 1715.06 19 19 69120VAM3 US69120VAM37 -- 91.43 United States -- USD 2.28 7.05 1 Sep 23, 2026 3.13 2.25 -- 7.05 2.25 7.05 Mar 23, 2022 Aug 23, 2022 BINBUR BANCO INBURSA SA INSTITUCION DE BA 144A Banking Fixed Income 1713.31 0.0014694133616372708 1713.31 18 18 05969LAB7 US05969LAB71 BYX2J25 95.52 Mexico -- USD 2.69 6.05 1 Apr 11, 2027 4.38 2.72 -- 6.05 2.72 6.05 Apr 11, 2017 Apr 11, 2017 ES EVERSOURCE ENERGY Electric Fixed Income 1713.31 0.0014694133616372708 1713.31 18 18 30040WAJ7 US30040WAJ71 -- 93.65 United States -- USD 1.27 5.92 1 Aug 15, 2025 0.8 1.26 -- 5.92 1.26 5.92 Aug 14, 2020 Aug 14, 2020 HMN HORACE MANN EDUCATORS CORPORATION Insurance Fixed Income 1713.31 0.0014694133616372708 1713.31 16 16 440327AL8 US440327AL82 -- 104.92 United States -- USD 3.7 5.96 1 Sep 15, 2028 7.25 3.71 -- 5.94 3.65 5.94 Sep 15, 2023 Sep 15, 2023 AMGN AMGEN INC Consumer Non-Cyclical Fixed Income 1711.56 0.0014679124812461768 1711.56 18 18 031162CQ1 US031162CQ15 BF29RS6 93.21 United States -- USD 3.19 5.34 1 Nov 02, 2027 3.2 3.21 -- 5.34 3.21 5.34 Nov 02, 2017 Nov 02, 2017 DUK DUKE ENERGY FLORIDA LLC Electric Fixed Income 1711.56 0.0014679124812461768 1711.56 18 18 26444HAE1 US26444HAE18 BYZMHH4 94.46 United States -- USD 3.75 5.28 1 Jul 15, 2028 3.8 3.79 -- 5.28 3.79 5.28 Jun 21, 2018 Jun 21, 2018 QAR QAR CASH Cash and/or Derivatives Cash 1709.85 0.0014664459066925936 1709.85 62 62 -- -- -- 27.46 Qatar -- USD 0 1.38 3.641 -- 0 0 -- 1.38 0 1.38 -- -- YARNO YARA INTERNATIONAL ASA 144A Basic Industry Fixed Income 1709.81 0.0014664116008550828 1709.81 18 18 984851AD7 US984851AD75 BYXGYV1 95.69 Brazil -- USD 1.96 6 1 Jun 06, 2026 3.8 1.96 -- 6 1.96 6 Jun 06, 2016 Jun 06, 2016 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 1709.81 0.0014664116008550828 1709.81 18 18 63743HFE7 US63743HFE71 -- 97.57 United States -- USD 1.09 5.67 1 Jun 15, 2025 3.45 1.08 -- 5.67 1.08 5.67 May 04, 2022 May 04, 2022 ISPIM INTESA SANPAOLO SPA 144A Banking Fixed Income 1706.3 0.0014634012636135173 1706.3 19 19 46115HBD8 US46115HBD89 BDT52T9 91.97 Italy -- USD 3.37 6.33 1 Jan 12, 2028 3.88 3.34 -- 6.33 3.34 6.33 Jan 12, 2018 Jan 12, 2018 ALLE ALLEGION US HOLDING CO INC Capital Goods Fixed Income 1704.55 0.0014619003832224233 1704.55 18 18 01748NAE4 US01748NAE40 BF22138 93.83 United States -- USD 3.14 5.55 1 Oct 01, 2027 3.55 3.16 -- 5.55 3.16 5.55 Oct 02, 2017 Oct 02, 2017 BA BOEING CO Capital Goods Fixed Income 1702.8 0.0014603995028313293 1702.8 18 18 097023BP9 US097023BP90 BYSRN78 95.02 United States -- USD 1.44 6.09 1 Oct 30, 2025 2.6 1.43 -- 6.09 1.43 6.09 Oct 29, 2015 Oct 29, 2015 NEUBER NEUBERGER BERMAN GROUP LLC/NEUBERG 144A Brokerage/Asset Managers/Exchanges Fixed Income 1702.8 0.0014603995028313293 1702.8 18 18 64128XAG5 US64128XAG51 -- 95.65 United States -- USD 2.61 6.16 1 Mar 15, 2027 4.5 2.64 -- 6.16 2.64 6.16 Mar 14, 2017 Mar 14, 2017 PEG PUBLIC SERVICE ELECTRIC MTN Electric Fixed Income 1702.8 0.0014603995028313293 1702.8 17 17 74456QBL9 US74456QBL95 BXC5W63 97.59 United States -- USD 1 5.38 1 May 15, 2025 3 1.01 -- 5.38 1.01 5.38 May 12, 2015 May 12, 2015 APTV APTIV PLC Consumer Cyclical Fixed Income 1699.29 0.0014573891655897636 1699.29 18 18 03835VAG1 US03835VAG14 BHL3SF7 95.13 United States -- USD 4.26 5.5 1 Mar 15, 2029 4.35 4.3 -- 5.5 4.3 5.5 Mar 14, 2019 Mar 14, 2019 GWOCN GREAT-WEST LIFECO FINANCE 2018 LP 144A Insurance Fixed Income 1699.29 0.0014573891655897636 1699.29 18 18 39138QAA3 US39138QAA31 BFM2H52 95.18 Canada -- USD 3.57 5.38 1 May 17, 2028 4.05 3.61 -- 5.38 3.61 5.38 May 17, 2018 May 17, 2018 HSY HERSHEY COMPANY THE Consumer Non-Cyclical Fixed Income 1699.29 0.0014573891655897636 1699.29 17 17 427866AU2 US427866AU28 BYXMWW6 97.36 United States -- USD 1.26 5.29 1 Aug 21, 2025 3.2 1.26 -- 5.29 1.26 5.29 Aug 21, 2015 Aug 21, 2015 NTRS NORTHERN TRUST CORPORATION Banking Fixed Income 1692.29 0.0014513856440253876 1692.29 18 18 665859AT1 US665859AT17 BF0WNF6 94.11 United States -- USD 3.81 5.2 1 Aug 03, 2028 3.65 3.85 -- 5.2 3.85 5.2 Aug 03, 2018 Aug 03, 2018 UDR UDR INC MTN Reits Fixed Income 1690.53 0.001449876187174916 1690.53 18 18 90265EAM2 US90265EAM21 BF29YN0 93.29 United States -- USD 2.9 5.84 1 Jul 01, 2027 3.5 2.91 -- 5.84 2.91 5.84 Jun 16, 2017 Jun 16, 2017 BKIR BANK OF IRELAND GROUP PLC 144A Banking Fixed Income 1688.78 0.001448375306783822 1688.78 19 19 06279JAB5 US06279JAB52 -- 90.92 Ireland -- USD 2.3 6.16 1 Sep 30, 2027 2.03 2.3 -- 6.1 2.31 6.1 Sep 30, 2021 Sep 30, 2021 NNN NNN REIT INC Reits Fixed Income 1687.03 0.001446874426392728 1687.03 18 18 637417AJ5 US637417AJ54 BYSRZ50 94.86 United States -- USD 2.42 5.72 1 Dec 15, 2026 3.6 2.43 -- 5.72 2.43 5.72 Dec 12, 2016 Dec 12, 2016 SUZANO SUZANO AUSTRIA GMBH Basic Industry Fixed Income 1685.28 0.0014453735460016341 1685.28 17 17 86964WAF9 US86964WAF95 BK777M4 98.78 Brazil -- USD 3.94 6.3 1 Jan 15, 2029 6 3.99 -- 6.3 3.99 6.3 Jul 15, 2019 Aug 14, 2019 DQE DUQUESNE LIGHT HOLDINGS INC 144A Electric Fixed Income 1683.53 0.0014438726656105401 1683.53 18 18 266233AG0 US266233AG08 BZ9P8X9 92.54 United States -- USD 2.99 6.17 1 Aug 01, 2027 3.62 2.98 -- 6.17 2.98 6.17 Jul 24, 2017 Jul 24, 2017 GE GE CAPITAL INTERNATIONAL FUNDING C Capital Goods Fixed Income 1681.78 0.0014423717852194461 1681.78 17 17 36164Q6M5 US36164Q6M56 BYNKFJ8 96.65 United States -- USD 1.47 5.65 1 Nov 15, 2025 3.37 1.46 -- 5.65 1.46 5.65 May 15, 2016 Jul 01, 2016 AON AON CORP Insurance Fixed Income 1680.02 0.0014408623283689746 1680.02 16 16 037389AK9 US037389AK90 B683Y11 105.49 United States -- USD 2.36 5.96 1 Jan 01, 2027 8.21 2.34 -- 5.96 2.34 5.96 Jan 01, 2009 Jun 25, 2009 HCA HCA INC Consumer Non-Cyclical Fixed Income 1680.02 0.0014408623283689746 1680.02 16 16 197677AG2 US197677AG24 2118332 101.9 United States -- USD 1.06 5.93 1 Jun 15, 2025 7.69 1.05 -- 5.93 1.05 5.93 Jun 30, 1995 Jun 30, 1995 TOL TOLL BROTHERS FINANCE CORP. Consumer Cyclical Fixed Income 1678.27 0.0014393614479778806 1678.27 17 17 88947EAR1 US88947EAR18 BYRWFH8 98.55 United States -- USD 1.4 5.86 1 Nov 15, 2025 4.88 1.44 -- 5.86 1.44 5.86 Oct 30, 2015 Oct 30, 2015 KMB KIMBERLY-CLARK CORPORATION Consumer Non-Cyclical Fixed Income 1676.52 0.0014378605675867866 1676.52 19 19 494368CC5 US494368CC54 -- 87.42 United States -- USD 3.25 5.14 1 Sep 15, 2027 1.05 3.25 -- 5.14 3.25 5.14 Sep 11, 2020 Sep 11, 2020 BIDU BAIDU INC Technology Fixed Income 1674.77 0.0014363596871956926 1674.77 17 17 056752AG3 US056752AG38 BYSLF74 98.05 China -- USD 1.12 5.85 1 Jun 30, 2025 4.13 1.12 -- 5.85 1.12 5.85 Jun 30, 2015 Jun 30, 2015 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 1673.02 0.0014348588068045986 1673.02 17 17 571903AP8 US571903AP82 BYMYPB3 97.31 United States -- USD 1.36 5.73 1 Oct 01, 2025 3.75 1.37 -- 5.73 1.37 5.73 Sep 14, 2015 Sep 14, 2015 PL PROTECTIVE LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 1673.02 0.0014348588068045986 1673.02 17 17 74368CBX1 US74368CBX11 -- 98.67 United States -- USD 2.48 5.52 1 Jan 12, 2027 4.99 2.47 -- 5.52 2.47 5.52 Jan 12, 2024 Jan 12, 2024 BCSF BAIN CAPITAL SPECIALTY FINANCE INC Finance Companies Fixed Income 1671.26 0.0014333493499541269 1671.26 18 18 05684BAC1 US05684BAC19 -- 91.14 United States -- USD 2.34 6.5 1 Oct 13, 2026 2.55 2.33 -- 6.5 2.33 6.5 Oct 13, 2021 Oct 13, 2021 TSLX SIXTH STREET SPECIALTY LENDING INC Finance Companies Fixed Income 1671.26 0.0014333493499541269 1671.26 18 18 83012AAA7 US83012AAA79 -- 92.12 United States -- USD 2.15 6.28 1 Aug 01, 2026 2.5 2.14 -- 6.28 2.14 6.28 Feb 03, 2021 Feb 03, 2021 ABT ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 1667.76 0.0014303475891719389 1667.76 19 19 002824BP4 US002824BP42 -- 86.93 United States -- USD 3.59 5 1 Jan 30, 2028 1.15 3.59 -- 5 3.59 5 Jun 24, 2020 Jun 24, 2020 KOROIL KOREA NATIONAL OIL CORP MTN 144A Owned No Guarantee Fixed Income 1667.76 0.0014303475891719389 1667.76 17 17 50065WAQ9 US50065WAQ96 -- 98.47 Korea (South) -- USD 1.83 5.59 1 Apr 03, 2026 4.75 1.82 -- 5.59 1.82 5.59 Apr 03, 2023 Apr 03, 2023 CDP COPT DEFENSE PROPERTIES LP Reits Fixed Income 1662.51 0.0014258449479986571 1662.51 20 20 22003BAN6 US22003BAN64 -- 83.06 United States -- USD 4.38 6.19 1 Jan 15, 2029 2 4.34 -- 6.19 4.34 6.19 Aug 11, 2021 Aug 11, 2021 MCY MERCURY GENERAL CORPORATION Insurance Fixed Income 1662.51 0.0014258449479986571 1662.51 17 17 589400AB6 US589400AB62 BF04KN9 95.32 United States -- USD 2.62 6.19 1 Mar 15, 2027 4.4 2.65 -- 6.19 2.65 6.19 Mar 08, 2017 Mar 08, 2017 UNM UNUM GROUP Insurance Fixed Income 1662.51 0.0014258449479986571 1662.51 17 17 91529YAL0 US91529YAL02 BYZKLT8 96.66 United States -- USD 1.44 6.2 1 Nov 05, 2025 3.88 1.43 -- 6.2 1.43 6.2 Nov 05, 2015 Nov 05, 2015 CMS CMS ENERGY CORPORATION Electric Fixed Income 1660.75 0.0014243354911481854 1660.75 18 18 125896BR0 US125896BR00 BDH7167 92.82 United States -- USD 2.62 5.76 1 Feb 15, 2027 2.95 2.62 -- 5.76 2.62 5.76 Nov 03, 2016 Nov 03, 2016 UDR UDR INC MTN Reits Fixed Income 1660.75 0.0014243354911481854 1660.75 18 18 90265EAN0 US90265EAN04 BFD9PG9 92.46 United States -- USD 3.38 5.78 1 Jan 15, 2028 3.5 3.38 -- 5.78 3.38 5.78 Dec 13, 2017 Dec 13, 2017 ULS UL SOLUTIONS INC 144A Consumer Cyclical Fixed Income 1660.75 0.0014243354911481854 1660.75 16 16 903731AA5 US903731AA58 -- 102.6 United States -- USD 3.84 5.83 1 Oct 20, 2028 6.5 3.85 -- 5.82 3.79 5.82 Oct 20, 2023 Oct 20, 2023 DG DOLLAR GENERAL CORPORATION Consumer Cyclical Fixed Income 1657.25 0.0014213337303659974 1657.25 17 17 256677AF2 US256677AF29 BFY0D67 95.38 United States -- USD 3.52 5.42 1 May 01, 2028 4.13 3.56 -- 5.42 3.56 5.42 Apr 10, 2018 Apr 10, 2018 LAZ LAZARD GROUP LLC Brokerage/Asset Managers/Exchanges Fixed Income 1657.25 0.0014213337303659974 1657.25 17 17 52107QAH8 US52107QAH83 BDS60Q6 94.77 United States -- USD 2.61 5.63 1 Mar 01, 2027 3.63 2.64 -- 5.63 2.64 5.63 Nov 04, 2016 Nov 04, 2016 TXN TEXAS INSTRUMENTS INC Technology Fixed Income 1657.25 0.0014213337303659974 1657.25 17 17 882508CE2 US882508CE26 -- 98.94 United States -- USD 2.53 5.01 1 Feb 08, 2027 4.6 2.56 -- 5.01 2.56 5.01 Feb 08, 2024 Feb 08, 2024 VOYA VOYA FINANCIAL INC Insurance Fixed Income 1655.5 0.0014198328499749034 1655.5 20 20 929089AF7 US929089AF72 BJ1N0G6 83.37 United States -- USD 3.32 8.38 1 Jan 23, 2048 4.7 3.19 -- 10.14 3.24 10.14 Jul 23, 2018 Dec 19, 2018 CAT CATERPILLAR FINANCIAL SERVICES COR Capital Goods Fixed Income 1651.99 0.0014168225127333379 1651.99 18 18 14912L6T3 US14912L6T33 BDBBNW5 94.04 United States -- USD 2.18 5.19 1 Aug 09, 2026 2.4 2.17 -- 5.19 2.17 5.19 Aug 09, 2016 Aug 09, 2016 HYNMTR HYUNDAI CAPITAL AMERICA MTN 144A Consumer Cyclical Fixed Income 1650.24 0.0014153216323422439 1650.24 16 16 44891ACK1 US44891ACK16 -- 100.09 United States -- USD 1.14 5.91 1 Jul 11, 2025 6 1.13 -- 5.91 1.13 5.91 Jul 11, 2023 Jul 11, 2023 MET MET TOWER GLOBAL FUNDING MTN 144A Insurance Fixed Income 1648.49 0.0014138207519511499 1648.49 17 17 58989V2G8 US58989V2G85 -- 98.79 United States -- USD 2.5 5.33 1 Jan 16, 2027 4.85 2.49 -- 5.33 2.49 5.33 Jan 16, 2024 Jan 16, 2024 HTGC HERCULES CAPITAL INC Finance Companies Fixed Income 1646.74 0.0014123198715600559 1646.74 18 18 427096AH5 US427096AH50 -- 90.5 United States -- USD 2.27 7.01 1 Sep 16, 2026 2.63 2.25 -- 7.01 2.25 7.01 Sep 16, 2021 Sep 16, 2021 MIZUHO MIZUHO FINANCIAL GROUP INC Banking Fixed Income 1646.74 0.0014123198715600559 1646.74 17 17 60687YAK5 US60687YAK55 BYYP020 95.2 Japan -- USD 2.65 5.51 1 Feb 28, 2027 3.66 2.63 -- 5.51 2.63 5.51 Feb 28, 2017 Feb 28, 2017 MS MORGAN STANLEY BANK NA Banking Fixed Income 1646.74 0.0014123198715600559 1646.74 16 16 61690U7U8 US61690U7U83 -- 100.03 United States -- USD 1.11 5.45 1 Jul 16, 2025 5.48 1.15 -- 5.45 1.15 5.45 Jul 21, 2023 Jul 21, 2023 OCSL OAKTREE SPECIALTY LENDING CORP Finance Companies Fixed Income 1643.23 0.0014093095343184901 1643.23 18 18 67401PAC2 US67401PAC23 -- 89.95 United States -- USD 2.56 6.81 1 Jan 15, 2027 2.7 2.53 -- 6.81 2.53 6.81 May 18, 2021 May 18, 2021 AXP AMERICAN EXPRESS CREDIT CORPORATIO MTN Banking Fixed Income 1639.73 0.0014063077735363024 1639.73 17 17 0258M0EL9 US0258M0EL96 BD0B508 94.57 United States -- USD 2.77 5.26 1 May 03, 2027 3.3 2.78 -- 5.26 2.78 5.26 May 03, 2017 May 03, 2017 SHINFN SHINHAN FINANCIAL GROUP CO LTD 144A Banking Fixed Income 1639.73 0.0014063077735363024 1639.73 18 18 824596AA8 US824596AA84 -- 92.26 Korea (South) -- USD 1.73 6.79 1 Dec 31, 2079 2.88 1.75 -- 6.79 1.91 6.79 May 12, 2021 May 12, 2021 MPLX MPLX LP Energy Fixed Income 1636.23 0.0014033060127541144 1636.23 17 17 55336VAS9 US55336VAS97 BF5M0H2 96.66 United States -- USD 4.14 5.6 1 Feb 15, 2029 4.8 4.18 -- 5.6 4.18 5.6 Nov 15, 2018 Nov 15, 2018 MIZUHO MIZUHO FINANCIAL GROUP INC FXD-FXD Banking Fixed Income 1636.23 0.0014033060127541144 1636.23 17 17 60687YCA5 US60687YCA55 -- 96.8 Japan -- USD 1.02 5.93 1 May 22, 2026 2.65 1.02 -- 5.76 1.03 5.76 Feb 22, 2022 Feb 22, 2022 MUTOMA MUTUAL OF OMAHA COMPANIES GLOBAL F MTN 144A Insurance Fixed Income 1636.23 0.0014033060127541144 1636.23 16 16 62829D2B5 US62829D2B56 -- 99.72 United States -- USD 3.98 5.52 1 Dec 12, 2028 5.45 3.96 -- 5.52 3.96 5.52 Dec 12, 2023 Dec 12, 2023 BIDU BAIDU INC Technology Fixed Income 1630.97 0.0013987947951214547 1630.97 18 18 056752AV0 US056752AV05 BN4FTS2 89.97 China -- USD 2.7 5.5 1 Feb 23, 2027 1.63 2.69 -- 5.5 2.69 5.5 Aug 23, 2021 Aug 23, 2021 PARA PARAMOUNT GLOBAL Communications Fixed Income 1627.47 0.0013957930343392667 1627.47 18 18 124857AT0 US124857AT09 BYXKMT7 88.96 United States -- USD 3.48 6.71 1 Feb 15, 2028 3.38 3.45 -- 6.71 3.45 6.71 Jul 03, 2017 Jul 03, 2017 OBDC BLUE OWL CAPITAL CORP Finance Companies Fixed Income 1627.47 0.0013957930343392667 1627.47 17 17 69121KAH7 US69121KAH77 -- 97.83 United States -- USD 4.12 6.47 1 Mar 15, 2029 5.95 4.11 -- 6.47 4.11 6.47 Jan 22, 2024 Jan 22, 2024 SO GEORGIA POWER COMPANY Electric Fixed Income 1625.72 0.0013942921539481729 1625.72 17 17 373334KE0 US373334KE00 BZB2D44 95.84 United States -- USD 1.82 5.55 1 Apr 01, 2026 3.25 1.83 -- 5.55 1.83 5.55 Mar 08, 2016 Mar 08, 2016 PRU PRUDENTIAL INSURANCE COMPANY OF AM 144A Insurance Fixed Income 1623.96 0.0013927826970977011 1623.96 16 16 743917AH9 US743917AH99 2706878 101.92 United States -- USD 1.1 6.57 1 Jul 01, 2025 8.3 1.09 -- 6.57 1.09 6.57 Jul 01, 1995 Jul 05, 1995 PSEC PROSPECT CAPITAL CORP Finance Companies Fixed Income 1622.21 0.0013912818167066071 1622.21 18 18 74348TAV4 US74348TAV44 -- 91.08 United States -- USD 2.37 7.25 1 Nov 15, 2026 3.36 2.34 -- 7.25 2.34 7.25 May 27, 2021 May 27, 2021 SGAFT CASH COLLATERAL EUR SGAFT Cash and/or Derivatives Cash Collateral and Margins 1621.73 0.0013908701466564784 1621.73 15 15 -- -- -- 107.13 European Union -- USD 0 0 0.933445346774946 Dec 31, 2049 3.86 0 -- 0 0 0 Aug 02, 2016 Aug 02, 2016 HRB BLOCK FINANCIAL LLC Consumer Cyclical Fixed Income 1618.71 0.0013882800559244192 1618.71 16 16 093662AG9 US093662AG97 BYNLWP6 99.03 United States -- USD 1.28 5.96 1 Oct 01, 2025 5.25 1.35 -- 5.96 1.35 5.96 Sep 30, 2015 Sep 30, 2015 AGR NEW YORK STATE ELECTRIC & GAS CORP 144A Electric Fixed Income 1615.21 0.0013852782951422312 1615.21 16 16 649840CU7 US649840CU75 -- 100.4 United States -- USD 3.72 5.54 1 Aug 15, 2028 5.65 3.74 -- 5.54 3.67 5.54 Aug 08, 2023 Aug 08, 2023 MKC MCCORMICK & COMPANY INCORPORATED Consumer Non-Cyclical Fixed Income 1613.45 0.0013837688382917596 1613.45 17 17 579780AK3 US579780AK39 BYZR6N8 96.24 United States -- USD 1.47 5.81 1 Nov 15, 2025 3.25 1.46 -- 5.81 1.46 5.81 Nov 06, 2015 Nov 06, 2015 AVB AVALONBAY COMMUNITIES INC MTN Reits Fixed Income 1611.7 0.0013822679579006656 1611.7 17 17 05348EAW9 US05348EAW93 BZBZKB9 97.16 United States -- USD 1.45 5.43 1 Nov 15, 2025 3.5 1.46 -- 5.43 1.46 5.43 Nov 16, 2015 Nov 16, 2015 JBL JABIL INC Technology Fixed Income 1609.95 0.0013807670775095717 1609.95 16 16 46656PAA2 US46656PAA21 -- 98.57 United States -- USD 4.09 5.8 1 Feb 01, 2029 5.45 4.09 -- 5.8 4.09 5.8 Apr 13, 2023 Apr 13, 2023 LPLA LPL HOLDINGS INC 144A Brokerage/Asset Managers/Exchanges Fixed Income 1608.2 0.0013792661971184777 1608.2 18 18 50212YAD6 US50212YAD67 -- 90.48 United States -- USD 4.05 6.29 1 Mar 15, 2029 4 4.31 -- 6.29 4.31 6.29 Mar 15, 2021 Mar 15, 2021 SUCN SUNCOR ENERGY INC Energy Fixed Income 1608.2 0.0013792661971184777 1608.2 15 15 71644EAE2 US71644EAE23 B4PK3M5 104.17 Canada -- USD 1.91 5.77 1 Jun 15, 2026 7.88 1.91 -- 5.77 1.91 5.77 Jun 07, 1996 Jun 07, 1996 CRHID CRH AMERICA FINANCE INC 144A Capital Goods Fixed Income 1604.69 0.001376255859876912 1604.69 17 17 12636YAA0 US12636YAA01 BDGKSL1 94.36 Ireland -- USD 2.76 5.44 1 May 09, 2027 3.4 2.79 -- 5.44 2.79 5.44 May 09, 2017 May 09, 2017 RGA RGA GLOBAL FUNDING MTN 144A Insurance Fixed Income 1604.69 0.001376255859876912 1604.69 18 18 76209PAB9 US76209PAB94 -- 88.09 United States -- USD 4.32 5.6 1 Jan 18, 2029 2.7 4.3 -- 5.6 4.3 5.6 Jan 18, 2022 Jan 18, 2022 LEN LENNAR CORPORATION Consumer Cyclical Fixed Income 1602.94 0.001374754979485818 1602.94 16 16 526057CT9 US526057CT92 -- 99.26 United States -- USD 1.71 5.63 1 Jun 01, 2026 5.25 1.92 -- 5.63 1.92 5.63 Jun 01, 2018 Jun 11, 2018 AEP SOUTHWESTERN ELECTRIC POWER COMPAN Electric Fixed Income 1599.44 0.0013717532187036302 1599.44 17 17 845437BR2 US845437BR25 BDZ2X24 93.99 United States -- USD 3.89 5.67 1 Sep 15, 2028 4.1 3.92 -- 5.67 3.92 5.67 Sep 13, 2018 Sep 13, 2018 TNOTE TREASURY NOTE Treasuries Fixed Income 1597.3 0.0013699178563968066 1597.3 16 16 91282CDS7 US91282CDS70 BP82NF8 97.08 United States -- USD 0.7 5.3 1 Jan 15, 2025 1.13 0.7 -- 5.3 0.7 5.3 Jan 15, 2022 Jan 18, 2022 CTRA COTERRA ENERGY INC Energy Fixed Income 1595.93 0.0013687428814620644 1595.93 17 17 127097AK9 US127097AK92 -- 94.25 United States -- USD 4.26 5.74 1 Mar 15, 2029 4.38 4.29 -- 5.74 4.29 5.74 Sep 15, 2022 Dec 21, 2022 F FORD MOTOR COMPANY Consumer Cyclical Fixed Income 1595.93 0.0013687428814620644 1595.93 16 16 345370BY5 US345370BY59 5546736 102.55 United States -- USD 3.82 5.96 1 Oct 01, 2028 6.63 3.79 -- 5.96 3.79 5.96 Sep 30, 1998 Sep 30, 1998 AMCR BEMIS COMPANY INC Capital Goods Fixed Income 1594.18 0.0013672420010709704 1594.18 17 17 081437AS4 US081437AS43 -- 93.42 United States -- USD 2.25 6.1 1 Sep 15, 2026 3.1 2.24 -- 6.1 2.24 6.1 Mar 15, 2020 Apr 21, 2020 BCP BANCO DE CREDITO DEL PERU MTN 144A Banking Fixed Income 1590.68 0.0013642402402887824 1590.68 17 17 05971U2C0 US05971U2C00 -- 95.11 Peru -- USD 1.11 7.66 1 Jul 01, 2030 3.13 1.06 -- 7.51 1.12 7.51 Jul 01, 2020 Jul 01, 2020 FITB FIFTH THIRD BANK (OHIO) MTN Banking Fixed Income 1588.93 0.0013627393598976884 1588.93 17 17 31677QBR9 US31677QBR92 -- 91.58 United States -- USD 2.62 5.58 1 Feb 01, 2027 2.25 2.61 -- 5.58 2.61 5.58 Jan 31, 2020 Jan 31, 2020 SHNHAN SHINHAN BANK MTN 144A Banking Fixed Income 1587.18 0.0013612384795065944 1587.18 18 18 82460CAQ7 US82460CAQ78 BMF9Y36 90.53 Korea (South) -- USD 2.39 5.5 1 Oct 21, 2026 1.38 2.39 -- 5.5 2.39 5.5 Apr 21, 2021 Apr 21, 2021 FUNOTR TRUST F/1401 144A Reits Fixed Income 1587.18 0.0013612384795065944 1587.18 16 16 898324AC2 US898324AC28 BZ02FD8 97.32 Mexico -- USD 1.61 6.88 1 Jan 30, 2026 5.25 1.63 -- 6.88 1.63 6.88 Dec 03, 2015 Dec 03, 2015 ADP AUTOMATIC DATA PROCESSING INC Technology Fixed Income 1585.42 0.001359729022656123 1585.42 18 18 053015AG8 US053015AG87 -- 87.97 United States -- USD 3.8 5.01 1 May 15, 2028 1.7 3.8 -- 5.01 3.8 5.01 May 14, 2021 May 14, 2021 PM PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 1585.42 0.001359729022656123 1585.42 17 17 718172CE7 US718172CE76 BF8NDJ5 92.22 United States -- USD 3.52 5.39 1 Mar 02, 2028 3.13 3.54 -- 5.39 3.54 5.39 Nov 02, 2017 Nov 02, 2017 XEL PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 1580.17 0.001355226381482841 1580.17 16 16 744448CL3 US744448CL30 BXC2TZ2 96.93 United States -- USD 1 5.94 1 May 15, 2025 2.9 1 -- 5.94 1 5.94 May 12, 2015 May 12, 2015 OTFINC OWL ROCK TECHNOLOGY FINANCE CORP Finance Companies Fixed Income 1578.42 0.001353725501091747 1578.42 18 18 691205AG3 US691205AG35 -- 88.72 United States -- USD 2.56 7.13 1 Jan 15, 2027 2.5 2.53 -- 7.13 2.53 7.13 Jun 14, 2021 Jun 14, 2021 O REALTY INCOME CORPORATION Reits Fixed Income 1578.42 0.001353725501091747 1578.42 17 17 756109AZ7 US756109AZ71 -- 91.5 United States -- USD 1.83 5.55 1 Mar 15, 2026 0.75 1.83 -- 5.55 1.83 5.55 Dec 14, 2020 Dec 14, 2020 GM GENERAL MOTORS FINANCIAL CO INC Consumer Cyclical Fixed Income 1576.66 0.0013522160442412754 1576.66 16 16 37045XEQ5 US37045XEQ51 -- 99.25 United States -- USD 2.75 5.66 1 May 08, 2027 5.4 2.74 -- 5.66 2.74 5.66 Feb 08, 2024 Feb 08, 2024 NTBKKK NBK TIER 1 LTD 144A Banking Fixed Income 1576.66 0.0013522160442412754 1576.66 17 17 62879NAA5 US62879NAA54 -- 91.56 Kuwait -- USD 2.48 7.46 1 Dec 31, 2079 3.63 2.42 -- 7.46 2.16 7.46 Feb 24, 2021 Feb 24, 2021 NTRS NORTHERN TRUST CORPORATION Banking Fixed Income 1576.66 0.0013522160442412754 1576.66 17 17 665859AS3 US665859AS34 BF191T6 92.06 United States -- USD 2.79 6.53 1 May 08, 2032 3.38 2.75 -- 6.29 2.77 6.29 May 08, 2017 May 08, 2017 SKT TANGER PROPERTIES LP Reits Fixed Income 1576.66 0.0013522160442412754 1576.66 17 17 875484AK3 US875484AK30 BD97M39 92.79 United States -- USD 2.93 6.38 1 Jul 15, 2027 3.88 2.93 -- 6.38 2.93 6.38 Jul 03, 2017 Jul 03, 2017 TME TENCENT MUSIC ENTERTAINMENT GROUP Technology Fixed Income 1576.66 0.0013522160442412754 1576.66 17 17 88034PAA7 US88034PAA75 -- 94.27 China -- USD 1.31 5.83 1 Sep 03, 2025 1.38 1.31 -- 5.83 1.31 5.83 Sep 03, 2020 Sep 03, 2020 TT TRANE TECHNOLOGIES GLOBAL HOLDING Capital Goods Fixed Income 1573.16 0.0013492142834590874 1573.16 17 17 45687AAP7 US45687AAP75 BF0VCD4 93.85 United States -- USD 3.85 5.36 1 Aug 21, 2028 3.75 3.89 -- 5.36 3.89 5.36 Feb 21, 2018 Feb 21, 2018 SMBCAC SMBC AVIATION CAPITAL FINANCE DAC 144A Finance Companies Fixed Income 1573.16 0.0013492142834590874 1573.16 18 18 78448TAF9 US78448TAF93 -- 87.24 Ireland -- USD 3.83 5.81 1 Jun 15, 2028 2.3 3.81 -- 5.81 3.81 5.81 Jun 15, 2021 Jun 15, 2021 KOROIL KOREA NATIONAL OIL CORP MTN 144A Owned No Guarantee Fixed Income 1571.41 0.0013477134030679934 1571.41 17 17 50066PAB6 US50066PAB67 BYY5TB2 94.59 Korea (South) -- USD 1.88 5.56 1 Apr 14, 2026 2.63 1.88 -- 5.56 1.88 5.56 Apr 14, 2016 Apr 14, 2016 WDC WESTERN DIGITAL CORPORATION Technology Fixed Income 1571.41 0.0013477134030679934 1571.41 19 19 958102AQ8 US958102AQ89 -- 83.96 United States -- USD 4.33 6.85 1 Feb 01, 2029 2.85 4.28 -- 6.85 4.28 6.85 Dec 10, 2021 Dec 10, 2021 HYUELE SK HYNIX INC 144A Technology Fixed Income 1569.66 0.0013462125226768994 1569.66 16 16 78392BAH0 US78392BAH06 -- 97.94 Korea (South) -- USD 4.06 6.01 1 Jan 16, 2029 5.5 4.04 -- 6.01 4.04 6.01 Jan 16, 2024 Jan 16, 2024 RASGAS RAS LAFFAN LNG 3 144A Owned No Guarantee Fixed Income 1564.4 0.0013417013050442397 1564.4 16 16 75405UAA4 US75405UAA43 B0GC8T4 100.5 Qatar -- USD 1.88 5.57 1 Sep 30, 2027 5.84 1.87 -- 5.57 1.87 5.57 Aug 09, 2005 Aug 09, 2005 CMS CMS ENERGY CORPORATION Electric Fixed Income 1560.9 0.001338699544262052 1560.9 16 16 125896BP4 US125896BP44 BZBZMK2 96.62 United States -- USD 1.46 5.91 1 Nov 15, 2025 3.6 1.46 -- 5.91 1.46 5.91 Nov 09, 2015 Nov 09, 2015 RSD RSD CASH Cash and/or Derivatives Cash 1558.13 0.0013363238650144346 1558.13 1712 1712 -- -- -- 0.91 Serbia -- USD 0 0 109.36 -- 0 0 -- 0 0 0 -- Jan 01, 1990 AEP AEP TEXAS INC 144A Electric Fixed Income 1557.39 0.0013356892070204862 1557.39 16 16 0010EPAN8 US0010EPAN89 BYRT450 96.8 United States -- USD 1.36 6.21 1 Oct 01, 2025 3.85 1.36 -- 6.21 1.36 6.21 Sep 18, 2015 Sep 18, 2015 LNT INTERSTATE POWER AND LIGHT CO Electric Fixed Income 1555.64 0.0013341883266293922 1555.64 17 17 461070AQ7 US461070AQ74 BJLWN31 91.91 United States -- USD 4.39 5.49 1 Apr 01, 2029 3.6 4.41 -- 5.49 4.41 5.49 Apr 01, 2019 Apr 01, 2019 QCOM QUALCOMM INCORPORATED Technology Fixed Income 1548.63 0.0013281762286056387 1548.63 18 18 747525BN2 US747525BN20 -- 86.33 United States -- USD 3.85 5.06 1 May 20, 2028 1.3 3.85 -- 5.06 3.85 5.06 Nov 20, 2020 Jan 04, 2021 CBT CABOT CORPORATION Basic Industry Fixed Income 1541.63 0.0013221727070412627 1541.63 16 16 127055AK7 US127055AK76 BYY5FV4 94.31 United States -- USD 2.23 5.99 1 Sep 15, 2026 3.4 2.24 -- 5.99 2.24 5.99 Sep 15, 2016 Sep 15, 2016 DT DEUTSCHE TELEKOM INTERNATIONAL FIN 144A Communications Fixed Income 1531.12 0.0013131588482353212 1531.12 16 16 25156PBA0 US25156PBA03 BD8PVM6 95.72 Germany -- USD 2.5 5.3 1 Jan 19, 2027 3.6 2.53 -- 5.3 2.53 5.3 Jan 19, 2017 Jan 19, 2017 EIX EDISON INTERNATIONAL Electric Fixed Income 1531.12 0.0013131588482353212 1531.12 15 15 281020AR8 US281020AR84 -- 99.22 United States -- USD 0.92 5.79 1 Apr 15, 2025 4.95 0.93 -- 5.79 0.93 5.79 Apr 03, 2020 Apr 03, 2020 FE PENNSYLVANIA ELECTRIC COMPANY 144A Electric Fixed Income 1522.36 0.0013056458698204735 1522.36 17 17 708696BY4 US708696BY48 BF58H13 91.61 United States -- USD 3.55 5.68 1 Mar 15, 2028 3.25 3.56 -- 5.68 3.56 5.68 Sep 08, 2017 Sep 08, 2017 OBDE OWL ROCK CAPITAL CORPRORATION III Finance Companies Fixed Income 1520.61 0.0013041449894293797 1520.61 17 17 69122JAC0 US69122JAC09 BQB74Z4 90.39 United States -- USD 2.78 6.75 1 Apr 13, 2027 3.13 2.75 -- 6.75 2.75 6.75 Apr 13, 2022 Sep 29, 2022 SKT TANGER PROPERTIES LP Reits Fixed Income 1520.61 0.0013041449894293797 1520.61 16 16 875484AJ6 US875484AJ66 BDCCRQ9 93.12 United States -- USD 2.21 6.32 1 Sep 01, 2026 3.13 2.2 -- 6.32 2.2 6.32 Aug 08, 2016 Aug 08, 2016 CFG CITIZENS FINANCIAL GROUP INC Banking Fixed Income 1518.85 0.001302635532578908 1518.85 16 16 174610AR6 US174610AR61 BHKDDS6 93.27 United States -- USD 2.12 6.09 1 Jul 27, 2026 2.85 2.12 -- 6.09 2.12 6.09 Jul 25, 2019 Jul 25, 2019 ETR ENTERGY LOUISIANA LLC Electric Fixed Income 1515.35 0.00129963377179672 1515.35 16 16 29364WAZ1 US29364WAZ14 BDZZHD2 93.15 United States -- USD 3.08 5.38 1 Sep 01, 2027 3.12 3.1 -- 5.38 3.1 5.38 May 23, 2017 May 23, 2017 SUI SUN COMMUNITIES OPERATING LP Reits Fixed Income 1511.85 0.001296632011014532 1511.85 18 18 866677AF4 US866677AF41 -- 85.83 United States -- USD 4.14 5.92 1 Nov 01, 2028 2.3 4.12 -- 5.92 4.12 5.92 Oct 05, 2021 Oct 05, 2021 RTX RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 1510.09 0.0012951225541640605 1510.09 14 14 913017AT6 US913017AT69 2281687 104.89 United States -- USD 3.66 5.4 1 Aug 01, 2028 6.7 3.64 -- 5.4 3.64 5.4 Aug 04, 1998 Aug 04, 1998 UCGIM UNICREDIT SPA 144A Banking Fixed Income 1508.34 0.0012936216737729665 1508.34 16 16 904678AU3 US904678AU32 -- 95.25 Italy -- USD 1.35 6.69 1 Sep 22, 2026 2.57 1.34 -- 6.14 1.35 6.14 Sep 22, 2020 Sep 22, 2020 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 1506.59 0.0012921207933818725 1506.59 15 15 69371RS56 US69371RS561 -- 99.75 United States -- USD 2.12 5.17 1 Aug 10, 2026 5.05 2.12 -- 5.17 2.12 5.17 Aug 10, 2023 Aug 10, 2023 ADBE ADOBE INC Technology Fixed Income 1504.84 0.0012906199129907785 1504.84 15 15 00724PAE9 US00724PAE97 -- 99.59 United States -- USD 2.67 5 1 Apr 04, 2027 4.85 2.7 -- 5 2.7 5 Apr 04, 2024 Apr 04, 2024 MTB MANUFACTURERS AND TRADERS TRUST CO Banking Fixed Income 1503.09 0.0012891190325996845 1503.09 16 16 55279HAQ3 US55279HAQ39 BDFJZR4 91.11 United States -- USD 3.06 6.42 1 Aug 17, 2027 3.4 3.03 -- 6.42 3.03 6.42 Aug 17, 2017 Aug 17, 2017 NYLIFE NEW YORK LIFE GLOBAL FUNDING 144A Insurance Fixed Income 1503.09 0.0012891190325996845 1503.09 16 16 64952WCX9 US64952WCX92 BD71PS9 92.12 United States -- USD 3.42 5.37 1 Jan 10, 2028 3 3.4 -- 5.37 3.4 5.37 Jan 10, 2018 Jan 10, 2018 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 1499.58 0.0012861086953581187 1499.58 15 15 69371RS23 US69371RS231 -- 99.42 United States -- USD 1.37 5.37 1 Oct 03, 2025 4.95 1.37 -- 5.37 1.37 5.37 Oct 03, 2022 Oct 03, 2022 MET MET TOWER GLOBAL FUNDING MTN 144A Insurance Fixed Income 1496.08 0.001283106934575931 1496.08 15 15 58989V2E3 US58989V2E38 -- 97.94 United States -- USD 1.08 5.6 1 Jun 13, 2025 3.7 1.08 -- 5.6 1.08 5.6 Jun 13, 2022 Jun 13, 2022 BRKHEC PACIFICORP Electric Fixed Income 1496.08 0.001283106934575931 1496.08 15 15 695114CS5 US695114CS55 BD3J327 97.33 United States -- USD 1.12 5.71 1 Jul 01, 2025 3.35 1.13 -- 5.71 1.13 5.71 Jun 19, 2015 Jun 19, 2015 CVECN CENOVUS ENERGY INC Energy Fixed Income 1494.33 0.001281606054184837 1494.33 16 16 15135UAM1 US15135UAM18 BFNL6L7 96.26 Canada -- USD 2.69 5.63 1 Apr 15, 2027 4.25 2.74 -- 5.63 2.74 5.63 Oct 15, 2017 Dec 11, 2017 ROP ROPER TECHNOLOGIES INC Technology Fixed Income 1492.58 0.001280105173793743 1492.58 15 15 776743AB2 US776743AB20 BZ6F854 97.4 United States -- USD 1.51 5.53 1 Dec 15, 2025 3.85 1.54 -- 5.53 1.54 5.53 Dec 07, 2015 Dec 07, 2015 HUM HUMANA INC Insurance Fixed Income 1490.82 0.0012785957169432712 1490.82 15 15 444859BW1 US444859BW11 -- 99.92 United States -- USD 0.56 5.74 1 Mar 13, 2026 5.7 1.75 -- 5.74 1.75 5.74 Mar 13, 2023 Mar 13, 2023 LLY ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 1489.07 0.0012770948365521772 1489.07 16 16 532457BP2 US532457BP26 BDVJY71 94.59 United States -- USD 2.79 5.03 1 May 15, 2027 3.1 2.82 -- 5.03 2.82 5.03 May 09, 2017 May 09, 2017 ADSEZ ADANI PORT AND SPECIAL ECONOMIC ZO 144A Transportation Fixed Income 1485.57 0.0012740930757699893 1485.57 17 17 00652MAD4 US00652MAD48 BF0MQ80 89.98 India -- USD 2.97 7.52 1 Jul 30, 2027 4 2.94 -- 7.52 2.94 7.52 Jun 30, 2017 Jun 30, 2017 BZLNZ BANK OF NEW ZEALAND MTN 144A Banking Fixed Income 1485.57 0.0012740930757699893 1485.57 16 16 06407EAE5 US06407EAE59 -- 91.75 New Zealand -- USD 2.61 5.55 1 Jan 27, 2027 2.29 2.6 -- 5.55 2.6 5.55 Jan 27, 2022 Jan 27, 2022 TSLX SIXTH STREET SPECIALTY LENDING INC Finance Companies Fixed Income 1485.57 0.0012740930757699893 1485.57 15 15 83012AAB5 US83012AAB52 -- 101.32 United States -- USD 3.63 6.59 1 Aug 14, 2028 6.95 3.63 -- 6.59 3.57 6.59 Aug 14, 2023 Aug 14, 2023 BFB BROWN-FORMAN CORPORATION Consumer Non-Cyclical Fixed Income 1483.82 0.0012725921953788953 1483.82 15 15 115637AS9 US115637AS96 BFY0DD4 98.16 United States -- USD 0.93 5.47 1 Apr 15, 2025 3.5 0.94 -- 5.47 0.94 5.47 Mar 26, 2018 Mar 26, 2018 FSK FS KKR CAPITAL CORP Finance Companies Fixed Income 1483.82 0.0012725921953788953 1483.82 14 14 302635AM9 US302635AM98 -- 102.83 United States -- USD 3.81 7.15 1 Jan 15, 2029 7.88 3.79 -- 7.15 3.73 7.15 Nov 21, 2023 Nov 21, 2023 TXN TEXAS INSTRUMENTS INC Technology Fixed Income 1483.82 0.0012725921953788953 1483.82 16 16 882508BC7 US882508BC78 BD6JBV9 93.04 United States -- USD 3.21 5.08 1 Nov 03, 2027 2.9 3.24 -- 5.08 3.24 5.08 Nov 03, 2017 Nov 03, 2017 BA BOEING CO Capital Goods Fixed Income 1482.06 0.0012710827385284237 1482.06 16 16 097023BU8 US097023BU85 BZBZQX3 91.26 United States -- USD 2.67 6.19 1 Mar 01, 2027 2.8 2.66 -- 6.19 2.66 6.19 Feb 16, 2017 Feb 16, 2017 BX BLACKSTONE HOLDINGS FINANCE CO LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 1476.81 0.0012665800973551417 1476.81 16 16 09256BAJ6 US09256BAJ61 BDD87R7 92.63 United States -- USD 3.17 5.53 1 Oct 02, 2027 3.15 3.18 -- 5.53 3.18 5.53 Oct 02, 2017 Oct 02, 2017 NSC NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 1476.81 0.0012665800973551417 1476.81 15 15 655844CA4 US655844CA49 -- 97.7 United States -- USD 1.2 5.55 1 Aug 01, 2025 3.65 1.21 -- 5.55 1.21 5.55 Aug 02, 2018 Aug 02, 2018 ES EVERSOURCE ENERGY Electric Fixed Income 1475.06 0.0012650792169640478 1475.06 15 15 30040WAB4 US30040WAB46 BYZ04M2 95.45 United States -- USD 1.78 5.93 1 Mar 15, 2026 3.35 1.79 -- 5.93 1.79 5.93 Mar 10, 2016 Mar 10, 2016 O REALTY INCOME CORPORATION Reits Fixed Income 1473.31 0.0012635783365729538 1473.31 16 16 756109BZ6 US756109BZ62 -- 94.06 United States -- USD 2.53 5.58 1 Jan 15, 2027 3.2 2.53 -- 5.58 2.53 5.58 Jan 15, 2024 Jan 19, 2024 R RYDER SYSTEM INC Transportation Fixed Income 1469.8 0.0012605679993313882 1469.8 16 16 78355HKP3 US78355HKP37 -- 93.61 United States -- USD 2.42 5.57 1 Dec 01, 2026 2.9 2.42 -- 5.57 2.42 5.57 Nov 14, 2019 Nov 14, 2019 O REALTY INCOME CORPORATION Reits Fixed Income 1468.05 0.0012590671189402942 1468.05 15 15 756109BY9 US756109BY97 -- 97.45 United States -- USD 2.16 5.6 1 Sep 15, 2026 4.45 2.22 -- 5.6 2.22 5.6 Sep 15, 2023 Jan 19, 2024 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 1462.79 0.0012545559013076345 1462.79 15 15 251526CQ0 US251526CQ02 -- 98.24 Germany -- USD 0.99 5.91 1 May 13, 2025 4.16 0.99 -- 5.91 0.99 5.91 May 13, 2022 May 13, 2022 BHF BRIGHTHOUSE FINANCIAL GLOBAL FUNDI MTN 144A Insurance Fixed Income 1461.04 0.0012530550209165405 1461.04 17 17 10921U2E7 US10921U2E71 -- 84.98 United States -- USD 3.89 6.13 1 Jun 28, 2028 2 3.86 -- 6.13 3.86 6.13 Jun 28, 2021 Jun 28, 2021 EVRG KANSAS CITY POWER & LIGHT COMPANY Electric Fixed Income 1461.04 0.0012530550209165405 1461.04 15 15 485134BP4 US485134BP44 BYX49Z4 97.48 United States -- USD 1.24 5.67 1 Aug 15, 2025 3.65 1.24 -- 5.67 1.24 5.67 Aug 18, 2015 Aug 18, 2015 APH AMPHENOL CORPORATION Capital Goods Fixed Income 1455.79 0.0012485523797432588 1455.79 15 15 032095AP6 US032095AP67 -- 98.78 United States -- USD 4.29 5.33 1 Apr 05, 2029 5.05 4.31 -- 5.33 4.31 5.33 Apr 05, 2024 Apr 05, 2024 GRYOAK GRAY OAK PIPELINE LLC 144A Energy Fixed Income 1452.28 0.001245542042501693 1452.28 16 16 38937LAB7 US38937LAB71 -- 92.66 United States -- USD 3.2 5.81 1 Oct 15, 2027 3.45 3.2 -- 5.81 3.2 5.81 Sep 15, 2020 Sep 15, 2020 KRG KITE REALTY GROUP LP Reits Fixed Income 1450.53 0.001244041162110599 1450.53 15 15 49803XAA1 US49803XAA19 BZCR7S0 95.1 United States -- USD 2.25 6.2 1 Oct 01, 2026 4 2.26 -- 6.2 2.26 6.2 Sep 26, 2016 Sep 26, 2016 SANLTD SANDS CHINA LTD Consumer Cyclical Fixed Income 1450.53 0.001244041162110599 1450.53 17 17 80007RAQ8 US80007RAQ83 BNG94T8 85.54 Macau -- USD 4.42 6.35 1 Mar 08, 2029 2.85 4.39 -- 6.35 4.39 6.35 Mar 08, 2022 Aug 08, 2022 VICI VICI PROPERTIES LP 144A Consumer Cyclical Fixed Income 1445.28 0.001239538520937317 1445.28 16 16 92564RAL9 US92564RAL96 BMH6ZF4 90.31 United States -- USD 4.25 6.24 1 Feb 15, 2029 3.88 4.24 -- 6.24 4.24 6.24 Feb 15, 2022 Apr 29, 2022 FERGLN FERGUSON FINANCE PLC 144A Capital Goods Fixed Income 1443.52 0.0012380290640868455 1443.52 15 15 314890AC8 US314890AC87 -- 96.26 United States -- USD 2.74 5.63 1 Apr 20, 2027 4.25 2.75 -- 5.63 2.75 5.63 Apr 20, 2022 Apr 20, 2022 ABNANV ABN AMRO BANK NV MTN 144A Banking Fixed Income 1440.02 0.0012350273033046575 1440.02 14 14 00084DBC3 US00084DBC39 -- 100.65 Netherlands -- USD 1.37 6.35 1 Oct 13, 2026 6.58 1.37 -- 6.1 1.38 6.1 Oct 13, 2023 Oct 13, 2023 AEGON AEGON FUNDING COMPANY LLC 144A Insurance Fixed Income 1440.02 0.0012350273033046575 1440.02 15 15 00775VAA2 US00775VAA26 -- 98.96 Netherlands -- USD 2.68 5.89 1 Apr 16, 2027 5.5 2.7 -- 5.89 2.7 5.89 Apr 16, 2024 Apr 16, 2024 ACGCAP AVIATION CAPITAL GROUP CORP 144A Finance Companies Fixed Income 1440.02 0.0012350273033046575 1440.02 15 15 05367AAH6 US05367AAH68 BYQTH07 97.85 United States -- USD 1.34 6.46 1 Oct 01, 2025 4.88 1.35 -- 6.46 1.35 6.46 Sep 17, 2015 Sep 17, 2015 NAB NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 1440.02 0.0012350273033046575 1440.02 15 15 63254ABD9 US63254ABD90 -- 97.91 Australia -- USD 1.07 5.44 1 Jun 09, 2025 3.5 1.07 -- 5.44 1.07 5.44 Jun 09, 2022 Jun 09, 2022 PRU PRICOA GLOBAL FUNDING I MTN 144A Insurance Fixed Income 1440.02 0.0012350273033046575 1440.02 15 15 74153WCR8 US74153WCR88 -- 98.21 United States -- USD 1.28 5.6 1 Aug 28, 2025 4.2 1.28 -- 5.6 1.28 5.6 Aug 31, 2022 Aug 31, 2022 GMT GATX CORPORATION Finance Companies Fixed Income 1436.52 0.0012320255425224695 1436.52 15 15 361448AZ6 US361448AZ62 BYNHPR7 95.46 United States -- USD 2.67 5.55 1 Mar 30, 2027 3.85 2.71 -- 5.55 2.71 5.55 Feb 09, 2017 Feb 09, 2017 EQNR EQUINOR ASA Owned No Guarantee Fixed Income 1436.52 0.0012320255425224695 1436.52 13 13 656531AJ9 US656531AJ97 2398189 107.72 Norway -- USD 3.96 5.28 1 Jan 15, 2029 7.15 3.94 -- 5.28 3.94 5.28 Jan 15, 1999 Jan 19, 1999 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 1434.76 0.0012305160856719978 1434.76 14 14 25160PAM9 US25160PAM95 -- 99.52 Germany -- USD 3.04 5.53 1 Sep 09, 2027 5.37 3.02 -- 5.53 3.02 5.53 Sep 09, 2022 Sep 09, 2022 UDR UDR INC MTN Reits Fixed Income 1431.26 0.00122751432488981 1431.26 15 15 90265EAL4 US90265EAL48 BZBZ4J5 93.88 United States -- USD 2.21 5.77 1 Sep 01, 2026 2.95 2.21 -- 5.77 2.21 5.77 Aug 23, 2016 Aug 23, 2016 CLX CLOROX COMPANY Consumer Non-Cyclical Fixed Income 1429.51 0.001226013444498716 1429.51 15 15 189054AV1 US189054AV17 BF0KYZ7 93.07 United States -- USD 3.16 5.34 1 Oct 01, 2027 3.1 3.19 -- 5.34 3.19 5.34 Sep 28, 2017 Sep 28, 2017 ED CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 1429.51 0.001226013444498716 1429.51 15 15 209111FS7 US209111FS71 BGY2QW7 95.1 United States -- USD 4.01 5.21 1 Dec 01, 2028 4 4.06 -- 5.21 4.06 5.21 Nov 30, 2018 Nov 30, 2018 CUBE CUBESMART LP Reits Fixed Income 1429.51 0.001226013444498716 1429.51 15 15 22966RAD8 US22966RAD89 BD1JTT8 94.31 United States -- USD 2.2 5.74 1 Sep 01, 2026 3.13 2.21 -- 5.74 2.21 5.74 Aug 15, 2016 Aug 15, 2016 KOSOPW KOREA SOUTHERN POWER CO LTD 144A Owned No Guarantee Fixed Income 1424.25 0.0012215022268660563 1424.25 15 15 50065AAC8 US50065AAC80 BMDQ7S5 91.97 Korea (South) -- USD 1.7 5.62 1 Jan 27, 2026 0.75 1.7 -- 5.62 1.7 5.62 Jan 27, 2021 Jan 27, 2021 KOROIL KOREA NATIONAL OIL CORP 144A Owned No Guarantee Fixed Income 1419 0.0012169995856927743 1419 15 15 50065WAK2 US50065WAK27 BYML9F6 96.7 Korea (South) -- USD 1.37 5.68 1 Oct 01, 2025 3.25 1.37 -- 5.68 1.37 5.68 Oct 01, 2015 Oct 01, 2015 GPN GLOBAL PAYMENTS INC Technology Fixed Income 1419 0.0012169995856927743 1419 15 15 891906AF6 US891906AF67 BG0Q4X0 95.36 United States -- USD 3.58 5.73 1 Jun 01, 2028 4.45 3.61 -- 5.73 3.61 5.73 May 11, 2018 May 11, 2018 AMZN AMAZON.COM INC Consumer Cyclical Fixed Income 1411.99 0.0012109874876690208 1411.99 15 15 023135CG9 US023135CG91 -- 93.26 United States -- USD 4.45 5 1 Apr 13, 2029 3.45 4.47 -- 5 4.47 5 Apr 13, 2022 Apr 13, 2022 SNX TD SYNNEX CORP Technology Fixed Income 1410.24 0.0012094866072779268 1410.24 16 16 87162WAH3 US87162WAH34 BLB7192 86.9 United States -- USD 3.97 5.87 1 Aug 09, 2028 2.38 3.95 -- 5.87 3.95 5.87 Feb 09, 2022 Jul 14, 2022 NNN NNN REIT INC Reits Fixed Income 1403.23 0.0012034745092541733 1403.23 15 15 637417AK2 US637417AK28 BFXQN99 93.52 United States -- USD 3.18 5.58 1 Oct 15, 2027 3.5 3.2 -- 5.58 3.2 5.58 Sep 14, 2017 Sep 14, 2017 FG F&G GLOBAL FUNDING MTN 144A Insurance Fixed Income 1394.47 0.0011959615308393256 1394.47 14 14 30321L2E1 US30321L2E12 -- 98.23 United States -- USD 1.13 6.7 1 Jul 07, 2025 5.15 1.12 -- 6.7 1.12 6.7 Jul 07, 2022 Jul 07, 2022 QTELQD OOREDOO INTERNATIONAL FINANCE LTD MTN 144A Owned No Guarantee Fixed Income 1394.47 0.0011959615308393256 1394.47 14 14 68341PAA7 US68341PAA75 BZ77WR9 96.35 Qatar -- USD 2.01 5.57 1 Jun 22, 2026 3.75 2.01 -- 5.57 2.01 5.57 Jun 22, 2016 Jun 22, 2016 BBDC BARINGS BDC INC Finance Companies Fixed Income 1385.71 0.001188448552424478 1385.71 14 14 06759LAD5 US06759LAD55 -- 98.91 United States -- USD 3.99 7.27 1 Feb 15, 2029 7 3.96 -- 7.27 3.96 7.27 Feb 12, 2024 Feb 12, 2024 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 1385.71 0.001188448552424478 1385.71 15 15 24422EWE5 US24422EWE57 -- 92.08 United States -- USD 4.5 5.17 1 Apr 18, 2029 3.35 4.49 -- 5.17 4.49 5.17 Apr 18, 2022 Apr 18, 2022 ES EVERSOURCE ENERGY Electric Fixed Income 1385.71 0.001188448552424478 1385.71 15 15 30040WAN8 US30040WAN83 -- 90.74 United States -- USD 2.22 5.74 1 Aug 15, 2026 1.4 2.21 -- 5.74 2.21 5.74 Aug 13, 2021 Aug 13, 2021 PNC PNC BANK NATIONAL ASSOCIATION Banking Fixed Income 1385.71 0.001188448552424478 1385.71 14 14 69349LAQ1 US69349LAQ14 BFVQ1B9 97.51 United States -- USD 1.42 5.94 1 Nov 01, 2025 4.2 1.41 -- 5.94 1.41 5.94 Oct 24, 2013 Oct 24, 2013 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 1383.96 0.001186947672033384 1383.96 15 15 05565EAT2 US05565EAT29 BYX2J36 94.42 Germany -- USD 2.72 5.37 1 Apr 06, 2027 3.3 2.75 -- 5.37 2.75 5.37 Apr 06, 2017 Apr 06, 2017 R RYDER SYSTEM INC MTN Transportation Fixed Income 1382.21 0.00118544679164229 1382.21 14 14 78355HLA5 US78355HLA58 -- 99.31 United States -- USD 2.59 5.56 1 Mar 15, 2027 5.3 2.62 -- 5.56 2.62 5.56 Feb 29, 2024 Feb 29, 2024 SAMMON SAMMONS FINANCIAL GROUP INC 144A Insurance Fixed Income 1378.71 0.001182445030860102 1378.71 15 15 79588TAC4 US79588TAC45 BZ043H4 94.58 United States -- USD 2.71 6.44 1 May 12, 2027 4.45 2.73 -- 6.44 2.73 6.44 May 12, 2017 May 12, 2017 JPM BANK ONE CORPORATION Banking Fixed Income 1375.2 0.0011794346936185366 1375.2 13 13 059438AG6 US059438AG67 B00GF80 102.44 United States -- USD 1.14 5.64 1 Jul 15, 2025 7.75 1.14 -- 5.64 1.14 5.64 Jul 25, 1995 Jul 25, 1995 A AGILENT TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 1373.45 0.0011779338132274426 1373.45 15 15 00846UAK7 US00846UAK79 BZC09X8 94.48 United States -- USD 2.26 5.53 1 Sep 22, 2026 3.05 2.27 -- 5.53 2.27 5.53 Sep 22, 2016 Sep 22, 2016 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 1369.95 0.0011749320524452546 1369.95 15 15 378272AQ1 US378272AQ19 BDFW2K5 93.88 Australia -- USD 3.13 5.83 1 Oct 27, 2027 3.88 3.15 -- 5.83 3.15 5.83 Oct 27, 2017 Oct 27, 2017 NSANY NISSAN MOTOR ACCEPTANCE COMPANY LL MTN 144A Consumer Cyclical Fixed Income 1369.95 0.0011749320524452546 1369.95 16 16 65480CAD7 US65480CAD74 BNKHR88 84.87 United States -- USD 4.06 6.46 1 Sep 15, 2028 2.45 4.02 -- 6.46 4.02 6.46 Sep 16, 2021 Sep 16, 2021 PFE PFIZER INC Consumer Non-Cyclical Fixed Income 1366.44 0.001171921715203689 1366.44 14 14 717081EP4 US717081EP40 BYZFHN9 94.28 United States -- USD 3.93 5.07 1 Sep 15, 2028 3.6 3.97 -- 5.07 3.97 5.07 Sep 07, 2018 Sep 07, 2018 SABALT SABAL TRAIL TRANSMISSION LLC 144A Energy Fixed Income 1357.68 0.0011644087367888413 1357.68 14 14 78516FAA7 US78516FAA75 -- 95.07 United States -- USD 3.51 5.64 1 May 01, 2028 4.25 3.55 -- 5.64 3.55 5.64 Apr 30, 2018 Apr 30, 2018 ISPIM INTESA SANPAOLO SPA 144A Banking Fixed Income 1355.93 0.0011629078563977473 1355.93 15 15 46115HBB2 US46115HBB24 BDFG1F5 92.98 Italy -- USD 2.94 6.32 1 Jul 14, 2027 3.88 2.92 -- 6.32 2.92 6.32 Jul 14, 2017 Jul 14, 2017 REG REGENCY CENTERS LP Reits Fixed Income 1352.43 0.0011599060956155594 1352.43 14 14 75884RAU7 US75884RAU77 BYT34J4 96.95 United States -- USD 1.42 6.03 1 Nov 01, 2025 3.9 1.42 -- 6.03 1.42 6.03 Aug 17, 2015 Aug 17, 2015 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 1350.68 0.0011584052152244656 1350.68 15 15 86563VAY5 US86563VAY56 -- 90.56 Japan -- USD 2.3 5.62 1 Sep 16, 2026 1.35 2.29 -- 5.62 2.29 5.62 Sep 16, 2021 Sep 16, 2021 KPERM KAISER FOUNDATION HOSPITALS Consumer Non-Cyclical Fixed Income 1341.92 0.0011508922368096179 1341.92 14 14 48305QAC7 US48305QAC78 BF0YLP8 94.2 United States -- USD 2.75 5.25 1 May 01, 2027 3.15 2.78 -- 5.25 2.78 5.25 May 03, 2017 May 03, 2017 AGR NEW YORK STATE ELECTRIC & GAS CORP 144A Electric Fixed Income 1338.41 0.0011478818995680523 1338.41 14 14 649840CQ6 US649840CQ63 BZ01386 93.31 United States -- USD 2.41 6.07 1 Dec 01, 2026 3.25 2.4 -- 6.07 2.4 6.07 Nov 29, 2016 Nov 29, 2016 BGC BGC GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 1334.91 0.0011448801387858643 1334.91 14 14 088929AB0 US088929AB00 -- 96.74 United States -- USD 1.52 6.5 1 Dec 15, 2025 4.38 1.52 -- 6.5 1.52 6.5 Jun 15, 2023 Oct 06, 2023 SIXSLP SIXTH STREET LENDING PARTNERS 144A Finance Companies Fixed Income 1333.16 0.0011433792583947703 1333.16 14 14 829932AA0 US829932AA03 -- 97.89 United States -- USD 4.1 7.02 1 Mar 11, 2029 6.5 4.07 -- 7.02 4.07 7.02 Mar 11, 2024 Mar 11, 2024 ZTS ZOETIS INC Consumer Non-Cyclical Fixed Income 1333.16 0.0011433792583947703 1333.16 14 14 98978VAN3 US98978VAN38 BF8QNX8 94.34 United States -- USD 3.84 5.38 1 Aug 20, 2028 3.9 3.87 -- 5.38 3.87 5.38 Aug 20, 2018 Aug 20, 2018 COXENT COX COMMUNICATIONS INC 144A Communications Fixed Income 1329.65 0.0011403689211532046 1329.65 13 13 224044CR6 US224044CR68 -- 99.42 United States -- USD 3.82 5.6 1 Sep 15, 2028 5.45 3.83 -- 5.6 3.83 5.6 Jun 20, 2023 Jun 20, 2023 BFH BREAD FINANCIAL HOLDINGS INC 144A Finance Companies Fixed Income 1327.98 0.0011389366524371322 1327.98 13 13 018581AL2 US018581AL20 BK93J13 100.05 United States -- USD 0.65 6.97 1 Jan 15, 2026 7 1.58 -- 6.81 0.38 6.81 Sep 22, 2020 Sep 22, 2020 MAIN MAIN STREET CAPITAL CORP Finance Companies Fixed Income 1327.9 0.0011388680407621106 1327.9 13 13 56035LAH7 US56035LAH78 -- 100.16 United States -- USD 4 6.9 1 Mar 01, 2029 6.95 3.99 -- 6.9 3.99 6.9 Jan 12, 2024 Jan 12, 2024 ASBBNK ASB BANK LTD MTN 144A Banking Fixed Income 1324.4 0.0011358662799799228 1324.4 15 15 00216LAD5 US00216LAD55 -- 90.88 New Zealand -- USD 2.39 5.6 1 Oct 22, 2026 1.63 2.38 -- 5.6 2.38 5.6 Oct 22, 2021 Oct 22, 2021 CNP CENTERPOINT ENERGY HOUSTON ELECTRI Electric Fixed Income 1324.4 0.0011358662799799228 1324.4 14 14 15189XAR9 US15189XAR98 BD9G753 94.1 United States -- USD 2.57 5.32 1 Feb 01, 2027 3 2.58 -- 5.32 2.58 5.32 Jan 12, 2017 Jan 12, 2017 IT GARTNER INC 144A Technology Fixed Income 1322.65 0.0011343653995888288 1322.65 14 14 366651AC1 US366651AC11 -- 93.88 United States -- USD 3.25 6.18 1 Jul 01, 2028 4.5 3.68 -- 6.18 3.68 6.18 Jun 22, 2020 Jun 22, 2020 YANTZE THREE GORGES FINANCE I (CAYMAN ISL 144A Owned No Guarantee Fixed Income 1320.89 0.001132855942738357 1320.89 13 13 88556LAA4 US88556LAA44 BYZS170 97.95 China -- USD 1.07 5.61 1 Jun 10, 2025 3.7 1.07 -- 5.61 1.07 5.61 Jun 10, 2015 Jun 10, 2015 ETR ENTERGY TEXAS INC Electric Fixed Income 1319.14 0.001131355062347263 1319.14 14 14 29365TAG9 US29365TAG94 BJ2NY30 94.06 United States -- USD 4.34 5.39 1 Mar 30, 2029 4 4.38 -- 5.39 4.38 5.39 Jan 08, 2019 Jan 08, 2019 WMT WALMART INC Consumer Cyclical Fixed Income 1317.39 0.0011298541819561691 1317.39 14 14 931142EE9 US931142EE96 BFYK679 95.63 United States -- USD 3.7 4.87 1 Jun 26, 2028 3.7 3.76 -- 4.87 3.76 4.87 Jun 27, 2018 Jun 27, 2018 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 1315.64 0.0011283533015650751 1315.64 14 14 69371RR32 US69371RR324 -- 92.13 United States -- USD 1.96 5.21 1 May 11, 2026 1.1 1.96 -- 5.21 1.96 5.21 May 10, 2021 May 10, 2021 MKL MARKEL CORPORATION Insurance Fixed Income 1313.89 0.0011268524211739811 1313.89 14 14 570535AR5 US570535AR54 BF00123 93.45 United States -- USD 3.17 5.58 1 Nov 01, 2027 3.5 3.18 -- 5.58 3.18 5.58 Nov 02, 2017 Nov 02, 2017 MSTDLF MORGAN STANLEY DIRECT LENDING FUND Finance Companies Fixed Income 1313.89 0.0011268524211739811 1313.89 14 14 61774AAD5 US61774AAD54 BLD72V9 96.37 United States -- USD 2.55 5.93 1 Feb 11, 2027 4.5 2.55 -- 5.93 2.55 5.93 Feb 11, 2022 Jul 20, 2022 EVRG WESTAR ENERGY INC Electric Fixed Income 1313.89 0.0011268524211739811 1313.89 14 14 95709TAP5 US95709TAP57 BDZV3V0 94.08 United States -- USD 2.72 5.3 1 Apr 01, 2027 3.1 2.74 -- 5.3 2.74 5.3 Mar 06, 2017 Mar 06, 2017 PNW ARIZONA PUBLIC SERVICE CO Electric Fixed Income 1310.38 0.0011238420839324156 1310.38 14 14 040555CW2 US040555CW21 BD5WHY4 92.52 United States -- USD 3.13 5.39 1 Sep 15, 2027 2.95 3.15 -- 5.39 3.15 5.39 Sep 11, 2017 Sep 11, 2017 DE JOHN DEERE CAPITAL CORP Capital Goods Fixed Income 1306.88 0.0011208403231502276 1306.88 15 15 24422EVP1 US24422EVP14 -- 87.2 United States -- USD 3.66 5.2 1 Mar 06, 2028 1.5 3.66 -- 5.2 3.66 5.2 Mar 04, 2021 Mar 04, 2021 EMR EMERSON ELECTRIC CO Capital Goods Fixed Income 1301.62 0.001116329105517568 1301.62 15 15 291011BL7 US291011BL71 BMDWPV2 89.66 United States -- USD 3.29 5.09 1 Oct 15, 2027 1.8 3.29 -- 5.09 3.29 5.09 Apr 29, 2020 Apr 29, 2020 AVB AVALONBAY COMMUNITIES INC MTN Reits Fixed Income 1299.87 0.001114828225126474 1299.87 14 14 05348EAY5 US05348EAY59 BDCFTQ2 94.05 United States -- USD 2.33 5.51 1 Oct 15, 2026 2.9 2.33 -- 5.51 2.33 5.51 Oct 05, 2016 Oct 05, 2016 CRBG COREBRIDGE GLOBAL FUNDING MTN 144A Insurance Fixed Income 1296.37 0.0011118264643442861 1296.37 13 13 00138CAV0 US00138CAV00 -- 100.45 United States -- USD 3.83 5.78 1 Sep 19, 2028 5.9 3.81 -- 5.78 3.81 5.78 Sep 19, 2023 Sep 19, 2023 INTC INTEL CORPORATION Technology Fixed Income 1296.37 0.0011118264643442861 1296.37 15 15 458140BT6 US458140BT64 -- 85.94 United States -- USD 4.05 5.3 1 Aug 12, 2028 1.6 4.04 -- 5.3 4.04 5.3 Aug 12, 2021 Aug 12, 2021 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 1296.37 0.0011118264643442861 1296.37 13 13 459200AR2 US459200AR21 2271116 102.92 United States -- USD 2.9 5.23 1 Aug 01, 2027 6.22 2.9 -- 5.23 2.9 5.23 Aug 01, 1997 Aug 04, 1997 SUMIBK SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 1291.11 0.0011073152467116264 1291.11 14 14 86562MCM0 US86562MCM01 -- 91.73 Japan -- USD 2.57 5.49 1 Jan 14, 2027 2.17 2.56 -- 5.49 2.56 5.49 Jan 14, 2022 Jan 14, 2022 LSELN LSEGA FINANCING PLC MTN 144A Brokerage/Asset Managers/Exchanges Fixed Income 1287.61 0.0011043134859294384 1287.61 15 15 50220PAC7 US50220PAC77 -- 88.06 United Kingdom -- USD 3.71 5.4 1 Apr 06, 2028 2 3.7 -- 5.4 3.7 5.4 Apr 06, 2021 Apr 06, 2021 DE JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 1285.86 0.0011028126055383446 1285.86 14 14 24422EUB3 US24422EUB37 BFMKPW9 93.3 United States -- USD 3.4 5.06 1 Jan 06, 2028 3.05 3.4 -- 5.06 3.4 5.06 Jan 08, 2018 Jan 08, 2018 ONCRTX ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 1285.86 0.0011028126055383446 1285.86 13 13 68233JCQ5 US68233JCQ58 -- 96.07 United States -- USD 3.58 5.39 1 May 15, 2028 4.3 3.59 -- 5.39 3.59 5.39 Nov 15, 2023 Jan 22, 2024 MTB MANUFACTURERS AND TRADERS TRUST CO Banking Fixed Income 1275.35 0.001093798746732403 1275.35 13 13 55279HAT7 US55279HAT77 -- 98.64 United States -- USD 1.44 6.32 1 Nov 21, 2025 5.4 1.45 -- 6.32 1.45 6.32 Nov 21, 2022 Nov 21, 2022 EQNR EQUINOR ASA Owned No Guarantee Fixed Income 1275.35 0.001093798746732403 1275.35 12 12 656531AM2 US656531AM27 7234556 105.72 Norway -- USD 3 5.39 1 Sep 23, 2027 7.25 3 -- 5.39 3 5.39 May 26, 2000 May 25, 2000 CUBE CUBESMART LP Reits Fixed Income 1273.59 0.0010922892898819314 1273.59 13 13 22966RAC0 US22966RAC07 BYQ6162 97.1 United States -- USD 1.45 5.98 1 Nov 15, 2025 4 1.45 -- 5.98 1.45 5.98 Oct 26, 2015 Oct 26, 2015 NSC NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 1273.59 0.0010922892898819314 1273.59 13 13 655844AW8 US655844AW86 B09CDT6 99.74 United States -- USD 1 5.84 1 May 17, 2025 5.59 0.99 -- 5.84 0.99 5.84 May 17, 2005 May 17, 2005 RVTY REVVITY INC Consumer Non-Cyclical Fixed Income 1268.34 0.0010877866487086494 1268.34 15 15 714046AM1 US714046AM14 -- 85.6 United States -- USD 4.11 5.65 1 Sep 15, 2028 1.9 4.09 -- 5.65 4.09 5.65 Sep 10, 2021 Sep 10, 2021 NTBKKK NBK TIER 1 FINANCING (2) LTD 144A Banking Fixed Income 1261.33 0.0010817745506848959 1261.33 13 13 62878WAA6 US62878WAA62 -- 95.92 Kuwait -- USD 1.49 7.51 1 Dec 31, 2079 4.5 1.31 -- 7.26 1.47 7.26 Nov 27, 2019 Nov 27, 2019 WTW WILLIS NORTH AMERICA INC Insurance Fixed Income 1261.33 0.0010817745506848959 1261.33 13 13 970648AG6 US970648AG61 BGLRQF8 95.28 United States -- USD 3.85 5.73 1 Sep 15, 2028 4.5 3.89 -- 5.73 3.89 5.73 Sep 10, 2018 Sep 10, 2018 PNW ARIZONA PUBLIC SERVICE CO Electric Fixed Income 1257.83 0.0010787727899027079 1257.83 13 13 040555CS1 US040555CS19 BXT7BF4 97.14 United States -- USD 1 5.98 1 May 15, 2025 3.15 1 -- 5.98 1 5.98 May 19, 2015 May 19, 2015 MUTOMA MUTUAL OF OMAHA COMPANIES GLOBAL F MTN 144A Insurance Fixed Income 1257.83 0.0010787727899027079 1257.83 13 13 62829D2D1 US62829D2D13 -- 99.1 United States -- USD 2.7 5.68 1 Apr 09, 2027 5.35 2.69 -- 5.68 2.69 5.68 Apr 09, 2024 Apr 09, 2024 EVRG WESTAR ENERGY INC Electric Fixed Income 1254.32 0.0010757624526611421 1254.32 13 13 95709TAL4 US95709TAL44 BYP8YV5 96.53 United States -- USD 1.5 5.54 1 Dec 01, 2025 3.25 1.51 -- 5.54 1.51 5.54 Nov 13, 2015 Nov 13, 2015 TFC TRUIST FINANCIAL CORP MTN Banking Fixed Income 1252.57 0.0010742615722700482 1252.57 14 14 05531GAB7 US05531GAB77 BJ2DGS9 91.49 United States -- USD 4.35 5.9 1 Mar 19, 2029 3.88 4.34 -- 5.9 4.34 5.9 Mar 18, 2019 Mar 18, 2019 JBL JABIL INC Technology Fixed Income 1249.07 0.0010712598114878602 1249.07 13 13 466313AH6 US466313AH63 BFW28M6 93.62 United States -- USD 3.33 5.88 1 Jan 12, 2028 3.95 3.34 -- 5.88 3.34 5.88 Jan 17, 2018 Jan 17, 2018 MAA MID-AMERICA APARTMENTS LP Reits Fixed Income 1249.07 0.0010712598114878602 1249.07 14 14 59523UAT4 US59523UAT43 -- 90.25 United States -- USD 2.3 5.51 1 Sep 15, 2026 1.1 2.3 -- 5.51 2.3 5.51 Aug 19, 2021 Aug 19, 2021 SANFP SANOFI SA Consumer Non-Cyclical Fixed Income 1249.07 0.0010712598114878602 1249.07 13 13 801060AD6 US801060AD60 BFMDHS8 95.06 France -- USD 3.69 4.96 1 Jun 19, 2028 3.63 3.74 -- 4.96 3.74 4.96 Jun 19, 2018 Jun 19, 2018 ROIC RETAIL OPPORTUNITY INVESTMENTS PAR Reits Fixed Income 1243.81 0.0010667485938552007 1243.81 12 12 76132FAC1 US76132FAC14 BR53N14 101.68 United States -- USD 3.81 6.31 1 Oct 15, 2028 6.75 3.81 -- 6.31 3.81 6.31 Sep 21, 2023 Sep 21, 2023 NRUC NATIONAL RURAL UTILITIES COOPERATI Electric Fixed Income 1240.31 0.0010637468330730127 1240.31 13 13 637432NQ4 US637432NQ44 BFY3N33 94.13 United States -- USD 3.95 5.38 1 Nov 01, 2028 3.9 3.98 -- 5.38 3.98 5.38 Oct 31, 2018 Oct 31, 2018 NTRS NORTHERN TRUST CORPORATION Banking Fixed Income 1240.31 0.0010637468330730127 1240.31 13 13 665859AP9 US665859AP94 BG3KVS3 97.72 United States -- USD 1.42 5.54 1 Oct 30, 2025 3.95 1.42 -- 5.54 1.42 5.54 Oct 31, 2013 Oct 31, 2013 STANLN STANDARD CHARTERED PLC FXD-FXD 144A Banking Fixed Income 1235.05 0.0010592356154403531 1235.05 12 12 853254CW8 US853254CW88 -- 102.15 United Kingdom -- USD 2.42 6.17 1 Feb 08, 2028 6.75 2.44 -- 5.89 2.45 5.89 Nov 08, 2023 Nov 08, 2023 CCI CROWN CASTLE INC Communications Fixed Income 1231.55 0.0010562338546581652 1231.55 13 13 22822VBB6 US22822VBB62 -- 96.25 United States -- USD 3.83 5.79 1 Sep 01, 2028 4.8 3.83 -- 5.79 3.83 5.79 Apr 26, 2023 Apr 26, 2023 CDW CDW LLC Technology Fixed Income 1226.29 0.0010517226370255054 1226.29 14 14 12513GBF5 US12513GBF54 -- 88.99 United States -- USD 4.14 5.91 1 Feb 15, 2029 3.25 4.31 -- 5.91 4.31 5.91 Aug 13, 2020 Aug 13, 2020 PSEC PROSPECT CAPITAL CORP Finance Companies Fixed Income 1222.79 0.0010487208762433177 1222.79 14 14 74348TAW2 US74348TAW27 -- 84.55 United States -- USD 4.05 7.57 1 Oct 15, 2028 3.44 4 -- 7.57 4 7.57 Sep 30, 2021 Sep 30, 2021 CP CANADIAN PACIFIC RAILWAY CO Transportation Fixed Income 1210.53 0.001038206137046282 1210.53 13 13 13645RAT1 US13645RAT14 BYXJDY6 96.64 Canada -- USD 1.65 5.72 1 Feb 01, 2026 3.7 1.66 -- 5.72 1.66 5.72 Aug 03, 2015 Aug 03, 2015 KIM WEINGARTEN REALTY INVESTORS Reits Fixed Income 1210.53 0.001038206137046282 1210.53 13 13 948741AM5 US948741AM57 -- 94.25 United States -- USD 2.16 5.95 1 Aug 15, 2026 3.25 2.16 -- 5.95 2.16 5.95 Aug 11, 2016 Aug 11, 2016 R RYDER SYSTEM INC Transportation Fixed Income 1207.02 0.0010351957998047164 1207.02 13 13 78355HKU2 US78355HKU22 -- 96.29 United States -- USD 2.83 5.6 1 Jun 15, 2027 4.3 2.84 -- 5.6 2.84 5.6 May 17, 2022 May 17, 2022 BFCM BANQUE FEDERATIVE DU CREDIT MUTUEL 144A Banking Fixed Income 1205.27 0.0010336949194136224 1205.27 12 12 06675DCD2 US06675DCD21 -- 98.63 France -- USD 1.15 5.7 1 Jul 13, 2025 4.52 1.15 -- 5.7 1.15 5.7 Jul 13, 2022 Jul 13, 2022 CFG CITIZENS FINANCIAL GROUP INC Banking Fixed Income 1205.27 0.0010336949194136224 1205.27 12 12 174610AK1 US174610AK19 BZ5ZCW0 97.18 United States -- USD 1.5 6.17 1 Dec 03, 2025 4.3 1.5 -- 6.17 1.5 6.17 Dec 03, 2015 Dec 03, 2015 AMG AFFILIATED MANAGERS GROUP INC. Brokerage/Asset Managers/Exchanges Fixed Income 1196.51 0.001026181940998775 1196.51 12 12 008252AN8 US008252AN84 BVXC612 97.24 United States -- USD 1.21 5.78 1 Aug 01, 2025 3.5 1.21 -- 5.78 1.21 5.78 Feb 13, 2015 Feb 13, 2015 KOMATS KOMATSU FINANCE AMERICA INC 144A Capital Goods Fixed Income 1194.76 0.001024681060607681 1194.76 12 12 50048WAA6 US50048WAA62 -- 100.05 Japan -- USD 3.07 5.48 1 Oct 06, 2027 5.5 3.09 -- 5.48 3.09 5.48 Oct 06, 2022 Oct 06, 2022 HCLTIN HCL AMERICA INC 144A Technology Fixed Income 1193.01 0.001023180180216587 1193.01 13 13 40480HAA5 US40480HAA59 BMV35X9 92.47 India -- USD 1.81 5.66 1 Mar 10, 2026 1.38 1.8 -- 5.66 1.8 5.66 Mar 10, 2021 Mar 10, 2021 CMS CONSUMERS ENERGY COMPANY Electric Fixed Income 1191.26 0.001021679299825493 1191.26 13 13 210518DC7 US210518DC78 BGYTGG2 93.83 United States -- USD 4 5.34 1 Nov 15, 2028 3.8 4.03 -- 5.34 4.03 5.34 Nov 13, 2018 Nov 13, 2018 WEC WISCONSIN ELECTRIC POWER COMPANY Electric Fixed Income 1189.51 0.001020178419434399 1189.51 12 12 976656CH9 US976656CH98 BXT7BK9 97.27 United States -- USD 1.05 5.69 1 Jun 01, 2025 3.1 1.05 -- 5.69 1.05 5.69 May 20, 2015 May 20, 2015 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 1175.49 0.0010081542233868917 1175.49 13 13 89236THG3 US89236THG31 -- 87.88 United States -- USD 3.16 5.19 1 Aug 13, 2027 1.15 3.15 -- 5.19 3.15 5.19 Aug 14, 2020 Aug 14, 2020 WES WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 1173.74 0.0010066533429957977 1173.74 12 12 958667AF4 US958667AF48 -- 102.01 United States -- USD 3.97 5.85 1 Jan 15, 2029 6.35 3.98 -- 5.85 3.91 5.85 Sep 29, 2023 Sep 29, 2023 BRKHEC BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 1166.73 0.0010006412449720442 1166.73 13 13 084659AM3 US084659AM36 BDFLNQ5 92.48 United States -- USD 3.63 5.38 1 Apr 15, 2028 3.25 3.65 -- 5.38 3.65 5.38 Apr 15, 2018 May 02, 2018 PEN PEN CASH Cash and/or Derivatives Cash 1163.23 0.0009976394841898562 1163.23 43 43 -- -- -- 26.77 Peru -- USD 0 0 3.7361 -- 0 0 -- 0 0 0 -- Jan 01, 1990 CRBG AIG GLOBAL FUNDING 144A Insurance Fixed Income 1163.23 0.0009976394841898562 1163.23 12 12 00138CAN8 US00138CAN83 -- 93.43 United States -- USD 1.37 5.83 1 Sep 22, 2025 0.9 1.36 -- 5.83 1.36 5.83 Sep 22, 2020 Sep 22, 2020 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 1161.48 0.0009961386037987622 1161.48 12 12 571903BB8 US571903BB87 BGPC0R9 96.59 United States -- USD 3.95 5.5 1 Dec 01, 2028 4.65 4 -- 5.5 4 5.5 Nov 16, 2018 Nov 16, 2018 TOMARI RELIANCE STANDARD LIFE GLOBAL FUND 144A Insurance Fixed Income 1161.48 0.0009961386037987622 1161.48 13 13 75951AAN8 US75951AAN81 -- 91.3 United States -- USD 2.57 6.26 1 Jan 21, 2027 2.75 2.55 -- 6.26 2.55 6.26 Jan 21, 2020 Jan 21, 2020 FLO FLOWERS FOODS INC Consumer Non-Cyclical Fixed Income 1159.72 0.0009946291469482905 1159.72 12 12 343498AB7 US343498AB75 BZ1B6Z3 95.14 United States -- USD 2.26 5.66 1 Oct 01, 2026 3.5 2.28 -- 5.66 2.28 5.66 Sep 28, 2016 Sep 28, 2016 NSCCLF NATIONAL SECURITIES CLEARING CORP 144A Brokerage/Asset Managers/Exchanges Fixed Income 1159.72 0.0009946291469482905 1159.72 12 12 637639AJ4 US637639AJ49 -- 99.66 United States -- USD 1.03 5.47 1 May 30, 2025 5.15 1.03 -- 5.47 1.03 5.47 May 30, 2023 May 30, 2023 AMCR AMCOR FINANCE (USA) INC Capital Goods Fixed Income 1149.21 0.000985615288142349 1149.21 12 12 02343UAH8 US02343UAH86 -- 95.87 United States -- USD 3.52 5.65 1 May 15, 2028 4.5 3.57 -- 5.65 3.57 5.65 Nov 15, 2019 Apr 23, 2020 DTE DTE ELECTRIC COMPANY Electric Fixed Income 1145.71 0.000982613527360161 1145.71 12 12 23338VAU0 US23338VAU08 -- 99.03 United States -- USD 2.4 5.25 1 Dec 01, 2026 4.85 2.39 -- 5.25 2.39 5.25 Feb 29, 2024 Feb 29, 2024 KWD KWD CASH Cash and/or Derivatives Cash 1144.97 0.0009819788693662128 1144.97 4 4 -- -- -- 324.83 Kuwait -- USD 0 3.47 0.30785 -- 0 0 -- 3.47 0 3.47 -- Jan 01, 1990 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 1138.7 0.0009766014293364075 1138.7 12 12 69371RR65 US69371RR654 -- 91.78 United States -- USD 2.64 5.22 1 Feb 04, 2027 2 2.63 -- 5.22 2.63 5.22 Feb 04, 2022 Feb 04, 2022 IBM INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 1133.45 0.0009720987881631255 1133.45 11 11 459200AS0 US459200AS04 2572392 104.73 United States -- USD 3.25 5.09 1 Jan 15, 2028 6.5 3.24 -- 5.09 3.24 5.09 Jan 09, 1998 Jan 09, 1998 TIAAGL NUVEEN LLC 144A Brokerage/Asset Managers/Exchanges Fixed Income 1133.45 0.0009720987881631255 1133.45 12 12 67080LAA3 US67080LAA35 BFXX657 95.02 United States -- USD 3.94 5.25 1 Nov 01, 2028 4 3.98 -- 5.25 3.98 5.25 Oct 22, 2018 Oct 22, 2018 ESS ESSEX PORTFOLIO LP Reits Fixed Income 1129.94 0.0009690884509215599 1129.94 12 12 29717PAT4 US29717PAT49 BFMWWB3 92.93 United States -- USD 4.26 5.69 1 Mar 01, 2029 4 4.29 -- 5.69 4.29 5.69 Feb 11, 2019 Feb 11, 2019 NGGLN NIAGARA MOHAWK POWER CORPORATION 144A Electric Fixed Income 1122.94 0.000963084929357184 1122.94 12 12 65364UAL0 US65364UAL08 BH42ZL6 93.45 United States -- USD 4.03 5.91 1 Dec 15, 2028 4.28 4.05 -- 5.91 4.05 5.91 Dec 04, 2018 Dec 04, 2018 CZK CZK CASH Cash and/or Derivatives Cash 1119.36 0.0009600145568999746 1119.36 263 263 -- -- -- 4.26 Czech Republic -- USD 0 5.73 23.49435 -- 0 0 -- 5.73 0 5.73 -- Jan 01, 1990 HUBB HUBBELL INCORPORATED Capital Goods Fixed Income 1115.93 0.0009570728313334304 1115.93 12 12 443510AH5 US443510AH55 BF22PH0 93.1 United States -- USD 3.04 5.46 1 Aug 15, 2027 3.15 3.06 -- 5.46 3.06 5.46 Aug 03, 2017 Aug 03, 2017 MCO MOODYS CORPORATION Technology Fixed Income 1115.93 0.0009570728313334304 1115.93 12 12 615369AM7 US615369AM79 BZ1GZR3 93.76 United States -- USD 3.38 5.11 1 Jan 15, 2028 3.25 3.41 -- 5.11 3.41 5.11 Jan 15, 2018 Apr 13, 2018 BALN BAE SYSTEMS FINANCE INC 144A Capital Goods Fixed Income 1112.42 0.0009540624940918647 1112.42 11 11 11041RAL2 US11041RAL24 2543495 105.61 United Kingdom -- USD 2.77 5.55 1 Jul 01, 2027 7.5 2.76 -- 5.55 2.76 5.55 Jul 02, 1997 Jul 02, 1997 DXC DXC TECHNOLOGY CO Technology Fixed Income 1108.92 0.0009510607333096768 1108.92 13 13 23355LAM8 US23355LAM81 -- 85.26 United States -- USD 4.06 6.27 1 Sep 15, 2028 2.38 4.03 -- 6.27 4.03 6.27 Sep 09, 2021 Sep 09, 2021 FITB FIFTH THIRD BANK (OHIO) Banking Fixed Income 1107.17 0.0009495598529185829 1107.17 11 11 31677QBM0 US31677QBM06 BD8YNW7 97.8 United States -- USD 1.19 5.79 1 Jul 28, 2025 3.95 1.19 -- 5.79 1.19 5.79 Jul 26, 2018 Jul 26, 2018 SGAFT CASH COLLATERAL AUD SGAFT Cash and/or Derivatives Cash Collateral and Margins 1104.38 0.0009471670207522101 1104.38 17 17 -- -- -- 64.99 Australia -- USD 0 0 1.538579890760828 Dec 31, 2049 4.3 0 -- 0 0 0 Aug 02, 2016 Aug 02, 2016 BBVASM BBVA BANCOMER SA (TEXAS BRANCH) MTN 144A Banking Fixed Income 1096.66 0.0009405459941126413 1096.66 12 12 05533UAH1 US05533UAH14 BMG6Z22 94.85 Mexico -- USD 1.35 5.76 1 Sep 18, 2025 1.88 1.34 -- 5.76 1.34 5.76 Sep 18, 2020 Sep 18, 2020 WRK WRKCO INC Basic Industry Fixed Income 1089.65 0.0009345338960888876 1089.65 12 12 92940PAE4 US92940PAE43 BK68007 93.98 United States -- USD 3.63 5.56 1 Jun 01, 2028 3.9 3.66 -- 5.56 3.66 5.56 May 20, 2019 May 20, 2019 ARES ARES MANAGEMENT CORP Brokerage/Asset Managers/Exchanges Fixed Income 1082.64 0.0009285217980651341 1082.64 11 11 03990BAA9 US03990BAA98 -- 103.03 United States -- USD 3.79 5.61 1 Nov 10, 2028 6.38 3.81 -- 5.6 3.75 5.6 Nov 10, 2023 Nov 10, 2023 ET ENERGY TRANSFER LP Energy Fixed Income 1079.14 0.0009255200372829461 1079.14 11 11 29278NAG8 US29278NAG88 BJCYMH3 98.15 United States -- USD 4.25 5.68 1 Apr 15, 2029 5.25 4.31 -- 5.68 4.31 5.68 Jan 15, 2019 Jan 15, 2019 LLOYDS LLOYDS BANK PLC Banking Fixed Income 1079.14 0.0009255200372829461 1079.14 11 11 53944VAH2 US53944VAH24 BXPB5N6 97.77 United Kingdom -- USD 1 5.71 1 May 14, 2025 3.5 1 -- 5.71 1 5.71 May 14, 2015 May 14, 2015 DFS DISCOVER BANK/GREENWOOD DE Banking Fixed Income 1079.14 0.0009255200372829461 1079.14 11 11 25466AAE1 US25466AAE10 BKR3FY0 96.99 United States -- USD 1.77 5.96 1 Mar 13, 2026 4.25 1.77 -- 5.96 1.77 5.96 Mar 13, 2014 Mar 13, 2014 AWK AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 1075.64 0.0009225182765007582 1075.64 11 11 03040WAS4 US03040WAS44 BG84414 93.87 United States -- USD 3.88 5.35 1 Sep 01, 2028 3.75 3.91 -- 5.35 3.91 5.35 Aug 09, 2018 Aug 09, 2018 GD GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 1073.88 0.0009210088196502865 1073.88 12 12 369550AZ1 US369550AZ10 BF16ND5 91.69 United States -- USD 3.27 5.21 1 Nov 15, 2027 2.63 3.28 -- 5.21 3.28 5.21 Sep 14, 2017 Sep 14, 2017 NMFC NEW MOUNTAIN FINANCE CORP Finance Companies Fixed Income 1072.13 0.0009195079392591925 1072.13 11 11 647551AF7 US647551AF79 -- 97.15 United States -- USD 3.96 7.6 1 Feb 01, 2029 6.88 3.92 -- 7.6 3.92 7.6 Feb 01, 2024 Feb 01, 2024 HYUCAP HYUNDAI CAPITAL SERVICES INC MTN 144A Consumer Cyclical Fixed Income 1068.63 0.0009165061784770045 1068.63 11 11 44920UAL2 US44920UAL26 BF1CVD9 93.83 Korea (South) -- USD 3.08 5.67 1 Aug 29, 2027 3.63 3.07 -- 5.67 3.07 5.67 Aug 29, 2017 Aug 29, 2017 UU UNITED UTILITIES PLC Utility Other Fixed Income 1068.63 0.0009165061784770045 1068.63 10 10 91311QAC9 US91311QAC96 0385150 104.2 United Kingdom -- USD 3.68 5.76 1 Aug 15, 2028 6.88 3.66 -- 5.76 3.66 5.76 Jul 28, 1998 Jul 28, 1998 GE GE CAPITAL FUNDING LLC (US) Capital Goods Fixed Income 1066.88 0.0009150052980859106 1066.88 11 11 36166NAG8 US36166NAG88 -- 97.76 United States -- USD 1 5.66 1 May 15, 2025 3.45 1 -- 5.66 1 5.66 Nov 15, 2020 May 05, 2021 ES NSTAR ELECTRIC CO Electric Fixed Income 1065.12 0.0009134958412354389 1065.12 11 11 67021CAK3 US67021CAK36 BD4DP66 96.37 United States -- USD 1.47 5.72 1 Nov 15, 2025 3.25 1.46 -- 5.72 1.46 5.72 Nov 18, 2015 Nov 18, 2015 DVN DEVON ENERGY CORPORATION Energy Fixed Income 1061.62 0.000910494080453251 1061.62 11 11 25179MBE2 US25179MBE21 -- 100.15 United States -- USD 1.73 5.83 1 Jun 15, 2028 5.88 3.55 -- 5.73 1.07 5.73 Dec 15, 2021 Dec 29, 2021 MASSMU MASSMUTUAL GLOBAL FUNDING II MTN 144A Insurance Fixed Income 1061.62 0.000910494080453251 1061.62 12 12 57629WDE7 US57629WDE75 -- 91.1 United States -- USD 2.14 5.5 1 Jul 16, 2026 1.2 2.13 -- 5.5 2.13 5.5 Jul 16, 2021 Jul 16, 2021 ANZNZ ANZ NEW ZEALAND INTL LTD (LONDON B 144A Banking Fixed Income 1059.87 0.000908993200062157 1059.87 12 12 00182EBN8 US00182EBN85 -- 91.31 New Zealand -- USD 2.07 5.58 1 Jun 22, 2026 1.25 2.07 -- 5.58 2.07 5.58 Jun 22, 2021 Jun 22, 2021 DOW DOW CHEMICAL COMPANY (THE) Basic Industry Fixed Income 1056.37 0.000905991439279969 1056.37 11 11 260543CY7 US260543CY77 -- 97.36 United States -- USD 3.93 5.46 1 Nov 30, 2028 4.8 3.98 -- 5.46 3.98 5.46 May 30, 2019 Nov 18, 2019 CM CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 1052.86 0.0009029811020384034 1052.86 11 11 13607LSL8 US13607LSL89 -- 100.19 Canada -- USD 2.04 5.52 1 Jul 17, 2026 5.62 2.04 -- 5.52 2.04 5.52 Jul 17, 2023 Jul 17, 2023 OXY OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 1049.36 0.0008999793412562154 1049.36 11 11 674599CH6 US674599CH65 BDBFN27 95.48 United States -- USD 1.86 5.86 1 Apr 15, 2026 3.4 1.87 -- 5.86 1.87 5.86 Apr 04, 2016 Apr 04, 2016 SANUSA SANTANDER HOLDINGS USA INC Banking Fixed Income 1040.6 0.0008924663628413679 1040.6 10 10 80282KBE5 US80282KBE55 -- 99.4 United States -- USD 1.26 6.83 1 Sep 09, 2026 5.81 1.28 -- 6.27 1.29 6.27 Sep 09, 2022 Sep 09, 2022 ES NSTAR ELECTRIC CO Electric Fixed Income 1038.85 0.0008909654824502739 1038.85 11 11 67021CAL1 US67021CAL19 BD978C0 94.13 United States -- USD 1.98 5.7 1 Jun 01, 2026 2.7 1.98 -- 5.7 1.98 5.7 May 26, 2016 May 26, 2016 SWX SOUTHWEST GAS CORP Natural Gas Fixed Income 1038.85 0.0008909654824502739 1038.85 10 10 845011AF2 US845011AF24 -- 100.55 United States -- USD 3.12 5.63 1 Dec 01, 2027 5.8 3.14 -- 5.62 3.07 5.62 Dec 01, 2022 Dec 01, 2022 OCINV OCI NV 144A Basic Industry Fixed Income 1037.09 0.0008894560255998023 1037.09 11 11 67091GAE3 US67091GAE35 -- 97.5 Netherlands -- USD 1.36 6.43 1 Oct 15, 2025 4.63 1.39 -- 6.43 1.39 6.43 Oct 09, 2020 Oct 09, 2020 CTVA EIDP INC Basic Industry Fixed Income 1035.34 0.0008879551452087083 1035.34 11 11 263534CQ0 US263534CQ07 -- 98.12 United States -- USD 1.87 5.48 1 May 15, 2026 4.5 1.89 -- 5.48 1.89 5.48 May 15, 2023 May 15, 2023 BNP BNP PARIBAS SA 144A Banking Fixed Income 1033.59 0.0008864542648176143 1033.59 11 11 09659W2H6 US09659W2H65 BHZRWP3 97.54 France -- USD 3.99 6.16 1 Jan 10, 2030 5.2 4.04 -- 5.8 4.05 5.8 Jan 10, 2019 Jan 10, 2019 ACT ENACT HOLDINGS INC 144A Insurance Fixed Income 1033.59 0.0008864542648176143 1033.59 10 10 37255LAA5 US37255LAA52 -- 99.44 United States -- USD 1.02 6.95 1 Aug 15, 2025 6.5 1.22 -- 6.95 1.22 6.95 Aug 21, 2020 Aug 21, 2020 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 1030.09 0.0008834525040354263 1030.09 10 10 548661AH0 US548661AH09 2148113 105.62 United States -- USD 3.31 5.22 1 Feb 15, 2028 6.88 3.3 -- 5.22 3.3 5.22 Feb 09, 1998 Feb 09, 1998 SEB SKANDINAVISKA ENSKILDA BANKEN AB MTN 144A Banking Fixed Income 1030.09 0.0008834525040354263 1030.09 11 11 83051GAT5 US83051GAT58 -- 90.24 Sweden -- USD 2.29 5.65 1 Sep 09, 2026 1.2 2.28 -- 5.65 2.28 5.65 Sep 09, 2021 Sep 09, 2021 COMINV USI INC 144A Insurance Fixed Income 1026.16 0.0008800819554999981 1026.16 10 10 90346KAB5 US90346KAB52 -- 98.45 United States -- USD 4.55 7.77 1 Jan 15, 2032 7.5 5.63 -- 7.77 5.63 7.77 Dec 29, 2023 Dec 29, 2023 WMT WALMART INC Consumer Cyclical Fixed Income 1024.83 0.0008789412864027667 1024.83 10 10 931142CH4 US931142CH46 B1VVLH2 102.97 United States -- USD 2.68 4.78 1 Apr 05, 2027 5.88 2.68 -- 4.78 2.68 4.78 Apr 05, 2007 Apr 05, 2007 KORELE KOREA ELECTRIC POWER CORP 144A Owned No Guarantee Fixed Income 1023.08 0.0008774404060116728 1023.08 10 10 500631BB1 US500631BB10 -- 98.53 Korea (South) -- USD 2.53 5.45 1 Jan 31, 2027 4.88 2.52 -- 5.45 2.52 5.45 Jan 31, 2024 Jan 31, 2024 TNOTE TREASURY NOTE Treasuries Fixed Income 1021.83 0.0008763683485894627 1021.83 10 10 91282CGN5 US91282CGN56 BMTY6G4 99.48 United States -- USD 0.81 5.26 1 Feb 28, 2025 4.63 0.82 -- 5.26 0.82 5.26 Feb 28, 2023 Feb 28, 2023 ETR ENTERGY LOUISIANA LLC Electric Fixed Income 1021.33 0.0008759395256205788 1021.33 10 10 29364WAM0 US29364WAM01 B410GD1 98.29 United States -- USD 1.55 5.49 1 Jan 15, 2026 4.44 1.61 -- 5.49 1.61 5.49 Sep 24, 2010 Sep 24, 2010 JHG JANUS HENDERSON US (HOLDINGS) INC Brokerage/Asset Managers/Exchanges Fixed Income 1021.33 0.0008759395256205788 1021.33 10 10 47102XAJ4 US47102XAJ46 BYWZZQ1 98.7 United States -- USD 1.15 5.95 1 Aug 01, 2025 4.88 1.2 -- 5.95 1.2 5.95 Jul 31, 2015 Jul 31, 2015 WMB TRANSCONTINENTAL GAS PIPE LINE COM Energy Fixed Income 1019.58 0.0008744386452294848 1019.58 11 11 893574AK9 US893574AK91 BF4YFR4 94.65 United States -- USD 3.48 5.55 1 Mar 15, 2028 4 3.52 -- 5.55 3.52 5.55 Sep 15, 2018 Sep 20, 2018 ASBBNK ASB BANK LTD 144A Banking Fixed Income 1016.07 0.0008714283079879192 1016.07 10 10 00216LAG8 US00216LAG86 -- 99.61 New Zealand -- USD 1.96 5.54 1 Jun 15, 2026 5.35 1.96 -- 5.54 1.96 5.54 Jun 15, 2023 Jun 15, 2023 MAR MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 1016.07 0.0008714283079879192 1016.07 10 10 571903BP7 US571903BP73 -- 96.91 United States -- USD 4.36 5.59 1 May 15, 2029 4.88 4.37 -- 5.59 4.37 5.59 Feb 22, 2024 Feb 22, 2024 CNP CENTERPOINT ENERGY RESOURCES CORPO Natural Gas Fixed Income 1012.57 0.0008684265472057312 1012.57 11 11 15189WAL4 US15189WAL46 -- 94.83 United States -- USD 3.53 5.48 1 Apr 01, 2028 4 3.56 -- 5.48 3.56 5.48 Mar 28, 2018 Mar 28, 2018 AIA AIA GROUP LTD 144A Insurance Fixed Income 1009.07 0.0008654247864235432 1009.07 11 11 00131LAF2 US00131LAF22 BF1GMM7 94.61 Hong Kong -- USD 3.55 5.44 1 Apr 06, 2028 3.9 3.58 -- 5.44 3.58 5.44 Apr 06, 2018 Apr 06, 2018 KORGAS KOREA GAS CORPORATION MTN 144A Owned No Guarantee Fixed Income 1009.07 0.0008654247864235432 1009.07 11 11 50066AAN3 US50066AAN37 BDT7X03 93.27 Korea (South) -- USD 3 5.42 1 Jul 20, 2027 3.13 2.99 -- 5.42 2.99 5.42 Jul 20, 2017 Jul 20, 2017 VLO VALERO ENERGY CORPORATION Energy Fixed Income 1005.56 0.0008624144491819776 1005.56 11 11 91913YAU4 US91913YAU47 BD5M8B8 95.57 United States -- USD 2.22 5.4 1 Sep 15, 2026 3.4 2.24 -- 5.4 2.24 5.4 Sep 12, 2016 Sep 12, 2016 EMN EASTMAN CHEMICAL COMPANY Basic Industry Fixed Income 995.05 0.0008534005903760361 995.05 10 10 277432AW0 US277432AW04 BD5FFZ0 95.63 United States -- USD 3.96 5.59 1 Dec 01, 2028 4.5 4.01 -- 5.59 4.01 5.59 Nov 06, 2018 Nov 06, 2018 KEBHNB KEB HANA BANK MTN 144A Banking Fixed Income 986.29 0.0008458876119611885 986.29 11 11 482466AG4 US482466AG41 -- 93.05 Korea (South) -- USD 2.22 7.03 1 Dec 31, 2079 3.5 2.15 -- 6.58 2.32 6.58 Oct 19, 2021 Oct 19, 2021 PSD PUGET SOUND ENERGY INC MTN Electric Fixed Income 984.54 0.0008443867315700945 984.54 10 10 74531EAA0 US74531EAA01 B2PG0H3 103.32 United States -- USD 3.15 5.98 1 Dec 01, 2027 7.02 3.13 -- 5.98 3.13 5.98 Dec 22, 1997 Dec 22, 1997 UPS UNITED PARCEL SERVICE INC Transportation Fixed Income 984.54 0.0008443867315700945 984.54 11 11 911312AY2 US911312AY27 BYQ74V1 93.64 United States -- USD 2.39 5.09 1 Nov 15, 2026 2.4 2.4 -- 5.09 2.4 5.09 Oct 24, 2016 Oct 24, 2016 BAYNGR BAYER US FINANCE II LLC 144A Consumer Non-Cyclical Fixed Income 981.04 0.0008413849707879066 981.04 10 10 07274NAY9 US07274NAY94 BH3YMT0 99.03 Germany -- USD 1.23 6.28 1 Aug 15, 2025 5.5 1.23 -- 6.28 1.23 6.28 Feb 15, 2018 Jul 12, 2018 MWXCAP MIDWEST CONNECTOR CAPITAL COMPANY 144A Energy Fixed Income 977.53 0.000838374633546341 977.53 10 10 59833CAC6 US59833CAC64 BJ5F6K4 94.93 United States -- USD 4.28 5.82 1 Apr 01, 2029 4.63 4.31 -- 5.82 4.31 5.82 Mar 11, 2019 Mar 11, 2019 SKM SK TELECOM 144A Communications Fixed Income 977.53 0.000838374633546341 977.53 9 9 78440PAC2 US78440PAC23 B23CMY4 103.01 Korea (South) -- USD 2.85 5.59 1 Jul 20, 2027 6.63 2.84 -- 5.59 2.84 5.59 Jul 20, 2007 Jul 20, 2007 CI EXPRESS SCRIPTS HOLDING CO Consumer Non-Cyclical Fixed Income 968.77 0.0008308616551314933 968.77 10 10 30219GAM0 US30219GAM06 BYYLHT4 98.02 United States -- USD 1.67 5.65 1 Feb 25, 2026 4.5 1.72 -- 5.65 1.72 5.65 Feb 25, 2016 Feb 25, 2016 UNP UNION PACIFIC CORPORATION Transportation Fixed Income 961.77 0.0008248581335671175 961.77 10 10 907818FJ2 US907818FJ28 -- 92.04 United States -- USD 2.63 5.27 1 Feb 05, 2027 2.15 2.63 -- 5.27 2.63 5.27 Jan 31, 2020 Jan 31, 2020 MRK MERCK SHARP & DOHME CORP Consumer Non-Cyclical Fixed Income 958.26 0.0008218477963255518 958.26 9 9 589331AE7 US589331AE71 2317173 103.71 United States -- USD 3.92 5.03 1 Dec 01, 2028 5.95 3.91 -- 5.03 3.91 5.03 Nov 30, 1998 Nov 30, 1998 YALUNI YALE UNIVERSITY Industrial Other Fixed Income 942.49 0.0008083227198869506 942.49 10 10 98459LAA1 US98459LAA17 BMHKR72 95.73 United States -- USD 0.94 5.44 1 Apr 15, 2025 0.87 0.94 -- 5.44 0.94 5.44 Jun 09, 2020 Jun 09, 2020 NFG NATIONAL FUEL GAS COMPANY Energy Fixed Income 938.99 0.0008053209591047626 938.99 10 10 636180BP5 US636180BP52 BFXV532 96.02 United States -- USD 3.79 5.8 1 Sep 01, 2028 4.75 3.83 -- 5.8 3.83 5.8 Aug 17, 2018 Aug 17, 2018 UPMFH UPM-KYMMENE CORPORATION 144A Basic Industry Fixed Income 938.99 0.0008053209591047626 938.99 9 9 915436AC3 US915436AC33 2652391 103.85 Finland -- USD 3.06 6.23 1 Nov 26, 2027 7.45 3.03 -- 6.23 3.03 6.23 Nov 26, 1997 Nov 26, 1997 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 933.74 0.0008008183179314807 933.74 10 10 89236TEM3 US89236TEM36 BF5RD45 92.82 United States -- USD 3.42 5.2 1 Jan 11, 2028 3.05 3.41 -- 5.2 3.41 5.2 Jan 11, 2018 Jan 11, 2018 ANTHOL ANTARES HOLDINGS LP 144A Owned No Guarantee Fixed Income 931.98 0.0007993088610810091 931.98 10 10 03666HAD3 US03666HAD35 -- 89.37 Canada -- USD 2.55 7.11 1 Jan 15, 2027 2.75 2.52 -- 7.11 2.52 7.11 Jul 26, 2021 Jul 26, 2021 MLM MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 930.23 0.0007978079806899151 930.23 10 10 573284AQ9 US573284AQ94 BDZZHM1 94.43 United States -- USD 2.82 5.42 1 Jun 01, 2027 3.45 2.84 -- 5.42 2.84 5.42 May 22, 2017 May 22, 2017 BOCAVI BOC AVIATION (USA) CORPORATION MTN 144A Owned No Guarantee Fixed Income 926.73 0.0007948062199077271 926.73 9 9 66980P2C2 US66980P2C23 -- 100.88 Singapore -- USD 3.84 5.53 1 Nov 09, 2028 5.75 3.85 -- 5.52 3.79 5.52 Nov 09, 2023 Nov 09, 2023 RNR RENAISSANCERE FINANCE INC Insurance Fixed Income 919.72 0.0007887941218839735 919.72 10 10 75973QAA5 US75973QAA58 BYXL3V9 93.95 United States -- USD 2.9 5.55 1 Jul 01, 2027 3.45 2.92 -- 5.55 2.92 5.55 Jun 29, 2017 Jun 29, 2017 SWK STANLEY BLACK & DECKER INC Capital Goods Fixed Income 910.96 0.000781281143469126 910.96 9 9 854502AS0 US854502AS01 -- 100 United States -- USD 0.37 6.27 1 Mar 06, 2026 6.27 1.72 -- 6.26 0.08 6.26 Mar 06, 2023 Mar 06, 2023 OZK BANK OZK Banking Fixed Income 903.95 0.0007752690454453724 903.95 11 11 06417NA94 US06417NA946 BP9P099 81.83 United States -- USD 2.26 8.94 1 Oct 01, 2031 2.75 2.2 -- 8.94 2.23 8.94 Sep 16, 2021 Sep 16, 2021 LIVEPL EL PUERTO DE LIVERPOOL SAB DE CV 144A Consumer Cyclical Fixed Income 903.95 0.0007752690454453724 903.95 9 9 283837AB8 US283837AB81 BYM4Z02 96.32 Mexico -- USD 2.3 5.5 1 Oct 06, 2026 3.88 2.29 -- 5.5 2.29 5.5 Oct 06, 2016 Oct 06, 2016 WEIRLN WEIR GROUP PLC 144A Capital Goods Fixed Income 900.45 0.0007722672846631844 900.45 10 10 94876QAA4 US94876QAA40 -- 92.48 United Kingdom -- USD 1.94 6.16 1 May 13, 2026 2.2 1.93 -- 6.16 1.93 6.16 May 13, 2021 May 13, 2021 OMF ONEMAIN FINANCE CORP Finance Companies Fixed Income 891.51 0.0007645999299795386 891.51 9 9 85172FAM1 US85172FAM14 BF28TP4 100.61 United States -- USD 0.85 6.15 1 Mar 15, 2025 6.88 0.85 -- 6.15 0.85 6.15 Mar 12, 2018 Mar 12, 2018 APA APACHE CORPORATION Energy Fixed Income 888.19 0.0007617525454661489 888.19 10 10 037411BE4 US037411BE40 BYZLW65 93.45 United States -- USD 3.96 6.07 1 Oct 15, 2028 4.38 3.97 -- 6.07 3.97 6.07 Aug 23, 2018 Aug 23, 2018 NUE NUCOR CORPORATION Basic Industry Fixed Income 888.19 0.0007617525454661489 888.19 9 9 670346AP0 US670346AP04 BDVJC33 95.13 United States -- USD 3.53 5.31 1 May 01, 2028 3.95 3.58 -- 5.31 3.58 5.31 Apr 26, 2018 Apr 26, 2018 JXN JACKSON FINANCIAL INC Insurance Fixed Income 886.44 0.0007602516650750549 886.44 9 9 46817MAR8 US46817MAR88 -- 98.48 United States -- USD 2.77 5.71 1 Jun 08, 2027 5.17 2.78 -- 5.71 2.78 5.71 Jun 08, 2022 Jun 08, 2022 SO MISSISSIPPI POWER COMPANY Electric Fixed Income 884.68 0.0007587422082245833 884.68 9 9 605417CB8 US605417CB81 BFNNXJ0 94.54 United States -- USD 3.52 5.51 1 Mar 30, 2028 3.95 3.56 -- 5.51 3.56 5.51 Mar 27, 2018 Mar 27, 2018 PPL LOUISVILLE GAS AND ELECTRIC COMPAN Electric Fixed Income 882.93 0.0007572413278334893 882.93 9 9 546676AW7 US546676AW72 BYTX3L9 96.95 United States -- USD 1.37 5.54 1 Oct 01, 2025 3.3 1.37 -- 5.54 1.37 5.54 Sep 28, 2015 Sep 28, 2015 TXT TEXTRON INC Capital Goods Fixed Income 882.93 0.0007572413278334893 882.93 10 10 883203BY6 US883203BY60 BDR5NW1 92.18 United States -- USD 3.5 5.66 1 Mar 01, 2028 3.38 3.51 -- 5.66 3.51 5.66 Sep 13, 2017 Sep 13, 2017 H HYATT HOTELS CORP Consumer Cyclical Fixed Income 881.18 0.0007557404474423953 881.18 9 9 448579AH5 US448579AH52 -- 99.52 United States -- USD 0.93 5.88 1 Apr 23, 2025 5.38 0.95 -- 5.88 0.95 5.88 Apr 23, 2020 Apr 23, 2020 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 879.43 0.0007542395670513013 879.43 9 9 125523CR9 US125523CR91 -- 99.9 United States -- USD 0.58 5.74 1 Mar 15, 2026 5.68 1.76 -- 5.74 1.76 5.74 Mar 07, 2023 Mar 07, 2023 TNOTE TREASURY NOTE Treasuries Fixed Income 867.59 0.0007440850391481283 867.59 9 9 91282CDZ1 US91282CDZ14 BM96PT6 97.01 United States -- USD 0.79 5.33 1 Feb 15, 2025 1.5 0.78 -- 5.33 0.78 5.33 Feb 15, 2022 Feb 15, 2022 AUD AUD CASH Cash and/or Derivatives Cash 866.97 0.0007435532986667122 866.97 13 13 -- -- -- 64.99 Australia -- USD 0 4.3 1.538579890760828 -- 0 0 -- 4.3 0 4.3 -- Jan 01, 1990 STLD STEEL DYNAMICS INC Basic Industry Fixed Income 861.91 0.0007392136102216062 861.91 10 10 858119BN9 US858119BN92 -- 87.99 United States -- USD 3.3 5.5 1 Oct 15, 2027 1.65 3.29 -- 5.5 3.29 5.5 Oct 09, 2020 Oct 09, 2020 CMCSA COMCAST CABLE COMMUNICATIONS LLC Communications Fixed Income 861.91 0.0007392136102216062 861.91 8 8 872287AL1 US872287AL19 2243063 106.04 United States -- USD 3.3 5.35 1 Feb 15, 2028 7.13 3.28 -- 5.35 3.28 5.35 Feb 24, 1998 Feb 24, 1998 AEE AMEREN CORPORATION Electric Fixed Income 860.16 0.0007377127298305122 860.16 10 10 023608AK8 US023608AK87 -- 86.94 United States -- USD 3.67 5.53 1 Mar 15, 2028 1.75 3.66 -- 5.53 3.66 5.53 Mar 05, 2021 Mar 05, 2021 ALLY ALLY FINANCIAL INC Banking Fixed Income 856.65 0.0007347023925889465 856.65 9 9 02005NBJ8 US02005NBJ81 -- 99.9 United States -- USD 0.91 5.9 1 May 01, 2025 5.8 0.95 -- 5.9 0.95 5.9 Apr 08, 2020 Apr 08, 2020 GWOCN EMPOWER FINANCE 2020 LP 144A Insurance Fixed Income 849.65 0.0007286988710245707 849.65 10 10 29248HAA1 US29248HAA14 -- 87.36 Canada -- USD 3.24 5.49 1 Sep 17, 2027 1.36 3.23 -- 5.49 3.23 5.49 Sep 17, 2020 Sep 17, 2020 APO APOLLO MANAGEMENT HOLDINGS LP 144A Brokerage/Asset Managers/Exchanges Fixed Income 846.14 0.000725688533783005 846.14 9 9 03765HAD3 US03765HAD35 BFMWW91 97.22 United States -- USD 4.13 5.54 1 Feb 15, 2029 4.87 4.18 -- 5.54 4.18 5.54 Feb 07, 2019 Feb 07, 2019 ISPIM INTESA SANPAOLO SPA MTN 144A Banking Fixed Income 837.38 0.0007181755553681574 837.38 8 8 46115HBU0 US46115HBU05 -- 101.28 Italy -- USD 1.44 6.13 1 Nov 21, 2025 7 1.43 -- 6.13 1.43 6.13 Nov 21, 2022 Nov 21, 2022 CSSE CHICKEN SOUP FOR THE SOUL ENTERTAI Industrial Equity 829.09 0.0007110656705440608 829.09 685 685 16842Q209 US16842Q2093 BFZNZR0 1.21 United States NASDAQ USD 0 -- 1 Dec 31, 2079 9.75 0 -- -- 0 -- Jun 29, 2018 Jun 29, 2018 MSFT MICROSOFT CORPORATION 144A Technology Fixed Income 825.12 0.0007076608161711219 825.12 9 9 594918CH5 US594918CH51 -- 95.18 United States -- USD 2.85 5.08 1 Jun 15, 2027 3.4 2.89 -- 5.08 2.89 5.08 Jun 15, 2023 Nov 06, 2023 GLENLN GLENCORE FUNDING LLC 144A Basic Industry Fixed Income 819.87 0.00070315817499784 819.87 8 8 378272AL2 US378272AL22 BVYP892 98.32 Switzerland -- USD 0.94 5.8 1 Apr 16, 2025 4 0.94 -- 5.8 0.94 5.8 Apr 16, 2015 Apr 16, 2015 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 819.87 0.00070315817499784 819.87 8 8 86563VBC2 US86563VBC28 BMTWZS3 98.8 Japan -- USD 1.32 5.71 1 Sep 15, 2025 4.8 1.32 -- 5.71 1.32 5.71 Sep 15, 2022 Sep 15, 2022 SO GEORGIA POWER COMPANY Electric Fixed Income 814.61 0.0006986469573651803 814.61 8 8 373334KV2 US373334KV25 -- 99.01 United States -- USD 2.56 5.38 1 Feb 23, 2027 5 2.58 -- 5.38 2.58 5.38 Feb 23, 2024 Feb 23, 2024 PLD PROLOGIS LP Reits Fixed Income 814.61 0.0006986469573651803 814.61 9 9 74340XBX8 US74340XBX84 -- 94.68 United States -- USD 3.89 5.37 1 Sep 15, 2028 4 3.93 -- 5.37 3.93 5.37 Sep 15, 2022 Oct 06, 2022 DB DEUTSCHE BANK AG Banking Fixed Income 812.86 0.0006971460769740864 812.86 8 8 25152R2Y8 US25152R2Y86 BZCR7M4 97.33 Germany -- USD 1.62 5.75 1 Jan 13, 2026 4.1 1.61 -- 5.75 1.61 5.75 Jan 13, 2016 Jan 13, 2016 PSJHOG PROVIDENCE ST JOSEPH HEALTH OBLIGA Consumer Non-Cyclical Fixed Income 812.86 0.0006971460769740864 812.86 9 9 743756AB4 US743756AB40 BYYHKY8 93.19 United States -- USD 2.3 5.78 1 Oct 01, 2026 2.75 2.3 -- 5.78 2.3 5.78 Sep 28, 2016 Sep 28, 2016 NRUC NATIONAL RURAL UTILITIES COOPERATI MTN Electric Fixed Income 809.35 0.0006941357397325207 809.35 8 8 637432NK7 US637432NK73 BDGN0W5 96.64 United States -- USD 1.86 8.83 1 Apr 20, 2046 5.25 1.71 -- 7.09 1.84 7.09 Apr 20, 2016 Apr 20, 2016 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 809.35 0.0006941357397325207 809.35 8 8 86563VBK4 US86563VBK44 -- 100.14 Japan -- USD 2.2 5.58 1 Sep 14, 2026 5.65 2.19 -- 5.58 2.19 5.58 Sep 14, 2023 Sep 14, 2023 SPGI S&P GLOBAL INC Technology Fixed Income 797.09 0.0006836210005354852 797.09 8 8 78409VBF0 US78409VBF04 -- 97.8 United States -- USD 3.7 5.33 1 Aug 01, 2028 4.75 3.76 -- 5.33 3.76 5.33 Feb 01, 2023 Feb 28, 2023 FARMER FARMERS EXCHANGE CAPITAL 144A Insurance Fixed Income 793.59 0.0006806192397532972 793.59 8 8 309588AC5 US309588AC50 2267115 100.34 United States -- USD 3.52 6.96 1 Jul 15, 2028 7.05 3.48 -- 6.96 3.48 6.96 Jul 10, 1998 Jul 10, 1998 NWIDE NATIONWIDE BUILDING SOCIETY MTN 144A Banking Fixed Income 791.84 0.0006791183593622033 791.84 8 8 638602BP6 US638602BP66 BYNP0S7 98.01 United Kingdom -- USD 1.18 5.58 1 Jul 21, 2025 3.9 1.18 -- 5.58 1.18 5.58 Jul 21, 2015 Jul 21, 2015 PRHLTH PREMIER HEALTH PARTNERS Consumer Non-Cyclical Fixed Income 791.84 0.0006791183593622033 791.84 9 9 74052BAA5 US74052BAA52 -- 90.92 United States -- USD 2.39 6.84 1 Nov 15, 2026 2.91 2.36 -- 6.84 2.36 6.84 Aug 31, 2016 Aug 31, 2016 DTE DTE ELECTRIC COMPANY Electric Fixed Income 790.08 0.0006776089025117316 790.08 9 9 23338VAN6 US23338VAN64 -- 88.09 United States -- USD 3.71 5.29 1 Apr 01, 2028 1.9 3.7 -- 5.29 3.7 5.29 Mar 29, 2021 Mar 29, 2021 BZLNZ BANK OF NEW ZEALAND MTN 144A Banking Fixed Income 788.33 0.0006761080221206377 788.33 9 9 06407EAC9 US06407EAC93 -- 92 New Zealand -- USD 1.79 5.6 1 Mar 03, 2026 1 1.79 -- 5.6 1.79 5.6 Mar 03, 2021 Mar 03, 2021 STOR STORE CAPITAL LLC Reits Fixed Income 788.33 0.0006761080221206377 788.33 8 8 862121AB6 US862121AB61 BJ7MB42 92.8 United States -- USD 4.24 6.36 1 Mar 15, 2029 4.63 4.25 -- 6.36 4.25 6.36 Feb 28, 2019 Feb 28, 2019 TENCNT TENCENT HOLDINGS LTD MTN 144A Technology Fixed Income 788.33 0.0006761080221206377 788.33 8 8 88032WAN6 US88032WAN65 BJRF8C8 93.3 China -- USD 4.37 5.54 1 Apr 11, 2029 3.98 4.4 -- 5.54 4.4 5.54 Apr 11, 2019 Apr 11, 2019 O REALTY INCOME CORPORATION Reits Fixed Income 786.58 0.0006746071417295437 786.58 9 9 756109CA0 US756109CA03 -- 88.1 United States -- USD 3.64 5.54 1 Mar 15, 2028 2.1 3.63 -- 5.54 3.63 5.54 Sep 15, 2023 Jan 23, 2024 CMA COMERICA BANK Banking Fixed Income 783.08 0.0006716053809473557 783.08 8 8 200340AQ0 US200340AQ05 BPCX2B6 94.54 United States -- USD 2.09 6.45 1 Jul 22, 2026 3.8 2.08 -- 6.45 2.08 6.45 Jul 22, 2014 Jul 22, 2014 CCI CROWN CASTLE INC Communications Fixed Income 781.32 0.0006700959240968841 781.32 8 8 22822VAL5 US22822VAL53 BGQPWW6 93.99 United States -- USD 4.19 5.75 1 Feb 15, 2029 4.3 4.22 -- 5.75 4.22 5.75 Feb 11, 2019 Feb 11, 2019 SEB SKANDINAVISKA ENSKILDA BANKEN AB 144A Banking Fixed Income 781.32 0.0006700959240968841 781.32 8 8 83051GAU2 US83051GAU22 -- 93.82 Sweden -- USD 1.51 5.57 1 Nov 19, 2025 1.4 1.5 -- 5.57 1.5 5.57 Nov 19, 2021 Nov 19, 2021 WHR WHIRLPOOL CORPORATION Consumer Non-Cyclical Fixed Income 779.57 0.0006685950437057901 779.57 8 8 963320AT3 US963320AT33 BYVDTL9 98.02 United States -- USD 0.96 5.74 1 May 01, 2025 3.7 0.96 -- 5.74 0.96 5.74 Nov 04, 2014 Nov 04, 2014 MCAIRH MACQUARIE AIRFINANCE HOLDINGS LTD 144A Finance Companies Fixed Income 777.75 0.0006670341280990524 777.75 8 8 55609NAC2 US55609NAC20 -- 99.64 United Kingdom -- USD 4.15 6.46 1 Mar 26, 2029 6.4 4.14 -- 6.46 4.14 6.46 Mar 26, 2024 Mar 26, 2024 NSC NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 769.06 0.0006595811848998485 769.06 8 8 655844BT4 US655844BT49 BF2N7L1 93.57 United States -- USD 2.84 5.43 1 Jun 01, 2027 3.15 2.86 -- 5.43 2.86 5.43 May 31, 2017 May 31, 2017 PNW ARIZONA PUBLIC SERVICE CO Electric Fixed Income 767.31 0.0006580803045087546 767.31 8 8 040555CV4 US040555CV48 BD30VJ3 92.68 United States -- USD 2.26 5.88 1 Sep 15, 2026 2.55 2.26 -- 5.88 2.26 5.88 Sep 20, 2016 Sep 20, 2016 TNOTE TREASURY NOTE Treasuries Fixed Income 765.93 0.0006568967531146347 765.93 8 8 91282CDN8 US91282CDN83 BP6NM34 97.33 United States -- USD 0.62 5.3 1 Dec 15, 2024 1 0.62 -- 5.3 0.62 5.3 Dec 15, 2021 Dec 15, 2021 ARE ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 765.56 0.0006565794241176606 765.56 8 8 015271AH2 US015271AH27 BYNYSP7 97.82 United States -- USD 1.57 5.64 1 Jan 15, 2026 4.3 1.61 -- 5.64 1.61 5.64 Nov 17, 2015 Nov 17, 2015 SSMHLT SSM HEALTH CARE CORP Consumer Non-Cyclical Fixed Income 763.81 0.0006550785437265666 763.81 8 8 784710AA3 US784710AA32 BZ0VWK1 95.14 United States -- USD 2.79 5.55 1 Jun 01, 2027 3.82 2.82 -- 5.55 2.82 5.55 Apr 19, 2017 Apr 19, 2017 KORELE KOREA ELECTRIC POWER CORP MTN 144A Owned No Guarantee Fixed Income 762.05 0.000653569086876095 762.05 8 8 500631AZ9 US500631AZ96 -- 99.64 Korea (South) -- USD 2.08 5.54 1 Jul 31, 2026 5.38 2.08 -- 5.54 2.08 5.54 Jul 31, 2023 Jul 31, 2023 OSK OSHKOSH CORP Capital Goods Fixed Income 762.05 0.000653569086876095 762.05 8 8 688239AF9 US688239AF99 BF50RF3 96.65 United States -- USD 3.51 5.53 1 May 15, 2028 4.6 3.56 -- 5.53 3.56 5.53 May 17, 2018 May 17, 2018 SHBASS SVENSKA HANDELSBANKEN AB MTN 144A Banking Fixed Income 758.55 0.000650567326093907 758.55 8 8 86959LAM5 US86959LAM54 -- 99.7 Sweden -- USD 1.96 5.4 1 Jun 15, 2026 5.25 1.96 -- 5.4 1.96 5.4 Jun 15, 2023 Jun 15, 2023 SUMITR SUMITOMO MITSUI TRUST BANK LTD 144A Banking Fixed Income 756.8 0.000649066445702813 756.8 8 8 86563VAT6 US86563VAT61 -- 93.92 Japan -- USD 1.34 5.69 1 Sep 12, 2025 1.05 1.33 -- 5.69 1.33 5.69 Sep 16, 2020 Sep 16, 2020 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 755.05 0.000647565565311719 755.05 8 8 02665WDJ7 US02665WDJ71 -- 92.61 United States -- USD 2.55 5.32 1 Jan 08, 2027 2.35 2.54 -- 5.32 2.54 5.32 Jan 10, 2020 Jan 10, 2020 SEB SKANDINAVISKA ENSKILDA BANKEN AB MTN 144A Banking Fixed Income 755.05 0.000647565565311719 755.05 8 8 830505AX1 US830505AX19 -- 98 Sweden -- USD 1.07 5.56 1 Jun 09, 2025 3.7 1.07 -- 5.56 1.07 5.56 Jun 09, 2022 Jun 09, 2022 SYF SYNCHRONY FINANCIAL Banking Fixed Income 753.3 0.000646064684920625 753.3 8 8 87165BAL7 US87165BAL71 BDCBFF1 94.43 United States -- USD 2.12 6.36 1 Aug 04, 2026 3.7 2.12 -- 6.36 2.12 6.36 Aug 04, 2016 Aug 04, 2016 BAP CREDICORP LTD 144A Banking Fixed Income 748.04 0.0006415534672879655 748.04 8 8 22530EAA0 US22530EAA01 -- 96.37 Peru -- USD 1.09 6.08 1 Jun 17, 2025 2.75 1.09 -- 6.08 1.09 6.08 Jun 17, 2020 Jun 17, 2020 AIZ ASSURANT INC Insurance Fixed Income 746.29 0.0006400525868968715 746.29 8 8 04621XAJ7 US04621XAJ72 -- 96.72 United States -- USD 3.44 5.85 1 Mar 27, 2028 4.9 3.49 -- 5.85 3.49 5.85 Mar 27, 2018 Mar 27, 2018 HD HOME DEPOT INC Consumer Cyclical Fixed Income 746.29 0.0006400525868968715 746.29 9 9 437076CE0 US437076CE05 -- 85.54 United States -- USD 3.73 5.04 1 Mar 15, 2028 0.9 3.73 -- 5.04 3.73 5.04 Jan 07, 2021 Jan 07, 2021 LXP LXP INDUSTRIAL TRUST Reits Fixed Income 746.29 0.0006400525868968715 746.29 7 7 529043AF8 US529043AF83 -- 102.15 United States -- USD 3.77 6.2 1 Nov 15, 2028 6.75 3.77 -- 6.19 3.71 6.19 Nov 13, 2023 Nov 13, 2023 MRK MERCK & CO INC Consumer Non-Cyclical Fixed Income 746.29 0.0006400525868968715 746.29 7 7 589331AD9 US589331AD98 2156826 104.17 United States -- USD 3.37 5.19 1 Mar 01, 2028 6.4 3.36 -- 5.19 3.36 5.19 Mar 01, 1998 Mar 02, 1998 KHFC KOREA HOUSING FINANCE CORP MTN 144A Owned No Guarantee Fixed Income 741.03 0.0006355413692642119 741.03 7 7 50065RAM9 US50065RAM97 -- 100.13 Korea (South) -- USD 2.31 5.32 1 Nov 15, 2026 5.38 2.3 -- 5.32 2.3 5.32 Nov 15, 2023 Nov 15, 2023 BGC BGC GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 737.53 0.0006325396084820239 737.53 7 7 088929AC8 US088929AC82 -- 103.92 United States -- USD 3.39 6.88 1 May 25, 2028 8 3.35 -- 6.87 3.29 6.87 May 25, 2023 Oct 06, 2023 BCRED BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 734.02 0.0006295292712404582 734.02 8 8 09261HAR8 US09261HAR84 -- 90.44 United States -- USD 4.16 6.38 1 Jan 15, 2029 4 4.14 -- 6.38 4.14 6.38 Jul 15, 2022 Aug 08, 2022 FNB F.N.B CORP Banking Fixed Income 728.77 0.0006250266300671763 728.77 7 7 302520AC5 US302520AC56 -- 98.39 United States -- USD 1.26 6.42 1 Aug 25, 2025 5.15 1.26 -- 6.42 1.26 6.42 Aug 25, 2022 Aug 25, 2022 KIAMTR KIA MOTORS CORPORATION 144A Consumer Cyclical Fixed Income 728.77 0.0006250266300671763 728.77 8 8 493738AD0 US493738AD01 -- 95.36 Korea (South) -- USD 1.89 5.75 1 Apr 21, 2026 3.25 1.89 -- 5.75 1.89 5.75 Apr 21, 2016 Apr 21, 2016 ETR ENTERGY MISSISSIPPI LLC Electric Fixed Income 727.02 0.0006235257496760824 727.02 8 8 29364NAT5 US29364NAT54 BYZK6X7 90.85 United States -- USD 3.73 5.36 1 Jun 01, 2028 2.85 3.74 -- 5.36 3.74 5.36 May 13, 2016 May 13, 2016 XEL PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 725.27 0.0006220248692849884 725.27 8 8 744448CP4 US744448CP44 -- 94.03 United States -- USD 3.63 5.33 1 Jun 15, 2028 3.7 3.71 -- 5.33 3.71 5.33 Jun 21, 2018 Jun 21, 2018 GMT GATX CORPORATION Finance Companies Fixed Income 720.01 0.0006175136516523288 720.01 8 8 361448BA0 US361448BA03 BYWRSW4 92.81 United States -- USD 3.53 5.58 1 Mar 15, 2028 3.5 3.55 -- 5.58 3.55 5.58 Nov 02, 2017 Nov 02, 2017 EQIX EQUINIX INC Technology Fixed Income 718.26 0.0006160127712612348 718.26 8 8 29444UBF2 US29444UBF21 -- 94.57 United States -- USD 1.18 5.92 1 Jul 15, 2025 1.25 1.18 -- 5.92 1.18 5.92 Jun 22, 2020 Jun 22, 2020 MQGAU MACQUARIE GROUP LTD MTN 144A Banking Fixed Income 716.51 0.0006145118908701408 716.51 7 7 55608JAN8 US55608JAN81 BFFVVB0 96.65 Australia -- USD 3.49 5.93 1 Mar 27, 2029 4.65 3.51 -- 5.62 3.51 5.62 Mar 27, 2018 Mar 27, 2018 WFC WACHOVIA CORPORATION Banking Fixed Income 714.75 0.0006130024340196691 714.75 7 7 929771AE3 US929771AE35 2321475 100.88 United States -- USD 1.35 5.95 1 Oct 01, 2025 6.61 1.35 -- 5.95 1.35 5.95 Oct 05, 1995 Oct 05, 1995 SUZANO SUZANO AUSTRIA GMBH 144A Basic Industry Fixed Income 711.25 0.0006100006732374811 711.25 7 7 05674XAA9 US05674XAA90 BYP5W01 99.3 Brazil -- USD 2.03 6.09 1 Jul 14, 2026 5.75 2.02 -- 6.09 2.02 6.09 Jul 14, 2016 Jul 14, 2016 NACF NONGHYUP BANK MTN 144A Government Sponsored Fixed Income 711.25 0.0006100006732374811 711.25 8 8 65540JAG3 US65540JAG31 -- 90.83 Korea (South) -- USD 2.17 5.63 1 Jul 28, 2026 1.25 2.16 -- 5.63 2.16 5.63 Jul 28, 2021 Jul 28, 2021 AL AIR LEASE CORPORATION Finance Companies Fixed Income 709.5 0.0006084997928463872 709.5 8 8 00914AAQ5 US00914AAQ58 -- 85.86 United States -- USD 4.05 5.83 1 Sep 01, 2028 2.1 4.03 -- 5.83 4.03 5.83 Aug 18, 2021 Aug 18, 2021 NVT NVENT FINANCE SARL Capital Goods Fixed Income 707.75 0.0006069989124552933 707.75 7 7 67078AAD5 US67078AAD54 BGLHTD7 96.21 United Kingdom -- USD 3.52 5.63 1 Apr 15, 2028 4.55 3.57 -- 5.63 3.57 5.63 Oct 15, 2018 Oct 22, 2018 LUV SOUTHWEST AIRLINES CO Transportation Fixed Income 707.75 0.0006069989124552933 707.75 8 8 844741BC1 US844741BC18 BZ14XW8 93.71 United States -- USD 2.37 5.68 1 Nov 15, 2026 3 2.37 -- 5.68 2.37 5.68 Nov 04, 2016 Nov 04, 2016 KEY KEYBANK NA/CLEVELAND OH MTN Banking Fixed Income 706 0.0006054980320641993 706 7 7 49306CAB7 US49306CAB72 2540344 101.09 United States -- USD 3.26 6.61 1 Feb 01, 2028 6.95 3.22 -- 6.61 3.22 6.61 Feb 03, 1998 Feb 03, 1998 UBS UBS AG (STAMFORD BRANCH) Banking Fixed Income 706 0.0006054980320641993 706 7 7 870836AC7 US870836AC77 2866761 101.83 Switzerland -- USD 1.14 5.92 1 Jul 15, 2025 7.5 1.14 -- 5.92 1.14 5.92 Jul 21, 1995 Jul 21, 1995 ADI ANALOG DEVICES INC Technology Fixed Income 704.24 0.0006039885752137276 704.24 7 7 032654BA2 US032654BA25 2KHNV85 94.72 United States -- USD 2.85 5.3 1 Jun 15, 2027 3.45 2.88 -- 5.3 2.88 5.3 Jun 15, 2023 Sep 18, 2023 C CITIBANK NA Banking Fixed Income 702.49 0.0006024876948226336 702.49 7 7 17325FBA5 US17325FBA57 -- 100.53 United States -- USD 1.3 5.47 1 Sep 29, 2025 5.86 1.35 -- 5.46 1.27 5.46 Sep 29, 2023 Sep 29, 2023 WOORIB WOORI BANK 144A Banking Fixed Income 698.99 0.0005994859340404457 698.99 8 8 98105EAK3 US98105EAK38 -- 91.9 Korea (South) -- USD 1.72 5.63 1 Feb 01, 2026 0.75 1.71 -- 5.63 1.71 5.63 Feb 01, 2021 Feb 01, 2021 BCICI BANCO DE CREDITO E INVERSIONES-SD 144A Banking Fixed Income 697.24 0.0005979850536493517 697.24 7 7 05890MAA1 US05890MAA18 BYWD9R4 93.12 Chile -- USD 3.2 5.72 1 Oct 12, 2027 3.5 3.19 -- 5.72 3.19 5.72 Oct 12, 2017 Oct 12, 2017 WELL WELLTOWER OP LLC Reits Fixed Income 695.48 0.00059647559679888 695.48 7 7 95040QAH7 US95040QAH74 BHZQ1K8 93.59 United States -- USD 4.24 5.64 1 Mar 15, 2029 4.13 4.32 -- 5.64 4.32 5.64 Feb 15, 2019 Feb 15, 2019 BKU BANKUNITED INC Banking Fixed Income 693.73 0.000594974716407786 693.73 7 7 06652KAA1 US06652KAA16 BDD0NG4 97.46 United States -- USD 1.43 6.61 1 Nov 17, 2025 4.88 1.44 -- 6.61 1.44 6.61 Nov 17, 2015 Nov 17, 2015 PRU PRUDENTIAL FINANCIAL INC Insurance Fixed Income 693.73 0.000594974716407786 693.73 7 7 744320BF8 US744320BF81 BGHCHW1 97.06 United States -- USD 3.74 7.67 1 Sep 15, 2048 5.7 3.74 -- 6.48 3.79 6.48 Sep 18, 2018 Sep 18, 2018 LUV SOUTHWEST AIRLINES CO Transportation Fixed Income 693.73 0.000594974716407786 693.73 7 7 844741BE7 US844741BE73 BFN3K88 92.84 United States -- USD 3.24 5.7 1 Nov 16, 2027 3.45 3.22 -- 5.7 3.22 5.7 Nov 16, 2017 Nov 16, 2017 NCIAU NEWCASTLE COAL INFRASTRUCTURE GROU 144A Basic Industry Fixed Income 690.23 0.000591972955625598 690.23 7 7 65106WAA3 US65106WAA36 BD72F37 93.67 Australia -- USD 3.09 6.49 1 Sep 29, 2027 4.4 3.1 -- 6.49 3.1 6.49 Sep 29, 2017 Sep 29, 2017 SHBASS SVENSKA HANDELSBANKEN AB MTN 144A Banking Fixed Income 690.23 0.000591972955625598 690.23 7 7 86959LAJ2 US86959LAJ26 -- 97.92 Sweden -- USD 1.07 5.58 1 Jun 10, 2025 3.65 1.07 -- 5.58 1.07 5.58 Jun 10, 2022 Jun 10, 2022 AEE AMEREN ILLINOIS COMPANY Electric Fixed Income 686.72 0.0005889626183840324 686.72 7 7 02361DAS9 US02361DAS99 -- 94.66 United States -- USD 3.58 5.28 1 May 15, 2028 3.8 3.63 -- 5.28 3.63 5.28 May 22, 2018 May 22, 2018 GMGAU GOODMAN US FINANCE THREE LLC 144A Reits Fixed Income 686.72 0.0005889626183840324 686.72 8 8 38239JAA9 US38239JAA97 BD35F63 91.44 Australia -- USD 3.52 6.21 1 Mar 15, 2028 3.7 3.52 -- 6.21 3.52 6.21 Sep 27, 2017 Sep 27, 2017 SNV SYNOVUS FINANCIAL CORP Banking Fixed Income 686.72 0.0005889626183840324 686.72 7 7 87161CAN5 US87161CAN56 -- 98.09 United States -- USD 1.22 6.76 1 Aug 11, 2025 5.2 1.22 -- 6.76 1.22 6.76 Aug 11, 2022 Aug 11, 2022 HNDA AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 683.22 0.0005859608576018445 683.22 7 7 02665WCE9 US02665WCE93 BDT8HK4 93.9 United States -- USD 3.48 5.29 1 Feb 15, 2028 3.5 3.47 -- 5.29 3.47 5.29 Feb 15, 2018 Feb 15, 2018 CCDJ FEDERATION DES CAISSES DESJARDINS 144A Banking Fixed Income 677.97 0.0005814582164285625 677.97 7 7 31429KAG8 US31429KAG85 -- 98.43 Canada -- USD 1.27 5.64 1 Aug 23, 2025 4.4 1.26 -- 5.64 1.26 5.64 Aug 23, 2022 Aug 23, 2022 ICLR PRA HEALTH SCIENCES INC 144A Consumer Non-Cyclical Fixed Income 676.21 0.0005799487595780909 676.21 7 7 45569KAA1 US45569KAA16 -- 93.49 Ireland -- USD 2.08 6.05 1 Jul 15, 2026 2.88 2.09 -- 6.05 2.09 6.05 Jul 01, 2021 Jul 01, 2021 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 674.46 0.0005784478791869969 674.46 8 8 6944PL2D0 US6944PL2D07 -- 86.87 United States -- USD 3.54 5.38 1 Jan 20, 2028 1.45 3.53 -- 5.38 3.53 5.38 Jan 20, 2021 Jan 20, 2021 CNRCN CANADIAN NATIONAL RAILWAY COMPANY Transportation Fixed Income 670.96 0.0005754461184048089 670.96 6 6 136375BD3 US136375BD37 2263566 106.08 Canada -- USD 3.61 5.27 1 Jul 15, 2028 6.9 3.59 -- 5.27 3.59 5.27 Jul 07, 1998 Jul 07, 1998 LNT ALLIANT ENERGY FINANCE LLC 144A Electric Fixed Income 662.2 0.0005679331399899614 662.2 7 7 01882YAB2 US01882YAB20 BDGMQX5 94.08 United States -- USD 3.64 5.88 1 Jun 15, 2028 4.25 3.66 -- 5.88 3.66 5.88 Jun 12, 2018 Jun 12, 2018 APH AMPHENOL CORPORATION Capital Goods Fixed Income 660.45 0.0005664322595988674 660.45 7 7 032095AN1 US032095AN10 -- 99.4 United States -- USD 2.67 5.27 1 Apr 05, 2027 5.05 2.69 -- 5.27 2.69 5.27 Apr 05, 2024 Apr 05, 2024 HIW HIGHWOODS REALTY LP Reits Fixed Income 658.7 0.0005649313792077734 658.7 7 7 431282AP7 US431282AP72 BYWPHP4 93.55 United States -- USD 2.62 6.38 1 Mar 01, 2027 3.88 2.62 -- 6.38 2.62 6.38 Feb 23, 2017 Feb 23, 2017 LNT INTERSTATE POWER & LIGHT CO Electric Fixed Income 655.19 0.0005619210419662078 655.19 7 7 461070AM6 US461070AM60 BYV7QX2 97 United States -- USD 1.24 5.82 1 Aug 15, 2025 3.4 1.24 -- 5.82 1.24 5.82 Aug 18, 2015 Aug 18, 2015 BMY BRISTOL-MYERS SQUIBB COMPANY Consumer Non-Cyclical Fixed Income 653.44 0.0005604201615751138 653.44 6 6 110122AB4 US110122AB49 2812786 103.65 United States -- USD 2.27 5.25 1 Nov 15, 2026 6.8 2.27 -- 5.25 2.27 5.25 Nov 15, 1996 Nov 15, 1996 SNA SNAP-ON INCORPORATED Capital Goods Fixed Income 651.69 0.0005589192811840198 651.69 7 7 833034AK7 US833034AK75 BD8BY92 95.14 United States -- USD 2.62 5.1 1 Mar 01, 2027 3.25 2.66 -- 5.1 2.66 5.1 Feb 21, 2017 Feb 21, 2017 CITNAT KOOKMIN BANK MTN 144A Banking Fixed Income 646.43 0.0005544080635513602 646.43 7 7 50050GAM0 US50050GAM06 -- 96.07 Korea (South) -- USD 0.99 5.75 1 May 04, 2025 1.75 0.98 -- 5.75 0.98 5.75 May 04, 2020 May 04, 2020 PROTAR PROLOGIS TARGETED US LOGISTICS FUN 144A Reits Fixed Income 646.43 0.0005544080635513602 646.43 7 7 74350LAA2 US74350LAA26 -- 98.08 United States -- USD 4.25 5.7 1 Apr 01, 2029 5.25 4.25 -- 5.7 4.25 5.7 Mar 07, 2024 Mar 07, 2024 BK BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 642.93 0.0005514063027691723 642.93 7 7 06406RAU1 US06406RAU14 -- 86.7 United States -- USD 3.96 5.2 1 Jul 14, 2028 1.65 3.96 -- 5.2 3.96 5.2 Apr 26, 2021 Apr 26, 2021 C CITIGROUP INC Banking Fixed Income 641.18 0.0005499054223780783 641.18 7 7 172967ME8 US172967ME81 BJ9N143 92.49 United States -- USD 4.28 5.95 1 Mar 20, 2030 3.98 5.12 -- 5.76 4.34 5.76 Mar 20, 2019 Mar 20, 2019 SEB SKANDINAVISKA ENSKILDA BANKEN AB 144A Banking Fixed Income 641.18 0.0005499054223780783 641.18 7 7 83051GAR9 US83051GAR92 -- 93.88 Sweden -- USD 1.31 5.61 1 Sep 02, 2025 0.85 1.31 -- 5.61 1.31 5.61 Sep 01, 2020 Sep 01, 2020 BIMBOA BIMBO BAKERIES USA INC 144A Consumer Non-Cyclical Fixed Income 639.43 0.0005484045419869843 639.43 6 6 09031WAC7 US09031WAC73 -- 101.47 Mexico -- USD 3.95 5.69 1 Jan 15, 2029 6.05 3.96 -- 5.69 3.96 5.69 Nov 02, 2023 Nov 02, 2023 ICBCIL ICBCIL FINANCE CO LTD MTN 144A Owned No Guarantee Fixed Income 639.43 0.0005484045419869843 639.43 7 7 44931DAH6 US44931DAH61 BYY7X38 96.22 China -- USD 1.93 5.59 1 May 19, 2026 3.63 1.92 -- 5.59 1.92 5.59 May 19, 2016 May 19, 2016 NTBKKK NBK SPC LTD MTN 144A Banking Fixed Income 639.43 0.0005484045419869843 639.43 7 7 62877PAB0 US62877PAB04 BNZJRS9 90.61 Kuwait -- USD 2.3 6.03 1 Sep 15, 2027 1.63 2.28 -- 5.89 2.28 5.89 Sep 15, 2021 Sep 15, 2021 SEP TEXAS EASTERN TRANSMISSION LP 144A Energy Fixed Income 639.43 0.0005484045419869843 639.43 7 7 882384AD2 US882384AD28 BFMYYT1 92.51 United States -- USD 3.38 5.76 1 Jan 15, 2028 3.5 3.38 -- 5.76 3.38 5.76 Jan 09, 2018 Jan 09, 2018 RF REGIONS FINANCIAL CORPORATION Banking Fixed Income 637.67 0.0005468950851365127 637.67 7 7 7591EPAQ3 US7591EPAQ39 -- 96.18 United States -- USD 1.02 6.01 1 May 18, 2025 2.25 1.02 -- 6.01 1.02 6.01 May 18, 2020 May 18, 2020 GMT GATX CORPORATION Finance Companies Fixed Income 632.42 0.0005423924439632307 632.42 6 6 361448BP7 US361448BP71 -- 99.64 United States -- USD 2.59 5.53 1 Mar 15, 2027 5.4 2.62 -- 5.53 2.62 5.53 Mar 01, 2024 Mar 01, 2024 ORIX ORIX CORPORATION Financial Other Fixed Income 632.42 0.0005423924439632307 632.42 7 7 686330AJ0 US686330AJ06 BDFG100 94.38 Japan -- USD 2.97 5.63 1 Jul 18, 2027 3.7 2.96 -- 5.63 2.96 5.63 Jul 18, 2017 Jul 18, 2017 CMA COMERICA BANK Banking Fixed Income 627.16 0.0005378812263305711 627.16 6 6 200339DX4 US200339DX48 BYY9YJ7 96.96 United States -- USD 1.2 6.55 1 Jul 27, 2025 4 1.19 -- 6.55 1.19 6.55 Jul 27, 2015 Jul 27, 2015 CBAAU COMMONWEALTH BANK OF AUSTRALIA 144A Banking Fixed Income 627.16 0.0005378812263305711 627.16 7 7 2027A0JZ3 US2027A0JZ30 BG487D3 96 Australia -- USD 3.54 5.04 1 Mar 16, 2028 3.9 3.54 -- 5.04 3.54 5.04 Mar 16, 2018 Mar 16, 2018 XELAP EXELA TECHNOLOGIES CUM CONVT PER Industrial Equity 622.25 0.0005336701847761302 622.25 348 348 30162V607 US30162V6074 BMFFM63 1.79 United States NASDAQ USD 0.6 50 1 Dec 31, 2079 6 1.02 -- 50 1.02 50 Mar 11, 2022 Mar 11, 2022 DHI D R HORTON INC Consumer Cyclical Fixed Income 618.4 0.0005303682479157236 618.4 7 7 23331ABP3 US23331ABP30 -- 87.61 United States -- USD 3.31 5.36 1 Oct 15, 2027 1.4 3.31 -- 5.36 3.31 5.36 Oct 02, 2020 Oct 02, 2020 ED CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 614.9 0.0005273664871335356 614.9 6 6 209111FP3 US209111FP33 BFXYCV8 94.8 United States -- USD 3.58 5.24 1 May 15, 2028 3.8 3.63 -- 5.24 3.63 5.24 May 10, 2018 May 10, 2018 DELL DELL INC Technology Fixed Income 611.4 0.0005243647263513476 611.4 6 6 247025AE9 US247025AE93 2240871 105.65 United States -- USD 3.46 5.5 1 Apr 15, 2028 7.1 3.44 -- 5.5 3.44 5.5 Apr 15, 1998 Apr 27, 1998 TOMARI RELIANCE STANDARD LIFE GLOBAL FUND MTN 144A Insurance Fixed Income 609.64 0.000522855269500876 609.64 6 6 75951ACY2 US75951ACY29 -- 98.45 United States -- USD 1.66 6.17 1 Feb 02, 2026 5.24 1.64 -- 6.17 1.64 6.17 Feb 02, 2023 Feb 02, 2023 PACLIF PACIFIC LIFE GLOBAL FUNDING II MTN 144A Insurance Fixed Income 606.14 0.000519853508718688 606.14 7 7 6944PL2H1 US6944PL2H11 -- 84.3 United States -- USD 4.15 5.68 1 Sep 21, 2028 1.6 4.13 -- 5.68 4.13 5.68 Sep 21, 2021 Sep 21, 2021 AIB AIB GROUP PLC (FXD-FRN) MTN 144A Banking Fixed Income 604.39 0.000518352628327594 604.39 6 6 00135TAC8 US00135TAC80 -- 102.03 Ireland -- USD 1.36 7.13 1 Oct 14, 2026 7.58 1.36 -- 6.12 1.37 6.12 Oct 14, 2022 Oct 14, 2022 FHN FIRST HORIZON CORP Banking Fixed Income 597.38 0.0005123405303038405 597.38 6 6 320517AD7 US320517AD78 -- 97.47 United States -- USD 1.03 6.44 1 May 26, 2025 4 1.02 -- 6.44 1.02 6.44 May 26, 2020 May 26, 2020 NYLIFE NEW YORK LIFE GLOBAL FUNDING 144A Insurance Fixed Income 597.38 0.0005123405303038405 597.38 6 6 64952WCH4 US64952WCH43 BD0G4M8 93.72 United States -- USD 2.11 5.39 1 Jul 14, 2026 2.35 2.1 -- 5.39 2.1 5.39 Jul 14, 2016 Jul 14, 2016 ENLK ENLINK MIDSTREAM PARTNERS LP Energy Fixed Income 595.94 0.0005111055201534546 595.94 6 6 29336UAF4 US29336UAF49 BD86G80 97.39 United States -- USD 1.99 6.15 1 Jul 15, 2026 4.85 2.04 -- 6.15 2.04 6.15 Jul 14, 2016 Jul 14, 2016 BRLS BAYPORT POLYMERS LLC 144A Basic Industry Fixed Income 595.63 0.0005108396499127465 595.63 6 6 073096AA7 US073096AA75 -- 95.24 Austria -- USD 2.72 6.53 1 Apr 14, 2027 4.74 2.71 -- 6.53 2.71 6.53 Apr 14, 2022 Apr 14, 2022 EQNR EQUINOR ASA Owned No Guarantee Fixed Income 593.88 0.0005093387695216525 593.88 6 6 656531AG5 US656531AG58 7415113 104.59 Norway -- USD 3.23 5.42 1 Jan 15, 2028 6.8 3.22 -- 5.42 3.22 5.42 Jan 15, 1998 Jan 15, 1998 DINO HF SINCLAIR CORP 144A Energy Fixed Income 592.13 0.0005078378891305585 592.13 6 6 403949AM2 US403949AM20 -- 96.25 United States -- USD 2.86 6.13 1 Feb 01, 2028 5 3.33 -- 6.13 3.33 6.13 Aug 01, 2023 Dec 04, 2023 MAS MASCO CORPORATION Capital Goods Fixed Income 588.62 0.0005048275518889928 588.62 6 6 574599BN5 US574599BN52 BDFZCD7 92.64 United States -- USD 3.21 5.82 1 Nov 15, 2027 3.5 3.22 -- 5.82 3.22 5.82 Jun 21, 2017 Jun 21, 2017 ETR ENTERGY ARKANSAS INC Electric Fixed Income 586.87 0.0005033266714978989 586.87 6 6 29364DAV2 US29364DAV29 BYX3337 95.07 United States -- USD 3.61 5.35 1 Jun 01, 2028 4 3.65 -- 5.35 3.65 5.35 May 11, 2018 May 11, 2018 STANLN STANDARD CHARTERED PLC 144A Banking Fixed Income 586.87 0.0005033266714978989 586.87 6 6 853254BK5 US853254BK59 -- 94.06 United Kingdom -- USD 3.41 6.67 1 Mar 15, 2033 4.87 3.42 -- 6.62 3.45 6.62 Mar 15, 2018 Mar 15, 2018 MTZ MASTEC INC. 144A Industrial Other Fixed Income 574.61 0.0004928119323008634 574.61 6 6 576323AP4 US576323AP42 BMXDBY0 92.93 United States -- USD 3.72 6.4 1 Aug 15, 2028 4.5 3.79 -- 6.4 3.79 6.4 Aug 04, 2020 Aug 04, 2020 POHANG POSCO HOLDINGS INC 144A Basic Industry Fixed Income 572.85 0.0004913024754503917 572.85 6 6 73730EAC7 US73730EAC75 -- 99.71 Korea (South) -- USD 1.62 5.8 1 Jan 17, 2026 5.63 1.6 -- 5.8 1.6 5.8 Jan 17, 2023 Jan 17, 2023 OGS ONE GAS INC Natural Gas Fixed Income 569.35 0.0004883007146682037 569.35 6 6 68235PAN8 US68235PAN87 -- 98.75 United States -- USD 4.28 5.39 1 Apr 01, 2029 5.1 4.29 -- 5.39 4.29 5.39 Dec 13, 2023 Dec 13, 2023 UPRO YUNIPRO Utilities Equity 566.05 0.00048547048307356937 566.05 299242000 299242000 -- RU000A0JNGA5 B196FC2 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- -- May 24, 2007 XRX XEROX HOLDINGS CORP 144A Technology Fixed Income 564.16 0.0004838495322511879 564.16 6 6 98421MAA4 US98421MAA45 BMDZF00 97.09 United States -- USD 1.23 7.37 1 Aug 15, 2025 5 1.22 -- 7.37 1.22 7.37 Aug 06, 2020 Aug 06, 2020 ES EVERSOURCE ENERGY Electric Fixed Income 564.1 0.0004837980734949218 564.1 6 6 30040WAE8 US30040WAE84 BFMKN70 91.89 United States -- USD 3.39 5.75 1 Jan 15, 2028 3.3 3.39 -- 5.75 3.39 5.75 Jan 08, 2018 Jan 08, 2018 BACARD BACARDI LTD 144A Consumer Non-Cyclical Fixed Income 562.34 0.0004822886166444501 562.34 6 6 067316AD1 US067316AD11 BDGTND5 93.73 Bermuda -- USD 1.83 5.79 1 Jul 15, 2026 2.75 2.09 -- -5 2.54 -5 Jul 14, 2016 Jul 14, 2016 SNLN SMITH & NEPHEW PLC Consumer Non-Cyclical Fixed Income 562.34 0.0004822886166444501 562.34 6 6 83192PAC2 US83192PAC23 -- 98.97 United Kingdom -- USD 2.62 5.54 1 Mar 20, 2027 5.15 2.65 -- 5.54 2.65 5.54 Mar 20, 2024 Mar 20, 2024 DPWDU DP WORLD CRESCENT LTD MTN 144A Owned No Guarantee Fixed Income 551.83 0.0004732747578385086 551.83 6 6 26139PAB9 US26139PAB94 -- 96.57 United Arab Emirates -- USD 3.92 5.74 1 Sep 26, 2028 4.85 3.9 -- 5.74 3.9 5.74 Sep 26, 2018 Sep 26, 2018 BRO BROWN & BROWN INC Insurance Fixed Income 550.08 0.0004717738774474146 550.08 6 6 115236AB7 US115236AB74 BHWV311 95.28 United States -- USD 4.24 5.62 1 Mar 15, 2029 4.5 4.29 -- 5.62 4.29 5.62 Mar 11, 2019 Mar 11, 2019 OAKSCF OAKTREE STRATEGIC CREDIT FUND 144A Finance Companies Fixed Income 550.08 0.0004717738774474146 550.08 5 5 67403AAA7 US67403AAA79 -- 103.94 United States -- USD 3.64 7.37 1 Nov 14, 2028 8.4 3.62 -- 7.35 3.57 7.35 Nov 14, 2023 Nov 14, 2023 EQH EQUITABLE HOLDINGS INC Insurance Fixed Income 544.83 0.0004672712362741327 544.83 5 5 29444GAJ6 US29444GAJ67 2233837 105.37 France -- USD 3.43 5.46 1 Apr 01, 2028 7 3.41 -- 5.46 3.41 5.46 Apr 06, 1998 Apr 06, 1998 ANGSJ ANGLOGOLD ASHANTI HOLDINGS PLC Basic Industry Fixed Income 543.07 0.000465761779423661 543.07 6 6 03512TAF8 US03512TAF84 -- 89.03 South Africa -- USD 4.03 6.2 1 Nov 01, 2028 3.38 4.01 -- 6.2 4.01 6.2 Oct 22, 2021 Oct 22, 2021 JPFFT CASH COLLATERAL USD JPFFT Cash and/or Derivatives Cash Collateral and Margins 541.49 0.0004644066988419876 541.49 5 5 -- -- -- 100 United States -- USD 0 5.43 1 Dec 31, 2049 5.33 0 -- 5.43 0 5.43 Feb 01, 2009 Feb 01, 2009 BMW BMW US CAPITAL LLC 144A Consumer Cyclical Fixed Income 537.82 0.0004612591382503791 537.82 6 6 05565EBE4 US05565EBE41 -- 94.88 Germany -- USD 3.81 5.3 1 Aug 14, 2028 3.95 3.86 -- 5.3 3.86 5.3 Aug 14, 2018 Aug 14, 2018 SOCGEN SOCIETE GENERALE SA MTN 144A Banking Fixed Income 532.56 0.00045674792061771945 532.56 6 6 83368RAM4 US83368RAM43 BG4N761 95.66 France -- USD 3.89 5.88 1 Sep 14, 2028 4.75 3.87 -- 5.88 3.87 5.88 Sep 14, 2018 Sep 14, 2018 RUB RUB CASH Cash and/or Derivatives Cash 529.76 0.0004543465119919691 529.76 491 491 -- -- -- 1.08 Russian Federation -- USD 0 16.17 92.22625 -- 0 0 -- 16.17 0 16.17 -- Jan 01, 1990 SUMITR SUMITOMO MITSUI TRUST BANK LTD MTN 144A Banking Fixed Income 529.06 0.0004537461598355315 529.06 5 5 86563VBE8 US86563VBE83 -- 98.17 Japan -- USD 3.07 5.55 1 Sep 15, 2027 4.95 3.06 -- 5.55 3.06 5.55 Sep 15, 2022 Sep 15, 2022 VLO VALERO ENERGY CORPORATION Energy Fixed Income 529.06 0.0004537461598355315 529.06 6 6 91913YAW0 US91913YAW03 BJ9J259 93.76 United States -- USD 4.34 5.46 1 Apr 01, 2029 4 4.38 -- 5.46 4.38 5.46 Mar 25, 2019 Mar 25, 2019 TNOTE TREASURY NOTE Treasuries Fixed Income 528.15 0.00045296570203216265 528.15 5 5 912828ZC7 US912828ZC78 BL1LYC8 96.62 United States -- USD 0.82 5.26 1 Feb 28, 2025 1.13 0.82 -- 5.26 0.82 5.26 Feb 29, 2020 Mar 02, 2020 PTEN PATTERSON-UTI ENERGY INC. Energy Fixed Income 525.55 0.0004507358225939659 525.55 6 6 703481AB7 US703481AB79 BGRR7M6 92.58 United States -- USD 3.39 6.19 1 Feb 01, 2028 3.95 3.39 -- 6.19 3.39 6.19 Aug 01, 2018 Sep 07, 2018 VLO VALERO ENERGY CORPORATION Energy Fixed Income 525.55 0.0004507358225939659 525.55 5 5 91913YAY6 US91913YAY68 BMCPS68 97.18 United States -- USD 0.94 5.88 1 Apr 15, 2025 2.85 0.94 -- 5.88 0.94 5.88 Apr 16, 2020 Apr 16, 2020 SUTHEA SUTTER HEALTH Consumer Non-Cyclical Fixed Income 522.05 0.0004477340618117779 522.05 6 6 86944BAF0 US86944BAF04 -- 94.47 United States -- USD 1.26 5.77 1 Aug 15, 2025 1.32 1.26 -- 5.77 1.26 5.77 Oct 29, 2020 Oct 29, 2020 POHANG POSCO CO LTD 144A Basic Industry Fixed Income 520.3 0.00044623318142068396 520.3 5 5 73730EAB9 US73730EAB92 -- 96.36 Korea (South) -- USD 2.98 5.73 1 Aug 04, 2027 4.5 2.96 -- 5.73 2.96 5.73 Aug 04, 2022 Aug 04, 2022 DUK DUKE ENERGY PROGRESS LLC Electric Fixed Income 518.55 0.00044473230102958996 518.55 6 6 26442UAG9 US26442UAG94 BFZHS73 93.78 United States -- USD 3.89 5.32 1 Sep 01, 2028 3.7 3.92 -- 5.32 3.92 5.32 Aug 09, 2018 Aug 09, 2018 BAYNGR BAYER CORPORATION 144A Consumer Non-Cyclical Fixed Income 516.8 0.00044323142063849597 516.8 5 5 072732AC4 US072732AC42 2501802 101.74 Germany -- USD 3.31 6.13 1 Feb 15, 2028 6.65 3.29 -- 6.13 3.29 6.13 Feb 12, 1998 Feb 12, 1998 CMA COMERICA INCORPORATED Banking Fixed Income 515.04 0.00044172196378802433 515.04 6 6 200340AT4 US200340AT44 BHWF8B8 89.97 United States -- USD 4.2 6.48 1 Feb 01, 2029 4 4.18 -- 6.48 4.18 6.48 Feb 01, 2019 Feb 01, 2019 RILIN RELIANCE INDUSTRIES LTD 144A Energy Fixed Income 515.04 0.00044172196378802433 515.04 5 5 759470AX5 US759470AX52 BF2TXG6 93.88 India -- USD 3.27 5.57 1 Nov 30, 2027 3.67 3.25 -- 5.57 3.25 5.57 Nov 30, 2017 Nov 30, 2017 CI CIGNA GROUP Consumer Non-Cyclical Fixed Income 509.79 0.0004372193226147424 509.79 5 5 125523AG5 US125523AG54 -- 97.94 United States -- USD 1.44 5.53 1 Nov 15, 2025 4.13 1.45 -- 5.53 1.45 5.53 May 15, 2019 Aug 27, 2019 GGBRBZ GERDAU TRADE INC 144A Basic Industry Fixed Income 508.04 0.0004357184422236484 508.04 5 5 37373WAD2 US37373WAD20 BD1FWD1 96.17 Brazil -- USD 3.18 6.11 1 Oct 24, 2027 4.88 3.16 -- 6.11 3.16 6.11 Oct 24, 2017 Oct 24, 2017 TSLX SIXTH STREET SPECIALTY LENDING INC Finance Companies Fixed Income 508.04 0.0004357184422236484 508.04 5 5 83012AAC3 US83012AAC36 -- 97.9 United States -- USD 4.07 6.63 1 Mar 01, 2029 6.13 4.06 -- 6.63 4.06 6.63 Jan 16, 2024 Jan 16, 2024 GMT GATX CORPORATION Finance Companies Fixed Income 506.28 0.00043420898537317677 506.28 5 5 361448BC6 US361448BC68 BF4NQQ7 96.07 United States -- USD 3.89 5.54 1 Nov 07, 2028 4.55 3.94 -- 5.54 3.94 5.54 May 07, 2018 May 07, 2018 BBLTB BANGKOK BANK PUBLIC CO LTD (HONG K MTN 144A Banking Fixed Income 499.28 0.00042820546380880085 499.28 5 5 06000BAB8 US06000BAB80 -- 96.24 Thailand -- USD 2.83 5.62 1 Jun 15, 2027 4.3 2.84 -- 5.62 2.84 5.62 Jun 15, 2022 Jun 15, 2022 SPB SPECTRUM BRANDS INC 144A Consumer Non-Cyclical Fixed Income 496.83 0.00042610423126126926 496.83 5 5 84762LAX3 US84762LAX38 -- 93.64 United States -- USD 4.89 4.98 1 Mar 15, 2031 3.88 5.91 -- 4.98 5.91 4.98 Mar 03, 2021 Mar 03, 2021 SPNT SIRIUSPOINT LTD Insurance Fixed Income 494.02 0.0004236942461761412 494.02 5 5 82969BAA0 US82969BAA08 -- 99.61 Bermuda -- USD 4.12 7.09 1 Apr 05, 2029 7 4.1 -- 7.09 4.1 7.09 Apr 05, 2024 Apr 05, 2024 KOROIL KOREA NATIONAL OIL CORP RegS Owned No Guarantee Fixed Income 492.33 0.0004222448245413133 492.33 5 5 -- USY4938AAH24 -- 101.01 Korea (South) -- USD 0.02 6.17 1 Nov 14, 2026 6.42 0.05 -- 6.17 0.05 6.17 Nov 14, 2023 Nov 14, 2023 BNP BNP PARIBAS SA 144A Banking Fixed Income 488.77 0.0004191916050028593 488.77 5 5 05581KAA9 US05581KAA97 BYTX2Q7 97.65 France -- USD 1.36 6.12 1 Sep 28, 2025 4.38 1.35 -- 6.12 1.35 6.12 Sep 28, 2015 Sep 28, 2015 BSX BOSTON SCIENTIFIC CORPORATION Consumer Non-Cyclical Fixed Income 488.77 0.0004191916050028593 488.77 5 5 101137AS6 US101137AS67 BD588V6 95.85 United States -- USD 3.43 5.2 1 Mar 01, 2028 4 3.49 -- 5.2 3.49 5.2 Feb 26, 2018 Feb 26, 2018 TNOTE TREASURY NOTE Treasuries Fixed Income 483.75 0.000414886222395264 483.75 5 5 912828ZF0 US912828ZF00 BM636J7 95.78 United States -- USD 0.9 5.2 1 Mar 31, 2025 0.5 0.91 -- 5.2 0.91 5.2 Mar 31, 2020 Mar 31, 2020 KDB KOREA DEVELOPMENT BANK Owned No Guarantee Fixed Income 483.51 0.00041468038737019967 483.51 5 5 500630DY1 US500630DY12 -- 100.37 Korea (South) -- USD 0.02 6.03 1 Oct 23, 2026 6.01 0.24 -- 6.03 0.24 6.03 Oct 23, 2023 Oct 23, 2023 BBLTB BANGKOK BANK PUBLIC CO 144A Banking Fixed Income 480.01 0.00041167862658801174 480.01 4 4 059895AH5 US059895AH54 2394972 112.27 Thailand -- USD 3.98 6.08 1 Mar 15, 2029 9.03 3.96 -- 6.08 3.96 6.08 Sep 15, 1998 Jan 28, 1999 WM WASTE MANAGEMENT INC. Capital Goods Fixed Income 478.25 0.00041016916973754005 478.25 4 4 902917AH6 US902917AH67 2273930 106.88 United States -- USD 3.6 5.16 1 Jul 15, 2028 7 3.59 -- 5.16 3.59 5.16 Jul 17, 1998 Jul 17, 1998 SANUK SANTANDER UK GROUP HOLDINGS PLC 144A Banking Fixed Income 476.5 0.0004086682893464461 476.5 5 5 80281LAA3 US80281LAA35 BZ0V290 97.65 United Kingdom -- USD 1.32 6.54 1 Sep 15, 2025 4.75 1.31 -- 6.54 1.31 6.54 Sep 15, 2015 Sep 15, 2015 MGCN MAGNA INTERNATIONAL INC Consumer Cyclical Fixed Income 467.74 0.0004011553109315985 467.74 5 5 559222AX2 US559222AX24 -- 100.02 Canada -- USD 0.32 5.97 1 Mar 21, 2026 5.98 1.77 -- 5.74 0.08 5.74 Mar 21, 2023 Mar 21, 2023 PSA PUBLIC STORAGE OPERATING CO Reits Fixed Income 464.24 0.00039815355014941056 464.24 5 5 74460DAH2 US74460DAH26 -- 86.39 United States -- USD 4.2 5.37 1 Nov 09, 2028 1.95 4.19 -- 5.37 4.19 5.37 Nov 09, 2021 Nov 09, 2021 PTTEPT PTTEP TREASURY CENTER CO LT MTN 144A Owned No Guarantee Fixed Income 460.74 0.0003951517893672226 460.74 5 5 69371MAF4 US69371MAF41 -- 91.39 Thailand -- USD 2.91 5.63 1 Jun 10, 2027 2.59 2.9 -- 5.63 2.9 5.63 Jun 10, 2020 Jun 10, 2020 MELLON Andrew Mellon Foundation Financial Other Fixed Income 448.47 0.0003846284737108094 448.47 5 5 03444RAB4 US03444RAB42 -- 87.43 United States -- USD 3.14 5.18 1 Aug 01, 2027 0.95 3.13 -- 5.18 3.13 5.18 Jul 29, 2020 Jul 29, 2020 LOW LOWES COMPANIES INC Consumer Cyclical Fixed Income 446.72 0.00038312759331971544 446.72 4 4 548661AK3 US548661AK38 2977298 105.13 United States -- USD 4.16 5.29 1 Mar 15, 2029 6.5 4.15 -- 5.29 4.15 5.29 Feb 23, 1999 Aug 23, 1999 TEVA TEVA PHARMACEUTICAL FINANCE NETHER Consumer Non-Cyclical Fixed Income 445.75 0.0003822956767600805 445.75 4 4 88167AAN1 US88167AAN19 -- 100.29 Israel -- USD 0.53 6.71 1 Jan 31, 2025 7.13 0.72 -- 6.54 0.49 6.54 Jul 31, 2020 Sep 14, 2020 FG F&G GLOBAL FUNDING MTN 144A Insurance Fixed Income 432.71 0.0003711119737315859 432.71 5 5 30321L2C5 US30321L2C55 -- 83.69 United States -- USD 4.11 6.3 1 Sep 20, 2028 2 4.08 -- 6.3 4.08 6.3 Sep 22, 2021 Sep 22, 2021 BSX BOSTON SCIENTIFIC CORPORATION Consumer Non-Cyclical Fixed Income 430.95 0.00036960251688111426 430.95 5 5 101137AX5 US101137AX52 BJ8J3M4 94.06 United States -- USD 4.26 5.41 1 Mar 01, 2029 4 4.3 -- 5.41 4.3 5.41 Feb 25, 2019 Feb 25, 2019 PEG PUBLIC SERVICE ELECTRIC AND GAS CO MTN Electric Fixed Income 422.2 0.00036209811492564435 422.2 4 4 74456QBU9 US74456QBU94 BF4NQT0 94.27 United States -- USD 3.56 5.3 1 May 01, 2028 3.7 3.6 -- 5.3 3.6 5.3 May 04, 2018 May 04, 2018 HWM HOWMET AEROSPACE INC Capital Goods Fixed Income 416.94 0.0003575868972929847 416.94 4 4 443201AA6 US443201AA64 -- 100.75 United States -- USD 0.88 6.1 1 May 01, 2025 6.88 0.94 -- 6.04 0.86 6.04 Apr 24, 2020 Apr 24, 2020 STNFRD STANFORD UNIVERSITY Industrial Other Fixed Income 413.44 0.0003545851365107968 413.44 5 5 85440KAC8 US85440KAC80 -- 89.17 United States -- USD 2.95 5.11 1 Jun 01, 2027 1.29 2.95 -- 5.11 2.95 5.11 Jun 04, 2020 Jun 04, 2020 DB DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 409.93 0.00035157479926923115 409.93 4 4 251526BZ1 US251526BZ10 BF2G4C0 97.1 Germany -- USD 1.62 5.9 1 Jan 13, 2026 4.1 1.61 -- 5.9 1.61 5.9 Jan 13, 2018 Jun 01, 2018 MSI MOTOROLA INC Technology Fixed Income 404.68 0.00034707215809594923 404.68 4 4 620076AH2 US620076AH21 2796590 101.31 United States -- USD 0.97 6.2 1 May 15, 2025 7.5 0.97 -- 6.2 0.97 6.2 May 15, 1995 May 15, 1995 FE CLEVELAND ELECTRIC ILLUMINATING CO 144A Electric Fixed Income 401.17 0.0003440618208543836 401.17 4 4 186108CK0 US186108CK02 BF032L8 92 United States -- USD 3.58 5.8 1 Apr 01, 2028 3.5 3.58 -- 5.8 3.58 5.8 Oct 05, 2017 Oct 05, 2017 PCAR PACCAR FINANCIAL CORP MTN Consumer Cyclical Fixed Income 397.67 0.0003410600600721956 397.67 4 4 69371RS64 US69371RS645 -- 99.2 United States -- USD 3.79 5.16 1 Aug 10, 2028 4.95 3.78 -- 5.16 3.78 5.16 Aug 10, 2023 Aug 10, 2023 UOBSP UNITED OVERSEAS BANK LTD MTN 144A Banking Fixed Income 394.17 0.0003380582992900077 394.17 4 4 91127KAD4 US91127KAD46 BN4MYM2 92.42 Singapore -- USD 1.9 5.36 1 Apr 14, 2026 1.25 1.9 -- 5.36 1.9 5.36 Apr 14, 2021 Apr 14, 2021 STWD STARWOOD PROPERTY TRUST INC Reits Fixed Income 392.36 0.0003365059601426476 392.36 4 4 85571BAL9 US85571BAL99 BYW54F3 98.4 United States -- USD 0.85 6.63 1 Mar 15, 2025 4.75 0.85 -- 6.63 0.85 6.63 Mar 15, 2018 Aug 14, 2018 BSX BOSTON SCIENTIFIC CORPORATION Consumer Non-Cyclical Fixed Income 388.91 0.00033354708165734805 388.91 4 4 101137AW7 US101137AW79 -- 96.86 United States -- USD 1.73 5.56 1 Mar 01, 2026 3.75 1.75 -- 5.56 1.75 5.56 Feb 25, 2019 Feb 25, 2019 EQH EQUITABLE FINANCIAL LIFE GLOBAL FU 144A Insurance Fixed Income 385.41 0.0003305453208751601 385.41 4 4 29449WAF4 US29449WAF41 -- 86.78 United States -- USD 3.65 5.65 1 Mar 08, 2028 1.8 3.63 -- 5.65 3.63 5.65 Mar 08, 2021 Mar 08, 2021 KEBHNB KEB HANA BANK MTN 144A Banking Fixed Income 381.9 0.0003275349836335945 381.9 4 4 48723RAD7 US48723RAD70 -- 101.54 Korea (South) -- USD 3.94 5.36 1 Oct 24, 2028 5.75 3.92 -- 5.36 3.92 5.36 Oct 24, 2023 Oct 24, 2023 FE METROPOLITAN EDISON COMPANY 144A Electric Fixed Income 380.15 0.0003260341032425005 380.15 4 4 591894CB4 US591894CB44 -- 98.14 United States -- USD 0.94 6 1 Apr 15, 2025 4 0.93 -- 6 0.93 6 Jun 11, 2014 Jun 11, 2014 SUZANO SUZANO AUSTRIA GMBH Basic Industry Fixed Income 378.4 0.0003245332228514065 378.4 4 4 86964WAL6 US86964WAL63 -- 86.75 Brazil -- USD 4.05 5.98 1 Sep 15, 2028 2.5 4.03 -- 5.98 4.03 5.98 Sep 13, 2021 Sep 13, 2021 MTG MGIC INVESTMENT CORPORATION Insurance Fixed Income 376.65 0.0003230323424603125 376.65 4 4 552848AG8 US552848AG81 -- 95.88 United States -- USD 2.98 6.36 1 Aug 15, 2028 5.25 3.74 -- 6.36 3.74 6.36 Aug 12, 2020 Aug 12, 2020 POWFIN POWER FINANCE CORPORATION LTD MTN 144A Owned No Guarantee Fixed Income 373.14 0.00032002200521874687 373.14 4 4 73928QAA6 US73928QAA67 BH3N5R6 100.58 India -- USD 3.91 6 1 Dec 06, 2028 6.15 3.88 -- 6 3.88 6 Dec 06, 2018 Dec 06, 2018 HMN HORACE MANN EDUCATORS CORPORATION Insurance Fixed Income 367.89 0.00031551936404546494 367.89 4 4 440327AK0 US440327AK00 BYTY1F2 97.49 United States -- USD 1.47 6.17 1 Dec 01, 2025 4.5 1.49 -- 6.17 1.49 6.17 Nov 23, 2015 Nov 23, 2015 ENLK ENLINK MIDSTREAM PARTNERS LP Energy Fixed Income 364.5 0.0003126119443164315 364.5 4 4 29336UAE7 US29336UAE73 BXNT1C3 97.72 United States -- USD 1.04 6.32 1 Jun 01, 2025 4.15 1.04 -- 6.32 1.04 6.32 May 12, 2015 May 12, 2015 TOYOTA TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 359.13 0.0003080063856306174 359.13 4 4 89236TJF3 US89236TJF30 -- 88.33 United States -- USD 3.72 5.21 1 Apr 06, 2028 1.9 3.71 -- 5.21 3.71 5.21 Apr 09, 2021 Apr 09, 2021 HBAN HUNTINGTON BANCSHARES INC Banking Fixed Income 357.38 0.0003065055052395234 357.38 4 4 446150AM6 US446150AM64 BD0BN04 98.12 United States -- USD 0.99 5.86 1 May 15, 2025 4 1 -- 5.86 1 5.86 May 15, 2018 May 15, 2018 OBDCII BLUE OWL CAPITAL CORPORATION II 144A Finance Companies Fixed Income 357.38 0.0003065055052395234 357.38 3 3 69121DAB6 US69121DAB64 -- 102.28 United States -- USD 2.18 7.45 1 Nov 15, 2026 8.45 2.19 -- 7.42 2.12 7.42 Nov 15, 2023 Nov 15, 2023 BANBOG BANCO DE BOGOTA SA 144A Banking Fixed Income 346.87 0.00029749164643358184 346.87 4 4 059514AE9 US059514AE90 BDFBT78 93.37 Colombia -- USD 2.95 6.66 1 Aug 03, 2027 4.38 2.95 -- 6.66 2.95 6.66 Aug 03, 2017 Aug 03, 2017 CMA COMERICA INCORPORATED Banking Fixed Income 346.87 0.00029749164643358184 346.87 4 4 200340AW7 US200340AW72 -- 96.92 United States -- USD 3.95 6.87 1 Jan 30, 2030 5.98 4.01 -- 6.74 4.01 6.74 Jan 30, 2024 Jan 30, 2024 LVS LAS VEGAS SANDS CORP Consumer Cyclical Fixed Income 345.11 0.0002959821895831102 345.11 4 4 517834AE7 US517834AE74 BKM8MD8 94.23 United States -- USD 2.16 6.21 1 Aug 18, 2026 3.5 2.16 -- 6.21 2.16 6.21 Jul 31, 2019 Jul 31, 2019 EXR EXTRA SPACE STORAGE LP Reits Fixed Income 334.6 0.00028696833077716864 334.6 4 4 30225VAH0 US30225VAH06 -- 92.02 United States -- USD 4.37 5.78 1 Apr 01, 2029 3.9 4.38 -- 5.78 4.38 5.78 Mar 31, 2022 Mar 31, 2022 PEG PUBLIC SERVICE ELECTRIC AND GAS CO MTN Electric Fixed Income 334.6 0.00028696833077716864 334.6 4 4 74456QBX3 US74456QBX34 BGLRQL4 93.91 United States -- USD 3.89 5.23 1 Sep 01, 2028 3.65 3.93 -- 5.23 3.93 5.23 Sep 07, 2018 Sep 07, 2018 KEX KIRBY CORPORATION Transportation Fixed Income 332.85 0.00028546745038607465 332.85 3 3 497266AC0 US497266AC03 BG04LM2 95.58 United States -- USD 3.42 5.49 1 Mar 01, 2028 4.2 3.47 -- 5.49 3.47 5.49 Feb 12, 2018 Feb 12, 2018 BACARD BACARDI LTD 144A Consumer Non-Cyclical Fixed Income 331.1 0.0002839665699949807 331.1 3 3 067316AF6 US067316AF68 BYWFCZ9 95.87 Bermuda -- USD 3.51 5.86 1 May 15, 2028 4.7 3.55 -- 5.86 3.55 5.86 Apr 30, 2018 Apr 30, 2018 PPL NARRAGANSETT ELECTRIC COMPANY 144A Electric Fixed Income 331.1 0.0002839665699949807 331.1 3 3 631005BH7 US631005BH72 -- 94.77 United States -- USD 3.78 5.3 1 Aug 01, 2028 3.92 3.82 -- 5.3 3.82 5.3 Jul 27, 2018 Jul 27, 2018 GBLATL GA GLOBAL FUNDING TRUST MTN 144A Insurance Fixed Income 329.35 0.0002824656896038867 329.35 4 4 36143L2D6 US36143L2D64 -- 84.35 United States -- USD 4.1 6.06 1 Sep 15, 2028 1.95 4.08 -- 6.06 4.08 6.06 Sep 14, 2021 Sep 14, 2021 PRXNA MYRIAD INTERNATIONAL HOLDINGS BV 144A Communications Fixed Income 325.84 0.0002794553523623211 325.84 3 3 62856RAD7 US62856RAD70 BYVTMJ6 95.84 China -- USD 2.83 6.3 1 Jul 06, 2027 4.85 2.86 -- 6.3 2.86 6.3 Jul 06, 2017 Jul 06, 2017 GSBD GOLDMAN SACHS BDC INC Finance Companies Fixed Income 324.09 0.0002779544719712271 324.09 3 3 38147UAE7 US38147UAE73 -- 100.37 United States -- USD 2.59 6.23 1 Mar 11, 2027 6.38 2.58 -- 6.23 2.58 6.23 Mar 11, 2024 Mar 11, 2024 RCL ROYAL CARIBBEAN CRUISES LTD 144A Consumer Cyclical Fixed Income 322.34 0.0002764535915801331 322.34 3 3 780153BS0 US780153BS09 -- 105.38 United States -- USD 1.63 6.89 1 Jan 15, 2029 8.25 3.81 -- 6.21 2.54 6.21 Oct 06, 2022 Oct 06, 2022 TJX TJX COMPANIES INC Consumer Cyclical Fixed Income 318.84 0.00027345183079794516 318.84 4 4 872540AV1 US872540AV10 -- 85.51 United States -- USD 3.85 5.16 1 May 15, 2028 1.15 3.84 -- 5.16 3.84 5.16 Nov 30, 2020 Nov 30, 2020 KMB KIMBERLY-CLARK CORPORATION Consumer Non-Cyclical Fixed Income 317.08 0.0002719423739474735 317.08 3 3 494368BY8 US494368BY83 BGLPK38 95.49 United States -- USD 3.94 5.08 1 Nov 01, 2028 3.95 3.99 -- 5.08 3.99 5.08 Oct 29, 2018 Oct 29, 2018 ILS ILS CASH Cash and/or Derivatives Cash 316.89 0.0002717794212192976 316.89 12 12 -- -- -- 26.29 Israel -- USD 0 4.5 3.80395 -- 0 0 -- 4.5 0 4.5 -- Jan 01, 1990 KALLPA KALLPA GENERACION SA 144A Electric Fixed Income 315.33 0.00027044149355637953 315.33 3 3 48344FAA8 US48344FAA84 BYMTDG9 97.47 Peru -- USD 1.86 6.19 1 May 24, 2026 4.88 1.9 -- 6.19 1.9 6.19 May 24, 2016 May 24, 2016 GP GEORGIA-PACIFIC LLC Basic Industry Fixed Income 306.57 0.00026292851514153197 306.57 3 3 373298BP2 US373298BP28 2249986 106.9 United States -- USD 3.46 5.35 1 Jun 01, 2028 7.25 3.45 -- 5.35 3.45 5.35 Jun 02, 1998 Jun 02, 1998 KOROIL KOREA NATIONAL OIL CORP 144A Owned No Guarantee Fixed Income 292.56 0.00025091289555340243 292.56 3 3 50066PAM2 US50066PAM23 BMDLNG0 93.43 Korea (South) -- USD 1.4 5.68 1 Oct 05, 2025 0.88 1.4 -- 5.68 1.4 5.68 Oct 05, 2020 Oct 05, 2020 NOK NOK CASH Cash and/or Derivatives Cash 291.75 0.0002502182023438104 291.75 32 32 -- -- -- 9.1 Norway -- USD 0 4.63 10.99505 -- 0 0 -- 4.63 0 4.63 -- Jan 01, 1990 KIAMTR KIA MOTORS CORPORATION 144A Consumer Cyclical Fixed Income 290.81 0.0002494120151623085 290.81 3 3 493738AF5 US493738AF58 BZ7M2C9 93.26 Korea (South) -- USD 3.24 5.65 1 Oct 25, 2027 3.5 3.23 -- 5.65 3.23 5.65 Oct 25, 2017 Oct 25, 2017 WBS WEBSTER FINANCIAL CORPORATION Banking Fixed Income 290.81 0.0002494120151623085 290.81 3 3 947890AJ8 US947890AJ87 -- 90.07 United States -- USD 4.33 6.49 1 Mar 25, 2029 4.1 4.32 -- 6.49 4.32 6.49 Mar 25, 2019 Mar 25, 2019 JPY JPY CASH Cash and/or Derivatives Cash 289.38 0.00024818558147130025 289.38 452 452 -- -- -- 0.64 Japan -- USD 0 0.72 155.565 -- 0 0 -- 0.72 0 0.72 -- Jan 01, 1990 KEBHNB KEB HANA BANK MTN 144A Banking Fixed Income 287.3 0.00024640167792074286 287.3 3 3 409634AB8 US409634AB87 -- 89.23 Korea (South) -- USD 2.53 5.7 1 Dec 16, 2026 1.25 2.52 -- 5.7 2.52 5.7 Jun 16, 2021 Jun 16, 2021 NZD NZD CASH Cash and/or Derivatives Cash 287.02 0.0002461615370581678 287.02 5 5 -- -- -- 59.35 New Zealand -- USD 0 5.6 1.684778030494482 -- 0 0 -- 5.6 0 5.6 -- Jan 01, 1990 CVS CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 285.55 0.00024490079752964887 285.55 3 3 126650DW7 US126650DW70 -- 98.07 United States -- USD 4.12 5.46 1 Jan 30, 2029 5 4.13 -- 5.46 4.13 5.46 Jun 02, 2023 Jun 02, 2023 HR HEALTHCARE TRUST OF AMERICA HOLDIN Reits Fixed Income 278.54 0.00023888869950589527 278.54 3 3 42225UAK0 US42225UAK07 -- 90.9 United States -- USD 3.38 6.41 1 Jan 15, 2028 3.63 3.36 -- 6.41 3.36 6.41 Jul 15, 2022 Jul 20, 2022 HRB BLOCK FINANCIAL LLC Consumer Cyclical Fixed Income 275.04 0.0002358869387237073 275.04 3 3 093662AJ3 US093662AJ37 -- 87.42 United States -- USD 3.89 5.91 1 Jul 15, 2028 2.5 3.87 -- 5.91 3.87 5.91 Jun 25, 2021 Jun 25, 2021 LENOVO LENOVO GROUP LTD 144A Technology Fixed Income 273.29 0.00023438605833261332 273.29 3 3 526250AD7 US526250AD71 -- 99.82 China -- USD 3.27 5.88 1 Jan 27, 2028 5.83 3.28 -- 5.88 3.28 5.88 Jul 27, 2022 Jul 27, 2022 SEK SEK CASH Cash and/or Derivatives Cash 266.94 0.0002289400066277866 266.94 29 29 -- -- -- 9.16 Sweden -- USD 0 3.93 10.9134 -- 0 0 -- 3.93 0 3.93 -- Jan 01, 1990 BANCOG BANCO GENERAL SA 144A Banking Fixed Income 262.78 0.00022537219952667177 262.78 3 3 059597AE4 US059597AE41 BF7PL87 93.38 Panama -- USD 2.98 6.39 1 Aug 07, 2027 4.13 2.97 -- 6.39 2.97 6.39 Aug 07, 2017 Aug 07, 2017 CDEL CORPORACION NACIONAL DEL COBRE DE 144A Owned No Guarantee Fixed Income 262.78 0.00022537219952667177 262.78 3 3 21987BAV0 US21987BAV09 BYMYNF3 98.18 Chile -- USD 1.33 5.88 1 Sep 16, 2025 4.5 1.32 -- 5.88 1.32 5.88 Sep 16, 2015 Sep 16, 2015 BINTPE BANCO INTERNACIONAL DEL PERU SAA - 144A Banking Fixed Income 234.75 0.0002013323838910351 234.75 3 3 05968DAC4 US05968DAC48 -- 93.75 Peru -- USD 2.3 6.04 1 Oct 04, 2026 3.25 2.29 -- 6.04 2.29 6.04 Oct 04, 2019 Oct 04, 2019 VALEBZ VALE OVERSEAS LTD Basic Industry Fixed Income 229.49 0.00019682116625837547 229.49 2 2 91911TAP8 US91911TAP84 BD4G7B4 101.18 Brazil -- USD 2.09 5.69 1 Aug 10, 2026 6.25 2.09 -- 5.69 2.09 5.69 Aug 10, 2016 Aug 10, 2016 KOEWPW KOREA EAST-WEST POWER CO LTD 144A Owned No Guarantee Fixed Income 227.74 0.0001953202858672815 227.74 2 2 5006EPAL5 US5006EPAL52 -- 97.89 Korea (South) -- USD 0.98 5.74 1 May 06, 2025 3.6 0.98 -- 5.74 0.98 5.74 May 06, 2022 May 06, 2022 PL PROTECTIVE LIFE GLOBAL FUNDING 144A Insurance Fixed Income 227.74 0.0001953202858672815 227.74 3 3 74368CBG8 US74368CBG87 -- 87.57 United States -- USD 3.92 5.24 1 Jul 06, 2028 1.9 3.91 -- 5.24 3.91 5.24 Jul 06, 2021 Jul 06, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 222.01 0.00019040597464387092 222.01 2 2 9128283D0 US9128283D01 BF2K3B4 98.44 United States -- USD 0.5 5.36 1 Oct 31, 2024 2.25 0.49 -- 5.36 0.49 5.36 Oct 31, 2017 Oct 31, 2017 TNOTE TREASURY NOTE Treasuries Fixed Income 220.84 0.0001894025288966824 220.84 2 2 91282CFQ9 US91282CFQ96 BNTVWX1 99.49 United States -- USD 0.49 5.39 1 Oct 31, 2024 4.38 0.49 -- 5.39 0.49 5.39 Oct 31, 2022 Oct 31, 2022 ANTHOL ANTARES HOLDINGS LP 144A Owned No Guarantee Fixed Income 220.73 0.0001893081878435279 220.73 2 2 03666HAF8 US03666HAF82 -- 102.52 Canada -- USD 3.56 7.25 1 Aug 11, 2028 7.95 3.55 -- 7.24 3.49 7.24 Aug 11, 2023 Aug 11, 2023 ESGR ENSTAR FINANCE LLC Insurance Fixed Income 213.73 0.000183304666279152 213.73 2 2 29360AAA8 US29360AAA88 -- 96.69 Bermuda -- USD 1.28 9.9 1 Sep 01, 2040 5.75 1.07 -- 8.39 1.25 8.39 Aug 26, 2020 Aug 26, 2020 TRAGSA TRANSPORTADORA DE GAS INTERNACIONA 144A Local Authority Fixed Income 211.97 0.00018179520942868032 211.97 2 2 89387YAC5 US89387YAC57 BGT3SC9 98.08 Colombia -- USD 3.78 6.04 1 Nov 01, 2028 5.55 3.83 -- 6.04 3.83 6.04 Nov 01, 2018 Nov 01, 2018 TNOTE TREASURY NOTE Treasuries Fixed Income 211.49 0.0001813835393785517 211.49 2 2 91282CDB4 US91282CDB46 BP5F6P1 97.83 United States -- USD 0.46 5.34 1 Oct 15, 2024 0.63 0.46 -- 5.34 0.46 5.34 Oct 15, 2021 Oct 15, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 210.91 0.00018088610473464625 210.91 2 2 91282CED9 US91282CED92 BNC3B04 97.02 United States -- USD 0.86 5.22 1 Mar 15, 2025 1.75 0.86 -- 5.22 0.86 5.22 Mar 15, 2022 Mar 15, 2022 ENLC ENLINK MIDSTREAM LLC Energy Fixed Income 208.95 0.00017920511869662102 208.95 2 2 29336TAA8 US29336TAA88 BJP0FJ1 96.34 United States -- USD 4.25 6.22 1 Jun 01, 2029 5.38 4.28 -- 6.22 4.28 6.22 Apr 09, 2019 Apr 09, 2019 ENLC ENLINK MIDSTREAM LLC 144A Energy Fixed Income 200.03 0.00017155491693173055 200.03 2 2 29336TAC4 US29336TAC45 -- 98.14 United States -- USD 3.12 6.22 1 Jan 15, 2028 5.63 3.25 -- 6.22 3.25 6.22 Dec 17, 2020 Dec 17, 2020 VZ VERIZON COMMUNICATIONS INC Communications Fixed Income 199.71 0.0001712804702316448 199.71 2 2 92343VES9 US92343VES97 BJHN0G0 93.65 United States -- USD 4.22 5.4 1 Feb 08, 2029 3.88 4.25 -- 5.4 4.25 5.4 Feb 08, 2019 Feb 08, 2019 SHINFN SHINHAN FINANCIAL GROUP CO LTD MTN 144A Banking Fixed Income 196.21 0.00016827870944945684 196.21 2 2 82460M2A9 US82460M2A90 BL57P63 93 Korea (South) -- USD 1.65 5.71 1 Jan 10, 2026 1.35 1.64 -- 5.71 1.64 5.71 Jul 10, 2020 Jul 10, 2020 BOCAVI BOC AVIATION LTD MTN 144A Owned No Guarantee Fixed Income 194.46 0.00016677782905836287 194.46 2 2 09681LAE0 US09681LAE02 BDQZHQ4 93.71 Singapore -- USD 3.11 5.56 1 Sep 18, 2027 3.5 3.13 -- 5.56 3.13 5.56 Sep 18, 2017 Sep 18, 2017 NEM NEWMONT CORPORATION 144A Basic Industry Fixed Income 194.46 0.00016677782905836287 194.46 2 2 65163LAN9 US65163LAN91 -- 99.45 United States -- USD 1.77 5.61 1 Mar 15, 2026 5.3 1.76 -- 5.61 1.76 5.61 Mar 07, 2024 Mar 07, 2024 WEC WISCONSIN ELECTRIC POWER COMPANY Electric Fixed Income 194.46 0.00016677782905836287 194.46 2 2 976656CM8 US976656CM83 -- 86.93 United States -- USD 3.88 5.25 1 Jun 15, 2028 1.7 3.87 -- 5.25 3.87 5.25 Jun 15, 2021 Jun 15, 2021 NRUC NATIONAL RURAL UTILITIES COOPERATI Electric Fixed Income 190.95 0.00016376749181679724 190.95 2 2 637432PB5 US637432PB56 -- 101.58 United States -- USD 3.55 7.74 1 Sep 15, 2053 7.13 3.61 -- 6.68 3.52 6.68 May 26, 2023 May 26, 2023 ADGLXY GALAXY PIPELINE ASSETS BID CO LTD 144A Energy Fixed Income 183.94 0.00015775539379304365 183.94 2 2 36321PAA8 US36321PAA84 -- 92.74 United Arab Emirates -- USD 3.26 4.04 1 Sep 30, 2027 1.75 3.27 -- 4.04 3.27 4.04 Nov 05, 2020 Nov 05, 2020 RIG TRANSOCEAN POSEIDON LTD 144A Energy Fixed Income 183.41 0.0001573008414460266 183.41 2 2 89383JAA6 US89383JAA60 BGC21S0 99.87 United States -- USD 1.03 6.94 1 Feb 01, 2027 6.88 1.73 -- 6.94 1.73 6.94 Feb 01, 2019 Feb 01, 2019 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 182.19 0.00015625451340194965 182.19 2 2 40139LBE2 US40139LBE20 -- 85.93 United States -- USD 4.14 5.25 1 Sep 16, 2028 1.63 4.13 -- 5.25 4.13 5.25 Sep 16, 2021 Sep 16, 2021 DINO HF SINCLAIR CORP 144A Energy Fixed Income 182.19 0.00015625451340194965 182.19 2 2 403949AK6 US403949AK63 -- 100.15 United States -- USD 2 6.32 1 Apr 15, 2027 6.38 2.67 -- 6.29 1.82 6.29 Oct 15, 2023 Dec 04, 2023 HYUCAP HYUNDAI CAPITAL SERVICES INC 144A Consumer Cyclical Fixed Income 180.44 0.0001547536330108557 180.44 2 2 44920UAS7 US44920UAS78 -- 96.26 Korea (South) -- USD 0.96 6.05 1 Apr 24, 2025 2.13 0.96 -- 6.05 0.96 6.05 Jan 24, 2022 Jan 24, 2022 KUNLEG KUNLUN ENERGY COMPANY LTD 144A Owned No Guarantee Fixed Income 176.94 0.00015175187222866773 176.94 2 2 50126AAB7 US50126AAB70 BXC5W41 97.92 China -- USD 0.99 5.82 1 May 13, 2025 3.75 0.99 -- 5.82 0.99 5.82 May 13, 2015 May 13, 2015 BCP BANCO DE CREDITO DEL PERU MTN 144A Banking Fixed Income 175.18 0.00015024241537819606 175.18 2 2 05971U2E6 US05971U2E65 -- 99.22 Peru -- USD 4 6.04 1 Jan 11, 2029 5.85 3.99 -- 6.04 3.99 6.04 Jan 11, 2024 Jan 11, 2024 TNOTE TREASURY NOTE Treasuries Fixed Income 170.01 0.00014580838587993557 170.01 2 2 91282CDH1 US91282CDH16 BMCNFS3 97.52 United States -- USD 0.54 5.34 1 Nov 15, 2024 0.75 0.54 -- 5.34 0.54 5.34 Nov 15, 2021 Nov 15, 2021 ATH ATHENE GLOBAL FUNDING MTN 144A Insurance Fixed Income 169.93 0.00014573977420491414 169.93 2 2 04685A3G4 US04685A3G46 -- 86.99 United States -- USD 4.28 5.93 1 Jan 07, 2029 2.72 4.25 -- 5.93 4.25 5.93 Jan 07, 2022 Jan 07, 2022 BIDU BAIDU INC Technology Fixed Income 168.18 0.00014423889381382014 168.18 2 2 056752AN8 US056752AN88 BG10Y20 97.89 China -- USD 3.87 5.4 1 Nov 14, 2028 4.88 3.94 -- 5.4 3.94 5.4 Nov 14, 2018 Nov 14, 2018 LGENSO LG ENERGY SOLUTION LTD 144A Consumer Cyclical Fixed Income 168.18 0.00014423889381382014 168.18 2 2 50205MAA7 US50205MAA71 -- 99.39 Korea (South) -- USD 2.24 5.9 1 Sep 25, 2026 5.63 2.22 -- 5.9 2.22 5.9 Sep 25, 2023 Sep 25, 2023 KOREAT KT CORPORATION 144A Communications Fixed Income 166.43 0.00014273801342272617 166.43 2 2 48268KAE1 US48268KAE10 BZ576N5 93.65 Korea (South) -- USD 2.12 5.57 1 Jul 18, 2026 2.5 2.11 -- 5.57 2.11 5.57 Jul 18, 2016 Jul 18, 2016 AUSGF AUSGRID FINANCE PTY LTD 144A Electric Fixed Income 164.67 0.0001412285565722545 164.67 2 2 052113AB3 US052113AB36 BYVX339 94.31 Australia -- USD 3.75 5.88 1 Aug 01, 2028 4.35 3.78 -- 5.88 3.78 5.88 May 01, 2018 May 01, 2018 SHNHAN SHINHAN BANK MTN 144A Banking Fixed Income 162.92 0.00013972767618116054 162.92 2 2 82460CAL8 US82460CAL81 BDZRNF2 93.43 Korea (South) -- USD 3.13 5.91 1 Sep 20, 2027 3.75 3.12 -- 5.91 3.12 5.91 Sep 20, 2017 Sep 20, 2017 MUFG MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 161.17 0.00013822679579006655 161.17 2 2 606822BC7 US606822BC70 BG0K8N0 95.3 Japan -- USD 3.94 5.27 1 Sep 11, 2028 4.05 3.92 -- 5.27 3.92 5.27 Sep 11, 2018 Sep 11, 2018 MITSRE MITSUI FUDOSAN CO LTD 144A Financial Other Fixed Income 161.17 0.00013822679579006655 161.17 2 2 60683MAC3 US60683MAC38 BJ2KD78 94.19 Japan -- USD 4.17 5.35 1 Jan 24, 2029 3.95 4.2 -- 5.35 4.2 5.35 Jan 24, 2019 Jan 24, 2019 NDAFH NORDEA BANK ABP 144A Banking Fixed Income 161.17 0.00013822679579006655 161.17 2 2 65557FAH9 US65557FAH91 -- 93.03 Finland -- USD 3.82 6.46 1 Sep 13, 2033 4.63 3.83 -- 6.46 3.85 6.46 Sep 13, 2018 Sep 13, 2018 HYUELE SK HYNIX INC 144A Technology Fixed Income 161.17 0.00013822679579006655 161.17 2 2 78392BAG2 US78392BAG23 -- 98.62 Korea (South) -- USD 2.48 6.05 1 Jan 16, 2027 5.5 2.46 -- 6.05 2.46 6.05 Jan 16, 2024 Jan 16, 2024 EQH PINE STREET TRUST I 144A Insurance Fixed Income 159.42 0.00013672591539897258 159.42 2 2 722844AA5 US722844AA56 BJLJG99 93.34 United States -- USD 4.17 6.19 1 Feb 15, 2029 4.57 4.18 -- 6.19 4.18 6.19 Apr 05, 2019 Apr 05, 2019 SWX SOUTHWEST GAS CORP Natural Gas Fixed Income 157.67 0.00013522503500787862 157.67 2 2 845011AA3 US845011AA37 BFBDB21 93.43 United States -- USD 3.56 5.58 1 Apr 01, 2028 3.7 3.58 -- 5.58 3.58 5.58 Mar 15, 2018 Mar 15, 2018 AWK AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 155.91 0.00013371557815740695 155.91 2 2 03040WAN5 US03040WAN56 BD59NR0 93.82 United States -- USD 2.41 5.58 1 Dec 01, 2026 3 2.42 -- 5.58 2.42 5.58 Nov 17, 2016 Nov 17, 2016 BATSLN BAT INTERNATIONAL FINANCE PLC 144A Consumer Non-Cyclical Fixed Income 155.91 0.00013371557815740695 155.91 2 2 05530QAK6 US05530QAK67 BZ0W0B1 97.85 United Kingdom -- USD 1.08 5.92 1 Jun 15, 2025 3.95 1.08 -- 5.92 1.08 5.92 Jun 15, 2015 Jun 15, 2015 ENLC ENLINK MIDSTREAM LLC 144A Energy Fixed Income 155.55 0.00013340682561981048 155.55 2 2 29336TAD2 US29336TAD28 -- 100.87 United States -- USD 4.98 6.33 1 Sep 01, 2030 6.5 5.1 -- 6.32 4.77 6.32 Aug 31, 2022 Aug 31, 2022 ARAMCO SAUDI ARABIAN OIL CO MTN 144A Owned No Guarantee Fixed Income 154.16 0.00013221469776631296 154.16 2 2 80414L2D6 US80414L2D64 BK0L4P5 91.6 Saudi Arabia -- USD 4.48 5.45 1 Apr 16, 2029 3.5 4.46 -- 5.45 4.46 5.45 Apr 16, 2019 Apr 16, 2019 SHNHAN SHINHAN BANK MTN 144A Banking Fixed Income 154.16 0.00013221469776631296 154.16 2 2 82460CAN4 US82460CAN48 BK6SY72 91.46 Korea (South) -- USD 4.45 6.01 1 Apr 23, 2029 4 4.42 -- 6.01 4.42 6.01 Apr 23, 2019 Apr 23, 2019 BSHSI BON SECOURS MERCY HEALTH INC Consumer Non-Cyclical Fixed Income 148.91 0.00012771205659303103 148.91 2 2 58942HAC5 US58942HAC51 -- 96.14 United States -- USD 3.6 5.34 1 Jul 01, 2028 4.3 3.71 -- 5.34 3.71 5.34 Dec 17, 2018 Dec 17, 2018 ESGR ENSTAR FINANCE LLC Insurance Fixed Income 145.4 0.0001247017193514654 145.4 2 2 29360AAB6 US29360AAB61 -- 93.69 United States -- USD 2.46 8.56 1 Jan 15, 2042 5.5 2.29 -- 8.12 2.42 8.12 Jan 14, 2022 Jan 14, 2022 SRENVX SWISS RE AMERICA HOLDING CORP Insurance Fixed Income 143.65 0.00012320083896037143 143.65 1 1 36158FAA8 US36158FAA84 2435644 102.01 United States -- USD 1.67 5.8 1 Feb 15, 2026 7 1.66 -- 5.8 1.66 5.8 Feb 26, 1996 Feb 26, 1996 NEP NEXTERA ENERGY OPERATING PARTNERS 144A Electric Fixed Income 141.62 0.0001214598177067024 141.62 1 1 65342QAC6 US65342QAC69 BZ6CLN4 98.55 United States -- USD 0.38 8.06 1 Sep 15, 2024 4.25 0.37 -- 8.06 0.37 8.06 Sep 25, 2017 Sep 25, 2017 TNOTE TREASURY NOTE Treasuries Fixed Income 140.8 0.00012075654803773265 140.8 1 1 9128284F4 US9128284F40 BYZNTH1 97.68 United States -- USD 0.9 5.21 1 Mar 31, 2025 2.63 0.9 -- 5.21 0.9 5.21 Mar 31, 2018 Mar 22, 2018 IFF INTERNATIONAL FLAVORS & FRAGRANCES Basic Industry Fixed Income 136.64 0.00011718874093661782 136.64 1 1 459506AK7 US459506AK78 BG5JQJ4 95.24 United States -- USD 3.89 5.68 1 Sep 26, 2028 4.45 3.92 -- 5.68 3.92 5.68 Sep 26, 2018 Sep 26, 2018 CINF CINCINNATI FINANCIAL CORPORATION Insurance Fixed Income 133.14 0.00011418698015442986 133.14 1 1 172062AF8 US172062AF88 B07T3M2 105.1 United States -- USD 3.43 5.5 1 May 15, 2028 6.92 3.42 -- 5.5 3.42 5.5 Nov 15, 2004 Apr 29, 2005 NACF NONGHYUP BANK MTN 144A Government Sponsored Fixed Income 124.38 0.0001066740017395823 124.38 1 1 65540JAH1 US65540JAH14 -- 97.27 Korea (South) -- USD 1.6 5.71 1 Jan 06, 2026 4 1.59 -- 5.71 1.59 5.71 Jul 06, 2022 Jul 06, 2022 PGR PROGRESSIVE CORPORATION (THE) Insurance Fixed Income 120.88 0.00010367224095739434 120.88 1 1 743315AJ2 US743315AJ20 2409490 105.48 United States -- USD 4.11 5.33 1 Mar 01, 2029 6.63 4.1 -- 5.33 4.1 5.33 Mar 01, 1999 Mar 01, 1999 FE FIRSTENERGY TRANSMISSION LLC 144A Electric Fixed Income 110.37 0.00009465838215145279 110.37 1 1 33767BAD1 US33767BAD10 -- 89.42 United States -- USD 4.02 5.62 1 Sep 15, 2028 2.87 4.01 -- 5.62 4.01 5.62 Mar 19, 2021 Mar 19, 2021 TNOTE TREASURY NOTE Treasuries Fixed Income 89.97 0.00007716240502098584 89.97 1 1 912828G38 US912828G385 BSJWZX0 98.33 United States -- USD 0.54 5.34 1 Nov 15, 2024 2.25 0.54 -- 5.34 0.54 5.34 Nov 15, 2014 Nov 17, 2014 TOPTB THAIOIL TREASURY CENTER CO LTD MTN 144A Energy Fixed Income 89.34 0.00007662208808019201 89.34 1 1 88322YAC5 US88322YAC57 BH4FW25 95.11 Thailand -- USD 3.98 5.86 1 Nov 20, 2028 4.63 3.96 -- 5.86 3.96 5.86 Nov 20, 2018 Nov 20, 2018 ENBCN ENBRIDGE INC NC5 Energy Fixed Income 87.59 0.00007512120768909803 87.59 1 1 29250NBS3 US29250NBS36 BKPJRY4 101.72 Canada -- USD 3.67 8.46 1 Jan 15, 2084 8.25 3.68 -- 7.79 3.61 7.79 Sep 25, 2023 Sep 25, 2023 GUARDN GUARDIAN LIFE GLOBAL FUNDING MTN 144A Insurance Fixed Income 85.84 0.00007362032729800405 85.84 1 1 40139LAH6 US40139LAH69 -- 88.42 United States -- USD 3.04 5.39 1 Jul 06, 2027 1.4 3.04 -- 5.39 3.04 5.39 Jul 06, 2020 Jul 06, 2020 IFSPE INTERCORP FINANCIAL SERVICES INC 144A Banking Fixed Income 85.84 0.00007362032729800405 85.84 1 1 45866EAA5 US45866EAA55 -- 92.55 Peru -- USD 3.17 6.55 1 Oct 19, 2027 4.13 3.16 -- 6.55 3.16 6.55 Oct 19, 2017 Oct 19, 2017 LLY ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 85.84 0.00007362032729800405 85.84 1 1 532457CE6 US532457CE69 -- 99.92 United States -- USD 0.52 5.04 1 Feb 27, 2026 5 1.72 -- 5.04 1.72 5.04 Feb 27, 2023 Feb 27, 2023 MYLIFE MEIJI YASUDA LIFE INSURANCE CO 144A Insurance Fixed Income 84.09 0.00007211944690691007 84.09 1 1 585270AC5 US585270AC58 BD5JMR3 96.98 Japan -- USD 3.76 7.24 1 Apr 26, 2048 5.1 3.38 -- 5.96 3.47 5.96 Apr 26, 2018 Apr 26, 2018 MTH MERITAGE HOMES CORP MTN Consumer Cyclical Fixed Income 84.09 0.00007211944690691007 84.09 1 1 59001ABA9 US59001ABA97 BDGKYC4 97.31 United States -- USD 2.65 6.08 1 Jun 06, 2027 5.13 2.77 -- 6.08 2.77 6.08 Jun 06, 2017 Sep 21, 2017 TOMARI RELIANCE STANDARD LIFE GLOBAL FUND Prvt Insurance Fixed Income 82.34 0.0000706185665158161 82.34 1 1 75951AAS7 US75951AAS78 -- 96.78 United States -- USD 3.03 6 1 Sep 01, 2027 4.93 3.01 -- 6 3.01 6 Aug 29, 2022 Aug 29, 2022 NGGLN BROOKLYN UNION GAS CO 144A Natural Gas Fixed Income 77.08 0.00006610734888315648 77.08 1 1 114259AT1 US114259AT12 BJLZYB5 91.48 United States -- USD 4.29 5.91 1 Mar 04, 2029 3.87 4.3 -- 5.91 4.3 5.91 Mar 04, 2019 Mar 04, 2019 KEY KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 77.08 0.00006610734888315648 77.08 1 1 49327V2B9 US49327V2B93 BJNXWY6 87.47 United States -- USD 4.41 6.92 1 Apr 13, 2029 3.9 4.37 -- 6.92 4.37 6.92 Mar 13, 2019 Mar 13, 2019 URWFP WEA FINANCE LLC 144A Reits Fixed Income 77.08 0.00006610734888315648 77.08 1 1 92928QAE8 US92928QAE89 BFX7FL8 90.91 United States -- USD 3.92 6.53 1 Sep 20, 2028 4.13 3.91 -- 6.53 3.91 6.53 Sep 20, 2018 Sep 20, 2018 CBG CBRE SERVICES INC Consumer Cyclical Fixed Income 75.33 0.00006460646849206251 75.33 1 1 12505BAH3 US12505BAH33 -- 98.59 United States -- USD 4.22 5.83 1 Apr 01, 2029 5.5 4.22 -- 5.83 4.22 5.83 Feb 23, 2024 Feb 23, 2024 SIGMA SIGMA FINANCE NETHERLANDS BV 144A Consumer Non-Cyclical Fixed Income 73.58 0.00006310558810096853 73.58 1 1 8265QNAA0 US8265QNAA04 BFWMBH2 96.29 Mexico -- USD 3.45 5.95 1 Mar 27, 2028 4.88 3.49 -- 5.95 3.49 5.95 Mar 27, 2018 Mar 27, 2018 HLNLN HALEON UK CAPITAL PLC 144A Consumer Non-Cyclical Fixed Income 61.31 0.00005258227244455532 61.31 1 1 36264NAA2 US36264NAA28 BJN47L1 97.62 United Kingdom -- USD 0.88 5.84 1 Mar 24, 2025 3.13 0.88 -- 5.84 0.88 5.84 Mar 24, 2022 Mar 24, 2022 TWD TWD/USD Cash and/or Derivatives FX 58.48 0.000050155134440671916 58.48 58 58 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 24, 2024 IGT INTERNATIONAL GAME TECHNOLOGY PLC 144A Consumer Cyclical Fixed Income 58.04 0.000049777770228054 58.04 1 1 460599AC7 US460599AC74 BWV0NJ2 99.96 United States -- USD 0.48 6.53 1 Feb 15, 2025 6.5 0.76 -- 6.53 0.76 6.53 Feb 13, 2015 Feb 13, 2015 BACARD BACARDI LTD 144A Consumer Non-Cyclical Fixed Income 57.81 0.000049580511662367365 57.81 1 1 05635JAA8 US05635JAA88 -- 97.41 Bermuda -- USD 4.06 5.89 1 Jan 15, 2029 5.25 4.06 -- 5.89 4.06 5.89 Jun 20, 2023 Jun 20, 2023 BRL BRL/USD Cash and/or Derivatives FX 52.63 0.00004513790570472919 52.63 53 53 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 24, 2024 TOYOTA TOYOTA MOTOR CORPORATION Consumer Cyclical Fixed Income 52.56 0.000045077870489085425 52.56 1 1 892331AD1 US892331AD13 BDG0747 95.3 Japan -- USD 3.82 4.91 1 Jul 20, 2028 3.67 3.82 -- 4.91 3.82 4.91 Jul 20, 2018 Jul 20, 2018 SUMILF SUMITOMO LIFE INSURANCE CO 144A Insurance Fixed Income 50.8 0.00004356841363861377 50.8 1 1 86564CAB6 US86564CAB63 BDGS600 93.33 Japan -- USD 3.03 7.99 1 Sep 14, 2077 4 2.96 -- 6.21 3.08 6.21 Sep 14, 2017 Sep 14, 2017 TAQAUH ABU DHABI NATIONAL ENERGY COMPANY MTN 144A Owned No Guarantee Fixed Income 49.05 0.00004206753324751979 49.05 1 1 00388WAL5 US00388WAL54 BQFJ155 95.74 United Arab Emirates -- USD 4.18 5.4 1 Jan 24, 2029 4.38 4.17 -- 5.4 4.17 5.4 Apr 24, 2023 Apr 24, 2023 BBLTB BANGKOK BANK PUBLIC CO LTD (HONG K MTN 144A Banking Fixed Income 49.05 0.00004206753324751979 49.05 1 1 059895AS1 US059895AS10 BFX3D56 95.58 Thailand -- USD 3.93 5.59 1 Sep 19, 2028 4.45 3.91 -- 5.59 3.91 5.59 Sep 19, 2018 Sep 19, 2018 INRCON INRETAIL CONSUMER 144A Consumer Non-Cyclical Fixed Income 49.05 0.00004206753324751979 49.05 1 1 45790TAB1 US45790TAB17 -- 89.59 Peru -- USD 3.58 6.3 1 Mar 22, 2028 3.25 3.56 -- 6.3 3.56 6.3 Mar 22, 2021 Mar 22, 2021 RNR RENAISSANCERE HOLDINGS LTD Insurance Fixed Income 49.05 0.00004206753324751979 49.05 1 1 75968NAD3 US75968NAD30 BJ5SCG1 90.54 United States -- USD 4.43 5.82 1 Apr 15, 2029 3.6 4.44 -- 5.82 4.44 5.82 Apr 02, 2019 Apr 02, 2019 SPSP SP POWERASSETS LTD MTN 144A Owned No Guarantee Fixed Income 43.8 0.00003756489207423786 43.8 0 0 78462QAE9 US78462QAE98 -- 93.01 Singapore -- USD 3.19 5.26 1 Sep 26, 2027 3 3.18 -- 5.26 3.18 5.26 Sep 26, 2017 Sep 26, 2017 DBSSP DBS GROUP HOLDINGS LTD MTN 144A Banking Fixed Income 42.04 0.0000360554352237662 42.04 0 0 24023KAJ7 US24023KAJ79 -- 100.05 Singapore -- USD 1.31 5.44 1 Sep 12, 2025 5.48 1.31 -- 5.44 1.31 5.44 Sep 12, 2023 Sep 12, 2023 CCOLAT COCA-COLA ICECEK AS 144A Consumer Non-Cyclical Fixed Income 38.54 0.00003305367444157824 38.54 0 0 1912ERAA8 US1912ERAA89 -- 92.12 Turkey -- USD 4.12 6.46 1 Jan 20, 2029 4.5 4.11 -- 6.46 4.11 6.46 Jan 20, 2022 Jan 20, 2022 MTH MERITAGE HOMES CORP Consumer Cyclical Fixed Income 35.04 0.000030051913659390286 35.04 0 0 59001AAY8 US59001AAY82 BYR88Z5 99.97 United States -- USD 0.91 6.02 1 Jun 01, 2025 6 1.03 -- 6.02 1.03 6.02 Jun 02, 2015 Aug 03, 2015 TNOTE TREASURY NOTE Treasuries Fixed Income 34.47 0.000029563055474862532 34.47 0 0 912828YV6 US912828YV68 BJR5GR9 97.75 United States -- USD 0.58 5.37 1 Nov 30, 2024 1.5 0.58 -- 5.37 0.58 5.37 Nov 30, 2019 Dec 02, 2019 ADVENT ADVENTIST HEALTH SYSTEM WEST Consumer Non-Cyclical Fixed Income 33.29 0.000028551033268296306 33.29 0 0 007944AF8 US007944AF80 -- 88 United States -- USD 4.38 5.83 1 Mar 01, 2029 2.95 4.38 -- 5.83 4.38 5.83 Oct 31, 2019 Oct 31, 2019 SSMHLT SSM HEALTH CARE CORP Consumer Non-Cyclical Fixed Income 29.78 0.00002554069602673067 29.78 0 0 784710AC9 US784710AC97 -- 97.97 United States -- USD 3.52 5.45 1 Jun 01, 2028 4.89 3.59 -- 5.45 3.59 5.45 Apr 26, 2023 Apr 26, 2023 MAGN MAGNITOGORSKIY METALLURGICHESKIY K Materials Equity 28.07 0.00002407412147314741 28.07 14721471 14721471 -- RU0009084396 B5B1RP0 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- -- Jan 18, 2006 SUAMSA SURA ASSET MANAGEMENT SA 144A Brokerage/Asset Managers/Exchanges Fixed Income 28.03 0.000024039815635636693 28.03 0 0 78486LAA0 US78486LAA08 BYX1QG5 95.37 Colombia -- USD 2.74 6.11 1 Apr 11, 2027 4.38 2.72 -- 6.11 2.72 6.11 Apr 11, 2017 Apr 11, 2017 EIX SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 28.03 0.000024039815635636693 28.03 0 0 842400GJ6 US842400GJ61 BFN8K49 93.9 United States -- USD 3.47 5.42 1 Mar 01, 2028 3.65 3.5 -- 5.42 3.5 5.42 Mar 05, 2018 Mar 05, 2018 SPSP SP GROUP TREASURY PTE. LTD. MTN 144A Owned No Guarantee Fixed Income 19.27 0.00001652683722078912 19.27 0 0 84612MAA3 US84612MAA36 BJKRQV6 92.64 Singapore -- USD 4.32 5.11 1 Feb 27, 2029 3.38 4.35 -- 5.11 4.35 5.11 Feb 27, 2019 Feb 27, 2019 CNH CNH CASH Cash and/or Derivatives Cash 18.56 0.00001591790860497385 18.56 1 1 -- -- -- 13.77 China -- USD 0 0 7.26055 -- 0 0 -- 0 0 0 Dec 31, 1989 Dec 31, 1989 MUNRE MUNICH RE AMERICA CORP Insurance Fixed Income 17.52 0.000015025956829695143 17.52 0 0 029163AD4 US029163AD49 2724074 105.03 United States -- USD 2.33 5.38 1 Dec 15, 2026 7.45 2.33 -- 5.38 2.33 5.38 Dec 24, 1996 Mar 14, 1997 AAPL APPLE INC Technology Fixed Income 17.52 0.000015025956829695143 17.52 0 0 037833ES5 US037833ES58 -- 98.9 United States -- USD 1.49 5 1 May 08, 2026 4.42 1.88 -- 5 1.88 5 May 10, 2023 May 10, 2023 LBBW RHEINLAND-PFALZ BANK 144A Local Authority Fixed Income 14.01 0.000012015619588129506 14.01 0 0 514887AB4 US514887AB47 2288699 104.18 Germany -- USD 3.33 5.64 1 Feb 23, 2028 6.88 3.31 -- 5.64 3.31 5.64 Feb 23, 1998 Feb 23, 1998 PHP PHP CASH Cash and/or Derivatives Cash 11.1 0.000009519869909224663 11.1 6 6 -- -- -- 1.73 Philippines -- USD 0 6.16 57.7905 -- 0 0 -- 6.16 0 6.16 -- Dec 30, 1989 RTKM ROSTELECOM Communication Equity 9.36 0.000008027565977508364 9.36 4681247 4681247 -- RU0008943394 B58ZLT7 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Oct 01, 2003 LAZ LAZARD GROUP LLC Brokerage/Asset Managers/Exchanges Fixed Income 8.76 0.000007512978414847571 8.76 0 0 52107QAK1 US52107QAK13 BJRL224 94.03 United States -- USD 4.25 5.8 1 Mar 11, 2029 4.38 4.28 -- 5.8 4.28 5.8 Mar 11, 2019 Mar 11, 2019 FEES FSK YEES Utilities Equity 8.19 0.000007024120230319819 8.19 4402974828 4402974828 -- RU000A0JPNN9 B59RSV3 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Jul 16, 2008 NLMK NOVOLIPETSK STEEL Materials Equity 7.02 0.000006020674483131273 7.02 3457900 3457900 -- RU0009046452 B59FPC7 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- -- Apr 18, 2006 JPM JPMORGAN CHASE & CO MTN Banking Fixed Income 7.01 0.000006012098023753593 7.01 0 0 48128GZ37 US48128GZ379 -- 88.12 United States -- USD 3.02 5.17 1 Jun 23, 2027 1.05 3.02 -- 5.17 3.02 5.17 Dec 23, 2020 Dec 23, 2020 MOEX MOSCOW EXCHANGE Financials Equity 5.85 0.000005017228735942727 5.85 2788700 2788700 -- RU000A0JR4A1 B9GFHQ6 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- -- Feb 15, 2013 SBER SBERBANK ROSSII Financials Equity 4.68 0.000004013782988754182 4.68 2500255 2500255 -- RU0009029540 4767981 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- -- Aug 04, 2006 MTSS MOBILNYE TELESISTEMY Communication Equity 4.68 0.000004013782988754182 4.68 2744644 2744644 -- RU0007775219 B59FPS3 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Feb 11, 2004 ARS ARS CASH Cash and/or Derivatives Cash 4.06 0.0000034820425073380297 4.06 45 45 -- -- -- 0.09 Argentina -- USD 0 0 1057.89 -- 0 0 -- 0 0 0 -- Jan 01, 1985 EGP EGP CASH Cash and/or Derivatives Cash 4.06 0.0000034820425073380297 4.06 2 2 -- -- -- 2.09 Egypt -- USD 0 0 47.9 -- 0 0 -- 0 0 0 -- Jan 01, 1990 SR SPIRE INC Natural Gas Fixed Income 3.5 0.0000030017607821879566 3.5 0 0 84857LAC5 US84857LAC54 -- 99.31 United States -- USD 1.73 5.69 1 Mar 01, 2026 5.3 1.72 -- 5.69 1.72 5.69 Feb 12, 2024 Feb 12, 2024 TATN TATNEFT Energy Equity 2.34 0.000002006891494377091 2.34 1165907 1165907 -- RU0009033591 B59BXN2 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Jan 03, 2002 PHOR PJSC PHOSAGRO GDR Materials Equity 1.17 0.0000010034457471885455 1.17 117 117 71922G407 US71922G4073 BLNM4K7 0.01 Russian Federation London Stock Exchange USD 0 -- 1 -- 0 0 -- -- 0 -- -- -- TWD TWD/USD Cash and/or Derivatives FX 1.17 0.0000010034457471885455 1.17 1 1 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 CHMF SEVERSTAL Materials Equity 1.17 0.0000010034457471885455 1.17 695941 695941 -- RU0009046510 B5B9C59 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Jun 22, 2005 NGN NGN CASH Cash and/or Derivatives Cash 0.58 4.974346439054328E-7 0.58 7 7 -- -- -- 0.08 Nigeria -- USD 0 0 1325 -- 0 0 -- 0 0 0 -- Jan 01, 1990 CLP CLP/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 CLP CLP/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 COP COP/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 MESM4 MSCI EMER MKT INDEX (ICE) JUN 24 Cash and/or Derivatives Futures 0 0 0 0 0 -- -- -- 1034.3 -- Ice Futures U.S. USD 0 -- 1 Jun 21, 2024 0 0 -- -- 0 -- -- Jun 21, 2021 PHOR PHOSAGRO Materials Equity 0 0 0 180278 180278 -- RU000A0JRKT8 B3ZQM29 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- -- Jul 18, 2011 TRNFP TRANSNEFT PREF Energy Equity 0 0 0 576700 576700 -- RU0009091573 B59NHY7 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Jan 14, 2008 LKOH NK LUKOIL Energy Equity 0 0 0 124880 124880 -- RU0009024277 B59SNS8 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Aug 20, 2003 GMKN GMK NORILSKIY NIKEL Materials Equity 0 0 0 2371200 2371200 -- RU0007288411 B5B1TX2 0 Russian Federation Standard-Classica-Forts USD 0 -- 92.22625 -- 0 0 -- -- 0 -- Jan 01, 1970 Dec 26, 2006 DJEM4 DOW JONES US REAL ESTATE JUN 24 Cash and/or Derivatives Futures 0 0 0 0 0 -- -- -- 320.3 -- Chicago Board Of Trade USD 0 -- 1 Jun 21, 2024 0 0 -- -- 0 -- -- Jun 16, 2023 VGM4 EURO STOXX 50 JUN 24 Cash and/or Derivatives Futures 0 0 0 0 0 -- DE000C6XKBW6 -- 5253.63 European Union Eurex Deutschland USD 0 -- 0.933445346774946 Jun 21, 2024 0 0 -- -- 0 -- -- May 23, 2022 XPM4 SPI 200 JUN 24 Cash and/or Derivatives Futures 0 0 0 0 0 -- -- -- 4966.92 -- Asx - Trade24 USD 0 -- 1.538579890760828 Jun 20, 2024 0 0 -- -- 0 -- -- Dec 16, 2022 Z M4 FTSE 100 INDEX JUN 24 Cash and/or Derivatives Futures 0 0 0 0 0 -- GB00KHLXXF30 -- 10105.42 -- IFLL USD 0 -- 0.800608462431448 Jun 21, 2024 0 0 -- -- 0 -- -- Jun 19, 2023 AED AED/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 SGD SGD/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 ZAR ZAR/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 HKD HKD/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 CZK CZK/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 EUR EUR/USD Cash and/or Derivatives FX 0 0 0 0 0 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 KWD KWD/USD Cash and/or Derivatives FX -2.34 -0.000002006891494377091 -2.34 -2 -2 -- -- -- 1 United States -- USD 0 -- 1 Apr 29, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 QAR QAR/USD Cash and/or Derivatives FX -3.51 -0.0000030103372415656364 -3.51 -4 -4 -- -- -- 1 United States -- USD 0 -- 1 Apr 30, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 INR INR/USD Cash and/or Derivatives FX -7.02 -0.000006020674483131273 -7.02 -7 -7 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 24, 2024 COP COP/USD Cash and/or Derivatives FX -7.02 -0.000006020674483131273 -7.02 -7 -7 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 MYR MYR/USD Cash and/or Derivatives FX -12.86 -0.000011029326759696321 -12.86 -13 -13 -- -- -- 1 United States -- USD 0 -- 1 Apr 26, 2024 0 0 -- -- 0 -- -- Apr 25, 2024 HKD HKD CASH Cash and/or Derivatives Cash -1380.6 -0.0011840659816824838 -1380.6 -108 -108 -- -- -- 12.77 Hong Kong -- USD 0 4.01 7.8285 -- 0 0 -- 4.01 0 4.01 -- Jan 01, 1990 HSBBK CASH COLLATERAL USD HSBSW Cash and/or Derivatives Cash Collateral and Margins -2793.44 -0.002395782468398607 -2793.44 -28 -28 -- -- -- 100 United States -- USD 0 5.43 1 Dec 31, 2049 5.33 0 -- 5.43 0 5.43 Jan 01, 2001 Jan 01, 2001 USD USD CASH Cash and/or Derivatives Cash -462613.82 -0.396758863478331 -462613.82 -4626 -4626 -- -- -- 100 United States -- USD 0 5.33 1 -- 0 0 -- 5.33 0 5.33 -- Jan 01, 1989 As Of NAV per Share Ex-Dividends Shares Outstanding Apr 25, 2024 19.606551 -- 5950000 Apr 24, 2024 19.645682 -- 5950000 Apr 23, 2024 19.684887 -- 5950000 Apr 22, 2024 19.590486 -- 5950000 Apr 19, 2024 19.51209 -- 5950000 Apr 18, 2024 19.444447 -- 5950000 Apr 17, 2024 19.44015 -- 5950000 Apr 16, 2024 19.375085 -- 5950000 Apr 15, 2024 19.455321 -- 6000000 Apr 12, 2024 19.56872 -- 6000000 Apr 11, 2024 19.654039 -- 6000000 Apr 10, 2024 19.643497 -- 6000000 Apr 09, 2024 19.853141 -- 6000000 Apr 08, 2024 19.808624 -- 6000000 Apr 05, 2024 19.753433 -- 6000000 Apr 04, 2024 19.779622 -- 6000000 Apr 03, 2024 19.775806 -- 5950000 Apr 02, 2024 19.737913 0.087714 5950000 Apr 01, 2024 19.84931 -- 5950000 Mar 31, 2024 19.902187 -- -- Mar 29, 2024 19.902187 -- -- Mar 28, 2024 19.902187 -- 5950000 Mar 27, 2024 19.928545 -- 5950000 Mar 26, 2024 19.827843 -- 5950000 Mar 25, 2024 19.870563 -- 5950000 Mar 22, 2024 19.865191 -- 5950000 Mar 21, 2024 19.921462 -- 5950000 Mar 20, 2024 19.916667 -- 5950000 Mar 19, 2024 19.814764 -- 6000000 Mar 18, 2024 19.768011 -- 6000000 Mar 15, 2024 19.774564 -- 6000000 Mar 14, 2024 19.786122 -- 6000000 Mar 13, 2024 19.890442 -- 6000000 Mar 12, 2024 19.887994 -- 6000000 Mar 11, 2024 19.860013 -- 6000000 Mar 08, 2024 19.879775 -- 6000000 Mar 07, 2024 19.871108 -- 6000000 Mar 06, 2024 19.797373 -- 6000000 Mar 05, 2024 19.737261 -- 6050000 Mar 04, 2024 19.710157 0.070946 6050000 Mar 01, 2024 19.820622 -- 6050000 Feb 29, 2024 19.762191 -- 6050000 Feb 28, 2024 19.683999 -- 6050000 Feb 27, 2024 19.730161 -- 6050000 Feb 26, 2024 19.70944 -- 6050000 Feb 23, 2024 19.791883 -- 6100000 Feb 22, 2024 19.759582 -- 6100000 Feb 21, 2024 19.696727 -- 6250000 Feb 20, 2024 19.71033 -- 6250000 Feb 16, 2024 19.688268 -- 6250000 Feb 15, 2024 19.707878 -- 6250000 Feb 14, 2024 19.573821 -- 6250000 Feb 13, 2024 19.468576 -- 6250000 Feb 12, 2024 19.698091 -- 6250000 Feb 09, 2024 19.650758 -- 6250000 Feb 08, 2024 19.622368 -- 6250000 Feb 07, 2024 19.663061 -- 6300000 Feb 06, 2024 19.709126 -- 6300000 Feb 05, 2024 19.610194 -- 6300000 Feb 02, 2024 19.718057 0.067557 6350000 Feb 01, 2024 19.901542 -- 6350000 Jan 31, 2024 19.791047 -- 6350000 Jan 30, 2024 19.874845 -- 6400000 Jan 29, 2024 19.928337 -- 6400000 Jan 26, 2024 19.873134 -- 6400000 Jan 25, 2024 19.854967 -- 6400000 Jan 24, 2024 19.754262 -- 6400000 Jan 23, 2024 19.710675 -- 6400000 Jan 22, 2024 19.713834 -- 6400000 Jan 19, 2024 19.716492 -- 6400000 Jan 18, 2024 19.664686 -- 6500000 Jan 17, 2024 19.630819 -- 6500000 Jan 16, 2024 19.742151 -- 6500000 Jan 12, 2024 19.892309 -- 6500000 Jan 11, 2024 19.858724 -- 6500000 Jan 10, 2024 19.825772 -- 6500000 Jan 09, 2024 19.796712 -- 6550000 Jan 08, 2024 19.853334 -- 6650000 Jan 05, 2024 19.755905 -- 6650000 Jan 04, 2024 19.729007 -- 6650000 Jan 03, 2024 19.746792 -- 6600000 Jan 02, 2024 19.821164 -- 6700000 Dec 29, 2023 19.88837 -- 6700000 Dec 28, 2023 19.961232 -- 6700000 Dec 27, 2023 19.993394 -- 6700000 Dec 26, 2023 19.946719 -- 6700000 Dec 22, 2023 19.876924 0.205197 6700000 Dec 21, 2023 20.079048 -- 6650000 Dec 20, 2023 19.924961 -- 6650000 Dec 19, 2023 20.004547 -- 6650000 Dec 18, 2023 19.901247 -- 6650000 Dec 15, 2023 19.8947 -- 6700000 Dec 14, 2023 19.985113 -- 6700000 Dec 13, 2023 19.787867 -- 6700000 Dec 12, 2023 19.501034 -- 6700000 Dec 11, 2023 19.466573 -- 6700000 Dec 08, 2023 19.478365 -- 6700000 Dec 07, 2023 19.497867 -- 6700000 Dec 06, 2023 19.450724 -- 6600000 Dec 05, 2023 19.481899 -- 6600000 Dec 04, 2023 19.494183 0.058788 6600000 Dec 01, 2023 19.622633 -- 6550000 Nov 30, 2023 19.42699 -- 6550000 Nov 29, 2023 19.433166 -- 6550000 Nov 28, 2023 19.382327 -- 6550000 Nov 27, 2023 19.305267 -- 6550000 Nov 24, 2023 19.282805 -- 6550000 Nov 22, 2023 19.274473 -- 6550000 Nov 21, 2023 19.278718 -- 6550000 Nov 20, 2023 19.306467 -- 6550000 Nov 17, 2023 19.233513 -- 6550000 Nov 16, 2023 19.186445 -- 6550000 Nov 15, 2023 19.210679 -- 6550000 Nov 14, 2023 19.208316 -- 6550000 Nov 13, 2023 18.921927 -- 6550000 Nov 10, 2023 18.8923 -- 6550000 Nov 09, 2023 18.824797 -- 6550000 Nov 08, 2023 18.924117 -- 6600000 Nov 07, 2023 18.932774 -- 6600000 Nov 06, 2023 18.956957 -- 6550000 Nov 03, 2023 19.021991 -- 6550000 Nov 02, 2023 18.851372 0.064338 6550000 Nov 01, 2023 18.690224 -- 6500000 Oct 31, 2023 18.520976 -- 6500000 Oct 30, 2023 18.467827 -- 6500000 Oct 27, 2023 18.41961 -- 6500000 Oct 26, 2023 18.453189 -- 6500000 Oct 25, 2023 18.406767 -- 6500000 Oct 24, 2023 18.522558 -- 6500000 Oct 23, 2023 18.454861 -- 6500000 Oct 20, 2023 18.459092 -- 6500000 Oct 19, 2023 18.47732 -- 6500000 Oct 18, 2023 18.561525 -- 6500000 Oct 17, 2023 18.696512 -- 6500000 Oct 16, 2023 18.746038 -- 6500000 Oct 13, 2023 18.695618 -- 6500000 Oct 12, 2023 18.710578 -- 6500000 Oct 11, 2023 18.839996 -- 6450000 Oct 10, 2023 18.788004 -- 6450000 Oct 09, 2023 18.704332 -- 6450000 Oct 06, 2023 18.608745 -- 6450000 Oct 05, 2023 18.568441 -- 6450000 Oct 04, 2023 18.53357 -- 6500000 Oct 03, 2023 18.520832 0.185877 6500000 Oct 02, 2023 18.909242 -- 6500000 Sep 29, 2023 19.072856 -- 6500000 Sep 28, 2023 19.071509 -- 6500000 Sep 27, 2023 18.989472 -- 6550000 Sep 26, 2023 19.039251 -- 6550000 Sep 25, 2023 19.173087 -- 6550000 Sep 22, 2023 19.245941 -- 6550000 Sep 21, 2023 19.171113 -- 6600000 Sep 20, 2023 19.354314 -- 6600000 Sep 19, 2023 19.369325 -- 6600000 Sep 18, 2023 19.380094 -- 6600000 Sep 15, 2023 19.370906 -- 6700000 Sep 14, 2023 19.387849 -- 6700000 Sep 13, 2023 19.29765 -- 6700000 Sep 12, 2023 19.264357 -- 6700000 Sep 11, 2023 19.294787 -- 6700000 Sep 08, 2023 19.23595 -- 6700000 Sep 07, 2023 19.212348 -- 6700000 Sep 06, 2023 19.218951 -- 6700000 Sep 05, 2023 19.258446 0.064156 6700000 Sep 01, 2023 19.41393 -- 6750000 Aug 31, 2023 19.377772 -- 6800000 Aug 30, 2023 19.395343 -- 6850000 Aug 29, 2023 19.409454 -- 6850000 Aug 28, 2023 19.277002 -- 6850000 Aug 25, 2023 19.165256 -- 6850000 Aug 24, 2023 19.120281 -- 6850000 Aug 23, 2023 19.199244 -- 6850000 Aug 22, 2023 19.020237 -- 6850000 Aug 21, 2023 19.003372 -- 6850000 Aug 18, 2023 19.040575 -- 6850000 Aug 17, 2023 19.030145 -- 6850000 Aug 16, 2023 19.088868 -- 6850000 Aug 15, 2023 19.159651 -- 6850000 Aug 14, 2023 19.258983 -- 6850000 Aug 11, 2023 19.339937 -- 6850000 Aug 10, 2023 19.38225 -- 6900000 Aug 09, 2023 19.388144 -- 6900000 Aug 08, 2023 19.3953 -- 6900000 Aug 07, 2023 19.412029 -- 6900000 Aug 04, 2023 19.402583 -- 6900000 Aug 03, 2023 19.285614 -- 6900000 Aug 02, 2023 19.381104 0.054476 6900000 Aug 01, 2023 19.556763 -- 6900000 Jul 31, 2023 19.695118 -- 6900000 Jul 28, 2023 19.691252 -- 6900000 Jul 27, 2023 19.557301 -- 6900000 Jul 26, 2023 19.72447 -- 6900000 Jul 25, 2023 19.634172 -- 7050000 Jul 24, 2023 19.610311 -- 7050000 Jul 21, 2023 19.561174 -- 7050000 Jul 20, 2023 19.556931 -- 7050000 Jul 19, 2023 19.623132 -- 7000000 Jul 18, 2023 19.575332 -- 7000000 Jul 17, 2023 19.500561 -- 7000000 Jul 14, 2023 19.488499 -- 7000000 Jul 13, 2023 19.578614 -- 7000000 Jul 12, 2023 19.444175 -- 7000000 Jul 11, 2023 19.302593 -- 7000000 Jul 10, 2023 19.206958 -- 7000000 Jul 07, 2023 19.135096 -- 7000000 Jul 06, 2023 19.034989 -- 7000000 Jul 05, 2023 19.224708 0.214935 7000000 Jul 03, 2023 19.537195 -- 7000000 Jun 30, 2023 19.499986 -- 6900000 Jun 29, 2023 19.404033 -- 6900000 Jun 28, 2023 19.426722 -- 6900000 Jun 27, 2023 19.400846 -- 6900000 Jun 26, 2023 19.324148 -- 6900000 Jun 23, 2023 19.24223 -- 6900000 Jun 22, 2023 19.340761 -- 6900000 Jun 21, 2023 19.431253 -- 6900000 Jun 20, 2023 19.404443 -- 6900000 Jun 16, 2023 19.481369 -- 6900000 Jun 15, 2023 19.537143 -- 6900000 Jun 14, 2023 19.42503 -- 6900000 Jun 13, 2023 19.396624 -- 6900000 Jun 12, 2023 19.357119 -- 6900000 Jun 09, 2023 19.324103 -- 6900000 Jun 08, 2023 19.328352 -- 6900000 Jun 07, 2023 19.235289 -- 6900000 Jun 06, 2023 19.271768 -- 6900000 Jun 05, 2023 19.189987 -- 6900000 Jun 02, 2023 19.211561 0.05489 6900000 Jun 01, 2023 19.100736 -- 6950000 May 31, 2023 18.967207 -- 7000000 May 30, 2023 19.023167 -- 7000000 May 26, 2023 18.994036 -- 7000000 May 25, 2023 18.863852 -- 7000000 May 24, 2023 18.963157 -- 7000000 May 23, 2023 19.078089 -- 7000000 May 22, 2023 19.137283 -- 7000000 May 19, 2023 19.081446 -- 7000000 May 18, 2023 19.091461 -- 7000000 May 17, 2023 19.095459 -- 7050000 May 16, 2023 19.004828 -- 7100000 May 15, 2023 19.128886 -- 7100000 May 12, 2023 19.066101 -- 7100000 May 11, 2023 19.113324 -- 7100000 May 10, 2023 19.175576 -- 7100000 May 09, 2023 19.114191 -- 7100000 May 08, 2023 19.156 -- 7100000 May 05, 2023 19.169152 -- 7100000 May 04, 2023 19.011423 -- 7100000 May 03, 2023 19.094314 -- 7100000 May 02, 2023 19.095904 0.050482 7100000 May 01, 2023 19.269321 -- 7100000 Apr 28, 2023 19.378622 -- 7100000 Apr 27, 2023 19.303955 -- 7100000 Apr 26, 2023 19.175501 -- 7150000 Apr 25, 2023 19.185528 -- 7150000 Apr 24, 2023 19.317255 -- 7150000 Apr 21, 2023 19.295877 -- 7150000 Apr 20, 2023 19.300949 -- 7150000 Apr 19, 2023 19.306788 -- 7150000 Apr 18, 2023 19.345763 -- 7150000 Apr 17, 2023 19.348361 -- 7150000 Apr 14, 2023 19.336116 -- 7150000 Apr 13, 2023 19.386313 -- 7150000 Apr 12, 2023 19.292065 -- 7150000 Apr 11, 2023 19.275172 -- 7150000 Apr 10, 2023 19.162774 -- 7150000 Apr 06, 2023 19.196853 -- 7200000 Apr 05, 2023 19.171391 -- 7200000 Apr 04, 2023 19.198662 0.09402 7200000 Apr 03, 2023 19.310905 -- 7450000 Mar 31, 2023 19.283041 -- 7450000 Mar 30, 2023 19.182771 -- 7450000 Mar 29, 2023 19.067015 -- 7450000 Mar 28, 2023 18.944191 -- 7450000 Mar 27, 2023 18.906672 -- 7500000 Mar 24, 2023 18.879935 -- 7500000 Mar 23, 2023 18.847609 -- 7500000 Mar 22, 2023 18.912502 -- 7550000 Mar 21, 2023 18.936669 -- 7550000 Mar 20, 2023 18.778008 -- 7550000 Mar 17, 2023 18.774756 -- 7550000 Mar 16, 2023 18.913322 -- 7550000 Mar 15, 2023 18.801229 -- 7550000 Mar 14, 2023 19.019988 -- 7550000 Mar 13, 2023 18.891503 -- 7550000 Mar 10, 2023 19.049066 -- 7600000 Mar 09, 2023 19.16999 -- 7600000 Mar 08, 2023 19.335419 -- 7600000 Mar 07, 2023 19.331158 -- 7600000 Mar 06, 2023 19.489452 -- 7600000 Mar 03, 2023 19.49098 -- 7600000 Mar 02, 2023 19.352595 0.057397 7600000 Mar 01, 2023 19.430156 -- 7600000 Feb 28, 2023 19.424699 -- 7600000 Feb 27, 2023 19.476924 -- 7600000 Feb 24, 2023 19.415509 -- 7600000 Feb 23, 2023 19.5805 -- 7600000 Feb 22, 2023 19.457062 -- 7600000 Feb 21, 2023 19.403182 -- 7600000 Feb 17, 2023 19.66251 -- 7600000 Feb 16, 2023 19.636356 -- 7600000 Feb 15, 2023 19.718562 -- 7500000 Feb 14, 2023 19.7438 -- 7500000 Feb 13, 2023 19.761174 -- 7500000 Feb 10, 2023 19.664478 -- 7500000 Feb 09, 2023 19.719692 -- 7500000 Feb 08, 2023 19.878818 -- 7500000 Feb 07, 2023 19.923442 -- 7500000 Feb 06, 2023 19.866498 -- 7500000 Feb 03, 2023 20.073303 -- 7550000 Feb 02, 2023 20.299912 0.054722 7300000 Feb 01, 2023 20.313826 -- 7550000 Jan 31, 2023 20.121767 -- 7550000 Jan 30, 2023 19.977789 -- 7550000 Jan 27, 2023 20.122084 -- 7550000 Jan 26, 2023 20.141589 -- 7550000 Jan 25, 2023 20.079264 -- 7650000 Jan 24, 2023 20.047131 -- 7650000 Jan 23, 2023 20.034789 -- 7700000 Jan 20, 2023 20.002002 -- 7700000 Jan 19, 2023 19.926278 -- 7800000 Jan 18, 2023 19.950203 -- 7850000 Jan 17, 2023 19.908502 -- 7850000 Jan 13, 2023 19.909253 -- 7850000 Jan 12, 2023 19.901848 -- 7850000 Jan 11, 2023 19.742801 -- 7850000 Jan 10, 2023 19.597212 -- 7850000 Jan 09, 2023 19.556177 -- 7850000 Jan 06, 2023 19.543468 -- 7850000 Jan 05, 2023 19.237614 -- 7850000 Jan 04, 2023 19.280945 -- 7900000 Jan 03, 2023 19.078116 -- 7950000 Dec 30, 2022 19.016475 -- 7950000 Dec 29, 2022 19.074271 -- 8050000 Dec 28, 2022 18.924618 -- 8000000 Dec 27, 2022 19.096272 -- 8000000 Dec 23, 2022 19.161605 0.226219 7900000 Dec 22, 2022 19.376077 -- 7900000 Dec 21, 2022 19.46559 -- 7750000 Dec 20, 2022 19.290049 -- 7750000 Dec 19, 2022 19.286285 -- 7800000 Dec 16, 2022 19.323709 -- 7800000 Dec 15, 2022 19.433023 -- 7800000 Dec 14, 2022 19.569277 -- 7800000 Dec 13, 2022 19.616151 -- 7900000 Dec 12, 2022 19.47375 -- 8000000 Dec 09, 2022 19.440816 -- 8000000 Dec 08, 2022 19.475801 -- 8000000 Dec 07, 2022 19.46467 -- 7950000 Dec 06, 2022 19.374248 -- 7850000 Dec 05, 2022 19.424286 -- 7850000 Dec 02, 2022 19.652198 0.050727 7850000 Dec 01, 2022 19.713915 -- 7800000 Nov 30, 2022 19.590329 -- 7800000 Nov 29, 2022 19.328061 -- 7800000 Nov 28, 2022 19.269059 -- 7750000 Nov 25, 2022 19.398701 -- 7750000 Nov 23, 2022 19.351946 -- 7750000 Nov 22, 2022 19.222783 -- 7600000 Nov 21, 2022 19.092997 -- 7600000 Nov 18, 2022 19.096309 -- 7600000 Nov 17, 2022 19.084069 -- 7600000 Nov 16, 2022 19.210492 -- 7600000 Nov 15, 2022 19.274595 -- 7600000 Nov 14, 2022 19.094388 -- 7600000 Nov 11, 2022 19.218037 -- 7600000 Nov 10, 2022 19.08596 -- 7600000 Nov 09, 2022 18.48156 -- 7600000 Nov 08, 2022 18.634663 -- 7650000 Nov 07, 2022 18.528024 -- 7650000 Nov 04, 2022 18.518371 -- 7650000 Nov 03, 2022 18.248595 -- 7650000 Nov 02, 2022 18.325025 0.054833 7700000 Nov 01, 2022 18.574352 -- 7700000 Oct 31, 2022 18.421343 -- 7800000 Oct 28, 2022 18.566508 -- 7800000 Oct 27, 2022 18.500795 -- 7800000 Oct 26, 2022 18.462627 -- 7800000 Oct 25, 2022 18.375123 -- 7800000 Oct 24, 2022 18.163729 -- 7800000 Oct 21, 2022 18.215476 -- 7800000 Oct 20, 2022 18.060172 -- 7800000 Oct 19, 2022 18.165568 -- 7800000 Oct 18, 2022 18.338513 -- 7800000 Oct 17, 2022 18.233104 -- 7900000 Oct 14, 2022 18.047807 -- 8050000 Oct 13, 2022 18.18688 -- 8050000 Oct 12, 2022 18.134589 -- 8150000 Oct 11, 2022 18.188252 -- 8150000 Oct 10, 2022 18.19764 -- 8100000 Oct 07, 2022 18.31921 -- 8200000 Oct 06, 2022 18.519784 -- 8200000 Oct 05, 2022 18.636996 -- 8200000 Oct 04, 2022 18.81012 0.188232 8200000 Oct 03, 2022 18.683707 -- 8200000 Sep 30, 2022 18.379274 -- 8250000 Sep 29, 2022 18.419501 -- 8250000 Sep 28, 2022 18.638509 -- 8250000 Sep 27, 2022 18.374304 -- 8350000 Sep 26, 2022 18.467934 -- 8350000 Sep 23, 2022 18.803007 -- 8350000 Sep 22, 2022 19.102365 -- 8350000 Sep 21, 2022 19.218973 -- 8350000 Sep 20, 2022 19.290838 -- 8350000 Sep 19, 2022 19.468189 -- 8350000 Sep 16, 2022 19.424004 -- 8350000 Sep 15, 2022 19.449471 -- 8350000 Sep 14, 2022 19.572146 -- 8350000 Sep 13, 2022 19.535623 -- 8350000 Sep 12, 2022 19.905889 -- 8350000 Sep 09, 2022 19.814975 -- 8350000 Sep 08, 2022 19.636182 -- 8400000 Sep 07, 2022 19.645556 -- 8400000 Sep 06, 2022 19.456974 -- 8450000 Sep 02, 2022 19.560001 0.054342 8450000 Sep 01, 2022 19.603712 -- 8450000 Aug 31, 2022 19.688869 -- 8450000 Aug 30, 2022 19.789124 -- 8450000 Aug 29, 2022 19.907336 -- 8450000 Aug 26, 2022 19.987033 -- 8450000 Aug 25, 2022 20.210948 -- 8550000 Aug 24, 2022 20.015917 -- 8550000 Aug 23, 2022 20.03977 -- 8550000 Aug 22, 2022 20.020037 -- 8650000 Aug 19, 2022 20.203968 -- 8650000 Aug 18, 2022 20.42348 -- 8650000 Aug 17, 2022 20.42677 -- 8700000 Aug 16, 2022 20.617016 -- 8700000 Aug 15, 2022 20.658112 -- 8600000 Aug 12, 2022 20.707298 -- 8600000 Aug 11, 2022 20.553176 -- 8600000 Aug 10, 2022 20.637412 -- 8600000 Aug 09, 2022 20.403409 -- 8600000 Aug 08, 2022 20.526267 -- 8600000 Aug 05, 2022 20.402459 -- 8600000 Aug 04, 2022 20.509759 -- 8600000 Aug 03, 2022 20.451937 -- 8600000 Aug 02, 2022 20.267947 0.052004 8600000 Aug 01, 2022 20.499034 -- 8600000 Jul 29, 2022 20.470083 -- 8600000 Jul 28, 2022 20.37406 -- 8600000 Jul 27, 2022 20.184028 -- 8600000 Jul 26, 2022 19.974351 -- 8600000 Jul 25, 2022 20.058132 -- 8600000 Jul 22, 2022 20.01473 -- 8600000 Jul 21, 2022 19.943494 -- 8600000 Jul 20, 2022 19.799142 -- 8600000 Jul 19, 2022 19.770957 -- 8600000 Jul 18, 2022 19.56447 -- 8600000 Jul 15, 2022 19.58446 -- 8600000 Jul 14, 2022 19.401375 -- 8450000 Jul 13, 2022 19.586744 -- 8300000 Jul 12, 2022 19.587289 -- 8300000 Jul 11, 2022 19.597589 -- 8200000 Jul 08, 2022 19.711054 -- 8200000 Jul 07, 2022 19.732108 -- 8350000 Jul 06, 2022 19.540769 -- 8350000 Jul 05, 2022 19.674605 0.152763 8500000 Jul 01, 2022 19.972701 -- 8500000 Jun 30, 2022 19.842012 -- 8500000 Jun 29, 2022 19.837437 -- 8500000 Jun 28, 2022 19.797534 -- 8550000 Jun 27, 2022 19.899407 -- 8600000 Jun 24, 2022 19.969301 -- 8650000 Jun 23, 2022 19.829955 -- 8700000 Jun 22, 2022 19.763453 -- 8700000 Jun 21, 2022 19.757304 -- 8700000 Jun 17, 2022 19.681201 -- 8700000 Jun 16, 2022 19.678979 -- 8700000 Jun 15, 2022 20.014019 -- 8700000 Jun 14, 2022 19.639473 -- 8700000 Jun 13, 2022 19.674384 -- 8700000 Jun 10, 2022 20.307679 -- 8700000 Jun 09, 2022 20.638435 -- 8700000 Jun 08, 2022 20.832008 -- 8700000 Jun 07, 2022 21.04283 -- 8700000 Jun 06, 2022 20.944945 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8650000 Apr 22, 2022 21.210585 -- 8650000 Apr 21, 2022 21.389331 -- 8650000 Apr 20, 2022 21.596875 -- 8700000 Apr 19, 2022 21.43984 -- 8700000 Apr 18, 2022 21.529106 -- 8750000 Apr 14, 2022 21.580981 -- 8750000 Apr 13, 2022 21.729801 -- 8750000 Apr 12, 2022 21.639577 -- 8750000 Apr 11, 2022 21.612394 -- 8750000 Apr 08, 2022 21.797232 -- 8800000 Apr 07, 2022 21.8696 -- 8800000 Apr 06, 2022 21.945143 -- 8800000 Apr 05, 2022 22.053148 -- 8800000 Apr 04, 2022 22.36777 0.087066 8800000 Apr 01, 2022 22.403745 -- 8800000 Mar 31, 2022 22.335474 -- 8850000 Mar 30, 2022 22.377319 -- 8850000 Mar 29, 2022 22.320128 -- 8900000 Mar 28, 2022 22.126656 -- 8900000 Mar 25, 2022 22.050966 -- 8900000 Mar 24, 2022 22.152939 -- 8900000 Mar 23, 2022 22.154216 -- 8900000 Mar 22, 2022 22.107097 -- 8900000 Mar 21, 2022 22.112066 -- 8900000 Mar 18, 2022 22.342489 -- 8900000 Mar 17, 2022 22.198588 -- 8900000 Mar 16, 2022 22.13865 -- 8900000 Mar 15, 2022 21.862645 -- 9000000 Mar 14, 2022 21.790247 -- 9000000 Mar 11, 2022 22.072884 -- 9000000 Mar 10, 2022 22.180874 -- 9000000 Mar 09, 2022 22.310953 -- 9000000 Mar 08, 2022 22.173433 -- 9000000 Mar 07, 2022 22.217396 -- 9000000 Mar 04, 2022 22.480927 -- 9000000 Mar 03, 2022 22.494259 -- 9000000 Mar 02, 2022 22.516236 0.036206 9000000 Mar 01, 2022 22.649557 -- 9000000 Feb 28, 2022 22.811864 -- 9000000 Feb 25, 2022 22.937407 -- 9000000 Feb 24, 2022 22.675546 -- 9100000 Feb 23, 2022 22.852983 -- 9100000 Feb 22, 2022 23.037873 -- 9100000 Feb 18, 2022 23.160412 -- 9100000 Feb 17, 2022 23.127028 -- 9100000 Feb 16, 2022 23.180746 -- 9100000 Feb 15, 2022 23.074153 -- 9200000 Feb 14, 2022 23.00433 -- 9200000 Feb 11, 2022 23.153442 -- 9200000 Feb 10, 2022 23.168959 -- 9200000 Feb 09, 2022 23.405937 -- 9200000 Feb 08, 2022 23.289271 -- 9200000 Feb 07, 2022 23.304565 -- 9250000 Feb 04, 2022 23.271462 -- 9250000 Feb 03, 2022 23.409891 -- 9250000 Feb 02, 2022 23.537384 0.036154 9250000 Feb 01, 2022 23.520645 -- 9300000 Jan 31, 2022 23.492665 -- 9300000 Jan 28, 2022 23.382854 -- 9300000 Jan 27, 2022 23.299735 -- 9300000 Jan 26, 2022 23.229027 -- 9300000 Jan 25, 2022 23.421092 -- 9300000 Jan 24, 2022 23.445596 -- 9300000 Jan 21, 2022 23.561286 -- 9450000 Jan 20, 2022 23.539213 -- 9450000 Jan 19, 2022 23.549528 -- 9450000 Jan 18, 2022 23.453885 -- 9450000 Jan 14, 2022 23.665433 -- 9450000 Jan 13, 2022 23.791569 -- 9450000 Jan 12, 2022 23.810294 -- 9450000 Jan 11, 2022 23.768634 -- 9450000 Jan 10, 2022 23.630642 -- 9450000 Jan 07, 2022 23.629534 -- 9500000 Jan 06, 2022 23.657229 -- 9500000 Jan 05, 2022 23.624476 -- 9500000 Jan 04, 2022 23.798599 -- 9500000 Jan 03, 2022 23.836536 -- 9600000 Dec 31, 2021 23.998009 -- 9600000 Dec 30, 2021 23.976109 -- 9600000 Dec 29, 2021 23.904354 -- 9600000 Dec 28, 2021 23.978501 -- 9600000 Dec 27, 2021 23.995838 -- 9600000 Dec 23, 2021 23.912709 0.179491 9600000 Dec 22, 2021 24.091184 -- 9600000 Dec 21, 2021 23.985282 -- 9600000 Dec 20, 2021 23.905559 -- 9550000 Dec 17, 2021 23.992023 -- 9550000 Dec 16, 2021 24.00151 -- 9550000 Dec 15, 2021 23.92834 -- 9550000 Dec 14, 2021 23.910582 -- 9550000 Dec 13, 2021 23.978646 -- 9550000 Dec 10, 2021 23.945263 -- 9550000 Dec 09, 2021 23.924322 -- 9550000 Dec 08, 2021 23.959329 -- 9550000 Dec 07, 2021 24.002824 -- 9550000 Dec 06, 2021 23.93226 -- 9550000 Dec 03, 2021 23.926594 -- 9550000 Dec 02, 2021 23.86655 0.024751 9550000 Dec 01, 2021 23.756958 -- 9550000 Nov 30, 2021 23.756285 -- 9550000 Nov 29, 2021 23.750837 -- 9600000 Nov 26, 2021 23.71809 -- 9600000 Nov 24, 2021 23.775997 -- 9600000 Nov 23, 2021 23.683854 -- 9600000 Nov 22, 2021 23.744309 -- 9600000 Nov 19, 2021 23.887427 -- 9600000 Nov 18, 2021 23.87841 -- 9600000 Nov 17, 2021 23.896485 -- 9600000 Nov 16, 2021 23.872507 -- 9600000 Nov 15, 2021 23.926738 -- 9600000 Nov 12, 2021 24.028508 -- 9600000 Nov 11, 2021 24.071621 -- 9650000 Nov 10, 2021 24.057322 -- 9650000 Nov 09, 2021 24.271614 -- 9650000 Nov 08, 2021 24.20181 -- 9650000 Nov 05, 2021 24.218799 -- 9700000 Nov 04, 2021 24.090883 -- 9700000 Nov 03, 2021 24.041717 -- 9700000 Nov 02, 2021 24.063704 0.026503 9700000 Nov 01, 2021 24.089617 -- 9700000 Oct 29, 2021 24.081486 -- 9700000 Oct 28, 2021 24.102405 -- 9700000 Oct 27, 2021 24.134351 -- 9800000 Oct 26, 2021 24.081395 -- 9800000 Oct 25, 2021 24.051822 -- 9800000 Oct 22, 2021 24.00575 -- 9850000 Oct 21, 2021 23.938088 -- 9850000 Oct 20, 2021 24.032976 -- 9850000 Oct 19, 2021 24.022306 -- 9850000 Oct 18, 2021 24.072612 -- 9850000 Oct 15, 2021 24.066574 -- 9850000 Oct 14, 2021 24.112942 -- 9850000 Oct 13, 2021 24.023877 -- 9850000 Oct 12, 2021 23.904329 -- 9850000 Oct 11, 2021 23.758815 -- 9950000 Oct 08, 2021 23.809357 -- 9950000 Oct 07, 2021 23.853221 -- 9950000 Oct 06, 2021 23.896998 -- 9900000 Oct 05, 2021 23.854719 -- 9900000 Oct 04, 2021 23.889477 0.108809 9950000 Oct 01, 2021 24.065294 -- 9900000 Sep 30, 2021 23.94805 -- 9900000 Sep 29, 2021 23.967475 -- 9900000 Sep 28, 2021 23.938886 -- 9900000 Sep 27, 2021 24.116283 -- 9900000 Sep 24, 2021 24.131732 -- 9900000 Sep 23, 2021 24.254219 -- 9900000 Sep 22, 2021 24.34752 -- 9900000 Sep 21, 2021 24.219579 -- 9900000 Sep 20, 2021 24.157151 -- 9900000 Sep 17, 2021 24.245716 -- 9900000 Sep 16, 2021 24.383156 -- 9900000 Sep 15, 2021 24.469431 -- 9900000 Sep 14, 2021 24.441607 -- 9900000 Sep 13, 2021 24.420664 -- 9900000 Sep 10, 2021 24.311404 -- 9900000 Sep 09, 2021 24.401031 -- 9900000 Sep 08, 2021 24.340167 -- 10000000 Sep 07, 2021 24.319376 -- 10000000 Sep 03, 2021 24.438828 -- 10000000 Sep 02, 2021 24.483956 0.030371 10000000 Sep 01, 2021 24.467488 -- 10000000 Aug 31, 2021 24.414579 -- 10000000 Aug 30, 2021 24.432926 -- 10000000 Aug 27, 2021 24.388319 -- 10000000 Aug 26, 2021 24.225594 -- 10000000 Aug 25, 2021 24.277593 -- 10000000 Aug 24, 2021 24.30213 -- 10000000 Aug 23, 2021 24.306006 -- 10000000 Aug 20, 2021 24.246389 -- 10000000 Aug 19, 2021 24.208876 -- 10000000 Aug 18, 2021 24.206546 -- 10000000 Aug 17, 2021 24.253393 -- 10000000 Aug 16, 2021 24.313524 -- 10000000 Aug 13, 2021 24.300594 -- 10000000 Aug 12, 2021 24.170645 -- 10000000 Aug 11, 2021 24.166557 -- 10000000 Aug 10, 2021 24.112387 -- 10000000 Aug 09, 2021 24.150084 -- 10000000 Aug 06, 2021 24.217619 -- 10000000 Aug 05, 2021 24.362853 -- 10000000 Aug 04, 2021 24.372002 -- 10000000 Aug 03, 2021 24.410816 0.031355 10000000 Aug 02, 2021 24.393145 -- 10000000 Jul 30, 2021 24.31903 -- 10000000 Jul 29, 2021 24.313417 -- 10000000 Jul 28, 2021 24.295913 -- 10000000 Jul 27, 2021 24.256 -- 10000000 Jul 26, 2021 24.207445 -- 10000000 Jul 23, 2021 24.215539 -- 10000000 Jul 22, 2021 24.235725 -- 10000000 Jul 21, 2021 24.185984 -- 10000000 Jul 20, 2021 24.22143 -- 10000000 Jul 19, 2021 24.19156 -- 10000000 Jul 16, 2021 24.193681 -- 10000000 Jul 15, 2021 24.232618 -- 10000000 Jul 14, 2021 24.165224 -- 10000000 Jul 13, 2021 24.071442 -- 10000000 Jul 12, 2021 24.202864 -- 10000000 Jul 09, 2021 24.204225 -- 10000000 Jul 08, 2021 24.197541 -- 10000000 Jul 07, 2021 24.236011 -- 9950000 Jul 06, 2021 24.181939 -- 9950000 Jul 02, 2021 24.150879 0.147719 9950000 Jul 01, 2021 24.223651 -- 9950000 Jun 30, 2021 24.210483 -- 9950000 Jun 29, 2021 24.161618 -- 9950000 Jun 28, 2021 24.190649 -- 10000000 Jun 25, 2021 24.149371 -- 10000000 Jun 24, 2021 24.197289 -- 10000000 Jun 23, 2021 24.150571 -- 10000000 Jun 22, 2021 24.185578 -- 10000000 Jun 21, 2021 24.153118 -- 10000000 Jun 18, 2021 24.166995 -- 10050000 Jun 17, 2021 24.16213 -- 10050000 Jun 16, 2021 24.100933 -- 10050000 Jun 15, 2021 24.197306 -- 10050000 Jun 14, 2021 24.234571 -- 10050000 Jun 11, 2021 24.288457 -- 10050000 Jun 10, 2021 24.31567 -- 10150000 Jun 09, 2021 24.229667 -- 10150000 Jun 08, 2021 24.158925 -- 10150000 Jun 07, 2021 24.104253 -- 10150000 Jun 04, 2021 24.133701 -- 10150000 Jun 03, 2021 23.984279 -- 10150000 Jun 02, 2021 24.043597 0.037636 10150000 Jun 01, 2021 24.014895 -- 10150000 May 28, 2021 23.961029 -- 10150000 May 27, 2021 23.933878 -- 10150000 May 26, 2021 23.93835 -- 10150000 May 25, 2021 23.931536 -- 10150000 May 24, 2021 23.901425 -- 10150000 May 21, 2021 23.832566 -- 10150000 May 20, 2021 23.829686 -- 10150000 May 19, 2021 23.684838 -- 10150000 May 18, 2021 23.774376 -- 10150000 May 17, 2021 23.774929 -- 10150000 May 14, 2021 23.811304 -- 10150000 May 13, 2021 23.645574 -- 10150000 May 12, 2021 23.533319 -- 10150000 May 11, 2021 23.790026 -- 10150000 May 10, 2021 23.92163 -- 10100000 May 07, 2021 24.009663 -- 10300000 May 06, 2021 23.926884 -- 10400000 May 05, 2021 23.841633 -- 10400000 May 04, 2021 23.764287 0.040606 10400000 May 03, 2021 23.821842 -- 10400000 Apr 30, 2021 23.758481 -- 10400000 Apr 29, 2021 23.823956 -- 10400000 Apr 28, 2021 23.830158 -- 10400000 Apr 27, 2021 23.771741 -- 10400000 Apr 26, 2021 23.846365 -- 10400000 Apr 23, 2021 23.841443 -- 10500000 Apr 22, 2021 23.763581 -- 10500000 Apr 21, 2021 23.795322 -- 10500000 Apr 20, 2021 23.708829 -- 10500000 Apr 19, 2021 23.752315 -- 10500000 Apr 16, 2021 23.798763 -- 10500000 Apr 15, 2021 23.812307 -- 10550000 Apr 14, 2021 23.631852 -- 10550000 Apr 13, 2021 23.638459 -- 10600000 Apr 12, 2021 23.557167 -- 10600000 Apr 09, 2021 23.579169 -- 10600000 Apr 08, 2021 23.618382 -- 10600000 Apr 07, 2021 23.527712 -- 10600000 Apr 06, 2021 23.56192 -- 10600000 Apr 05, 2021 23.518808 0.123653 10600000 Apr 01, 2021 23.613979 -- 10600000 Mar 31, 2021 23.460763 -- 10600000 Mar 30, 2021 23.448705 -- 10600000 Mar 29, 2021 23.407009 -- 10600000 Mar 26, 2021 23.499764 -- 10600000 Mar 25, 2021 23.40676 -- 10600000 Mar 24, 2021 23.395956 -- 10600000 Mar 23, 2021 23.375899 -- 10600000 Mar 22, 2021 23.411876 -- 10600000 Mar 19, 2021 23.345048 -- 10600000 Mar 18, 2021 23.250703 -- 10700000 Mar 17, 2021 23.480431 -- 10700000 Mar 16, 2021 23.486567 -- 10700000 Mar 15, 2021 23.541308 -- 10700000 Mar 12, 2021 23.468504 -- 10700000 Mar 11, 2021 23.617695 -- 10750000 Mar 10, 2021 23.558132 -- 10800000 Mar 09, 2021 23.460017 -- 10800000 Mar 08, 2021 23.312276 -- 10800000 Mar 05, 2021 23.399639 -- 10800000 Mar 04, 2021 23.279787 -- 10800000 Mar 03, 2021 23.43938 -- 10800000 Mar 02, 2021 23.548682 0.039094 10800000 Mar 01, 2021 23.563196 -- 10850000 Feb 26, 2021 23.45624 -- 10900000 Feb 25, 2021 23.347666 -- 10900000 Feb 24, 2021 23.68036 -- 10900000 Feb 23, 2021 23.642265 -- 10900000 Feb 22, 2021 23.59837 -- 10900000 Feb 19, 2021 23.67589 -- 10900000 Feb 18, 2021 23.708606 -- 10900000 Feb 17, 2021 23.787638 -- 10900000 Feb 16, 2021 23.780738 -- 10950000 Feb 12, 2021 23.853148 -- 10950000 Feb 11, 2021 23.896952 -- 10950000 Feb 10, 2021 23.909929 -- 10950000 Feb 09, 2021 23.860528 -- 10950000 Feb 08, 2021 23.865437 -- 10950000 Feb 05, 2021 23.78084 -- 10950000 Feb 04, 2021 23.760168 -- 10950000 Feb 03, 2021 23.734965 -- 10950000 Feb 02, 2021 23.793764 0.043604 11050000 Feb 01, 2021 23.785345 -- 11050000 Jan 29, 2021 23.651816 -- 11050000 Jan 28, 2021 23.873927 -- 11050000 Jan 27, 2021 23.818879 -- 11050000 Jan 26, 2021 24.008539 -- 11050000 Jan 25, 2021 23.994812 -- 11050000 Jan 22, 2021 23.951306 -- 11100000 Jan 21, 2021 24.002353 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2020 23.917833 -- 11300000 Dec 07, 2020 23.858507 -- 11300000 Dec 04, 2020 23.82575 -- 11300000 Dec 03, 2020 23.818891 -- 11300000 Dec 02, 2020 23.708375 0.039882 11300000 Dec 01, 2020 23.726665 -- 11300000 Nov 30, 2020 23.676667 -- 11300000 Nov 27, 2020 23.915086 -- 11300000 Nov 25, 2020 23.831363 -- 11300000 Nov 24, 2020 23.859374 -- 11350000 Nov 23, 2020 23.690487 -- 11400000 Nov 20, 2020 23.620767 -- 11400000 Nov 19, 2020 23.581816 -- 11400000 Nov 18, 2020 23.50942 -- 11400000 Nov 17, 2020 23.545262 -- 11400000 Nov 16, 2020 23.453258 -- 11400000 Nov 13, 2020 23.247931 -- 11400000 Nov 12, 2020 23.094561 -- 11400000 Nov 11, 2020 23.182604 -- 11450000 Nov 10, 2020 23.13399 -- 11450000 Nov 09, 2020 22.939009 -- 11500000 Nov 06, 2020 22.71204 -- 11500000 Nov 05, 2020 22.827621 -- 11500000 Nov 04, 2020 22.638951 -- 11500000 Nov 03, 2020 22.36684 0.035085 11500000 Nov 02, 2020 22.244409 -- 11500000 Oct 30, 2020 22.075466 -- 11500000 Oct 29, 2020 22.155233 -- 11550000 Oct 28, 2020 22.121986 -- 11550000 Oct 27, 2020 22.431939 -- 11600000 Oct 26, 2020 22.440046 -- 11600000 Oct 23, 2020 22.580188 -- 11600000 Oct 22, 2020 22.433383 -- 11600000 Oct 21, 2020 22.432935 -- 11600000 Oct 20, 2020 22.491627 -- 11600000 Oct 19, 2020 22.472903 -- 11600000 Oct 16, 2020 22.573438 -- 11550000 Oct 15, 2020 22.629359 -- 11550000 Oct 14, 2020 22.687897 -- 11550000 Oct 13, 2020 22.707512 -- 11550000 Oct 12, 2020 22.77236 -- 11550000 Oct 09, 2020 22.690027 -- 11550000 Oct 08, 2020 22.689048 -- 11550000 Oct 07, 2020 22.526754 -- 11600000 Oct 06, 2020 22.50092 -- 11650000 Oct 05, 2020 22.521947 -- 11650000 Oct 02, 2020 22.516879 0.151597 11650000 Oct 01, 2020 22.655442 -- 11650000 Sep 30, 2020 22.578777 -- 11700000 Sep 29, 2020 22.579382 -- 11700000 Sep 28, 2020 22.639944 -- 11700000 Sep 25, 2020 22.469204 -- 11700000 Sep 24, 2020 22.40836 -- 11700000 Sep 23, 2020 22.366962 -- 11700000 Sep 22, 2020 22.631499 -- 11700000 Sep 21, 2020 22.625254 -- 11800000 Sep 18, 2020 22.880882 -- 11850000 Sep 17, 2020 23.010344 -- 11900000 Sep 16, 2020 23.000576 -- 11900000 Sep 15, 2020 22.985737 -- 11900000 Sep 14, 2020 22.938757 -- 11900000 Sep 11, 2020 22.821003 -- 11900000 Sep 10, 2020 22.786639 -- 11900000 Sep 09, 2020 22.895272 -- 12000000 Sep 08, 2020 22.729016 -- 12000000 Sep 04, 2020 22.806111 -- 12000000 Sep 03, 2020 22.929234 -- 12000000 Sep 02, 2020 23.067532 0.036604 12000000 Sep 01, 2020 23.01157 -- 12050000 Aug 31, 2020 22.887373 -- 12050000 Aug 28, 2020 22.972173 -- 12050000 Aug 27, 2020 22.839565 -- 12150000 Aug 26, 2020 22.969225 -- 12150000 Aug 25, 2020 23.027188 -- 12150000 Aug 24, 2020 23.099224 -- 12150000 Aug 21, 2020 22.937474 -- 12150000 Aug 20, 2020 22.937959 -- 12150000 Aug 19, 2020 22.877677 -- 12200000 Aug 18, 2020 22.975024 -- 12200000 Aug 17, 2020 22.9715 -- 12200000 Aug 14, 2020 22.920569 -- 12200000 Aug 13, 2020 22.976654 -- 12200000 Aug 12, 2020 23.136711 -- 12200000 Aug 11, 2020 23.088534 -- 12200000 Aug 10, 2020 23.16571 -- 12200000 Aug 07, 2020 23.047852 -- 12200000 Aug 06, 2020 23.119264 -- 12200000 Aug 05, 2020 23.083302 -- 12200000 Aug 04, 2020 23.001704 0.040898 12200000 Aug 03, 2020 22.936153 -- 12200000 Jul 31, 2020 22.905998 -- 12200000 Jul 30, 2020 22.975572 -- 12300000 Jul 29, 2020 23.026909 -- 12300000 Jul 28, 2020 22.850039 -- 12300000 Jul 27, 2020 22.856904 -- 12300000 Jul 24, 2020 22.800355 -- 12350000 Jul 23, 2020 22.84694 -- 12350000 Jul 22, 2020 22.909069 -- 12350000 Jul 21, 2020 22.809369 -- 12350000 Jul 20, 2020 22.706262 -- 12350000 Jul 17, 2020 22.635383 -- 12400000 Jul 16, 2020 22.585592 -- 12450000 Jul 15, 2020 22.573418 -- 12450000 Jul 14, 2020 22.408216 -- 12450000 Jul 13, 2020 22.199101 -- 12450000 Jul 10, 2020 22.281188 -- 12450000 Jul 09, 2020 22.195949 -- 12450000 Jul 08, 2020 22.324277 -- 12450000 Jul 07, 2020 22.210798 -- 12450000 Jul 06, 2020 22.393467 -- 12450000 Jul 02, 2020 22.201247 0.174884 12450000 Jul 01, 2020 22.28376 -- 12450000 Jun 30, 2020 22.233386 -- 12550000 Jun 29, 2020 22.184632 -- 12650000 Jun 26, 2020 22.098989 -- 12650000 Jun 25, 2020 22.287898 -- 12650000 Jun 24, 2020 22.132862 -- 12700000 Jun 23, 2020 22.416674 -- 12700000 Jun 22, 2020 22.373438 -- 12750000 Jun 19, 2020 22.323074 -- 12750000 Jun 18, 2020 22.43284 -- 12750000 Jun 17, 2020 22.433655 -- 12750000 Jun 16, 2020 22.482207 -- 12750000 Jun 15, 2020 22.43941 -- 12750000 Jun 12, 2020 22.296282 -- 12750000 Jun 11, 2020 21.957685 -- 12750000 Jun 10, 2020 22.74464 -- 12750000 Jun 09, 2020 22.847962 -- 12750000 Jun 08, 2020 23.13485 -- 12700000 Jun 05, 2020 22.734204 -- 12700000 Jun 04, 2020 22.431999 -- 12700000 Jun 03, 2020 22.417541 -- 12700000 Jun 02, 2020 22.125111 0.043022 12700000 Jun 01, 2020 21.970928 -- 12700000 May 29, 2020 21.767273 -- 12700000 May 28, 2020 21.736511 -- 12700000 May 27, 2020 21.775682 -- 12750000 May 26, 2020 21.640612 -- 12800000 May 22, 2020 21.39031 -- 12850000 May 21, 2020 21.393046 -- 12850000 May 20, 2020 21.411613 -- 12900000 May 19, 2020 21.064946 -- 12950000 May 18, 2020 21.107837 -- 12950000 May 15, 2020 20.668156 -- 12950000 May 14, 2020 20.709749 -- 12950000 May 13, 2020 20.564336 -- 13000000 May 12, 2020 20.755417 -- 13150000 May 11, 2020 20.802192 -- 13200000 May 08, 2020 20.956925 -- 13200000 May 07, 2020 20.795782 -- 13200000 May 06, 2020 20.670039 -- 13250000 May 05, 2020 20.903501 -- 13250000 May 04, 2020 20.771437 0.056054 13250000 May 01, 2020 20.780831 -- 13250000 Apr 30, 2020 21.101352 -- 13300000 Apr 29, 2020 21.24595 -- 13300000 Apr 28, 2020 20.846629 -- 13300000 Apr 27, 2020 20.624326 -- 13350000 Apr 24, 2020 20.53258 -- 13350000 Apr 23, 2020 20.607565 -- 13350000 Apr 22, 2020 20.55689 -- 13350000 Apr 21, 2020 20.480917 -- 13350000 Apr 20, 2020 20.670442 -- 13450000 Apr 17, 2020 20.933805 -- 13450000 Apr 16, 2020 20.655272 -- 13450000 Apr 15, 2020 20.722065 -- 13500000 Apr 14, 2020 21.048901 -- 13500000 Apr 13, 2020 21.006449 -- 13500000 Apr 09, 2020 21.169385 -- 13500000 Apr 08, 2020 20.266618 -- 13500000 Apr 07, 2020 19.737622 -- 13650000 Apr 06, 2020 19.566163 -- 13650000 Apr 03, 2020 18.955143 -- 13750000 Apr 02, 2020 19.314429 0.219913 15150000 Apr 01, 2020 19.349814 -- 15250000 Mar 31, 2020 20.066259 -- 15250000 Mar 30, 2020 20.160997 -- 15250000 Mar 27, 2020 20.237144 -- 15400000 Mar 26, 2020 20.579367 -- 15400000 Mar 25, 2020 19.719786 -- 15600000 Mar 24, 2020 18.754473 -- 15600000 Mar 23, 2020 18.198077 -- 15600000 Mar 20, 2020 18.292186 -- 15800000 Mar 19, 2020 18.2113 -- 15800000 Mar 18, 2020 18.284862 -- 15900000 Mar 17, 2020 20.059204 -- 15900000 Mar 16, 2020 20.308337 -- 16100000 Mar 13, 2020 21.710979 -- 17200000 Mar 12, 2020 20.738825 -- 17200000 Mar 11, 2020 22.615772 -- 17250000 Mar 10, 2020 23.542449 -- 17250000 Mar 09, 2020 23.297153 -- 17150000 Mar 06, 2020 24.812061 -- 17200000 Mar 05, 2020 24.979381 -- 17350000 Mar 04, 2020 25.308928 -- 17400000 Mar 03, 2020 25.017752 0.052097 17150000 Mar 02, 2020 25.061411 -- 17150000 Feb 28, 2020 24.684914 -- 17200000 Feb 27, 2020 24.794224 -- 17100000 Feb 26, 2020 25.319612 -- 17050000 Feb 25, 2020 25.370931 -- 17000000 Feb 24, 2020 25.667022 -- 17000000 Feb 21, 2020 26.018148 -- 17000000 Feb 20, 2020 26.058019 -- 17000000 Feb 19, 2020 26.034322 -- 17000000 Feb 18, 2020 26.013029 -- 17000000 Feb 14, 2020 26.025852 -- 17000000 Feb 13, 2020 25.959968 -- 17000000 Feb 12, 2020 25.958033 -- 17000000 Feb 11, 2020 25.871359 -- 17000000 Feb 10, 2020 25.820615 -- 16850000 Feb 07, 2020 25.803139 -- 16800000 Feb 06, 2020 25.85516 -- 16800000 Feb 05, 2020 25.838667 -- 16650000 Feb 04, 2020 25.742002 0.071405 16650000 Feb 03, 2020 25.714763 -- 16500000 Jan 31, 2020 25.682669 -- 16550000 Jan 30, 2020 25.780994 -- 16550000 Jan 29, 2020 25.809797 -- 16500000 Jan 28, 2020 25.744673 -- 16600000 Jan 27, 2020 25.606044 -- 16600000 Jan 24, 2020 25.783152 -- 16600000 Jan 23, 2020 25.84834 -- 16600000 Jan 22, 2020 25.868764 -- 16600000 Jan 21, 2020 25.830053 -- 16450000 Jan 17, 2020 25.870031 -- 16450000 Jan 16, 2020 25.836978 -- 16450000 Jan 15, 2020 25.774124 -- 16450000 Jan 14, 2020 25.74298 -- 16300000 Jan 13, 2020 25.72917 -- 16300000 Jan 10, 2020 25.676368 -- 16300000 Jan 09, 2020 25.626849 -- 16350000 Jan 08, 2020 25.563567 -- 16350000 Jan 07, 2020 25.534009 -- 16350000 Jan 06, 2020 25.565339 -- 16350000 Jan 03, 2020 25.589275 -- 16350000 Jan 02, 2020 25.65675 -- 16350000 Dec 31, 2019 25.533184 -- 16350000 Dec 30, 2019 25.517608 -- 16350000 Dec 27, 2019 25.58237 -- 16350000 Dec 26, 2019 25.553643 -- 16350000 Dec 24, 2019 25.458925 0.256305 16100000 Dec 23, 2019 25.679026 -- 16300000 Dec 20, 2019 25.665372 -- 16300000 Dec 19, 2019 25.647527 -- 16300000 Dec 18, 2019 25.63108 -- 16150000 Dec 17, 2019 25.606715 -- 16150000 Dec 16, 2019 25.528257 -- 16150000 Dec 13, 2019 25.467904 -- 16150000 Dec 12, 2019 25.352701 -- 16150000 Dec 11, 2019 25.303774 -- 16100000 Dec 10, 2019 25.204756 -- 15900000 Dec 09, 2019 25.19496 -- 15900000 Dec 06, 2019 25.182216 -- 15900000 Dec 05, 2019 25.113766 -- 15900000 Dec 04, 2019 25.088292 -- 15700000 Dec 03, 2019 25.01965 0.047842 15700000 Dec 02, 2019 25.04708 -- 15700000 Nov 29, 2019 25.117683 -- 15700000 Nov 27, 2019 25.171151 -- 15600000 Nov 26, 2019 25.148421 -- 15600000 Nov 25, 2019 25.124909 -- 15600000 Nov 22, 2019 25.046343 -- 15600000 Nov 21, 2019 24.997343 -- 15600000 Nov 20, 2019 25.036845 -- 15600000 Nov 19, 2019 25.036687 -- 15600000 Nov 18, 2019 25.055002 -- 15600000 Nov 15, 2019 25.061241 -- 15450000 Nov 14, 2019 24.996983 -- 15450000 Nov 13, 2019 24.984703 -- 15450000 Nov 12, 2019 25.019518 -- 15450000 Nov 11, 2019 25.052424 -- 15450000 Nov 08, 2019 25.078759 -- 15400000 Nov 07, 2019 25.082381 -- 15400000 Nov 06, 2019 25.107368 -- 15400000 Nov 05, 2019 25.082721 -- 15400000 Nov 04, 2019 25.148108 0.048746 15400000 Nov 01, 2019 25.199316 -- 15300000 Oct 31, 2019 25.099342 -- 15300000 Oct 30, 2019 25.077217 -- 15300000 Oct 29, 2019 25.062909 -- 15550000 Oct 28, 2019 25.089171 -- 15550000 Oct 25, 2019 25.080819 -- 15550000 Oct 24, 2019 25.094726 -- 15550000 Oct 23, 2019 25.124246 -- 15500000 Oct 22, 2019 25.066664 -- 15400000 Oct 21, 2019 25.029481 -- 15400000 Oct 18, 2019 24.981963 -- 15400000 Oct 17, 2019 24.936796 -- 15400000 Oct 16, 2019 24.870309 -- 15400000 Oct 15, 2019 24.858181 -- 15400000 Oct 14, 2019 24.813894 -- 15400000 Oct 11, 2019 24.83331 -- 15400000 Oct 10, 2019 24.711304 -- 15400000 Oct 09, 2019 24.658623 -- 15500000 Oct 08, 2019 24.600683 -- 15300000 Oct 07, 2019 24.705242 -- 15300000 Oct 04, 2019 24.792326 -- 15300000 Oct 03, 2019 24.635514 -- 15300000 Oct 02, 2019 24.540449 0.194367 15300000 Oct 01, 2019 24.857495 -- 15300000 Sep 30, 2019 24.970464 -- 15300000 Sep 27, 2019 24.930055 -- 15300000 Sep 26, 2019 24.982463 -- 15300000 Sep 25, 2019 24.933666 -- 15250000 Sep 24, 2019 24.973549 -- 14100000 Sep 23, 2019 25.062339 -- 13900000 Sep 20, 2019 25.042742 -- 13900000 Sep 19, 2019 24.977792 -- 13900000 Sep 18, 2019 24.952368 -- 13900000 Sep 17, 2019 24.942207 -- 13900000 Sep 16, 2019 24.911976 -- 13900000 Sep 13, 2019 24.875629 -- 13850000 Sep 12, 2019 24.950816 -- 13850000 Sep 11, 2019 24.921662 -- 13850000 Sep 10, 2019 24.844022 -- 13850000 Sep 09, 2019 24.848701 -- 13850000 Sep 06, 2019 24.854524 -- 13850000 Sep 05, 2019 24.794795 -- 13850000 Sep 04, 2019 24.75623 0.0469 13850000 Sep 03, 2019 24.647615 -- 13850000 Aug 30, 2019 24.670691 -- 13850000 Aug 29, 2019 24.654973 -- 13850000 Aug 28, 2019 24.600843 -- 13850000 Aug 27, 2019 24.594085 -- 13850000 Aug 26, 2019 24.671397 -- 13850000 Aug 23, 2019 24.606704 -- 13800000 Aug 22, 2019 24.745648 -- 13800000 Aug 21, 2019 24.751488 -- 13800000 Aug 20, 2019 24.675856 -- 13800000 Aug 19, 2019 24.690391 -- 13800000 Aug 16, 2019 24.646678 -- 13800000 Aug 15, 2019 24.493294 -- 13800000 Aug 14, 2019 24.43714 -- 13750000 Aug 13, 2019 24.747924 -- 13750000 Aug 12, 2019 24.686476 -- 13700000 Aug 09, 2019 24.85441 -- 13700000 Aug 08, 2019 24.942939 -- 13700000 Aug 07, 2019 24.768831 -- 13700000 Aug 06, 2019 24.714435 -- 13700000 Aug 05, 2019 24.556643 -- 13700000 Aug 02, 2019 24.875861 0.048556 13700000 Aug 01, 2019 24.950186 -- 13700000 Jul 31, 2019 24.955637 -- 13750000 Jul 30, 2019 25.036508 -- 13750000 Jul 29, 2019 25.098922 -- 13750000 Jul 26, 2019 25.09288 -- 13650000 Jul 25, 2019 25.063853 -- 13600000 Jul 24, 2019 25.139082 -- 13600000 Jul 23, 2019 25.102892 -- 13600000 Jul 22, 2019 25.047049 -- 13600000 Jul 19, 2019 24.990919 -- 13600000 Jul 18, 2019 25.054862 -- 13600000 Jul 17, 2019 24.98205 -- 13600000 Jul 16, 2019 24.987161 -- 13600000 Jul 15, 2019 25.046947 -- 13600000 Jul 12, 2019 25.024594 -- 13600000 Jul 11, 2019 24.960207 -- 13000000 Jul 10, 2019 24.984512 -- 13000000 Jul 09, 2019 24.921786 -- 12950000 Jul 08, 2019 24.954747 -- 12950000 Jul 05, 2019 25.021644 -- 12950000 Jul 03, 2019 25.085627 -- 12950000 Jul 02, 2019 24.964836 0.240139 12950000 Jul 01, 2019 25.160938 -- 12950000 Jun 28, 2019 25.124913 -- 12950000 Jun 27, 2019 25.054947 -- 12900000 Jun 26, 2019 24.948531 -- 12900000 Jun 25, 2019 24.945949 -- 12900000 Jun 24, 2019 25.054489 -- 12900000 Jun 21, 2019 25.018071 -- 12900000 Jun 20, 2019 25.103016 -- 12900000 Jun 19, 2019 24.999851 -- 12900000 Jun 18, 2019 24.836344 -- 12900000 Jun 17, 2019 24.662227 -- 12900000 Jun 14, 2019 24.701143 -- 13000000 Jun 13, 2019 24.736857 -- 13000000 Jun 12, 2019 24.673552 -- 13000000 Jun 11, 2019 24.698525 -- 13000000 Jun 10, 2019 24.678854 -- 13000000 Jun 07, 2019 24.66571 -- 13000000 Jun 06, 2019 24.56529 -- 13000000 Jun 05, 2019 24.47514 -- 13000000 Jun 04, 2019 24.463157 0.051359 13000000 Jun 03, 2019 24.317962 -- 13000000 May 31, 2019 24.204948 -- 13000000 May 30, 2019 24.291498 -- 13000000 May 29, 2019 24.271823 -- 13000000 May 28, 2019 24.343672 -- 13000000 May 24, 2019 24.438394 -- 13000000 May 23, 2019 24.36038 -- 13000000 May 22, 2019 24.446411 -- 13000000 May 21, 2019 24.467126 -- 13000000 May 20, 2019 24.395178 -- 13000000 May 17, 2019 24.410611 -- 13000000 May 16, 2019 24.516655 -- 13000000 May 15, 2019 24.471853 -- 13100000 May 14, 2019 24.423932 -- 13100000 May 13, 2019 24.330533 -- 13100000 May 10, 2019 24.568832 -- 13100000 May 09, 2019 24.452071 -- 12900000 May 08, 2019 24.514783 -- 12900000 May 07, 2019 24.538954 -- 12900000 May 06, 2019 24.673132 -- 12900000 May 03, 2019 24.735989 -- 12850000 May 02, 2019 24.626066 0.049853 12850000 May 01, 2019 24.732825 -- 12750000 Apr 30, 2019 24.811322 -- 12750000 Apr 29, 2019 24.771929 -- 12750000 Apr 26, 2019 24.77942 -- 12750000 Apr 25, 2019 24.723227 -- 12750000 Apr 24, 2019 24.790662 -- 12750000 Apr 23, 2019 24.841141 -- 12650000 Apr 22, 2019 24.787309 -- 12650000 Apr 18, 2019 24.788374 -- 12650000 Apr 17, 2019 24.801239 -- 12650000 Apr 16, 2019 24.79875 -- 12600000 Apr 15, 2019 24.824527 -- 12600000 Apr 12, 2019 24.814362 -- 12600000 Apr 11, 2019 24.762222 -- 12600000 Apr 10, 2019 24.773326 -- 12600000 Apr 09, 2019 24.68706 -- 12600000 Apr 08, 2019 24.729369 -- 12600000 Apr 05, 2019 24.745789 -- 12550000 Apr 04, 2019 24.705658 -- 12550000 Apr 03, 2019 24.664571 -- 12550000 Apr 02, 2019 24.645147 0.161951 12550000 Apr 01, 2019 24.78572 -- 12550000 Mar 29, 2019 24.70394 -- 12350000 Mar 28, 2019 24.677971 -- 12350000 Mar 27, 2019 24.657684 -- 12350000 Mar 26, 2019 24.694895 -- 12350000 Mar 25, 2019 24.63952 -- 12350000 Mar 22, 2019 24.601532 -- 12300000 Mar 21, 2019 24.793545 -- 12300000 Mar 20, 2019 24.786817 -- 12250000 Mar 19, 2019 24.707461 -- 12250000 Mar 18, 2019 24.730695 -- 12250000 Mar 15, 2019 24.67232 -- 12250000 Mar 14, 2019 24.615585 -- 12200000 Mar 13, 2019 24.619542 -- 12200000 Mar 12, 2019 24.541867 -- 12200000 Mar 11, 2019 24.512742 -- 12200000 Mar 08, 2019 24.375766 -- 12200000 Mar 07, 2019 24.352418 -- 12200000 Mar 06, 2019 24.463224 -- 12150000 Mar 05, 2019 24.503926 -- 12150000 Mar 04, 2019 24.498622 0.053198 12150000 Mar 01, 2019 24.553291 -- 12150000 Feb 28, 2019 24.545607 -- 12150000 Feb 27, 2019 24.55761 -- 12050000 Feb 26, 2019 24.57624 -- 12050000 Feb 25, 2019 24.539105 -- 12050000 Feb 22, 2019 24.529613 -- 12050000 Feb 21, 2019 24.428696 -- 12050000 Feb 20, 2019 24.451427 -- 12050000 Feb 19, 2019 24.465378 -- 12050000 Feb 15, 2019 24.428505 -- 12050000 Feb 14, 2019 24.360821 -- 12250000 Feb 13, 2019 24.365745 -- 12300000 Feb 12, 2019 24.422124 -- 12950000 Feb 11, 2019 24.325179 -- 12950000 Feb 08, 2019 24.359572 -- 12950000 Feb 07, 2019 24.38715 -- 12950000 Feb 06, 2019 24.469426 -- 12900000 Feb 05, 2019 24.541831 -- 12900000 Feb 04, 2019 24.437364 0.142136 12850000 Feb 01, 2019 24.561645 -- 12850000 Jan 31, 2019 24.588273 -- 12850000 Jan 30, 2019 24.481863 -- 12850000 Jan 29, 2019 24.302921 -- 12850000 Jan 28, 2019 24.258264 -- 12700000 Jan 25, 2019 24.301 -- 12700000 Jan 24, 2019 24.221687 -- 12700000 Jan 23, 2019 24.156681 -- 12700000 Jan 22, 2019 24.044666 -- 12700000 Jan 18, 2019 24.140994 -- 12700000 Jan 17, 2019 24.062234 -- 12700000 Jan 16, 2019 23.994659 -- 12700000 Jan 15, 2019 23.936619 -- 12650000 Jan 14, 2019 23.901693 -- 12600000 Jan 11, 2019 23.939052 -- 12600000 Jan 10, 2019 23.935161 -- 12550000 Jan 09, 2019 23.894284 -- 12550000 Jan 08, 2019 23.791967 -- 12550000 Jan 07, 2019 23.736151 -- 12550000 Jan 04, 2019 23.628016 -- 12550000 Jan 03, 2019 23.351183 -- 12550000 Jan 02, 2019 23.299117 -- 12350000 Dec 31, 2018 23.247899 -- 12350000 Dec 28, 2018 23.234692 0.19935 12350000 Dec 27, 2018 23.332986 -- 12350000 Dec 26, 2018 23.327793 -- 12350000 Dec 24, 2018 23.031039 -- 12350000 Dec 21, 2018 23.161299 -- 12350000 Dec 20, 2018 23.284569 -- 12350000 Dec 19, 2018 23.450508 -- 12350000 Dec 18, 2018 23.554874 -- 12350000 Dec 17, 2018 23.536812 -- 12350000 Dec 14, 2018 23.725135 -- 12350000 Dec 13, 2018 23.796782 -- 12350000 Dec 12, 2018 23.788038 -- 12350000 Dec 11, 2018 23.712023 -- 12350000 Dec 10, 2018 23.690398 -- 12350000 Dec 07, 2018 23.765187 -- 12300000 Dec 06, 2018 23.808271 -- 12300000 Dec 04, 2018 23.809329 0.061169 12300000 Dec 03, 2018 24.064339 -- 12300000 Nov 30, 2018 23.943149 -- 12300000 Nov 29, 2018 23.973478 -- 12300000 Nov 28, 2018 23.989179 -- 12300000 Nov 27, 2018 23.795014 -- 12300000 Nov 26, 2018 23.822112 -- 12300000 Nov 23, 2018 23.721605 -- 12300000 Nov 21, 2018 23.805447 -- 12300000 Nov 20, 2018 23.681572 -- 12300000 Nov 19, 2018 23.856168 -- 12400000 Nov 16, 2018 23.939835 -- 12400000 Nov 15, 2018 23.899659 -- 12450000 Nov 14, 2018 23.957901 -- 12500000 Nov 13, 2018 23.966694 -- 12750000 Nov 12, 2018 23.965019 -- 12750000 Nov 09, 2018 24.112456 -- 12750000 Nov 08, 2018 24.113311 -- 12750000 Nov 07, 2018 24.193793 -- 12450000 Nov 06, 2018 24.068141 -- 12500000 Nov 05, 2018 24.012955 -- 12500000 Nov 02, 2018 23.943894 0.064411 12550000 Nov 01, 2018 24.036308 -- 12550000 Oct 31, 2018 23.923153 -- 12550000 Oct 30, 2018 23.930828 -- 12550000 Oct 29, 2018 23.837067 -- 12600000 Oct 26, 2018 23.857197 -- 12600000 Oct 25, 2018 23.929047 -- 12600000 Oct 24, 2018 23.846461 -- 12600000 Oct 23, 2018 23.970414 -- 12600000 Oct 22, 2018 24.029139 -- 12600000 Oct 19, 2018 24.073837 -- 12600000 Oct 18, 2018 24.040947 -- 12600000 Oct 17, 2018 24.164035 -- 12700000 Oct 16, 2018 24.218039 -- 12700000 Oct 15, 2018 24.047882 -- 12700000 Oct 12, 2018 23.988552 -- 12750000 Oct 11, 2018 23.96605 -- 12750000 Oct 10, 2018 24.069119 -- 12750000 Oct 09, 2018 24.242613 -- 12750000 Oct 08, 2018 24.222965 -- 12750000 Oct 05, 2018 24.218054 -- 12750000 Oct 04, 2018 24.29527 -- 12800000 Oct 03, 2018 24.451324 -- 12800000 Oct 02, 2018 24.529778 0.18261 12800000 Oct 01, 2018 24.721933 -- 12800000 Sep 28, 2018 24.730182 -- 12800000 Sep 27, 2018 24.759908 -- 12800000 Sep 26, 2018 24.714845 -- 12800000 Sep 25, 2018 24.705482 -- 12800000 Sep 24, 2018 24.68982 -- 12800000 Sep 21, 2018 24.735916 -- 12850000 Sep 20, 2018 24.718529 -- 12850000 Sep 19, 2018 24.607147 -- 12850000 Sep 18, 2018 24.620416 -- 12850000 Sep 17, 2018 24.62913 -- 12850000 Sep 14, 2018 24.607152 -- 12850000 Sep 13, 2018 24.621398 -- 12850000 Sep 12, 2018 24.539667 -- 12850000 Sep 11, 2018 24.524442 -- 12850000 Sep 10, 2018 24.54512 -- 12850000 Sep 07, 2018 24.482894 -- 12850000 Sep 06, 2018 24.572901 -- 12850000 Sep 05, 2018 24.542821 0.053032 12900000 Sep 04, 2018 24.578091 -- 12900000 Aug 31, 2018 24.688089 -- 12900000 Aug 30, 2018 24.720339 -- 12900000 Aug 29, 2018 24.789572 -- 12900000 Aug 28, 2018 24.78045 -- 12900000 Aug 27, 2018 24.814118 -- 12900000 Aug 24, 2018 24.769627 -- 12900000 Aug 23, 2018 24.710475 -- 12900000 Aug 22, 2018 24.785862 -- 12950000 Aug 21, 2018 24.769618 -- 12950000 Aug 20, 2018 24.721069 -- 12950000 Aug 17, 2018 24.687077 -- 12950000 Aug 16, 2018 24.60488 -- 12950000 Aug 15, 2018 24.521109 -- 12950000 Aug 14, 2018 24.552373 -- 13000000 Aug 13, 2018 24.500014 -- 13000000 Aug 10, 2018 24.542907 -- 13050000 Aug 09, 2018 24.686864 -- 13050000 Aug 08, 2018 24.712106 -- 13050000 Aug 07, 2018 24.719928 -- 13050000 Aug 06, 2018 24.745014 -- 13050000 Aug 03, 2018 24.756837 -- 13050000 Aug 02, 2018 24.730557 0.057618 13050000 Aug 01, 2018 24.786406 -- 13050000 Jul 31, 2018 24.874593 -- 13050000 Jul 30, 2018 24.82774 -- 13050000 Jul 27, 2018 24.781248 -- 13100000 Jul 26, 2018 24.742208 -- 13100000 Jul 25, 2018 24.768379 -- 13100000 Jul 24, 2018 24.666299 -- 13100000 Jul 23, 2018 24.629098 -- 13100000 Jul 20, 2018 24.675638 -- 13100000 Jul 19, 2018 24.642836 -- 13100000 Jul 18, 2018 24.639813 -- 13150000 Jul 17, 2018 24.654363 -- 13150000 Jul 16, 2018 24.641941 -- 13150000 Jul 13, 2018 24.678385 -- 13150000 Jul 12, 2018 24.673279 -- 13150000 Jul 11, 2018 24.618891 -- 12900000 Jul 10, 2018 24.708346 -- 12900000 Jul 09, 2018 24.693413 -- 12900000 Jul 06, 2018 24.665092 -- 13000000 Jul 05, 2018 24.558514 -- 13050000 Jul 03, 2018 24.431499 0.219758 13050000 Jul 02, 2018 24.545549 -- 13000000 Jun 29, 2018 24.553001 -- 13000000 Jun 28, 2018 24.563237 -- 13000000 Jun 27, 2018 24.49049 -- 13050000 Jun 26, 2018 24.585643 -- 13050000 Jun 25, 2018 24.58481 -- 13050000 Jun 22, 2018 24.665453 -- 13050000 Jun 21, 2018 24.588871 -- 13100000 Jun 20, 2018 24.609363 -- 13150000 Jun 19, 2018 24.607628 -- 13150000 Jun 18, 2018 24.606901 -- 13150000 Jun 15, 2018 24.624933 -- 13150000 Jun 14, 2018 24.643719 -- 13150000 Jun 13, 2018 24.610478 -- 13150000 Jun 12, 2018 24.668918 -- 13150000 Jun 11, 2018 24.714431 -- 13150000 Jun 08, 2018 24.696382 -- 13150000 Jun 07, 2018 24.659015 -- 13150000 Jun 06, 2018 24.664307 -- 13150000 Jun 05, 2018 24.636061 -- 13150000 Jun 04, 2018 24.64366 0.063233 13150000 Jun 01, 2018 24.659849 -- 13150000 May 31, 2018 24.650319 -- 13150000 May 30, 2018 24.738345 -- 13150000 May 29, 2018 24.620921 -- 13150000 May 25, 2018 24.698414 -- 13150000 May 24, 2018 24.726204 -- 13150000 May 23, 2018 24.727572 -- 13150000 May 22, 2018 24.688543 -- 13150000 May 21, 2018 24.677604 -- 13150000 May 18, 2018 24.607386 -- 13150000 May 17, 2018 24.616376 -- 13150000 May 16, 2018 24.637362 -- 13150000 May 15, 2018 24.624318 -- 13200000 May 14, 2018 24.754795 -- 13200000 May 11, 2018 24.777705 -- 13200000 May 10, 2018 24.746917 -- 13250000 May 09, 2018 24.59149 -- 13250000 May 08, 2018 24.577051 -- 13250000 May 07, 2018 24.678681 -- 13250000 May 04, 2018 24.685049 -- 13250000 May 03, 2018 24.625062 -- 13250000 May 02, 2018 24.601722 0.063186 13250000 May 01, 2018 24.733789 -- 13250000 Apr 30, 2018 24.762227 -- 13250000 Apr 27, 2018 24.831813 -- 13250000 Apr 26, 2018 24.781823 -- 13250000 Apr 25, 2018 24.707378 -- 13300000 Apr 24, 2018 24.737148 -- 13300000 Apr 23, 2018 24.774916 -- 13300000 Apr 20, 2018 24.801931 -- 13300000 Apr 19, 2018 24.891278 -- 13300000 Apr 18, 2018 24.975744 -- 13300000 Apr 17, 2018 24.982399 -- 13300000 Apr 16, 2018 24.949249 -- 13300000 Apr 13, 2018 24.895838 -- 13300000 Apr 12, 2018 24.903522 -- 13300000 Apr 11, 2018 24.895973 -- 13350000 Apr 10, 2018 24.907758 -- 13350000 Apr 09, 2018 24.825862 -- 13350000 Apr 06, 2018 24.789175 -- 13350000 Apr 05, 2018 24.831128 -- 13350000 Apr 04, 2018 24.801739 -- 13350000 Apr 03, 2018 24.739106 0.158629 13350000 Apr 02, 2018 24.824627 -- 13350000 Mar 29, 2018 24.960197 -- 13350000 Mar 28, 2018 24.852282 -- 13350000 Mar 27, 2018 24.797709 -- 13350000 Mar 26, 2018 24.822333 -- 13350000 Mar 23, 2018 24.64152 -- 13350000 Mar 22, 2018 24.737214 -- 13350000 Mar 21, 2018 24.881014 -- 13350000 Mar 20, 2018 24.840901 -- 13350000 Mar 19, 2018 24.873208 -- 13400000 Mar 16, 2018 24.962549 -- 13400000 Mar 15, 2018 24.930912 -- 13400000 Mar 14, 2018 24.962339 -- 13400000 Mar 13, 2018 24.947738 -- 13400000 Mar 12, 2018 24.983789 -- 13400000 Mar 09, 2018 24.955877 -- 13400000 Mar 08, 2018 24.888214 -- 13500000 Mar 07, 2018 24.855471 -- 13500000 Mar 06, 2018 24.869348 -- 13500000 Mar 05, 2018 24.81009 -- 13500000 Mar 02, 2018 24.75207 0.056921 13500000 Mar 01, 2018 24.751867 -- 13500000 Feb 28, 2018 24.834104 -- 13500000 Feb 27, 2018 24.948852 -- 13500000 Feb 26, 2018 25.140763 -- 13500000 Feb 23, 2018 25.051155 -- 13500000 Feb 22, 2018 24.834007 -- 13500000 Feb 21, 2018 24.807179 -- 13500000 Feb 20, 2018 24.935468 -- 13500000 Feb 16, 2018 25.124425 -- 13550000 Feb 15, 2018 25.02876 -- 13550000 Feb 14, 2018 24.822291 -- 13400000 Feb 13, 2018 24.788377 -- 13400000 Feb 12, 2018 24.761934 -- 13400000 Feb 09, 2018 24.61582 -- 13400000 Feb 08, 2018 24.567041 -- 13400000 Feb 07, 2018 24.866461 -- 13400000 Feb 06, 2018 24.947186 -- 13400000 Feb 05, 2018 24.832523 -- 13400000 Feb 02, 2018 25.162144 0.164762 13400000 Feb 01, 2018 25.600007 -- 13400000 Jan 31, 2018 25.624972 -- 13400000 Jan 30, 2018 25.62842 -- 13400000 Jan 29, 2018 25.721907 -- 13300000 Jan 26, 2018 25.926543 -- 13300000 Jan 25, 2018 25.88434 -- 13300000 Jan 24, 2018 25.879333 -- 13250000 Jan 23, 2018 25.891113 -- 13250000 Jan 22, 2018 25.8245 -- 13250000 Jan 19, 2018 25.7778 -- 13250000 Jan 18, 2018 25.744563 -- 13250000 Jan 17, 2018 25.823641 -- 13250000 Jan 16, 2018 25.783589 -- 13250000 Jan 12, 2018 25.826424 -- 13250000 Jan 11, 2018 25.820383 -- 13250000 Jan 10, 2018 25.712528 -- 13250000 Jan 09, 2018 25.761181 -- 13250000 Jan 08, 2018 25.853997 -- 13250000 Jan 05, 2018 25.837175 -- 13250000 Jan 04, 2018 25.809336 -- 13200000 Jan 03, 2018 25.766367 -- 13200000 Jan 02, 2018 25.774425 -- 13250000 Dec 29, 2017 25.791383 -- 13250000 Dec 28, 2017 25.816753 0.085636 13250000 Dec 27, 2017 25.856724 -- 13250000 Dec 26, 2017 25.811734 -- 13250000 Dec 22, 2017 25.786208 -- 13250000 Dec 21, 2017 25.767185 -- 13250000 Dec 20, 2017 25.716259 -- 13300000 Dec 19, 2017 25.708775 -- 13300000 Dec 18, 2017 25.843645 -- 13300000 Dec 15, 2017 25.828687 -- 13300000 Dec 14, 2017 25.737639 -- 13300000 Dec 13, 2017 25.769836 -- 13250000 Dec 12, 2017 25.705634 -- 13250000 Dec 11, 2017 25.715381 -- 13250000 Dec 08, 2017 25.715787 -- 13250000 Dec 07, 2017 25.678468 -- 13250000 Dec 06, 2017 25.669429 -- 13250000 Dec 05, 2017 25.677397 -- 13200000 Dec 04, 2017 25.712898 0.055774 13200000 Dec 01, 2017 25.699901 -- 13200000 Nov 30, 2017 25.660965 -- 13200000 Nov 29, 2017 25.663227 -- 13200000 Nov 28, 2017 25.680514 -- 13200000 Nov 27, 2017 25.592918 -- 13200000 Nov 24, 2017 25.627582 -- 13200000 Nov 22, 2017 25.637378 -- 13200000 Nov 21, 2017 25.544898 -- 13200000 Nov 20, 2017 25.467583 -- 13200000 Nov 17, 2017 25.415145 -- 13200000 Nov 16, 2017 25.401406 -- 13200000 Nov 15, 2017 25.263816 -- 13200000 Nov 14, 2017 25.300366 -- 13200000 Nov 13, 2017 25.303347 -- 13250000 Nov 10, 2017 25.278945 -- 13300000 Nov 09, 2017 25.3265 -- 13300000 Nov 08, 2017 25.385009 -- 13300000 Nov 07, 2017 25.367085 -- 13300000 Nov 06, 2017 25.386935 -- 13300000 Nov 03, 2017 25.443861 -- 13300000 Nov 02, 2017 25.483307 0.054028 13300000 Nov 01, 2017 25.581111 -- 13300000 Oct 31, 2017 25.549479 -- 13300000 Oct 30, 2017 25.535536 -- 13300000 Oct 27, 2017 25.573543 -- 13300000 Oct 26, 2017 25.471026 -- 13300000 Oct 25, 2017 25.582961 -- 13300000 Oct 24, 2017 25.700081 -- 13300000 Oct 23, 2017 25.739318 -- 13300000 Oct 20, 2017 25.807106 -- 13300000 Oct 19, 2017 25.8355 -- 13350000 Oct 18, 2017 25.811456 -- 13350000 Oct 17, 2017 25.801478 -- 13350000 Oct 16, 2017 25.788176 -- 13350000 Oct 13, 2017 25.796315 -- 13350000 Oct 12, 2017 25.74297 -- 13250000 Oct 11, 2017 25.752044 -- 13200000 Oct 10, 2017 25.738893 -- 13200000 Oct 09, 2017 25.684196 -- 13200000 Oct 06, 2017 25.673698 -- 13200000 Oct 05, 2017 25.774282 -- 13200000 Oct 04, 2017 25.753112 -- 13200000 Oct 03, 2017 25.752716 0.183244 13200000 Oct 02, 2017 25.904704 -- 13200000 Sep 29, 2017 25.879899 -- 13200000 Sep 28, 2017 25.843099 -- 13200000 Sep 27, 2017 25.800544 -- 13200000 Sep 26, 2017 25.862552 -- 13100000 Sep 25, 2017 25.855822 -- 13100000 Sep 22, 2017 25.822498 -- 13100000 Sep 21, 2017 25.752344 -- 13100000 Sep 20, 2017 25.770871 -- 13100000 Sep 19, 2017 25.811768 -- 13100000 Sep 18, 2017 25.771922 -- 13100000 Sep 15, 2017 25.772794 -- 13100000 Sep 14, 2017 25.717524 -- 13100000 Sep 13, 2017 25.671242 -- 13050000 Sep 12, 2017 25.720873 -- 13050000 Sep 11, 2017 25.7107 -- 13050000 Sep 08, 2017 25.646815 -- 13050000 Sep 07, 2017 25.689899 -- 13050000 Sep 06, 2017 25.6464 0.052804 13050000 Sep 05, 2017 25.693636 -- 13050000 Sep 01, 2017 25.739861 -- 13050000 Aug 31, 2017 25.724319 -- 13000000 Aug 30, 2017 25.626517 -- 13000000 Aug 29, 2017 25.60197 -- 13000000 Aug 28, 2017 25.650869 -- 13000000 Aug 25, 2017 25.65228 -- 13000000 Aug 24, 2017 25.600806 -- 13000000 Aug 23, 2017 25.59386 -- 13000000 Aug 22, 2017 25.583659 -- 13000000 Aug 21, 2017 25.529834 -- 13000000 Aug 18, 2017 25.497985 -- 13000000 Aug 17, 2017 25.469258 -- 13000000 Aug 16, 2017 25.584664 -- 12900000 Aug 15, 2017 25.536233 -- 12900000 Aug 14, 2017 25.544719 -- 12900000 Aug 11, 2017 25.44242 -- 12900000 Aug 10, 2017 25.439765 -- 12900000 Aug 09, 2017 25.567201 -- 12900000 Aug 08, 2017 25.556501 -- 12900000 Aug 07, 2017 25.622386 -- 12900000 Aug 04, 2017 25.608313 -- 12900000 Aug 03, 2017 25.65339 -- 12900000 Aug 02, 2017 25.636401 0.062132 12850000 Aug 01, 2017 25.697599 -- 12850000 Jul 31, 2017 25.627926 -- 12850000 Jul 28, 2017 25.580579 -- 12850000 Jul 27, 2017 25.563174 -- 12850000 Jul 26, 2017 25.570897 -- 12850000 Jul 25, 2017 25.484332 -- 12800000 Jul 24, 2017 25.548768 -- 12800000 Jul 21, 2017 25.601867 -- 12800000 Jul 20, 2017 25.567776 -- 12800000 Jul 19, 2017 25.530925 -- 12800000 Jul 18, 2017 25.475665 -- 12900000 Jul 17, 2017 25.480709 -- 12900000 Jul 14, 2017 25.484682 -- 12900000 Jul 13, 2017 25.378297 -- 12900000 Jul 12, 2017 25.428725 -- 12900000 Jul 11, 2017 25.284368 -- 12900000 Jul 10, 2017 25.267175 -- 12900000 Jul 07, 2017 25.233953 -- 12900000 Jul 06, 2017 25.274264 0.203816 12900000 Jul 05, 2017 25.612774 -- 12900000 Jul 03, 2017 25.607405 -- 12850000 Jun 30, 2017 25.574199 -- 12850000 Jun 29, 2017 25.57349 -- 12800000 Jun 28, 2017 25.711023 -- 12800000 Jun 27, 2017 25.641181 -- 12800000 Jun 26, 2017 25.803047 -- 12800000 Jun 23, 2017 25.752811 -- 12800000 Jun 22, 2017 25.686362 -- 12800000 Jun 21, 2017 25.624803 -- 12750000 Jun 20, 2017 25.702611 -- 12750000 Jun 19, 2017 25.790297 -- 12600000 Jun 16, 2017 25.748405 -- 12600000 Jun 15, 2017 25.695033 -- 12550000 Jun 14, 2017 25.740358 -- 12550000 Jun 13, 2017 25.652682 -- 12550000 Jun 12, 2017 25.585675 -- 12450000 Jun 09, 2017 25.562895 -- 12400000 Jun 08, 2017 25.551003 -- 12400000 Jun 07, 2017 25.521258 -- 12400000 Jun 06, 2017 25.55283 -- 12400000 Jun 05, 2017 25.549378 -- 12350000 Jun 02, 2017 25.62067 0.061227 12350000 Jun 01, 2017 25.610502 -- 12350000 May 31, 2017 25.513917 -- 12350000 May 30, 2017 25.495729 -- 12350000 May 26, 2017 25.489712 -- 12350000 May 25, 2017 25.484675 -- 12350000 May 24, 2017 25.472953 -- 12350000 May 23, 2017 25.40509 -- 12350000 May 22, 2017 25.404587 -- 12350000 May 19, 2017 25.32268 -- 12350000 May 18, 2017 25.223353 -- 12350000 May 17, 2017 25.259273 -- 12350000 May 16, 2017 25.286795 -- 12350000 May 15, 2017 25.244206 -- 12350000 May 12, 2017 25.175248 -- 12350000 May 11, 2017 25.108756 -- 12350000 May 10, 2017 25.121775 -- 12350000 May 09, 2017 25.059809 -- 12300000 May 08, 2017 25.150668 -- 12300000 May 05, 2017 25.20477 -- 12300000 May 04, 2017 25.116875 -- 12300000 May 03, 2017 25.161667 -- 12300000 May 02, 2017 25.223622 0.048858 12300000 May 01, 2017 25.297192 -- 12250000 Apr 28, 2017 25.280469 -- 12250000 Apr 27, 2017 25.336589 -- 12250000 Apr 26, 2017 25.28191 -- 12250000 Apr 25, 2017 25.25652 -- 12250000 Apr 24, 2017 25.25452 -- 12250000 Apr 21, 2017 25.159548 -- 12250000 Apr 20, 2017 25.154178 -- 12250000 Apr 19, 2017 25.161184 -- 12250000 Apr 18, 2017 25.239917 -- 12200000 Apr 17, 2017 25.208658 -- 12200000 Apr 13, 2017 25.116813 -- 12200000 Apr 12, 2017 25.138666 -- 12200000 Apr 11, 2017 25.096887 -- 12200000 Apr 10, 2017 25.016876 -- 12200000 Apr 07, 2017 24.971774 -- 12200000 Apr 06, 2017 25.019781 -- 12200000 Apr 05, 2017 24.981702 -- 12150000 Apr 04, 2017 25.017038 0.188566 12150000 Apr 03, 2017 25.202353 -- 12150000 Mar 31, 2017 25.155521 -- 12150000 Mar 30, 2017 25.158868 -- 12150000 Mar 29, 2017 25.150811 -- 12150000 Mar 28, 2017 25.061318 -- 12150000 Mar 27, 2017 25.022724 -- 12150000 Mar 24, 2017 24.972394 -- 12150000 Mar 23, 2017 24.952275 -- 12150000 Mar 22, 2017 24.952164 -- 12050000 Mar 21, 2017 24.905046 -- 12050000 Mar 20, 2017 24.944405 -- 12050000 Mar 17, 2017 24.937658 -- 12050000 Mar 16, 2017 24.86144 -- 12050000 Mar 15, 2017 24.863638 -- 12050000 Mar 14, 2017 24.551874 -- 12000000 Mar 13, 2017 24.604715 -- 12000000 Mar 10, 2017 24.636664 -- 12000000 Mar 09, 2017 24.536811 -- 12000000 Mar 08, 2017 24.617509 -- 12000000 Mar 07, 2017 24.791636 -- 11950000 Mar 06, 2017 24.887759 -- 11950000 Mar 03, 2017 24.925011 -- 11850000 Mar 02, 2017 24.886051 0.050479 11850000 Mar 01, 2017 25.00433 -- 11850000 Feb 28, 2017 25.021545 -- 11850000 Feb 27, 2017 25.009956 -- 11850000 Feb 24, 2017 25.035161 -- 11850000 Feb 23, 2017 25.022134 -- 11800000 Feb 22, 2017 24.95671 -- 11800000 Feb 21, 2017 24.945553 -- 11800000 Feb 17, 2017 24.881132 -- 11800000 Feb 16, 2017 24.897185 -- 11800000 Feb 15, 2017 24.825501 -- 11800000 Feb 14, 2017 24.798329 -- 11800000 Feb 13, 2017 24.818193 -- 11800000 Feb 10, 2017 24.784736 -- 11750000 Feb 09, 2017 24.729599 -- 11750000 Feb 08, 2017 24.736262 -- 11750000 Feb 07, 2017 24.669548 -- 11750000 Feb 06, 2017 24.678122 -- 11750000 Feb 03, 2017 24.658569 -- 11750000 Feb 02, 2017 24.604461 0.043681 11750000 Feb 01, 2017 24.588937 -- 11750000 Jan 31, 2017 24.576886 -- 11700000 Jan 30, 2017 24.57229 -- 11700000 Jan 27, 2017 24.643877 -- 11600000 Jan 26, 2017 24.634671 -- 11600000 Jan 25, 2017 24.64438 -- 11600000 Jan 24, 2017 24.637929 -- 11600000 Jan 23, 2017 24.631199 -- 11600000 Jan 20, 2017 24.564324 -- 11600000 Jan 19, 2017 24.50638 -- 11600000 Jan 18, 2017 24.597253 -- 11400000 Jan 17, 2017 24.672138 -- 11400000 Jan 13, 2017 24.627302 -- 11400000 Jan 12, 2017 24.644887 -- 11300000 Jan 11, 2017 24.631535 -- 11300000 Jan 10, 2017 24.565145 -- 11300000 Jan 09, 2017 24.562554 -- 11300000 Jan 06, 2017 24.579158 -- 11300000 Jan 05, 2017 24.655699 -- 11300000 Jan 04, 2017 24.555075 -- 11300000 Jan 03, 2017 24.425161 -- 11300000 Dec 30, 2016 24.278182 -- 11300000 Dec 29, 2016 24.304268 -- 11200000 Dec 28, 2016 24.175988 0.162699 11200000 Dec 27, 2016 24.341464 -- 11200000 Dec 23, 2016 24.383103 -- 11200000 Dec 22, 2016 24.346847 -- 11200000 Dec 21, 2016 24.331521 -- 11200000 Dec 20, 2016 24.285341 -- 11200000 Dec 19, 2016 24.271362 -- 11200000 Dec 16, 2016 24.159968 -- 11200000 Dec 15, 2016 24.082767 -- 11200000 Dec 14, 2016 24.171379 -- 11200000 Dec 13, 2016 24.388814 -- 11200000 Dec 12, 2016 24.3668 -- 11200000 Dec 09, 2016 24.394089 -- 11200000 Dec 08, 2016 24.381815 -- 11200000 Dec 07, 2016 24.401932 -- 11200000 Dec 06, 2016 24.229867 -- 11200000 Dec 05, 2016 24.149256 -- 11200000 Dec 02, 2016 24.017787 0.052628 11200000 Dec 01, 2016 24.010923 -- 11200000 Nov 30, 2016 24.118504 -- 11200000 Nov 29, 2016 24.253814 -- 11200000 Nov 28, 2016 24.192884 -- 11200000 Nov 25, 2016 24.138696 -- 11200000 Nov 23, 2016 24.063257 -- 11200000 Nov 22, 2016 24.172454 -- 11200000 Nov 21, 2016 24.05743 -- 11200000 Nov 18, 2016 23.913137 -- 11100000 Nov 17, 2016 23.960704 -- 11100000 Nov 16, 2016 24.039571 -- 11100000 Nov 15, 2016 24.09189 -- 11100000 Nov 14, 2016 23.85988 -- 11100000 Nov 11, 2016 23.962807 -- 11100000 Nov 10, 2016 24.034733 -- 11100000 Nov 09, 2016 24.357257 -- 11100000 Nov 08, 2016 24.631948 -- 11100000 Nov 07, 2016 24.590021 -- 11100000 Nov 04, 2016 24.418932 -- 11000000 Nov 03, 2016 24.398353 -- 11000000 Nov 02, 2016 24.403271 0.050203 11000000 Nov 01, 2016 24.540371 -- 11000000 Oct 31, 2016 24.646472 -- 10900000 Oct 28, 2016 24.627991 -- 10900000 Oct 27, 2016 24.667198 -- 10900000 Oct 26, 2016 24.81959 -- 10900000 Oct 25, 2016 24.939387 -- 10900000 Oct 24, 2016 24.875736 -- 10850000 Oct 21, 2016 24.858069 -- 10750000 Oct 20, 2016 24.868599 -- 10750000 Oct 19, 2016 24.878828 -- 10750000 Oct 18, 2016 24.811023 -- 10750000 Oct 17, 2016 24.676461 -- 10750000 Oct 14, 2016 24.679036 -- 10750000 Oct 13, 2016 24.737124 -- 10750000 Oct 12, 2016 24.699391 -- 10700000 Oct 11, 2016 24.661681 -- 10700000 Oct 10, 2016 24.831574 -- 10700000 Oct 07, 2016 24.76883 -- 10700000 Oct 06, 2016 24.745077 -- 10700000 Oct 05, 2016 24.802457 -- 10700000 Oct 04, 2016 24.800932 0.204704 10700000 Oct 03, 2016 25.18647 -- 10700000 Sep 30, 2016 25.259658 -- 10700000 Sep 29, 2016 25.197728 -- 10700000 Sep 28, 2016 25.312585 -- 10700000 Sep 27, 2016 25.209302 -- 10700000 Sep 26, 2016 25.13643 -- 10600000 Sep 23, 2016 25.172806 -- 10600000 Sep 22, 2016 25.260571 -- 10600000 Sep 21, 2016 25.11292 -- 10600000 Sep 20, 2016 24.878333 -- 10600000 Sep 19, 2016 24.839266 -- 10600000 Sep 16, 2016 24.772833 -- 10600000 Sep 15, 2016 24.834405 -- 10600000 Sep 14, 2016 24.698105 -- 10600000 Sep 13, 2016 24.690683 -- 10600000 Sep 12, 2016 24.976404 -- 10600000 Sep 09, 2016 24.873439 -- 10600000 Sep 08, 2016 25.316945 -- 10600000 Sep 07, 2016 25.408089 -- 10450000 Sep 06, 2016 25.406585 -- 10450000 Sep 02, 2016 25.272555 0.049408 10500000 Sep 01, 2016 25.194799 -- 10500000 Aug 31, 2016 25.193301 -- 10500000 Aug 30, 2016 25.233404 -- 10400000 Aug 29, 2016 25.247126 -- 10400000 Aug 26, 2016 25.13951 -- 10400000 Aug 25, 2016 25.226694 -- 10400000 Aug 24, 2016 25.232544 -- 10100000 Aug 23, 2016 25.286247 -- 9800000 Aug 22, 2016 25.216325 -- 9800000 Aug 19, 2016 25.193878 -- 9800000 Aug 18, 2016 25.286589 -- 9800000 Aug 17, 2016 25.203295 -- 9800000 Aug 16, 2016 25.163972 -- 9800000 Aug 15, 2016 25.217908 -- 9800000 Aug 12, 2016 25.234474 -- 9800000 Aug 11, 2016 25.212624 -- 9750000 Aug 10, 2016 25.216227 -- 9750000 Aug 09, 2016 25.19928 -- 9750000 Aug 08, 2016 25.07111 -- 9750000 Aug 05, 2016 25.01226 -- 9750000 Aug 04, 2016 24.9759 -- 9750000 Aug 03, 2016 24.876255 -- 9750000 Aug 02, 2016 24.827602 0.052237 9650000 Aug 01, 2016 24.979461 -- 9500000 Jul 29, 2016 25.10285 -- 9500000 Jul 28, 2016 25.009516 -- 9500000 Jul 27, 2016 25.013936 -- 9400000 Jul 26, 2016 24.958014 -- 9400000 Jul 25, 2016 24.955463 -- 9400000 Jul 22, 2016 25.004801 -- 9400000 Jul 21, 2016 24.949344 -- 9400000 Jul 20, 2016 24.952438 -- 9400000 Jul 19, 2016 24.930792 -- 9400000 Jul 18, 2016 24.957114 -- 9400000 Jul 15, 2016 24.911771 -- 9400000 Jul 14, 2016 24.964327 -- 9350000 Jul 13, 2016 24.949884 -- 9350000 Jul 12, 2016 24.938228 -- 9350000 Jul 11, 2016 24.887938 -- 9350000 Jul 08, 2016 24.835377 -- 9350000 Jul 07, 2016 24.61755 -- 9300000 Jul 06, 2016 24.668846 0.202283 9300000 Jul 05, 2016 24.803685 -- 9300000 Jul 01, 2016 24.926453 -- 9300000 Jun 30, 2016 24.848693 -- 9300000 Jun 29, 2016 24.654643 -- 9300000 Jun 28, 2016 24.467522 -- 9300000 Jun 27, 2016 24.142163 -- 9300000 Jun 24, 2016 24.301587 -- 9300000 Jun 23, 2016 24.749383 -- 9400000 Jun 22, 2016 24.575349 -- 9400000 Jun 21, 2016 24.568748 -- 9350000 Jun 20, 2016 24.561919 -- 9350000 Jun 17, 2016 24.407204 -- 9350000 Jun 16, 2016 24.376594 -- 9300000 Jun 15, 2016 24.34862 -- 9300000 Jun 14, 2016 24.283672 -- 9300000 Jun 13, 2016 24.39677 -- 9300000 Jun 10, 2016 24.536428 -- 9300000 Jun 09, 2016 24.690935 -- 9300000 Jun 08, 2016 24.725272 -- 9300000 Jun 07, 2016 24.642999 -- 9300000 Jun 06, 2016 24.558961 -- 9300000 Jun 03, 2016 24.51747 -- 9300000 Jun 02, 2016 24.351445 0.054764 9300000 Jun 01, 2016 24.374978 -- 9300000 May 31, 2016 24.351247 -- 9300000 May 27, 2016 24.35006 -- 9300000 May 26, 2016 24.362623 -- 9300000 May 25, 2016 24.316094 -- 9300000 May 24, 2016 24.237022 -- 9300000 May 23, 2016 24.150884 -- 9300000 May 20, 2016 24.172278 -- 9300000 May 19, 2016 24.087939 -- 9300000 May 18, 2016 24.124545 -- 9250000 May 17, 2016 24.282936 -- 9250000 May 16, 2016 24.336951 -- 9250000 May 13, 2016 24.250032 -- 9250000 May 12, 2016 24.327662 -- 9250000 May 11, 2016 24.321511 -- 9250000 May 10, 2016 24.33088 -- 9250000 May 09, 2016 24.207471 -- 9250000 May 06, 2016 24.211413 -- 9200000 May 05, 2016 24.183466 -- 9200000 May 04, 2016 24.152019 -- 9200000 May 03, 2016 24.212025 0.053514 9200000 May 02, 2016 24.402076 -- 9200000 Apr 29, 2016 24.392311 -- 9200000 Apr 28, 2016 24.355618 -- 9200000 Apr 27, 2016 24.383807 -- 9200000 Apr 26, 2016 24.275127 -- 9200000 Apr 25, 2016 24.233604 -- 9200000 Apr 22, 2016 24.287347 -- 9150000 Apr 21, 2016 24.260548 -- 9150000 Apr 20, 2016 24.356717 -- 9150000 Apr 19, 2016 24.376397 -- 9150000 Apr 18, 2016 24.241533 -- 9150000 Apr 15, 2016 24.170329 -- 9150000 Apr 14, 2016 24.131317 -- 9150000 Apr 13, 2016 24.1406 -- 9150000 Apr 12, 2016 24.019874 -- 9150000 Apr 11, 2016 23.93632 -- 9150000 Apr 08, 2016 23.879444 -- 9150000 Apr 07, 2016 23.783056 -- 9150000 Apr 06, 2016 23.864053 -- 9150000 Apr 05, 2016 23.748831 -- 9150000 Apr 04, 2016 23.847338 0.175766 9150000 Apr 01, 2016 24.079053 -- 9150000 Mar 31, 2016 24.098522 -- 9150000 Mar 30, 2016 24.036515 -- 9150000 Mar 29, 2016 23.979611 -- 9150000 Mar 28, 2016 23.845086 -- 9150000 Mar 24, 2016 23.833452 -- 9150000 Mar 23, 2016 23.865947 -- 9150000 Mar 22, 2016 23.968551 -- 9150000 Mar 21, 2016 24.001021 -- 9150000 Mar 18, 2016 23.999626 -- 9150000 Mar 17, 2016 23.977868 -- 9150000 Mar 16, 2016 23.778405 -- 9150000 Mar 15, 2016 23.594678 -- 9150000 Mar 14, 2016 23.722836 -- 9150000 Mar 11, 2016 23.786945 -- 9150000 Mar 10, 2016 23.528462 -- 9150000 Mar 09, 2016 23.491679 -- 9150000 Mar 08, 2016 23.418148 -- 9150000 Mar 07, 2016 23.516517 -- 9150000 Mar 04, 2016 23.459748 -- 9150000 Mar 03, 2016 23.373537 -- 9150000 Mar 02, 2016 23.203122 0.057624 9150000 Mar 01, 2016 23.221656 -- 9150000 Feb 29, 2016 23.056798 -- 9150000 Feb 26, 2016 23.020158 -- 9150000 Feb 25, 2016 23.062728 -- 9150000 Feb 24, 2016 22.911233 -- 9150000 Feb 23, 2016 22.899037 -- 9200000 Feb 22, 2016 22.954185 -- 9200000 Feb 19, 2016 22.812036 -- 9200000 Feb 18, 2016 22.822773 -- 9200000 Feb 17, 2016 22.751482 -- 9200000 Feb 16, 2016 22.571497 -- 9200000 Feb 12, 2016 22.473728 -- 9200000 Feb 11, 2016 22.302606 -- 9250000 Feb 10, 2016 22.48241 -- 9250000 Feb 09, 2016 22.465054 -- 9350000 Feb 08, 2016 22.566731 -- 9450000 Feb 05, 2016 22.670178 -- 9450000 Feb 04, 2016 22.792504 -- 9550000 Feb 03, 2016 22.784504 -- 9550000 Feb 02, 2016 22.673355 0.060944 9550000 Feb 01, 2016 22.843635 -- 9550000 Jan 29, 2016 22.90808 -- 9600000 Jan 28, 2016 22.681929 -- 9700000 Jan 27, 2016 22.551849 -- 9700000 Jan 26, 2016 22.610401 -- 9700000 Jan 25, 2016 22.378918 -- 9700000 Jan 22, 2016 22.566031 -- 9750000 Jan 21, 2016 22.2693 -- 9750000 Jan 20, 2016 22.217051 -- 9900000 Jan 19, 2016 22.390821 -- 9900000 Jan 15, 2016 22.467489 -- 10000000 Jan 14, 2016 22.733831 -- 10000000 Jan 13, 2016 22.677319 -- 10000000 Jan 12, 2016 22.857034 -- 10000000 Jan 11, 2016 22.832336 -- 10000000 Jan 08, 2016 22.881876 -- 10000000 Jan 07, 2016 22.955055 -- 10000000 Jan 06, 2016 23.153738 -- 10000000 Jan 05, 2016 23.18962 -- 10000000 Jan 04, 2016 23.134067 -- 9950000 Dec 31, 2015 23.211943 -- 9950000 Dec 30, 2015 23.236794 -- 9950000 Dec 29, 2015 23.289759 -- 9950000 Dec 28, 2015 23.266936 0.172418 9950000 Dec 24, 2015 23.499794 -- 9950000 Dec 23, 2015 23.471112 -- 9950000 Dec 22, 2015 23.314557 -- 9950000 Dec 21, 2015 23.193304 -- 9950000 Dec 18, 2015 23.156401 -- 9950000 Dec 17, 2015 23.218044 -- 9950000 Dec 16, 2015 23.309715 -- 9950000 Dec 15, 2015 23.094583 -- 9950000 Dec 14, 2015 22.893354 -- 9800000 Dec 11, 2015 23.048701 -- 9800000 Dec 10, 2015 23.304911 -- 9800000 Dec 09, 2015 23.341514 -- 9800000 Dec 08, 2015 23.328782 -- 9750000 Dec 07, 2015 23.482146 -- 9750000 Dec 04, 2015 23.593642 -- 9800000 Dec 03, 2015 23.508985 -- 9800000 Dec 02, 2015 23.66637 0.107822 9800000 Dec 01, 2015 23.916958 -- 9800000 Nov 30, 2015 23.762865 -- 9800000 Nov 27, 2015 23.781479 -- 9800000 Nov 25, 2015 23.747144 -- 9800000 Nov 24, 2015 23.747794 -- 9800000 Nov 23, 2015 23.696113 -- 9800000 Nov 20, 2015 23.710139 -- 9800000 Nov 19, 2015 23.729868 -- 9800000 Nov 18, 2015 23.703722 -- 9800000 Nov 17, 2015 23.590762 -- 9800000 Nov 16, 2015 23.611325 -- 9800000 Nov 13, 2015 23.488212 -- 9800000 Nov 12, 2015 23.533037 -- 9800000 Nov 11, 2015 23.689677 -- 9800000 Nov 10, 2015 23.695936 -- 9800000 Nov 09, 2015 23.640051 -- 9800000 Nov 06, 2015 23.78402 -- 9800000 Nov 05, 2015 23.953926 -- 9800000 Nov 04, 2015 24.018231 -- 9800000 Nov 03, 2015 24.109562 0.046991 9750000 Nov 02, 2015 24.129904 -- 9700000 Oct 30, 2015 24.02186 -- 9700000 Oct 29, 2015 23.992601 -- 9750000 Oct 28, 2015 24.139116 -- 9750000 Oct 27, 2015 24.079812 -- 9700000 Oct 26, 2015 24.220522 -- 9700000 Oct 23, 2015 24.256385 -- 9650000 Oct 22, 2015 24.250379 -- 9650000 Oct 21, 2015 24.113778 -- 9650000 Oct 20, 2015 24.136166 -- 9650000 Oct 19, 2015 24.155583 -- 9650000 Oct 16, 2015 24.190757 -- 9650000 Oct 15, 2015 24.141236 -- 9650000 Oct 14, 2015 24.026203 -- 9650000 Oct 13, 2015 23.992574 -- 9650000 Oct 12, 2015 24.087826 -- 9650000 Oct 09, 2015 24.070397 -- 9650000 Oct 08, 2015 24.045493 -- 9650000 Oct 07, 2015 23.980581 -- 9650000 Oct 06, 2015 23.786733 -- 9650000 Oct 05, 2015 23.712413 -- 9650000 Oct 02, 2015 23.474147 0.199341 9650000 Oct 01, 2015 23.504647 -- 9650000 Sep 30, 2015 23.538065 -- 9700000 Sep 29, 2015 23.381842 -- 9700000 Sep 28, 2015 23.429503 -- 9750000 Sep 25, 2015 23.682744 -- 9900000 Sep 24, 2015 23.761545 -- 9900000 Sep 23, 2015 23.772255 -- 9900000 Sep 22, 2015 23.801828 -- 9900000 Sep 21, 2015 23.921104 -- 9900000 Sep 18, 2015 23.935814 -- 9900000 Sep 17, 2015 24.011173 -- 9900000 Sep 16, 2015 23.880682 -- 10000000 Sep 15, 2015 23.796034 -- 10000000 Sep 14, 2015 23.801689 -- 10000000 Sep 11, 2015 23.822236 -- 10000000 Sep 10, 2015 23.751061 -- 10000000 Sep 09, 2015 23.731426 -- 10000000 Sep 08, 2015 23.824604 -- 10000000 Sep 04, 2015 23.677182 -- 10000000 Sep 03, 2015 23.799263 -- 10000000 Sep 02, 2015 23.764164 0.04581 10000000 Sep 01, 2015 23.723702 -- 10100000 Aug 31, 2015 23.904808 -- 10100000 Aug 28, 2015 23.994462 -- 10100000 Aug 27, 2015 23.969294 -- 10100000 Aug 26, 2015 23.753549 -- 10100000 Aug 25, 2015 23.56578 -- 10100000 Aug 24, 2015 23.627544 -- 10300000 Aug 21, 2015 24.053813 -- 10300000 Aug 20, 2015 24.246974 -- 10300000 Aug 19, 2015 24.355071 -- 10300000 Aug 18, 2015 24.358076 -- 10300000 Aug 17, 2015 24.453364 -- 10300000 Aug 14, 2015 24.418128 -- 10300000 Aug 13, 2015 24.362054 -- 10300000 Aug 12, 2015 24.43894 -- 10300000 Aug 11, 2015 24.417543 -- 10300000 Aug 10, 2015 24.417076 -- 10300000 Aug 07, 2015 24.388769 -- 10450000 Aug 06, 2015 24.409464 -- 10450000 Aug 05, 2015 24.450692 -- 10450000 Aug 04, 2015 24.511164 0.054368 10450000 Aug 03, 2015 24.627845 -- 10450000 Jul 31, 2015 24.637195 -- 10450000 Jul 30, 2015 24.613784 -- 10450000 Jul 29, 2015 24.559802 -- 10500000 Jul 28, 2015 24.479837 -- 10500000 Jul 27, 2015 24.39137 -- 10500000 Jul 24, 2015 24.405432 -- 10500000 Jul 23, 2015 24.53572 -- 10500000 Jul 22, 2015 24.561186 -- 10500000 Jul 21, 2015 24.63728 -- 10500000 Jul 20, 2015 24.655274 -- 10500000 Jul 17, 2015 24.705502 -- 10700000 Jul 16, 2015 24.726758 -- 10700000 Jul 15, 2015 24.6693 -- 10700000 Jul 14, 2015 24.62805 -- 10750000 Jul 13, 2015 24.591847 -- 10750000 Jul 10, 2015 24.591192 -- 10750000 Jul 09, 2015 24.484828 -- 10750000 Jul 08, 2015 24.561518 -- 10750000 Jul 07, 2015 24.676313 -- 10850000 Jul 06, 2015 24.546676 -- 10850000 Jul 02, 2015 24.565363 0.213105 10850000 Jul 01, 2015 24.694249 -- 10850000 Jun 30, 2015 24.697682 -- 10850000 Jun 29, 2015 24.690197 -- 10950000 Jun 26, 2015 24.798971 -- 10950000 Jun 25, 2015 24.939635 -- 10950000 Jun 24, 2015 25.017762 -- 10950000 Jun 23, 2015 25.067641 -- 10950000 Jun 22, 2015 25.113621 -- 10950000 Jun 19, 2015 25.143517 -- 10950000 Jun 18, 2015 25.108003 -- 10950000 Jun 17, 2015 25.022998 -- 10950000 Jun 16, 2015 25.007788 -- 10950000 Jun 15, 2015 24.928553 -- 10950000 Jun 12, 2015 25.010081 -- 10950000 Jun 11, 2015 25.090151 -- 10950000 Jun 10, 2015 24.928338 -- 10950000 Jun 09, 2015 24.866951 -- 10950000 Jun 08, 2015 24.942039 -- 11300000 Jun 05, 2015 24.959223 -- 11300000 Jun 04, 2015 25.145752 -- 11250000 Jun 03, 2015 25.220267 -- 11200000 Jun 02, 2015 25.348437 0.050273 11200000 Jun 01, 2015 25.448762 -- 11200000 May 29, 2015 25.531184 -- 11200000 May 28, 2015 25.541692 -- 11200000 May 27, 2015 25.587875 -- 11200000 May 26, 2015 25.505595 -- 11200000 May 22, 2015 25.589766 -- 11200000 May 21, 2015 25.654876 -- 11200000 May 20, 2015 25.577024 -- 11200000 May 19, 2015 25.568472 -- 11200000 May 18, 2015 25.685024 -- 11200000 May 15, 2015 25.823602 -- 11200000 May 14, 2015 25.704833 -- 11200000 May 13, 2015 25.543694 -- 11200000 May 12, 2015 25.523061 -- 11200000 May 11, 2015 25.470106 -- 11200000 May 08, 2015 25.721832 -- 11150000 May 07, 2015 25.510633 -- 11150000 May 06, 2015 25.477685 -- 11150000 May 05, 2015 25.595361 -- 11150000 May 04, 2015 25.714892 0.048606 11150000 May 01, 2015 25.805673 -- 11150000 Apr 30, 2015 25.835076 -- 11100000 Apr 29, 2015 25.918428 -- 11100000 Apr 28, 2015 26.077212 -- 11100000 Apr 27, 2015 26.094254 -- 11000000 Apr 24, 2015 26.073429 -- 10950000 Apr 23, 2015 25.993812 -- 10950000 Apr 22, 2015 25.939444 -- 10950000 Apr 21, 2015 25.989382 -- 10950000 Apr 20, 2015 25.995426 -- 10950000 Apr 17, 2015 26.010769 -- 10950000 Apr 16, 2015 26.058104 -- 10900000 Apr 15, 2015 26.033743 -- 10900000 Apr 14, 2015 25.970338 -- 10900000 Apr 13, 2015 25.875985 -- 10900000 Apr 10, 2015 25.951209 -- 10900000 Apr 09, 2015 25.899001 -- 10900000 Apr 08, 2015 25.981331 -- 10900000 Apr 07, 2015 25.935784 -- 10900000 Apr 06, 2015 25.890928 -- 10900000 Apr 02, 2015 25.772851 0.18534 10900000 Apr 01, 2015 25.933642 -- 10900000 Mar 31, 2015 25.844841 -- 10900000 Mar 30, 2015 25.894918 -- 10900000 Mar 27, 2015 25.881981 -- 10900000 Mar 26, 2015 25.865186 -- 10900000 Mar 25, 2015 25.971309 -- 10900000 Mar 24, 2015 26.078562 -- 10900000 Mar 23, 2015 26.076032 -- 10900000 Mar 20, 2015 25.958418 -- 10900000 Mar 19, 2015 25.747888 -- 10850000 Mar 18, 2015 25.903037 -- 10850000 Mar 17, 2015 25.558423 -- 10850000 Mar 16, 2015 25.552663 -- 10850000 Mar 13, 2015 25.471642 -- 10850000 Mar 12, 2015 25.595206 -- 10850000 Mar 11, 2015 25.47264 -- 10850000 Mar 10, 2015 25.457424 -- 10850000 Mar 09, 2015 25.581097 -- 10850000 Mar 06, 2015 25.55548 -- 11000000 Mar 05, 2015 25.904767 -- 10900000 Mar 04, 2015 25.905943 -- 10900000 Mar 03, 2015 25.953225 0.050335 10750000 Mar 02, 2015 26.076835 -- 10750000 Feb 27, 2015 26.186084 -- 10550000 Feb 26, 2015 26.113712 -- 10400000 Feb 25, 2015 26.234395 -- 10250000 Feb 24, 2015 26.168514 -- 10100000 Feb 23, 2015 26.067704 -- 10100000 Feb 20, 2015 26.035888 -- 10100000 Feb 19, 2015 25.943969 -- 10100000 Feb 18, 2015 26.015786 -- 10050000 Feb 17, 2015 25.959734 -- 9950000 Feb 13, 2015 26.04246 -- 9900000 Feb 12, 2015 26.043258 -- 9850000 Feb 11, 2015 25.875861 -- 9850000 Feb 10, 2015 25.928876 -- 9800000 Feb 09, 2015 25.927972 -- 9800000 Feb 06, 2015 25.952654 -- 9800000 Feb 05, 2015 26.172294 -- 9800000 Feb 04, 2015 26.045526 -- 9800000 Feb 03, 2015 26.203975 0.04888 9800000 Feb 02, 2015 26.138055 -- 9800000 Jan 30, 2015 26.040368 -- 9750000 Jan 29, 2015 26.100665 -- 9750000 Jan 28, 2015 26.057985 -- 9750000 Jan 27, 2015 26.115746 -- 9750000 Jan 26, 2015 26.125699 -- 9750000 Jan 23, 2015 26.039674 -- 9750000 Jan 22, 2015 26.032389 -- 9700000 Jan 21, 2015 25.928839 -- 9700000 Jan 20, 2015 25.872507 -- 9650000 Jan 16, 2015 25.887999 -- 9650000 Jan 15, 2015 25.805891 -- 9500000 Jan 14, 2015 25.788953 -- 9500000 Jan 13, 2015 25.756676 -- 9500000 Jan 12, 2015 25.780678 -- 9500000 Jan 09, 2015 25.815995 -- 9500000 Jan 08, 2015 25.761229 -- 9500000 Jan 07, 2015 25.682516 -- 9450000 Jan 06, 2015 25.578437 -- 9350000 Jan 05, 2015 25.551506 -- 9200000 Jan 02, 2015 25.71674 -- 9150000 Dec 31, 2014 25.624872 -- 9150000 Dec 30, 2014 25.736996 -- 9150000 Dec 29, 2014 25.769259 -- 9150000 Dec 26, 2014 25.759808 0.283436 9150000 Dec 24, 2014 25.972392 -- 9050000 Dec 23, 2014 25.937333 -- 8950000 Dec 22, 2014 26.039169 -- 8950000 Dec 19, 2014 25.970436 -- 8900000 Dec 18, 2014 25.847728 -- 8900000 Dec 17, 2014 25.730564 -- 8900000 Dec 16, 2014 25.422383 -- 8900000 Dec 15, 2014 25.432408 -- 8900000 Dec 12, 2014 25.600444 -- 8850000 Dec 11, 2014 25.788269 -- 8800000 Dec 10, 2014 25.770913 -- 8800000 Dec 09, 2014 25.94489 -- 8800000 Dec 08, 2014 25.918835 -- 8800000 Dec 05, 2014 26.009663 -- 8800000 Dec 04, 2014 26.096512 -- 8800000 Dec 03, 2014 26.119963 -- 8800000 Dec 02, 2014 26.108283 0.248774 8800000 Dec 01, 2014 26.367958 -- 8600000 Nov 28, 2014 26.453792 -- 8550000 Nov 26, 2014 26.569646 -- 8550000 Nov 25, 2014 26.478725 -- 8400000 Nov 24, 2014 26.408266 -- 8300000 Nov 21, 2014 26.38565 -- 8300000 Nov 20, 2014 26.273122 -- 8300000 Nov 19, 2014 26.230376 -- 8300000 Nov 18, 2014 26.316226 -- 8250000 Nov 17, 2014 26.248556 -- 8250000 Nov 14, 2014 26.271673 -- 8250000 Nov 13, 2014 26.253742 -- 8250000 Nov 12, 2014 26.269479 -- 8250000 Nov 11, 2014 26.29681 -- 8150000 Nov 10, 2014 26.267326 -- 8150000 Nov 07, 2014 26.290884 -- 8150000 Nov 06, 2014 26.151994 -- 8150000 Nov 05, 2014 26.257998 -- 8150000 Nov 04, 2014 26.255954 0.052635 8150000 Nov 03, 2014 26.334294 -- 8100000 Oct 31, 2014 26.371489 -- 8100000 Oct 30, 2014 26.315264 -- 8100000 Oct 29, 2014 26.221701 -- 8100000 Oct 28, 2014 26.297687 -- 8100000 Oct 27, 2014 26.211665 -- 8100000 Oct 24, 2014 26.230146 -- 8100000 Oct 23, 2014 26.142857 -- 8100000 Oct 22, 2014 26.170848 -- 8100000 Oct 21, 2014 26.256421 -- 8050000 Oct 20, 2014 26.165394 -- 7900000 Oct 17, 2014 26.011912 -- 7900000 Oct 16, 2014 25.899499 -- 7850000 Oct 15, 2014 25.92875 -- 7850000 Oct 14, 2014 25.933722 -- 7700000 Oct 13, 2014 25.863456 -- 7700000 Oct 10, 2014 25.87714 -- 7700000 Oct 09, 2014 25.94371 -- 7700000 Oct 08, 2014 26.175616 -- 7500000 Oct 07, 2014 25.969027 -- 7250000 Oct 06, 2014 25.973513 -- 7250000 Oct 03, 2014 25.899029 -- 7250000 Oct 02, 2014 25.824486 0.202329 7200000 Oct 01, 2014 26.10294 -- 7150000 Sep 30, 2014 26.02807 -- 7150000 Sep 29, 2014 26.062835 -- 7150000 Sep 26, 2014 26.100335 -- 7150000 Sep 25, 2014 26.093468 -- 7050000 Sep 24, 2014 26.178967 -- 7050000 Sep 23, 2014 26.197354 -- 7050000 Sep 22, 2014 26.242133 -- 7050000 Sep 19, 2014 26.313711 -- 7050000 Sep 18, 2014 26.218819 -- 7050000 Sep 17, 2014 26.206571 -- 7050000 Sep 16, 2014 26.263573 -- 7050000 Sep 15, 2014 26.204691 -- 7050000 Sep 12, 2014 26.236124 -- 7050000 Sep 11, 2014 26.448611 -- 7050000 Sep 10, 2014 26.459089 -- 7050000 Sep 09, 2014 26.530532 -- 7000000 Sep 08, 2014 26.655936 -- 7000000 Sep 05, 2014 26.752012 -- 7000000 Sep 04, 2014 26.708618 -- 6900000 Sep 03, 2014 26.855689 0.057318 6900000 Sep 02, 2014 26.859952 -- 6850000 Aug 29, 2014 26.995935 -- 6850000 Aug 28, 2014 26.959401 -- 6800000 Aug 27, 2014 26.95253 -- 6800000 Aug 26, 2014 26.871279 -- 6750000 Aug 25, 2014 26.845729 -- 6750000 Aug 22, 2014 26.759279 -- 6750000 Aug 21, 2014 26.808965 -- 6600000 Aug 20, 2014 26.715572 -- 6550000 Aug 19, 2014 26.742002 -- 6500000 Aug 18, 2014 26.722583 -- 6500000 Aug 15, 2014 26.747132 -- 6500000 Aug 14, 2014 26.622842 -- 6500000 Aug 13, 2014 26.518718 -- 6500000 Aug 12, 2014 26.41886 -- 6450000 Aug 11, 2014 26.46284 -- 6450000 Aug 08, 2014 26.401241 -- 6450000 Aug 07, 2014 26.293421 -- 6450000 Aug 06, 2014 26.27757 -- 6500000 Aug 05, 2014 26.2429 -- 6500000 Aug 04, 2014 26.32027 0.048891 6500000 Aug 01, 2014 26.325996 -- 6500000 Jul 31, 2014 26.27674 -- 6500000 Jul 30, 2014 26.504361 -- 6450000 Jul 29, 2014 26.707495 -- 6400000 Jul 28, 2014 26.713999 -- 6400000 Jul 25, 2014 26.724995 -- 6350000 Jul 24, 2014 26.703792 -- 6250000 Jul 23, 2014 26.754892 -- 6250000 Jul 22, 2014 26.733679 -- 6100000 Jul 21, 2014 26.654708 -- 6100000 Jul 18, 2014 26.652905 -- 6050000 Jul 17, 2014 26.547327 -- 6050000 Jul 16, 2014 26.596359 -- 6050000 Jul 15, 2014 26.544988 -- 6000000 Jul 14, 2014 26.601721 -- 6000000 Jul 11, 2014 26.582415 -- 6000000 Jul 10, 2014 26.544972 -- 5950000 Jul 09, 2014 26.582311 -- 5950000 Jul 08, 2014 26.543084 -- 5950000 Jul 07, 2014 26.480502 -- 5950000 Jul 03, 2014 26.476933 -- 5950000 Jul 02, 2014 26.519421 0.221604 5950000 Jul 01, 2014 26.817005 -- 5900000 Jun 30, 2014 26.867572 -- 5900000 Jun 27, 2014 26.858898 -- 5900000 Jun 26, 2014 26.85763 -- 5850000 Jun 25, 2014 26.778853 -- 5800000 Jun 24, 2014 26.709911 -- 5800000 Jun 23, 2014 26.716225 -- 5750000 Jun 20, 2014 26.741262 -- 5650000 Jun 19, 2014 26.691604 -- 5650000 Jun 18, 2014 26.710682 -- 5650000 Jun 17, 2014 26.535445 -- 5650000 Jun 16, 2014 26.632652 -- 5650000 Jun 13, 2014 26.618553 -- 5650000 Jun 12, 2014 26.568619 -- 5650000 Jun 11, 2014 26.515625 -- 5650000 Jun 10, 2014 26.569677 -- 5550000 Jun 09, 2014 26.619733 -- 5550000 Jun 06, 2014 26.62348 -- 5550000 Jun 05, 2014 26.54385 -- 5550000 Jun 04, 2014 26.418653 -- 5450000 Jun 03, 2014 26.418718 0.057249 5400000 Jun 02, 2014 26.596506 -- 5400000 May 30, 2014 26.692612 -- 5400000 May 29, 2014 26.635999 -- 5400000 May 28, 2014 26.604165 -- 5400000 May 27, 2014 26.536894 -- 5400000 May 23, 2014 26.448116 -- 5400000 May 22, 2014 26.387846 -- 5400000 May 21, 2014 26.361706 -- 5400000 May 20, 2014 26.337168 -- 5350000 May 19, 2014 26.401144 -- 5350000 May 16, 2014 26.405282 -- 5150000 May 15, 2014 26.369206 -- 5150000 May 14, 2014 26.391102 -- 5150000 May 13, 2014 26.295511 -- 5150000 May 12, 2014 26.240619 -- 5150000 May 09, 2014 26.225418 -- 5150000 May 08, 2014 26.258266 -- 5150000 May 07, 2014 26.299079 -- 5050000 May 06, 2014 26.183993 -- 5050000 May 05, 2014 26.194866 -- 4950000 May 02, 2014 26.204899 0.061081 4950000 May 01, 2014 26.251999 -- 4950000 Apr 30, 2014 26.206692 -- 4950000 Apr 29, 2014 26.120681 -- 4800000 Apr 28, 2014 26.116697 -- 4800000 Apr 25, 2014 26.054263 -- 4800000 Apr 24, 2014 26.080725 -- 4800000 Apr 23, 2014 26.058747 -- 4800000 Apr 22, 2014 26.070044 -- 4700000 Apr 21, 2014 26.017267 -- 4650000 Apr 17, 2014 25.977209 -- 4650000 Apr 16, 2014 26.026807 -- 4650000 Apr 15, 2014 25.936547 -- 4650000 Apr 14, 2014 25.891557 -- 4650000 Apr 11, 2014 25.850828 -- 4650000 Apr 10, 2014 25.877971 -- 4550000 Apr 09, 2014 25.93776 -- 4550000 Apr 08, 2014 25.869639 -- 4550000 Apr 07, 2014 25.783689 -- 4450000 Apr 04, 2014 25.786181 -- 4450000 Apr 03, 2014 25.723312 -- 4450000 Apr 02, 2014 25.722196 0.256662 4450000 Apr 01, 2014 26.026845 -- 4450000 Mar 31, 2014 25.991397 -- 4450000 Mar 28, 2014 25.885654 -- 4400000 Mar 27, 2014 25.855648 -- 4300000 Mar 26, 2014 25.770398 -- 4300000 Mar 25, 2014 25.749866 -- 4200000 Mar 24, 2014 25.700707 -- 4200000 Mar 21, 2014 25.663009 -- 4200000 Mar 20, 2014 25.59574 -- 4200000 Mar 19, 2014 25.583876 -- 4200000 Mar 18, 2014 25.784107 -- 4200000 Mar 17, 2014 25.675334 -- 4150000 Mar 14, 2014 25.630977 -- 4150000 Mar 13, 2014 25.609786 -- 4150000 Mar 12, 2014 25.618576 -- 4150000 Mar 11, 2014 25.525015 -- 4150000 Mar 10, 2014 25.562477 -- 4150000 Mar 07, 2014 25.574876 -- 4150000 Mar 06, 2014 25.698271 -- 4150000 Mar 05, 2014 25.738275 -- 4150000 Mar 04, 2014 25.738354 0.062649 4150000 Mar 03, 2014 25.696271 -- 4150000 Feb 28, 2014 25.762777 -- 4150000 Feb 27, 2014 25.713585 -- 4150000 Feb 26, 2014 25.617624 -- 4150000 Feb 25, 2014 25.568814 -- 4150000 Feb 24, 2014 25.514451 -- 4100000 Feb 21, 2014 25.448226 -- 4100000 Feb 20, 2014 25.407767 -- 4100000 Feb 19, 2014 25.39423 -- 4100000 Feb 18, 2014 25.483239 -- 4050000 Feb 14, 2014 25.41759 -- 4050000 Feb 13, 2014 25.375156 -- 4050000 Feb 12, 2014 25.244353 -- 4050000 Feb 11, 2014 25.277047 -- 4000000 Feb 10, 2014 25.228176 -- 4000000 Feb 07, 2014 25.191186 -- 4000000 Feb 06, 2014 25.049868 -- 4000000 Feb 05, 2014 24.985772 -- 4000000 Feb 04, 2014 24.998922 0.069251 4000000 Feb 03, 2014 25.030545 -- 4000000 Jan 31, 2014 25.10936 -- 4000000 Jan 30, 2014 25.086285 -- 4000000 Jan 29, 2014 25.035471 -- 4000000 Jan 28, 2014 25.073306 -- 4000000 Jan 27, 2014 24.962048 -- 4000000 Jan 24, 2014 25.053528 -- 3950000 Jan 23, 2014 25.205105 -- 3950000 Jan 22, 2014 25.175447 -- 3950000 Jan 21, 2014 25.171705 -- 3950000 Jan 17, 2014 25.108756 -- 3950000 Jan 16, 2014 25.09985 -- 3950000 Jan 15, 2014 25.050437 -- 3950000 Jan 14, 2014 25.046293 -- 3950000 Jan 13, 2014 25.0276 -- 3950000 Jan 10, 2014 25.023011 -- 3950000 Jan 09, 2014 24.848943 -- 3950000 Jan 08, 2014 24.824564 -- 3950000 Jan 07, 2014 24.890821 -- 3950000 Jan 06, 2014 24.83409 -- 3950000 Jan 03, 2014 24.766957 -- 3950000 Jan 02, 2014 24.73521 -- 3950000 Dec 31, 2013 24.746671 -- 3950000 Dec 30, 2013 24.738392 -- 3950000 Dec 27, 2013 24.695163 0.30271 3950000 Dec 26, 2013 25.015607 -- 3950000 Dec 24, 2013 25.031533 -- 3950000 Dec 23, 2013 25.048362 -- 3950000 Dec 20, 2013 25.015837 -- 3950000 Dec 19, 2013 24.845475 -- 4000000 Dec 18, 2013 24.926867 -- 4050000 Dec 17, 2013 24.813763 -- 4050000 Dec 16, 2013 24.742222 -- 4050000 Dec 13, 2013 24.726941 -- 4050000 Dec 12, 2013 24.688328 -- 4050000 Dec 11, 2013 24.743716 -- 4050000 Dec 10, 2013 24.895829 -- 4050000 Dec 09, 2013 24.812707 -- 4050000 Dec 06, 2013 24.713808 -- 4050000 Dec 05, 2013 24.593003 -- 4050000 Dec 04, 2013 24.651825 -- 4050000 Dec 03, 2013 24.742362 0.117058 4150000 Dec 02, 2013 24.866658 -- 4150000 Nov 29, 2013 25.027206 -- 4150000 Nov 27, 2013 25.019167 -- 4150000 Nov 26, 2013 25.009 -- 4150000 Nov 25, 2013 25.042352 -- 4150000 Nov 22, 2013 24.977363 -- 4150000 Nov 21, 2013 24.891198 -- 4150000 Nov 20, 2013 24.838063 -- 4150000 Nov 19, 2013 25.011743 -- 4150000 Nov 18, 2013 25.139718 -- 4150000 Nov 15, 2013 25.137884 -- 4150000 Nov 14, 2013 25.0632 -- 4150000 Nov 13, 2013 24.941578 -- 4150000 Nov 12, 2013 24.813552 -- 4200000 Nov 11, 2013 24.821957 -- 4200000 Nov 08, 2013 24.921255 -- 4200000 Nov 07, 2013 25.129059 -- 4200000 Nov 06, 2013 25.229536 -- 4200000 Nov 05, 2013 25.147715 -- 4200000 Nov 04, 2013 25.314713 0.070007 4200000 Nov 01, 2013 25.377475 -- 4200000 Oct 31, 2013 25.441898 -- 4200000 Oct 30, 2013 25.447562 -- 4200000 Oct 29, 2013 25.557259 -- 4200000 Oct 28, 2013 25.675825 -- 4200000 Oct 25, 2013 25.712719 -- 4200000 Oct 24, 2013 25.67002 -- 4200000 Oct 23, 2013 25.672535 -- 4200000 Oct 22, 2013 25.646288 -- 4200000 Oct 21, 2013 25.443535 -- 4200000 Oct 18, 2013 25.495832 -- 4200000 Oct 17, 2013 25.425085 -- 4200000 Oct 16, 2013 25.15812 -- 4200000 Oct 15, 2013 24.96997 -- 4200000 Oct 14, 2013 25.027502 -- 4200000 Oct 11, 2013 25.064898 -- 4200000 Oct 10, 2013 25.019608 -- 4200000 Oct 09, 2013 24.853559 -- 4200000 Oct 08, 2013 24.856824 -- 4200000 Oct 07, 2013 24.917292 -- 4200000 Oct 04, 2013 24.916649 -- 4200000 Oct 03, 2013 24.893973 -- 4200000 Oct 02, 2013 24.968282 0.224108 4200000 Oct 01, 2013 25.183675 -- 4200000 Sep 30, 2013 25.097254 -- 4200000 Sep 27, 2013 25.165499 -- 4200000 Sep 26, 2013 25.212654 -- 4200000 Sep 25, 2013 25.211233 -- 4200000 Sep 24, 2013 25.225277 -- 4300000 Sep 23, 2013 25.180152 -- 4300000 Sep 20, 2013 25.112785 -- 4300000 Sep 19, 2013 25.210339 -- 4300000 Sep 18, 2013 25.357288 -- 4300000 Sep 17, 2013 24.864238 -- 4300000 Sep 16, 2013 24.758211 -- 4300000 Sep 13, 2013 24.684038 -- 4300000 Sep 12, 2013 24.607951 -- 4300000 Sep 11, 2013 24.614141 -- 4300000 Sep 10, 2013 24.483631 -- 4300000 Sep 09, 2013 24.522543 -- 4300000 Sep 06, 2013 24.407579 -- 4300000 Sep 05, 2013 24.242146 -- 4300000 Sep 04, 2013 24.382768 0.068664 4300000 Sep 03, 2013 24.377336 -- 4300000 Aug 30, 2013 24.506266 -- 4300000 Aug 29, 2013 24.550799 -- 4300000 Aug 28, 2013 24.443887 -- 4300000 Aug 27, 2013 24.513577 -- 4300000 Aug 26, 2013 24.552119 -- 4300000 Aug 23, 2013 24.558851 -- 4300000 Aug 22, 2013 24.31824 -- 4350000 Aug 21, 2013 24.173356 -- 4350000 Aug 20, 2013 24.323009 -- 4450000 Aug 19, 2013 24.138511 -- 4450000 Aug 16, 2013 24.445889 -- 4450000 Aug 15, 2013 24.607067 -- 4450000 Aug 14, 2013 24.864705 -- 4450000 Aug 13, 2013 24.908534 -- 4450000 Aug 12, 2013 25.08398 -- 4450000 Aug 09, 2013 25.11608 -- 4450000 Aug 08, 2013 25.106421 -- 4450000 Aug 07, 2013 25.00093 -- 4450000 Aug 06, 2013 24.991331 -- 4450000 Aug 05, 2013 25.019917 -- 4450000 Aug 02, 2013 25.148062 0.06579 4450000 Aug 01, 2013 25.045202 -- 4450000 Jul 31, 2013 25.198284 -- 4450000 Jul 30, 2013 25.231932 -- 4450000 Jul 29, 2013 25.174017 -- 4450000 Jul 26, 2013 25.242832 -- 4350000 Jul 25, 2013 25.198045 -- 4300000 Jul 24, 2013 25.189897 -- 4300000 Jul 23, 2013 25.475972 -- 4300000 Jul 22, 2013 25.455979 -- 4300000 Jul 19, 2013 25.446415 -- 4300000 Jul 18, 2013 25.346613 -- 4300000 Jul 17, 2013 25.341454 -- 4300000 Jul 16, 2013 25.22379 -- 4300000 Jul 15, 2013 25.227529 -- 4400000 Jul 12, 2013 25.06899 -- 4400000 Jul 11, 2013 25.134435 -- 4400000 Jul 10, 2013 24.704396 -- 4400000 Jul 09, 2013 24.80524 -- 4400000 Jul 08, 2013 24.725115 -- 4400000 Jul 05, 2013 24.51295 -- 4400000 Jul 03, 2013 24.930684 -- 4400000 Jul 02, 2013 25.025711 0.26148 4400000 Jul 01, 2013 25.306533 -- 4400000 Jun 28, 2013 25.236898 -- 4400000 Jun 27, 2013 25.229048 -- 4400000 Jun 26, 2013 24.948947 -- 4400000 Jun 25, 2013 24.71932 -- 4400000 Jun 24, 2013 24.456511 -- 4550000 Jun 21, 2013 24.767866 -- 4600000 Jun 20, 2013 24.917345 -- 4650000 Jun 19, 2013 25.483748 -- 4650000 Jun 18, 2013 25.881341 -- 4650000 Jun 17, 2013 25.852809 -- 4650000 Jun 14, 2013 25.936457 -- 4650000 Jun 13, 2013 25.922857 -- 4650000 Jun 12, 2013 25.428877 -- 4650000 Jun 11, 2013 25.544548 -- 4650000 Jun 10, 2013 25.74854 -- 4650000 Jun 07, 2013 25.862382 -- 4650000 Jun 06, 2013 25.980424 -- 4650000 Jun 05, 2013 25.810606 -- 4650000 Jun 04, 2013 25.936224 0.062276 4750000 Jun 03, 2013 26.026067 -- 4850000 May 31, 2013 26.048588 -- 4850000 May 30, 2013 26.331297 -- 4850000 May 29, 2013 26.324333 -- 4850000 May 28, 2013 26.393827 -- 4850000 May 24, 2013 26.717625 -- 4850000 May 23, 2013 26.767988 -- 4850000 May 22, 2013 26.798595 -- 4800000 May 21, 2013 27.04074 -- 4800000 May 20, 2013 27.034601 -- 4700000 May 17, 2013 27.104477 -- 4700000 May 16, 2013 27.107932 -- 4700000 May 15, 2013 27.015172 -- 4700000 May 14, 2013 26.951291 -- 4550000 May 13, 2013 26.982399 -- 4550000 May 10, 2013 27.147116 -- 4550000 May 09, 2013 27.301742 -- 4500000 May 08, 2013 27.393038 -- 4500000 May 07, 2013 27.31324 -- 4450000 May 06, 2013 27.272495 -- 4350000 May 03, 2013 27.30427 -- 4350000 May 02, 2013 27.524069 0.061042 4250000 May 01, 2013 27.492787 -- 4250000 Apr 30, 2013 27.537311 -- 4200000 Apr 29, 2013 27.483163 -- 4150000 Apr 26, 2013 27.383196 -- 4150000 Apr 25, 2013 27.32103 -- 4100000 Apr 24, 2013 27.321268 -- 4100000 Apr 23, 2013 27.284293 -- 4050000 Apr 22, 2013 27.20007 -- 3950000 Apr 19, 2013 27.128997 -- 3950000 Apr 18, 2013 27.059402 -- 3950000 Apr 17, 2013 27.054728 -- 3950000 Apr 16, 2013 27.158897 -- 3900000 Apr 15, 2013 27.040038 -- 3900000 Apr 12, 2013 27.255803 -- 3900000 Apr 11, 2013 27.162462 -- 3900000 Apr 10, 2013 27.125897 -- 3900000 Apr 09, 2013 27.116812 -- 3850000 Apr 08, 2013 27.113041 -- 3850000 Apr 05, 2013 27.089062 -- 3800000 Apr 04, 2013 26.911121 -- 3800000 Apr 03, 2013 26.745027 -- 3800000 Apr 02, 2013 26.765991 0.213328 3750000 Apr 01, 2013 26.983512 -- 3750000 Mar 28, 2013 26.966333 -- 3750000 Mar 27, 2013 26.919707 -- 3750000 Mar 26, 2013 26.86446 -- 3750000 Mar 25, 2013 26.763492 -- 3650000 Mar 22, 2013 26.812025 -- 3650000 Mar 21, 2013 26.740509 -- 3650000 Mar 20, 2013 26.70777 -- 3650000 Mar 19, 2013 26.699974 -- 3650000 Mar 18, 2013 26.716004 -- 3600000 Mar 15, 2013 26.70142 -- 3600000 Mar 14, 2013 26.641369 -- 3600000 Mar 13, 2013 26.596236 -- 3550000 Mar 12, 2013 26.589685 -- 3550000 Mar 11, 2013 26.517953 -- 3550000 Mar 08, 2013 26.480388 -- 3550000 Mar 07, 2013 26.53047 -- 3550000 Mar 06, 2013 26.566449 -- 3550000 Mar 05, 2013 26.649145 -- 3500000 Mar 04, 2013 26.574484 0.06121 3450000 Mar 01, 2013 26.597144 -- 3450000 Feb 28, 2013 26.587196 -- 3450000 Feb 27, 2013 26.574319 -- 3450000 Feb 26, 2013 26.486509 -- 3450000 Feb 25, 2013 26.4128 -- 3450000 Feb 22, 2013 26.432918 -- 3450000 Feb 21, 2013 26.341785 -- 3450000 Feb 20, 2013 26.381996 -- 3450000 Feb 19, 2013 26.466148 -- 3450000 Feb 15, 2013 26.418309 -- 3450000 Feb 14, 2013 26.439099 -- 3450000 Feb 13, 2013 26.417126 -- 3450000 Feb 12, 2013 26.434319 -- 3450000 Feb 11, 2013 26.395016 -- 3450000 Feb 08, 2013 26.382529 -- 3450000 Feb 07, 2013 26.318697 -- 3450000 Feb 06, 2013 26.371885 -- 3450000 Feb 05, 2013 26.323017 -- 3450000 Feb 04, 2013 26.317711 0.047922 3500000 Feb 01, 2013 26.410879 -- 3500000 Jan 31, 2013 26.395731 -- 3500000 Jan 30, 2013 26.40371 -- 3500000 Jan 29, 2013 26.501693 -- 3500000 Jan 28, 2013 26.505318 -- 3500000 Jan 25, 2013 26.541934 -- 3500000 Jan 24, 2013 26.596941 -- 3500000 Jan 23, 2013 26.619405 -- 3500000 Jan 22, 2013 26.642926 -- 3500000 Jan 18, 2013 26.587788 -- 3500000 Jan 17, 2013 26.495337 -- 3500000 Jan 16, 2013 26.468536 -- 3450000 Jan 15, 2013 26.484606 -- 3450000 Jan 14, 2013 26.424479 -- 3450000 Jan 11, 2013 26.458056 -- 3450000 Jan 10, 2013 26.396483 -- 3400000 Jan 09, 2013 26.357726 -- 3400000 Jan 08, 2013 26.325615 -- 3400000 Jan 07, 2013 26.31322 -- 3400000 Jan 04, 2013 26.343954 -- 3300000 Jan 03, 2013 26.244403 -- 3300000 Jan 02, 2013 26.334323 -- 3300000 Dec 31, 2012 26.160831 -- 3300000 Dec 28, 2012 26.138366 -- 3300000 Dec 27, 2012 26.172156 0.235079 3300000 Dec 26, 2012 26.394539 -- 3250000 Dec 24, 2012 26.371217 -- 3250000 Dec 21, 2012 26.428527 -- 3250000 Dec 20, 2012 26.437449 -- 3250000 Dec 19, 2012 26.377187 -- 3250000 Dec 18, 2012 26.340743 -- 3250000 Dec 17, 2012 26.332873 -- 3250000 Dec 14, 2012 26.350666 -- 3250000 Dec 13, 2012 26.334481 -- 3250000 Dec 12, 2012 26.397448 -- 3250000 Dec 11, 2012 26.474644 -- 3100000 Dec 10, 2012 26.495839 -- 3100000 Dec 07, 2012 26.4467 -- 3100000 Dec 06, 2012 26.490353 -- 3100000 Dec 05, 2012 26.456682 -- 3050000 Dec 04, 2012 26.43427 0.063818 3050000 Dec 03, 2012 26.469075 -- 3000000 Nov 30, 2012 26.473482 -- 3000000 Nov 29, 2012 26.451861 -- 3000000 Nov 28, 2012 26.36274 -- 3000000 Nov 27, 2012 26.325689 -- 3000000 Nov 26, 2012 26.308497 -- 3000000 Nov 23, 2012 26.257231 -- 3000000 Nov 21, 2012 26.158382 -- 3000000 Nov 20, 2012 26.154853 -- 3000000 Nov 19, 2012 26.189249 -- 3000000 Nov 16, 2012 26.041111 -- 3000000 Nov 15, 2012 25.88757 -- 3000000 Nov 14, 2012 25.88687 -- 3000000 Nov 13, 2012 26.085551 -- 3000000 Nov 12, 2012 26.179811 -- 3000000 Nov 09, 2012 26.174882 -- 3000000 Nov 08, 2012 26.196258 -- 3000000 Nov 07, 2012 26.199328 -- 3000000 Nov 06, 2012 26.335649 -- 3000000 Nov 05, 2012 26.381879 -- 3000000 Nov 02, 2012 26.378776 0.070183 2950000 Nov 01, 2012 26.5619 -- 2900000 Oct 31, 2012 26.519512 -- 2800000 Oct 26, 2012 26.404428 -- 2800000 Oct 25, 2012 26.365361 -- 2800000 Oct 24, 2012 26.37325 -- 2800000 Oct 23, 2012 26.420882 -- 2800000 Oct 22, 2012 26.467248 -- 2800000 Oct 19, 2012 26.517492 -- 2800000 Oct 18, 2012 26.578866 -- 2800000 Oct 17, 2012 26.594357 -- 2800000 Oct 16, 2012 26.522239 -- 2950000 Oct 15, 2012 26.484011 -- 2950000 Oct 12, 2012 26.462963 -- 2950000 Oct 11, 2012 26.470918 -- 2950000 Oct 10, 2012 26.370404 -- 2950000 Oct 09, 2012 26.404443 -- 2950000 Oct 08, 2012 26.504852 -- 2800000 Oct 05, 2012 26.492619 -- 2800000 Oct 04, 2012 26.549348 -- 2800000 Oct 03, 2012 26.541717 -- 2750000 Oct 02, 2012 26.503367 0.178441 2750000 Oct 01, 2012 26.62285 -- 2750000 Sep 28, 2012 26.586149 -- 2750000 Sep 27, 2012 26.608181 -- 2750000 Sep 26, 2012 26.556713 -- 2750000 Sep 25, 2012 26.563836 -- 2750000 Sep 24, 2012 26.6103 -- 2600000 Sep 21, 2012 26.598544 -- 2600000 Sep 20, 2012 26.568098 -- 2600000 Sep 19, 2012 26.562688 -- 2600000 Sep 18, 2012 26.511862 -- 2500000 Sep 17, 2012 26.49219 -- 2500000 Sep 14, 2012 26.481838 -- 2500000 Sep 13, 2012 26.590312 -- 2500000 Sep 12, 2012 26.492884 -- 2500000 Sep 11, 2012 26.510531 -- 2350000 Sep 10, 2012 26.473692 -- 2250000 Sep 07, 2012 26.466096 -- 2250000 Sep 06, 2012 26.427477 -- 2250000 Sep 05, 2012 26.376976 0.071794 2250000 Sep 04, 2012 26.467629 -- 2200000 Aug 31, 2012 26.453399 -- 2200000 Aug 30, 2012 26.342666 -- 2200000 Aug 29, 2012 26.351832 -- 2200000 Aug 28, 2012 26.34821 -- 2200000 Aug 27, 2012 26.326156 -- 2100000 Aug 24, 2012 26.294815 -- 2100000 Aug 23, 2012 26.227614 -- 2100000 Aug 22, 2012 26.238587 -- 2100000 Aug 21, 2012 26.15035 -- 2100000 Aug 20, 2012 26.129765 -- 2100000 Aug 17, 2012 26.108428 -- 2100000 Aug 16, 2012 26.065653 -- 2100000 Aug 15, 2012 26.069801 -- 1950000 Aug 14, 2012 26.177321 -- 1950000 Aug 13, 2012 26.22417 -- 1950000 Aug 10, 2012 26.23691 -- 1950000 Aug 09, 2012 26.207878 -- 1950000 Aug 08, 2012 26.220476 -- 1950000 Aug 07, 2012 26.247875 -- 1850000 Aug 06, 2012 26.329044 -- 1850000 Aug 03, 2012 26.32959 -- 1850000 Aug 02, 2012 26.276487 0.080805 1850000 Aug 01, 2012 26.384798 -- 1850000 Jul 31, 2012 26.401929 -- 1850000 Jul 30, 2012 26.422464 -- 1700000 Jul 27, 2012 26.359484 -- 1700000 Jul 26, 2012 26.304713 -- 1700000 Jul 25, 2012 26.183776 -- 1700000 Jul 24, 2012 26.187396 -- 1650000 Jul 23, 2012 26.257511 -- 1650000 Jul 20, 2012 26.333043 -- 1500000 Jul 19, 2012 26.329823 -- 1500000 Jul 18, 2012 26.309548 -- 1500000 Jul 17, 2012 26.261655 -- 1400000 Jul 16, 2012 26.211877 -- 1300000 Jul 13, 2012 26.176272 -- 1300000 Jul 12, 2012 26.063956 -- 1300000 Jul 11, 2012 26.034472 -- 1300000 Jul 10, 2012 25.97762 -- 1250000 Jul 09, 2012 26.01954 -- 1150000 Jul 06, 2012 25.995383 -- 1150000 Jul 05, 2012 25.959759 -- 1150000 Jul 03, 2012 25.945903 0.164557 1150000 Jul 02, 2012 26.077529 -- 1100000 Jun 29, 2012 25.939626 -- 1100000 Jun 28, 2012 25.809665 -- 1100000 Jun 27, 2012 25.769532 -- 1100000 Jun 26, 2012 25.645638 -- 1100000 Jun 25, 2012 25.647195 -- 1050000 Jun 22, 2012 25.660953 -- 1050000 Jun 21, 2012 25.6293 -- 1000000 Jun 20, 2012 25.762356 -- 1000000 Jun 19, 2012 25.738709 -- 1000000 Jun 18, 2012 25.697798 -- 1000000 Jun 15, 2012 25.645375 -- 1000000 Jun 14, 2012 25.540919 -- 1000000 Jun 13, 2012 25.447613 -- 1000000 Jun 12, 2012 25.417919 -- 1000000 Jun 11, 2012 25.356536 -- 1000000 Jun 08, 2012 25.430294 -- 1000000 Jun 07, 2012 25.347856 -- 1000000 Jun 06, 2012 25.302392 -- 950000 Jun 05, 2012 25.185039 -- 950000 Jun 04, 2012 25.13987 0.078976 950000 Jun 01, 2012 25.221941 -- 950000 May 31, 2012 25.34936 -- 950000 May 30, 2012 25.317471 -- 950000 May 29, 2012 25.310642 -- 900000 May 25, 2012 25.207575 -- 900000 May 24, 2012 25.186307 -- 900000 May 23, 2012 25.172583 -- 900000 May 22, 2012 25.150659 -- 850000 May 21, 2012 25.154653 -- 800000 May 18, 2012 24.970732 -- 800000 May 17, 2012 25.051034 -- 800000 May 16, 2012 25.22403 -- 800000 May 15, 2012 25.286457 -- 800000 May 14, 2012 25.356202 -- 800000 May 11, 2012 25.426673 -- 700000 May 10, 2012 25.399923 -- 400000 May 09, 2012 25.38014 -- 350000 May 08, 2012 25.450623 -- 350000 May 07, 2012 25.427296 -- 350000 May 04, 2012 25.412686 -- 350000 May 03, 2012 25.43594 -- 350000 May 02, 2012 25.443001 0.073269 350000 May 01, 2012 25.485742 -- 350000 Apr 30, 2012 25.478133 -- 300000 Apr 27, 2012 25.472499 -- 300000 Apr 26, 2012 25.439707 -- 250000 Apr 25, 2012 25.354261 -- 250000 Apr 24, 2012 25.267918 -- 250000 Apr 23, 2012 25.243872 -- 250000 Apr 20, 2012 25.264406 -- 250000 Apr 19, 2012 25.211768 -- 150000 Apr 18, 2012 25.237091 -- 150000 Apr 17, 2012 25.249797 -- 150000 Apr 16, 2012 25.15749 -- 150000 Apr 13, 2012 25.122879 -- 150000 Apr 12, 2012 25.102428 -- 150000 Apr 11, 2012 24.973672 -- 150000 Apr 10, 2012 24.941344 -- 100000 Apr 09, 2012 25.043316 -- 100000 Apr 05, 2012 24.985603 -- 100000 Apr 04, 2012 24.981074 -- 100000 Apr 03, 2012 24.998774 -- 100000 iShares Morningstar Multi-Asset Income ETF Fund Inception 03-Apr-2012 Month End Date Monthly Total (NAV) Return Apr 30, 2012 -- May 31, 2012 -0.22 Jun 30, 2012 2.65 Jul 31, 2012 2.42 Aug 31, 2012 0.5 Sep 30, 2012 0.8 Oct 31, 2012 0.41000000000000003 Nov 30, 2012 0.08 Dec 31, 2012 -0.04 Jan 31, 2013 0.9199999999999999 Feb 28, 2013 0.8999999999999999 Mar 31, 2013 1.66 Apr 30, 2013 2.93 May 31, 2013 -5.2 Jun 30, 2013 -2.88 Jul 31, 2013 0.88 Aug 31, 2013 -2.48 Sep 30, 2013 2.7 Oct 31, 2013 2.26 Nov 30, 2013 -1.34 Dec 31, 2013 0.5700000000000001 Jan 31, 2014 1.4500000000000002 Feb 28, 2014 2.87 Mar 31, 2014 1.14 Apr 30, 2014 1.85 May 31, 2014 2.07 Jun 30, 2014 0.89 Jul 31, 2014 -1.38 Aug 31, 2014 2.93 Sep 30, 2014 -3.39 Oct 31, 2014 2.1 Nov 30, 2014 0.5 Dec 31, 2014 -1.14 Jan 31, 2015 1.64 Feb 28, 2015 0.76 Mar 31, 2015 -1.15 Apr 30, 2015 0.72 May 31, 2015 -1.01 Jun 30, 2015 -3.06 Jul 31, 2015 0.62 Aug 31, 2015 -2.79 Sep 30, 2015 -1.32 Oct 31, 2015 2.91 Nov 30, 2015 -0.89 Dec 31, 2015 -1.14 Jan 31, 2016 -1.29 Feb 29, 2016 0.93 Mar 31, 2016 4.77 Apr 30, 2016 1.95 May 31, 2016 0.06 Jun 30, 2016 2.28 Jul 31, 2016 1.83 Aug 31, 2016 0.57 Sep 30, 2016 0.47 Oct 31, 2016 -1.61 Nov 30, 2016 -1.95 Dec 31, 2016 1.56 Jan 31, 2017 1.24 Feb 28, 2017 1.97 Mar 31, 2017 0.76 Apr 30, 2017 1.23 May 31, 2017 1.11 Jun 30, 2017 0.47 Jul 31, 2017 1.04 Aug 31, 2017 0.59 Sep 30, 2017 0.83 Oct 31, 2017 -0.57 Nov 30, 2017 0.64 Dec 31, 2017 1.06 Jan 31, 2018 -0.66 Feb 28, 2018 -2.45 Mar 31, 2018 0.75 Apr 30, 2018 -0.17 May 31, 2018 -0.19 Jun 30, 2018 -0.15 Jul 31, 2018 2.21 Aug 31, 2018 -0.49 Sep 30, 2018 0.38 Oct 31, 2018 -2.56 Nov 30, 2018 0.35 Dec 31, 2018 -1.8 Jan 31, 2019 5.76 Feb 28, 2019 0.42 Mar 31, 2019 0.83 Apr 30, 2019 1.11 May 31, 2019 -2.26 Jun 30, 2019 4.02 Jul 31, 2019 0.32 Aug 31, 2019 -0.97 Sep 30, 2019 1.41 Oct 31, 2019 1.32 Nov 30, 2019 0.27 Dec 31, 2019 2.85 Jan 31, 2020 0.59 Feb 29, 2020 -3.63 Mar 31, 2020 -18.51 Apr 30, 2020 6.33 May 31, 2020 3.45 Jun 30, 2020 2.31 Jul 31, 2020 3.87 Aug 31, 2020 0.09 Sep 30, 2020 -1.2 Oct 31, 2020 -1.56 Nov 30, 2020 7.41 Dec 31, 2020 2.26 Jan 31, 2021 -1.62 Feb 28, 2021 -0.62 Mar 31, 2021 0.17 Apr 30, 2021 1.81 May 31, 2021 1.01 Jun 30, 2021 1.2 Jul 31, 2021 1.07 Aug 31, 2021 0.5 Sep 30, 2021 -1.76 Oct 31, 2021 1 Nov 30, 2021 -1.22 Dec 31, 2021 1.87 Jan 31, 2022 -2.12 Feb 28, 2022 -2.74 Mar 31, 2022 -1.93 Apr 30, 2022 -5.76 May 31, 2022 1.33 Jun 30, 2022 -6.19 Jul 31, 2022 3.966323 Aug 31, 2022 -3.569629 Sep 30, 2022 -6.392152 Oct 31, 2022 1.231911 Nov 30, 2022 6.664052 Dec 31, 2022 -1.52965 Jan 31, 2023 5.812324 Feb 28, 2023 -3.204005 Mar 31, 2023 -0.43491 Apr 30, 2023 0.987813 May 31, 2023 -1.86424 Jun 30, 2023 3.102666 Jul 31, 2023 2.129822 Aug 31, 2023 -1.33478 Sep 30, 2023 -1.245711 Oct 31, 2023 -1.919023 Nov 30, 2023 5.249798 Dec 31, 2023 3.743704 Jan 31, 2024 -0.489428 Feb 29, 2024 0.196285 Mar 31, 2024 1.070868 Record Date Ex-Date Payable Date Total Distribution Income ST Cap Gains LT Cap Gains Return of Capital Apr 03, 2024 Apr 02, 2024 Apr 08, 2024 0.087714 0.087714 0 0 0 Mar 05, 2024 Mar 04, 2024 Mar 08, 2024 0.070946 0.070946 0 0 0 Feb 05, 2024 Feb 02, 2024 Feb 08, 2024 0.067557 0.067557 0 0 0 Dec 26, 2023 Dec 22, 2023 Dec 29, 2023 0.205197 0.205197 0 0 0 Dec 05, 2023 Dec 04, 2023 Dec 08, 2023 0.058788 0.058788 0 0 0 Nov 03, 2023 Nov 02, 2023 Nov 08, 2023 0.064338 0.064338 0 0 0 Oct 04, 2023 Oct 03, 2023 Oct 10, 2023 0.185877 0.185877 0 0 0 Sep 06, 2023 Sep 05, 2023 Sep 11, 2023 0.064156 0.064156 0 0 0 Aug 03, 2023 Aug 02, 2023 Aug 08, 2023 0.054476 0.054476 0 0 0 Jul 06, 2023 Jul 05, 2023 Jul 11, 2023 0.214935 0.214935 0 0 0 Jun 05, 2023 Jun 02, 2023 Jun 08, 2023 0.05489 0.05489 0 0 0 May 03, 2023 May 02, 2023 May 08, 2023 0.050482 0.050482 0 0 0 Apr 05, 2023 Apr 04, 2023 Apr 10, 2023 0.09402 0.09402 0 0 0 Mar 03, 2023 Mar 02, 2023 Mar 08, 2023 0.057397 0.057397 0 0 0 Feb 03, 2023 Feb 02, 2023 Feb 08, 2023 0.054722 0.054722 0 0 0 Dec 27, 2022 Dec 23, 2022 Dec 30, 2022 0.226219 0.226219 0 0 0 Dec 05, 2022 Dec 02, 2022 Dec 08, 2022 0.050727 0.050727 0 0 0 Nov 03, 2022 Nov 02, 2022 Nov 08, 2022 0.054833 0.054833 0 0 0 Oct 05, 2022 Oct 04, 2022 Oct 11, 2022 0.188232 0.188232 0 0 0 Sep 06, 2022 Sep 02, 2022 Sep 09, 2022 0.054342 0.054342 0 0 0 Aug 03, 2022 Aug 02, 2022 Aug 08, 2022 0.052004 0.052004 0 0 0 Jul 06, 2022 Jul 05, 2022 Jul 11, 2022 0.152763 0.152763 0 0 0 Jun 03, 2022 Jun 02, 2022 Jun 08, 2022 0.051744 0.051744 0 0 0 May 04, 2022 May 03, 2022 May 09, 2022 0.043428 0.043428 0 0 0 Apr 05, 2022 Apr 04, 2022 Apr 08, 2022 0.087066 0.087066 0 0 0 Mar 03, 2022 Mar 02, 2022 Mar 08, 2022 0.036206 0.036206 0 0 0 Feb 03, 2022 Feb 02, 2022 Feb 08, 2022 0.036154 0.036154 0 0 0 Dec 27, 2021 Dec 23, 2021 Dec 30, 2021 0.179491 0.179491 0 0 0 Dec 03, 2021 Dec 02, 2021 Dec 08, 2021 0.024751 0.024751 0 0 0 Nov 03, 2021 Nov 02, 2021 Nov 08, 2021 0.026503 0.026503 0 0 0 Oct 05, 2021 Oct 04, 2021 Oct 08, 2021 0.108809 0.108809 0 0 0 Sep 03, 2021 Sep 02, 2021 Sep 09, 2021 0.030371 0.030371 0 0 0 Aug 04, 2021 Aug 03, 2021 Aug 09, 2021 0.031355 0.031355 0 0 0 Jul 06, 2021 Jul 02, 2021 Jul 09, 2021 0.147719 0.147719 0 0 0 Jun 03, 2021 Jun 02, 2021 Jun 08, 2021 0.037636 0.037636 0 0 0 May 05, 2021 May 04, 2021 May 10, 2021 0.040606 0.040606 0 0 0 Apr 06, 2021 Apr 05, 2021 Apr 09, 2021 0.123653 0.123653 0 0 0 Mar 03, 2021 Mar 02, 2021 Mar 08, 2021 0.039094 0.039094 0 0 0 Feb 03, 2021 Feb 02, 2021 Feb 08, 2021 0.043604 0.043604 0 0 0 Dec 28, 2020 Dec 24, 2020 Dec 31, 2020 0.132835 0.132835 0 0 0 Dec 03, 2020 Dec 02, 2020 Dec 08, 2020 0.039882 0.039882 0 0 0 Nov 04, 2020 Nov 03, 2020 Nov 09, 2020 0.035085 0.035085 0 0 0 Oct 05, 2020 Oct 02, 2020 Oct 08, 2020 0.151597 0.151597 0 0 0 Sep 03, 2020 Sep 02, 2020 Sep 09, 2020 0.036604 0.036604 0 0 0 Aug 05, 2020 Aug 04, 2020 Aug 10, 2020 0.040898 0.040898 0 0 0 Jul 06, 2020 Jul 02, 2020 Jul 09, 2020 0.174884 0.1599 0 0 0.014984 Jun 03, 2020 Jun 02, 2020 Jun 08, 2020 0.043022 0.039336 0 0 0.003686 May 05, 2020 May 04, 2020 May 08, 2020 0.056054 0.051251 0 0 0.004803 Apr 03, 2020 Apr 02, 2020 Apr 08, 2020 0.219913 0.201071 0 0 0.018842 Mar 04, 2020 Mar 03, 2020 Mar 09, 2020 0.052097 0.047633 0 0 0.004464 Feb 05, 2020 Feb 04, 2020 Feb 10, 2020 0.071405 0.065287 0 0 0.006118 Dec 26, 2019 Dec 24, 2019 Dec 31, 2019 0.256305 0.256305 0 0 0 Dec 04, 2019 Dec 03, 2019 Dec 09, 2019 0.047842 0.047842 0 0 0 Nov 05, 2019 Nov 04, 2019 Nov 08, 2019 0.048746 0.048746 0 0 0 Oct 03, 2019 Oct 02, 2019 Oct 08, 2019 0.194367 0.194367 0 0 0 Sep 05, 2019 Sep 04, 2019 Sep 10, 2019 0.0469 0.0469 0 0 0 Aug 05, 2019 Aug 02, 2019 Aug 08, 2019 0.048556 0.048556 0 0 0 Jul 03, 2019 Jul 02, 2019 Jul 09, 2019 0.240139 0.238333 0 0 0.001806 Jun 05, 2019 Jun 04, 2019 Jun 10, 2019 0.051359 0.050973 0 0 0.000386 May 03, 2019 May 02, 2019 May 08, 2019 0.049853 0.049478 0 0 0.000375 Apr 03, 2019 Apr 02, 2019 Apr 08, 2019 0.161951 0.160733 0 0 0.001218 Mar 05, 2019 Mar 04, 2019 Mar 08, 2019 0.053198 0.052798 0 0 0.00040 Feb 05, 2019 Feb 04, 2019 Feb 08, 2019 0.142136 0.141067 0 0 0.001069 Dec 31, 2018 Dec 28, 2018 Jan 04, 2019 0.19935 0.19935 0 0 0 Dec 05, 2018 Dec 04, 2018 Dec 10, 2018 0.061169 0.061169 0 0 0 Nov 05, 2018 Nov 02, 2018 Nov 08, 2018 0.064411 0.064411 0 0 0 Oct 03, 2018 Oct 02, 2018 Oct 09, 2018 0.18261 0.18261 0 0 0 Sep 06, 2018 Sep 05, 2018 Sep 11, 2018 0.053032 0.053032 0 0 0 Aug 03, 2018 Aug 02, 2018 Aug 08, 2018 0.057618 0.057618 0 0 0 Jul 05, 2018 Jul 03, 2018 Jul 10, 2018 0.219758 0.219758 0 0 0 Jun 05, 2018 Jun 04, 2018 Jun 08, 2018 0.063233 0.063233 0 0 0 May 03, 2018 May 02, 2018 May 08, 2018 0.063186 0.063186 0 0 0 Apr 04, 2018 Apr 03, 2018 Apr 09, 2018 0.158629 0.158629 0 0 0 Mar 05, 2018 Mar 02, 2018 Mar 08, 2018 0.056921 0.056921 0 0 0 Feb 05, 2018 Feb 02, 2018 Feb 08, 2018 0.164762 0.164762 0 0 0 Dec 29, 2017 Dec 28, 2017 Jan 04, 2018 0.085636 0.085636 0 0 0 Dec 05, 2017 Dec 04, 2017 Dec 08, 2017 0.055774 0.055774 0 0 0 Nov 03, 2017 Nov 02, 2017 Nov 08, 2017 0.054028 0.054028 0 0 0 Oct 04, 2017 Oct 03, 2017 Oct 10, 2017 0.183244 0.183244 0 0 0 Sep 07, 2017 Sep 06, 2017 Sep 11, 2017 0.052804 0.052804 0 0 0 Aug 04, 2017 Aug 02, 2017 Aug 08, 2017 0.062132 0.062132 0 0 0 Jul 10, 2017 Jul 06, 2017 Jul 12, 2017 0.203816 0.198368 0 0 0.005448 Jun 06, 2017 Jun 02, 2017 Jun 08, 2017 0.061227 0.05959 0 0 0.001637 May 04, 2017 May 02, 2017 May 08, 2017 0.048858 0.047552 0 0 0.001306 Apr 06, 2017 Apr 04, 2017 Apr 10, 2017 0.188566 0.183525 0 0 0.005041 Mar 06, 2017 Mar 02, 2017 Mar 08, 2017 0.050479 0.04913 0 0 0.001349 Feb 06, 2017 Feb 02, 2017 Feb 08, 2017 0.043681 0.042513 0 0 0.001168 Dec 30, 2016 Dec 28, 2016 Jan 04, 2017 0.162699 0.162699 0 0 0 Dec 06, 2016 Dec 02, 2016 Dec 08, 2016 0.052628 0.052628 0 0 0 Nov 04, 2016 Nov 02, 2016 Nov 08, 2016 0.050203 0.050203 0 0 0 Oct 06, 2016 Oct 04, 2016 Oct 11, 2016 0.204704 0.204704 0 0 0 Sep 07, 2016 Sep 02, 2016 Sep 09, 2016 0.049408 0.049408 0 0 0 Aug 04, 2016 Aug 02, 2016 Aug 08, 2016 0.052237 0.052237 0 0 0 Jul 08, 2016 Jul 06, 2016 Jul 12, 2016 0.202283 0.156386 0 0 0.045897 Jun 06, 2016 Jun 02, 2016 Jun 08, 2016 0.054764 0.042338 0 0 0.012426 May 05, 2016 May 03, 2016 May 09, 2016 0.053514 0.041372 0 0 0.012142 Apr 06, 2016 Apr 04, 2016 Apr 08, 2016 0.175766 0.135886 0 0 0.03988 Mar 04, 2016 Mar 02, 2016 Mar 08, 2016 0.057624 0.044549 0 0 0.013075 Feb 04, 2016 Feb 02, 2016 Feb 08, 2016 0.060944 0.047116 0 0 0.013828 Dec 30, 2015 Dec 28, 2015 Jan 04, 2016 0.172418 0.172418 0 0 0 Dec 04, 2015 Dec 02, 2015 Dec 08, 2015 0.107822 0.050676 0.049324 0.007822 0 Nov 05, 2015 Nov 03, 2015 Nov 09, 2015 0.046991 0.046991 0 0 0 Oct 06, 2015 Oct 02, 2015 Oct 08, 2015 0.199341 0.199341 0 0 0 Sep 04, 2015 Sep 02, 2015 Sep 09, 2015 0.04581 0.04581 0 0 0 Aug 06, 2015 Aug 04, 2015 Aug 10, 2015 0.054368 0.054368 0 0 0 Jul 07, 2015 Jul 02, 2015 Jul 09, 2015 0.213105 0.195163 0.017942 0 0 Jun 04, 2015 Jun 02, 2015 Jun 08, 2015 0.050273 0.04604 0.004233 0 0 May 06, 2015 May 04, 2015 May 08, 2015 0.048606 0.044514 0.004092 0 0 Apr 07, 2015 Apr 02, 2015 Apr 09, 2015 0.18534 0.169735 0.015605 0 0 Mar 05, 2015 Mar 03, 2015 Mar 09, 2015 0.050335 0.046097 0.004238 0 0 Feb 05, 2015 Feb 03, 2015 Feb 09, 2015 0.04888 0.044765 0.004115 0 0 Dec 30, 2014 Dec 26, 2014 Jan 02, 2015 0.283436 0.283436 0 0 0 Dec 04, 2014 Dec 02, 2014 Dec 08, 2014 0.248774 0.0511 0.111374 0.0863 0 Nov 06, 2014 Nov 04, 2014 Nov 10, 2014 0.052635 0.052635 0 0 0 Oct 06, 2014 Oct 02, 2014 Oct 08, 2014 0.202329 0.202329 0 0 0 Sep 05, 2014 Sep 03, 2014 Sep 09, 2014 0.057318 0.057318 0 0 0 Aug 06, 2014 Aug 04, 2014 Aug 08, 2014 0.048891 0.048891 0 0 0 Jul 07, 2014 Jul 02, 2014 Jul 09, 2014 0.221604 0.221604 0 0 0 Jun 05, 2014 Jun 03, 2014 Jun 09, 2014 0.057249 0.057249 0 0 0 May 06, 2014 May 02, 2014 May 08, 2014 0.061081 0.061081 0 0 0 Apr 04, 2014 Apr 02, 2014 Apr 08, 2014 0.256662 0.256662 0 0 0 Mar 06, 2014 Mar 04, 2014 Mar 10, 2014 0.062649 0.062649 0 0 0 Feb 06, 2014 Feb 04, 2014 Feb 10, 2014 0.069251 0.069251 0 0 0 Dec 31, 2013 Dec 27, 2013 Jan 03, 2014 0.30271 0.30271 0 0 0 Dec 05, 2013 Dec 03, 2013 Dec 09, 2013 0.117058 0.074375 0.04012 0.002563 0 Nov 06, 2013 Nov 04, 2013 Nov 08, 2013 0.070007 0.070007 0 0 0 Oct 04, 2013 Oct 02, 2013 Oct 08, 2013 0.224108 0.224108 0 0 0 Sep 06, 2013 Sep 04, 2013 Sep 10, 2013 0.068664 0.068664 0 0 0 Aug 06, 2013 Aug 02, 2013 Aug 08, 2013 0.06579 0.06579 0 0 0 Jul 05, 2013 Jul 02, 2013 Jul 09, 2013 0.26148 0.26148 0 0 0 Jun 06, 2013 Jun 04, 2013 Jun 10, 2013 0.062276 0.062276 0 0 0 May 06, 2013 May 02, 2013 May 08, 2013 0.061042 0.061042 0 0 0 Apr 04, 2013 Apr 02, 2013 Apr 08, 2013 0.213328 0.213328 0 0 0 Mar 06, 2013 Mar 04, 2013 Mar 08, 2013 0.06121 0.06121 0 0 0 Feb 06, 2013 Feb 04, 2013 Feb 08, 2013 0.047922 0.047922 0 0 0 Dec 31, 2012 Dec 27, 2012 Jan 03, 2013 0.235079 0.235079 0 0 0 Dec 06, 2012 Dec 04, 2012 Dec 10, 2012 0.063818 0.063818 0 0 0 Nov 06, 2012 Nov 02, 2012 Nov 08, 2012 0.070183 0.070183 0 0 0 Oct 04, 2012 Oct 02, 2012 Oct 09, 2012 0.178441 0.178441 0 0 0 Sep 07, 2012 Sep 05, 2012 Sep 11, 2012 0.071794 0.071794 0 0 0 Aug 06, 2012 Aug 02, 2012 Aug 08, 2012 0.080805 0.080805 0 0 0 Jul 06, 2012 Jul 03, 2012 Jul 10, 2012 0.164557 0.164557 0 0 0 Jun 06, 2012 Jun 04, 2012 Jun 08, 2012 0.078976 0.078976 0 0 0 May 04, 2012 May 02, 2012 May 08, 2012 0.073269 0.073269 0 0 0