ETF constituents for LQDH

Below, a list of constituents for LQDH (iShares Interest Rate Hedged Corporate Bond ETF) is shown. In total, LQDH consists of 3469 securities.

Note: The data shown here is as of date Apr 16, 2026 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

Ticker Name Sector Asset Class Market Value Weight (%) ISIN Duration Maturity Coupon (%)
LQD ISHARES IBOXX $ INV GRADE CORPORAT Financial Other Fixed Income 480,842,008.08 95.02 US4642872422 7.98 nan 0.00
XTSLA BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 25,859,999.98 5.11 US0669224778 0.10 nan 3.65
CME SWP: OIS 0.862500 30-MAR-2045 Cash and/or Derivatives Swaps 8,612,442.02 1.70 nan 16.56 Mar 30, 2045 0.86
CME SWP: OIS 1.060000 18-SEP-2050 Cash and/or Derivatives Swaps 8,271,532.01 1.63 nan 20.28 Sep 18, 2050 1.06
CME SWP: OIS 1.108000 19-OCT-2040 Cash and/or Derivatives Swaps 6,974,621.73 1.38 nan 13.14 Oct 19, 2040 1.11
CME SWP: OIS 1.184500 19-OCT-2050 Cash and/or Derivatives Swaps 6,908,128.84 1.37 nan 19.84 Oct 19, 2050 1.18
CME SWP: OIS 0.910000 25-SEP-2035 Cash and/or Derivatives Swaps 6,398,503.85 1.26 nan 9.04 Sep 25, 2035 0.91
CME SWP: OIS 0.490000 22-SEP-2027 Cash and/or Derivatives Swaps 3,457,232.58 0.68 nan 1.44 Sep 22, 2027 0.49
CME SWP: OIS 0.778000 19-OCT-2030 Cash and/or Derivatives Swaps 3,285,393.13 0.65 nan 4.44 Oct 19, 2030 0.78
LCH SWP: OIS 1.242000 15-DEC-2031 Cash and/or Derivatives Swaps 2,340,202.97 0.46 nan 5.44 Dec 15, 2031 1.24
LCH SWP: OIS 1.285000 07-DEC-2051 Cash and/or Derivatives Swaps 1,719,776.45 0.34 nan 20.04 Dec 07, 2051 1.28
CME SWP: OIS 1.189000 20-OCT-2028 Cash and/or Derivatives Swaps 1,526,920.62 0.30 nan 2.48 Oct 20, 2028 1.19
LCH SWP: OIS 1.352500 15-DEC-2036 Cash and/or Derivatives Swaps 1,453,663.95 0.29 nan 9.78 Dec 15, 2036 1.35
CME SWP: OIS 1.216500 12-FEB-2031 Cash and/or Derivatives Swaps 1,411,361.37 0.28 nan 4.65 Feb 12, 2031 1.22
CME SWP: OIS 1.275500 23-AUG-2031 Cash and/or Derivatives Swaps 644,142.30 0.13 nan 5.21 Aug 23, 2031 1.28
LCH SWP: OIS 1.277000 17-DEC-2031 Cash and/or Derivatives Swaps 390,431.12 0.08 nan 5.44 Dec 17, 2031 1.28
LCH SWP: OIS 3.308700 05-SEP-2054 SOF Cash and/or Derivatives Swaps 215,342.20 0.04 nan 17.45 Sep 05, 2054 3.31
CME SWP: OIS 3.177500 05-JUL-2053 SOF Cash and/or Derivatives Swaps 200,724.18 0.04 nan 17.24 Jul 05, 2053 3.18
LCH SWP: OIS 3.280700 09-SEP-2049 SOF Cash and/or Derivatives Swaps 163,337.24 0.03 nan 15.64 Sep 09, 2049 3.28
CME SWP: OIS 3.133500 27-JUN-2053 SOF Cash and/or Derivatives Swaps 157,631.35 0.03 nan 17.30 Jun 27, 2053 3.13
LCH SWP: OIS 3.398200 28-NOV-2032 SOF Cash and/or Derivatives Swaps 151,063.06 0.03 nan 5.93 Nov 28, 2032 3.40
LCH SWP: OIS 3.271200 07-JUL-2053 SOF Cash and/or Derivatives Swaps 149,907.36 0.03 nan 17.13 Jul 07, 2053 3.27
LCH SWP: OIS 3.179700 11-SEP-2054 SOF Cash and/or Derivatives Swaps 149,217.45 0.03 nan 17.61 Sep 11, 2054 3.18
LCH SWP: OIS 3.393700 01-DEC-2032 SOF Cash and/or Derivatives Swaps 148,410.22 0.03 nan 5.93 Dec 01, 2032 3.39
LCH SWP: OIS 3.930700 01-DEC-2055 SOF Cash and/or Derivatives Swaps 146,749.46 0.03 nan 17.12 Dec 01, 2055 3.93
LCH SWP: OIS 3.405700 25-SEP-2044 SOF Cash and/or Derivatives Swaps 143,439.57 0.03 nan 13.35 Sep 25, 2044 3.41
CME SWP: OIS 1.026000 23-AUG-2031 Cash and/or Derivatives Swaps 142,579.77 0.03 nan 5.25 Aug 23, 2031 1.03
LCH SWP: OIS 3.346750 10-SEP-2032 SOF Cash and/or Derivatives Swaps 140,144.56 0.03 nan 5.77 Sep 10, 2032 3.35
LCH SWP: OIS 3.283700 25-SEP-2054 SOF Cash and/or Derivatives Swaps 139,989.01 0.03 nan 17.48 Sep 25, 2054 3.28
LCH SWP: OIS 3.333200 20-AUG-2054 SOF Cash and/or Derivatives Swaps 139,715.05 0.03 nan 17.41 Aug 20, 2054 3.33
LCH SWP: OIS 3.218200 28-NOV-2028 SOF Cash and/or Derivatives Swaps 136,785.52 0.03 nan 2.51 Nov 28, 2028 3.22
LCH SWP: OIS 3.579700 01-DEC-2035 SOF Cash and/or Derivatives Swaps 132,296.93 0.03 nan 8.13 Dec 01, 2035 3.58
LCH SWP: OIS 3.202200 09-SEP-2054 SOF Cash and/or Derivatives Swaps 129,557.92 0.03 nan 17.58 Sep 09, 2054 3.20
LCH SWP: OIS 3.276200 28-NOV-2030 SOF Cash and/or Derivatives Swaps 125,385.50 0.02 nan 4.29 Nov 28, 2030 3.28
LCH SWP: USD 3.767700 17-DEC-2054 SOF Cash and/or Derivatives Swaps 125,044.15 0.02 nan 16.98 Dec 17, 2054 3.77
LCH SWP: OIS 3.353700 25-SEP-2049 SOF Cash and/or Derivatives Swaps 124,340.57 0.02 nan 15.58 Sep 25, 2049 3.35
LCH SWP: OIS 3.590700 28-NOV-2035 SOF Cash and/or Derivatives Swaps 119,518.88 0.02 nan 8.11 Nov 28, 2035 3.59
LCH SWP: OIS 3.939700 01-DEC-2045 SOF Cash and/or Derivatives Swaps 115,782.32 0.02 nan 13.47 Dec 01, 2045 3.94
LCH SWP: OIS 3.346200 09-SEP-2044 SOF Cash and/or Derivatives Swaps 103,919.70 0.02 nan 13.38 Sep 09, 2044 3.35
LCH SWP: OIS 3.674700 24-OCT-2054 SOF Cash and/or Derivatives Swaps 102,765.20 0.02 nan 17.04 Oct 24, 2054 3.67
LCH SWP: OIS 3.546200 15-OCT-2054 SOF Cash and/or Derivatives Swaps 101,447.30 0.02 nan 17.18 Oct 15, 2054 3.55
LCH SWP: OIS 1.002000 07-DEC-2026 Cash and/or Derivatives Cash 101,292.53 0.02 nan 0.64 Dec 07, 2026 1.00
LCH SWP: OIS 3.277700 01-DEC-2030 SOF Cash and/or Derivatives Swaps 101,310.52 0.02 nan 4.30 Dec 01, 2030 3.28
LCH SWP: OIS 3.472700 18-JUL-2043 SOF Cash and/or Derivatives Swaps 97,974.60 0.02 nan 12.74 Jul 18, 2043 3.47
LCH SWP: OIS 3.272200 20-SEP-2049 SOF Cash and/or Derivatives Swaps 95,995.58 0.02 nan 15.66 Sep 20, 2049 3.27
LCH SWP: OIS 3.350200 28-DEC-2053 SOF Cash and/or Derivatives Swaps 92,943.30 0.02 nan 17.11 Dec 28, 2053 3.35
LCH SWP: OIS 3.340200 22-AUG-2049 SOF Cash and/or Derivatives Swaps 89,027.47 0.02 nan 15.57 Aug 22, 2049 3.34
LCH SWP: OIS 3.826700 01-DEC-2040 SOF Cash and/or Derivatives Swaps 83,763.51 0.02 nan 11.11 Dec 01, 2040 3.83
LCH SWP: OIS 3.330200 07-OCT-2054 SOF Cash and/or Derivatives Swaps 83,411.25 0.02 nan 17.43 Oct 07, 2054 3.33
LCH SWP: OIS 3.598700 15-MAR-2054 SOF Cash and/or Derivatives Swaps 81,662.30 0.02 nan 16.90 Mar 15, 2054 3.60
LCH SWP: OIS 3.195700 20-SEP-2054 SOF Cash and/or Derivatives Swaps 81,347.56 0.02 nan 17.59 Sep 20, 2054 3.20
LCH SWP: OIS 3.353200 11-SEP-2032 SOF Cash and/or Derivatives Swaps 76,476.71 0.02 nan 5.78 Sep 11, 2032 3.35
LCH SWP: OIS 3.731700 12-NOV-2054 SOF Cash and/or Derivatives Swaps 75,854.65 0.01 nan 16.99 Nov 12, 2054 3.73
LCH SWP: OIS 3.266200 09-SEP-2034 SOF Cash and/or Derivatives Swaps 75,006.46 0.01 nan 7.34 Sep 09, 2034 3.27
LCH SWP: OIS 3.519200 28-DEC-2043 SOF Cash and/or Derivatives Swaps 74,678.91 0.01 nan 12.88 Dec 28, 2043 3.52
LCH SWP: OIS 3.849200 29-OCT-2055 SOF Cash and/or Derivatives Swaps 72,798.13 0.01 nan 17.18 Oct 29, 2055 3.85
LCH SWP: OIS 3.387200 05-SEP-2049 SOF Cash and/or Derivatives Swaps 71,694.15 0.01 nan 15.53 Sep 05, 2049 3.39
LCH SWP: OIS 3.338700 09-SEP-2039 SOF Cash and/or Derivatives Swaps 70,226.08 0.01 nan 10.68 Sep 09, 2039 3.34
LCH SWP: OIS 3.819700 10-MAR-2055 SOF Cash and/or Derivatives Swaps 69,837.78 0.01 nan 17.00 Mar 10, 2055 3.82
LCH SWP: OIS 3.829700 18-SEP-2055 SOF Cash and/or Derivatives Swaps 69,037.40 0.01 nan 17.18 Sep 18, 2055 3.83
LCH SWP: OIS 3.329200 20-SEP-2044 SOF Cash and/or Derivatives Swaps 63,617.17 0.01 nan 13.40 Sep 20, 2044 3.33
LCH SWP: OIS 3.606700 07-NOV-2054 SOF Cash and/or Derivatives Swaps 63,411.18 0.01 nan 17.12 Nov 07, 2054 3.61
LCH SWP: OIS 3.512200 06-FEB-2054 SOF Cash and/or Derivatives Swaps 63,192.76 0.01 nan 16.96 Feb 06, 2054 3.51
LCH SWP: OIS 3.680200 29-OCT-2054 SOF Cash and/or Derivatives Swaps 62,406.07 0.01 nan 17.04 Oct 29, 2054 3.68
LCH SWP: OIS 3.612200 07-FEB-2054 SOF Cash and/or Derivatives Swaps 61,966.51 0.01 nan 16.86 Feb 07, 2054 3.61
LCH SWP: OIS 3.254200 22-AUG-2054 SOF Cash and/or Derivatives Swaps 61,376.29 0.01 nan 17.51 Aug 22, 2054 3.25
LCH SWP: OIS 3.234700 09-SEP-2031 SOF Cash and/or Derivatives Swaps 61,048.08 0.01 nan 4.97 Sep 09, 2031 3.23
LCH SWP: OIS 3.812700 24-OCT-2044 SOF Cash and/or Derivatives Swaps 60,103.77 0.01 nan 13.07 Oct 24, 2044 3.81
LCH SWP: OIS 3.313700 11-SEP-2039 SOF Cash and/or Derivatives Swaps 58,399.25 0.01 nan 10.70 Sep 11, 2039 3.31
LCH SWP: OIS 3.680700 14-OCT-2044 SOF Cash and/or Derivatives Swaps 58,054.24 0.01 nan 13.16 Oct 14, 2044 3.68
LCH SWP: OIS 3.666200 25-JAN-2054 SOF Cash and/or Derivatives Swaps 55,623.32 0.01 nan 16.79 Jan 25, 2054 3.67
LCH SWP: OIS 3.283700 10-SEP-2049 SOF Cash and/or Derivatives Swaps 54,247.22 0.01 nan 15.64 Sep 10, 2049 3.28
LCH SWP: OIS 3.492200 20-AUG-2039 SOF Cash and/or Derivatives Swaps 53,418.24 0.01 nan 10.58 Aug 20, 2039 3.49
LCH SWP: OIS 3.518200 12-JAN-2054 SOF Cash and/or Derivatives Swaps 52,189.54 0.01 nan 16.93 Jan 12, 2054 3.52
LCH SWP: OIS 3.880700 17-OCT-2055 SOF Cash and/or Derivatives Swaps 51,136.37 0.01 nan 17.14 Oct 17, 2055 3.88
LCH SWP: OIS 3.527200 10-MAR-2033 SOF Cash and/or Derivatives Swaps 50,619.00 0.01 nan 6.12 Mar 10, 2033 3.53
LCH SWP: OIS 3.641200 14-FEB-2054 SOF Cash and/or Derivatives Swaps 50,189.01 0.01 nan 16.83 Feb 14, 2054 3.64
LCH SWP: OIS 3.598200 19-JAN-2054 SOF Cash and/or Derivatives Swaps 49,995.49 0.01 nan 16.86 Jan 19, 2054 3.60
LCH SWP: OIS 3.448700 05-SEP-2044 SOF Cash and/or Derivatives Swaps 44,999.25 0.01 nan 13.30 Sep 05, 2044 3.45
LCH SWP: OIS 3.400700 29-OCT-2032 SOF Cash and/or Derivatives Swaps 44,876.29 0.01 nan 5.86 Oct 29, 2032 3.40
LCH SWP: OIS 3.697700 28-MAR-2054 SOF Cash and/or Derivatives Swaps 44,517.64 0.01 nan 16.81 Mar 28, 2054 3.70
LCH SWP: OIS 3.306700 26-NOV-2030 SOF Cash and/or Derivatives Swaps 44,553.51 0.01 nan 4.28 Nov 26, 2030 3.31
LCH SWP: OIS 3.760200 24-JAN-2044 SOF Cash and/or Derivatives Swaps 43,636.45 0.01 nan 12.75 Jan 24, 2044 3.76
LCH SWP: OIS 3.847200 18-SEP-2045 SOF Cash and/or Derivatives Swaps 43,488.67 0.01 nan 13.46 Sep 18, 2045 3.85
LCH SWP: OIS 3.529700 18-JUL-2038 SOF Cash and/or Derivatives Swaps 42,388.78 0.01 nan 9.90 Jul 18, 2038 3.53
LCH SWP: OIS 3.781200 31-AUG-2043 SOF Cash and/or Derivatives Swaps 40,452.63 0.01 nan 12.56 Aug 31, 2043 3.78
LCH SWP: OIS 3.680200 07-JUN-2054 SOF Cash and/or Derivatives Swaps 40,326.04 0.01 nan 16.96 Jun 07, 2054 3.68
LCH SWP: OIS 3.425700 26-NOV-2032 SOF Cash and/or Derivatives Swaps 40,136.75 0.01 nan 5.92 Nov 26, 2032 3.43
LCH SWP: OIS 3.376700 20-NOV-2030 SOF Cash and/or Derivatives Swaps 39,766.19 0.01 nan 4.26 Nov 20, 2030 3.38
LCH SWP: OIS 3.248200 10-SEP-2034 SOF Cash and/or Derivatives Swaps 38,876.47 0.01 nan 7.35 Sep 10, 2034 3.25
LCH SWP: OIS 3.407700 22-AUG-2044 SOF Cash and/or Derivatives Swaps 38,308.87 0.01 nan 13.32 Aug 22, 2044 3.41
LCH SWP: OIS 3.558200 12-FEB-2033 SOF Cash and/or Derivatives Swaps 37,884.53 0.01 nan 6.06 Feb 12, 2033 3.56
LCH SWP: OIS 3.781200 29-OCT-2040 SOF Cash and/or Derivatives Swaps 36,836.14 0.01 nan 11.09 Oct 29, 2040 3.78
LCH SWP: OIS 3.528700 07-MAR-2054 SOF Cash and/or Derivatives Swaps 35,860.13 0.01 nan 16.97 Mar 07, 2054 3.53
LCH SWP: OIS 3.808200 05-MAR-2040 SOF Cash and/or Derivatives Swaps 35,792.46 0.01 nan 10.71 Mar 05, 2040 3.81
LCH SWP: OIS 3.563700 27-OCT-2035 SOF Cash and/or Derivatives Swaps 35,715.19 0.01 nan 8.07 Oct 27, 2035 3.56
LCH SWP: OIS 3.779700 07-NOV-2044 SOF Cash and/or Derivatives Swaps 35,617.18 0.01 nan 13.11 Nov 07, 2044 3.78
LCH SWP: OIS 3.293200 25-SEP-2034 SOF Cash and/or Derivatives Swaps 35,179.90 0.01 nan 7.36 Sep 25, 2034 3.29
LCH SWP: OIS 3.946895 10-SEP-2045 SOF Cash and/or Derivatives Swaps 35,100.32 0.01 nan 13.38 Sep 10, 2045 3.95
LCH SWP: OIS 3.676200 20-NOV-2035 SOF Cash and/or Derivatives Swaps 34,342.80 0.01 nan 8.07 Nov 20, 2035 3.68
LCH SWP: OIS 3.610700 26-NOV-2035 SOF Cash and/or Derivatives Swaps 33,835.59 0.01 nan 8.10 Nov 26, 2035 3.61
LCH SWP: OIS 3.289700 07-OCT-2031 SOF Cash and/or Derivatives Swaps 33,775.63 0.01 nan 5.02 Oct 07, 2031 3.29
LCH SWP: OIS 3.745200 04-APR-2054 SOF Cash and/or Derivatives Swaps 33,137.59 0.01 nan 16.77 Apr 04, 2054 3.75
LCH SWP: OIS 3.876700 29-OCT-2045 SOF Cash and/or Derivatives Swaps 33,113.36 0.01 nan 13.48 Oct 29, 2045 3.88
LCH SWP: OIS 3.208700 25-SEP-2029 SOF Cash and/or Derivatives Swaps 32,767.74 0.01 nan 3.27 Sep 25, 2029 3.21
LCH SWP: OIS 3.814700 05-MAR-2045 SOF Cash and/or Derivatives Swaps 32,721.73 0.01 nan 13.23 Mar 05, 2045 3.81
LCH SWP: OIS 3.920700 03-NOV-2055 SOF Cash and/or Derivatives Swaps 32,603.08 0.01 nan 17.11 Nov 03, 2055 3.92
LCH SWP: OIS 3.510700 13-NOV-2032 SOF Cash and/or Derivatives Swaps 31,663.34 0.01 nan 5.88 Nov 13, 2032 3.51
LCH SWP: OIS 3.928200 02-OCT-2055 SOF Cash and/or Derivatives Swaps 31,420.26 0.01 nan 17.08 Oct 02, 2055 3.93
LCH SWP: OIS 3.343700 07-OCT-2034 SOF Cash and/or Derivatives Swaps 31,212.25 0.01 nan 7.37 Oct 07, 2034 3.34
LCH SWP: OIS 3.371200 22-AUG-2034 SOF Cash and/or Derivatives Swaps 29,471.43 0.01 nan 7.28 Aug 22, 2034 3.37
LCH SWP: OIS 3.891700 12-NOV-2044 SOF Cash and/or Derivatives Swaps 29,380.21 0.01 nan 13.04 Nov 12, 2044 3.89
LCH SWP: OIS 3.281700 17-OCT-2030 SOF Cash and/or Derivatives Swaps 29,088.06 0.01 nan 4.19 Oct 17, 2030 3.28
LCH SWP: OIS 3.866200 29-APR-2055 SOF Cash and/or Derivatives Swaps 29,034.95 0.01 nan 17.05 Apr 29, 2055 3.87
LCH SWP: OIS 3.824200 29-OCT-2044 SOF Cash and/or Derivatives Swaps 28,880.53 0.01 nan 13.07 Oct 29, 2044 3.82
LCH SWP: OIS 3.184700 10-SEP-2029 SOF Cash and/or Derivatives Swaps 28,775.63 0.01 nan 3.23 Sep 10, 2029 3.18
LCH SWP: OIS 3.798200 24-MAR-2055 SOF Cash and/or Derivatives Swaps 28,707.23 0.01 nan 17.04 Mar 24, 2055 3.80
LCH SWP: OIS 3.331200 10-SEP-2039 SOF Cash and/or Derivatives Swaps 28,437.25 0.01 nan 10.69 Sep 10, 2039 3.33
LCH SWP: OIS 3.719200 25-MAR-2054 SOF Cash and/or Derivatives Swaps 28,240.20 0.01 nan 16.79 Mar 25, 2054 3.72
LCH SWP: OIS 3.865200 07-JUN-2044 SOF Cash and/or Derivatives Swaps 26,849.12 0.01 nan 12.89 Jun 07, 2044 3.87
LCH SWP: OIS 3.395200 17-OCT-2032 SOF Cash and/or Derivatives Swaps 26,106.26 0.01 nan 5.84 Oct 17, 2032 3.40
LCH SWP: OIS 3.653200 02-OCT-2035 SOF Cash and/or Derivatives Swaps 26,011.32 0.01 nan 7.99 Oct 02, 2035 3.65
LCH SWP: OIS 3.573136 14-AUG-2032 SOF Cash and/or Derivatives Swaps 25,919.47 0.01 nan 5.68 Aug 14, 2032 3.57
LCH SWP: OIS 3.759200 24-MAR-2055 SOF Cash and/or Derivatives Swaps 25,619.22 0.01 nan 17.07 Mar 24, 2055 3.76
LCH SWP: OIS 3.840200 11-MAR-2055 SOF Cash and/or Derivatives Swaps 25,115.80 0.00 nan 16.98 Mar 11, 2055 3.84
LCH SWP: OIS 3.883200 27-OCT-2045 SOF Cash and/or Derivatives Swaps 25,113.93 0.00 nan 13.47 Oct 27, 2045 3.88
LCH SWP: OIS 3.487200 02-OCT-2032 SOF Cash and/or Derivatives Swaps 24,871.33 0.00 nan 5.80 Oct 02, 2032 3.49
LCH SWP: OIS 3.240700 09-SEP-2029 SOF Cash and/or Derivatives Swaps 24,596.84 0.00 nan 3.23 Sep 09, 2029 3.24
LCH SWP: OIS 3.754700 04-DEC-2039 SOF Cash and/or Derivatives Swaps 24,371.23 0.00 nan 10.59 Dec 04, 2039 3.75
LCH SWP: OIS 3.856700 07-FEB-2055 SOF Cash and/or Derivatives Swaps 23,671.18 0.00 nan 16.94 Feb 07, 2055 3.86
LCH SWP: OIS 3.571200 17-OCT-2035 SOF Cash and/or Derivatives Swaps 23,300.75 0.00 nan 8.04 Oct 17, 2035 3.57
LCH SWP: OIS 3.816700 23-MAY-2054 SOF Cash and/or Derivatives Swaps 22,780.65 0.00 nan 16.80 May 23, 2054 3.82
LCH SWP: OIS 3.198700 10-SEP-2031 SOF Cash and/or Derivatives Swaps 22,308.74 0.00 nan 4.97 Sep 10, 2031 3.20
LCH SWP: OIS 3.654700 03-NOV-2035 SOF Cash and/or Derivatives Swaps 22,219.73 0.00 nan 8.05 Nov 03, 2035 3.65
LCH SWP: OIS 3.656200 10-OCT-2035 SOF Cash and/or Derivatives Swaps 21,639.77 0.00 nan 8.01 Oct 10, 2035 3.66
CME SWP: OIS 3.419500 24-MAY-2033 SOF Cash and/or Derivatives Swaps 21,425.64 0.00 nan 6.33 May 24, 2033 3.42
LCH SWP: OIS 3.779200 15-MAR-2044 SOF Cash and/or Derivatives Swaps 20,904.62 0.00 nan 12.80 Mar 15, 2044 3.78
LCH SWP: OIS 3.346200 10-SEP-2044 SOF Cash and/or Derivatives Swaps 20,787.85 0.00 nan 13.38 Sep 10, 2044 3.35
LCH SWP: OIS 3.880700 28-MAR-2044 SOF Cash and/or Derivatives Swaps 20,231.35 0.00 nan 12.76 Mar 28, 2044 3.88
LCH SWP: OIS 3.794200 07-FEB-2044 SOF Cash and/or Derivatives Swaps 19,703.19 0.00 nan 12.75 Feb 07, 2044 3.79
LCH SWP: OIS 3.804200 14-FEB-2044 SOF Cash and/or Derivatives Swaps 19,108.10 0.00 nan 12.75 Feb 14, 2044 3.80
LCH SWP: OIS 3.802700 23-OCT-2039 SOF Cash and/or Derivatives Swaps 18,879.70 0.00 nan 10.51 Oct 23, 2039 3.80
LCH SWP: OIS 3.786700 20-MAY-2054 SOF Cash and/or Derivatives Swaps 18,683.26 0.00 nan 16.83 May 20, 2054 3.79
LCH SWP: OIS 3.955200 03-NOV-2045 SOF Cash and/or Derivatives Swaps 18,235.79 0.00 nan 13.43 Nov 03, 2045 3.96
LCH SWP: OIS 3.815200 14-DEC-2043 SOF Cash and/or Derivatives Swaps 17,980.47 0.00 nan 12.66 Dec 14, 2043 3.82
LCH SWP: OIS 3.611700 02-APR-2054 SOF Cash and/or Derivatives Swaps 17,710.42 0.00 nan 16.90 Apr 02, 2054 3.61
LCH SWP: OIS 3.901700 17-OCT-2045 SOF Cash and/or Derivatives Swaps 17,641.40 0.00 nan 13.45 Oct 17, 2045 3.90
CME SWP: OIS 3.552500 05-JUL-2033 SOF Cash and/or Derivatives Swaps 17,136.12 0.00 nan 6.38 Jul 05, 2033 3.55
LCH SWP: OIS 3.485700 10-OCT-2032 SOF Cash and/or Derivatives Swaps 16,769.57 0.00 nan 5.82 Oct 10, 2032 3.49
LCH SWP: OIS 3.800700 17-OCT-2040 SOF Cash and/or Derivatives Swaps 16,632.92 0.00 nan 11.06 Oct 17, 2040 3.80
LCH SWP: OIS 3.671200 28-MAR-2054 SOF Cash and/or Derivatives Swaps 15,724.06 0.00 nan 16.84 Mar 28, 2054 3.67
LCH SWP: OIS 3.560700 18-JUL-2033 SOF Cash and/or Derivatives Swaps 15,420.23 0.00 nan 6.41 Jul 18, 2033 3.56
LCH SWP: OIS 3.795700 02-APR-2044 SOF Cash and/or Derivatives Swaps 11,984.22 0.00 nan 12.82 Apr 02, 2044 3.80
LCH SWP: OIS 3.724200 11-MAR-2039 SOF Cash and/or Derivatives Swaps 11,680.06 0.00 nan 10.17 Mar 11, 2039 3.72
LCH SWP: OIS 3.655700 24-NOV-2035 SOF Cash and/or Derivatives Swaps 11,595.41 0.00 nan 8.09 Nov 24, 2035 3.66
LCH SWP: OIS 4.099200 06-APR-2056 SOF Cash and/or Derivatives Swaps 10,395.78 0.00 nan 17.09 Apr 06, 2056 4.10
LCH SWP: OIS 3.510200 28-DEC-2033 SOF Cash and/or Derivatives Swaps 10,213.28 0.00 nan 6.74 Dec 28, 2033 3.51
LCH SWP: OIS 3.757700 07-MAR-2039 SOF Cash and/or Derivatives Swaps 9,925.96 0.00 nan 10.15 Mar 07, 2039 3.76
LCH SWP: OIS 3.954200 29-APR-2045 SOF Cash and/or Derivatives Swaps 9,815.34 0.00 nan 13.23 Apr 29, 2045 3.95
LCH SWP: OIS 3.401200 22-AUG-2029 SOF Cash and/or Derivatives Swaps 9,345.80 0.00 nan 3.18 Aug 22, 2029 3.40
LCH SWP: OIS 3.605200 26-DEC-2032 SOF Cash and/or Derivatives Swaps 7,668.48 0.00 nan 5.95 Dec 26, 2032 3.61
LCH SWP: OIS 3.602700 11-DEC-2032 SOF Cash and/or Derivatives Swaps 7,033.21 0.00 nan 5.92 Dec 11, 2032 3.60
LCH SWP: OIS 3.925700 26-FEB-2044 SOF Cash and/or Derivatives Swaps 6,787.71 0.00 nan 12.69 Feb 26, 2044 3.93
LCH SWP: OIS 3.779700 20-MAR-2036 SOF Cash and/or Derivatives Swaps 5,621.32 0.00 nan 8.27 Mar 20, 2036 3.78
LCH SWP: OIS 3.734200 26-AUG-2035 SOF Cash and/or Derivatives Swaps 5,169.13 0.00 nan 7.91 Aug 26, 2035 3.73
LCH SWP: OIS 3.736700 05-MAR-2035 SOF Cash and/or Derivatives Swaps 4,930.31 0.00 nan 7.55 Mar 05, 2035 3.74
LCH SWP: OIS 3.758700 29-APR-2035 SOF Cash and/or Derivatives Swaps 3,925.79 0.00 nan 7.68 Apr 29, 2035 3.76
LCH SWP: OIS 3.630700 29-APR-2032 SOF Cash and/or Derivatives Swaps 3,033.86 0.00 nan 5.45 Apr 29, 2032 3.63
LCH SWP: OIS 3.652700 12-JAN-2034 SOF Cash and/or Derivatives Swaps 1,160.30 0.00 nan 6.74 Jan 12, 2034 3.65
LCH SWP: OIS 4.134700 27-MAR-2046 SOF Cash and/or Derivatives Swaps 501.00 0.00 nan 13.48 Mar 27, 2046 4.13
DERIV_USD DERIV USD BALANCE WITH R93535 LCH Cash and/or Derivatives Cash Collateral and Margins 0.20 0.00 nan 0.00 Apr 20, 2026 3.65
LCH SWP: OIS 4.134200 14-APR-2056 SOF Cash and/or Derivatives Swaps -1,559.24 0.00 nan 17.06 Apr 14, 2056 4.13
LCH SWP: OIS 4.158200 14-APR-2046 SOF Cash and/or Derivatives Swaps -2,750.21 0.00 nan 13.49 Apr 14, 2046 4.16
LCH SWP: OIS 3.689200 17-APR-2033 SOF Cash and/or Derivatives Swaps -7,391.73 0.00 nan 6.17 Apr 17, 2033 3.69
LCH SWP: OIS 3.866200 20-APR-2036 SOF Cash and/or Derivatives Swaps -7,975.94 0.00 nan 8.29 Apr 20, 2036 3.87
LCH SWP: OIS 3.591200 14-APR-2030 SOF Cash and/or Derivatives Swaps -9,560.59 0.00 nan 3.72 Apr 14, 2030 3.59
LCH SWP: OIS 3.865700 09-APR-2036 SOF Cash and/or Derivatives Swaps -22,451.28 0.00 nan 8.28 Apr 09, 2036 3.87
LCH SWP: OIS 3.647700 27-MAR-2031 SOF Cash and/or Derivatives Swaps -36,330.13 -0.01 nan 4.53 Mar 27, 2031 3.65
USD USD CASH Cash and/or Derivatives Cash -539,489.70 -0.11 nan 0.00 nan 0.00
DERIV_USD DERIV USD BALANCE WITH R73215 LCH Cash and/or Derivatives Cash Collateral and Margins -13,746,420.95 -2.72 nan 0.00 Apr 20, 2026 3.65
DERIV_USD DERIV USD BALANCE WITH R73215 CME Cash and/or Derivatives Cash Collateral and Margins -48,074,342.63 -9.50 nan 0.00 Apr 20, 2026 3.65
iShares Interest Rate Hedged Corporate Bond ETF nan nan nan nan nan nan nan nan nan
Fund Holdings as of Apr 17, 2026 nan nan nan nan nan nan nan nan
Inception Date May 27, 2014 nan nan nan nan nan nan nan nan
Shares Outstanding 5,450,000.00 nan nan nan nan nan nan nan nan
Stock nan nan nan nan nan nan nan nan nan
Bond nan nan nan nan nan nan nan nan nan
Cash nan nan nan nan nan nan nan nan nan
Other nan nan nan nan nan nan nan nan nan
Name Sector Asset Class Market Value Weight (%) Notional Value SEDOL YTM (%) Coupon (%) Mod. Duration
BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 32,116,764.27 6.35 32,116,764.27 6922477 3.53 3.65 0.11
SWP: OIS 0.862500 30-MAR-2045 Cash and/or Derivatives Swaps 8,612,442.02 1.70 -11,134,557.98 nan -2.39 0.86 16.56
SWP: OIS 1.060000 18-SEP-2050 Cash and/or Derivatives Swaps 8,271,532.01 1.63 -8,383,467.99 nan -3.14 1.06 20.28
SWP: OIS 1.108000 19-OCT-2040 Cash and/or Derivatives Swaps 6,974,621.73 1.38 -13,725,378.27 nan -1.52 1.11 13.14
SWP: OIS 1.184500 19-OCT-2050 Cash and/or Derivatives Swaps 6,908,128.84 1.37 -7,641,871.16 nan -2.84 1.18 19.84
SWP: OIS 0.910000 25-SEP-2035 Cash and/or Derivatives Swaps 6,398,503.85 1.26 -19,601,496.15 nan -1.11 0.91 9.04
SWP: OIS 0.490000 22-SEP-2027 Cash and/or Derivatives Swaps 3,457,232.58 0.68 -51,774,767.42 nan -0.37 0.49 1.44
SWP: OIS 0.778000 19-OCT-2030 Cash and/or Derivatives Swaps 3,285,393.13 0.65 -22,114,606.87 nan -0.74 0.78 4.44
SWP: OIS 1.242000 15-DEC-2031 Cash and/or Derivatives Swaps 2,340,202.97 0.46 -15,959,797.03 nan -0.67 1.24 5.44
SWP: OIS 1.285000 07-DEC-2051 Cash and/or Derivatives Swaps 1,719,776.45 0.34 -1,980,223.55 nan -2.73 1.28 20.04
SWP: OIS 1.189000 20-OCT-2028 Cash and/or Derivatives Swaps 1,526,920.62 0.30 -20,773,079.38 nan -0.48 1.19 2.48
SWP: OIS 1.352500 15-DEC-2036 Cash and/or Derivatives Swaps 1,453,663.95 0.29 -4,946,336.05 nan -0.93 1.35 9.78
SWP: OIS 1.216500 12-FEB-2031 Cash and/or Derivatives Swaps 1,411,361.37 0.28 -11,768,638.63 nan -0.62 1.22 4.65
ANHEUSER-BUSCH COMPANIES LLC Consumer Non-Cyclical Fixed Income 905,329.33 0.18 905,329.33 BJXS2M9 5.58 4.90 12.08
AMAZON.COM INC Consumer Cyclical Fixed Income 783,580.14 0.15 783,580.14 nan 4.90 4.88 7.75
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 769,299.13 0.15 769,299.13 BF4JKH4 6.08 5.05 12.46
T-MOBILE USA INC Communications Fixed Income 758,480.18 0.15 758,480.18 BN0ZLW4 4.42 3.88 3.65
META PLATFORMS INC Communications Fixed Income 748,622.92 0.15 748,622.92 nan 6.02 5.63 13.55
META PLATFORMS INC Communications Fixed Income 740,015.85 0.15 740,015.85 BSLN7J1 5.00 4.88 7.40
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 676,352.37 0.13 676,352.37 BQ66T84 5.71 5.30 13.60
ANHEUSER-BUSCH COMPANIES LLC Consumer Non-Cyclical Fixed Income 670,534.18 0.13 670,534.18 BK5XW52 4.89 4.70 7.68
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 667,408.71 0.13 667,408.71 B283338 5.59 6.75 8.08
SWP: OIS 1.275500 23-AUG-2031 Cash and/or Derivatives Swaps 644,142.30 0.13 -4,355,857.70 nan -0.69 1.28 5.21
AT&T INC Communications Fixed Income 637,163.74 0.13 637,163.74 BNSLTY2 6.04 3.55 15.23
AMAZON.COM INC Consumer Cyclical Fixed Income 633,413.18 0.13 633,413.18 nan 4.27 4.25 4.37
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 622,834.65 0.12 622,834.65 BF4JK96 5.45 4.78 8.87
BOEING CO Capital Goods Fixed Income 606,918.78 0.12 606,918.78 nan 4.52 5.15 3.54
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 605,668.59 0.12 605,668.59 BQ66T62 4.68 4.75 5.85
BANK OF AMERICA CORP MTN Banking Fixed Income 598,744.47 0.12 598,744.47 BPNYGN8 4.87 5.01 5.27
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 594,657.31 0.12 594,657.31 nan 5.19 5.07 7.52
BOEING CO Capital Goods Fixed Income 593,262.87 0.12 593,262.87 BM8R6R5 5.89 5.80 12.47
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 592,253.10 0.12 592,253.10 BNW0354 4.75 2.38 4.81
AT&T INC Communications Fixed Income 585,184.72 0.12 585,184.72 BNTFQF3 6.04 3.50 14.91
META PLATFORMS INC Communications Fixed Income 574,798.54 0.11 574,798.54 nan 5.86 5.50 11.41
ABBVIE INC Consumer Non-Cyclical Fixed Income 571,384.56 0.11 571,384.56 BJDRSH3 5.60 4.25 13.52
WELLS FARGO & COMPANY MTN Banking Fixed Income 566,143.38 0.11 566,143.38 BMFVFL7 5.85 5.01 13.27
JPMORGAN CHASE & CO Banking Fixed Income 564,316.18 0.11 564,316.18 BRBH8L5 4.93 5.35 5.78
BANK OF AMERICA CORP MTN Banking Fixed Income 563,162.16 0.11 563,162.16 BMDLR57 4.97 5.29 5.69
BANK OF AMERICA CORP MTN Banking Fixed Income 562,969.82 0.11 562,969.82 BRBCSG5 5.03 5.47 6.22
BANK OF AMERICA CORP MTN Banking Fixed Income 558,738.41 0.11 558,738.41 nan 5.08 5.04 7.58
ORACLE CORPORATION Technology Fixed Income 558,449.91 0.11 558,449.91 nan 5.18 4.95 4.18
ORACLE CORPORATION Technology Fixed Income 551,814.29 0.11 551,814.29 nan 7.11 6.70 12.26
WELLS FARGO & COMPANY (FXD-FRN) MTN Banking Fixed Income 550,708.35 0.11 550,708.35 nan 5.12 4.96 7.55
GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 542,389.79 0.11 542,389.79 nan 4.69 4.52 4.19
BANK OF AMERICA CORP MTN Banking Fixed Income 539,504.73 0.11 539,504.73 BM92KT9 4.82 4.57 5.10
AMAZON.COM INC Consumer Cyclical Fixed Income 538,687.30 0.11 538,687.30 nan 5.75 5.80 14.10
BANK OF AMERICA CORP MTN Banking Fixed Income 538,543.05 0.11 538,543.05 BN2R5L5 4.68 2.69 4.53
WELLS FARGO & COMPANY MTN Banking Fixed Income 533,253.79 0.11 533,253.79 BNFZXQ7 5.03 5.56 5.89
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 526,041.16 0.10 526,041.16 BN95VC5 4.87 3.10 5.22
JPMORGAN CHASE & CO Banking Fixed Income 524,406.29 0.10 524,406.29 BN101H3 4.81 4.91 5.30
VERIZON COMMUNICATIONS INC Communications Fixed Income 512,625.66 0.10 512,625.66 BMV8VC5 4.65 2.36 5.39
META PLATFORMS INC Communications Fixed Income 510,461.88 0.10 510,461.88 nan 4.29 4.20 4.05
BANK OF AMERICA CORP MTN Banking Fixed Income 504,355.18 0.10 504,355.18 nan 4.52 2.50 3.56
META PLATFORMS INC Communications Fixed Income 503,441.58 0.10 503,441.58 nan 6.15 5.75 14.52
ABBVIE INC Consumer Non-Cyclical Fixed Income 501,037.37 0.10 501,037.37 BJDRSG2 5.19 4.05 9.93
AT&T INC Communications Fixed Income 498,825.50 0.10 498,825.50 BNYDH60 6.07 3.65 15.66
WELLS FARGO & COMPANY MTN Banking Fixed Income 498,152.32 0.10 498,152.32 BN101G2 4.92 4.90 5.29
ALPHABET INC Technology Fixed Income 491,853.29 0.10 491,853.29 nan 4.78 4.80 7.70
APPLE INC Technology Fixed Income 491,612.87 0.10 491,612.87 BYN2GF7 5.34 4.65 12.41
ABBVIE INC Consumer Non-Cyclical Fixed Income 491,276.28 0.10 491,276.28 BMCF8B3 4.13 3.20 3.31
JPMORGAN CHASE & CO Banking Fixed Income 489,641.42 0.10 489,641.42 BLGSH92 4.69 2.96 5.16
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 488,920.15 0.10 488,920.15 nan 5.60 5.50 14.40
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 486,660.20 0.10 486,660.20 nan 4.77 2.62 4.54
GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 480,649.67 0.09 480,649.67 nan 4.68 4.37 3.96
BANK OF AMERICA CORP MTN Banking Fixed Income 479,543.73 0.09 479,543.73 BM96PS5 4.75 2.97 5.19
MORGAN STANLEY MTN Banking Fixed Income 479,303.31 0.09 479,303.31 BH3T5Q3 4.63 2.70 3.49
DEUTSCHE TELEKOM INTERNATIONAL FIN Communications Fixed Income 477,764.62 0.09 477,764.62 4081788 4.58 8.75 3.46
BANK OF AMERICA CORP MTN Banking Fixed Income 475,745.08 0.09 475,745.08 BLD6SH4 5.75 4.08 13.89
AMGEN INC Consumer Non-Cyclical Fixed Income 473,773.63 0.09 473,773.63 BMTY608 4.66 5.25 5.71
BANK OF AMERICA CORP MTN Banking Fixed Income 471,657.93 0.09 471,657.93 BMYXXT8 5.42 2.68 10.97
META PLATFORMS INC Communications Fixed Income 469,686.47 0.09 469,686.47 nan 4.58 4.60 5.51
AT&T INC Communications Fixed Income 468,532.45 0.09 468,532.45 BNYDPS8 6.07 3.80 15.05
SALESFORCE INC Technology Fixed Income 467,474.60 0.09 467,474.60 nan 6.45 6.55 13.07
CITIGROUP INC Banking Fixed Income 464,252.96 0.09 464,252.96 BMH3V24 5.11 4.41 3.57
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 463,531.70 0.09 463,531.70 BJ520Z8 5.61 5.55 12.63
MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 462,329.59 0.09 462,329.59 nan 5.03 6.34 5.19
AMAZON.COM INC Consumer Cyclical Fixed Income 460,406.22 0.09 460,406.22 nan 5.58 5.65 11.84
ORACLE CORPORATION Technology Fixed Income 457,761.59 0.09 457,761.59 nan 5.54 5.35 5.74
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 457,425.00 0.09 457,425.00 nan 4.83 4.65 7.81
JPMORGAN CHASE & CO Banking Fixed Income 457,232.67 0.09 457,232.67 BQWR431 4.99 5.34 6.25
AMAZON.COM INC Consumer Cyclical Fixed Income 456,463.32 0.09 456,463.32 nan 4.82 4.65 7.50
MORGAN STANLEY MTN Banking Fixed Income 454,636.12 0.09 454,636.12 nan 4.75 4.71 4.31
JPMORGAN CHASE & CO Banking Fixed Income 453,530.18 0.09 453,530.18 BK5W969 4.55 2.74 3.28
MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 453,193.59 0.09 453,193.59 nan 4.67 4.36 3.96
ALPHABET INC Technology Fixed Income 449,971.95 0.09 449,971.95 nan 4.75 4.70 7.48
JPMORGAN CHASE & CO Banking Fixed Income 448,817.93 0.09 448,817.93 nan 5.07 5.57 6.89
MICROSOFT CORPORATION Technology Fixed Income 445,884.79 0.09 445,884.79 BMFPJG2 5.41 2.92 15.79
ALPHABET INC Technology Fixed Income 445,644.37 0.09 445,644.37 nan 5.60 5.45 14.10
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 443,336.33 0.09 443,336.33 BQ66TB7 5.83 5.34 14.98
ORACLE CORPORATION Technology Fixed Income 442,566.98 0.09 442,566.98 nan 5.98 5.70 7.31
WELLS FARGO & COMPANY MTN Banking Fixed Income 442,038.06 0.09 442,038.06 nan 4.51 2.88 3.26
AMGEN INC Consumer Non-Cyclical Fixed Income 441,172.54 0.09 441,172.54 BMTY5X4 5.81 5.65 13.50
WELLS FARGO & COMPANY Banking Fixed Income 440,980.21 0.09 440,980.21 BLB0XT5 5.11 6.49 5.82
MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 439,297.26 0.09 439,297.26 nan 4.70 4.49 4.18
AT&T INC Communications Fixed Income 438,479.83 0.09 438,479.83 nan 4.83 2.55 6.67
SALESFORCE INC Technology Fixed Income 438,191.32 0.09 438,191.32 nan 5.44 5.55 7.52
AMAZON.COM INC Consumer Cyclical Fixed Income 437,998.99 0.09 437,998.99 nan 6.03 6.05 15.64
ORACLE CORPORATION Technology Fixed Income 437,614.31 0.09 437,614.31 nan 5.88 5.20 7.29
CITIGROUP INC Banking Fixed Income 436,075.62 0.09 436,075.62 BLGSHB4 4.81 3.06 5.15
SALESFORCE INC Technology Fixed Income 434,392.67 0.09 434,392.67 nan 4.80 4.90 4.69
MICROSOFT CORPORATION Technology Fixed Income 433,142.48 0.09 433,142.48 BM9DJ73 5.46 2.52 15.52
JPMORGAN CHASE & CO Banking Fixed Income 432,950.14 0.09 432,950.14 nan 5.01 5.50 6.85
WELLS FARGO & COMPANY MTN Banking Fixed Income 430,449.77 0.09 430,449.77 BLD7GV7 4.82 3.35 5.21
JPMORGAN CHASE & CO Banking Fixed Income 429,391.91 0.08 429,391.91 BKVKP92 4.61 2.58 4.55
MORGAN STANLEY MTN Banking Fixed Income 425,256.67 0.08 425,256.67 BSF0594 4.56 4.65 3.13
BANK OF AMERICA CORP (FXD-FRN) MTN Banking Fixed Income 424,872.00 0.08 424,872.00 nan 4.59 4.70 4.43
HONEYWELL AEROSPACE INC 144A Capital Goods Fixed Income 424,294.99 0.08 424,294.99 nan 4.95 4.95 7.73
BANK OF AMERICA CORP MTN Banking Fixed Income 424,198.82 0.08 424,198.82 nan 5.07 5.51 6.84
BANK OF AMERICA CORP MTN Banking Fixed Income 423,717.98 0.08 423,717.98 BNNJDR2 5.01 5.87 5.98
CITIGROUP INC Banking Fixed Income 421,217.60 0.08 421,217.60 nan 4.67 2.67 3.51
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 420,784.84 0.08 420,784.84 nan 5.20 4.94 7.31
ORANGE SA Communications Fixed Income 417,130.44 0.08 417,130.44 7310155 4.64 8.50 4.00
JPMORGAN CHASE & CO Banking Fixed Income 415,591.75 0.08 415,591.75 nan 5.04 4.90 7.58
VERIZON COMMUNICATIONS INC Communications Fixed Income 414,822.40 0.08 414,822.40 BNGDVZ5 5.58 3.40 11.00
JPMORGAN CHASE & CO Banking Fixed Income 412,947.12 0.08 412,947.12 nan 5.05 4.81 7.36
WELLS FARGO & COMPANY MTN Banking Fixed Income 411,216.09 0.08 411,216.09 BJJRN16 5.03 5.39 5.67
HSBC HOLDINGS PLC Banking Fixed Income 410,783.33 0.08 410,783.33 nan 5.33 5.28 7.59
BANK OF AMERICA CORP (FXD-FRN) MTN Banking Fixed Income 407,946.36 0.08 407,946.36 nan 4.61 4.46 4.24
AMAZON.COM INC Consumer Cyclical Fixed Income 402,801.35 0.08 402,801.35 nan 4.57 4.55 5.84
ALPHABET INC Technology Fixed Income 402,512.84 0.08 402,512.84 nan 4.47 4.40 5.79
MORGAN STANLEY MTN Banking Fixed Income 401,935.83 0.08 401,935.83 nan 5.77 5.90 11.64
MORGAN STANLEY MTN Banking Fixed Income 401,070.32 0.08 401,070.32 BN7CG34 4.78 1.79 4.50
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 398,762.28 0.08 398,762.28 BNVW1V3 4.86 3.30 5.13
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 398,137.18 0.08 398,137.18 nan 5.16 5.54 6.84
BRITISH TELECOMMUNICATIONS PLC Communications Fixed Income 394,723.20 0.08 394,723.20 B23XQ67 4.65 9.63 3.76
JPMORGAN CHASE & CO Banking Fixed Income 393,953.86 0.08 393,953.86 BSWWSY9 5.07 5.29 6.57
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 392,847.92 0.08 392,847.92 BYQ7R23 6.99 6.48 10.39
CITIGROUP INC Banking Fixed Income 391,982.40 0.08 391,982.40 BMWJ0T7 4.83 2.57 3.80
BROADCOM INC Technology Fixed Income 391,213.06 0.08 391,213.06 BW5T4Z8 4.36 2.45 4.45
BANK OF AMERICA CORP MTN Banking Fixed Income 390,539.88 0.08 390,539.88 nan 4.69 2.57 4.96
SWP: OIS 1.277000 17-DEC-2031 Cash and/or Derivatives Swaps 390,431.12 0.08 -2,709,568.88 nan -0.66 1.28 5.44
BOEING CO Capital Goods Fixed Income 389,962.87 0.08 389,962.87 BM8R6Q4 6.05 5.93 14.01
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 389,530.11 0.08 389,530.11 BSF0602 5.13 5.02 6.69
META PLATFORMS INC Communications Fixed Income 389,482.03 0.08 389,482.03 BT3NPB4 5.98 5.40 13.71
JPMORGAN CHASE & CO Banking Fixed Income 389,001.18 0.08 389,001.18 BLC8C68 5.00 4.49 3.55
SALESFORCE INC Technology Fixed Income 388,472.26 0.08 388,472.26 nan 5.08 5.20 5.72
COMCAST CORPORATION Communications Fixed Income 388,039.50 0.08 388,039.50 BQ7XJ28 6.11 2.94 15.71
WELLS FARGO & COMPANY MTN Banking Fixed Income 385,250.62 0.08 385,250.62 nan 4.65 5.15 3.51
WELLS FARGO & COMPANY FX-FRN MTN Banking Fixed Income 385,202.53 0.08 385,202.53 BP6P605 5.82 4.61 13.65
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 384,481.27 0.08 384,481.27 B8J6DZ0 5.41 4.50 10.86
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 383,663.84 0.08 383,663.84 nan 5.77 5.54 11.64
JPMORGAN CHASE & CO (FXD-FRN) Banking Fixed Income 383,375.33 0.08 383,375.33 nan 4.56 4.35 4.21
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 382,894.49 0.08 382,894.49 BRC1645 4.58 5.05 2.95
MORGAN STANLEY MTN Banking Fixed Income 380,874.95 0.08 380,874.95 BMDLPL9 5.04 5.25 5.68
MORGAN STANLEY MTN Banking Fixed Income 379,865.19 0.08 379,865.19 nan 5.18 5.66 7.03
AMAZON.COM INC Consumer Cyclical Fixed Income 379,336.26 0.07 379,336.26 nan 5.69 5.45 14.03
JPMORGAN CHASE & CO Banking Fixed Income 378,566.91 0.07 378,566.91 BLB0WL0 4.94 6.25 5.87
WELLS FARGO & COMPANY MTN Banking Fixed Income 377,701.40 0.07 377,701.40 nan 5.23 5.61 6.87
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 377,653.31 0.07 377,653.31 nan 5.70 5.60 15.63
JPMORGAN CHASE & CO Banking Fixed Income 377,364.81 0.07 377,364.81 B39F3N0 5.09 6.40 8.38
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 375,489.52 0.07 375,489.52 nan 4.96 4.75 8.93
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 375,201.02 0.07 375,201.02 nan 4.53 4.30 5.89
WELLS FARGO & COMPANY (FXD-FRN) MTN Banking Fixed Income 374,335.50 0.07 374,335.50 nan 5.71 5.43 11.69
BANK OF AMERICA CORP Banking Fixed Income 374,047.00 0.07 374,047.00 BNZKS67 4.67 2.30 4.82
MORGAN STANLEY MTN Banking Fixed Income 373,998.91 0.07 373,998.91 BNKDZF9 4.75 2.51 4.97
BANK OF AMERICA CORP (FXD-FLT) MTN Banking Fixed Income 373,854.66 0.07 373,854.66 nan 4.50 5.16 3.36
JPMORGAN CHASE & CO Banking Fixed Income 373,469.99 0.07 373,469.99 BS55CQ5 4.97 4.95 6.72
MORGAN STANLEY Banking Fixed Income 372,267.88 0.07 372,267.88 nan 5.00 3.62 3.62
JPMORGAN CHASE & CO Banking Fixed Income 371,642.79 0.07 371,642.79 nan 4.99 5.77 6.25
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 368,998.16 0.07 368,998.16 nan 5.81 5.73 13.77
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 368,950.07 0.07 368,950.07 BYPFC45 6.02 5.13 11.54
ALPHABET INC Technology Fixed Income 368,709.65 0.07 368,709.65 nan 5.62 5.65 14.24
ORACLE CORPORATION Technology Fixed Income 368,709.65 0.07 368,709.65 BMD7RW2 5.05 2.95 3.66
BANK OF AMERICA CORP MTN Banking Fixed Income 368,613.48 0.07 368,613.48 nan 4.64 1.90 4.00
JPMORGAN CHASE & CO Banking Fixed Income 367,507.55 0.07 367,507.55 BP5DT34 4.46 5.00 2.95
VERIZON COMMUNICATIONS INC Communications Fixed Income 365,824.60 0.07 365,824.60 BKY5H43 4.45 2.55 4.54
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 365,343.76 0.07 365,343.76 nan 4.72 5.22 3.51
BANK OF AMERICA CORP MTN Banking Fixed Income 363,853.15 0.07 363,853.15 nan 4.81 2.59 3.71
GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 362,266.37 0.07 362,266.37 B2RDM21 5.01 6.38 8.41
JPMORGAN CHASE & CO Banking Fixed Income 362,170.20 0.07 362,170.20 BP09ZH3 4.47 5.14 3.36
CITIGROUP INC Banking Fixed Income 361,304.68 0.07 361,304.68 nan 5.17 5.17 7.33
AT&T INC Communications Fixed Income 361,208.52 0.07 361,208.52 nan 4.89 5.40 6.30
ALPHABET INC Technology Fixed Income 360,727.67 0.07 360,727.67 nan 4.15 4.10 4.31
MORGAN STANLEY MTN Banking Fixed Income 360,679.59 0.07 360,679.59 BRC15R1 5.11 5.32 6.55
MORGAN STANLEY MTN Banking Fixed Income 360,535.34 0.07 360,535.34 nan 5.19 5.07 7.54
AMGEN INC Consumer Non-Cyclical Fixed Income 360,439.17 0.07 360,439.17 BDRVZ12 5.77 4.66 13.54
VERIZON COMMUNICATIONS INC Communications Fixed Income 358,515.80 0.07 358,515.80 nan 5.99 5.88 13.52
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 358,419.63 0.07 358,419.63 BLNNX58 4.30 3.80 3.58
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 357,698.37 0.07 357,698.37 nan 4.24 4.00 4.39
BROADCOM INC Technology Fixed Income 357,409.86 0.07 357,409.86 2N1CFV0 5.30 3.50 10.92
BROADCOM INC Technology Fixed Income 357,361.78 0.07 357,361.78 BV8CPD2 4.93 4.80 7.68
ORACLE CORPORATION Technology Fixed Income 355,390.33 0.07 355,390.33 nan 5.18 2.88 4.49
WELLS FARGO & COMPANY MTN Banking Fixed Income 354,524.81 0.07 354,524.81 nan 5.10 5.21 6.76
JPMORGAN CHASE & CO MTN Banking Fixed Income 353,947.80 0.07 353,947.80 nan 4.55 4.62 4.44
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 353,899.72 0.07 353,899.72 nan 4.57 4.69 3.14
ORACLE CORPORATION Technology Fixed Income 353,226.54 0.07 353,226.54 nan 5.43 4.80 5.44
CITIGROUP INC Banking Fixed Income 351,880.18 0.07 351,880.18 BJN59J6 4.98 6.27 5.28
MORGAN STANLEY MTN Banking Fixed Income 350,485.74 0.07 350,485.74 nan 5.16 4.89 7.33
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 349,956.81 0.07 349,956.81 BMW2G98 5.66 4.25 13.40
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 349,812.56 0.07 349,812.56 nan 5.01 5.09 5.84
HSBC HOLDINGS PLC Banking Fixed Income 348,802.79 0.07 348,802.79 nan 4.40 4.95 3.56
HONEYWELL AEROSPACE INC 144A Capital Goods Fixed Income 348,370.03 0.07 348,370.03 nan 5.72 5.73 14.17
BOEING CO Capital Goods Fixed Income 348,321.95 0.07 348,321.95 BM8XFQ5 5.44 5.71 9.40
COMCAST CORPORATION Communications Fixed Income 347,456.44 0.07 347,456.44 BQ7XHB3 6.11 2.89 14.82
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 346,927.51 0.07 346,927.51 BQ66T73 5.47 5.11 10.93
ORACLE CORPORATION Technology Fixed Income 346,013.91 0.07 346,013.91 BMD7RQ6 6.86 3.60 13.40
PFIZER INC Consumer Non-Cyclical Fixed Income 345,629.24 0.07 345,629.24 B65HZL3 5.20 7.20 8.73
ABBVIE INC Consumer Non-Cyclical Fixed Income 344,379.05 0.07 344,379.05 BQC4XR9 5.64 5.40 14.03
CITIGROUP INC Banking Fixed Income 344,330.96 0.07 344,330.96 BKPBQW1 4.73 2.56 4.57
ABBVIE INC Consumer Non-Cyclical Fixed Income 344,042.46 0.07 344,042.46 BXC32C3 4.81 4.50 7.21
CITIGROUP INC Banking Fixed Income 343,898.20 0.07 343,898.20 BRDZWR1 5.05 5.45 6.43
VERIZON COMMUNICATIONS INC Communications Fixed Income 343,080.77 0.07 343,080.77 BNGDW29 5.77 3.55 14.54
JPMORGAN CHASE & CO Banking Fixed Income 342,840.35 0.07 342,840.35 nan 4.75 4.59 5.10
MORGAN STANLEY Banking Fixed Income 342,696.10 0.07 342,696.10 BQWR3S9 5.08 5.47 6.20
MORGAN STANLEY MTN Banking Fixed Income 340,868.90 0.07 340,868.90 nan 5.11 5.83 6.22
ORACLE CORPORATION Technology Fixed Income 339,907.22 0.07 339,907.22 nan 7.05 5.95 12.67
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 339,378.29 0.07 339,378.29 B7FFL50 4.92 6.45 8.22
META PLATFORMS INC Communications Fixed Income 338,801.28 0.07 338,801.28 BMGK052 4.48 3.85 5.50
MORGAN STANLEY MTN Banking Fixed Income 338,080.02 0.07 338,080.02 nan 4.61 5.23 3.33
HSBC HOLDINGS PLC Banking Fixed Income 337,166.42 0.07 337,166.42 nan 5.08 5.40 5.27
CITIGROUP INC (FXD-FRN) Banking Fixed Income 335,435.38 0.07 335,435.38 nan 4.67 4.95 3.56
CITIGROUP INC (FXD-FRN) Banking Fixed Income 335,291.13 0.07 335,291.13 nan 4.65 4.50 3.93
MORGAN STANLEY MTN Banking Fixed Income 335,146.88 0.07 335,146.88 nan 5.12 5.59 6.81
JPMORGAN CHASE & CO Banking Fixed Income 334,569.87 0.07 334,569.87 nan 4.67 2.52 3.70
MORGAN STANLEY MTN Banking Fixed Income 333,271.60 0.07 333,271.60 BNZKG63 4.77 2.24 4.83
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 333,175.43 0.07 333,175.43 BMTC6G8 6.18 4.95 12.85
AMAZON.COM INC Consumer Cyclical Fixed Income 332,838.84 0.07 332,838.84 BFMLMY3 5.55 4.05 13.18
HOME DEPOT INC Consumer Cyclical Fixed Income 332,598.42 0.07 332,598.42 B1L80H6 4.89 5.88 7.85
BANK OF AMERICA CORP Banking Fixed Income 332,502.25 0.07 332,502.25 BMYDPJ2 5.46 3.31 10.93
JPMORGAN CHASE & CO Banking Fixed Income 331,252.06 0.07 331,252.06 BD0G1Q1 5.62 3.96 13.45
AMGEN INC Consumer Non-Cyclical Fixed Income 331,155.89 0.07 331,155.89 BMTY619 5.92 5.75 14.89
CISCO SYSTEMS INC Technology Fixed Income 330,386.54 0.07 330,386.54 nan 4.68 5.05 6.41
ABBVIE INC Consumer Non-Cyclical Fixed Income 329,905.70 0.07 329,905.70 BXC32G7 5.53 4.70 11.84
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 329,761.45 0.07 329,761.45 BN11JM7 4.70 1.99 4.44
BROADCOM INC Technology Fixed Income 329,040.19 0.07 329,040.19 BTMP748 4.78 3.47 6.83
HSBC HOLDINGS PLC Banking Fixed Income 328,895.93 0.06 328,895.93 BPH14Q4 5.68 6.33 10.49
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 328,847.85 0.06 328,847.85 nan 5.76 5.56 11.14
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 328,751.68 0.06 328,751.68 nan 4.81 4.90 7.76
MORGAN STANLEY MTN Banking Fixed Income 328,270.84 0.06 328,270.84 BNTDVT6 5.04 5.42 5.89
AMAZON.COM INC Consumer Cyclical Fixed Income 327,645.74 0.06 327,645.74 BF199R0 4.88 3.88 8.90
MORGAN STANLEY PRIVATE BANK NA Banking Fixed Income 327,357.24 0.06 327,357.24 nan 4.72 4.46 4.03
MORGAN STANLEY MTN Banking Fixed Income 327,212.99 0.06 327,212.99 nan 5.78 5.52 13.72
BANK OF AMERICA CORP Banking Fixed Income 327,116.82 0.06 327,116.82 nan 4.48 3.19 3.03
T-MOBILE USA INC Communications Fixed Income 325,962.80 0.06 325,962.80 nan 4.81 5.05 5.95
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 324,904.94 0.06 324,904.94 BRC1656 5.13 5.33 6.56
WELLS FARGO & COMPANY MTN Banking Fixed Income 324,520.27 0.06 324,520.27 BQWR464 5.09 5.50 6.21
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 323,702.84 0.06 323,702.84 BYQHX58 5.46 4.90 12.32
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 323,414.33 0.06 323,414.33 nan 5.10 5.85 6.23
AMGEN INC Consumer Non-Cyclical Fixed Income 322,981.58 0.06 322,981.58 BMTY5V2 5.58 5.60 10.76
JPMORGAN CHASE & CO Banking Fixed Income 321,779.47 0.06 321,779.47 BMGS2T4 4.60 1.95 4.46
BROADCOM INC 144A Technology Fixed Income 320,865.87 0.06 320,865.87 nan 4.93 3.14 7.91
AMAZON.COM INC Consumer Cyclical Fixed Income 319,711.85 0.06 319,711.85 nan 4.34 3.60 5.31
VISA INC Technology Fixed Income 318,702.08 0.06 318,702.08 BYPHFN1 5.40 4.30 12.40
ABBVIE INC Consumer Non-Cyclical Fixed Income 316,490.21 0.06 316,490.21 nan 4.66 5.05 6.46
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 315,865.12 0.06 315,865.12 nan 4.26 4.88 3.52
CITIGROUP INC Banking Fixed Income 315,672.78 0.06 315,672.78 BK82405 4.61 2.98 3.27
HONEYWELL AEROSPACE INC 144A Capital Goods Fixed Income 315,480.44 0.06 315,480.44 nan 4.38 4.30 4.37
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 315,288.10 0.06 315,288.10 BMTC6J1 4.71 4.55 3.74
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 313,893.66 0.06 313,893.66 nan 4.92 5.30 5.78
AMGEN INC Consumer Non-Cyclical Fixed Income 313,701.33 0.06 313,701.33 BMTY697 4.33 5.25 3.47
T-MOBILE USA INC Communications Fixed Income 313,557.07 0.06 313,557.07 BMW23T7 4.53 3.50 4.51
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 313,316.65 0.06 313,316.65 nan 4.81 2.65 4.95
BROADCOM INC Technology Fixed Income 312,354.97 0.06 312,354.97 nan 4.90 5.20 7.21
ORACLE CORPORATION Technology Fixed Income 311,537.54 0.06 311,537.54 nan 5.12 4.45 3.96
BOEING CO Capital Goods Fixed Income 310,527.77 0.06 310,527.77 BRRG861 5.92 6.86 12.87
AMAZON.COM INC Consumer Cyclical Fixed Income 309,469.92 0.06 309,469.92 nan 5.87 5.95 15.22
ABBVIE INC Consumer Non-Cyclical Fixed Income 308,315.90 0.06 308,315.90 BMWB8H7 4.80 4.55 7.21
VERIZON COMMUNICATIONS INC Communications Fixed Income 308,267.81 0.06 308,267.81 BMWBBK1 5.55 2.65 11.16
UNITEDHEALTH GROUP INC Insurance Fixed Income 307,450.38 0.06 307,450.38 BPDY7Z7 5.82 5.63 13.67
WELLS FARGO & COMPANY MTN Banking Fixed Income 307,402.30 0.06 307,402.30 BK8ZYZ9 4.61 2.57 3.55
META PLATFORMS INC Communications Fixed Income 306,536.78 0.06 306,536.78 BQPF8B8 5.98 5.60 13.18
ALPHABET INC Technology Fixed Income 306,392.53 0.06 306,392.53 nan 5.47 5.50 11.89
ALPHABET INC Technology Fixed Income 306,248.27 0.06 306,248.27 nan 5.76 5.75 15.41
CITIBANK NA Banking Fixed Income 305,286.59 0.06 305,286.59 BVFBKM6 4.31 4.91 3.64
JPMORGAN CHASE & CO Banking Fixed Income 304,709.58 0.06 304,709.58 nan 5.53 5.53 11.29
WELLS FARGO & COMPANY MTN Banking Fixed Income 304,661.50 0.06 304,661.50 nan 5.54 3.07 10.57
MORGAN STANLEY MTN Banking Fixed Income 304,084.49 0.06 304,084.49 BMG9M19 4.79 2.94 5.15
MORGAN STANLEY PRIVATE BANK NA Banking Fixed Income 304,084.49 0.06 304,084.49 nan 4.62 4.73 3.77
HSBC HOLDINGS PLC FXD-FLT Banking Fixed Income 303,267.05 0.06 303,267.05 nan 5.18 5.45 6.64
HSBC HOLDINGS PLC FXD-TO-FLT MTN Banking Fixed Income 302,978.55 0.06 302,978.55 nan 4.68 5.13 3.47
CIGNA GROUP Consumer Non-Cyclical Fixed Income 302,930.47 0.06 302,930.47 BKPHS34 5.82 4.90 12.73
HSBC HOLDINGS PLC FXD-FLT Banking Fixed Income 302,930.47 0.06 302,930.47 nan 4.75 5.24 3.56
BANK OF AMERICA CORP MTN Banking Fixed Income 302,882.38 0.06 302,882.38 nan 4.64 1.92 4.20
ORACLE CORPORATION Technology Fixed Income 302,497.71 0.06 302,497.71 nan 7.24 6.85 12.89
META PLATFORMS INC Communications Fixed Income 301,920.70 0.06 301,920.70 BT3NFK3 6.15 5.55 14.75
ALPHABET INC Technology Fixed Income 301,872.61 0.06 301,872.61 nan 5.81 5.70 15.84
GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 301,680.28 0.06 301,680.28 nan 4.61 5.21 3.37
CITIGROUP INC Banking Fixed Income 301,343.69 0.06 301,343.69 nan 5.15 5.33 7.04
BANK OF AMERICA CORP MTN Banking Fixed Income 299,804.99 0.06 299,804.99 BJMJ632 5.66 4.33 13.44
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 299,756.91 0.06 299,756.91 BPK6XT2 5.71 5.55 13.83
EXXON MOBIL CORP Energy Fixed Income 298,699.06 0.06 298,699.06 BLD2032 5.50 3.45 14.93
SYNOPSYS INC Technology Fixed Income 297,833.54 0.06 297,833.54 nan 4.98 5.15 7.10
CITIGROUP INC (FX-FRN) Banking Fixed Income 297,160.36 0.06 297,160.36 nan 4.96 3.79 5.19
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 296,487.18 0.06 296,487.18 BFY97C8 5.95 4.25 13.10
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 295,958.26 0.06 295,958.26 B920YP3 5.52 6.25 9.66
VERIZON COMMUNICATIONS INC Communications Fixed Income 294,948.49 0.06 294,948.49 nan 4.78 4.75 5.61
MORGAN STANLEY Banking Fixed Income 294,515.73 0.06 294,515.73 nan 4.69 5.19 3.58
AT&T INC Communications Fixed Income 293,650.21 0.06 293,650.21 BG6F4D1 4.29 4.30 3.47
CITIGROUP INC Banking Fixed Income 293,121.29 0.06 293,121.29 BPCTMM5 4.91 4.91 5.12
KROGER CO Consumer Non-Cyclical Fixed Income 292,784.70 0.06 292,784.70 nan 4.99 5.00 6.77
ALPHABET INC Technology Fixed Income 292,544.28 0.06 292,544.28 nan 5.43 5.35 11.72
HSBC HOLDINGS PLC Banking Fixed Income 291,919.18 0.06 291,919.18 nan 4.78 2.80 4.60
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 290,572.83 0.06 290,572.83 nan 5.58 5.70 14.34
ORACLE CORPORATION Technology Fixed Income 290,428.57 0.06 290,428.57 BLGXM69 7.16 6.90 11.53
BANK OF AMERICA CORP Banking Fixed Income 289,466.89 0.06 289,466.89 B1P61P1 5.34 6.11 7.84
JPMORGAN CHASE & CO Banking Fixed Income 289,418.80 0.06 289,418.80 nan 4.54 5.10 3.52
CITIGROUP INC Banking Fixed Income 289,226.47 0.06 289,226.47 B3Q88R1 5.29 8.13 8.56
JPMORGAN CHASE & CO Banking Fixed Income 288,889.88 0.06 288,889.88 nan 4.65 2.54 5.01
AMAZON.COM INC Consumer Cyclical Fixed Income 287,880.11 0.06 287,880.11 nan 4.23 4.10 4.08
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 287,158.85 0.06 287,158.85 BF8QNP0 5.14 4.45 9.23
ABBVIE INC Consumer Non-Cyclical Fixed Income 286,485.67 0.06 286,485.67 BCZM189 5.39 4.40 11.06
HSBC HOLDINGS PLC FXD-TO-FLT Banking Fixed Income 286,293.33 0.06 286,293.33 nan 4.78 4.67 4.31
EATON CORPORATION Capital Goods Fixed Income 286,149.08 0.06 286,149.08 nan 4.85 4.80 7.75
WELLS FARGO & COMPANY Banking Fixed Income 284,898.89 0.06 284,898.89 BJTGHH7 5.88 5.61 10.88
AT&T INC Communications Fixed Income 284,514.22 0.06 284,514.22 nan 4.47 2.75 4.64
HSBC HOLDINGS PLC Banking Fixed Income 283,552.53 0.06 283,552.53 nan 5.21 5.79 6.89
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 283,167.86 0.06 283,167.86 BG5QT52 5.31 4.39 8.63
COMCAST CORPORATION Communications Fixed Income 282,638.93 0.06 282,638.93 BQB4RF6 6.14 2.99 16.34
META PLATFORMS INC Communications Fixed Income 282,013.84 0.06 282,013.84 BMGK096 5.98 4.45 13.89
TELEFONICA EMISIONES SAU Communications Fixed Income 281,244.49 0.06 281,244.49 B170DG6 5.50 7.04 7.25
ABBVIE INC Consumer Non-Cyclical Fixed Income 281,196.41 0.06 281,196.41 BYP8MQ6 5.54 4.45 12.33
EXXON MOBIL CORP Energy Fixed Income 280,859.82 0.06 280,859.82 BL68H70 5.49 4.33 13.86
T-MOBILE USA INC Communications Fixed Income 280,715.56 0.06 280,715.56 BN0ZMM1 5.92 4.50 13.49
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 280,427.06 0.06 280,427.06 BD7YG30 6.09 4.38 12.10
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 280,282.81 0.06 280,282.81 nan 5.21 2.65 11.27
MORGAN STANLEY MTN Banking Fixed Income 279,465.38 0.06 279,465.38 nan 5.08 6.63 5.82
AMAZON.COM INC Consumer Cyclical Fixed Income 279,321.12 0.06 279,321.12 nan 4.22 2.10 4.67
WELLS FARGO & COMPANY MTN Banking Fixed Income 278,936.45 0.06 278,936.45 nan 4.50 5.24 3.36
AMAZON.COM INC Consumer Cyclical Fixed Income 278,888.36 0.06 278,888.36 BPCPZ13 4.35 4.70 5.56
ALPHABET INC Technology Fixed Income 278,696.03 0.06 278,696.03 nan 4.15 4.10 4.06
BROADCOM INC Technology Fixed Income 278,599.86 0.06 278,599.86 nan 4.23 4.35 3.47
WELLS FARGO & COMPANY MTN Banking Fixed Income 278,551.78 0.06 278,551.78 nan 5.09 4.48 3.58
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 277,974.76 0.05 277,974.76 nan 4.28 4.65 3.63
VERIZON COMMUNICATIONS INC Communications Fixed Income 277,782.43 0.05 277,782.43 nan 5.16 5.00 7.47
AT&T INC Communications Fixed Income 277,734.34 0.05 277,734.34 BX2KBF0 5.07 4.50 7.18
CISCO SYSTEMS INC Technology Fixed Income 277,686.26 0.05 277,686.26 B596Q94 5.13 5.50 9.52
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 276,724.58 0.05 276,724.58 nan 4.50 4.60 5.85
ORACLE CORPORATION Technology Fixed Income 275,330.13 0.05 275,330.13 BMD7RZ5 6.43 3.60 10.18
MORGAN STANLEY MTN Banking Fixed Income 274,753.12 0.05 274,753.12 nan 4.90 4.89 5.28
BROADCOM INC Technology Fixed Income 274,705.04 0.05 274,705.04 BKPVKP2 4.32 4.15 4.05
HSBC HOLDINGS PLC MTN Banking Fixed Income 274,705.04 0.05 274,705.04 nan 5.19 5.13 7.30
JPMORGAN CHASE & CO Banking Fixed Income 274,320.37 0.05 274,320.37 BMCPMR7 5.63 3.33 14.61
SHELL FINANCE US INC Energy Fixed Income 274,176.11 0.05 274,176.11 nan 5.54 4.38 12.01
BROADCOM INC Technology Fixed Income 274,128.03 0.05 274,128.03 BTMP737 4.67 3.42 6.10
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 272,685.50 0.05 272,685.50 nan 4.67 5.20 6.37
BARCLAYS PLC Banking Fixed Income 271,916.16 0.05 271,916.16 BQXQCP5 5.27 7.44 5.10
WALT DISNEY CO Communications Fixed Income 271,627.65 0.05 271,627.65 nan 4.13 2.65 4.35
AMAZON.COM INC Consumer Cyclical Fixed Income 270,137.04 0.05 270,137.04 BN45045 5.60 3.10 14.94
CITIGROUP INC Banking Fixed Income 270,040.87 0.05 270,040.87 nan 4.60 4.54 3.12
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 269,319.61 0.05 269,319.61 nan 4.81 5.23 6.74
WYETH LLC Consumer Non-Cyclical Fixed Income 269,271.52 0.05 269,271.52 B1VQ7M4 5.02 5.95 8.10
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 268,309.84 0.05 268,309.84 BFF9P78 6.94 5.38 11.25
VERIZON COMMUNICATIONS INC Communications Fixed Income 268,261.76 0.05 268,261.76 nan 5.10 5.25 7.08
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 267,540.49 0.05 267,540.49 BJ2W9Y3 5.99 5.95 12.24
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 267,348.16 0.05 267,348.16 BZ06JT4 5.91 6.38 6.90
BROADCOM INC 144A Technology Fixed Income 267,155.82 0.05 267,155.82 BPCTV84 5.08 4.93 8.26
AMAZON.COM INC Consumer Cyclical Fixed Income 266,915.40 0.05 266,915.40 nan 5.83 5.55 15.15
CISCO SYSTEMS INC Technology Fixed Income 266,867.31 0.05 266,867.31 B4YDXD6 5.11 5.90 9.00
VERIZON COMMUNICATIONS INC Communications Fixed Income 266,530.73 0.05 266,530.73 BMWBBL2 5.83 2.88 14.88
META PLATFORMS INC Communications Fixed Income 266,001.80 0.05 266,001.80 BT3NFJ2 4.78 4.75 6.76
US BANCORP MTN Banking Fixed Income 265,665.21 0.05 265,665.21 nan 4.90 4.84 5.67
LLOYDS BANKING GROUP PLC Banking Fixed Income 265,520.96 0.05 265,520.96 BPW6S28 4.93 4.98 5.32
AT&T INC Communications Fixed Income 265,280.54 0.05 265,280.54 BSD2RF2 5.12 4.90 7.32
VERIZON COMMUNICATIONS INC Communications Fixed Income 265,136.28 0.05 265,136.28 BF22PM5 4.82 4.50 6.10
SYNOPSYS INC Technology Fixed Income 264,992.03 0.05 264,992.03 nan 4.47 4.85 3.56
BOEING CO Capital Goods Fixed Income 262,251.23 0.05 262,251.23 nan 4.93 6.53 6.15
MPLX LP Energy Fixed Income 262,058.89 0.05 262,058.89 BF2PNH5 5.49 4.50 9.01
ORACLE CORPORATION Technology Fixed Income 261,962.73 0.05 261,962.73 nan 6.96 6.55 10.65
ORACLE CORPORATION Technology Fixed Income 261,914.64 0.05 261,914.64 nan 6.97 5.88 10.91
BARCLAYS PLC Banking Fixed Income 261,818.47 0.05 261,818.47 nan 5.30 5.34 6.67
FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 261,578.05 0.05 261,578.05 nan 4.75 4.80 4.30
VERIZON COMMUNICATIONS INC Communications Fixed Income 259,702.77 0.05 259,702.77 BRXDL34 4.96 4.40 6.86
VERIZON COMMUNICATIONS INC Communications Fixed Income 259,077.67 0.05 259,077.67 BMXT869 5.84 2.99 16.00
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 259,029.59 0.05 259,029.59 nan 4.92 6.04 5.26
BROADCOM INC 144A Technology Fixed Income 258,789.17 0.05 258,789.17 nan 4.99 3.19 8.56
AMGEN INC Consumer Non-Cyclical Fixed Income 258,693.00 0.05 258,693.00 BWTM390 5.62 4.40 11.93
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 258,644.92 0.05 258,644.92 nan 4.62 4.81 5.72
ORACLE CORPORATION Technology Fixed Income 258,452.58 0.05 258,452.58 BLGXM47 5.44 6.25 5.23
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 257,346.64 0.05 257,346.64 BFX84P8 5.50 4.20 13.41
AT&T INC Communications Fixed Income 256,913.88 0.05 256,913.88 BMHWTV6 5.60 3.50 10.88
BOEING CO Capital Goods Fixed Income 256,529.21 0.05 256,529.21 nan 4.54 3.63 4.30
CENTENE CORPORATION Insurance Fixed Income 256,240.71 0.05 256,240.71 nan 5.29 4.63 3.27
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 256,096.45 0.05 256,096.45 BFD3PF0 5.45 5.00 11.34
APPLE INC Technology Fixed Income 255,904.12 0.05 255,904.12 B8HTMS7 5.25 3.85 11.64
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 255,759.86 0.05 255,759.86 nan 4.52 2.13 3.94
BANK OF AMERICA CORP MTN Banking Fixed Income 255,423.27 0.05 255,423.27 nan 5.07 5.46 6.96
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 255,423.27 0.05 255,423.27 nan 5.10 5.58 6.84
MICROSOFT CORPORATION Technology Fixed Income 255,038.60 0.05 255,038.60 BM9GFY1 5.48 2.67 17.60
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 254,798.18 0.05 254,798.18 nan 4.26 4.40 4.37
HSBC HOLDINGS PLC FXD-TO-FLT Banking Fixed Income 254,509.67 0.05 254,509.67 nan 4.57 5.29 3.18
VERIZON COMMUNICATIONS INC Communications Fixed Income 254,317.34 0.05 254,317.34 nan 6.11 6.00 14.54
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 253,644.16 0.05 253,644.16 nan 4.38 2.05 3.72
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 253,403.74 0.05 253,403.74 BYMYP35 5.58 4.75 12.25
ORACLE CORPORATION Technology Fixed Income 253,307.57 0.05 253,307.57 BMYLXC5 6.92 3.95 13.25
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 252,730.56 0.05 252,730.56 nan 4.69 4.81 4.69
CISCO SYSTEMS INC Technology Fixed Income 252,442.05 0.05 252,442.05 nan 4.24 4.95 4.27
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 250,951.44 0.05 250,951.44 nan 5.87 5.85 13.99
HSBC HOLDINGS PLC Banking Fixed Income 250,422.52 0.05 250,422.52 BMWK7Q6 4.85 2.87 5.00
AMAZON.COM INC Consumer Cyclical Fixed Income 250,326.35 0.05 250,326.35 BTC0KW2 5.36 4.95 11.67
ROGERS COMMUNICATIONS INC Communications Fixed Income 250,182.10 0.05 250,182.10 nan 5.21 5.30 6.29
TELEFONICA EMISIONES SAU Communications Fixed Income 249,749.34 0.05 249,749.34 BF04KW8 6.15 5.21 12.01
RTX CORP Capital Goods Fixed Income 249,605.09 0.05 249,605.09 BQHP8M7 5.68 6.40 13.53
BROADCOM INC Technology Fixed Income 249,460.83 0.05 249,460.83 nan 4.52 4.30 5.56
HSBC HOLDINGS PLC Banking Fixed Income 249,076.16 0.05 249,076.16 BK81093 5.14 6.25 5.58
ORACLE CORPORATION Technology Fixed Income 248,835.74 0.05 248,835.74 BYVGRZ8 6.83 4.00 12.04
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 248,787.65 0.05 248,787.65 BJ52177 5.07 5.45 9.09
VERIZON COMMUNICATIONS INC Communications Fixed Income 248,402.98 0.05 248,402.98 nan 5.29 5.40 8.22
CISCO SYSTEMS INC Technology Fixed Income 247,200.88 0.05 247,200.88 BMG7QR7 5.61 5.30 14.07
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 246,816.20 0.05 246,816.20 BK5CT25 5.41 4.15 9.55
ORACLE CORPORATION Technology Fixed Income 246,671.95 0.05 246,671.95 BM5M639 6.95 3.85 14.38
CITIGROUP INC Banking Fixed Income 246,287.28 0.05 246,287.28 BD366H4 5.75 4.65 12.89
INTEL CORPORATION Technology Fixed Income 246,143.02 0.05 246,143.02 nan 4.37 2.45 3.33
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 245,950.69 0.05 245,950.69 BFY3BX9 6.93 5.75 11.60
EXXON MOBIL CORP Energy Fixed Income 245,950.69 0.05 245,950.69 nan 4.06 3.48 3.61
CITIGROUP INC Banking Fixed Income 245,854.52 0.05 245,854.52 BDGLCL2 5.95 4.75 11.93
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 244,844.75 0.05 244,844.75 nan 4.19 4.10 4.04
BANCO SANTANDER SA Banking Fixed Income 244,652.41 0.05 244,652.41 BRF3T49 5.36 6.92 5.71
CITIGROUP INC Banking Fixed Income 244,123.49 0.05 244,123.49 nan 5.77 5.61 13.96
BROADCOM INC Technology Fixed Income 243,931.15 0.05 243,931.15 2N3CFX0 4.58 2.60 6.09
UNITEDHEALTH GROUP INC Insurance Fixed Income 243,354.14 0.05 243,354.14 nan 4.69 5.35 5.65
T-MOBILE USA INC Communications Fixed Income 243,209.89 0.05 243,209.89 BN303Z3 5.91 3.30 14.57
JPMORGAN CHASE & CO Banking Fixed Income 243,113.72 0.05 243,113.72 BF348B0 5.16 3.88 8.77
WELLS FARGO & COMPANY MTN Banking Fixed Income 243,065.64 0.05 243,065.64 nan 8.36 4.89 7.45
HONEYWELL AEROSPACE INC 144A Capital Goods Fixed Income 242,921.38 0.05 242,921.38 nan 5.83 5.85 15.33
UNITEDHEALTH GROUP INC Insurance Fixed Income 242,680.96 0.05 242,680.96 BPDY843 4.83 5.15 6.59
AMPHENOL CORPORATION Capital Goods Fixed Income 242,488.62 0.05 242,488.62 nan 4.62 4.40 5.79
VERIZON COMMUNICATIONS INC Communications Fixed Income 242,488.62 0.05 242,488.62 nan 4.23 4.02 3.29
US BANCORP MTN Banking Fixed Income 242,344.37 0.05 242,344.37 BRBCTL7 5.06 5.68 6.19
MORGAN STANLEY Banking Fixed Income 242,200.12 0.05 242,200.12 B7N7040 5.52 6.38 10.21
AMPHENOL CORPORATION Capital Goods Fixed Income 241,863.53 0.05 241,863.53 nan 4.91 4.63 7.73
VERIZON COMMUNICATIONS INC Communications Fixed Income 241,767.36 0.05 241,767.36 BNGDW30 5.88 3.70 16.08
APPLE INC Technology Fixed Income 241,719.28 0.05 241,719.28 BKP9GX6 5.48 2.65 15.68
BARCLAYS PLC Banking Fixed Income 241,526.94 0.05 241,526.94 nan 4.70 5.37 3.43
BARCLAYS PLC Banking Fixed Income 241,526.94 0.05 241,526.94 nan 5.23 5.79 6.84
HONEYWELL AEROSPACE INC 144A Capital Goods Fixed Income 240,949.93 0.05 240,949.93 nan 4.65 4.60 5.84
AT&T INC Communications Fixed Income 240,757.59 0.05 240,757.59 BMHWV76 6.02 3.65 14.06
VODAFONE GROUP PLC Communications Fixed Income 240,757.59 0.05 240,757.59 nan 5.98 5.75 13.41
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 240,469.09 0.05 240,469.09 BKSVYZ7 6.86 4.80 12.47
AT&T INC Communications Fixed Income 240,228.67 0.05 240,228.67 BX2H2X6 5.98 4.75 11.90
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 239,988.25 0.05 239,988.25 BJ521B1 5.66 5.80 14.58
WELLS FARGO & COMPANY Banking Fixed Income 239,555.49 0.05 239,555.49 BFVGYC1 5.81 5.38 10.81
ABBVIE INC Consumer Non-Cyclical Fixed Income 239,074.65 0.05 239,074.65 BGHCHX2 5.59 4.88 12.82
JPMORGAN CHASE & CO (FXD-FRN) Banking Fixed Income 239,074.65 0.05 239,074.65 nan 4.49 4.25 3.98
INTEL CORPORATION Technology Fixed Income 239,026.56 0.05 239,026.56 nan 4.85 5.20 5.65
TRUIST FINANCIAL CORP MTN Banking Fixed Income 238,449.55 0.05 238,449.55 BMGC3Z9 5.13 5.71 6.18
BROADCOM INC Technology Fixed Income 237,920.63 0.05 237,920.63 BRSF3Y0 4.84 4.80 6.90
BROADCOM INC Technology Fixed Income 237,632.12 0.05 237,632.12 BS6VJM7 4.48 5.15 4.72
BANCO SANTANDER SA (FXD) Banking Fixed Income 236,958.94 0.05 236,958.94 nan 4.71 4.55 3.98
SYNOPSYS INC Technology Fixed Income 236,862.77 0.05 236,862.77 nan 5.89 5.70 13.87
AON NORTH AMERICA INC Insurance Fixed Income 236,670.44 0.05 236,670.44 BMFF928 5.86 5.75 13.61
CIGNA GROUP Consumer Non-Cyclical Fixed Income 236,045.34 0.05 236,045.34 BKPHS23 5.31 4.80 9.05
SPRINT CAPITAL CORPORATION Communications Fixed Income 236,045.34 0.05 236,045.34 2964029 4.80 8.75 4.71
MORGAN STANLEY MTN Banking Fixed Income 235,612.58 0.05 235,612.58 nan 4.71 1.93 4.64
ORACLE CORPORATION Technology Fixed Income 235,612.58 0.05 235,612.58 B7FNML7 6.46 5.38 9.43
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 235,372.16 0.05 235,372.16 nan 4.99 5.43 6.45
WELLS FARGO & COMPANY MTN Banking Fixed Income 235,372.16 0.05 235,372.16 BX2H0V0 5.65 3.90 12.23
BOEING CO Capital Goods Fixed Income 235,131.74 0.05 235,131.74 nan 6.07 7.01 14.07
VERIZON COMMUNICATIONS INC Communications Fixed Income 234,795.15 0.05 234,795.15 BN2RDG6 5.06 4.78 7.05
KINDER MORGAN INC Energy Fixed Income 234,747.07 0.05 234,747.07 BST78D6 5.81 5.55 11.32
KROGER CO Consumer Non-Cyclical Fixed Income 234,602.82 0.05 234,602.82 nan 5.88 5.50 13.84
ORACLE CORPORATION Technology Fixed Income 233,785.38 0.05 233,785.38 BMWS9B9 7.07 5.55 12.35
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 233,641.13 0.05 233,641.13 nan 4.71 2.20 3.93
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 233,256.46 0.05 233,256.46 BSNBJW0 5.55 4.50 11.97
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 232,679.45 0.05 232,679.45 BPLHQR3 5.59 3.25 5.13
VERIZON COMMUNICATIONS INC Communications Fixed Income 232,679.45 0.05 232,679.45 BXVMD62 5.82 4.86 12.19
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 232,102.44 0.05 232,102.44 BK5KKM6 4.39 3.25 3.09
NXP BV Technology Fixed Income 231,477.34 0.05 231,477.34 nan 4.61 2.50 4.61
INTEL CORPORATION Technology Fixed Income 231,381.17 0.05 231,381.17 BMX7HF5 6.10 5.70 13.16
MEDTRONIC INC Consumer Non-Cyclical Fixed Income 231,236.92 0.05 231,236.92 BYP6GR9 4.69 4.38 7.26
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 231,092.67 0.05 231,092.67 nan 4.59 4.70 6.43
ROGERS COMMUNICATIONS INC Communications Fixed Income 231,092.67 0.05 231,092.67 nan 4.94 3.80 5.18
HONEYWELL AEROSPACE INC 144A Capital Goods Fixed Income 230,756.08 0.05 230,756.08 nan 5.58 5.62 11.86
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 229,842.48 0.05 229,842.48 nan 5.06 3.40 6.38
CITIGROUP INC Banking Fixed Income 229,505.89 0.05 229,505.89 BFMTXQ6 5.30 3.88 9.04
ALPHABET INC Technology Fixed Income 229,313.55 0.05 229,313.55 nan 4.34 4.38 5.56
PFIZER INC Consumer Non-Cyclical Fixed Income 229,313.55 0.05 229,313.55 BZ3FFJ0 4.80 4.00 8.38
T-MOBILE USA INC Communications Fixed Income 229,313.55 0.05 229,313.55 BMB3SY1 5.91 3.40 14.99
ENERGY TRANSFER LP Energy Fixed Income 229,265.47 0.05 229,265.47 nan 5.16 5.60 6.62
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 229,217.39 0.05 229,217.39 BMDX623 4.41 2.25 3.83
INTEL CORPORATION Technology Fixed Income 229,073.13 0.05 229,073.13 BM5D1Q0 6.08 4.75 13.15
MITSUBISHI UFJ FIN GRP (6NC5 FXD) Banking Fixed Income 228,880.80 0.05 228,880.80 nan 4.67 4.50 4.17
ING GROEP NV Banking Fixed Income 228,640.37 0.05 228,640.37 nan 5.29 5.42 7.60
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 228,496.12 0.05 228,496.12 B1FTHZ2 5.04 6.13 7.50
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 227,678.69 0.04 227,678.69 nan 5.26 5.00 6.83
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 227,390.19 0.04 227,390.19 BMCLD16 5.08 6.88 5.76
APPLE INC Technology Fixed Income 226,957.43 0.04 226,957.43 BM98Q33 5.48 2.65 15.29
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 226,861.26 0.04 226,861.26 BNC3CS9 5.53 3.85 14.72
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 226,572.75 0.04 226,572.75 BKY7998 6.76 3.90 13.38
LLOYDS BANKING GROUP PLC Banking Fixed Income 226,476.59 0.04 226,476.59 nan 5.08 5.68 6.14
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 226,380.42 0.04 226,380.42 nan 4.23 3.63 3.63
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 226,091.91 0.04 226,091.91 nan 4.69 4.00 4.34
HCA INC Consumer Non-Cyclical Fixed Income 225,851.49 0.04 225,851.49 BKKDGY4 6.02 5.25 12.53
REYNOLDS AMERICAN INC Consumer Non-Cyclical Fixed Income 225,755.32 0.04 225,755.32 BZ0HGQ3 5.96 5.85 11.32
MASTERCARD INC Technology Fixed Income 225,370.65 0.04 225,370.65 nan 4.31 4.35 4.98
PNC FINANCIAL SERVICES GROUP INC ( MTN Banking Fixed Income 224,072.38 0.04 224,072.38 nan 5.14 5.37 7.16
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 223,687.70 0.04 223,687.70 nan 4.72 5.38 5.64
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 223,206.86 0.04 223,206.86 BHZRWX1 5.50 4.25 13.44
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 223,158.78 0.04 223,158.78 BMVQHT8 4.52 4.50 3.16
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 223,014.52 0.04 223,014.52 nan 4.48 2.75 3.47
HSBC HOLDINGS PLC FXD-TO-FLT MTN Banking Fixed Income 222,870.27 0.04 222,870.27 nan 4.72 4.62 3.98
AMAZON.COM INC Consumer Cyclical Fixed Income 222,822.19 0.04 222,822.19 nan 4.49 4.35 5.90
AMGEN INC Consumer Non-Cyclical Fixed Income 222,485.60 0.04 222,485.60 nan 5.32 3.15 10.59
ENBRIDGE INC Energy Fixed Income 222,389.43 0.04 222,389.43 BMW78G4 4.90 5.70 5.65
APPLE INC Technology Fixed Income 222,197.09 0.04 222,197.09 nan 3.97 1.65 4.53
COMCAST CORPORATION Communications Fixed Income 222,004.76 0.04 222,004.76 B92PSY5 4.71 4.25 5.72
UNITEDHEALTH GROUP INC Insurance Fixed Income 222,004.76 0.04 222,004.76 BLBRZR8 5.84 5.88 13.32
BROADCOM INC Technology Fixed Income 221,620.08 0.04 221,620.08 nan 5.09 4.90 8.79
ROGERS COMMUNICATIONS INC Communications Fixed Income 221,427.74 0.04 221,427.74 BNYJ876 6.11 4.55 13.68
HOME DEPOT INC Consumer Cyclical Fixed Income 221,091.16 0.04 221,091.16 nan 4.69 4.95 6.59
EATON CORPORATION Capital Goods Fixed Income 220,514.14 0.04 220,514.14 nan 4.33 4.20 4.35
UNITEDHEALTH GROUP INC Insurance Fixed Income 220,321.81 0.04 220,321.81 BYTRVP1 5.69 4.75 11.89
ONEOK INC Energy Fixed Income 220,273.72 0.04 220,273.72 BMZ6BW5 6.27 6.63 12.77
META PLATFORMS INC Communications Fixed Income 220,225.64 0.04 220,225.64 nan 4.64 4.95 5.81
HCA INC Consumer Non-Cyclical Fixed Income 219,696.71 0.04 219,696.71 nan 4.64 5.45 4.31
SOLVENTUM CORP Consumer Non-Cyclical Fixed Income 219,648.63 0.04 219,648.63 nan 4.61 5.45 4.26
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 219,456.29 0.04 219,456.29 nan 4.46 3.75 3.62
AMGEN INC Consumer Non-Cyclical Fixed Income 219,215.87 0.04 219,215.87 nan 4.17 4.05 3.07
MORGAN STANLEY Banking Fixed Income 218,158.02 0.04 218,158.02 BN7LY82 5.48 3.22 10.98
TRUIST FINANCIAL CORP MTN Banking Fixed Income 218,109.93 0.04 218,109.93 BRBD998 5.11 5.87 5.71
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 218,061.85 0.04 218,061.85 nan 5.11 5.06 7.51
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 217,629.09 0.04 217,629.09 B8J5PR3 5.67 4.00 11.08
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 216,619.32 0.04 216,619.32 nan 4.54 5.73 2.69
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 216,426.99 0.04 216,426.99 BL9XNG3 4.90 5.00 7.10
COREBRIDGE FINANCIAL INC Insurance Fixed Income 216,330.82 0.04 216,330.82 991XAH2 4.88 3.90 5.23
CIGNA GROUP Consumer Non-Cyclical Fixed Income 216,042.31 0.04 216,042.31 BT6M1P4 5.07 5.25 7.48
JPMORGAN CHASE & CO Banking Fixed Income 215,994.23 0.04 215,994.23 nan 5.42 3.16 11.04
AMAZON.COM INC Consumer Cyclical Fixed Income 215,849.98 0.04 215,849.98 BNW2Q84 5.22 2.88 11.34
BANK OF AMERICA CORP Banking Fixed Income 215,465.30 0.04 215,465.30 B2RFJL5 5.40 7.75 8.01
SWP: OIS 3.308700 05-SEP-2054 SOF Cash and/or Derivatives Swaps 215,342.20 0.04 -1,284,657.80 nan -0.17 3.31 17.45
MORGAN STANLEY Banking Fixed Income 215,321.05 0.04 215,321.05 BVJXZY5 5.66 4.30 12.02
WALT DISNEY CO Communications Fixed Income 215,176.80 0.04 215,176.80 BMDHPZ1 5.54 3.60 14.51
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 215,128.71 0.04 215,128.71 BK8VN61 5.42 6.45 7.61
ENERGY TRANSFER OPERATING LP Energy Fixed Income 214,984.46 0.04 214,984.46 BL3BQC0 6.26 5.00 12.64
LLOYDS BANKING GROUP PLC (FXD-FXD) Banking Fixed Income 214,792.13 0.04 214,792.13 nan 4.57 4.42 3.99
ORACLE CORPORATION Technology Fixed Income 214,792.13 0.04 214,792.13 BMYLXB4 6.51 3.65 10.59
AT&T INC Communications Fixed Income 214,744.04 0.04 214,744.04 nan 4.46 4.40 4.44
CITIBANK NA Banking Fixed Income 214,359.37 0.04 214,359.37 BRJNSN7 4.83 5.57 6.32
MICROSOFT CORPORATION Technology Fixed Income 214,118.95 0.04 214,118.95 BDCBCL6 5.27 3.70 13.21
MORGAN STANLEY MTN Banking Fixed Income 214,070.86 0.04 214,070.86 BZ9P947 5.24 3.97 9.30
MORGAN STANLEY MTN Banking Fixed Income 213,974.69 0.04 213,974.69 nan 4.72 4.81 4.40
UNITEDHEALTH GROUP INC Insurance Fixed Income 213,590.02 0.04 213,590.02 BNHS0K7 5.70 3.25 14.69
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 213,493.85 0.04 213,493.85 BYWKW98 5.64 4.88 11.92
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 213,301.51 0.04 213,301.51 BF15KD1 5.63 4.03 13.29
WALT DISNEY CO Communications Fixed Income 212,868.76 0.04 212,868.76 BKKKD11 4.02 2.00 3.20
MORGAN STANLEY MTN Banking Fixed Income 212,676.42 0.04 212,676.42 nan 4.56 5.04 2.94
JPMORGAN CHASE & CO Banking Fixed Income 212,484.08 0.04 212,484.08 nan 4.46 5.58 2.69
WILLIAMS COMPANIES INC Energy Fixed Income 212,484.08 0.04 212,484.08 nan 4.99 5.15 6.42
BANK OF AMERICA CORP MTN Banking Fixed Income 212,339.83 0.04 212,339.83 BJ3WDS4 5.48 5.00 11.34
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 212,291.75 0.04 212,291.75 BYZKX58 5.36 4.02 8.75
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 212,195.58 0.04 212,195.58 nan 5.89 7.12 5.70
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 212,147.49 0.04 212,147.49 BG5QTB8 5.97 4.54 12.58
FIFTH THIRD BANCORP Banking Fixed Income 212,003.24 0.04 212,003.24 nan 4.93 4.57 4.34
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 212,003.24 0.04 212,003.24 nan 4.34 1.75 5.01
LLOYDS BANKING GROUP PLC MTN Banking Fixed Income 211,762.82 0.04 211,762.82 nan 5.72 5.67 11.65
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 211,714.74 0.04 211,714.74 nan 4.51 2.45 5.10
APPLE INC Technology Fixed Income 211,474.32 0.04 211,474.32 BVVCSF2 5.35 3.45 12.77
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 211,330.06 0.04 211,330.06 BY58YT3 5.85 5.15 11.46
BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 210,897.30 0.04 210,897.30 nan 5.41 2.54 5.21
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 210,849.22 0.04 210,849.22 BV6KMB5 5.61 5.75 14.08
CONOCOPHILLIPS CO Energy Fixed Income 210,801.14 0.04 210,801.14 nan 4.25 4.70 3.37
WALT DISNEY CO Communications Fixed Income 210,753.05 0.04 210,753.05 nan 4.19 4.00 4.38
SALESFORCE INC Technology Fixed Income 210,608.80 0.04 210,608.80 nan 6.23 6.40 11.19
ABBVIE INC Consumer Non-Cyclical Fixed Income 210,512.63 0.04 210,512.63 nan 4.56 4.40 5.86
T-MOBILE USA INC Communications Fixed Income 209,887.54 0.04 209,887.54 nan 5.10 5.00 7.58
AMGEN INC Consumer Non-Cyclical Fixed Income 209,695.20 0.04 209,695.20 BKMGBM4 4.29 2.45 3.59
MERCK & CO INC Consumer Non-Cyclical Fixed Income 209,647.12 0.04 209,647.12 BVFMPQ8 5.50 3.70 12.52
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 209,550.95 0.04 209,550.95 B46LC31 5.22 8.20 8.35
DOMINION ENERGY INC Electric Fixed Income 208,973.94 0.04 208,973.94 BM6KKK7 4.43 3.38 3.64
HSBC HOLDINGS PLC Banking Fixed Income 208,541.18 0.04 208,541.18 BK5JGQ9 4.74 3.97 2.83
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 208,348.84 0.04 208,348.84 BQY7CZ7 4.21 4.38 6.34
AT&T INC Communications Fixed Income 208,252.67 0.04 208,252.67 nan 6.08 6.00 13.60
HCA INC Consumer Non-Cyclical Fixed Income 208,156.51 0.04 208,156.51 BLF2KK7 4.57 3.50 3.98
MERCK & CO INC Consumer Non-Cyclical Fixed Income 207,819.92 0.04 207,819.92 nan 5.67 5.55 14.04
JPMORGAN CHASE & CO Banking Fixed Income 207,771.83 0.04 207,771.83 B6QKFT9 5.35 5.60 10.10
MERCK & CO INC Consumer Non-Cyclical Fixed Income 207,579.49 0.04 207,579.49 nan 4.30 2.15 5.17
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 207,531.41 0.04 207,531.41 BKBZGD8 4.13 2.83 3.46
UNITEDHEALTH GROUP INC Insurance Fixed Income 207,435.24 0.04 207,435.24 BN7K9M8 5.80 5.05 13.95
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 207,387.16 0.04 207,387.16 BJ2WB47 5.56 5.80 8.93
TELEFONICA EUROPE BV Communications Fixed Income 207,194.82 0.04 207,194.82 4474021 4.72 8.25 3.72
AMGEN INC Consumer Non-Cyclical Fixed Income 206,665.90 0.04 206,665.90 BJVPJP4 5.58 3.38 14.51
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 206,569.73 0.04 206,569.73 2KLTYQ8 4.71 5.91 5.35
HSBC HOLDINGS PLC Banking Fixed Income 206,377.39 0.04 206,377.39 BKJL6Z0 5.64 5.25 11.29
HCA INC Consumer Non-Cyclical Fixed Income 206,281.22 0.04 206,281.22 nan 5.14 5.75 6.89
BANK OF AMERICA CORP MTN Banking Fixed Income 206,136.97 0.04 206,136.97 BYWC0C3 5.23 4.24 8.98
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 206,136.97 0.04 206,136.97 nan 5.45 5.42 4.29
BANK OF AMERICA CORP MTN Banking Fixed Income 205,992.72 0.04 205,992.72 BD49X71 5.67 3.95 13.26
EXXON MOBIL CORP Energy Fixed Income 205,992.72 0.04 205,992.72 BMDSC20 4.01 2.61 4.18
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 205,992.72 0.04 205,992.72 nan 4.59 4.46 5.23
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 205,848.46 0.04 205,848.46 BDB6944 5.51 4.70 12.20
UNITEDHEALTH GROUP INC Insurance Fixed Income 205,704.21 0.04 205,704.21 nan 4.51 4.95 4.91
US BANCORP Banking Fixed Income 205,608.04 0.04 205,608.04 nan 4.30 1.38 4.05
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 205,559.96 0.04 205,559.96 nan 5.19 5.88 3.10
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 205,463.79 0.04 205,463.79 BLGYSB9 5.03 5.75 5.70
WELLS FARGO & COMPANY MTN Banking Fixed Income 205,271.45 0.04 205,271.45 BYQ29R7 5.97 4.90 11.68
EXXON MOBIL CORP Energy Fixed Income 205,175.28 0.04 205,175.28 BYYD0G8 5.42 4.11 12.72
ROYAL BANK OF CANADA MTN Banking Fixed Income 204,790.61 0.04 204,790.61 nan 4.67 5.00 5.66
JPMORGAN CHASE & CO Banking Fixed Income 204,646.36 0.04 204,646.36 BMF0547 5.69 3.11 14.54
TOTALENERGIES CAPITAL SA Energy Fixed Income 204,646.36 0.04 204,646.36 nan 5.65 5.49 14.03
ALLY FINANCIAL INC Banking Fixed Income 204,550.19 0.04 204,550.19 B3LVPV8 5.36 8.00 4.38
HSBC HOLDINGS PLC Banking Fixed Income 204,405.94 0.04 204,405.94 nan 4.82 5.73 4.29
INTEL CORPORATION Technology Fixed Income 204,069.35 0.04 204,069.35 nan 4.52 3.90 3.60
AMAZON.COM INC Consumer Cyclical Fixed Income 204,021.26 0.04 204,021.26 nan 4.06 4.65 3.26
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 203,877.01 0.04 203,877.01 nan 4.62 5.15 5.71
META PLATFORMS INC Communications Fixed Income 203,780.84 0.04 203,780.84 BQPF885 6.12 5.75 14.37
MORGAN STANLEY MTN Banking Fixed Income 203,684.67 0.04 203,684.67 BL68VG7 5.80 5.60 12.99
FISERV INC Technology Fixed Income 203,540.42 0.04 203,540.42 BGBN0F4 6.25 4.40 12.90
ORACLE CORPORATION Technology Fixed Income 203,540.42 0.04 203,540.42 BF4ZFF5 6.06 3.80 8.75
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 203,300.00 0.04 203,300.00 BD7YG52 6.13 5.20 11.44
ORACLE CORPORATION Technology Fixed Income 202,915.33 0.04 202,915.33 nan 5.89 5.50 7.08
SHELL FINANCE US INC Energy Fixed Income 202,867.24 0.04 202,867.24 BR4TV31 5.57 4.00 12.59
MERCK & CO INC Consumer Non-Cyclical Fixed Income 202,819.16 0.04 202,819.16 BP487M5 5.64 5.00 13.83
UNITEDHEALTH GROUP INC Insurance Fixed Income 202,626.82 0.04 202,626.82 BPDY809 5.92 5.75 14.93
INTUIT INC Technology Fixed Income 202,530.65 0.04 202,530.65 nan 4.85 5.20 6.08
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 202,434.49 0.04 202,434.49 nan 4.98 5.95 5.76
BANK OF AMERICA CORP Banking Fixed Income 202,242.15 0.04 202,242.15 nan 4.63 2.65 4.49
WELLS FARGO & COMPANY Banking Fixed Income 202,097.90 0.04 202,097.90 BS9FPF1 5.98 4.65 11.44
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 202,001.73 0.04 202,001.73 BYND5R5 5.59 4.15 12.95
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 201,809.39 0.04 201,809.39 BNNMQV6 6.27 6.75 12.51
SOUTHERN COMPANY (THE) Electric Fixed Income 201,520.89 0.04 201,520.89 BYT1540 5.73 4.40 12.37
VISA INC Technology Fixed Income 200,799.62 0.04 200,799.62 BYPHG16 4.56 4.15 7.73
SWP: OIS 3.177500 05-JUL-2053 SOF Cash and/or Derivatives Swaps 200,724.18 0.04 -999,275.82 nan -0.28 3.18 17.24
CATERPILLAR INC Capital Goods Fixed Income 200,703.45 0.04 200,703.45 nan 4.70 5.20 7.07
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 200,366.86 0.04 200,366.86 B2RK1T2 5.18 6.38 8.37
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 200,078.36 0.04 200,078.36 nan 5.05 8.88 3.52
GLOBAL PAYMENTS INC Technology Fixed Income 200,030.28 0.04 200,030.28 nan 5.90 5.55 7.14
NATWEST GROUP PLC Banking Fixed Income 199,886.02 0.04 199,886.02 BQBBVP5 5.05 5.78 6.27
BANK OF AMERICA CORP MTN Banking Fixed Income 199,597.52 0.04 199,597.52 BYMX8C2 5.68 4.44 12.61
AMAZON.COM INC Consumer Cyclical Fixed Income 199,357.10 0.04 199,357.10 BDGMR10 5.67 4.25 15.33
AT&T INC Communications Fixed Income 199,260.93 0.04 199,260.93 nan 6.06 5.70 13.21
AT&T INC Communications Fixed Income 199,212.84 0.04 199,212.84 nan 4.58 2.25 5.28
UNITEDHEALTH GROUP INC Insurance Fixed Income 199,068.59 0.04 199,068.59 BSSHCV3 5.82 5.38 13.95
TRUIST FINANCIAL CORP MTN Banking Fixed Income 199,020.51 0.04 199,020.51 BSWTGC4 4.75 5.15 4.56
COMCAST CORPORATION Communications Fixed Income 198,924.34 0.04 198,924.34 BMGWCS5 5.56 3.75 10.33
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 198,876.25 0.04 198,876.25 BMCY3Z9 5.60 3.21 10.95
AMAZON.COM INC Consumer Cyclical Fixed Income 198,732.00 0.04 198,732.00 BLPP103 5.61 3.95 14.65
AT&T INC Communications Fixed Income 197,818.40 0.04 197,818.40 nan 6.06 6.05 13.67
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 197,385.64 0.04 197,385.64 BG3KW02 5.86 5.38 11.02
HSBC HOLDINGS PLC Banking Fixed Income 197,385.64 0.04 197,385.64 nan 4.84 2.36 4.02
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 197,289.48 0.04 197,289.48 nan 4.31 5.13 3.43
APPLE INC Technology Fixed Income 197,241.39 0.04 197,241.39 BYN2GG8 4.38 4.50 7.85
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 197,145.22 0.04 197,145.22 nan 4.43 4.35 4.56
APPLE INC Technology Fixed Income 197,097.14 0.04 197,097.14 BXC5WP2 5.30 4.38 12.14
KINDER MORGAN ENERGY PARTNERS LP Energy Fixed Income 196,952.89 0.04 196,952.89 B1Z54W6 5.39 6.95 8.11
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 196,808.63 0.04 196,808.63 nan 5.73 5.40 14.14
TIME WARNER CABLE LLC Communications Fixed Income 196,808.63 0.04 196,808.63 B28WMV6 6.23 6.55 7.60
JPMORGAN CHASE & CO Banking Fixed Income 196,520.13 0.04 196,520.13 BDRJGF7 5.64 3.90 13.32
HOME DEPOT INC Consumer Cyclical Fixed Income 196,472.04 0.04 196,472.04 BR30BC4 5.58 4.40 12.13
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 196,375.88 0.04 196,375.88 nan 4.70 2.50 4.40
PAYCHEX INC Technology Fixed Income 196,375.88 0.04 196,375.88 nan 4.98 5.35 5.09
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 196,135.46 0.04 196,135.46 BYNZDD3 5.75 4.75 11.80
AT&T INC Communications Fixed Income 195,895.03 0.04 195,895.03 BD3HCY6 6.00 4.50 12.79
PAYPAL HOLDINGS INC Technology Fixed Income 195,654.61 0.04 195,654.61 BKZCC60 4.29 2.85 3.24
BANK OF AMERICA CORP MTN Banking Fixed Income 195,462.28 0.04 195,462.28 B6T0187 5.45 5.88 10.24
AMGEN INC Consumer Non-Cyclical Fixed Income 195,414.19 0.04 195,414.19 nan 5.80 5.65 14.06
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 195,221.86 0.04 195,221.86 BK63D81 4.41 3.04 3.02
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 195,173.77 0.04 195,173.77 BMWV9D0 5.11 4.13 9.71
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 194,981.43 0.04 194,981.43 nan 4.94 4.80 6.81
NISOURCE INC Natural Gas Fixed Income 194,837.18 0.04 194,837.18 nan 5.89 5.85 13.80
WELLS FARGO & COMPANY Banking Fixed Income 194,837.18 0.04 194,837.18 BYYYTZ3 5.99 4.40 12.18
BARCLAYS PLC (FXD TO FLOAT) Banking Fixed Income 194,741.01 0.04 194,741.01 nan 5.77 5.86 11.40
PHILLIPS 66 Energy Fixed Income 194,548.68 0.04 194,548.68 B7RB2F3 5.72 5.88 10.08
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 194,308.26 0.04 194,308.26 nan 5.23 6.10 6.06
JEFFERIES FINANCIAL GROUP INC MTN Brokerage/Asset Managers/Exchanges Fixed Income 194,260.17 0.04 194,260.17 nan 5.79 5.50 7.38
BARCLAYS PLC Banking Fixed Income 194,212.09 0.04 194,212.09 BP6L2R2 5.26 6.69 5.85
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 194,115.92 0.04 194,115.92 BPJN8T9 5.07 5.68 6.18
AON NORTH AMERICA INC Insurance Fixed Income 194,067.83 0.04 194,067.83 nan 4.95 5.45 6.33
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 193,971.67 0.04 193,971.67 nan 4.25 3.38 3.65
US BANCORP Banking Fixed Income 193,971.67 0.04 193,971.67 BM9WJ58 4.86 5.85 5.27
ABBVIE INC Consumer Non-Cyclical Fixed Income 193,923.58 0.04 193,923.58 nan 4.30 4.13 4.38
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 193,827.41 0.04 193,827.41 nan 4.66 4.40 4.03
ORACLE CORPORATION Technology Fixed Income 193,635.08 0.04 193,635.08 nan 7.22 6.10 13.22
ROYAL BANK OF CANADA MTN Banking Fixed Income 193,490.82 0.04 193,490.82 nan 4.30 2.30 5.05
JPMORGAN CHASE & CO Banking Fixed Income 193,394.66 0.04 193,394.66 BY8L4X3 5.59 4.95 11.72
KROGER CO Consumer Non-Cyclical Fixed Income 193,154.23 0.04 193,154.23 nan 6.00 5.65 15.01
UNITEDHEALTH GROUP INC Insurance Fixed Income 193,106.15 0.04 193,106.15 BNKBV00 5.80 4.75 13.61
ARTHUR J GALLAGHER & CO Insurance Fixed Income 193,009.98 0.04 193,009.98 nan 5.10 5.15 6.97
JPMORGAN CHASE & CO Banking Fixed Income 192,913.81 0.04 192,913.81 BF348D2 5.62 4.03 13.08
BARCLAYS PLC Banking Fixed Income 192,721.48 0.04 192,721.48 BQYLTG9 5.25 6.22 5.58
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 192,673.39 0.04 192,673.39 nan 5.73 6.55 6.15
HSBC HOLDINGS PLC Banking Fixed Income 192,673.39 0.04 192,673.39 BMXNKF4 4.92 2.85 3.78
FREEPORT-MCMORAN INC Basic Industry Fixed Income 192,384.89 0.04 192,384.89 BFPC4S1 5.66 5.45 10.82
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 192,144.47 0.04 192,144.47 BNHT9D6 4.68 2.31 4.82
MORGAN STANLEY Banking Fixed Income 192,144.47 0.04 192,144.47 BYM4WR8 5.70 4.38 12.63
GENERAL MOTORS CO Consumer Cyclical Fixed Income 192,000.21 0.04 192,000.21 BP8Y7Q3 6.16 6.25 10.55
SALESFORCE INC Technology Fixed Income 191,663.62 0.04 191,663.62 nan 4.57 1.95 4.85
US BANCORP (FXD-FRN) MTN Banking Fixed Income 191,471.29 0.04 191,471.29 nan 7.85 4.48 4.16
COMCAST CORPORATION Communications Fixed Income 191,375.12 0.04 191,375.12 nan 4.41 1.95 4.42
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 191,327.04 0.04 191,327.04 BYVQ5V0 4.85 4.75 8.10
TIME WARNER CABLE LLC Communications Fixed Income 191,182.78 0.04 191,182.78 B3B14R7 6.50 7.30 7.99
CATERPILLAR INC Capital Goods Fixed Income 191,134.70 0.04 191,134.70 B95BMR1 5.27 3.80 11.49
ORACLE CORPORATION Technology Fixed Income 190,990.45 0.04 190,990.45 nan 5.33 5.25 4.89
UNITED PARCEL SERVICE INC Transportation Fixed Income 190,798.11 0.04 190,798.11 B2NP6Q3 5.01 6.20 8.36
MORGAN STANLEY Banking Fixed Income 190,750.02 0.04 190,750.02 B4021X3 4.54 7.25 4.89
MPLX LP Energy Fixed Income 190,701.94 0.04 190,701.94 nan 5.16 5.50 6.38
UNITEDHEALTH GROUP INC Insurance Fixed Income 190,701.94 0.04 190,701.94 nan 4.37 2.30 4.65
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 190,173.01 0.04 190,173.01 nan 4.33 4.30 3.39
ROYAL BANK OF CANADA (FX-FRN) MTN Banking Fixed Income 190,028.76 0.04 190,028.76 BS893X8 4.55 5.15 3.39
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 189,980.68 0.04 189,980.68 BSHZYC3 5.61 4.25 11.86
SHELL FINANCE US INC Energy Fixed Income 189,932.59 0.04 189,932.59 nan 4.09 2.38 3.32
BROADCOM INC Technology Fixed Income 189,547.92 0.04 189,547.92 nan 4.53 4.90 5.28
T-MOBILE USA INC Communications Fixed Income 189,547.92 0.04 189,547.92 nan 5.07 4.95 7.35
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 189,355.58 0.04 189,355.58 nan 4.38 4.81 3.65
ENERGY TRANSFER OPERATING LP Energy Fixed Income 189,259.41 0.04 189,259.41 BL3BQ53 4.46 3.75 3.67
CIGNA GROUP Consumer Non-Cyclical Fixed Income 189,115.16 0.04 189,115.16 nan 5.76 3.40 14.40
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 189,115.16 0.04 189,115.16 BFXTLH2 5.42 4.41 8.86
LOWES COMPANIES INC Consumer Cyclical Fixed Income 188,682.40 0.04 188,682.40 nan 4.78 5.15 5.90
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 188,586.24 0.04 188,586.24 BMCJWJ1 4.68 4.89 6.13
APPLE INC Technology Fixed Income 188,490.07 0.04 188,490.07 BDCWWV9 5.39 3.85 13.02
AT&T INC Communications Fixed Income 188,297.73 0.04 188,297.73 nan 4.71 4.55 5.45
AMGEN INC Consumer Non-Cyclical Fixed Income 188,249.65 0.04 188,249.65 BMH9SK9 5.79 4.88 13.94
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 187,768.80 0.04 187,768.80 BMF3XC0 5.63 2.77 15.15
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 187,576.47 0.04 187,576.47 BQ0MLB5 6.15 5.88 12.94
T-MOBILE USA INC Communications Fixed Income 187,336.05 0.04 187,336.05 BN0ZLS0 5.54 3.00 11.15
CONOCOPHILLIPS Energy Fixed Income 187,239.88 0.04 187,239.88 B4T4431 5.17 6.50 8.79
AMAZON.COM INC Consumer Cyclical Fixed Income 187,047.54 0.04 187,047.54 nan 4.16 1.50 3.91
COMCAST CORPORATION Communications Fixed Income 186,903.29 0.04 186,903.29 BMGQ5B1 4.32 3.40 3.65
UNITEDHEALTH GROUP INC Insurance Fixed Income 186,855.20 0.04 186,855.20 BSSHCR9 4.82 5.00 6.54
ORACLE CORPORATION Technology Fixed Income 186,759.04 0.04 186,759.04 nan 7.12 6.00 12.44
GENERAL ELECTRIC CO MTN Capital Goods Fixed Income 186,566.70 0.04 186,566.70 BG48W16 4.36 6.75 4.90
WALMART INC Consumer Cyclical Fixed Income 186,566.70 0.04 186,566.70 nan 4.16 4.10 6.02
CHUBB INA HOLDINGS LLC Insurance Fixed Income 186,422.45 0.04 186,422.45 nan 4.92 4.90 7.35
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 186,278.19 0.04 186,278.19 2350640 4.69 6.13 5.55
AT&T INC Communications Fixed Income 186,230.11 0.04 186,230.11 BDCL4L0 5.18 5.25 8.16
T-MOBILE USA INC Communications Fixed Income 186,037.77 0.04 186,037.77 BMW1GL7 5.51 4.38 10.09
TEXAS INSTRUMENTS INC Technology Fixed Income 185,941.60 0.04 185,941.60 nan 4.15 1.75 3.81
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 185,893.52 0.04 185,893.52 BK0WS12 5.69 3.63 14.06
ENERGY TRANSFER LP Energy Fixed Income 185,797.35 0.04 185,797.35 BJCYMJ5 6.25 6.25 12.11
BANK OF NOVA SCOTIA MTN Banking Fixed Income 185,701.18 0.04 185,701.18 BPP33C1 4.35 4.85 3.40
JPMORGAN CHASE & CO Banking Fixed Income 185,508.85 0.04 185,508.85 BZ7NF45 5.63 4.26 12.83
WILLIAMS COMPANIES INC Energy Fixed Income 185,508.85 0.04 185,508.85 nan 4.60 2.60 4.51
NVIDIA CORPORATION Technology Fixed Income 185,412.68 0.04 185,412.68 BKP3KQ9 5.04 3.50 10.58
TAKEOFF MERGER SUB INC 144A Finance Companies Fixed Income 185,316.51 0.04 185,316.51 nan 4.89 4.85 4.33
COMCAST CORPORATION Communications Fixed Income 185,172.26 0.04 185,172.26 BPYD9Q8 4.92 4.20 6.85
BARCLAYS PLC Banking Fixed Income 185,076.09 0.04 185,076.09 nan 4.81 2.67 4.48
HCA INC Consumer Non-Cyclical Fixed Income 184,835.67 0.04 184,835.67 nan 4.75 3.63 5.21
SALESFORCE INC Technology Fixed Income 184,787.58 0.04 184,787.58 nan 6.54 6.70 13.99
CONOCOPHILLIPS CO Energy Fixed Income 184,595.25 0.04 184,595.25 BMTYC44 5.74 5.30 13.56
COOPERATIEVE RABOBANK UA MTN Banking Fixed Income 184,450.99 0.04 184,450.99 B44YJW0 5.32 5.25 10.11
TOTALENERGIES CAPITAL USA LLC Energy Fixed Income 184,402.91 0.04 184,402.91 nan 4.59 4.57 5.68
ONEOK INC Energy Fixed Income 184,210.57 0.04 184,210.57 nan 5.08 6.05 5.91
US BANCORP MTN Banking Fixed Income 184,114.40 0.04 184,114.40 nan 4.57 5.08 3.58
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 183,970.15 0.04 183,970.15 BQXQQS6 5.60 5.70 13.80
PACIFICORP Electric Fixed Income 183,681.65 0.04 183,681.65 nan 6.10 5.80 13.41
MARATHON PETROLEUM CORP Energy Fixed Income 183,633.56 0.04 183,633.56 B6W1ZC9 5.70 6.50 9.61
T-MOBILE USA INC Communications Fixed Income 183,633.56 0.04 183,633.56 BN72M69 5.97 5.65 13.23
BANCO SANTANDER SA Banking Fixed Income 183,537.39 0.04 183,537.39 nan 4.60 5.57 3.32
CANADIAN IMPERIAL BANK (FXD-FRN) Banking Fixed Income 183,489.31 0.04 183,489.31 nan 4.55 4.58 3.92
HCA INC Consumer Non-Cyclical Fixed Income 183,345.06 0.04 183,345.06 BPLJR21 6.05 4.63 13.68
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 183,345.06 0.04 183,345.06 BMGYMN6 3.89 1.30 4.17
WILLIAMS COMPANIES INC Energy Fixed Income 183,296.97 0.04 183,296.97 nan 5.20 5.15 7.58
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 183,152.72 0.04 183,152.72 nan 5.53 6.10 5.18
COMCAST CORPORATION Communications Fixed Income 182,960.38 0.04 182,960.38 BQPF818 6.15 5.35 13.15
UNITEDHEALTH GROUP INC Insurance Fixed Income 182,960.38 0.04 182,960.38 BPDY8C1 5.62 5.50 11.21
SHELL FINANCE US INC 144A Energy Fixed Income 182,768.05 0.04 182,768.05 nan 5.12 6.38 8.71
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 182,719.96 0.04 182,719.96 BDCMR69 5.43 4.95 10.55
COMCAST CORPORATION Communications Fixed Income 182,719.96 0.04 182,719.96 nan 4.42 1.50 4.55
IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 182,575.71 0.04 182,575.71 nan 4.94 4.90 6.35
HOME DEPOT INC Consumer Cyclical Fixed Income 182,527.63 0.04 182,527.63 BMQ5MC8 5.16 3.30 10.69
COCA-COLA CO Consumer Non-Cyclical Fixed Income 182,431.46 0.04 182,431.46 nan 4.12 2.25 5.23
COMCAST CORPORATION Communications Fixed Income 182,383.37 0.04 182,383.37 BFW31L9 6.09 4.00 13.27
ORACLE CORPORATION Technology Fixed Income 182,335.29 0.04 182,335.29 B2QR213 6.13 6.50 8.31
TIME WARNER CABLE LLC Communications Fixed Income 182,046.78 0.04 182,046.78 B441BS1 6.76 5.50 9.80
BARCLAYS PLC Banking Fixed Income 181,998.70 0.04 181,998.70 nan 4.69 4.94 3.08
ALPHABET INC Technology Fixed Income 181,950.62 0.04 181,950.62 BNKM909 4.02 4.00 3.67
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 181,950.62 0.04 181,950.62 BMYC5X3 5.61 3.13 14.66
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 181,854.45 0.04 181,854.45 nan 4.68 2.45 5.26
ENERGY TRANSFER LP Energy Fixed Income 181,806.36 0.04 181,806.36 nan 4.89 5.75 5.58
T-MOBILE USA INC Communications Fixed Income 181,806.36 0.04 181,806.36 nan 4.49 2.88 4.41
ARTHUR J GALLAGHER & CO Insurance Fixed Income 181,662.11 0.04 181,662.11 BT225N4 5.88 5.55 13.83
ONEOK INC Energy Fixed Income 181,373.61 0.04 181,373.61 BRBVNB2 6.27 5.70 13.09
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 181,325.52 0.04 181,325.52 BMWC3G4 5.66 3.70 14.74
WELLS FARGO & COMPANY MTN Banking Fixed Income 180,988.93 0.04 180,988.93 BDSFRX9 5.97 4.75 12.12
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 180,796.60 0.04 180,796.60 nan 4.61 5.00 6.42
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 180,604.26 0.04 180,604.26 BMCJ8R1 4.91 2.80 4.53
COMCAST CORPORATION Communications Fixed Income 180,411.92 0.04 180,411.92 nan 4.34 2.65 3.53
CHUBB INA HOLDINGS LLC Insurance Fixed Income 180,267.67 0.04 180,267.67 nan 4.72 5.00 6.46
ENERGY TRANSFER LP Energy Fixed Income 179,979.16 0.04 179,979.16 BQHNMW9 6.28 5.95 12.92
BARCLAYS PLC Banking Fixed Income 179,931.08 0.04 179,931.08 BYT35M4 5.70 5.25 11.72
AMAZON.COM INC Consumer Cyclical Fixed Income 179,786.83 0.04 179,786.83 BM8HHH2 5.57 2.50 15.47
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 179,690.66 0.04 179,690.66 BDCT8F6 6.19 6.35 11.17
JPMORGAN CHASE & CO Banking Fixed Income 179,594.49 0.04 179,594.49 BS55D06 4.44 4.60 3.14
JPMORGAN CHASE & CO Banking Fixed Income 179,546.41 0.04 179,546.41 B7FRRL4 5.42 5.40 10.34
EOG RESOURCES INC Energy Fixed Income 179,257.90 0.04 179,257.90 nan 4.40 4.40 4.19
BANCO SANTANDER SA Banking Fixed Income 179,209.82 0.04 179,209.82 nan 4.92 2.75 4.21
FLORIDA POWER & LIGHT CO Electric Fixed Income 179,161.73 0.04 179,161.73 BQKMPC4 5.63 5.60 13.80
ALPHABET INC Technology Fixed Income 179,065.56 0.04 179,065.56 BMD7LF3 5.41 2.05 16.50
HCA INC Consumer Non-Cyclical Fixed Income 179,065.56 0.04 179,065.56 BF2XWB6 6.02 5.50 11.87
PACIFIC GAS & ELECTRIC UTILITIES Electric Fixed Income 178,969.40 0.04 178,969.40 BMVV6C9 5.84 4.50 9.91
APPLE INC Technology Fixed Income 178,873.23 0.04 178,873.23 nan 4.02 3.35 5.58
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 178,777.06 0.04 178,777.06 BQ9D7Y4 4.65 5.00 6.56
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 178,296.22 0.04 178,296.22 nan 4.71 5.25 6.07
ORACLE CORPORATION Technology Fixed Income 178,296.22 0.04 178,296.22 BD390R1 6.88 4.00 12.24
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 178,248.13 0.04 178,248.13 nan 5.29 5.40 6.66
NATWEST GROUP PLC Banking Fixed Income 178,103.88 0.04 178,103.88 nan 4.57 4.96 3.01
HALLIBURTON COMPANY Energy Fixed Income 177,959.63 0.04 177,959.63 BYNR4N6 5.83 5.00 11.69
LOWES COMPANIES INC Consumer Cyclical Fixed Income 177,959.63 0.04 177,959.63 BMGCHJ1 5.85 4.25 14.16
ALPHABET INC Technology Fixed Income 177,911.54 0.04 177,911.54 nan 5.55 5.25 14.19
VERIZON COMMUNICATIONS INC Communications Fixed Income 177,863.46 0.04 177,863.46 nan 5.85 5.75 11.36
ORACLE CORPORATION Technology Fixed Income 177,815.37 0.04 177,815.37 BL6JQV0 5.78 4.70 6.79
LOWES COMPANIES INC Consumer Cyclical Fixed Income 177,526.87 0.04 177,526.87 BNNPR34 5.86 5.63 13.58
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 177,478.79 0.04 177,478.79 BMC5783 4.31 2.10 3.88
ORACLE CORPORATION Technology Fixed Income 177,382.62 0.04 177,382.62 BWTM334 6.88 4.13 11.48
TEXAS INSTRUMENTS INC Technology Fixed Income 177,334.53 0.04 177,334.53 BMCJZD6 5.71 5.05 15.32
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 177,190.28 0.04 177,190.28 nan 4.38 2.95 5.32
ONEOK INC Energy Fixed Income 177,190.28 0.04 177,190.28 nan 5.21 5.05 6.70
APPLE INC Technology Fixed Income 177,094.11 0.03 177,094.11 BNYNTH5 5.44 3.95 14.75
GOLDMAN SACHS GROUP INC/THE MTN Banking Fixed Income 177,094.11 0.03 177,094.11 BNXBHR6 5.73 4.80 11.47
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 176,997.94 0.03 176,997.94 B8Y96M2 5.97 5.00 10.43
KLA CORP Technology Fixed Income 176,853.69 0.03 176,853.69 BQ5J5X1 5.57 4.95 13.86
T-MOBILE USA INC Communications Fixed Income 176,853.69 0.03 176,853.69 nan 5.99 5.25 13.80
CITIGROUP INC Banking Fixed Income 176,805.61 0.03 176,805.61 7392227 4.81 6.63 4.99
HOME DEPOT INC Consumer Cyclical Fixed Income 176,469.02 0.03 176,469.02 BHQFF46 5.61 4.50 13.09
MICROSOFT CORPORATION Technology Fixed Income 176,469.02 0.03 176,469.02 BYP2P70 4.51 4.10 8.53
WELLTOWER OP LLC Reits Fixed Income 176,469.02 0.03 176,469.02 nan 4.29 4.50 3.75
TOTALENERGIES CAPITAL SA Energy Fixed Income 176,372.85 0.03 176,372.85 BQZCLV0 4.66 5.15 6.50
COCA-COLA CO Consumer Non-Cyclical Fixed Income 176,036.26 0.03 176,036.26 nan 4.03 1.65 3.89
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 175,940.09 0.03 175,940.09 nan 4.60 4.55 6.00
JEFFERIES GROUP LLC Brokerage/Asset Managers/Exchanges Fixed Income 175,843.92 0.03 175,843.92 BD1DDP4 4.81 4.15 3.41
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 175,795.84 0.03 175,795.84 BMBMD21 4.41 2.55 4.20
BROADCOM INC Technology Fixed Income 175,699.67 0.03 175,699.67 nan 4.63 4.60 5.67
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 175,411.16 0.03 175,411.16 nan 4.15 1.38 4.09
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 175,411.16 0.03 175,411.16 nan 4.33 1.75 4.24
COCA-COLA CO Consumer Non-Cyclical Fixed Income 175,315.00 0.03 175,315.00 BRXJJY9 5.45 5.20 14.38
ORACLE CORPORATION Technology Fixed Income 175,315.00 0.03 175,315.00 nan 4.94 6.15 3.10
PHILLIPS 66 CO Energy Fixed Income 175,266.91 0.03 175,266.91 nan 4.57 5.25 4.42
DEVON ENERGY CORPORATION Energy Fixed Income 175,122.66 0.03 175,122.66 nan 5.04 5.20 6.73
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 174,786.07 0.03 174,786.07 nan 4.63 3.10 3.45
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 174,689.90 0.03 174,689.90 BD9BPH6 6.10 4.00 12.83
S&P GLOBAL INC Technology Fixed Income 174,497.56 0.03 174,497.56 nan 4.41 2.90 5.28
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 174,449.48 0.03 174,449.48 BQMRXZ6 4.41 4.70 5.79
MASTERCARD INC Technology Fixed Income 174,449.48 0.03 174,449.48 nan 4.64 4.55 7.06
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 174,401.40 0.03 174,401.40 nan 4.72 2.49 5.02
WALMART INC Consumer Cyclical Fixed Income 174,257.14 0.03 174,257.14 BP6LN24 5.32 4.50 14.75
WALMART INC Consumer Cyclical Fixed Income 174,209.06 0.03 174,209.06 nan 4.05 4.15 5.55
GLOBAL PAYMENTS INC Technology Fixed Income 174,160.98 0.03 174,160.98 nan 5.15 4.88 3.97
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 174,112.89 0.03 174,112.89 BSLSJY5 5.54 5.05 14.35
RTX CORP Capital Goods Fixed Income 174,112.89 0.03 174,112.89 BQHN1W2 4.76 6.10 6.28
TAKEDA US FINANCING INC Consumer Non-Cyclical Fixed Income 174,016.72 0.03 174,016.72 nan 5.01 5.20 7.17
FISERV INC Technology Fixed Income 173,968.64 0.03 173,968.64 nan 5.22 5.63 5.93
UNITEDHEALTH GROUP INC Insurance Fixed Income 173,968.64 0.03 173,968.64 nan 4.48 4.20 5.21
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 173,920.55 0.03 173,920.55 nan 4.01 1.20 4.30
DELL INTERNATIONAL LLC Technology Fixed Income 173,872.47 0.03 173,872.47 nan 4.46 5.00 3.55
LOWES COMPANIES INC Consumer Cyclical Fixed Income 173,872.47 0.03 173,872.47 nan 4.45 2.63 4.56
WALT DISNEY CO Communications Fixed Income 173,824.39 0.03 173,824.39 BKPTBZ3 5.00 6.65 8.09
LLOYDS BANKING GROUP PLC Banking Fixed Income 173,680.13 0.03 173,680.13 nan 5.18 4.94 7.34
HCA INC Consumer Non-Cyclical Fixed Income 173,583.96 0.03 173,583.96 nan 6.10 6.20 13.35
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 173,487.80 0.03 173,487.80 BRBD9B0 5.63 5.20 14.23
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 173,487.80 0.03 173,487.80 nan 4.55 3.20 5.26
JBS NV/USA FOODS/FOOD CO Consumer Non-Cyclical Fixed Income 173,343.54 0.03 173,343.54 990XAX4 6.25 6.50 12.50
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 173,247.38 0.03 173,247.38 nan 4.42 2.60 3.54
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 173,199.29 0.03 173,199.29 BNG4SJ1 5.66 3.44 11.36
HCA INC Consumer Non-Cyclical Fixed Income 173,103.12 0.03 173,103.12 BND8HZ5 6.00 3.50 14.33
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 173,055.04 0.03 173,055.04 nan 5.21 3.55 4.00
UBS GROUP AG Banking Fixed Income 172,862.70 0.03 172,862.70 2K8Y9P0 5.64 4.88 11.69
HCA INC Consumer Non-Cyclical Fixed Income 172,622.28 0.03 172,622.28 nan 5.07 5.45 6.68
CENTENE CORPORATION Insurance Fixed Income 172,526.11 0.03 172,526.11 BKP8G66 5.56 2.50 4.45
UNITEDHEALTH GROUP INC Insurance Fixed Income 172,333.78 0.03 172,333.78 BJMSRY7 5.28 3.50 10.12
CIGNA GROUP Consumer Non-Cyclical Fixed Income 172,093.35 0.03 172,093.35 BLGBML8 4.33 2.40 3.66
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 172,093.35 0.03 172,093.35 nan 4.44 5.00 5.07
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 171,901.02 0.03 171,901.02 nan 4.36 1.95 3.81
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 171,852.93 0.03 171,852.93 BQS6QG9 5.63 5.38 13.79
AMAZON.COM INC Consumer Cyclical Fixed Income 171,564.43 0.03 171,564.43 BTC0L18 4.50 4.80 6.91
FOX CORP Communications Fixed Income 171,516.34 0.03 171,516.34 BM63802 6.00 5.58 12.36
CIGNA GROUP Consumer Non-Cyclical Fixed Income 171,468.26 0.03 171,468.26 nan 4.44 2.38 4.54
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 171,324.01 0.03 171,324.01 BSHRLG2 5.65 5.10 15.66
BANK OF AMERICA CORP MTN Banking Fixed Income 171,275.92 0.03 171,275.92 nan 4.56 2.88 3.24
MICROSOFT CORPORATION Technology Fixed Income 171,275.92 0.03 171,275.92 BDCBCM7 4.50 3.45 8.42
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 171,179.75 0.03 171,179.75 nan 4.73 3.20 3.67
MPLX LP Energy Fixed Income 171,035.50 0.03 171,035.50 nan 4.58 4.80 4.24
NATWEST GROUP PLC Banking Fixed Income 170,939.33 0.03 170,939.33 nan 4.63 5.12 3.60
PEPSICO INC Consumer Non-Cyclical Fixed Income 170,939.33 0.03 170,939.33 nan 5.18 2.63 11.76
COMCAST CORPORATION Communications Fixed Income 170,843.17 0.03 170,843.17 BGV15K8 6.07 4.70 12.86
WALT DISNEY CO Communications Fixed Income 170,843.17 0.03 170,843.17 BKKK9P7 5.58 2.75 15.05
BANK OF MONTREAL MTN Banking Fixed Income 170,650.83 0.03 170,650.83 nan 4.60 4.44 4.18
EXELON CORPORATION Electric Fixed Income 170,458.49 0.03 170,458.49 BM5M651 4.43 4.05 3.64
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 170,458.49 0.03 170,458.49 nan 4.49 4.85 4.76
BOEING CO Capital Goods Fixed Income 170,362.32 0.03 170,362.32 nan 4.65 6.39 4.20
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 170,314.24 0.03 170,314.24 BM9GT05 5.66 2.94 15.13
OTIS WORLDWIDE CORP Capital Goods Fixed Income 170,169.99 0.03 170,169.99 BM98MG8 4.38 2.56 3.57
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 170,169.99 0.03 170,169.99 BRT6LQ0 5.07 5.40 6.55
SUNOCO LOGISTICS PARTNERS OPERATIO Energy Fixed Income 169,929.57 0.03 169,929.57 BD35XM5 6.17 5.40 12.11
REGAL REXNORD CORP Capital Goods Fixed Income 169,881.48 0.03 169,881.48 BNZHS13 4.78 6.30 3.36
ORACLE CORPORATION Technology Fixed Income 169,737.23 0.03 169,737.23 BLFBZX2 7.05 5.38 12.80
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 169,592.98 0.03 169,592.98 nan 5.55 6.05 4.56
HUNTINGTON BANCSHARES INC Banking Fixed Income 169,544.89 0.03 169,544.89 nan 4.64 5.27 3.33
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 169,496.81 0.03 169,496.81 nan 4.89 2.56 4.92
SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 169,448.72 0.03 169,448.72 BM5M5P4 4.65 5.95 3.50
AMGEN INC Consumer Non-Cyclical Fixed Income 169,304.47 0.03 169,304.47 BM9D0T2 4.31 2.30 4.50
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 169,256.39 0.03 169,256.39 nan 5.07 5.70 6.36
MPLX LP Energy Fixed Income 169,256.39 0.03 169,256.39 nan 4.90 5.00 5.73
VERIZON COMMUNICATIONS INC Communications Fixed Income 169,208.30 0.03 169,208.30 BDFLJN4 5.41 4.81 9.36
HUNTINGTON BANCSHARES INC(FXD-FRN) Banking Fixed Income 169,112.13 0.03 169,112.13 nan 4.72 4.62 4.20
BANK OF AMERICA CORP MTN Banking Fixed Income 169,015.97 0.03 169,015.97 BK1LR11 5.30 4.08 9.54
UBS AG (STAMFORD BRANCH) MTN Banking Fixed Income 168,967.88 0.03 168,967.88 nan 4.62 4.63 4.25
CHEVRON USA INC Energy Fixed Income 168,919.80 0.03 168,919.80 nan 4.24 4.50 5.59
DTE ENERGY COMPANY Electric Fixed Income 168,871.71 0.03 168,871.71 nan 4.45 5.20 3.54
T-MOBILE USA INC Communications Fixed Income 168,679.38 0.03 168,679.38 nan 5.06 5.30 7.01
PEPSICO INC Consumer Non-Cyclical Fixed Income 168,631.29 0.03 168,631.29 nan 4.09 1.63 3.81
COMCAST CORPORATION Communications Fixed Income 168,438.96 0.03 168,438.96 BQPF829 6.21 5.50 14.44
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 168,438.96 0.03 168,438.96 BMTYVB4 5.27 5.50 8.20
LOWES COMPANIES INC Consumer Cyclical Fixed Income 168,390.87 0.03 168,390.87 nan 4.58 3.75 5.25
BROADCOM INC Technology Fixed Income 168,198.53 0.03 168,198.53 nan 4.28 4.60 3.78
ONCOR ELECTRIC DELIVERY COMPANY LL 144A Electric Fixed Income 168,198.53 0.03 168,198.53 nan 4.46 4.50 4.35
COMCAST CORPORATION Communications Fixed Income 168,102.37 0.03 168,102.37 BFWQ3V2 6.07 3.97 12.76
VERIZON COMMUNICATIONS INC Communications Fixed Income 168,054.28 0.03 168,054.28 BYRLRK2 5.15 4.27 7.71
ABBVIE INC Consumer Non-Cyclical Fixed Income 167,910.03 0.03 167,910.03 BQC4XY6 5.71 5.50 15.46
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 167,910.03 0.03 167,910.03 nan 4.79 5.25 6.33
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 167,669.61 0.03 167,669.61 BKPKLT0 5.72 3.40 10.83
DIAMONDBACK ENERGY INC Energy Fixed Income 167,669.61 0.03 167,669.61 nan 4.97 5.40 6.30
ABBVIE INC Consumer Non-Cyclical Fixed Income 167,573.44 0.03 167,573.44 nan 5.64 5.55 14.32
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 167,525.36 0.03 167,525.36 BK5CT14 4.29 3.50 2.84
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 167,429.19 0.03 167,429.19 nan 5.10 5.62 6.88
NVIDIA CORPORATION Technology Fixed Income 167,429.19 0.03 167,429.19 BNK9MH8 4.09 2.00 4.78
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 167,284.93 0.03 167,284.93 nan 4.75 4.65 6.00
KLA CORP Technology Fixed Income 167,284.93 0.03 167,284.93 nan 4.37 4.65 5.32
PEPSICO INC Consumer Non-Cyclical Fixed Income 167,284.93 0.03 167,284.93 nan 4.68 5.00 7.02
ELEVANCE HEALTH INC Insurance Fixed Income 167,188.77 0.03 167,188.77 nan 5.03 5.20 6.97
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 167,140.68 0.03 167,140.68 BM6QSF6 4.54 2.88 3.71
DOW CHEMICAL CO Basic Industry Fixed Income 167,092.60 0.03 167,092.60 B7QD380 6.38 4.38 10.72
LOWES COMPANIES INC Consumer Cyclical Fixed Income 166,996.43 0.03 166,996.43 nan 4.71 5.00 5.86
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 166,900.26 0.03 166,900.26 nan 4.45 5.86 3.47
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 166,852.18 0.03 166,852.18 nan 4.35 4.80 3.43
LOWES COMPANIES INC Consumer Cyclical Fixed Income 166,804.09 0.03 166,804.09 BN4NTQ4 4.38 1.70 4.24
HCA INC Consumer Non-Cyclical Fixed Income 166,707.92 0.03 166,707.92 BP6JPF5 6.10 6.00 13.34
VALERO ENERGY CORPORATION Energy Fixed Income 166,611.76 0.03 166,611.76 B1YLTG4 5.33 6.63 7.86
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 166,467.50 0.03 166,467.50 BP9SD44 5.56 3.10 15.16
MPLX LP Energy Fixed Income 166,467.50 0.03 166,467.50 nan 5.28 5.40 7.28
QUALCOMM INCORPORATED Technology Fixed Income 166,467.50 0.03 166,467.50 BXS2XQ5 5.59 4.80 11.77
BROADCOM INC Technology Fixed Income 166,371.33 0.03 166,371.33 nan 4.28 5.05 3.59
VERIZON COMMUNICATIONS INC Communications Fixed Income 166,323.25 0.03 166,323.25 BLNNZ29 4.31 3.15 3.64
HOME DEPOT INC Consumer Cyclical Fixed Income 166,130.91 0.03 166,130.91 BK8TZG9 5.62 3.35 14.64
AT&T INC Communications Fixed Income 166,082.83 0.03 166,082.83 BJN3990 5.47 4.85 9.30
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 165,890.49 0.03 165,890.49 nan 4.05 4.75 3.44
ING GROEP NV (FXD-FRN) Banking Fixed Income 165,794.32 0.03 165,794.32 nan 4.76 4.80 4.33
AT&T INC Communications Fixed Income 165,698.16 0.03 165,698.16 nan 5.17 5.13 7.69
LOWES COMPANIES INC Consumer Cyclical Fixed Income 165,650.07 0.03 165,650.07 BMH1W14 4.26 4.50 3.62
HSBC HOLDINGS PLC Banking Fixed Income 165,553.90 0.03 165,553.90 nan 5.63 6.50 8.08
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 165,505.82 0.03 165,505.82 BR82SK2 4.00 4.90 4.44
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 165,361.57 0.03 165,361.57 BF7MH35 5.57 4.44 13.34
META PLATFORMS INC Communications Fixed Income 165,361.57 0.03 165,361.57 BT3NFH0 4.28 4.55 4.66
ROPER TECHNOLOGIES INC Technology Fixed Income 165,361.57 0.03 165,361.57 BL9YSK5 4.77 1.75 4.51
CONOCOPHILLIPS CO Energy Fixed Income 165,313.48 0.03 165,313.48 nan 5.74 5.50 13.92
DELL INTERNATIONAL LLC Technology Fixed Income 165,121.15 0.03 165,121.15 nan 4.78 4.75 5.51
TOTALENERGIES CAPITAL USA LLC Energy Fixed Income 165,024.98 0.03 165,024.98 nan 4.38 4.25 4.20
CRH AMERICA FINANCE INC Capital Goods Fixed Income 164,928.81 0.03 164,928.81 nan 5.02 5.50 6.81
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 164,928.81 0.03 164,928.81 nan 4.63 5.00 4.96
AMPHENOL CORPORATION Capital Goods Fixed Income 164,832.64 0.03 164,832.64 nan 5.62 5.30 14.16
T-MOBILE USA INC Communications Fixed Income 164,736.47 0.03 164,736.47 BQBCJR6 5.96 5.75 13.38
COCA-COLA CO Consumer Non-Cyclical Fixed Income 164,592.22 0.03 164,592.22 BNRQYR6 5.59 5.40 15.43
KENVUE INC Consumer Non-Cyclical Fixed Income 164,399.88 0.03 164,399.88 nan 4.60 4.90 5.82
HALLIBURTON COMPANY Energy Fixed Income 164,255.63 0.03 164,255.63 BJJRL90 4.39 2.92 3.59
ELEVANCE HEALTH INC Insurance Fixed Income 164,207.55 0.03 164,207.55 nan 5.92 5.70 13.71
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 164,111.38 0.03 164,111.38 BG84470 5.64 4.25 13.38
T-MOBILE USA INC Communications Fixed Income 164,015.21 0.03 164,015.21 nan 4.56 2.70 5.47
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 163,870.96 0.03 163,870.96 BMDX2F8 6.92 3.85 14.50
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 163,774.79 0.03 163,774.79 nan 5.33 4.00 4.03
COCA-COLA CO Consumer Non-Cyclical Fixed Income 163,582.45 0.03 163,582.45 nan 4.09 1.38 4.65
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 163,390.11 0.03 163,390.11 BJZ7ZQ9 5.36 4.40 11.69
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 163,342.03 0.03 163,342.03 nan 5.61 3.85 10.83
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 163,342.03 0.03 163,342.03 nan 4.09 3.40 3.04
PFIZER INC Consumer Non-Cyclical Fixed Income 163,342.03 0.03 163,342.03 BM9ZYF2 5.19 2.55 11.06
SWP: OIS 3.280700 09-SEP-2049 SOF Cash and/or Derivatives Swaps 163,337.24 0.03 -1,036,662.76 nan -0.12 3.28 15.64
CIGNA GROUP Consumer Non-Cyclical Fixed Income 163,197.78 0.03 163,197.78 nan 5.84 5.60 13.65
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 163,197.78 0.03 163,197.78 B8D1HN7 5.54 4.45 11.25
M&T BANK CORPORATION Banking Fixed Income 163,149.69 0.03 163,149.69 nan 4.75 5.18 3.71
ING GROEP NV Banking Fixed Income 163,005.44 0.03 163,005.44 nan 4.85 4.25 5.17
KINDER MORGAN INC Energy Fixed Income 162,909.27 0.03 162,909.27 nan 4.78 5.20 5.81
GLOBAL PAYMENTS INC Technology Fixed Income 162,861.19 0.03 162,861.19 nan 5.46 5.20 5.38
SABINE PASS LIQUEFACTION LLC Energy Fixed Income 162,861.19 0.03 162,861.19 nan 4.37 4.50 3.62
FIFTH THIRD BANCORP Banking Fixed Income 162,716.94 0.03 162,716.94 BMGBZR2 4.81 5.63 4.12
RIO TINTO ALCAN INC Basic Industry Fixed Income 162,620.77 0.03 162,620.77 2213970 4.78 6.13 6.04
SHELL FINANCE US INC Energy Fixed Income 162,620.77 0.03 162,620.77 nan 4.69 4.13 7.31
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 162,524.60 0.03 162,524.60 BF38WR6 5.58 4.09 14.60
PFIZER INC Consumer Non-Cyclical Fixed Income 162,524.60 0.03 162,524.60 nan 4.86 4.88 7.44
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 162,332.26 0.03 162,332.26 BT8P849 5.71 5.55 14.00
JBS USA HOLDING LUX SARL Consumer Non-Cyclical Fixed Income 162,332.26 0.03 162,332.26 nan 6.37 7.25 12.27
CHUBB INA HOLDINGS LLC Insurance Fixed Income 162,236.09 0.03 162,236.09 B1XD1V0 5.03 6.00 7.97
SHELL FINANCE US INC Energy Fixed Income 162,236.09 0.03 162,236.09 nan 4.20 4.13 4.04
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 162,188.01 0.03 162,188.01 nan 4.86 3.10 5.10
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 162,043.76 0.03 162,043.76 nan 5.07 5.00 7.84
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 162,043.76 0.03 162,043.76 BLGM4V5 5.66 3.00 14.84
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 161,562.91 0.03 161,562.91 nan 4.17 3.50 3.74
BANK OF AMERICA CORP Banking Fixed Income 161,514.83 0.03 161,514.83 BNZKS56 5.63 2.97 15.24
MERCK & CO INC Consumer Non-Cyclical Fixed Income 161,514.83 0.03 161,514.83 BLHM7Q0 5.58 2.75 15.59
ORACLE CORPORATION Technology Fixed Income 161,370.58 0.03 161,370.58 BP4W534 5.75 4.30 6.66
SOLVENTUM CORP Consumer Non-Cyclical Fixed Income 161,322.49 0.03 161,322.49 nan 5.08 5.60 6.36
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 161,274.41 0.03 161,274.41 nan 5.18 5.45 7.28
VERIZON COMMUNICATIONS INC Communications Fixed Income 161,226.33 0.03 161,226.33 BY7RR99 5.74 4.13 12.66
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 160,985.90 0.03 160,985.90 nan 4.37 2.00 3.77
INTEL CORPORATION Technology Fixed Income 160,985.90 0.03 160,985.90 nan 6.01 3.25 14.03
ENBRIDGE INC Energy Fixed Income 160,889.74 0.03 160,889.74 BN12KN8 5.92 6.70 12.87
BROADCOM INC Technology Fixed Income 160,793.57 0.03 160,793.57 nan 4.92 4.95 7.57
KINDER MORGAN INC Energy Fixed Income 160,793.57 0.03 160,793.57 nan 4.77 4.80 5.68
VISA INC Technology Fixed Income 160,793.57 0.03 160,793.57 nan 3.99 1.10 4.60
COCA-COLA CO Consumer Non-Cyclical Fixed Income 160,697.40 0.03 160,697.40 nan 5.47 5.30 14.02
EQUINIX EUROPE 2 FINANCING CORPORA Technology Fixed Income 160,649.31 0.03 160,649.31 nan 4.90 4.70 5.80
ALPHABET INC Technology Fixed Income 160,553.15 0.03 160,553.15 BMD7L20 3.99 1.10 4.14
PEPSICO INC Consumer Non-Cyclical Fixed Income 160,360.81 0.03 160,360.81 nan 4.69 5.00 7.30
WALMART INC Consumer Cyclical Fixed Income 160,264.64 0.03 160,264.64 B0J45R4 4.50 5.25 7.37
ONEOK INC Energy Fixed Income 160,216.56 0.03 160,216.56 nan 5.28 5.40 7.36
UNITEDHEALTH GROUP INC Insurance Fixed Income 160,216.56 0.03 160,216.56 BLBRZS9 5.90 6.05 14.74
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 160,072.30 0.03 160,072.30 nan 4.97 5.20 6.96
INTEL CORPORATION Technology Fixed Income 159,976.14 0.03 159,976.14 BFMFJQ6 6.03 3.73 13.07
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 159,928.05 0.03 159,928.05 nan 4.72 5.05 5.72
BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 159,735.72 0.03 159,735.72 nan 4.51 1.96 4.49
APPLE INC Technology Fixed Income 159,591.46 0.03 159,591.46 BF8QDG1 5.42 3.75 13.39
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 159,495.29 0.03 159,495.29 BF39VN8 5.70 4.80 12.99
CITIGROUP INC Banking Fixed Income 159,447.21 0.03 159,447.21 nan 4.76 2.52 5.00
DELL INTERNATIONAL LLC Technology Fixed Income 159,351.04 0.03 159,351.04 nan 5.18 5.10 7.58
T-MOBILE USA INC Communications Fixed Income 159,351.04 0.03 159,351.04 nan 5.99 5.85 13.68
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 159,254.87 0.03 159,254.87 BQKW052 5.86 6.13 6.17
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 159,254.87 0.03 159,254.87 nan 4.16 2.20 4.04
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 159,014.45 0.03 159,014.45 BR3V7M9 4.85 5.77 5.50
ABBVIE INC Consumer Non-Cyclical Fixed Income 158,918.28 0.03 158,918.28 BQC4XT1 4.28 4.95 4.32
BANCO SANTANDER SA Banking Fixed Income 158,918.28 0.03 158,918.28 nan 4.84 6.94 5.81
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 158,870.20 0.03 158,870.20 nan 5.00 5.56 6.49
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 158,822.12 0.03 158,822.12 nan 6.13 6.20 13.45
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 158,822.12 0.03 158,822.12 BKSYG05 6.18 4.88 12.90
ABBVIE INC Consumer Non-Cyclical Fixed Income 158,293.19 0.03 158,293.19 BYP8MR7 4.84 4.30 7.89
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 158,293.19 0.03 158,293.19 BMTY675 4.94 5.44 5.64
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 158,197.02 0.03 158,197.02 nan 4.31 4.95 6.56
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 158,052.77 0.03 158,052.77 2PB4R92 5.15 5.55 7.08
HALLIBURTON COMPANY Energy Fixed Income 158,052.77 0.03 158,052.77 BYNR6K7 5.03 4.85 7.41
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 157,956.60 0.03 157,956.60 nan 4.95 5.72 4.47
CONOCOPHILLIPS CO Energy Fixed Income 157,812.35 0.03 157,812.35 nan 4.80 5.00 6.95
ING GROEP NV Banking Fixed Income 157,716.18 0.03 157,716.18 nan 5.12 6.11 5.93
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 157,716.18 0.03 157,716.18 BF8QNN8 5.63 4.63 12.95
SWP: OIS 3.133500 27-JUN-2053 SOF Cash and/or Derivatives Swaps 157,631.35 0.03 -742,368.65 nan -0.32 3.13 17.30
HOME DEPOT INC Consumer Cyclical Fixed Income 157,620.01 0.03 157,620.01 BPLZ1P0 5.65 5.30 13.97
COMCAST CORPORATION Communications Fixed Income 157,475.76 0.03 157,475.76 nan 5.55 3.25 10.18
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 157,475.76 0.03 157,475.76 nan 4.73 5.63 6.01
REALTY INCOME CORPORATION Reits Fixed Income 157,475.76 0.03 157,475.76 nan 4.46 3.25 4.29
ORACLE CORPORATION Technology Fixed Income 157,379.59 0.03 157,379.59 B3LR141 6.43 6.13 8.75
INTEL CORPORATION Technology Fixed Income 157,187.25 0.03 157,187.25 BQHM3Q7 6.11 4.90 13.46
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 157,091.08 0.03 157,091.08 BSNZ687 4.29 4.90 5.00
MERCK & CO INC Consumer Non-Cyclical Fixed Income 157,091.08 0.03 157,091.08 B9D69N3 5.47 4.15 11.41
T-MOBILE USA INC Communications Fixed Income 156,898.75 0.03 156,898.75 nan 5.97 5.88 13.52
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 156,850.66 0.03 156,850.66 BJXT2P5 4.25 2.38 3.28
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 156,802.58 0.03 156,802.58 nan 4.60 4.53 3.93
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 156,417.91 0.03 156,417.91 nan 6.23 5.60 13.53
BARCLAYS PLC Banking Fixed Income 156,273.65 0.03 156,273.65 nan 5.47 5.21 7.54
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 156,273.65 0.03 156,273.65 nan 6.00 6.50 6.60
MERCK & CO INC Consumer Non-Cyclical Fixed Income 156,273.65 0.03 156,273.65 nan 4.41 4.50 5.90
GLOBAL PAYMENTS INC Technology Fixed Income 156,129.40 0.03 156,129.40 nan 5.28 2.90 4.96
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 156,081.32 0.03 156,081.32 nan 4.87 5.30 6.98
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 156,081.32 0.03 156,081.32 B8H94Y7 6.86 4.75 10.50
TOTALENERGIES CAPITAL SA Energy Fixed Income 156,033.23 0.03 156,033.23 nan 5.76 5.64 15.37
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 155,888.98 0.03 155,888.98 nan 4.71 6.63 3.77
WILLIAMS COMPANIES INC Energy Fixed Income 155,552.39 0.03 155,552.39 nan 4.90 5.65 5.68
HCA INC Consumer Non-Cyclical Fixed Income 155,456.22 0.03 155,456.22 nan 5.02 5.60 6.38
MICROSOFT CORPORATION Technology Fixed Income 155,408.14 0.03 155,408.14 BYP2PC5 5.30 4.25 12.98
CISCO SYSTEMS INC Technology Fixed Income 155,263.88 0.03 155,263.88 nan 4.76 5.10 7.04
BANK OF NOVA SCOTIA (FXD-FRN) MTN Banking Fixed Income 155,215.80 0.03 155,215.80 nan 4.86 4.81 5.68
HONDA MOTOR CO LTD Consumer Cyclical Fixed Income 155,167.72 0.03 155,167.72 nan 4.67 4.69 3.75
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 155,119.63 0.03 155,119.63 nan 5.68 5.75 5.67
FOX CORP Communications Fixed Income 154,879.21 0.03 154,879.21 nan 5.07 6.50 5.96
TIME WARNER CABLE LLC Communications Fixed Income 154,879.21 0.03 154,879.21 B62X8Y8 6.60 6.75 8.48
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 154,590.71 0.03 154,590.71 BMCJ8Q0 6.76 3.70 13.60
COMCAST CORPORATION Communications Fixed Income 154,590.71 0.03 154,590.71 BGGFKB1 4.33 4.25 4.05
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 154,542.62 0.03 154,542.62 BKVJXR3 5.75 3.70 14.40
HALEON US CAPITAL LLC Consumer Non-Cyclical Fixed Income 154,398.37 0.03 154,398.37 BP0SW57 4.58 3.63 5.24
BROADCOM INC Technology Fixed Income 154,350.28 0.03 154,350.28 nan 4.22 5.05 2.93
ENERGY TRANSFER LP Energy Fixed Income 154,350.28 0.03 154,350.28 nan 4.58 6.40 3.92
APPLE INC Technology Fixed Income 154,302.20 0.03 154,302.20 nan 4.04 4.50 5.18
META PLATFORMS INC Communications Fixed Income 154,302.20 0.03 154,302.20 BMGS9S2 6.10 4.65 15.09
CHENIERE ENERGY INC Energy Fixed Income 153,677.11 0.03 153,677.11 nan 5.05 5.65 6.41
APPLE INC Technology Fixed Income 153,580.94 0.03 153,580.94 BNNRD54 5.05 2.38 11.70
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 153,484.77 0.03 153,484.77 BM8JC28 5.96 6.00 10.73
ORACLE CORPORATION Technology Fixed Income 153,388.60 0.03 153,388.60 BLFBWD1 4.90 4.20 3.16
CARRIER GLOBAL CORP Capital Goods Fixed Income 153,196.26 0.03 153,196.26 nan 4.42 2.70 4.43
VICI PROPERTIES LP Consumer Cyclical Fixed Income 153,196.26 0.03 153,196.26 nan 4.76 4.95 3.43
BANCO SANTANDER SA Banking Fixed Income 153,148.18 0.03 153,148.18 nan 5.26 5.13 7.29
KINDER MORGAN INC Energy Fixed Income 153,003.93 0.03 153,003.93 BSTL4S5 5.03 5.30 6.75
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 152,955.84 0.03 152,955.84 nan 4.28 4.65 3.53
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 152,955.84 0.03 152,955.84 BQ5HTN3 5.17 5.55 6.70
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 152,907.76 0.03 152,907.76 nan 5.11 5.05 7.52
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 152,811.59 0.03 152,811.59 BRXH288 4.17 4.70 3.68
WOODSIDE FINANCE LTD Energy Fixed Income 152,619.25 0.03 152,619.25 nan 5.26 6.00 6.85
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 152,523.08 0.03 152,523.08 BMF33S6 5.66 5.25 12.93
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 152,475.00 0.03 152,475.00 BJ2NYF2 5.70 4.90 13.05
TRANSCANADA PIPELINES LTD Energy Fixed Income 152,330.75 0.03 152,330.75 BM9L3W0 4.44 4.10 3.64
UNITED PARCEL SERVICE INC Transportation Fixed Income 152,234.58 0.03 152,234.58 nan 5.71 5.95 13.66
AMERICAN TOWER CORPORATION Communications Fixed Income 152,138.41 0.03 152,138.41 BNGFY30 4.49 1.88 4.22
GENERAL MOTORS CO Consumer Cyclical Fixed Income 152,090.33 0.03 152,090.33 BSKDLG7 6.17 5.20 11.46
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 152,042.24 0.03 152,042.24 nan 5.24 5.95 6.32
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 152,042.24 0.03 152,042.24 nan 5.02 4.93 7.50
APPLE INC Technology Fixed Income 151,994.16 0.03 151,994.16 nan 4.41 4.75 7.19
ABBVIE INC Consumer Non-Cyclical Fixed Income 151,849.91 0.03 151,849.91 BMW97K7 5.52 4.85 11.48
EQUINIX EUROPE 2 FINANCING CORPORA Technology Fixed Income 151,849.91 0.03 151,849.91 nan 4.57 4.60 4.01
WALT DISNEY CO Communications Fixed Income 151,609.49 0.03 151,609.49 nan 4.81 4.63 7.79
HOME DEPOT INC Consumer Cyclical Fixed Income 151,609.49 0.03 151,609.49 BYZFY49 5.57 4.25 12.63
CIGNA GROUP Consumer Non-Cyclical Fixed Income 151,561.40 0.03 151,561.40 BMCDRL0 5.78 4.80 12.15
AON CORP Insurance Fixed Income 151,513.32 0.03 151,513.32 BMZM963 4.45 2.80 3.74
UNITEDHEALTH GROUP INC Insurance Fixed Income 151,465.23 0.03 151,465.23 BFWST10 5.75 4.25 13.04
VERIZON COMMUNICATIONS INC Communications Fixed Income 151,224.81 0.03 151,224.81 BMWBBJ0 4.43 1.75 4.45
CUMMINS INC Consumer Cyclical Fixed Income 151,176.73 0.03 151,176.73 nan 4.84 5.30 7.01
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 151,176.73 0.03 151,176.73 BNXJJF2 4.81 5.40 5.93
AT&T INC Communications Fixed Income 151,128.64 0.03 151,128.64 nan 5.90 5.55 11.29
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 151,080.56 0.03 151,080.56 BKRWX76 4.20 2.75 3.28
PFIZER INC Consumer Non-Cyclical Fixed Income 151,080.56 0.03 151,080.56 BZ3FFH8 5.57 4.13 12.77
SWP: OIS 3.398200 28-NOV-2032 SOF Cash and/or Derivatives Swaps 151,063.06 0.03 -9,848,936.94 nan -0.13 3.40 5.93
UNITEDHEALTH GROUP INC Insurance Fixed Income 150,936.31 0.03 150,936.31 B108F38 5.02 5.80 7.52
T-MOBILE USA INC Communications Fixed Income 150,840.14 0.03 150,840.14 nan 4.68 5.13 5.08
MERCK & CO INC Consumer Non-Cyclical Fixed Income 150,792.05 0.03 150,792.05 nan 4.24 4.15 4.38
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 150,743.97 0.03 150,743.97 BZ1JMC6 5.61 3.75 12.90
ONCOR ELECTRIC DELIVERY COMPANY LL 144A Electric Fixed Income 150,551.63 0.03 150,551.63 nan 5.82 5.90 13.99
ORACLE CORPORATION Technology Fixed Income 150,407.38 0.03 150,407.38 BZ5YK12 5.90 3.85 8.05
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 150,359.30 0.03 150,359.30 nan 4.56 4.45 5.22
CENTENE CORPORATION Insurance Fixed Income 150,263.13 0.03 150,263.13 BKVDKR4 5.47 3.00 4.11
WILLIAMS COMPANIES INC Energy Fixed Income 150,166.96 0.03 150,166.96 nan 5.12 5.60 6.96
VMWARE LLC Technology Fixed Income 150,070.79 0.03 150,070.79 nan 4.52 2.20 4.91
UNITEDHEALTH GROUP INC Insurance Fixed Income 150,022.71 0.03 150,022.71 BN7K9P1 5.91 5.20 15.29
US BANCORP MTN Banking Fixed Income 149,974.62 0.03 149,974.62 BRXDCZ3 5.02 5.84 5.40
WALT DISNEY CO Communications Fixed Income 149,926.54 0.03 149,926.54 BL98SS5 5.10 4.63 10.04
EOG RESOURCES INC Energy Fixed Income 149,926.54 0.03 149,926.54 BRVW3B5 5.00 5.35 7.46
SWP: OIS 3.271200 07-JUL-2053 SOF Cash and/or Derivatives Swaps 149,907.36 0.03 -850,092.64 nan -0.19 3.27 17.13
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 149,830.37 0.03 149,830.37 B9M5X40 5.55 4.85 11.53
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 149,782.29 0.03 149,782.29 BN13PD6 5.60 2.55 15.49
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 149,734.20 0.03 149,734.20 nan 4.59 4.70 4.16
TRUIST FINANCIAL CORP MTN Banking Fixed Income 149,686.12 0.03 149,686.12 nan 4.64 4.60 4.20
MPLX LP Energy Fixed Income 149,638.03 0.03 149,638.03 BYZGJY7 6.09 4.70 12.71
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 149,589.95 0.03 149,589.95 BKM3QH5 5.68 3.70 14.34
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 149,541.86 0.03 149,541.86 nan 5.40 7.35 3.35
EXXON MOBIL CORP Energy Fixed Income 149,493.78 0.03 149,493.78 BLD6PH3 5.03 4.23 10.21
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 149,493.78 0.03 149,493.78 nan 4.42 5.49 2.75
VODAFONE GROUP PLC Communications Fixed Income 149,493.78 0.03 149,493.78 B1SBFX9 5.08 6.15 7.95
QUALCOMM INCORPORATED Technology Fixed Income 149,397.61 0.03 149,397.61 BNSP1K4 5.74 6.00 13.23
MORGAN STANLEY MTN Banking Fixed Income 149,349.53 0.03 149,349.53 BLDCKK9 4.58 5.66 2.67
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 149,301.44 0.03 149,301.44 BD31B74 4.51 3.55 8.12
SWP: OIS 3.179700 11-SEP-2054 SOF Cash and/or Derivatives Swaps 149,217.45 0.03 -750,782.55 nan -0.29 3.18 17.61
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 149,205.28 0.03 149,205.28 BDCBVP3 5.35 4.00 12.56
MERCK & CO INC Consumer Non-Cyclical Fixed Income 149,157.19 0.03 149,157.19 nan 4.45 4.45 5.60
UNITEDHEALTH GROUP INC Insurance Fixed Income 149,109.11 0.03 149,109.11 nan 4.85 5.30 7.11
WASTE MANAGEMENT INC Capital Goods Fixed Income 148,868.69 0.03 148,868.69 nan 4.52 4.88 6.42
US BANCORP MTN Banking Fixed Income 148,820.60 0.03 148,820.60 nan 5.08 5.03 7.55
HOME DEPOT INC Consumer Cyclical Fixed Income 148,772.52 0.03 148,772.52 BMQ5M95 4.13 2.70 3.73
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 148,676.35 0.03 148,676.35 nan 4.83 5.25 5.67
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 148,676.35 0.03 148,676.35 nan 4.75 2.61 4.76
T-MOBILE USA INC Communications Fixed Income 148,676.35 0.03 148,676.35 BN4P5S4 5.99 6.00 13.25
WASTE MANAGEMENT INC Capital Goods Fixed Income 148,676.35 0.03 148,676.35 nan 4.76 4.95 7.13
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 148,580.18 0.03 148,580.18 BLGYSF3 4.95 3.00 5.36
JPMORGAN CHASE & CO Banking Fixed Income 148,580.18 0.03 148,580.18 B43XY12 5.15 5.50 10.00
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 148,532.10 0.03 148,532.10 nan 4.45 4.91 3.56
DOW CHEMICAL CO Basic Industry Fixed Income 148,532.10 0.03 148,532.10 nan 4.82 2.10 4.23
COMCAST CORPORATION Communications Fixed Income 148,484.01 0.03 148,484.01 BDFFPY9 6.01 3.40 12.97
SWP: OIS 3.393700 01-DEC-2032 SOF Cash and/or Derivatives Swaps 148,410.22 0.03 -9,520,589.78 nan -0.13 3.39 5.93
ENBRIDGE INC Energy Fixed Income 148,387.84 0.03 148,387.84 nan 4.96 5.63 6.39
TARGET CORPORATION Consumer Cyclical Fixed Income 148,291.68 0.03 148,291.68 nan 4.73 4.50 6.89
FISERV INC Technology Fixed Income 148,243.59 0.03 148,243.59 nan 5.37 5.45 6.33
SALESFORCE INC Technology Fixed Income 148,195.51 0.03 148,195.51 BN466W8 6.05 2.90 14.94
ARTHUR J GALLAGHER & CO Insurance Fixed Income 148,051.25 0.03 148,051.25 nan 4.36 4.85 3.28
MOLSON COORS BREWING CO Consumer Non-Cyclical Fixed Income 148,051.25 0.03 148,051.25 BYT4Q46 5.90 4.20 12.44
CITIGROUP INC Banking Fixed Income 148,003.17 0.03 148,003.17 BNHX0S0 5.46 2.90 11.48
GENERAL ELECTRIC CO Capital Goods Fixed Income 148,003.17 0.03 148,003.17 nan 4.16 4.30 3.84
MERCK & CO INC Consumer Non-Cyclical Fixed Income 148,003.17 0.03 148,003.17 BJRL1T4 5.58 4.00 13.71
WASTE MANAGEMENT INC Capital Goods Fixed Income 147,955.09 0.03 147,955.09 nan 4.32 4.15 5.25
WELLTOWER OP LLC Reits Fixed Income 147,907.00 0.03 147,907.00 nan 4.89 5.13 7.19
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 147,810.83 0.03 147,810.83 nan 4.72 2.35 4.35
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 147,762.75 0.03 147,762.75 nan 3.95 2.30 5.30
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 147,666.58 0.03 147,666.58 nan 4.47 2.72 5.17
COMCAST CORPORATION Communications Fixed Income 147,618.50 0.03 147,618.50 BKTZC54 6.10 3.45 13.97
COCA-COLA CO Consumer Non-Cyclical Fixed Income 147,570.41 0.03 147,570.41 nan 4.00 3.45 3.63
FISERV INC Technology Fixed Income 147,474.24 0.03 147,474.24 nan 4.80 4.75 3.52
CONOCOPHILLIPS CO Energy Fixed Income 147,378.08 0.03 147,378.08 BPG4CH1 5.79 4.03 16.04
CATERPILLAR INC Capital Goods Fixed Income 147,233.82 0.03 147,233.82 B3T0KH8 5.14 5.20 10.19
AMGEN INC Consumer Non-Cyclical Fixed Income 147,137.65 0.03 147,137.65 BDR5CM4 5.76 4.56 12.83
CHEVRON USA INC Energy Fixed Income 147,137.65 0.03 147,137.65 nan 4.13 4.69 3.62
DIAMONDBACK ENERGY INC Energy Fixed Income 147,137.65 0.03 147,137.65 BMDPVW4 5.98 5.75 13.23
CF INDUSTRIES INC Basic Industry Fixed Income 147,089.57 0.03 147,089.57 nan 5.16 5.30 7.32
BANK OF AMERICA NA Banking Fixed Income 146,849.15 0.03 146,849.15 B1G7Y98 5.16 6.00 7.83
ENBRIDGE INC Energy Fixed Income 146,849.15 0.03 146,849.15 nan 4.61 4.85 4.35
FISERV INC Technology Fixed Income 146,801.07 0.03 146,801.07 nan 4.79 2.65 3.79
HSBC HOLDINGS PLC Banking Fixed Income 146,752.98 0.03 146,752.98 nan 5.16 5.72 6.28
SWP: OIS 3.930700 01-DEC-2055 SOF Cash and/or Derivatives Swaps 146,749.46 0.03 -4,174,250.54 nan 0.30 3.93 17.12
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 146,512.56 0.03 146,512.56 nan 4.48 4.63 3.10
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 146,512.56 0.03 146,512.56 B2Q1JQ9 5.10 6.30 8.44
BARCLAYS PLC Banking Fixed Income 146,464.48 0.03 146,464.48 nan 4.81 4.52 4.28
ADOBE INC Technology Fixed Income 146,416.39 0.03 146,416.39 BJSB7N9 4.30 2.30 3.55
AUTOMATIC DATA PROCESSING INC Technology Fixed Income 146,416.39 0.03 146,416.39 nan 4.41 4.75 5.12
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 146,320.22 0.03 146,320.22 nan 4.32 5.55 3.96
VERIZON COMMUNICATIONS INC Communications Fixed Income 146,079.80 0.03 146,079.80 BYZKXZ8 5.27 5.25 8.19
EOG RESOURCES INC Energy Fixed Income 146,031.72 0.03 146,031.72 nan 5.74 5.65 13.72
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 145,935.55 0.03 145,935.55 nan 4.59 5.85 3.52
ROYAL BANK OF CANADA MTN Banking Fixed Income 145,791.30 0.03 145,791.30 nan 4.56 4.61 4.47
ING GROEP NV Banking Fixed Income 145,743.21 0.03 145,743.21 nan 5.19 5.55 6.35
SOLVENTUM CORP Consumer Non-Cyclical Fixed Income 145,743.21 0.03 145,743.21 nan 5.91 5.90 13.26
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 145,695.13 0.03 145,695.13 nan 4.34 4.30 5.55
ALPHABET INC Technology Fixed Income 145,647.04 0.03 145,647.04 nan 5.71 5.30 15.40
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 145,647.04 0.03 145,647.04 BKHDRD3 5.53 4.80 11.60
HESS CORP Energy Fixed Income 145,647.04 0.03 145,647.04 B4TV238 5.27 5.60 9.99
HCA INC Consumer Non-Cyclical Fixed Income 145,598.96 0.03 145,598.96 nan 4.92 5.50 5.75
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 145,310.45 0.03 145,310.45 BMD2N30 5.32 3.06 11.28
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 145,310.45 0.03 145,310.45 BKFH1S0 4.37 3.19 3.02
JEFFERIES FINANCIAL GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 145,214.29 0.03 145,214.29 nan 5.62 6.20 6.27
SOUTH BOW USA INFRASTRUCTURE HOLDI Energy Fixed Income 145,118.12 0.03 145,118.12 BNTFYD7 5.50 5.58 6.66
AEP TEXAS INC Electric Fixed Income 145,021.95 0.03 145,021.95 nan 5.26 5.20 7.67
CITIBANK NA Banking Fixed Income 145,021.95 0.03 145,021.95 nan 4.24 4.84 3.00
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 145,021.95 0.03 145,021.95 BP39CF7 4.64 5.75 5.36
BOSTON PROPERTIES LP Reits Fixed Income 144,973.87 0.03 144,973.87 BM9KMK8 4.86 3.25 4.32
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 144,973.87 0.03 144,973.87 nan 4.61 4.35 3.62
ACCENTURE CAPITAL INC Technology Fixed Income 144,781.53 0.03 144,781.53 nan 4.37 4.25 4.82
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 144,781.53 0.03 144,781.53 nan 5.46 3.63 4.55
HOME DEPOT INC Consumer Cyclical Fixed Income 144,781.53 0.03 144,781.53 nan 4.31 3.25 5.36
TEXAS INSTRUMENTS INC Technology Fixed Income 144,733.44 0.03 144,733.44 nan 4.09 2.25 3.20
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 144,685.36 0.03 144,685.36 nan 4.56 4.55 3.20
BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 144,637.28 0.03 144,637.28 nan 5.33 5.13 7.60
VICI PROPERTIES LP Consumer Cyclical Fixed Income 144,637.28 0.03 144,637.28 nan 5.12 5.13 5.06
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 144,589.19 0.03 144,589.19 nan 4.75 4.99 6.53
AMGEN INC Consumer Non-Cyclical Fixed Income 144,444.94 0.03 144,444.94 nan 4.96 4.85 7.68
ABBVIE INC Consumer Non-Cyclical Fixed Income 144,396.86 0.03 144,396.86 nan 4.81 5.20 7.07
QUALCOMM INCORPORATED Technology Fixed Income 144,396.86 0.03 144,396.86 BF3KVD1 5.68 4.30 12.68
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 144,396.86 0.03 144,396.86 nan 5.10 4.95 7.69
COMCAST CORPORATION Communications Fixed Income 144,348.77 0.03 144,348.77 BGGFK00 5.43 4.60 9.25
ELEVANCE HEALTH INC Insurance Fixed Income 144,300.69 0.03 144,300.69 BSWYK61 5.91 5.65 13.49
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 144,156.43 0.03 144,156.43 nan 4.72 2.70 4.66
IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 144,156.43 0.03 144,156.43 nan 6.03 5.30 13.60
COCA-COLA CO Consumer Non-Cyclical Fixed Income 144,012.18 0.03 144,012.18 nan 4.40 5.00 6.49
METLIFE INC Insurance Fixed Income 144,012.18 0.03 144,012.18 nan 4.17 4.55 3.56
BROADCOM INC Technology Fixed Income 143,867.93 0.03 143,867.93 2N3CFY1 5.55 3.75 14.45
MICROSOFT CORPORATION Technology Fixed Income 143,867.93 0.03 143,867.93 BMFPF53 5.47 3.04 17.58
KENVUE INC Consumer Non-Cyclical Fixed Income 143,819.84 0.03 143,819.84 nan 5.59 5.05 14.07
GE VERNOVA INC Capital Goods Fixed Income 143,771.76 0.03 143,771.76 nan 4.86 4.88 7.64
T-MOBILE USA INC Communications Fixed Income 143,771.76 0.03 143,771.76 nan 4.51 2.55 4.44
COMCAST CORPORATION Communications Fixed Income 143,627.51 0.03 143,627.51 BT029X4 4.92 5.30 6.44
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 143,531.34 0.03 143,531.34 BMVXV31 5.74 3.90 16.21
DIAMONDBACK ENERGY INC Energy Fixed Income 143,483.26 0.03 143,483.26 nan 5.07 5.55 7.02
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 143,483.26 0.03 143,483.26 BVDD8P3 4.97 5.20 7.50
SWP: OIS 3.405700 25-SEP-2044 SOF Cash and/or Derivatives Swaps 143,439.57 0.03 -1,356,560.43 nan 0.03 3.41 13.35
TARGA RESOURCES CORP Energy Fixed Income 143,339.00 0.03 143,339.00 nan 5.32 5.40 7.74
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 143,290.92 0.03 143,290.92 nan 4.19 1.45 4.31
CSX CORP Transportation Fixed Income 143,290.92 0.03 143,290.92 nan 4.83 5.05 7.17
MERCEDES-BENZ FINANCE NORTH AMERIC Consumer Cyclical Fixed Income 143,290.92 0.03 143,290.92 B065ZJ2 4.51 8.50 3.91
DEUTSCHE BANK (NY BRNCH)(FXD-FLT) Banking Fixed Income 143,194.75 0.03 143,194.75 nan 4.91 5.30 3.54
INGERSOLL RAND INC Capital Goods Fixed Income 143,194.75 0.03 143,194.75 nan 4.87 5.70 5.92
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 143,098.58 0.03 143,098.58 nan 5.85 5.85 7.03
TRUIST FINANCIAL CORP MTN Banking Fixed Income 143,098.58 0.03 143,098.58 nan 5.21 4.96 7.30
JPMORGAN CHASE & CO Banking Fixed Income 142,954.33 0.03 142,954.33 BMF05B4 5.44 3.11 10.55
BROWN & BROWN INC Insurance Fixed Income 142,810.08 0.03 142,810.08 nan 4.73 4.90 3.69
WELLS FARGO BANK NA MTN Banking Fixed Income 142,761.99 0.03 142,761.99 B29SN65 5.37 6.60 8.19
LOWES COMPANIES INC Consumer Cyclical Fixed Income 142,713.91 0.03 142,713.91 BN4NTS6 5.83 3.00 14.98
ZOETIS INC Consumer Non-Cyclical Fixed Income 142,713.91 0.03 142,713.91 nan 4.94 5.00 7.33
ROYAL BANK OF CANADA (FXD-FRN) MTN Banking Fixed Income 142,665.82 0.03 142,665.82 nan 4.55 4.70 3.83
SWP: OIS 1.026000 23-AUG-2031 Cash and/or Derivatives Swaps 142,579.77 0.03 -857,420.23 nan -0.76 1.03 5.25
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 142,569.66 0.03 142,569.66 BN7T9S1 5.58 4.15 14.55
METLIFE INC Insurance Fixed Income 142,521.57 0.03 142,521.57 nan 4.61 5.38 5.91
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 142,425.40 0.03 142,425.40 BMW2YQ1 6.48 3.50 10.61
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 142,233.07 0.03 142,233.07 BSCC010 6.12 6.05 13.07
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 142,184.98 0.03 142,184.98 BFN8M65 6.09 4.13 12.96
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 142,040.73 0.03 142,040.73 BPCHD15 5.22 2.80 11.81
TIME WARNER CABLE LLC Communications Fixed Income 141,992.64 0.03 141,992.64 B66BW80 6.68 5.88 9.22
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 141,944.56 0.03 141,944.56 nan 3.90 4.70 3.50
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 141,896.48 0.03 141,896.48 BQBBGR2 5.65 5.55 13.92
VERIZON COMMUNICATIONS INC Communications Fixed Income 141,896.48 0.03 141,896.48 BPP3C79 5.81 3.88 14.41
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 141,800.31 0.03 141,800.31 nan 5.36 5.95 6.92
INTEL CORPORATION Technology Fixed Income 141,752.22 0.03 141,752.22 BMX7HC2 6.17 5.90 14.41
ANHEUSER-BUSCH INBEV FINANCE INC Consumer Non-Cyclical Fixed Income 141,704.14 0.03 141,704.14 BYMLGZ5 5.59 4.90 12.08
ELEVANCE HEALTH INC Insurance Fixed Income 141,607.97 0.03 141,607.97 BMH9C29 5.83 3.60 14.43
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 141,511.80 0.03 141,511.80 BKTC909 4.74 7.50 4.11
BARCLAYS PLC Banking Fixed Income 141,463.72 0.03 141,463.72 BD72S38 5.76 4.95 12.23
APPLE INC Technology Fixed Income 141,319.47 0.03 141,319.47 BLN8PN5 5.47 2.40 15.91
CHUBB INA HOLDINGS LLC Insurance Fixed Income 141,223.30 0.03 141,223.30 nan 4.33 1.38 4.19
CROWN CASTLE INC Communications Fixed Income 141,223.30 0.03 141,223.30 nan 5.55 2.90 11.34
CHENIERE ENERGY INC 144A Energy Fixed Income 141,175.21 0.03 141,175.21 nan 5.97 6.00 13.86
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 141,127.13 0.03 141,127.13 nan 5.42 7.20 3.50
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 141,127.13 0.03 141,127.13 nan 4.88 5.25 7.05
PROLOGIS LP Reits Fixed Income 141,079.05 0.03 141,079.05 BHNBBT4 4.07 2.25 3.87
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 141,030.96 0.03 141,030.96 nan 5.14 5.20 7.37
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 140,934.79 0.03 140,934.79 BD91617 6.01 3.88 12.77
GENERAL MOTORS CO Consumer Cyclical Fixed Income 140,934.79 0.03 140,934.79 BYXXXG0 5.50 6.60 7.34
ORACLE CORPORATION Technology Fixed Income 140,934.79 0.03 140,934.79 nan 5.57 4.90 5.63
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 140,886.71 0.03 140,886.71 nan 5.64 5.80 14.23
MICROSOFT CORPORATION Technology Fixed Income 140,886.71 0.03 140,886.71 BT3CPZ5 5.45 2.50 15.85
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 140,838.62 0.03 140,838.62 nan 5.70 5.88 7.19
COMCAST CORPORATION Communications Fixed Income 140,790.54 0.03 140,790.54 BFY1N04 5.33 3.90 9.13
DEVON ENERGY CORP Energy Fixed Income 140,790.54 0.03 140,790.54 B7XHMQ6 5.78 4.75 10.56
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 140,742.46 0.03 140,742.46 BPTJT38 4.95 5.07 5.62
PHILLIPS 66 Energy Fixed Income 140,598.20 0.03 140,598.20 BSN56M1 4.97 4.65 6.84
PEPSICO INC Consumer Non-Cyclical Fixed Income 140,502.03 0.03 140,502.03 nan 4.19 1.95 5.07
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 140,453.95 0.03 140,453.95 nan 4.33 4.38 3.59
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 140,357.78 0.03 140,357.78 BRRD709 5.87 6.50 13.25
MEDTRONIC INC Consumer Non-Cyclical Fixed Income 140,357.78 0.03 140,357.78 BYZYSL1 5.44 4.63 12.07
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 140,357.78 0.03 140,357.78 BKVKRK7 6.14 6.60 11.17
QUANTA SERVICES INC. Industrial Other Fixed Income 140,357.78 0.03 140,357.78 nan 4.46 2.90 4.10
FORD MOTOR CREDIT COMPANY LLC MTN Consumer Cyclical Fixed Income 140,309.70 0.03 140,309.70 nan 6.03 5.87 7.01
JBS NV Consumer Non-Cyclical Fixed Income 140,213.53 0.03 140,213.53 2PGWWX3 6.30 6.25 13.30
HOME DEPOT INC Consumer Cyclical Fixed Income 140,165.45 0.03 140,165.45 BLFG827 5.63 3.63 14.92
SWP: OIS 3.346750 10-SEP-2032 SOF Cash and/or Derivatives Swaps 140,144.56 0.03 -7,218,855.44 nan -0.16 3.35 5.77
SWP: OIS 3.283700 25-SEP-2054 SOF Cash and/or Derivatives Swaps 139,989.01 0.03 -810,010.99 nan -0.19 3.28 17.48
DELL INTERNATIONAL LLC Technology Fixed Income 139,828.86 0.03 139,828.86 nan 4.75 5.30 5.07
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 139,780.77 0.03 139,780.77 nan 5.78 6.65 6.00
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 139,780.77 0.03 139,780.77 nan 5.35 5.73 3.82
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 139,780.77 0.03 139,780.77 nan 4.61 4.50 6.40
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 139,732.69 0.03 139,732.69 nan 4.11 2.88 5.34
SWP: OIS 3.333200 20-AUG-2054 SOF Cash and/or Derivatives Swaps 139,715.05 0.03 -860,284.95 nan -0.15 3.33 17.41
UNITED PARCEL SERVICE INC Transportation Fixed Income 139,684.60 0.03 139,684.60 BDRYRR1 5.65 3.75 13.25
ABBVIE INC Consumer Non-Cyclical Fixed Income 139,588.43 0.03 139,588.43 nan 4.86 4.75 7.78
BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 139,588.43 0.03 139,588.43 nan 6.20 6.00 4.76
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 139,588.43 0.03 139,588.43 nan 5.53 5.50 14.20
WALT DISNEY CO Communications Fixed Income 139,444.18 0.03 139,444.18 BMFKW68 5.17 3.50 10.44
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 139,444.18 0.03 139,444.18 nan 4.81 3.00 5.15
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 139,444.18 0.03 139,444.18 BK6V1G9 4.34 3.55 3.35
UNION PACIFIC CORPORATION Transportation Fixed Income 139,444.18 0.03 139,444.18 BKDMLD2 5.59 3.25 14.58
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 139,396.10 0.03 139,396.10 nan 5.82 5.70 14.05
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 139,299.93 0.03 139,299.93 BL6LJC8 5.73 3.17 14.62
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 139,155.68 0.03 139,155.68 nan 4.27 4.78 3.29
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 139,059.51 0.03 139,059.51 BMYR011 6.08 3.50 14.06
NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 139,011.42 0.03 139,011.42 nan 4.87 5.55 6.28
BANK OF NOVA SCOTIA (FXD-FRN) MTN Banking Fixed Income 138,963.34 0.03 138,963.34 nan 4.52 5.13 3.42
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 138,867.17 0.03 138,867.17 BRJ50G0 6.13 7.08 12.66
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 138,819.09 0.03 138,819.09 nan 4.83 4.90 7.66
ROYAL BANK OF CANADA MTN Banking Fixed Income 138,771.00 0.03 138,771.00 nan 4.66 5.15 6.32
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 138,722.92 0.03 138,722.92 nan 4.96 5.20 7.05
TRANSCANADA PIPELINES LTD Energy Fixed Income 138,674.84 0.03 138,674.84 B3KV7R9 5.53 7.63 8.40
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 138,626.75 0.03 138,626.75 nan 4.54 4.71 3.75
ONEOK INC Energy Fixed Income 138,626.75 0.03 138,626.75 nan 6.25 6.25 13.39
MPLX LP Energy Fixed Income 138,578.67 0.03 138,578.67 nan 6.16 5.95 13.48
TRUIST FINANCIAL CORP MTN Banking Fixed Income 138,578.67 0.03 138,578.67 BPX1Z87 5.03 5.12 5.61
ELEVANCE HEALTH INC Insurance Fixed Income 138,530.58 0.03 138,530.58 B87XCP6 5.65 4.63 10.67
COMCAST CORPORATION Communications Fixed Income 138,386.33 0.03 138,386.33 BQ0KW38 4.62 5.50 5.39
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 138,338.25 0.03 138,338.25 BWWC4X8 5.65 4.90 12.01
ROYAL BANK OF CANADA (FX-FRN) MTN Banking Fixed Income 138,338.25 0.03 138,338.25 nan 4.46 4.65 3.13
NISOURCE INC Natural Gas Fixed Income 138,290.16 0.03 138,290.16 nan 5.07 5.35 7.16
BANK OF NOVA SCOTIA (FXD-FRN) MTN Banking Fixed Income 138,145.91 0.03 138,145.91 nan 4.54 4.34 3.96
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 138,145.91 0.03 138,145.91 nan 4.80 4.85 4.77
WALT DISNEY CO Communications Fixed Income 138,049.74 0.03 138,049.74 BMF33Q4 5.55 4.70 13.58
TARGA RESOURCES CORP Energy Fixed Income 138,049.74 0.03 138,049.74 nan 4.98 4.20 5.76
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 137,953.57 0.03 137,953.57 nan 4.59 3.60 3.78
AT&T INC Communications Fixed Income 137,809.32 0.03 137,809.32 nan 5.93 5.85 11.54
ENERGY TRANSFER LP Energy Fixed Income 137,809.32 0.03 137,809.32 BQGG508 5.06 6.55 5.91
SMURFIT KAPPA TREASURY UNLIMITED C Basic Industry Fixed Income 137,809.32 0.03 137,809.32 nan 4.48 5.20 3.34
VICI PROPERTIES LP Consumer Cyclical Fixed Income 137,761.24 0.03 137,761.24 nan 5.43 5.63 6.96
COSTCO WHOLESALE CORPORATION Consumer Cyclical Fixed Income 137,713.15 0.03 137,713.15 BMG2X93 4.01 1.60 3.78
AMAZON.COM INC Consumer Cyclical Fixed Income 137,665.07 0.03 137,665.07 BM8KRQ0 5.61 2.70 17.35
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 137,616.98 0.03 137,616.98 nan 4.64 5.35 5.61
ORACLE CORPORATION Technology Fixed Income 137,616.98 0.03 137,616.98 BWTM367 5.88 3.90 7.25
US BANCORP MTN Banking Fixed Income 137,616.98 0.03 137,616.98 nan 5.00 5.42 6.92
ACCENTURE CAPITAL INC Technology Fixed Income 137,376.56 0.03 137,376.56 nan 4.82 4.50 6.93
UNITEDHEALTH GROUP INC Insurance Fixed Income 137,376.56 0.03 137,376.56 nan 4.32 5.30 3.42
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 137,328.48 0.03 137,328.48 nan 5.20 2.35 11.45
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 137,328.48 0.03 137,328.48 nan 5.05 5.57 6.81
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 137,280.39 0.03 137,280.39 nan 5.65 5.50 13.84
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 137,184.22 0.03 137,184.22 nan 4.69 3.50 5.70
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 137,136.14 0.03 137,136.14 nan 4.76 5.75 4.14
FISERV INC Technology Fixed Income 137,088.06 0.03 137,088.06 BKF0BQ7 4.63 3.50 2.96
COCA-COLA CO Consumer Non-Cyclical Fixed Income 137,039.97 0.03 137,039.97 nan 4.05 2.00 4.56
MPLX LP Energy Fixed Income 136,895.72 0.03 136,895.72 BH4Q9M7 6.15 5.50 12.34
ENERGY TRANSFER LP Energy Fixed Income 136,847.64 0.03 136,847.64 B5L3ZK7 5.91 6.50 9.86
APPLE INC Technology Fixed Income 136,799.55 0.03 136,799.55 nan 4.00 1.70 4.96
SWP: OIS 3.218200 28-NOV-2028 SOF Cash and/or Derivatives Swaps 136,785.52 0.03 -14,863,214.48 nan -0.24 3.22 2.51
HCA INC Consumer Non-Cyclical Fixed Income 136,751.47 0.03 136,751.47 BQPF7Y4 6.10 5.90 12.97
SIMON PROPERTY GROUP LP Reits Fixed Income 136,751.47 0.03 136,751.47 nan 4.94 5.13 7.43
HUNTINGTON BANCSHARES INC Banking Fixed Income 136,703.38 0.03 136,703.38 BQ67KH3 5.19 5.71 6.20
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 136,703.38 0.03 136,703.38 nan 5.38 5.10 8.80
SYNOPSYS INC Technology Fixed Income 136,703.38 0.03 136,703.38 nan 4.65 5.00 5.10
WORKDAY INC Technology Fixed Income 136,703.38 0.03 136,703.38 BPP2DY0 5.00 3.80 5.22
AMGEN INC Consumer Non-Cyclical Fixed Income 136,655.30 0.03 136,655.30 nan 4.51 3.35 5.20
TYSON FOODS INC Consumer Non-Cyclical Fixed Income 136,607.21 0.03 136,607.21 BFZZ2V9 5.72 5.10 12.82
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 136,511.05 0.03 136,511.05 nan 4.87 4.72 4.21
PFIZER INC Consumer Non-Cyclical Fixed Income 136,511.05 0.03 136,511.05 BYZFHM8 5.58 4.20 13.44
FEDEX CORP Transportation Fixed Income 136,366.79 0.03 136,366.79 BTMJQQ5 5.85 4.55 12.30
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 136,366.79 0.03 136,366.79 nan 4.66 4.60 5.83
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 136,318.71 0.03 136,318.71 2KLTYR9 5.79 6.38 12.93
ELEVANCE HEALTH INC Insurance Fixed Income 136,270.63 0.03 136,270.63 BFMC2M4 5.82 4.38 12.72
CIGNA GROUP Consumer Non-Cyclical Fixed Income 136,270.63 0.03 136,270.63 nan 4.36 4.50 3.95
COMCAST CORPORATION Communications Fixed Income 136,222.54 0.03 136,222.54 nan 6.14 5.65 13.23
DUKE ENERGY CORP Electric Fixed Income 136,222.54 0.03 136,222.54 BD381P3 5.83 3.75 12.92
DUKE ENERGY CORP Electric Fixed Income 136,078.29 0.03 136,078.29 nan 5.09 4.95 7.40
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 136,030.20 0.03 136,030.20 BPCHD04 4.25 2.00 5.10
SHELL FINANCE US INC Energy Fixed Income 135,982.12 0.03 135,982.12 nan 4.83 4.75 7.60
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 135,837.87 0.03 135,837.87 BF01Z57 4.68 3.63 8.73
BANK OF MONTREAL MTN Banking Fixed Income 135,741.70 0.03 135,741.70 nan 7.96 4.35 3.92
UNITEDHEALTH GROUP INC Insurance Fixed Income 135,741.70 0.03 135,741.70 BLPK6R0 5.41 3.05 11.18
DELL INTERNATIONAL LLC Technology Fixed Income 135,597.45 0.03 135,597.45 nan 5.08 4.85 6.99
JPMORGAN CHASE & CO Banking Fixed Income 135,597.45 0.03 135,597.45 BNDQ298 5.38 2.52 11.29
BROWN & BROWN INC Insurance Fixed Income 135,501.28 0.03 135,501.28 BTQGQ62 6.09 6.25 13.25
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 135,453.19 0.03 135,453.19 BRZWBR3 4.86 6.42 5.79
PACIFICORP Electric Fixed Income 135,405.11 0.03 135,405.11 BP4FC32 6.11 5.50 13.29
ENERGY TRANSFER LP Energy Fixed Income 135,357.03 0.03 135,357.03 BL569D5 6.29 6.05 13.15
HSBC HOLDINGS PLC Banking Fixed Income 135,260.86 0.03 135,260.86 B24FY35 5.48 6.50 8.11
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 135,260.86 0.03 135,260.86 nan 4.05 1.95 4.65
DUKE ENERGY CORP Electric Fixed Income 135,212.77 0.03 135,212.77 nan 4.58 4.50 5.41
US BANCORP MTN Banking Fixed Income 135,212.77 0.03 135,212.77 BPBRV01 4.69 2.68 5.21
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 135,164.69 0.03 135,164.69 nan 4.20 4.25 3.12
LOWES COMPANIES INC Consumer Cyclical Fixed Income 135,068.52 0.03 135,068.52 BYWC120 5.80 4.05 12.73
PFIZER INC Consumer Non-Cyclical Fixed Income 135,020.44 0.03 135,020.44 nan 4.25 1.75 4.98
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 134,972.35 0.03 134,972.35 BN6LRM8 5.68 4.95 14.04
PHILLIPS 66 Energy Fixed Income 134,972.35 0.03 134,972.35 BSN4Q40 5.89 4.88 11.39
MARATHON PETROLEUM CORP Energy Fixed Income 134,972.35 0.03 134,972.35 nan 4.40 5.15 3.47
AMRIZE FINANCE US LLC Capital Goods Fixed Income 134,876.18 0.03 134,876.18 nan 4.48 4.95 3.57
EXXON MOBIL CORP Energy Fixed Income 134,828.10 0.03 134,828.10 BJTHKK4 4.99 3.00 10.45
ENERGY TRANSFER LP Energy Fixed Income 134,780.01 0.03 134,780.01 nan 6.27 6.20 13.27
NORTHERN STATES POWER COMPANY (MIN Electric Fixed Income 134,635.76 0.03 134,635.76 BQPF863 5.68 5.10 13.73
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 134,587.68 0.03 134,587.68 nan 5.61 4.45 14.26
UNION PACIFIC CORPORATION Transportation Fixed Income 134,587.68 0.03 134,587.68 nan 4.33 4.50 5.72
BIOGEN INC Consumer Non-Cyclical Fixed Income 134,539.59 0.03 134,539.59 BMDWPJ0 4.40 2.25 3.75
KROGER CO Consumer Non-Cyclical Fixed Income 134,491.51 0.03 134,491.51 BYND735 5.81 4.45 12.54
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 134,491.51 0.03 134,491.51 BLDB3T6 5.29 6.95 6.12
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 134,443.43 0.03 134,443.43 BJKRNL5 5.49 3.95 13.83
MERCK & CO INC Consumer Non-Cyclical Fixed Income 134,443.43 0.03 134,443.43 nan 5.66 5.70 14.16
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 134,443.43 0.03 134,443.43 BKFH1R9 5.29 3.75 9.93
CISCO SYSTEMS INC Technology Fixed Income 134,347.26 0.03 134,347.26 nan 4.39 4.95 5.02
MSCI INC Technology Fixed Income 134,347.26 0.03 134,347.26 nan 5.36 5.25 7.27
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 134,299.17 0.03 134,299.17 nan 5.20 4.95 6.75
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 134,299.17 0.03 134,299.17 990XAQ9 6.15 4.38 13.65
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 134,299.17 0.03 134,299.17 BSHRLF1 5.51 5.00 14.28
JPMORGAN CHASE & CO MTN Banking Fixed Income 134,203.00 0.03 134,203.00 nan 5.06 5.15 7.77
ZOETIS INC Consumer Non-Cyclical Fixed Income 134,203.00 0.03 134,203.00 nan 4.29 2.00 3.81
AT&T INC Communications Fixed Income 134,154.92 0.03 134,154.92 BBP3ML5 5.81 4.30 11.06
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 134,106.84 0.03 134,106.84 nan 5.18 6.40 5.65
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 134,106.84 0.03 134,106.84 nan 4.46 5.71 3.31
WASTE MANAGEMENT INC Capital Goods Fixed Income 134,106.84 0.03 134,106.84 nan 4.27 1.50 4.63
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 133,722.16 0.03 133,722.16 BKFV9W2 5.68 3.20 14.43
J M SMUCKER CO Consumer Non-Cyclical Fixed Income 133,577.91 0.03 133,577.91 nan 5.00 6.20 5.92
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 133,529.83 0.03 133,529.83 nan 4.44 6.34 3.72
IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 133,529.83 0.03 133,529.83 nan 5.89 5.25 11.08
ENERGY TRANSFER PARTNERS LP Energy Fixed Income 133,481.74 0.03 133,481.74 BDFT2Z1 6.19 6.00 11.81
CITIGROUP INC Banking Fixed Income 133,385.57 0.03 133,385.57 BM6NVB4 5.84 5.30 11.02
APPLE INC Technology Fixed Income 133,241.32 0.03 133,241.32 BNYNTK8 5.50 4.10 16.38
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 133,193.24 0.03 133,193.24 nan 5.23 2.70 10.91
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 133,193.24 0.03 133,193.24 BMZ5L44 5.67 3.38 16.61
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 133,097.07 0.03 133,097.07 nan 4.43 2.05 3.97
WASTE MANAGEMENT INC Capital Goods Fixed Income 133,048.98 0.03 133,048.98 nan 4.31 4.95 4.51
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 133,000.90 0.03 133,000.90 B3P4VB5 5.37 5.95 9.80
COMCAST CORPORATION Communications Fixed Income 132,808.56 0.03 132,808.56 BFWQ3S9 6.15 4.05 13.85
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 132,808.56 0.03 132,808.56 nan 4.32 4.21 4.29
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 132,712.39 0.03 132,712.39 nan 4.36 5.05 3.51
AIRBNB INC Consumer Cyclical Fixed Income 132,664.31 0.03 132,664.31 nan 4.51 4.65 4.34
CHEVRON USA INC Energy Fixed Income 132,568.14 0.03 132,568.14 nan 4.08 4.30 4.05
VODAFONE GROUP PLC Communications Fixed Income 132,471.97 0.03 132,471.97 BKVJXB7 5.96 4.25 13.68
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 132,423.89 0.03 132,423.89 nan 4.24 4.40 4.74
WILLIAMS COMPANIES INC Energy Fixed Income 132,423.89 0.03 132,423.89 B3RZKK8 5.56 6.30 9.40
SWP: OIS 3.579700 01-DEC-2035 SOF Cash and/or Derivatives Swaps 132,296.93 0.03 -7,204,703.07 nan 0.02 3.58 8.13
BANCO SANTANDER SA Banking Fixed Income 132,279.64 0.03 132,279.64 nan 4.62 5.44 4.48
ENBRIDGE INC Energy Fixed Income 132,183.47 0.03 132,183.47 BQZCJF0 5.87 5.95 13.59
T-MOBILE USA INC Communications Fixed Income 132,183.47 0.03 132,183.47 nan 5.05 4.70 6.99
HALLIBURTON COMPANY Energy Fixed Income 132,135.38 0.03 132,135.38 B63S808 5.47 7.45 8.83
ENTERGY LOUISIANA LLC Electric Fixed Income 131,991.13 0.03 131,991.13 nan 5.03 4.90 7.76
QUALCOMM INCORPORATED Technology Fixed Income 131,991.13 0.03 131,991.13 BNBTHV6 4.36 1.65 5.63
AMERICAN TOWER CORPORATION Communications Fixed Income 131,702.63 0.03 131,702.63 nan 4.89 5.55 5.87
KENVUE INC Consumer Non-Cyclical Fixed Income 131,702.63 0.03 131,702.63 BLFCLD7 4.28 5.00 3.53
MPLX LP Energy Fixed Income 131,702.63 0.03 131,702.63 nan 4.79 4.95 5.38
UNITEDHEALTH GROUP INC Insurance Fixed Income 131,654.54 0.03 131,654.54 nan 4.25 4.80 3.36
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 131,510.29 0.03 131,510.29 nan 5.16 5.78 6.42
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 131,462.21 0.03 131,462.21 BNKDB17 5.61 5.13 13.98
EXXON MOBIL CORP Energy Fixed Income 131,414.12 0.03 131,414.12 BJP2G49 3.86 2.44 3.14
COCA-COLA CO Consumer Non-Cyclical Fixed Income 131,366.04 0.03 131,366.04 nan 5.46 3.00 15.33
APPLOVIN CORP Communications Fixed Income 131,317.95 0.03 131,317.95 nan 4.96 5.38 4.72
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 131,317.95 0.03 131,317.95 BRF3SP3 5.67 5.35 14.01
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 131,317.95 0.03 131,317.95 nan 4.79 4.63 6.85
FLORIDA POWER & LIGHT CO Electric Fixed Income 131,269.87 0.03 131,269.87 nan 4.32 2.45 5.27
TRANSCANADA PIPELINES LTD Energy Fixed Income 131,269.87 0.03 131,269.87 BLSP672 4.96 4.63 6.47
INTEL CORPORATION Technology Fixed Income 131,125.62 0.03 131,125.62 nan 4.48 5.13 3.41
BROADCOM INC Technology Fixed Income 131,077.53 0.03 131,077.53 nan 5.59 5.70 14.16
3M CO Capital Goods Fixed Income 131,077.53 0.03 131,077.53 BKRLV80 4.20 2.38 3.17
JPMORGAN CHASE & CO Banking Fixed Income 131,029.45 0.03 131,029.45 BJMSTK7 4.53 3.70 3.65
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 130,981.36 0.03 130,981.36 nan 4.95 5.30 6.39
CIGNA GROUP Consumer Non-Cyclical Fixed Income 130,933.28 0.03 130,933.28 nan 4.87 5.25 6.33
ENERGY TRANSFER LP Energy Fixed Income 130,933.28 0.03 130,933.28 nan 5.18 5.70 6.98
WILLIAMS COMPANIES INC Energy Fixed Income 130,933.28 0.03 130,933.28 nan 4.52 3.50 4.10
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 130,837.11 0.03 130,837.11 BSLSJZ6 5.64 5.20 15.69
MORGAN STANLEY Banking Fixed Income 130,789.03 0.03 130,789.03 BD1KDW2 5.23 4.46 8.88
UNITED PARCEL SERVICE INC Transportation Fixed Income 130,789.03 0.03 130,789.03 nan 5.65 5.30 13.18
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 130,644.77 0.03 130,644.77 nan 4.33 5.25 3.88
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 130,644.77 0.03 130,644.77 nan 4.31 2.55 3.51
RTX CORP Capital Goods Fixed Income 130,644.77 0.03 130,644.77 nan 4.38 6.00 4.24
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 130,596.69 0.03 130,596.69 BR3XVJ0 5.63 5.50 14.19
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 130,596.69 0.03 130,596.69 BMGYMV4 4.92 2.10 11.70
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 130,596.69 0.03 130,596.69 BQMRY08 5.54 4.88 14.16
BOEING CO Capital Goods Fixed Income 130,548.61 0.03 130,548.61 BKPHQG3 5.89 3.75 13.86
DIAMONDBACK ENERGY INC Energy Fixed Income 130,548.61 0.03 130,548.61 BMW23V9 4.48 3.13 4.49
UNITEDHEALTH GROUP INC Insurance Fixed Income 130,404.35 0.03 130,404.35 BM95BC8 5.34 2.75 10.85
CITIGROUP INC Banking Fixed Income 130,356.27 0.03 130,356.27 BYTHPH1 5.60 4.65 12.04
RIO TINTO FINANCE (USA) LTD Basic Industry Fixed Income 130,356.27 0.03 130,356.27 B5TZB18 5.25 5.20 9.86
KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 130,163.93 0.03 130,163.93 nan 5.04 5.00 5.62
ROPER TECHNOLOGIES INC Technology Fixed Income 130,163.93 0.03 130,163.93 nan 5.20 4.90 6.85
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 130,115.85 0.03 130,115.85 nan 5.37 5.20 7.67
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 130,067.76 0.03 130,067.76 nan 5.17 5.30 3.05
HOME DEPOT INC Consumer Cyclical Fixed Income 129,971.59 0.03 129,971.59 B608VG8 5.22 5.95 10.01
DUKE ENERGY CORP Electric Fixed Income 129,923.51 0.03 129,923.51 nan 5.57 3.30 11.05
HOME DEPOT INC Consumer Cyclical Fixed Income 129,923.51 0.03 129,923.51 nan 4.78 4.65 7.51
ING GROEP NV Banking Fixed Income 129,923.51 0.03 129,923.51 nan 4.78 2.73 4.54
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 129,731.17 0.03 129,731.17 nan 4.81 4.79 7.53
UNITED PARCEL SERVICE INC Transportation Fixed Income 129,731.17 0.03 129,731.17 nan 4.57 5.15 6.47
WOODSIDE FINANCE LTD Energy Fixed Income 129,683.09 0.03 129,683.09 nan 4.64 5.40 3.57
HCA INC Consumer Non-Cyclical Fixed Income 129,635.01 0.03 129,635.01 nan 4.65 2.38 4.80
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 129,635.01 0.03 129,635.01 nan 4.51 5.20 3.34
SWP: OIS 3.202200 09-SEP-2054 SOF Cash and/or Derivatives Swaps 129,557.92 0.03 -670,442.08 nan -0.27 3.20 17.58
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 129,538.84 0.03 129,538.84 7518926 4.29 5.90 5.36
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 129,490.75 0.03 129,490.75 BJK36N6 4.19 3.38 3.09
BARCLAYS PLC Banking Fixed Income 129,394.58 0.03 129,394.58 nan 4.91 2.89 5.00
TRANSCANADA PIPELINES LTD Energy Fixed Income 129,394.58 0.03 129,394.58 B287YY8 5.36 6.20 8.28
CARRIER GLOBAL CORP Capital Goods Fixed Income 129,298.42 0.03 129,298.42 BMT6MR3 5.37 3.38 10.57
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 129,202.25 0.03 129,202.25 nan 4.18 4.55 3.68
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 129,057.99 0.03 129,057.99 BMGSCX8 5.72 5.70 13.69
UNITEDHEALTH GROUP INC Insurance Fixed Income 129,057.99 0.03 129,057.99 BJMSRX6 5.75 3.70 13.91
MPLX LP Energy Fixed Income 129,009.91 0.03 129,009.91 nan 5.24 5.40 7.03
VERIZON COMMUNICATIONS INC Communications Fixed Income 129,009.91 0.03 129,009.91 nan 5.81 5.50 13.75
ENERGY TRANSFER PARTNERS LP Energy Fixed Income 128,913.74 0.03 128,913.74 BWB92Y7 6.15 5.15 11.45
SUMITOMO MITSUI FINANCIAL FXD-FRN Banking Fixed Income 128,865.66 0.03 128,865.66 nan 4.66 4.49 4.18
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 128,817.57 0.03 128,817.57 nan 5.09 6.56 5.81
UNITEDHEALTH GROUP INC Insurance Fixed Income 128,769.49 0.03 128,769.49 nan 4.70 4.50 5.93
FLORIDA POWER & LIGHT CO Electric Fixed Income 128,673.32 0.03 128,673.32 nan 5.72 5.60 15.37
MORGAN STANLEY MTN Banking Fixed Income 128,673.32 0.03 128,673.32 nan 5.20 5.30 7.68
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 128,673.32 0.03 128,673.32 nan 4.92 5.30 6.53
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 128,673.32 0.03 128,673.32 BKBZGF0 5.63 3.46 14.13
HP INC Technology Fixed Income 128,625.24 0.03 128,625.24 nan 4.86 2.65 4.68
MPLX LP Energy Fixed Income 128,577.15 0.03 128,577.15 BPLJMW6 6.16 4.95 13.38
TARGET CORPORATION Consumer Cyclical Fixed Income 128,577.15 0.03 128,577.15 BMD54D6 4.21 4.50 5.51
ELEVANCE HEALTH INC Insurance Fixed Income 128,529.07 0.03 128,529.07 nan 4.54 2.55 4.52
EXTRA SPACE STORAGE LP Reits Fixed Income 128,529.07 0.03 128,529.07 nan 4.65 5.50 3.68
MERCK & CO INC Consumer Non-Cyclical Fixed Income 128,480.98 0.03 128,480.98 nan 4.79 4.95 7.44
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 128,384.82 0.03 128,384.82 BMYBXL4 5.66 4.55 12.93
SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 128,336.73 0.03 128,336.73 nan 4.78 5.69 3.55
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 128,288.65 0.03 128,288.65 nan 4.54 1.75 4.09
CANADIAN NATURAL RESOURCES LIMITED Energy Fixed Income 128,288.65 0.03 128,288.65 B1VJP74 5.45 6.25 8.42
SEMPRA Natural Gas Fixed Income 128,288.65 0.03 128,288.65 nan 5.27 5.25 7.61
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 128,240.56 0.03 128,240.56 BG0PVG9 5.66 4.08 13.07
T-MOBILE USA INC Communications Fixed Income 128,240.56 0.03 128,240.56 BKP78R8 4.30 3.38 2.81
TARGA RESOURCES CORP Energy Fixed Income 128,240.56 0.03 128,240.56 nan 6.17 6.13 13.12
FEDEX FREIGHT HOLDING COMPANY INC 144A Transportation Fixed Income 128,192.48 0.03 128,192.48 nan 4.82 4.65 4.30
PROGRESSIVE CORPORATION (THE) Insurance Fixed Income 128,096.31 0.03 128,096.31 nan 4.99 5.15 7.70
SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 128,096.31 0.03 128,096.31 nan 8.73 5.14 7.40
DELL INTERNATIONAL LLC Technology Fixed Income 128,048.23 0.03 128,048.23 nan 4.43 5.30 3.13
GENERAL ELECTRIC CO Capital Goods Fixed Income 127,903.97 0.03 127,903.97 nan 4.75 4.90 7.64
MICROSOFT CORPORATION Technology Fixed Income 127,903.97 0.03 127,903.97 BYV2RR8 5.25 4.45 12.28
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 127,855.89 0.03 127,855.89 nan 4.66 5.35 5.30
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 127,855.89 0.03 127,855.89 BNGF9D5 6.10 5.63 13.22
MPLX LP Energy Fixed Income 127,759.72 0.03 127,759.72 BYXT874 6.05 5.20 12.06
NETFLIX INC Communications Fixed Income 127,759.72 0.03 127,759.72 BR2NKN8 4.64 4.90 6.74
AON CORP Insurance Fixed Income 127,711.64 0.03 127,711.64 nan 4.74 5.35 5.68
CISCO SYSTEMS INC Technology Fixed Income 127,711.64 0.03 127,711.64 BMG9FF4 5.73 5.35 15.45
NVIDIA CORPORATION Technology Fixed Income 127,711.64 0.03 127,711.64 BKMQMN2 4.09 2.85 3.68
UNITEDHEALTH GROUP INC Insurance Fixed Income 127,711.64 0.03 127,711.64 nan 4.29 2.00 3.81
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 127,663.55 0.03 127,663.55 nan 5.09 5.50 7.04
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 127,615.47 0.03 127,615.47 nan 4.72 4.60 7.49
CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 127,567.38 0.03 127,567.38 BFWSC55 5.90 5.30 8.73
HOME DEPOT INC Consumer Cyclical Fixed Income 127,519.30 0.03 127,519.30 BDGLXQ4 5.59 3.90 13.08
WOODSIDE FINANCE LTD Energy Fixed Income 127,471.22 0.03 127,471.22 nan 5.13 5.10 6.73
CANADIAN IMPERIAL (FX-FRN) Banking Fixed Income 127,423.13 0.03 127,423.13 nan 4.50 5.25 3.33
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 127,423.13 0.03 127,423.13 BMWJ138 4.31 1.95 3.90
CENTENE CORPORATION Insurance Fixed Income 127,326.96 0.03 127,326.96 BMVX1F3 5.44 3.38 3.50
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 127,230.80 0.03 127,230.80 BB9ZSW0 5.49 4.75 11.12
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 127,086.54 0.03 127,086.54 BMF74Z2 6.16 3.38 10.62
NATWEST GROUP PLC Banking Fixed Income 127,086.54 0.03 127,086.54 BK94J94 4.98 4.45 2.77
AMGEN INC Consumer Non-Cyclical Fixed Income 126,990.37 0.03 126,990.37 nan 4.32 4.20 4.31
INTEL CORPORATION Technology Fixed Income 126,894.21 0.03 126,894.21 nan 4.97 5.15 6.35
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 126,846.12 0.03 126,846.12 nan 6.56 3.50 11.04
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 126,846.12 0.03 126,846.12 BKM3QG4 4.23 2.80 3.52
UNION PACIFIC CORPORATION Transportation Fixed Income 126,798.04 0.03 126,798.04 nan 4.38 2.80 5.25
DEVON ENERGY CORP Energy Fixed Income 126,653.78 0.03 126,653.78 B3Q7W10 5.75 5.60 9.97
MOTOROLA SOLUTIONS INC Technology Fixed Income 126,605.70 0.03 126,605.70 BLB5ZP0 4.52 2.30 4.22
ORACLE CORPORATION Technology Fixed Income 126,605.70 0.03 126,605.70 BLFC9N3 7.19 5.50 13.42
AMPHENOL CORPORATION Capital Goods Fixed Income 126,413.36 0.02 126,413.36 nan 4.40 2.20 4.99
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 126,413.36 0.02 126,413.36 BF01Z35 5.29 3.75 13.42
VERIZON COMMUNICATIONS INC Communications Fixed Income 126,365.28 0.02 126,365.28 BRS92H8 4.69 5.05 5.78
ELEVANCE HEALTH INC Insurance Fixed Income 126,365.28 0.02 126,365.28 B88F2Y0 5.71 4.65 11.00
SOUTHERN COMPANY (THE) Electric Fixed Income 126,172.94 0.02 126,172.94 nan 4.37 3.70 3.64
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 126,076.77 0.02 126,076.77 BJHNYB3 6.96 5.13 11.96
ENBRIDGE INC Energy Fixed Income 126,028.69 0.02 126,028.69 nan 4.36 3.13 3.29
SEMPRA Natural Gas Fixed Income 126,028.69 0.02 126,028.69 BFWJJY6 5.44 3.80 9.07
EXXON MOBIL CORP Energy Fixed Income 125,932.52 0.02 125,932.52 BW9RTS6 5.39 3.57 12.74
NIKE INC Consumer Cyclical Fixed Income 125,932.52 0.02 125,932.52 nan 5.23 3.25 10.65
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 125,884.44 0.02 125,884.44 BRJVGH1 5.58 5.20 14.32
MERCK & CO INC Consumer Non-Cyclical Fixed Income 125,884.44 0.02 125,884.44 nan 5.53 5.50 11.94
BROADCOM INC Technology Fixed Income 125,836.35 0.02 125,836.35 nan 4.30 4.20 4.05
COCA-COLA CO Consumer Non-Cyclical Fixed Income 125,788.27 0.02 125,788.27 nan 5.46 2.60 15.42
CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 125,740.19 0.02 125,740.19 nan 4.07 4.70 3.21
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 125,692.10 0.02 125,692.10 BV4FN08 4.11 4.85 5.06
COOPERATIEVE RABOBANK UA Banking Fixed Income 125,644.02 0.02 125,644.02 BYWZXG7 5.81 5.25 11.63
LLOYDS BANKING GROUP PLC Banking Fixed Income 125,644.02 0.02 125,644.02 nan 4.47 5.72 2.80
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 125,547.85 0.02 125,547.85 nan 4.24 5.00 3.45
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 125,499.76 0.02 125,499.76 nan 4.59 4.70 5.83
VISA INC Technology Fixed Income 125,451.68 0.02 125,451.68 BMPS1L0 5.44 2.00 16.57
VODAFONE GROUP PLC Communications Fixed Income 125,451.68 0.02 125,451.68 BFMLP22 5.91 5.25 12.30
METLIFE INC Insurance Fixed Income 125,403.60 0.02 125,403.60 BYQ29M2 5.57 4.60 12.21
SWP: OIS 3.276200 28-NOV-2030 SOF Cash and/or Derivatives Swaps 125,385.50 0.02 -9,874,614.50 nan -0.23 3.28 4.29
APPLE INC Technology Fixed Income 125,211.26 0.02 125,211.26 BL6LYZ6 5.43 2.70 15.80
ACCENTURE CAPITAL INC Technology Fixed Income 125,115.09 0.02 125,115.09 nan 4.08 4.05 3.20
MERCK & CO INC Consumer Non-Cyclical Fixed Income 125,115.09 0.02 125,115.09 BMBQJZ8 5.57 2.45 15.60
T-MOBILE USA INC Communications Fixed Income 125,115.09 0.02 125,115.09 BN0ZLT1 5.94 3.60 15.74
DIAGEO INVESTMENT CORPORATION Consumer Non-Cyclical Fixed Income 125,067.01 0.02 125,067.01 nan 4.40 5.13 3.83
HCA INC Consumer Non-Cyclical Fixed Income 125,067.01 0.02 125,067.01 BKKDGS8 5.54 5.13 9.23
SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 125,067.01 0.02 125,067.01 BDGKT18 5.72 4.50 12.56
SWP: USD 3.767700 17-DEC-2054 SOF Cash and/or Derivatives Swaps 125,044.15 0.02 -1,874,955.85 nan 0.19 3.77 16.98
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 125,018.92 0.02 125,018.92 nan 4.64 4.85 6.40
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 125,018.92 0.02 125,018.92 BHWTW63 4.11 3.13 3.06
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 124,970.84 0.02 124,970.84 nan 4.69 4.60 4.15
T-MOBILE USA INC Communications Fixed Income 124,970.84 0.02 124,970.84 nan 4.78 4.63 5.60
UNITED PARCEL SERVICE INC Transportation Fixed Income 124,970.84 0.02 124,970.84 nan 4.39 4.88 5.78
WESTPAC BANKING CORP Banking Fixed Income 124,970.84 0.02 124,970.84 nan 5.14 6.82 5.83
INTUIT INC Technology Fixed Income 124,922.75 0.02 124,922.75 BNNJDM7 6.11 5.50 13.43
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 124,826.59 0.02 124,826.59 nan 5.39 3.55 11.44
INTEL CORPORATION Technology Fixed Income 124,826.59 0.02 124,826.59 BMX7H88 5.87 5.63 10.58
WESTPAC BANKING CORP Banking Fixed Income 124,826.59 0.02 124,826.59 nan 4.22 2.15 4.73
TIME WARNER CABLE ENTERPRISES LLC Communications Fixed Income 124,778.50 0.02 124,778.50 2727266 5.86 8.38 5.44
APPLE INC Technology Fixed Income 124,682.33 0.02 124,682.33 BJDSXS2 5.44 2.95 14.95
DIAMONDBACK ENERGY INC Energy Fixed Income 124,586.16 0.02 124,586.16 BQWR7X2 4.88 6.25 5.60
ELEVANCE HEALTH INC Insurance Fixed Income 124,441.91 0.02 124,441.91 nan 4.68 4.60 5.47
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 124,441.91 0.02 124,441.91 nan 4.65 2.22 4.98
WILLIAMS COMPANIES INC Energy Fixed Income 124,345.74 0.02 124,345.74 nan 5.97 5.95 13.67
SWP: OIS 3.353700 25-SEP-2049 SOF Cash and/or Derivatives Swaps 124,340.57 0.02 -875,659.43 nan -0.06 3.35 15.58
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 124,297.66 0.02 124,297.66 BD319Y7 5.25 3.70 13.10
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 124,297.66 0.02 124,297.66 nan 4.24 2.25 3.92
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 124,249.57 0.02 124,249.57 BQ0N1J6 5.70 5.35 13.63
BANCO SANTANDER SA Banking Fixed Income 124,153.41 0.02 124,153.41 nan 5.34 6.35 6.20
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 123,961.07 0.02 123,961.07 nan 4.65 5.05 6.54
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 123,961.07 0.02 123,961.07 nan 4.33 2.10 3.76
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 123,912.99 0.02 123,912.99 BPJK3B7 4.49 5.15 6.10
PAYPAL HOLDINGS INC Technology Fixed Income 123,864.90 0.02 123,864.90 nan 6.05 5.05 13.25
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 123,864.90 0.02 123,864.90 BMC8W21 4.56 3.80 3.99
BIOGEN INC Consumer Non-Cyclical Fixed Income 123,720.65 0.02 123,720.65 nan 5.95 3.15 14.28
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 123,672.56 0.02 123,672.56 BKPJWW7 6.05 3.70 14.04
CARRIER GLOBAL CORP Capital Goods Fixed Income 123,672.56 0.02 123,672.56 BNG21Z2 5.66 3.58 14.37
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 123,672.56 0.02 123,672.56 BPCTJS0 6.89 5.25 12.81
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 123,672.56 0.02 123,672.56 BMXNHJ7 4.43 4.63 3.70
NIKE INC Consumer Cyclical Fixed Income 123,672.56 0.02 123,672.56 BLB1V27 4.19 2.85 3.67
ANALOG DEVICES INC Technology Fixed Income 123,624.48 0.02 123,624.48 nan 4.36 2.10 5.05
DELL INTERNATIONAL LLC Technology Fixed Income 123,624.48 0.02 123,624.48 nan 5.47 8.10 7.14
ELEVANCE HEALTH INC Insurance Fixed Income 123,576.40 0.02 123,576.40 nan 4.41 2.25 3.79
TEXAS INSTRUMENTS INC Technology Fixed Income 123,528.31 0.02 123,528.31 BG0DDF6 5.48 4.15 13.22
VERIZON COMMUNICATIONS INC Communications Fixed Income 123,528.31 0.02 123,528.31 nan 5.82 4.00 13.86
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 123,480.23 0.02 123,480.23 nan 4.63 4.40 5.37
DEERE & CO Capital Goods Fixed Income 123,432.14 0.02 123,432.14 B87L119 5.20 3.90 11.28
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 123,384.06 0.02 123,384.06 B5NNJ47 5.39 4.13 11.06
JPMORGAN CHASE & CO Banking Fixed Income 123,384.06 0.02 123,384.06 BNDQ2D2 4.57 1.76 4.28
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 123,335.98 0.02 123,335.98 BL6LJ95 5.40 3.02 10.81
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 123,287.89 0.02 123,287.89 nan 5.72 5.75 13.84
EOG RESOURCES INC Energy Fixed Income 123,287.89 0.02 123,287.89 nan 4.56 5.00 5.27
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 123,287.89 0.02 123,287.89 nan 6.23 6.05 13.29
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 123,287.89 0.02 123,287.89 nan 4.59 2.31 4.58
APPLE INC Technology Fixed Income 123,047.47 0.02 123,047.47 nan 4.09 4.30 5.94
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 122,999.39 0.02 122,999.39 B97MM05 5.71 6.88 8.56
PEPSICO INC Consumer Non-Cyclical Fixed Income 122,951.30 0.02 122,951.30 nan 4.34 4.65 5.34
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 122,951.30 0.02 122,951.30 BL739D4 4.37 2.25 3.66
AMAZON.COM INC Consumer Cyclical Fixed Income 122,903.22 0.02 122,903.22 BNVX8J3 5.70 3.25 16.54
HP INC Technology Fixed Income 122,903.22 0.02 122,903.22 B5V6LS6 5.82 6.00 9.97
INTEL CORPORATION Technology Fixed Income 122,855.13 0.02 122,855.13 BDDQWX2 6.03 4.10 12.28
UNION PACIFIC CORPORATION Transportation Fixed Income 122,807.05 0.02 122,807.05 nan 5.62 5.60 13.87
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 122,758.96 0.02 122,758.96 BMBP1C6 7.03 4.40 13.71
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 122,758.96 0.02 122,758.96 nan 5.82 5.25 13.77
SALESFORCE INC Technology Fixed Income 122,758.96 0.02 122,758.96 BN466T5 5.73 2.70 11.49
REGAL REXNORD CORP Capital Goods Fixed Income 122,662.80 0.02 122,662.80 nan 5.19 6.40 5.65
BANK OF AMERICA CORP MTN Banking Fixed Income 122,614.71 0.02 122,614.71 BLNB200 5.69 2.83 14.99
LOWES COMPANIES INC Consumer Cyclical Fixed Income 122,614.71 0.02 122,614.71 nan 4.61 4.50 5.57
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 122,518.54 0.02 122,518.54 nan 4.71 4.85 6.37
DUKE ENERGY FLORIDA LLC Electric Fixed Income 122,518.54 0.02 122,518.54 B39XY20 5.20 6.40 8.44
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 122,518.54 0.02 122,518.54 nan 4.19 4.40 3.88
JBS NV Consumer Non-Cyclical Fixed Income 122,470.46 0.02 122,470.46 2PGWWX2 6.43 6.38 14.33
KEYCORP MTN Banking Fixed Income 122,470.46 0.02 122,470.46 nan 4.40 2.55 3.25
TYSON FOODS INC Consumer Non-Cyclical Fixed Income 122,470.46 0.02 122,470.46 nan 4.98 5.70 6.33
HCA INC Consumer Non-Cyclical Fixed Income 122,422.38 0.02 122,422.38 nan 5.13 4.90 7.38
COMCAST CORPORATION Communications Fixed Income 122,374.29 0.02 122,374.29 BL6D441 6.12 2.80 14.87
COOPERATIEVE RABOBANK UA Banking Fixed Income 122,374.29 0.02 122,374.29 BGYY0D2 5.83 5.75 10.72
DELL INTERNATIONAL LLC / EMC CORP Technology Fixed Income 122,374.29 0.02 122,374.29 nan 4.83 5.75 5.55
DELL INTERNATIONAL LLC Technology Fixed Income 122,374.29 0.02 122,374.29 nan 5.01 5.40 6.45
PFIZER INC Consumer Non-Cyclical Fixed Income 122,374.29 0.02 122,374.29 BJJD7V2 5.60 4.00 13.72
APPLE INC Technology Fixed Income 122,326.21 0.02 122,326.21 BF58H35 5.41 3.75 13.55
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 122,230.04 0.02 122,230.04 nan 5.44 5.60 11.95
WALMART INC Consumer Cyclical Fixed Income 122,133.87 0.02 122,133.87 B242VX5 4.64 6.50 8.18
ARES STRATEGIC INCOME FUND Finance Companies Fixed Income 122,085.79 0.02 122,085.79 nan 6.04 5.60 3.36
VALERO ENERGY CORPORATION Energy Fixed Income 121,941.53 0.02 121,941.53 nan 5.20 5.15 7.63
ING GROEP NV Banking Fixed Income 121,893.45 0.02 121,893.45 nan 5.18 5.53 7.00
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 121,893.45 0.02 121,893.45 nan 4.64 4.05 3.44
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 121,797.28 0.02 121,797.28 nan 4.53 2.90 5.28
ALPHABET INC Technology Fixed Income 121,749.20 0.02 121,749.20 BMD7ZG2 5.10 1.90 11.78
KINDER MORGAN INC Energy Fixed Income 121,749.20 0.02 121,749.20 nan 4.35 5.15 3.63
GENERAL MOTORS CO Consumer Cyclical Fixed Income 121,653.03 0.02 121,653.03 nan 4.92 5.60 5.42
SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 121,653.03 0.02 121,653.03 nan 6.16 6.60 12.23
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 121,556.86 0.02 121,556.86 nan 5.02 5.63 6.80
META PLATFORMS INC Communications Fixed Income 121,460.69 0.02 121,460.69 nan 4.17 4.80 3.61
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 121,460.69 0.02 121,460.69 nan 4.50 5.25 4.39
LLOYDS BANKING GROUP PLC Banking Fixed Income 121,460.69 0.02 121,460.69 nan 5.09 5.59 6.67
PEPSICO INC Consumer Non-Cyclical Fixed Income 121,460.69 0.02 121,460.69 nan 4.12 1.40 4.59
WELLS FARGO & COMPANY Banking Fixed Income 121,460.69 0.02 121,460.69 B0FR9F3 5.20 5.50 7.15
EXPAND ENERGY CORP Energy Fixed Income 121,316.44 0.02 121,316.44 nan 4.96 4.75 4.95
EXELON GENERATION CO LLC Electric Fixed Income 121,268.35 0.02 121,268.35 B4LVKD2 5.48 6.25 9.18
UNION PACIFIC CORPORATION Transportation Fixed Income 121,268.35 0.02 121,268.35 BLF0CQ1 5.67 3.84 16.13
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 121,220.27 0.02 121,220.27 nan 4.78 5.60 4.39
UNITED PARCEL SERVICE INC Transportation Fixed Income 121,124.10 0.02 121,124.10 nan 5.69 5.50 13.73
TARGA RESOURCES CORP Energy Fixed Income 121,076.02 0.02 121,076.02 nan 5.00 6.13 5.61
BANCO SANTANDER SA Banking Fixed Income 121,027.93 0.02 121,027.93 nan 4.71 2.96 4.50
GENERAL MOTORS CO Consumer Cyclical Fixed Income 121,027.93 0.02 121,027.93 BD93QC4 5.60 5.15 8.74
ONEOK INC Energy Fixed Income 121,027.93 0.02 121,027.93 BFZZ811 6.13 5.20 12.30
TOTALENERGIES CAPITAL SA Energy Fixed Income 121,027.93 0.02 121,027.93 nan 5.76 5.42 15.46
AMERICAN TOWER CORPORATION Communications Fixed Income 120,931.77 0.02 120,931.77 BG0X453 4.36 3.80 3.07
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 120,931.77 0.02 120,931.77 nan 5.85 5.25 13.66
WALMART INC Consumer Cyclical Fixed Income 120,931.77 0.02 120,931.77 BFYK6C4 5.33 4.05 13.51
MANULIFE FINANCIAL CORP Insurance Fixed Income 120,787.51 0.02 120,787.51 nan 4.98 4.99 7.46
CENCORA INC Consumer Non-Cyclical Fixed Income 120,739.43 0.02 120,739.43 nan 5.03 4.90 7.64
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 120,643.26 0.02 120,643.26 nan 4.28 5.75 4.14
MERCK & CO INC Consumer Non-Cyclical Fixed Income 120,643.26 0.02 120,643.26 nan 5.78 5.70 15.20
AT&T INC Communications Fixed Income 120,595.18 0.02 120,595.18 BMHWTR2 6.09 3.85 15.28
SIMON PROPERTY GROUP LP Reits Fixed Income 120,595.18 0.02 120,595.18 nan 4.87 4.75 6.86
INTEL CORPORATION Technology Fixed Income 120,547.09 0.02 120,547.09 BSNWTF6 6.01 5.60 13.51
ORACLE CORPORATION Technology Fixed Income 120,450.92 0.02 120,450.92 BWTM356 6.99 4.38 13.19
FLORIDA POWER & LIGHT CO Electric Fixed Income 120,162.42 0.02 120,162.42 nan 4.70 5.30 6.50
VODAFONE GROUP PLC Communications Fixed Income 120,162.42 0.02 120,162.42 BK6WV73 5.93 4.88 12.81
GE VERNOVA INC Capital Goods Fixed Income 120,066.25 0.02 120,066.25 nan 5.66 5.50 14.24
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 119,922.00 0.02 119,922.00 5733992 5.33 7.45 4.29
TARGA RESOURCES PARTNERS LP Energy Fixed Income 119,922.00 0.02 119,922.00 BPLF5V4 4.85 4.00 5.00
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 119,873.91 0.02 119,873.91 nan 4.46 4.40 4.19
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 119,681.58 0.02 119,681.58 nan 6.02 5.70 13.60
DEVON ENERGY CORPORATION Energy Fixed Income 119,633.49 0.02 119,633.49 BSQNDD2 6.06 5.75 13.55
ELEVANCE HEALTH INC Insurance Fixed Income 119,633.49 0.02 119,633.49 BMXHKL2 4.81 4.75 5.72
JPMORGAN CHASE & CO Banking Fixed Income 119,633.49 0.02 119,633.49 BD035K4 5.52 5.63 10.92
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 119,585.41 0.02 119,585.41 BS2G0M3 5.64 5.20 13.96
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 119,537.32 0.02 119,537.32 nan 4.34 4.60 4.18
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 119,537.32 0.02 119,537.32 nan 5.29 2.25 16.31
SWP: OIS 3.590700 28-NOV-2035 SOF Cash and/or Derivatives Swaps 119,518.88 0.02 -6,880,481.12 nan 0.02 3.59 8.11
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 119,489.24 0.02 119,489.24 nan 4.65 5.10 6.52
COCA-COLA CO Consumer Non-Cyclical Fixed Income 119,441.15 0.02 119,441.15 BK93JD5 5.46 2.50 16.01
HUMANA INC Insurance Fixed Income 119,441.15 0.02 119,441.15 nan 5.51 5.55 6.86
DUKE ENERGY CORP Electric Fixed Income 119,393.07 0.02 119,393.07 BNDQRS2 5.97 5.00 13.55
NXP BV Technology Fixed Income 119,393.07 0.02 119,393.07 nan 4.86 5.00 5.60
SOUTH BOW USA INFRASTRUCTURE HOLDI Energy Fixed Income 119,393.07 0.02 119,393.07 nan 4.59 5.03 3.14
GEORGIA POWER COMPANY Electric Fixed Income 119,344.99 0.02 119,344.99 nan 4.65 4.95 5.82
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 119,344.99 0.02 119,344.99 nan 5.65 5.65 15.73
ENERGY TRANSFER LP Energy Fixed Income 119,248.82 0.02 119,248.82 nan 5.13 5.55 6.33
MERCK & CO INC Consumer Non-Cyclical Fixed Income 119,248.82 0.02 119,248.82 nan 4.86 4.75 7.51
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 119,248.82 0.02 119,248.82 nan 6.23 6.00 13.48
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 119,248.82 0.02 119,248.82 nan 4.63 5.25 3.49
UNITED PARCEL SERVICE INC Transportation Fixed Income 119,248.82 0.02 119,248.82 BQMRXX4 5.71 5.05 13.91
ARCELORMITTAL SA Basic Industry Fixed Income 119,200.73 0.02 119,200.73 nan 4.74 6.80 5.26
FIFTH THIRD BANCORP Banking Fixed Income 119,200.73 0.02 119,200.73 nan 5.25 5.42 7.52
T-MOBILE USA INC Communications Fixed Income 119,200.73 0.02 119,200.73 BR876T2 5.99 5.50 13.66
VERIZON COMMUNICATIONS INC Communications Fixed Income 119,200.73 0.02 119,200.73 BYRLSF4 5.86 4.52 13.03
TARGA RESOURCES CORP Energy Fixed Income 119,152.65 0.02 119,152.65 BQ3PVG6 6.17 6.50 12.77
PNC BANK NA Banking Fixed Income 119,104.57 0.02 119,104.57 nan 4.36 2.70 3.25
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 119,008.40 0.02 119,008.40 nan 4.11 2.63 3.17
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 119,008.40 0.02 119,008.40 nan 5.67 5.57 11.66
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 118,960.31 0.02 118,960.31 nan 4.22 4.90 4.27
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 118,816.06 0.02 118,816.06 nan 4.55 5.25 6.18
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 118,816.06 0.02 118,816.06 BD3GB68 5.22 6.20 7.21
HOME DEPOT INC Consumer Cyclical Fixed Income 118,816.06 0.02 118,816.06 BPLZ008 5.62 4.95 13.98
LOWES COMPANIES INC Consumer Cyclical Fixed Income 118,719.89 0.02 118,719.89 BMGCHK2 5.97 4.45 15.49
EXELON CORPORATION Electric Fixed Income 118,671.81 0.02 118,671.81 nan 5.15 4.95 7.68
AMGEN INC Consumer Non-Cyclical Fixed Income 118,623.72 0.02 118,623.72 BN4J2B8 4.63 4.20 5.86
ELEVANCE HEALTH INC Insurance Fixed Income 118,623.72 0.02 118,623.72 nan 4.60 4.95 4.70
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 118,575.64 0.02 118,575.64 nan 4.84 4.95 7.08
CUMMINS INC Consumer Cyclical Fixed Income 118,527.55 0.02 118,527.55 nan 4.65 5.15 6.38
EXXON MOBIL CORP Energy Fixed Income 118,527.55 0.02 118,527.55 BJP4010 5.47 3.10 14.70
ARCHER DANIELS MIDLAND CO Consumer Non-Cyclical Fixed Income 118,431.39 0.02 118,431.39 nan 4.25 3.25 3.65
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 118,431.39 0.02 118,431.39 nan 5.38 6.00 7.07
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 118,431.39 0.02 118,431.39 nan 4.33 5.10 4.32
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 118,383.30 0.02 118,383.30 nan 5.37 4.40 5.87
WALMART INC Consumer Cyclical Fixed Income 118,383.30 0.02 118,383.30 B2QVLK7 4.76 6.20 8.65
COCA-COLA CO Consumer Non-Cyclical Fixed Income 118,335.22 0.02 118,335.22 nan 3.90 2.13 3.21
FOX CORP Communications Fixed Income 118,287.13 0.02 118,287.13 BMPRYX0 5.55 5.48 8.98
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 118,239.05 0.02 118,239.05 nan 5.34 5.90 6.70
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 118,190.97 0.02 118,190.97 nan 5.07 5.35 7.01
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 118,094.80 0.02 118,094.80 BSNYFK9 4.94 6.00 6.22
ELEVANCE HEALTH INC Insurance Fixed Income 118,046.71 0.02 118,046.71 BMXHKK1 5.91 5.13 13.64
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 117,950.54 0.02 117,950.54 nan 4.55 5.25 4.16
SIMON PROPERTY GROUP LP Reits Fixed Income 117,950.54 0.02 117,950.54 nan 4.39 4.30 4.20
CME GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 117,902.46 0.02 117,902.46 nan 4.12 4.40 3.55
SMURFIT KAPPA TREASURY UNLIMITED C Basic Industry Fixed Income 117,902.46 0.02 117,902.46 nan 5.02 5.44 6.41
UNITEDHEALTH GROUP INC Insurance Fixed Income 117,854.38 0.02 117,854.38 B2PHBR3 5.18 6.88 8.25
APPLE INC Technology Fixed Income 117,806.29 0.02 117,806.29 BDVPX83 5.42 4.25 12.92
ELEVANCE HEALTH INC Insurance Fixed Income 117,758.21 0.02 117,758.21 nan 4.97 5.38 6.46
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 117,662.04 0.02 117,662.04 nan 4.55 5.83 4.17
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 117,662.04 0.02 117,662.04 BPK81T4 4.97 4.95 5.81
UNITEDHEALTH GROUP INC Insurance Fixed Income 117,662.04 0.02 117,662.04 BM95BD9 5.69 2.90 14.81
INTEL CORPORATION Technology Fixed Income 117,613.96 0.02 117,613.96 nan 4.76 4.15 5.42
AMAZON.COM INC Consumer Cyclical Fixed Income 117,565.87 0.02 117,565.87 BLPP192 5.71 4.10 16.17
FLORIDA POWER & LIGHT CO Electric Fixed Income 117,469.70 0.02 117,469.70 nan 5.62 5.70 14.10
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 117,421.62 0.02 117,421.62 BM8MLZ3 5.27 4.50 13.77
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 117,421.62 0.02 117,421.62 nan 4.62 4.60 6.80
CONOCOPHILLIPS CO Energy Fixed Income 117,373.53 0.02 117,373.53 BQD1VB9 5.75 5.55 13.85
ENERGY TRANSFER LP Energy Fixed Income 117,325.45 0.02 117,325.45 nan 6.30 6.30 13.19
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 117,325.45 0.02 117,325.45 nan 4.20 4.25 4.38
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 117,277.37 0.02 117,277.37 nan 5.61 3.95 14.09
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 117,277.37 0.02 117,277.37 nan 4.22 2.13 3.64
UNITEDHEALTH GROUP INC Insurance Fixed Income 117,277.37 0.02 117,277.37 nan 5.76 5.95 13.70
LYB INTERNATIONAL FINANCE BV Basic Industry Fixed Income 117,133.11 0.02 117,133.11 BCBR9Y0 6.44 5.25 10.61
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 117,133.11 0.02 117,133.11 nan 3.99 4.20 3.06
CRH SMW FINANCE DAC Capital Goods Fixed Income 117,085.03 0.02 117,085.03 nan 4.39 5.13 3.33
PROLOGIS LP Reits Fixed Income 117,085.03 0.02 117,085.03 nan 4.70 4.75 5.92
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 117,036.94 0.02 117,036.94 nan 4.63 4.74 5.09
CIGNA GROUP Consumer Non-Cyclical Fixed Income 117,036.94 0.02 117,036.94 BKQN6X7 5.75 3.40 14.68
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 117,036.94 0.02 117,036.94 nan 5.01 5.75 5.70
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 116,988.86 0.02 116,988.86 nan 4.49 2.73 4.53
BANCO SANTANDER SA Banking Fixed Income 116,988.86 0.02 116,988.86 BLB6SW1 4.57 3.49 3.72
APPLE INC Technology Fixed Income 116,748.44 0.02 116,748.44 nan 3.96 1.65 3.84
PACIFICORP Electric Fixed Income 116,508.02 0.02 116,508.02 nan 4.98 5.45 5.77
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 116,411.85 0.02 116,411.85 nan 4.68 5.10 7.01
PEPSICO INC Consumer Non-Cyclical Fixed Income 116,411.85 0.02 116,411.85 nan 4.08 2.75 3.66
TAKEDA US FINANCING INC Consumer Non-Cyclical Fixed Income 116,363.77 0.02 116,363.77 nan 5.83 5.90 13.70
BROADCOM INC Technology Fixed Income 116,315.68 0.02 116,315.68 nan 4.49 4.55 5.03
NVIDIA CORPORATION Technology Fixed Income 116,315.68 0.02 116,315.68 BKP3KW5 5.36 3.50 14.66
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 116,315.68 0.02 116,315.68 BMQ9JS5 5.63 4.35 12.91
ENERGY TRANSFER LP Energy Fixed Income 116,267.60 0.02 116,267.60 BSN4Q84 6.16 5.35 11.19
UNITEDHEALTH GROUP INC Insurance Fixed Income 116,219.51 0.02 116,219.51 nan 4.33 4.65 4.18
PFIZER INC Consumer Non-Cyclical Fixed Income 116,075.26 0.02 116,075.26 nan 4.20 4.20 4.06
WALMART INC Consumer Cyclical Fixed Income 116,027.18 0.02 116,027.18 BMDP812 5.29 2.65 16.12
CRH AMERICA FINANCE INC Capital Goods Fixed Income 115,979.09 0.02 115,979.09 nan 4.92 5.40 6.39
ENBRIDGE INC Energy Fixed Income 115,979.09 0.02 115,979.09 BN12KM7 4.58 6.20 3.89
PROLOGIS LP Reits Fixed Income 115,979.09 0.02 115,979.09 BPDYZG4 5.59 5.25 14.16
TRAVELERS COMPANIES INC MTN Insurance Fixed Income 115,931.01 0.02 115,931.01 B1Y1S45 4.96 6.25 8.02
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 115,786.76 0.02 115,786.76 nan 4.71 4.90 3.71
SWP: OIS 3.939700 01-DEC-2045 SOF Cash and/or Derivatives Swaps 115,782.32 0.02 -4,376,217.68 nan 0.33 3.94 13.47
MARATHON PETROLEUM CORP Energy Fixed Income 115,738.67 0.02 115,738.67 nan 5.16 5.70 6.90
SHELL FINANCE US INC Energy Fixed Income 115,738.67 0.02 115,738.67 nan 4.15 2.75 3.70
CHEVRON USA INC Energy Fixed Income 115,690.59 0.02 115,690.59 nan 4.71 4.85 7.55
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 115,690.59 0.02 115,690.59 nan 4.51 4.47 4.09
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 115,690.59 0.02 115,690.59 nan 5.26 5.45 6.94
BELL TELEPHONE COMPANY OF CANADA O Communications Fixed Income 115,450.17 0.02 115,450.17 BFY0DB2 5.92 4.46 12.93
BERKSHIRE HATHAWAY INC Insurance Fixed Income 115,450.17 0.02 115,450.17 B819DG8 5.17 4.50 11.36
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 115,450.17 0.02 115,450.17 B4PXK12 5.15 5.75 9.47
MPLX LP Energy Fixed Income 115,450.17 0.02 115,450.17 nan 5.36 5.30 7.58
PACIFICORP Electric Fixed Income 115,450.17 0.02 115,450.17 nan 5.31 5.80 7.55
VULCAN MATERIALS COMPANY Capital Goods Fixed Income 115,450.17 0.02 115,450.17 BM95BK6 4.32 3.50 3.74
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 115,402.08 0.02 115,402.08 nan 5.55 5.55 14.43
LOWES COMPANIES INC Consumer Cyclical Fixed Income 115,402.08 0.02 115,402.08 nan 5.00 4.85 7.52
MERCK & CO INC Consumer Non-Cyclical Fixed Income 115,402.08 0.02 115,402.08 nan 4.15 4.30 3.65
ALPHABET INC Technology Fixed Income 115,354.00 0.02 115,354.00 nan 4.62 4.50 7.24
HUMANA INC Insurance Fixed Income 115,354.00 0.02 115,354.00 nan 4.89 5.38 4.35
COMCAST CORPORATION Communications Fixed Income 115,209.75 0.02 115,209.75 nan 6.05 6.05 13.27
ENBRIDGE INC Energy Fixed Income 115,209.75 0.02 115,209.75 nan 5.18 5.45 7.61
ENERGY TRANSFER LP Energy Fixed Income 115,113.58 0.02 115,113.58 BYQ24Q1 6.17 6.13 11.09
DUKE ENERGY PROGRESS LLC Electric Fixed Income 115,065.49 0.02 115,065.49 nan 4.84 5.05 7.10
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 115,065.49 0.02 115,065.49 B2418B9 4.68 5.95 8.30
MIDAMERICAN ENERGY COMPANY Electric Fixed Income 115,065.49 0.02 115,065.49 BJ1STS6 5.65 4.25 13.48
MOTOROLA SOLUTIONS INC Technology Fixed Income 115,065.49 0.02 115,065.49 BKPG927 4.59 2.75 4.62
UNITEDHEALTH GROUP INC Insurance Fixed Income 115,065.49 0.02 115,065.49 BHHK982 5.76 4.45 13.04
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 115,017.41 0.02 115,017.41 nan 4.65 5.55 4.35
WILLIAMS COMPANIES INC Energy Fixed Income 114,969.32 0.02 114,969.32 BW3SWW0 5.80 5.10 11.82
AT&T INC Communications Fixed Income 114,921.24 0.02 114,921.24 nan 5.08 5.38 7.23
HUMANA INC Insurance Fixed Income 114,873.16 0.02 114,873.16 nan 5.46 5.95 6.25
BROADCOM INC Technology Fixed Income 114,728.90 0.02 114,728.90 nan 4.53 5.20 5.12
CARDINAL HEALTH INC Consumer Non-Cyclical Fixed Income 114,680.82 0.02 114,680.82 nan 4.37 5.00 3.19
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 114,632.73 0.02 114,632.73 nan 4.65 4.90 5.75
CARRIER GLOBAL CORP Capital Goods Fixed Income 114,632.73 0.02 114,632.73 BS2FZR0 4.87 5.90 6.31
PEPSICO INC Consumer Non-Cyclical Fixed Income 114,536.57 0.02 114,536.57 nan 5.42 5.25 14.28
MOTOROLA SOLUTIONS INC Technology Fixed Income 114,488.48 0.02 114,488.48 nan 5.09 5.40 6.45
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 114,488.48 0.02 114,488.48 nan 4.28 2.00 5.01
UNITED PARCEL SERVICE INC Transportation Fixed Income 114,488.48 0.02 114,488.48 nan 5.86 6.05 14.83
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 114,392.31 0.02 114,392.31 BMC5GZ3 4.19 3.63 3.65
PROLOGIS LP Reits Fixed Income 114,392.31 0.02 114,392.31 nan 4.81 5.00 6.46
MICROSOFT CORPORATION Technology Fixed Income 114,344.23 0.02 114,344.23 BVWXT28 4.35 3.50 7.41
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 114,296.15 0.02 114,296.15 BLB65N1 4.28 1.75 4.06
TARGA RESOURCES CORP Energy Fixed Income 114,296.15 0.02 114,296.15 nan 5.28 5.55 7.17
CRH AMERICA FINANCE INC Capital Goods Fixed Income 114,248.06 0.02 114,248.06 nan 4.48 4.40 4.26
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 114,248.06 0.02 114,248.06 BLC8C02 4.27 4.40 3.59
WASTE CONNECTIONS INC Capital Goods Fixed Income 114,248.06 0.02 114,248.06 nan 4.64 4.20 5.73
APPLE INC Technology Fixed Income 114,199.98 0.02 114,199.98 BKPJTD7 5.47 2.80 17.67
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 114,199.98 0.02 114,199.98 nan 4.94 2.30 5.26
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 114,199.98 0.02 114,199.98 nan 4.21 4.90 4.30
CENCORA INC Consumer Non-Cyclical Fixed Income 114,151.89 0.02 114,151.89 nan 4.50 2.70 4.51
MORGAN STANLEY MTN Banking Fixed Income 114,151.89 0.02 114,151.89 BMZ2XH2 5.65 2.80 15.30
ROYAL BANK OF CANADA MTN Banking Fixed Income 114,151.89 0.02 114,151.89 nan 4.44 3.88 5.23
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 114,103.81 0.02 114,103.81 nan 4.21 1.65 4.21
SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 114,103.81 0.02 114,103.81 BKDXGP2 4.26 2.95 3.11
DELL INTERNATIONAL LLC Technology Fixed Income 114,055.72 0.02 114,055.72 nan 4.56 4.50 4.26
CROWN CASTLE INC Communications Fixed Income 114,007.64 0.02 114,007.64 BN0WR16 5.08 5.10 5.72
APPLE INC Technology Fixed Income 113,959.56 0.02 113,959.56 BQB7DX5 5.30 4.85 14.24
GEORGIA POWER COMPANY Electric Fixed Income 113,911.47 0.02 113,911.47 B78K6L3 5.45 4.30 11.01
KINDER MORGAN INC Energy Fixed Income 113,863.39 0.02 113,863.39 BRJK1M8 5.92 5.95 13.47
PFIZER INC Consumer Non-Cyclical Fixed Income 113,863.39 0.02 113,863.39 nan 4.45 4.50 5.54
EQUINIX INC Technology Fixed Income 113,815.30 0.02 113,815.30 nan 4.71 3.90 5.26
SHELL FINANCE US INC 144A Energy Fixed Income 113,815.30 0.02 113,815.30 nan 5.62 3.13 14.45
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 113,815.30 0.02 113,815.30 nan 4.83 5.35 6.86
CITIGROUP INC Banking Fixed Income 113,767.22 0.02 113,767.22 BLCBFR9 5.59 5.32 9.71
SHELL FINANCE US INC Energy Fixed Income 113,719.13 0.02 113,719.13 BT26H41 5.60 3.25 14.73
JEFFERIES GROUP LLC MTN Brokerage/Asset Managers/Exchanges Fixed Income 113,671.05 0.02 113,671.05 nan 5.10 2.63 5.00
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 113,671.05 0.02 113,671.05 BN7K3Z9 4.68 5.00 5.82
GEORGIA POWER COMPANY Electric Fixed Income 113,574.88 0.02 113,574.88 nan 4.75 5.25 6.42
US BANCORP MTN Banking Fixed Income 113,574.88 0.02 113,574.88 nan 4.46 5.10 2.95
CHENIERE CORPUS CHRISTI HOLDINGS L Energy Fixed Income 113,526.80 0.02 113,526.80 nan 4.36 3.70 3.26
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 113,478.71 0.02 113,478.71 BKBZGZ0 4.88 3.38 4.76
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 113,382.55 0.02 113,382.55 nan 4.95 5.13 5.25
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 113,334.46 0.02 113,334.46 nan 5.31 5.25 7.59
HOME DEPOT INC Consumer Cyclical Fixed Income 113,334.46 0.02 113,334.46 BJKPFV3 4.04 2.95 2.95
REPUBLIC SERVICES INC Capital Goods Fixed Income 113,334.46 0.02 113,334.46 nan 4.39 1.75 5.40
CATERPILLAR INC Capital Goods Fixed Income 113,286.38 0.02 113,286.38 BLGYRQ7 5.45 3.25 14.86
COMMONWEALTH EDISON COMPANY Electric Fixed Income 113,094.04 0.02 113,094.04 BFYRPY0 5.66 4.00 13.33
HP INC Technology Fixed Income 113,094.04 0.02 113,094.04 nan 5.01 5.50 5.53
KINDER MORGAN INC MTN Energy Fixed Income 112,997.87 0.02 112,997.87 2836399 4.66 7.75 4.64
COREBRIDGE FINANCIAL INC Insurance Fixed Income 112,853.62 0.02 112,853.62 991XAM1 5.88 4.40 14.04
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 112,805.54 0.02 112,805.54 nan 4.82 4.90 6.77
CIGNA GROUP Consumer Non-Cyclical Fixed Income 112,757.45 0.02 112,757.45 nan 4.47 5.13 4.35
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 112,757.45 0.02 112,757.45 BD5W7X3 4.73 3.40 9.31
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 112,709.37 0.02 112,709.37 nan 4.43 5.00 7.11
MICROSOFT CORPORATION Technology Fixed Income 112,709.37 0.02 112,709.37 BYP2P81 5.40 4.50 15.33
AT&T INC Communications Fixed Income 112,661.28 0.02 112,661.28 nan 4.31 4.70 3.86
DH EUROPE FINANCE II SARL Consumer Non-Cyclical Fixed Income 112,661.28 0.02 112,661.28 nan 5.13 3.25 10.32
WASTE CONNECTIONS INC Capital Goods Fixed Income 112,661.28 0.02 112,661.28 nan 4.76 5.00 6.42
WESTPAC BANKING CORP Banking Fixed Income 112,661.28 0.02 112,661.28 nan 4.16 4.35 3.76
TARGA RESOURCES CORP Energy Fixed Income 112,613.20 0.02 112,613.20 nan 5.09 6.50 6.24
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 112,565.11 0.02 112,565.11 nan 4.18 1.75 4.96
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 112,517.03 0.02 112,517.03 nan 4.94 5.63 5.03
KEYCORP MTN Banking Fixed Income 112,517.03 0.02 112,517.03 BQBDY96 5.30 6.40 6.18
EXPEDIA GROUP INC Consumer Cyclical Fixed Income 112,468.95 0.02 112,468.95 nan 5.31 5.40 6.90
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 112,468.95 0.02 112,468.95 nan 5.39 6.15 6.96
MERCK & CO INC Consumer Non-Cyclical Fixed Income 112,420.86 0.02 112,420.86 nan 5.52 4.90 11.38
METLIFE INC Insurance Fixed Income 112,372.78 0.02 112,372.78 nan 4.81 5.30 6.81
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 112,372.78 0.02 112,372.78 nan 4.43 4.15 4.21
WALT DISNEY CO Communications Fixed Income 112,324.69 0.02 112,324.69 nan 4.12 3.80 3.60
MERCK & CO INC Consumer Non-Cyclical Fixed Income 112,324.69 0.02 112,324.69 nan 4.34 4.55 5.50
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 112,324.69 0.02 112,324.69 nan 4.29 4.85 3.43
DOW CHEMICAL CO Basic Industry Fixed Income 112,276.61 0.02 112,276.61 BKBZCX0 6.55 5.55 11.84
COCA-COLA CO Consumer Non-Cyclical Fixed Income 112,228.52 0.02 112,228.52 nan 5.04 2.50 11.13
ORACLE CORPORATION Technology Fixed Income 112,228.52 0.02 112,228.52 BMYLXD6 6.93 4.10 14.28
DOLLAR GENERAL CORP Consumer Cyclical Fixed Income 112,180.44 0.02 112,180.44 nan 4.97 5.45 5.85
UNION PACIFIC CORPORATION Transportation Fixed Income 112,180.44 0.02 112,180.44 BP9P0J9 5.60 2.95 15.56
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 112,132.36 0.02 112,132.36 nan 4.50 2.56 3.59
UNION PACIFIC CORPORATION Transportation Fixed Income 112,084.27 0.02 112,084.27 nan 4.67 5.10 7.04
PEPSICO INC Consumer Non-Cyclical Fixed Income 112,036.19 0.02 112,036.19 nan 4.22 4.45 5.80
WESTPAC BANKING CORP Banking Fixed Income 111,988.10 0.02 111,988.10 nan 4.10 2.65 3.49
EQUINIX INC Technology Fixed Income 111,940.02 0.02 111,940.02 nan 4.65 2.50 4.62
JBS NV Consumer Non-Cyclical Fixed Income 111,940.02 0.02 111,940.02 2PGWWW9 5.32 5.95 6.77
T-MOBILE USA INC Communications Fixed Income 111,940.02 0.02 111,940.02 nan 5.97 5.70 13.56
UNION PACIFIC CORPORATION Transportation Fixed Income 111,940.02 0.02 111,940.02 BNYF3J1 5.59 3.50 15.16
VISA INC Technology Fixed Income 111,940.02 0.02 111,940.02 nan 3.99 4.10 4.31
TOTALENERGIES CAPITAL USA LLC Energy Fixed Income 111,891.94 0.02 111,891.94 nan 4.90 4.86 7.59
HCA INC Consumer Non-Cyclical Fixed Income 111,843.85 0.02 111,843.85 nan 6.08 5.70 13.45
HOME DEPOT INC Consumer Cyclical Fixed Income 111,843.85 0.02 111,843.85 BDD8L53 5.50 4.88 11.45
EATON CORPORATION Capital Goods Fixed Income 111,795.77 0.02 111,795.77 nan 4.48 4.15 5.91
LOWES COMPANIES INC Consumer Cyclical Fixed Income 111,795.77 0.02 111,795.77 BNG50S7 5.53 2.80 11.64
GOLDMAN SACHS CAPITAL I Banking Fixed Income 111,699.60 0.02 111,699.60 2380584 5.39 6.34 6.11
TIME WARNER CABLE LLC Communications Fixed Income 111,699.60 0.02 111,699.60 B8N2417 6.87 4.50 10.60
ELEVANCE HEALTH INC Insurance Fixed Income 111,699.60 0.02 111,699.60 BPZFRW5 5.78 4.65 11.63
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 111,651.51 0.02 111,651.51 nan 4.37 5.25 4.43
NXP BV Technology Fixed Income 111,603.43 0.02 111,603.43 nan 4.74 2.65 5.26
VIATRIS INC Consumer Non-Cyclical Fixed Income 111,555.35 0.02 111,555.35 nan 4.92 2.70 3.84
LABORATORY CORPORATION OF AMERICA Consumer Non-Cyclical Fixed Income 111,507.26 0.02 111,507.26 nan 4.96 4.80 6.85
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 111,507.26 0.02 111,507.26 nan 4.59 4.25 5.52
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 111,459.18 0.02 111,459.18 BYQNQH9 5.38 4.38 12.29
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 111,459.18 0.02 111,459.18 BR82SP7 5.20 5.25 14.38
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 111,314.92 0.02 111,314.92 nan 4.52 4.88 3.39
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 111,314.92 0.02 111,314.92 nan 4.19 4.35 2.89
ENBRIDGE INC Energy Fixed Income 111,266.84 0.02 111,266.84 nan 5.10 5.55 7.04
MASTERCARD INC Technology Fixed Income 111,266.84 0.02 111,266.84 nan 4.16 2.00 5.14
TARGET CORPORATION Consumer Cyclical Fixed Income 111,266.84 0.02 111,266.84 B8HK5Z8 5.43 4.00 11.20
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 111,170.67 0.02 111,170.67 BP2CRG3 5.66 3.00 15.46
ORACLE CORPORATION Technology Fixed Income 111,122.59 0.02 111,122.59 BNXJBK1 6.90 4.50 11.09
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 111,074.50 0.02 111,074.50 BP9QGH2 5.78 5.75 13.72
TRUIST FINANCIAL CORP MTN Banking Fixed Income 111,074.50 0.02 111,074.50 nan 4.98 6.12 5.25
ENERGY TRANSFER PARTNERS LP Energy Fixed Income 110,978.34 0.02 110,978.34 BDHTRM1 6.17 5.30 12.06
GE CAPITAL INTERNATIONAL FUNDING C Capital Goods Fixed Income 110,978.34 0.02 110,978.34 BYNWXZ6 4.80 4.42 7.55
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 110,978.34 0.02 110,978.34 BN912G4 4.61 2.44 5.21
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 110,978.34 0.02 110,978.34 nan 4.41 5.13 4.21
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 110,930.25 0.02 110,930.25 B3B3L83 5.01 6.59 8.25
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 110,930.25 0.02 110,930.25 BMDWCG6 5.23 2.60 11.35
JPMORGAN CHASE & CO Banking Fixed Income 110,930.25 0.02 110,930.25 BLSP4R8 5.49 4.85 11.43
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 110,930.25 0.02 110,930.25 nan 4.19 4.10 5.58
VERIZON COMMUNICATIONS INC Communications Fixed Income 110,930.25 0.02 110,930.25 BMG8DB3 5.61 2.85 11.55
FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 110,882.17 0.02 110,882.17 BKQN7B2 4.68 2.25 4.51
FLORIDA POWER & LIGHT CO Electric Fixed Income 110,882.17 0.02 110,882.17 BPG96F2 5.56 2.88 15.44
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 110,834.08 0.02 110,834.08 nan 4.46 5.13 3.44
NISOURCE INC Natural Gas Fixed Income 110,786.00 0.02 110,786.00 nan 4.54 1.70 4.52
PEPSICO INC Consumer Non-Cyclical Fixed Income 110,786.00 0.02 110,786.00 BZ30BC0 5.41 4.45 12.63
PAYPAL HOLDINGS INC Technology Fixed Income 110,689.83 0.02 110,689.83 nan 5.03 5.15 6.46
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 110,641.75 0.02 110,641.75 BMBL2X2 5.74 3.50 14.27
CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 110,593.66 0.02 110,593.66 nan 4.59 2.25 4.86
GENERAL MOTORS CO Consumer Cyclical Fixed Income 110,593.66 0.02 110,593.66 BGLRQ81 6.23 5.95 12.21
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 110,545.58 0.02 110,545.58 BN927Q2 5.77 2.85 15.09
INTEL CORPORATION Technology Fixed Income 110,545.58 0.02 110,545.58 nan 4.37 4.00 3.03
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 110,545.58 0.02 110,545.58 BJKRNX7 5.77 4.35 13.57
BANCO SANTANDER SA Banking Fixed Income 110,497.49 0.02 110,497.49 nan 5.17 6.03 6.72
BOSTON PROPERTIES LP Reits Fixed Income 110,497.49 0.02 110,497.49 BMCQ2X6 5.34 2.45 6.60
FISERV INC Technology Fixed Income 110,497.49 0.02 110,497.49 nan 4.82 4.55 4.25
DEERE & CO Capital Goods Fixed Income 110,305.16 0.02 110,305.16 nan 4.72 5.45 6.87
FEDEX CORP Transportation Fixed Income 110,305.16 0.02 110,305.16 2NWMTX9 5.76 5.25 12.89
SOUTHERN COMPANY (THE) Electric Fixed Income 110,257.07 0.02 110,257.07 nan 4.83 5.20 5.84
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 110,160.90 0.02 110,160.90 nan 4.61 4.90 3.59
REYNOLDS AMERICAN INC Consumer Non-Cyclical Fixed Income 110,160.90 0.02 110,160.90 BZ0W055 5.14 5.70 7.16
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 110,112.82 0.02 110,112.82 nan 4.58 5.30 4.91
ORACLE CORPORATION Technology Fixed Income 110,064.74 0.02 110,064.74 nan 7.21 6.13 13.09
WILLIAMS COMPANIES INC Energy Fixed Income 109,968.57 0.02 109,968.57 nan 4.68 4.65 5.38
APPLE INC Technology Fixed Income 109,920.48 0.02 109,920.48 BJDSXR1 3.79 2.20 3.22
PAYCHEX INC Technology Fixed Income 109,920.48 0.02 109,920.48 nan 5.39 5.60 7.01
AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 109,872.40 0.02 109,872.40 nan 4.75 5.13 5.79
EQT CORP Energy Fixed Income 109,872.40 0.02 109,872.40 nan 4.78 4.75 4.15
MPLX LP Energy Fixed Income 109,872.40 0.02 109,872.40 nan 6.19 6.20 13.39
GEORGIA POWER COMPANY Electric Fixed Income 109,728.15 0.02 109,728.15 nan 4.35 4.85 4.32
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 109,680.06 0.02 109,680.06 nan 4.29 5.63 3.16
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 109,631.98 0.02 109,631.98 nan 4.37 5.25 5.60
ING GROEP NV Banking Fixed Income 109,535.81 0.02 109,535.81 nan 4.76 5.07 3.53
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 109,535.81 0.02 109,535.81 BL6L2C9 5.70 3.05 14.63
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 109,439.64 0.02 109,439.64 nan 4.53 5.55 2.91
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 109,439.64 0.02 109,439.64 nan 4.52 5.38 2.90
SIMON PROPERTY GROUP LP Reits Fixed Income 109,439.64 0.02 109,439.64 BJDSY78 4.25 2.45 3.21
ATHENE HOLDING LTD Insurance Fixed Income 109,391.56 0.02 109,391.56 nan 6.78 6.63 12.34
DIAMONDBACK ENERGY INC Energy Fixed Income 109,199.22 0.02 109,199.22 BJR45B3 4.34 3.50 3.31
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 109,199.22 0.02 109,199.22 nan 5.01 4.80 7.45
MERCK & CO INC Consumer Non-Cyclical Fixed Income 109,103.05 0.02 109,103.05 nan 4.12 4.15 3.98
DUKE ENERGY CORP Electric Fixed Income 109,006.88 0.02 109,006.88 nan 5.99 5.70 13.82
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 109,006.88 0.02 109,006.88 BMTWJ58 5.78 5.20 15.09
PROLOGIS LP Reits Fixed Income 108,958.80 0.02 108,958.80 BP6V8F2 5.62 5.25 13.79
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 108,958.80 0.02 108,958.80 BS6Z6Y0 5.79 5.84 10.98
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 108,910.71 0.02 108,910.71 nan 5.09 5.19 7.34
NEWMONT CORPORATION Basic Industry Fixed Income 108,910.71 0.02 108,910.71 nan 4.73 5.35 6.40
BARCLAYS PLC Banking Fixed Income 108,862.63 0.02 108,862.63 nan 4.81 2.65 3.85
GENERAL ELECTRIC CO MTN Capital Goods Fixed Income 108,862.63 0.02 108,862.63 B2NJ7Z1 4.97 5.88 8.45
HCA INC Consumer Non-Cyclical Fixed Income 108,814.55 0.02 108,814.55 nan 4.48 5.25 3.46
HCA INC Consumer Non-Cyclical Fixed Income 108,766.46 0.02 108,766.46 nan 4.83 4.60 5.49
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 108,718.38 0.02 108,718.38 nan 5.08 5.75 6.55
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 108,718.38 0.02 108,718.38 BLR95R8 5.14 4.25 10.20
JPMORGAN CHASE & CO Banking Fixed Income 108,718.38 0.02 108,718.38 nan 4.60 4.57 2.87
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 108,718.38 0.02 108,718.38 nan 4.88 5.25 6.41
COMCAST CORPORATION Communications Fixed Income 108,670.29 0.02 108,670.29 BF22PR0 6.05 4.00 12.88
PHILLIPS 66 Energy Fixed Income 108,622.21 0.02 108,622.21 BMTD3K4 4.49 2.15 4.32
T-MOBILE USA INC Communications Fixed Income 108,622.21 0.02 108,622.21 nan 4.57 2.25 5.08
KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 108,574.13 0.02 108,574.13 nan 5.07 4.90 5.31
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 108,574.13 0.02 108,574.13 nan 4.99 5.75 5.81
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 108,574.13 0.02 108,574.13 nan 4.76 3.25 4.57
ALPHABET INC Technology Fixed Income 108,381.79 0.02 108,381.79 BMD7ZS4 5.35 2.25 18.78
M&T BANK CORPORATION Banking Fixed Income 108,381.79 0.02 108,381.79 nan 5.10 5.05 5.62
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 108,381.79 0.02 108,381.79 nan 4.78 2.85 5.16
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 108,333.70 0.02 108,333.70 BMZ3RL7 4.80 3.25 5.14
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 108,285.62 0.02 108,285.62 nan 4.99 4.75 5.63
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 108,285.62 0.02 108,285.62 nan 5.18 6.15 5.64
HESS CORP Energy Fixed Income 107,997.12 0.02 107,997.12 B55GWZ6 5.26 6.00 9.33
HOME DEPOT INC Consumer Cyclical Fixed Income 107,997.12 0.02 107,997.12 B9N1J94 5.47 4.20 11.53
RELX CAPITAL INC Technology Fixed Income 107,997.12 0.02 107,997.12 BM9BZ02 4.37 3.00 3.75
UNITEDHEALTH GROUP INC Insurance Fixed Income 107,997.12 0.02 107,997.12 BYY9WB5 4.86 4.63 7.34
KKR & CO INC Brokerage/Asset Managers/Exchanges Fixed Income 107,949.03 0.02 107,949.03 nan 5.31 5.10 7.24
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 107,852.86 0.02 107,852.86 BMJ6RW3 5.59 5.15 11.04
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 107,804.78 0.02 107,804.78 nan 4.43 4.41 4.19
ENERGY TRANSFER LP Energy Fixed Income 107,756.69 0.02 107,756.69 nan 5.29 5.35 7.44
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 107,756.69 0.02 107,756.69 nan 4.34 1.70 4.20
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 107,756.69 0.02 107,756.69 BWTZ6W3 5.59 4.15 12.13
GENERAL MOTORS CO Consumer Cyclical Fixed Income 107,708.61 0.02 107,708.61 BSJX2S7 5.29 5.00 7.10
M&T BANK CORPORATION MTN Banking Fixed Income 107,660.53 0.02 107,660.53 nan 4.94 6.08 4.21
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 107,660.53 0.02 107,660.53 BQ1QMJ1 5.02 5.94 5.90
CATERPILLAR INC Capital Goods Fixed Income 107,612.44 0.02 107,612.44 BK80N35 4.11 2.60 3.72
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 107,564.36 0.02 107,564.36 nan 6.06 5.97 13.33
PAYCHEX INC Technology Fixed Income 107,516.27 0.02 107,516.27 nan 4.65 5.10 3.58
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 107,372.02 0.02 107,372.02 BF97772 5.67 4.20 13.69
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 107,372.02 0.02 107,372.02 BQV0GK2 4.25 4.98 3.83
ABBVIE INC Consumer Non-Cyclical Fixed Income 107,275.85 0.02 107,275.85 nan 5.63 5.60 14.14
CIGNA GROUP Consumer Non-Cyclical Fixed Income 107,275.85 0.02 107,275.85 nan 5.86 6.00 13.73
DUPONT DE NEMOURS INC Basic Industry Fixed Income 107,275.85 0.02 107,275.85 BGYGSM3 5.30 5.32 8.89
APOLLO DEBT SOLUTIONS BDC Finance Companies Fixed Income 107,179.68 0.02 107,179.68 BMZLJ15 6.05 6.70 4.36
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 107,179.68 0.02 107,179.68 BPW7P75 5.67 5.40 13.84
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 107,131.60 0.02 107,131.60 nan 4.77 5.00 7.08
UBS AG (LONDON BRANCH) Banking Fixed Income 107,083.52 0.02 107,083.52 9974A26 5.62 4.50 13.00
PFIZER INC Consumer Non-Cyclical Fixed Income 107,035.43 0.02 107,035.43 nan 4.19 2.63 3.69
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 106,939.26 0.02 106,939.26 nan 5.64 5.55 14.34
HUMANA INC Insurance Fixed Income 106,939.26 0.02 106,939.26 BQZJCM9 6.29 4.95 11.36
MEDTRONIC GLOBAL HOLDINGS SCA Consumer Non-Cyclical Fixed Income 106,939.26 0.02 106,939.26 nan 4.55 4.50 5.90
CITIGROUP INC Banking Fixed Income 106,843.09 0.02 106,843.09 B7N9B65 5.55 5.88 10.19
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 106,843.09 0.02 106,843.09 nan 4.58 5.35 3.31
CIGNA GROUP Consumer Non-Cyclical Fixed Income 106,795.01 0.02 106,795.01 nan 4.65 4.88 5.44
BROADCOM INC 144A Technology Fixed Income 106,746.93 0.02 106,746.93 BNDB2F9 4.53 4.15 5.24
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 106,746.93 0.02 106,746.93 nan 5.80 5.85 13.62
ARES CAPITAL CORPORATION Finance Companies Fixed Income 106,698.84 0.02 106,698.84 nan 5.71 5.25 4.32
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 106,650.76 0.02 106,650.76 nan 5.76 5.90 13.35
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 106,650.76 0.02 106,650.76 nan 4.70 2.68 3.91
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 106,554.59 0.02 106,554.59 BQMRY20 5.63 4.95 15.71
MANULIFE FINANCIAL CORP Insurance Fixed Income 106,554.59 0.02 106,554.59 nan 4.53 3.70 5.22
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 106,554.59 0.02 106,554.59 nan 4.41 1.90 4.99
BERRY GLOBAL INC Capital Goods Fixed Income 106,410.34 0.02 106,410.34 nan 5.12 5.65 6.16
FISERV INC Technology Fixed Income 106,410.34 0.02 106,410.34 BQ1PKF0 5.37 5.15 6.62
AMGEN INC Consumer Non-Cyclical Fixed Income 106,314.17 0.02 106,314.17 BN7KZX1 5.80 4.20 14.14
AT&T INC Communications Fixed Income 106,218.00 0.02 106,218.00 BYMLXL0 5.89 5.65 11.90
HOME DEPOT INC Consumer Cyclical Fixed Income 106,218.00 0.02 106,218.00 nan 4.18 4.85 4.50
EBAY INC Consumer Cyclical Fixed Income 106,169.92 0.02 106,169.92 BMGH020 4.54 2.60 4.60
PROLOGIS LP Reits Fixed Income 106,169.92 0.02 106,169.92 nan 4.79 5.13 6.27
SANTANDER HOLDINGS USA INC Banking Fixed Income 106,169.92 0.02 106,169.92 nan 4.89 5.74 3.48
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 106,073.75 0.02 106,073.75 nan 5.72 5.70 13.58
PROLOGIS LP Reits Fixed Income 106,073.75 0.02 106,073.75 BMGKBT3 4.32 1.25 4.28
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 106,025.66 0.02 106,025.66 nan 4.66 5.00 5.26
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 105,977.58 0.02 105,977.58 nan 4.53 4.20 6.98
EATON CORPORATION Capital Goods Fixed Income 105,929.49 0.02 105,929.49 nan 4.58 4.50 5.83
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 105,881.41 0.02 105,881.41 nan 4.63 5.16 3.51
QUALCOMM INCORPORATED Technology Fixed Income 105,833.33 0.02 105,833.33 BMV6XQ7 5.70 3.25 14.43
WILLIAMS COMPANIES INC Energy Fixed Income 105,833.33 0.02 105,833.33 nan 4.48 4.63 3.73
AMGEN INC Consumer Non-Cyclical Fixed Income 105,689.07 0.02 105,689.07 BKP4ZN4 4.51 2.00 5.28
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 105,689.07 0.02 105,689.07 nan 5.27 5.80 6.28
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 105,592.90 0.02 105,592.90 nan 4.25 3.70 3.85
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 105,544.82 0.02 105,544.82 BMG2XG0 6.53 4.20 12.89
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 105,544.82 0.02 105,544.82 B6VMZ67 5.48 4.38 10.63
BARRICK NORTH AMERICA FINANCE LLC Basic Industry Fixed Income 105,496.74 0.02 105,496.74 B4TYCN7 5.52 5.70 9.89
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 105,448.65 0.02 105,448.65 nan 4.28 5.10 4.24
DELL INTERNATIONAL LLC Technology Fixed Income 105,448.65 0.02 105,448.65 nan 5.12 5.50 7.02
APOLLO GLOBAL MANAGEMENT INC Brokerage/Asset Managers/Exchanges Fixed Income 105,400.57 0.02 105,400.57 nan 5.40 5.15 7.23
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 105,256.32 0.02 105,256.32 nan 4.69 6.15 3.88
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 105,208.23 0.02 105,208.23 nan 3.99 3.00 3.66
AMCOR FLEXIBLES NORTH AMERICA INC Capital Goods Fixed Income 105,160.15 0.02 105,160.15 2NW3125 5.14 5.50 6.98
AMERICAN TOWER CORPORATION Communications Fixed Income 105,112.06 0.02 105,112.06 nan 4.74 4.70 5.57
COMCAST CORPORATION Communications Fixed Income 105,112.06 0.02 105,112.06 BDFL075 5.10 3.20 8.37
COMCAST CORPORATION Communications Fixed Income 105,112.06 0.02 105,112.06 nan 4.66 4.65 5.75
COCA-COLA CO Consumer Non-Cyclical Fixed Income 105,063.98 0.02 105,063.98 nan 4.41 4.65 6.81
SANTANDER HOLDINGS USA INC Banking Fixed Income 105,063.98 0.02 105,063.98 nan 4.95 5.35 3.05
WALT DISNEY CO Communications Fixed Income 105,015.89 0.02 105,015.89 nan 4.79 6.40 7.19
REGENERON PHARMACEUTICALS INC. Consumer Non-Cyclical Fixed Income 105,015.89 0.02 105,015.89 nan 4.40 1.75 4.16
BROWN & BROWN INC Insurance Fixed Income 104,967.81 0.02 104,967.81 nan 5.36 5.55 7.02
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 104,967.81 0.02 104,967.81 nan 4.58 4.60 5.84
QUALCOMM INCORPORATED Technology Fixed Income 104,919.73 0.02 104,919.73 BNG8GG6 5.74 4.50 13.85
CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 104,823.56 0.02 104,823.56 nan 4.93 4.90 5.76
HUMANA INC Insurance Fixed Income 104,823.56 0.02 104,823.56 nan 5.28 5.88 5.59
APPLE INC Technology Fixed Income 104,727.39 0.02 104,727.39 BL6LZ19 5.49 2.85 17.62
AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 104,679.31 0.02 104,679.31 BMCTM02 5.74 4.38 13.56
PROLOGIS LP Reits Fixed Income 104,679.31 0.02 104,679.31 nan 4.88 5.25 7.04
DUKE ENERGY CORP Electric Fixed Income 104,631.22 0.02 104,631.22 BNR5LF0 4.53 2.55 4.70
FISERV INC Technology Fixed Income 104,631.22 0.02 104,631.22 nan 5.44 5.25 7.20
JBS NV Consumer Non-Cyclical Fixed Income 104,631.22 0.02 104,631.22 2PGWWX1 5.32 5.50 7.39
ORACLE CORPORATION Technology Fixed Income 104,486.97 0.02 104,486.97 nan 4.96 4.65 3.57
HSBC HOLDINGS PLC Banking Fixed Income 104,438.88 0.02 104,438.88 B39GHK8 5.62 6.80 8.22
T-MOBILE USA INC Communications Fixed Income 104,438.88 0.02 104,438.88 BR875P1 4.90 5.15 6.50
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 104,390.80 0.02 104,390.80 nan 4.61 4.63 6.79
WILLIAMS COMPANIES INC Energy Fixed Income 104,390.80 0.02 104,390.80 nan 5.15 5.30 7.36
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 104,342.72 0.02 104,342.72 BLBCYC1 5.63 3.13 14.73
UNITED PARCEL SERVICE INC Transportation Fixed Income 104,342.72 0.02 104,342.72 BMGJVK1 4.07 4.45 3.59
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 104,246.55 0.02 104,246.55 B8C0348 5.33 4.00 11.44
BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 104,246.55 0.02 104,246.55 nan 6.63 6.00 6.42
HCA INC Consumer Non-Cyclical Fixed Income 104,246.55 0.02 104,246.55 nan 6.09 5.95 13.42
KEYCORP MTN Banking Fixed Income 104,246.55 0.02 104,246.55 nan 5.31 5.30 7.47
AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 104,198.46 0.02 104,198.46 nan 4.79 5.05 4.50
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 104,198.46 0.02 104,198.46 BK0NJG7 5.76 4.45 13.35
CAMPBELLS CO Consumer Non-Cyclical Fixed Income 104,150.38 0.02 104,150.38 nan 5.61 5.40 6.34
COMCAST CORPORATION Communications Fixed Income 104,150.38 0.02 104,150.38 nan 4.93 5.30 7.02
TARGA RESOURCES PARTNERS LP Energy Fixed Income 104,102.29 0.02 104,102.29 BP6T4Q9 4.79 4.88 4.19
ALLSTATE CORPORATION (THE) Insurance Fixed Income 104,054.21 0.02 104,054.21 nan 4.73 5.25 5.78
SMURFIT KAPPA TREASURY UNLIMITED C Basic Industry Fixed Income 104,054.21 0.02 104,054.21 nan 5.91 5.78 13.63
AUGUSTA SPINCO CORP Consumer Non-Cyclical Fixed Income 104,006.13 0.02 104,006.13 nan 5.12 5.25 7.66
PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 103,958.04 0.02 103,958.04 nan 4.14 4.50 3.13
SWP: OIS 3.346200 09-SEP-2044 SOF Cash and/or Derivatives Swaps 103,919.70 0.02 -896,080.30 nan 0.00 3.35 13.38
MASTERCARD INC Technology Fixed Income 103,861.87 0.02 103,861.87 nan 4.63 4.88 6.48
BRIXMOR OPERATING PARTNERSHIP LP Reits Fixed Income 103,813.79 0.02 103,813.79 BJCX1Y0 4.36 4.13 2.81
DIAMONDBACK ENERGY INC Energy Fixed Income 103,765.71 0.02 103,765.71 nan 4.32 5.15 3.38
WEYERHAEUSER COMPANY Basic Industry Fixed Income 103,765.71 0.02 103,765.71 BMQ5MG2 4.53 4.00 3.64
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 103,669.54 0.02 103,669.54 nan 5.63 4.35 12.82
TOTALENERGIES CAPITAL SA Energy Fixed Income 103,669.54 0.02 103,669.54 nan 5.65 5.28 14.18
AT&T INC Communications Fixed Income 103,621.45 0.02 103,621.45 BD3HCX5 6.05 4.55 13.00
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 103,573.37 0.02 103,573.37 B8K84P2 5.89 4.25 11.00
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 103,573.37 0.02 103,573.37 nan 4.37 4.55 5.58
UNITEDHEALTH GROUP INC Insurance Fixed Income 103,573.37 0.02 103,573.37 BYZLN95 5.71 3.75 13.45
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 103,525.28 0.02 103,525.28 nan 5.50 5.55 11.84
DUPONT DE NEMOURS INC Basic Industry Fixed Income 103,477.20 0.02 103,477.20 BGWKX55 5.84 5.42 12.35
LOWES COMPANIES INC Consumer Cyclical Fixed Income 103,429.12 0.02 103,429.12 nan 4.41 4.25 4.37
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 103,284.86 0.02 103,284.86 BNG49V0 6.19 5.50 12.47
HCA INC Consumer Non-Cyclical Fixed Income 103,236.78 0.02 103,236.78 nan 4.78 5.50 4.96
PFIZER INC Consumer Non-Cyclical Fixed Income 103,236.78 0.02 103,236.78 BJR2186 5.14 3.90 9.77
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 103,188.69 0.02 103,188.69 BL0MLQ5 6.12 3.80 13.52
AMGEN INC Consumer Non-Cyclical Fixed Income 103,140.61 0.02 103,140.61 BPY0TJ2 5.82 4.40 15.64
AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 103,092.53 0.02 103,092.53 nan 5.13 4.90 6.27
RELX CAPITAL INC Technology Fixed Income 103,092.53 0.02 103,092.53 nan 4.36 4.75 3.56
AON CORP Insurance Fixed Income 103,044.44 0.02 103,044.44 BL5DFJ4 5.82 3.90 14.38
ENERGY TRANSFER LP Energy Fixed Income 103,044.44 0.02 103,044.44 nan 4.58 4.55 4.18
ELEVANCE HEALTH INC Insurance Fixed Income 102,996.36 0.02 102,996.36 BKY6KG9 5.81 3.13 14.46
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 102,996.36 0.02 102,996.36 BT8P667 4.81 4.95 7.04
TOTALENERGIES CAPITAL SA Energy Fixed Income 102,996.36 0.02 102,996.36 nan 4.66 4.72 6.84
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 102,996.36 0.02 102,996.36 nan 5.38 5.45 6.64
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 102,948.27 0.02 102,948.27 nan 4.94 5.05 5.48
ARES CAPITAL CORPORATION Finance Companies Fixed Income 102,852.11 0.02 102,852.11 nan 5.84 5.80 4.90
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 102,852.11 0.02 102,852.11 BFY1ZL9 5.68 4.25 13.10
WALMART INC Consumer Cyclical Fixed Income 102,852.11 0.02 102,852.11 nan 3.93 4.35 3.60
SWP: OIS 3.674700 24-OCT-2054 SOF Cash and/or Derivatives Swaps 102,765.20 0.02 -1,197,234.80 nan 0.12 3.67 17.04
METLIFE INC Insurance Fixed Income 102,755.94 0.02 102,755.94 BND9JW9 5.74 5.00 13.68
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 102,755.94 0.02 102,755.94 BJVNJQ9 6.06 3.65 13.82
CHEVRON USA INC Energy Fixed Income 102,659.77 0.02 102,659.77 nan 4.66 4.98 7.21
UNION PACIFIC CORPORATION Transportation Fixed Income 102,659.77 0.02 102,659.77 nan 4.23 2.38 4.66
DOLLAR GENERAL CORP Consumer Cyclical Fixed Income 102,563.60 0.02 102,563.60 BMCBVG7 4.55 3.50 3.64
VERIZON COMMUNICATIONS INC Communications Fixed Income 102,563.60 0.02 102,563.60 BMWBBM3 5.81 3.00 16.64
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 102,419.35 0.02 102,419.35 nan 4.74 4.90 6.53
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 102,371.26 0.02 102,371.26 nan 5.61 2.91 11.38
BANK OF AMERICA CORP Banking Fixed Income 102,275.10 0.02 102,275.10 nan 5.69 3.48 14.65
PAYPAL HOLDINGS INC Technology Fixed Income 102,178.93 0.02 102,178.93 nan 4.34 2.30 3.83
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 102,178.93 0.02 102,178.93 nan 4.92 5.95 5.28
VERIZON COMMUNICATIONS INC Communications Fixed Income 102,178.93 0.02 102,178.93 BK93J80 4.37 1.50 4.19
DH EUROPE FINANCE II SARL Consumer Non-Cyclical Fixed Income 102,082.76 0.02 102,082.76 BKTX8T4 4.19 2.60 3.33
CITIGROUP INC Banking Fixed Income 102,082.76 0.02 102,082.76 BF1ZBM7 5.73 4.28 12.61
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 102,034.67 0.02 102,034.67 BTPH0N1 4.82 5.10 7.16
HOME DEPOT INC Consumer Cyclical Fixed Income 102,034.67 0.02 102,034.67 nan 4.32 4.50 5.50
SOUTHERN COMPANY (THE) Electric Fixed Income 102,034.67 0.02 102,034.67 BM9VYX8 4.97 5.70 6.33
DIAMONDBACK ENERGY INC Energy Fixed Income 101,986.59 0.02 101,986.59 BMDPVL3 6.06 5.90 14.43
WASTE MANAGEMENT INC Capital Goods Fixed Income 101,938.51 0.02 101,938.51 BT03N02 5.55 5.35 14.33
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 101,890.42 0.02 101,890.42 nan 5.05 5.63 7.18
NISOURCE INC Natural Gas Fixed Income 101,890.42 0.02 101,890.42 BD72Q01 5.86 3.95 13.32
LOWES COMPANIES INC Consumer Cyclical Fixed Income 101,842.34 0.02 101,842.34 BPMQ8K6 5.95 5.80 14.80
DUKE ENERGY CORP Electric Fixed Income 101,794.25 0.02 101,794.25 nan 4.93 5.45 6.45
EQUIFAX INC Technology Fixed Income 101,794.25 0.02 101,794.25 nan 4.75 2.35 4.96
MERCK & CO INC Consumer Non-Cyclical Fixed Income 101,794.25 0.02 101,794.25 BJRL3P4 5.05 3.90 9.77
DEERE & CO Capital Goods Fixed Income 101,746.17 0.02 101,746.17 BMQ5M40 5.44 3.75 14.41
J M SMUCKER CO Consumer Non-Cyclical Fixed Income 101,746.17 0.02 101,746.17 BQT1N84 6.04 6.50 12.83
VERIZON COMMUNICATIONS INC Communications Fixed Income 101,698.08 0.02 101,698.08 BF320B8 5.74 6.55 10.57
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 101,553.83 0.02 101,553.83 nan 6.02 5.80 13.71
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 101,457.66 0.02 101,457.66 nan 4.56 1.88 4.54
PEPSICO INC Consumer Non-Cyclical Fixed Income 101,457.66 0.02 101,457.66 nan 4.02 4.60 3.44
SWP: OIS 3.546200 15-OCT-2054 SOF Cash and/or Derivatives Swaps 101,447.30 0.02 -898,552.70 nan 0.02 3.55 17.18
EATON CORPORATION Capital Goods Fixed Income 101,361.50 0.02 101,361.50 nan 5.54 5.45 14.48
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 101,361.50 0.02 101,361.50 BYND5Q4 4.84 4.00 8.27
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 101,361.50 0.02 101,361.50 nan 4.72 5.00 7.35
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 101,313.41 0.02 101,313.41 BKH0LR6 5.48 4.90 11.57
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 101,313.41 0.02 101,313.41 nan 5.50 6.05 4.17
SWP: OIS 3.277700 01-DEC-2030 SOF Cash and/or Derivatives Swaps 101,310.52 0.02 -8,052,689.48 nan -0.23 3.28 4.30
SWP: OIS 1.002000 07-DEC-2026 Cash and/or Derivatives Cash 101,292.53 0.02 -3,698,707.47 nan -0.13 1.00 0.64
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 101,265.33 0.02 101,265.33 nan 4.91 5.35 6.43
COMCAST CORPORATION Communications Fixed Income 101,217.24 0.02 101,217.24 BY58YR1 5.01 4.40 7.46
METLIFE INC Insurance Fixed Income 101,217.24 0.02 101,217.24 B4Z51H1 5.42 5.88 9.83
ATHENE HOLDING LTD Insurance Fixed Income 101,169.16 0.02 101,169.16 BRXY416 6.77 6.25 12.62
PACIFICORP Electric Fixed Income 101,121.07 0.02 101,121.07 BL544T0 5.92 2.90 15.23
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 101,072.99 0.02 101,072.99 BN7G7N3 6.93 3.95 14.24
WALT DISNEY CO Communications Fixed Income 101,072.99 0.02 101,072.99 BLCVMK1 5.60 3.80 15.99
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 101,024.91 0.02 101,024.91 nan 5.78 3.30 10.60
PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 101,024.91 0.02 101,024.91 BKKDHH4 4.18 3.25 2.93
UNITEDHEALTH GROUP INC Insurance Fixed Income 100,880.65 0.02 100,880.65 BSSHCL3 5.92 5.50 15.23
BROADCOM INC Technology Fixed Income 100,832.57 0.02 100,832.57 nan 4.30 4.30 4.21
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 100,784.48 0.02 100,784.48 nan 6.03 4.90 13.51
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 100,736.40 0.02 100,736.40 BNTYN15 5.58 4.95 13.76
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 100,736.40 0.02 100,736.40 nan 4.88 4.05 5.24
FIFTH THIRD BANCORP Banking Fixed Income 100,688.32 0.02 100,688.32 nan 4.67 4.89 3.07
NIKE INC Consumer Cyclical Fixed Income 100,688.32 0.02 100,688.32 nan 5.61 3.38 14.57
CHUBB INA HOLDINGS LLC Insurance Fixed Income 100,640.23 0.02 100,640.23 BYSRKF5 5.48 4.35 12.21
AMGEN INC Consumer Non-Cyclical Fixed Income 100,640.23 0.02 100,640.23 BKP4ZL2 5.56 3.00 15.39
CONOCOPHILLIPS CO Energy Fixed Income 100,640.23 0.02 100,640.23 BPLD6W6 5.72 3.80 14.60
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 100,640.23 0.02 100,640.23 nan 5.89 5.90 13.73
ROYAL BANK OF CANADA (FXD-FRN) MTN Banking Fixed Income 100,640.23 0.02 100,640.23 nan 4.55 4.30 4.00
GATX CORPORATION Finance Companies Fixed Income 100,592.15 0.02 100,592.15 nan 5.90 6.05 13.29
PACIFICORP Electric Fixed Income 100,592.15 0.02 100,592.15 BPCPZ91 6.12 5.35 13.31
OREILLY AUTOMOTIVE INC Consumer Cyclical Fixed Income 100,495.98 0.02 100,495.98 nan 5.09 5.10 7.67
BARRICK PD AUSTRALIA FINANCE PTY L Basic Industry Fixed Income 100,447.90 0.02 100,447.90 B5KT034 5.49 5.95 9.30
METLIFE INC Insurance Fixed Income 100,447.90 0.02 100,447.90 BW9JZD9 5.59 4.05 12.30
NATIONAL GRID PLC Electric Fixed Income 100,447.90 0.02 100,447.90 nan 4.91 5.81 5.74
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 100,399.81 0.02 100,399.81 BJQV485 5.61 3.55 14.30
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 100,399.81 0.02 100,399.81 nan 4.61 5.45 3.72
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 100,399.81 0.02 100,399.81 nan 4.46 2.38 5.39
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 100,303.64 0.02 100,303.64 nan 4.35 2.30 4.65
CONOCOPHILLIPS CO Energy Fixed Income 100,255.56 0.02 100,255.56 nan 4.59 5.05 6.13
WASTE MANAGEMENT INC Capital Goods Fixed Income 100,255.56 0.02 100,255.56 nan 4.20 4.63 3.46
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 100,207.47 0.02 100,207.47 BGHJWG1 5.40 4.38 13.36
DTE ELECTRIC COMPANY Electric Fixed Income 100,207.47 0.02 100,207.47 nan 5.69 5.55 14.25
WALMART INC Consumer Cyclical Fixed Income 100,207.47 0.02 100,207.47 BPMQ8D9 5.35 4.50 14.50
APPLE INC Technology Fixed Income 100,159.39 0.02 100,159.39 nan 3.83 3.25 3.08
ROPER TECHNOLOGIES INC Technology Fixed Income 100,159.39 0.02 100,159.39 nan 5.29 5.10 7.35
HOME DEPOT INC Consumer Cyclical Fixed Income 100,111.31 0.02 100,111.31 BKDX1Q8 5.60 3.13 14.56
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 100,111.31 0.02 100,111.31 BTFK546 6.26 5.90 13.32
BOSTON PROPERTIES LP Reits Fixed Income 100,063.22 0.02 100,063.22 nan 5.01 2.55 5.39
AUGUSTA SPINCO CORP Consumer Non-Cyclical Fixed Income 100,015.14 0.02 100,015.14 nan 4.52 4.66 4.35
S&P GLOBAL INC Technology Fixed Income 100,015.14 0.02 100,015.14 2LPMN18 4.62 5.25 6.09
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 99,967.05 0.02 99,967.05 BYPL1V3 6.90 5.29 11.29
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 99,967.05 0.02 99,967.05 BMGC2W9 4.93 3.63 5.04
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 99,967.05 0.02 99,967.05 nan 5.89 5.55 13.71
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 99,967.05 0.02 99,967.05 nan 4.45 4.75 4.73
SHELL FINANCE US INC Energy Fixed Income 99,918.97 0.02 99,918.97 nan 5.49 4.55 11.41
HONDA MOTOR CO LTD Consumer Cyclical Fixed Income 99,822.80 0.02 99,822.80 nan 5.24 5.34 7.12
KINDER MORGAN INC Energy Fixed Income 99,774.72 0.02 99,774.72 BMFQ1T2 5.94 5.45 13.30
LPL HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 99,774.72 0.02 99,774.72 nan 4.76 5.20 3.49
MASTERCARD INC Technology Fixed Income 99,774.72 0.02 99,774.72 BJYR388 5.52 3.65 13.93
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 99,726.63 0.02 99,726.63 nan 5.03 5.58 6.37
CDW LLC Technology Fixed Income 99,630.46 0.02 99,630.46 nan 5.04 3.57 4.93
COMCAST CORPORATION Communications Fixed Income 99,582.38 0.02 99,582.38 BGGFK99 6.16 4.95 14.54
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 99,582.38 0.02 99,582.38 nan 4.45 5.26 2.75
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 99,486.21 0.02 99,486.21 nan 4.74 4.90 7.54
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 99,438.13 0.02 99,438.13 nan 6.91 6.70 12.09
EASTMAN CHEMICAL COMPANY Basic Industry Fixed Income 99,438.13 0.02 99,438.13 nan 4.53 5.00 2.98
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 99,438.13 0.02 99,438.13 nan 4.55 2.85 4.57
BIOGEN INC Consumer Non-Cyclical Fixed Income 99,390.04 0.02 99,390.04 BYNPNY4 5.86 5.20 11.74
CITIGROUP INC Banking Fixed Income 99,390.04 0.02 99,390.04 BCRXKM7 5.87 6.67 10.47
EMERSON ELECTRIC CO Capital Goods Fixed Income 99,390.04 0.02 99,390.04 nan 4.26 2.20 5.20
EVERSOURCE ENERGY Electric Fixed Income 99,245.79 0.02 99,245.79 nan 4.93 5.13 5.76
PACIFICORP Electric Fixed Income 99,245.79 0.02 99,245.79 nan 5.12 5.45 6.27
QUEST DIAGNOSTICS INCORPORATED Consumer Non-Cyclical Fixed Income 99,245.79 0.02 99,245.79 nan 4.92 5.00 6.85
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 99,101.54 0.02 99,101.54 BP39M57 5.39 3.00 11.52
GENERAL MOTORS CO Consumer Cyclical Fixed Income 99,101.54 0.02 99,101.54 BYXXXH1 6.20 6.75 11.13
SIMON PROPERTY GROUP LP Reits Fixed Income 99,101.54 0.02 99,101.54 BKMGXX9 5.63 3.25 14.50
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 99,053.45 0.02 99,053.45 BMXN3F5 4.47 1.85 5.90
UNITEDHEALTH GROUP INC Insurance Fixed Income 99,053.45 0.02 99,053.45 BJMSS00 4.16 2.88 3.11
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 99,005.37 0.02 99,005.37 BJSFMZ8 6.00 4.76 13.03
CSX CORP Transportation Fixed Income 98,957.29 0.02 98,957.29 BNDW393 5.59 4.50 14.08
SMURFIT WESTROCK FINANCING DAC Basic Industry Fixed Income 98,957.29 0.02 98,957.29 nan 5.10 5.42 6.83
BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 98,909.20 0.02 98,909.20 nan 4.42 2.82 3.76
MOLSON COORS BREWING CO Consumer Non-Cyclical Fixed Income 98,861.12 0.02 98,861.12 B82MC25 5.79 5.00 10.41
ONEOK INC Energy Fixed Income 98,813.03 0.02 98,813.03 nan 4.93 6.10 5.29
AUGUSTA SPINCO CORP Consumer Non-Cyclical Fixed Income 98,764.95 0.02 98,764.95 nan 4.81 4.95 5.80
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 98,764.95 0.02 98,764.95 BNTX3Z6 6.06 4.50 13.83
PAYPAL HOLDINGS INC Technology Fixed Income 98,764.95 0.02 98,764.95 nan 4.53 4.40 5.22
EQUITABLE HOLDINGS INC Insurance Fixed Income 98,668.78 0.02 98,668.78 BJ2KDV2 5.94 5.00 12.31
SOUTHERN CALIFORNIA EDISON CO Electric Fixed Income 98,668.78 0.02 98,668.78 BF6DYS3 6.03 4.65 11.27
UNION PACIFIC CORPORATION Transportation Fixed Income 98,524.53 0.02 98,524.53 BNKG3R6 5.26 3.20 11.14
TRUIST FINANCIAL CORP MTN Banking Fixed Income 98,476.44 0.02 98,476.44 nan 4.61 5.07 3.59
CSX CORP Transportation Fixed Income 98,428.36 0.02 98,428.36 nan 4.41 4.10 5.60
CONOCOPHILLIPS CO Energy Fixed Income 98,428.36 0.02 98,428.36 BSL17W8 5.60 4.30 11.85
KINDER MORGAN ENERGY PARTNERS LP Energy Fixed Income 98,428.36 0.02 98,428.36 BJZXT76 5.88 5.50 11.04
FLORIDA POWER & LIGHT CO Electric Fixed Income 98,380.27 0.02 98,380.27 nan 5.63 5.30 13.93
TELEFONICA EMISIONES SAU Communications Fixed Income 98,332.19 0.02 98,332.19 BJLKT93 6.18 5.52 12.35
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 98,284.11 0.02 98,284.11 nan 5.35 6.64 6.08
MPLX LP Energy Fixed Income 98,284.11 0.02 98,284.11 BKP8MY6 4.48 2.65 4.00
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 98,284.11 0.02 98,284.11 BFXV4P7 5.77 4.50 12.92
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 98,236.02 0.02 98,236.02 BMBMD76 5.47 2.25 15.88
AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 98,187.94 0.02 98,187.94 nan 4.86 5.63 5.65
CBRE SERVICES INC Consumer Cyclical Fixed Income 98,139.85 0.02 98,139.85 nan 5.13 5.95 6.51
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 98,139.85 0.02 98,139.85 BN7B2Q6 6.27 6.70 12.73
REALTY INCOME CORPORATION Reits Fixed Income 98,139.85 0.02 98,139.85 BQHNMX0 4.85 5.13 6.35
UNITED PARCEL SERVICE INC Transportation Fixed Income 98,139.85 0.02 98,139.85 nan 4.74 5.25 7.05
MERCK & CO INC Consumer Non-Cyclical Fixed Income 98,043.69 0.02 98,043.69 BP487N6 5.74 5.15 15.22
BROOKFIELD ASSET MANAGEMENT LTD Brokerage/Asset Managers/Exchanges Fixed Income 97,995.60 0.02 97,995.60 nan 5.35 5.79 6.81
KENVUE INC Consumer Non-Cyclical Fixed Income 97,995.60 0.02 97,995.60 nan 4.46 4.85 5.15
SWP: OIS 3.472700 18-JUL-2043 SOF Cash and/or Derivatives Swaps 97,974.60 0.02 -1,102,025.40 nan 0.07 3.47 12.74
TARGET CORPORATION Consumer Cyclical Fixed Income 97,851.35 0.02 97,851.35 nan 4.13 2.35 3.59
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 97,803.26 0.02 97,803.26 nan 5.74 5.70 14.04
ATLAS WAREHOUSE LENDING COMPANY LP 144A Financial Other Fixed Income 97,803.26 0.02 97,803.26 nan 5.18 4.95 3.96
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 97,803.26 0.02 97,803.26 nan 5.10 5.32 7.14
LOCKHEED MARTIN CORP Capital Goods Fixed Income 97,755.18 0.02 97,755.18 BBD6G92 5.37 4.07 11.36
TOYOTA MOTOR CREDIT CORP Consumer Cyclical Fixed Income 97,755.18 0.02 97,755.18 BLM1Q43 4.22 2.15 3.59
BOEING CO Capital Goods Fixed Income 97,707.10 0.02 97,707.10 BK1WFJ8 5.95 3.90 13.32
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 97,610.93 0.02 97,610.93 nan 5.19 4.95 7.58
WILLIAMS COMPANIES INC Energy Fixed Income 97,562.84 0.02 97,562.84 nan 5.97 5.80 13.38
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 97,514.76 0.02 97,514.76 nan 5.10 6.15 5.44
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 97,466.68 0.02 97,466.68 B28P5J4 5.04 6.30 8.32
WELLTOWER OP LLC Reits Fixed Income 97,466.68 0.02 97,466.68 BK5R492 4.30 3.10 3.46
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 97,418.59 0.02 97,418.59 B57Y827 5.32 5.13 10.00
SEMPRA Natural Gas Fixed Income 97,418.59 0.02 97,418.59 B4T9B57 5.61 6.00 9.25
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 97,322.42 0.02 97,322.42 nan 4.81 5.38 4.77
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 97,322.42 0.02 97,322.42 nan 5.74 5.88 15.36
DOW CHEMICAL CO Basic Industry Fixed Income 97,226.25 0.02 97,226.25 nan 4.90 4.80 4.15
TRAVELERS COMPANIES INC Insurance Fixed Income 97,226.25 0.02 97,226.25 nan 5.62 5.45 13.62
DOMINION ENERGY INC Electric Fixed Income 97,178.17 0.02 97,178.17 nan 4.77 5.38 5.40
ENTERGY LOUISIANA LLC Electric Fixed Income 97,178.17 0.02 97,178.17 nan 5.80 5.65 14.10
SHELL FINANCE US INC Energy Fixed Income 97,130.09 0.02 97,130.09 nan 5.59 3.75 13.09
BANK OF NOVA SCOTIA Banking Fixed Income 97,082.00 0.02 97,082.00 nan 4.84 5.65 6.23
ELEVANCE HEALTH INC Insurance Fixed Income 97,033.92 0.02 97,033.92 BJDSXN7 4.33 2.88 3.19
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 97,033.92 0.02 97,033.92 nan 4.34 4.80 3.02
DTE ELECTRIC COMPANY Electric Fixed Income 96,985.83 0.02 96,985.83 nan 4.95 4.85 7.71
WALMART INC Consumer Cyclical Fixed Income 96,985.83 0.02 96,985.83 nan 4.55 4.90 7.10
AMEREN CORPORATION Electric Fixed Income 96,937.75 0.02 96,937.75 nan 4.52 3.50 4.27
GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 96,937.75 0.02 96,937.75 nan 4.16 4.50 3.63
KINDER MORGAN INC Energy Fixed Income 96,937.75 0.02 96,937.75 nan 4.89 5.40 6.26
AMERIPRISE FINANCIAL INC Brokerage/Asset Managers/Exchanges Fixed Income 96,889.66 0.02 96,889.66 nan 4.99 5.20 7.13
APOLLO GLOBAL MANAGEMENT INC Brokerage/Asset Managers/Exchanges Fixed Income 96,889.66 0.02 96,889.66 nan 6.12 5.80 13.15
FLORIDA POWER & LIGHT CO Electric Fixed Income 96,889.66 0.02 96,889.66 nan 4.59 5.10 5.81
STANLEY BLACK & DECKER INC Capital Goods Fixed Income 96,889.66 0.02 96,889.66 nan 4.50 2.30 3.66
RAYMOND JAMES FINANCIAL INC. Brokerage/Asset Managers/Exchanges Fixed Income 96,793.50 0.02 96,793.50 BVSYVN0 5.82 5.65 14.00
AMERICAN TOWER CORPORATION Communications Fixed Income 96,745.41 0.02 96,745.41 nan 4.43 4.90 3.52
FEDEX FREIGHT HOLDING COMPANY INC 144A Transportation Fixed Income 96,745.41 0.02 96,745.41 nan 5.44 5.25 7.55
TARGET CORPORATION Consumer Cyclical Fixed Income 96,697.33 0.02 96,697.33 nan 4.76 5.00 7.20
VISA INC Technology Fixed Income 96,649.24 0.02 96,649.24 nan 4.98 2.70 11.08
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 96,601.16 0.02 96,601.16 BW0XKQ8 4.86 5.00 7.64
UNITEDHEALTH GROUP INC Insurance Fixed Income 96,601.16 0.02 96,601.16 BJMSS22 5.86 3.88 15.67
BOEING CO Capital Goods Fixed Income 96,553.08 0.02 96,553.08 BKPHQJ6 4.39 2.95 3.51
COMCAST CORPORATION Communications Fixed Income 96,553.08 0.02 96,553.08 2470065 4.79 7.05 5.52
LOCKHEED MARTIN CORP Capital Goods Fixed Income 96,553.08 0.02 96,553.08 BVGDWK3 5.47 3.80 12.52
PHILLIPS 66 CO Energy Fixed Income 96,504.99 0.02 96,504.99 nan 4.89 5.30 5.86
BOSTON PROPERTIES LP Reits Fixed Income 96,456.91 0.02 96,456.91 nan 5.53 5.75 6.72
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 96,456.91 0.02 96,456.91 nan 4.74 5.45 4.36
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 96,408.82 0.02 96,408.82 BYP8NL8 5.59 3.90 12.87
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 96,408.82 0.02 96,408.82 nan 4.51 4.90 3.16
BARRICK NA FINANCE LLC Basic Industry Fixed Income 96,360.74 0.02 96,360.74 BCRWZ96 5.65 5.75 10.54
HOME DEPOT INC Consumer Cyclical Fixed Income 96,360.74 0.02 96,360.74 BP0TWX8 5.62 2.75 15.68
ROYAL BANK OF CANADA MTN Banking Fixed Income 96,312.65 0.02 96,312.65 nan 4.68 5.00 5.77
CBRE SERVICES INC Consumer Cyclical Fixed Income 96,264.57 0.02 96,264.57 nan 4.89 4.90 5.57
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 96,216.49 0.02 96,216.49 nan 4.31 2.40 4.72
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 96,072.23 0.02 96,072.23 BYMYP24 4.78 4.60 7.48
AT&T INC Communications Fixed Income 96,024.15 0.02 96,024.15 BBNC4H4 5.94 4.35 11.91
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 96,024.15 0.02 96,024.15 BG0JBZ0 5.80 3.80 13.42
SWP: OIS 3.272200 20-SEP-2049 SOF Cash and/or Derivatives Swaps 95,995.58 0.02 -604,004.42 nan -0.12 3.27 15.66
APTIV SWISS HOLDINGS LTD Consumer Cyclical Fixed Income 95,976.06 0.02 95,976.06 BLR5N72 6.09 3.10 14.67
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 95,976.06 0.02 95,976.06 nan 4.93 4.63 7.44
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 95,927.98 0.02 95,927.98 BJT1608 5.62 5.10 11.65
DUKE ENERGY CORP Electric Fixed Income 95,831.81 0.02 95,831.81 BNTVSP5 5.96 6.10 13.29
ENBRIDGE INC Energy Fixed Income 95,831.81 0.02 95,831.81 BLR8KZ8 4.78 2.50 6.46
XCEL ENERGY INC Electric Fixed Income 95,831.81 0.02 95,831.81 nan 4.93 5.45 5.96
COREBRIDGE FINANCIAL INC Insurance Fixed Income 95,783.73 0.02 95,783.73 nan 5.12 5.75 6.14
ABBVIE INC Consumer Non-Cyclical Fixed Income 95,735.64 0.02 95,735.64 BLKFQT2 5.57 4.75 11.94
ASCENSION HEALTH Consumer Non-Cyclical Fixed Income 95,735.64 0.02 95,735.64 nan 4.22 2.53 3.33
EXELON CORPORATION Electric Fixed Income 95,735.64 0.02 95,735.64 BN45Q25 5.88 5.60 13.49
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 95,735.64 0.02 95,735.64 nan 5.36 5.70 6.88
PEPSICO INC Consumer Non-Cyclical Fixed Income 95,735.64 0.02 95,735.64 nan 5.52 3.63 14.39
UNITEDHEALTH GROUP INC Insurance Fixed Income 95,735.64 0.02 95,735.64 BNKBV11 5.87 4.95 15.01
APPLE INC Technology Fixed Income 95,591.39 0.02 95,591.39 BLN8MV2 5.47 2.55 18.02
BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 95,591.39 0.02 95,591.39 991CAD3 6.52 5.80 3.42
WALT DISNEY CO Communications Fixed Income 95,495.22 0.02 95,495.22 BJQX577 4.63 6.20 6.66
VIATRIS INC Consumer Non-Cyclical Fixed Income 95,399.05 0.02 95,399.05 nan 6.77 4.00 12.98
HOME DEPOT INC Consumer Cyclical Fixed Income 95,302.89 0.02 95,302.89 nan 4.24 1.38 4.65
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 95,302.89 0.02 95,302.89 nan 6.25 6.15 13.23
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 95,302.89 0.02 95,302.89 nan 4.50 2.20 4.08
UNION PACIFIC CORPORATION Transportation Fixed Income 95,254.80 0.02 95,254.80 BDCWS88 5.62 3.80 14.60
WESTPAC BANKING CORP Banking Fixed Income 95,206.72 0.02 95,206.72 BMX5050 5.45 2.96 10.96
QUEST DIAGNOSTICS INCORPORATED Consumer Non-Cyclical Fixed Income 95,158.63 0.02 95,158.63 nan 4.86 6.40 5.95
TRAVELERS COMPANIES INC Insurance Fixed Income 95,158.63 0.02 95,158.63 B5MHZ97 5.27 5.35 9.80
CUMMINS INC Consumer Cyclical Fixed Income 95,110.55 0.02 95,110.55 BSBGTN8 5.57 5.45 14.01
RAYMOND JAMES FINANCIAL INC. Brokerage/Asset Managers/Exchanges Fixed Income 95,062.46 0.02 95,062.46 BYP6KY4 5.75 4.95 12.09
EASTMAN CHEMICAL COMPANY Basic Industry Fixed Income 94,918.21 0.02 94,918.21 nan 5.20 5.63 6.25
AMRIZE FINANCE US LLC Capital Goods Fixed Income 94,918.21 0.02 94,918.21 BVPJWK2 4.98 5.40 7.07
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 94,822.04 0.02 94,822.04 nan 4.76 5.00 5.42
SUNCOR ENERGY INC. Energy Fixed Income 94,773.96 0.02 94,773.96 B39RFF2 5.58 6.85 8.67
APOLLO DEBT SOLUTIONS BDC 144A Finance Companies Fixed Income 94,725.88 0.02 94,725.88 nan 5.94 5.70 4.06
DOW CHEMICAL CO Basic Industry Fixed Income 94,725.88 0.02 94,725.88 BQ72LX0 6.64 6.90 12.07
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 94,677.79 0.02 94,677.79 nan 4.80 4.63 5.84
TARGA RESOURCES CORP Energy Fixed Income 94,677.79 0.02 94,677.79 nan 4.60 4.35 4.42
DEERE & CO Capital Goods Fixed Income 94,581.62 0.02 94,581.62 nan 5.45 5.70 14.13
ROYAL BANK OF CANADA MTN Banking Fixed Income 94,581.62 0.02 94,581.62 nan 4.39 4.97 2.98
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 94,533.54 0.02 94,533.54 BMGNSZ7 5.56 3.00 14.88
VICI PROPERTIES LP Consumer Cyclical Fixed Income 94,485.45 0.02 94,485.45 nan 5.00 5.13 4.70
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 94,293.12 0.02 94,293.12 BMBKZF2 4.39 2.25 4.23
MICRON TECHNOLOGY INC Technology Fixed Income 94,293.12 0.02 94,293.12 nan 4.57 2.70 5.42
DOMINION ENERGY INC Electric Fixed Income 94,245.03 0.02 94,245.03 nan 4.55 2.25 4.90
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 94,245.03 0.02 94,245.03 B1L6KD6 5.02 5.70 7.87
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 94,245.03 0.02 94,245.03 nan 5.69 5.65 11.09
TARGA RESOURCES CORP Energy Fixed Income 94,100.78 0.02 94,100.78 nan 5.21 5.50 6.89
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 94,052.70 0.02 94,052.70 nan 5.98 5.88 14.91
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 94,004.61 0.02 94,004.61 BMWG8Z0 4.92 5.15 6.79
ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 93,956.53 0.02 93,956.53 nan 4.76 5.65 6.03
BARCLAYS PLC Banking Fixed Income 93,908.44 0.02 93,908.44 nan 5.66 3.33 11.19
BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 93,908.44 0.02 93,908.44 nan 5.74 5.65 7.21
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 93,860.36 0.02 93,860.36 BZ0WZL6 5.96 4.70 12.59
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 93,860.36 0.02 93,860.36 nan 5.08 6.40 5.39
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 93,860.36 0.02 93,860.36 B6S0304 5.33 5.65 10.18
STATE STREET CORP Banking Fixed Income 93,860.36 0.02 93,860.36 nan 4.22 4.83 3.55
CME GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 93,812.28 0.02 93,812.28 BDDY861 5.30 5.30 11.23
PFIZER INC Consumer Non-Cyclical Fixed Income 93,812.28 0.02 93,812.28 nan 4.17 1.70 3.87
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 93,764.19 0.02 93,764.19 nan 5.02 5.45 7.00
CHENIERE ENERGY INC 144A Energy Fixed Income 93,668.02 0.02 93,668.02 nan 5.18 5.20 7.86
CORNING INC Technology Fixed Income 93,668.02 0.02 93,668.02 nan 5.96 5.45 15.81
GLOBAL PAYMENTS INC Technology Fixed Income 93,619.94 0.02 93,619.94 nan 5.32 5.40 5.26
MIDAMERICAN ENERGY COMPANY Electric Fixed Income 93,619.94 0.02 93,619.94 BNSP5G8 5.71 5.85 13.84
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 93,619.94 0.02 93,619.94 BQB6DJ8 5.77 5.35 14.03
SIMON PROPERTY GROUP LP Reits Fixed Income 93,427.60 0.02 93,427.60 BMVPRM8 4.32 2.65 3.92
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 93,379.52 0.02 93,379.52 BN6SF14 4.65 2.13 4.99
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 93,379.52 0.02 93,379.52 nan 5.82 5.60 14.04
ABBVIE INC Consumer Non-Cyclical Fixed Income 93,331.43 0.02 93,331.43 nan 5.45 5.35 11.33
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 93,331.43 0.02 93,331.43 BRJRLD0 5.58 5.50 13.91
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 93,331.43 0.02 93,331.43 nan 4.07 4.80 3.20
BOEING CO Capital Goods Fixed Income 93,283.35 0.02 93,283.35 BKPHQD0 6.00 3.95 15.38
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 93,283.35 0.02 93,283.35 nan 4.64 5.42 4.47
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 93,235.27 0.02 93,235.27 BMWC900 5.39 3.00 15.28
PEPSICO INC Consumer Non-Cyclical Fixed Income 93,235.27 0.02 93,235.27 BN4HRC8 5.50 2.75 15.54
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 93,187.18 0.02 93,187.18 nan 5.65 5.60 15.53
UNITEDHEALTH GROUP INC Insurance Fixed Income 93,187.18 0.02 93,187.18 nan 4.37 4.90 4.40
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 93,139.10 0.02 93,139.10 BN0XP59 5.53 2.85 15.41
CF INDUSTRIES INC Basic Industry Fixed Income 93,139.10 0.02 93,139.10 B9XR0S8 5.83 4.95 10.88
PRUDENTIAL FINANCIAL INC Insurance Fixed Income 92,994.84 0.02 92,994.84 BG0KDC4 5.78 3.90 13.10
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 92,946.76 0.02 92,946.76 BMB3JX7 5.58 3.30 10.74
SWP: OIS 3.350200 28-DEC-2053 SOF Cash and/or Derivatives Swaps 92,943.30 0.02 -607,056.70 nan -0.12 3.35 17.11
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 92,850.59 0.02 92,850.59 nan 4.25 1.95 3.86
NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 92,850.59 0.02 92,850.59 BRT75P0 5.81 5.95 13.42
HALEON US CAPITAL LLC Consumer Non-Cyclical Fixed Income 92,802.51 0.02 92,802.51 BP0SVV6 5.63 4.00 14.53
METLIFE INC Insurance Fixed Income 92,754.42 0.02 92,754.42 B0BXDC0 4.90 5.70 7.02
APPLE INC Technology Fixed Income 92,706.34 0.02 92,706.34 nan 3.97 1.25 4.14
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 92,706.34 0.02 92,706.34 BJFSR11 5.85 4.45 13.06
EASTERN ENERGY GAS HOLDINGS LLC Energy Fixed Income 92,706.34 0.02 92,706.34 BQFN221 5.94 5.65 13.79
NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 92,706.34 0.02 92,706.34 BRT75N8 5.90 6.10 14.66
DUKE ENERGY CORP Electric Fixed Income 92,610.17 0.02 92,610.17 BRK1TD7 5.96 5.80 13.38
T-MOBILE USA INC Communications Fixed Income 92,610.17 0.02 92,610.17 nan 4.93 5.75 6.16
BELL TELEPHONE COMPANY OF CANADA O Communications Fixed Income 92,562.09 0.02 92,562.09 BPGLSL8 5.90 5.55 13.62
EXPEDIA GROUP INC Consumer Cyclical Fixed Income 92,562.09 0.02 92,562.09 BLTZ2F1 4.55 3.25 3.52
XCEL ENERGY INC Electric Fixed Income 92,562.09 0.02 92,562.09 nan 5.17 5.60 7.03
NIKE INC Consumer Cyclical Fixed Income 92,465.92 0.02 92,465.92 BYQGY18 5.60 3.88 12.46
ONEOK INC Energy Fixed Income 92,465.92 0.02 92,465.92 BM8JWH3 6.26 3.95 13.50
AIRBNB INC Consumer Cyclical Fixed Income 92,417.83 0.02 92,417.83 nan 5.10 5.25 7.64
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 92,417.83 0.02 92,417.83 BMHBC36 5.70 3.30 15.26
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 92,417.83 0.02 92,417.83 nan 4.99 4.90 7.43
FLORIDA POWER & LIGHT CO Electric Fixed Income 92,321.67 0.02 92,321.67 nan 4.57 4.80 5.84
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 92,225.50 0.02 92,225.50 nan 5.16 5.20 6.44
COMCAST CORPORATION Communications Fixed Income 92,177.41 0.02 92,177.41 BFY1YN4 6.08 4.00 13.05
KINDER MORGAN INC Energy Fixed Income 92,177.41 0.02 92,177.41 BDR5VY9 5.89 5.20 12.44
INTEL CORPORATION Technology Fixed Income 92,129.33 0.02 92,129.33 nan 6.19 4.95 14.64
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 92,129.33 0.02 92,129.33 nan 4.62 5.30 5.03
MOTOROLA SOLUTIONS INC Technology Fixed Income 92,081.24 0.02 92,081.24 nan 5.12 5.55 7.19
QUALCOMM INCORPORATED Technology Fixed Income 92,081.24 0.02 92,081.24 BWX4CX9 4.71 4.65 7.20
ROGERS COMMUNICATIONS INC Communications Fixed Income 92,081.24 0.02 92,081.24 BJZD8R9 6.05 5.00 11.23
TARGET CORPORATION Consumer Cyclical Fixed Income 92,081.24 0.02 92,081.24 BN95W88 5.57 2.95 15.45
AMERICAN TOWER CORPORATION Communications Fixed Income 92,033.16 0.02 92,033.16 BMBKJ72 5.78 3.10 14.59
FLORIDA POWER & LIGHT CO Electric Fixed Income 92,033.16 0.02 92,033.16 BKTC8V3 5.58 3.15 14.68
GENERAL MOTORS CO Consumer Cyclical Fixed Income 92,033.16 0.02 92,033.16 BD93Q91 6.22 5.40 12.22
HOME DEPOT INC Consumer Cyclical Fixed Income 92,033.16 0.02 92,033.16 BNRQN46 5.58 2.38 16.08
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 91,985.08 0.02 91,985.08 nan 4.89 5.81 5.99
VICI PROPERTIES LP Consumer Cyclical Fixed Income 91,985.08 0.02 91,985.08 BPWCPW5 6.25 5.63 12.73
DEVON ENERGY CORPORATION Energy Fixed Income 91,936.99 0.02 91,936.99 BYNCYY2 5.94 5.00 11.55
MASTERCARD INC Technology Fixed Income 91,888.91 0.02 91,888.91 BMH9H80 5.49 3.85 14.24
QUALCOMM INCORPORATED Technology Fixed Income 91,888.91 0.02 91,888.91 BMZ7WJ2 4.21 2.15 3.81
PIONEER NATURAL RESOURCES COMPANY Energy Fixed Income 91,840.82 0.02 91,840.82 BMFBJD7 4.23 1.90 4.07
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 91,840.82 0.02 91,840.82 BMYT813 5.63 3.03 15.45
NISOURCE INC Natural Gas Fixed Income 91,744.66 0.02 91,744.66 BD20RG3 5.83 4.38 12.52
PUBLIC STORAGE OPERATING CO Reits Fixed Income 91,600.40 0.02 91,600.40 nan 5.63 5.35 13.84
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 91,504.23 0.02 91,504.23 BLD57S5 5.68 3.20 15.14
AETNA INC Insurance Fixed Income 91,456.15 0.02 91,456.15 B16MV25 5.39 6.63 7.34
ELEVANCE HEALTH INC Insurance Fixed Income 91,456.15 0.02 91,456.15 nan 4.36 4.75 3.45
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 91,359.98 0.02 91,359.98 nan 4.49 5.22 3.37
TELEFONICA EMISIONES SAU Communications Fixed Income 91,359.98 0.02 91,359.98 BF2TMG9 6.15 4.89 12.45
ENERGY TRANSFER LP Energy Fixed Income 91,311.90 0.02 91,311.90 nan 4.34 5.25 2.89
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 91,311.90 0.02 91,311.90 nan 4.55 5.55 2.75
DIGITAL REALTY TRUST LP Reits Fixed Income 91,263.81 0.02 91,263.81 BKF20T9 4.32 3.60 2.96
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 91,263.81 0.02 91,263.81 nan 4.27 4.80 3.61
APPLE INC Technology Fixed Income 91,215.73 0.02 91,215.73 nan 3.90 4.20 3.65
BUNGE FINANCE LTD CORP Consumer Non-Cyclical Fixed Income 91,215.73 0.02 91,215.73 nan 4.32 4.20 3.14
CSX CORP Transportation Fixed Income 91,215.73 0.02 91,215.73 B8MZYR3 5.54 4.10 11.94
ONEOK INC Energy Fixed Income 91,119.56 0.02 91,119.56 nan 4.90 4.95 5.50
INGERSOLL RAND INC Capital Goods Fixed Income 91,071.48 0.02 91,071.48 nan 4.95 5.45 6.45
NUTRIEN LTD Basic Industry Fixed Income 90,975.31 0.02 90,975.31 BHPRDR2 5.81 5.00 12.96
ONEOK INC Energy Fixed Income 90,927.22 0.02 90,927.22 nan 4.72 4.75 4.79
J M SMUCKER CO Consumer Non-Cyclical Fixed Income 90,927.22 0.02 90,927.22 BMTQVH6 5.92 6.50 10.36
TRUIST BANK Banking Fixed Income 90,879.14 0.02 90,879.14 nan 4.57 2.25 3.66
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 90,831.06 0.02 90,831.06 BJ521C2 4.21 4.90 4.18
INTEL CORPORATION Technology Fixed Income 90,831.06 0.02 90,831.06 BL59309 5.93 3.05 14.94
NXP BV Technology Fixed Income 90,831.06 0.02 90,831.06 nan 4.42 4.30 2.89
AMPHENOL CORPORATION Capital Goods Fixed Income 90,734.89 0.02 90,734.89 BT259Q4 4.84 5.00 6.94
CENTENE CORPORATION Insurance Fixed Income 90,734.89 0.02 90,734.89 BM8DBR8 5.61 2.63 4.78
SHELL FINANCE US INC 144A Energy Fixed Income 90,734.89 0.02 90,734.89 nan 5.60 3.00 15.22
INTEL CORPORATION Technology Fixed Income 90,686.80 0.02 90,686.80 B6SRRZ8 5.80 4.80 10.48
APPLOVIN CORP Communications Fixed Income 90,638.72 0.02 90,638.72 nan 4.68 5.13 3.22
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 90,638.72 0.02 90,638.72 nan 7.13 5.50 13.43
LYB INTERNATIONAL FINANCE BV Basic Industry Fixed Income 90,638.72 0.02 90,638.72 BK3NZG6 6.47 4.88 11.11
ONEOK INC Energy Fixed Income 90,542.55 0.02 90,542.55 nan 6.32 5.85 14.14
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 90,542.55 0.02 90,542.55 nan 4.30 4.00 4.02
VISA INC Technology Fixed Income 90,542.55 0.02 90,542.55 BM6KKH4 4.06 2.05 3.77
HCA INC Consumer Non-Cyclical Fixed Income 90,494.47 0.02 90,494.47 BKKDGV1 4.31 4.13 2.89
PFIZER INC Consumer Non-Cyclical Fixed Income 90,494.47 0.02 90,494.47 BMMB3K5 5.42 4.40 11.69
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 90,446.38 0.02 90,446.38 BVF9ZL4 5.54 4.15 12.34
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 90,398.30 0.02 90,398.30 nan 5.92 2.95 14.56
CAMPBELLS CO Consumer Non-Cyclical Fixed Income 90,302.13 0.02 90,302.13 nan 5.68 4.75 7.09
DELL INTERNATIONAL LLC Technology Fixed Income 90,157.88 0.02 90,157.88 nan 4.56 6.20 3.67
INTEL CORPORATION Technology Fixed Income 90,109.79 0.02 90,109.79 B93NKV9 4.81 4.00 5.67
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 90,109.79 0.02 90,109.79 nan 4.15 2.60 3.25
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 89,965.54 0.02 89,965.54 BH458J4 5.97 5.30 10.86
CROWN CASTLE INC Communications Fixed Income 89,965.54 0.02 89,965.54 nan 4.75 2.10 4.60
EQT CORP Energy Fixed Income 89,965.54 0.02 89,965.54 nan 5.08 5.75 6.19
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 89,869.37 0.02 89,869.37 nan 4.14 3.60 3.82
T-MOBILE USA INC Communications Fixed Income 89,869.37 0.02 89,869.37 nan 4.75 5.20 5.58
WOODSIDE FINANCE LTD Energy Fixed Income 89,725.12 0.02 89,725.12 nan 6.09 5.70 13.53
DTE ENERGY COMPANY Electric Fixed Income 89,580.87 0.02 89,580.87 nan 4.95 5.85 6.34
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 89,484.70 0.02 89,484.70 nan 4.85 5.25 7.02
HUMANA INC Insurance Fixed Income 89,484.70 0.02 89,484.70 BRC6GS4 6.43 5.75 13.19
LYONDELLBASELL INDUSTRIES NV Basic Industry Fixed Income 89,484.70 0.02 89,484.70 BW3SZD2 6.46 4.63 13.78
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 89,388.53 0.02 89,388.53 BP2TQV2 5.10 2.95 6.84
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 89,340.45 0.02 89,340.45 nan 4.68 6.10 2.77
GEORGIA POWER COMPANY Electric Fixed Income 89,340.45 0.02 89,340.45 BMW7ZC9 5.64 5.13 13.53
TARGA RESOURCES CORP Energy Fixed Income 89,196.19 0.02 89,196.19 BMZM349 6.13 4.95 13.50
BERRY GLOBAL INC Capital Goods Fixed Income 89,148.11 0.02 89,148.11 BSSB334 4.72 5.80 4.37
DUKE ENERGY PROGRESS LLC Electric Fixed Income 89,148.11 0.02 89,148.11 nan 5.71 5.55 14.09
SHELL FINANCE US INC 144A Energy Fixed Income 89,051.94 0.02 89,051.94 nan 5.24 5.50 9.68
SWP: OIS 3.340200 22-AUG-2049 SOF Cash and/or Derivatives Swaps 89,027.47 0.02 -610,972.53 nan -0.07 3.34 15.57
CROWN CASTLE INC Communications Fixed Income 89,003.86 0.02 89,003.86 BMG11F2 4.76 2.25 4.38
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 88,955.77 0.02 88,955.77 nan 4.52 3.00 5.22
BOEING CO Capital Goods Fixed Income 88,907.69 0.02 88,907.69 BK1WFH6 5.00 3.60 6.70
COMCAST CORPORATION Communications Fixed Income 88,859.60 0.02 88,859.60 B0B7ZQ0 5.03 5.65 7.02
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 88,811.52 0.02 88,811.52 BFY3CF8 6.40 5.38 8.52
METLIFE INC Insurance Fixed Income 88,811.52 0.02 88,811.52 B019VJ1 4.81 6.38 6.31
EXPAND ENERGY CORP Energy Fixed Income 88,763.43 0.02 88,763.43 nan 5.31 5.70 6.76
TRANSCANADA PIPELINES LTD Energy Fixed Income 88,715.35 0.02 88,715.35 B5SKD29 5.56 6.10 9.32
WELLTOWER OP LLC Reits Fixed Income 88,715.35 0.02 88,715.35 nan 4.41 2.80 4.64
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 88,667.27 0.02 88,667.27 BRF5C57 5.72 5.45 13.74
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 88,667.27 0.02 88,667.27 nan 5.03 5.15 7.37
KENVUE INC Consumer Non-Cyclical Fixed Income 88,619.18 0.02 88,619.18 nan 5.75 5.20 15.46
BARCLAYS PLC Banking Fixed Income 88,571.10 0.02 88,571.10 nan 5.71 6.04 13.65
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 88,523.01 0.02 88,523.01 BK94080 5.00 1.88 6.17
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 88,523.01 0.02 88,523.01 nan 4.59 5.90 6.00
AMERIPRISE FINANCIAL INC Brokerage/Asset Managers/Exchanges Fixed Income 88,474.93 0.02 88,474.93 nan 4.68 5.15 5.78
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 88,474.93 0.02 88,474.93 BPCRP08 4.66 4.80 6.31
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 88,378.76 0.02 88,378.76 nan 4.40 3.40 3.68
AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 88,378.76 0.02 88,378.76 nan 4.54 4.40 3.09
BOEING CO Capital Goods Fixed Income 88,378.76 0.02 88,378.76 BKPHQH4 5.04 3.25 7.38
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 88,378.76 0.02 88,378.76 nan 5.71 5.60 15.20
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 88,378.76 0.02 88,378.76 nan 4.77 4.87 5.89
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 88,330.68 0.02 88,330.68 BQ7XCG3 4.74 5.50 5.57
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 88,186.42 0.02 88,186.42 B5M4JQ3 4.88 5.75 9.51
TARGA RESOURCES CORP Energy Fixed Income 88,186.42 0.02 88,186.42 nan 4.53 4.90 3.92
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 88,138.34 0.02 88,138.34 nan 4.94 5.06 4.36
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 88,138.34 0.02 88,138.34 nan 4.53 4.95 5.63
BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 88,138.34 0.02 88,138.34 BS47SR5 6.58 6.65 4.11
GLP CAPITAL LP Consumer Cyclical Fixed Income 88,090.26 0.02 88,090.26 nan 5.60 5.63 6.60
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 88,090.26 0.02 88,090.26 nan 5.44 2.75 15.44
VIATRIS INC Consumer Non-Cyclical Fixed Income 88,090.26 0.02 88,090.26 nan 6.25 3.85 10.08
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 88,042.17 0.02 88,042.17 nan 4.54 3.25 3.67
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 87,897.92 0.02 87,897.92 BRJ50F9 5.98 7.08 10.19
AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 87,849.83 0.02 87,849.83 BFMNF40 5.68 4.75 12.91
HALLIBURTON COMPANY Energy Fixed Income 87,849.83 0.02 87,849.83 B3D2F31 5.40 6.70 8.57
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 87,753.67 0.02 87,753.67 nan 4.68 1.98 4.11
VMWARE LLC Technology Fixed Income 87,705.58 0.02 87,705.58 nan 4.37 4.70 3.61
CROWN CASTLE INC Communications Fixed Income 87,657.50 0.02 87,657.50 nan 4.68 3.30 3.82
ROGERS COMMUNICATIONS INC Communications Fixed Income 87,657.50 0.02 87,657.50 BNXJJZ2 5.91 4.50 10.75
KAISER FOUNDATION HOSPITALS Consumer Non-Cyclical Fixed Income 87,609.41 0.02 87,609.41 BF0YLL4 5.58 4.15 12.79
US BANCORP MTN Banking Fixed Income 87,609.41 0.02 87,609.41 nan 4.49 5.05 3.42
WILLIS NORTH AMERICA INC Insurance Fixed Income 87,609.41 0.02 87,609.41 nan 4.94 5.35 5.73
SMURFIT WESTROCK FINANCING DAC Basic Industry Fixed Income 87,561.33 0.02 87,561.33 nan 5.17 5.18 7.43
CANADIAN NATIONAL RAILWAY COMPANY Transportation Fixed Income 87,465.16 0.02 87,465.16 nan 4.44 3.85 5.48
COMCAST CORPORATION Communications Fixed Income 87,417.08 0.02 87,417.08 BY58YP9 5.97 4.60 11.91
LOWES COMPANIES INC Consumer Cyclical Fixed Income 87,320.91 0.02 87,320.91 BD0SCD1 5.79 3.70 12.92
DOMINION ENERGY INC Electric Fixed Income 87,224.74 0.02 87,224.74 nan 4.43 5.00 3.67
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 87,224.74 0.02 87,224.74 nan 4.13 4.45 2.92
ZOETIS INC Consumer Non-Cyclical Fixed Income 87,224.74 0.02 87,224.74 nan 4.60 5.60 5.38
CONOCOPHILLIPS CO Energy Fixed Income 87,176.66 0.02 87,176.66 nan 5.46 3.76 11.30
DUKE ENERGY CORP Electric Fixed Income 87,176.66 0.02 87,176.66 BNR5LJ4 5.93 3.50 14.32
T-MOBILE USA INC Communications Fixed Income 87,176.66 0.02 87,176.66 BN72M47 5.99 5.80 14.74
COTERRA ENERGY INC Energy Fixed Income 86,888.15 0.02 86,888.15 BRRG203 6.09 5.90 13.45
INGERSOLL RAND INC Capital Goods Fixed Income 86,791.98 0.02 86,791.98 nan 4.21 5.18 2.85
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 86,791.98 0.02 86,791.98 nan 4.26 5.05 2.82
CARLISLE COMPANIES INCORPORATED Capital Goods Fixed Income 86,695.81 0.02 86,695.81 BKBP1Y4 4.45 2.75 3.60
COSTCO WHOLESALE CORPORATION Consumer Cyclical Fixed Income 86,695.81 0.02 86,695.81 nan 4.12 1.75 5.54
PFIZER INC Consumer Non-Cyclical Fixed Income 86,695.81 0.02 86,695.81 BB9ZSR5 5.51 4.30 11.38
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 86,647.73 0.02 86,647.73 nan 4.77 5.00 3.08
PRUDENTIAL FINANCIAL INC Insurance Fixed Income 86,599.65 0.02 86,599.65 BFZCSL2 5.76 3.94 13.67
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 86,599.65 0.02 86,599.65 nan 4.38 1.95 5.17
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 86,551.56 0.02 86,551.56 BQ0MLF9 6.22 6.00 14.17
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 86,455.39 0.02 86,455.39 BMWG8W7 5.79 5.50 13.75
PEPSICO INC Consumer Non-Cyclical Fixed Income 86,455.39 0.02 86,455.39 nan 5.50 2.88 15.08
AT&T INC Communications Fixed Income 86,214.97 0.02 86,214.97 BN2YL18 6.05 3.30 14.66
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 86,214.97 0.02 86,214.97 BF2K6Q0 5.43 4.10 13.20
CISCO SYSTEMS INC Technology Fixed Income 86,118.80 0.02 86,118.80 nan 4.08 4.75 3.48
EQUINIX INC Technology Fixed Income 86,118.80 0.02 86,118.80 BKC9V23 4.43 3.20 3.29
CARRIER GLOBAL CORP Capital Goods Fixed Income 86,070.72 0.02 86,070.72 nan 4.37 2.72 3.56
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 86,070.72 0.02 86,070.72 BK9DLD9 4.16 2.70 3.12
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 86,022.64 0.02 86,022.64 nan 4.69 4.75 5.71
COMCAST CORPORATION Communications Fixed Income 85,926.47 0.02 85,926.47 BKP8N09 6.04 2.45 15.89
INTEL CORPORATION Technology Fixed Income 85,926.47 0.02 85,926.47 nan 4.64 2.00 4.92
MASTERCARD INC Technology Fixed Income 85,926.47 0.02 85,926.47 nan 4.46 4.85 5.80
NEWMONT CORPORATION Basic Industry Fixed Income 85,830.30 0.02 85,830.30 nan 4.20 2.60 5.62
PAYPAL HOLDINGS INC Technology Fixed Income 85,830.30 0.02 85,830.30 BMD8004 5.94 3.25 14.27
EOG RESOURCES INC Energy Fixed Income 85,782.21 0.02 85,782.21 BLB9JH2 5.75 4.95 13.34
MASTERCARD INC Technology Fixed Income 85,734.13 0.02 85,734.13 nan 4.07 3.35 3.64
PEPSICO INC Consumer Non-Cyclical Fixed Income 85,686.05 0.02 85,686.05 BD3VCR1 5.45 3.45 13.47
GLOBAL PAYMENTS INC Technology Fixed Income 85,637.96 0.02 85,637.96 BNBVCY0 6.43 5.95 12.68
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 85,493.71 0.02 85,493.71 nan 5.30 5.45 6.63
MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 85,493.71 0.02 85,493.71 BKWF8H5 4.42 2.75 3.71
DOW CHEMICAL CO Basic Industry Fixed Income 85,445.62 0.02 85,445.62 BN15X50 6.41 3.60 13.61
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 85,301.37 0.02 85,301.37 B7YGHX4 5.48 4.45 11.36
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 85,301.37 0.02 85,301.37 BQ5HTL1 4.78 5.38 4.81
COMCAST CORPORATION Communications Fixed Income 85,253.29 0.02 85,253.29 nan 6.06 2.65 17.11
PPL CAPITAL FUNDING INC Electric Fixed Income 85,253.29 0.02 85,253.29 nan 4.94 5.25 6.69
TARGA RESOURCES CORP Energy Fixed Income 85,253.29 0.02 85,253.29 BTPHWY6 5.32 5.65 7.44
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 85,205.20 0.02 85,205.20 B5LM203 5.53 4.85 10.85
XCEL ENERGY INC Electric Fixed Income 85,205.20 0.02 85,205.20 nan 5.06 5.50 6.35
3M CO MTN Capital Goods Fixed Income 85,157.12 0.02 85,157.12 BFNR3G9 5.67 4.00 13.52
TARGET CORPORATION Consumer Cyclical Fixed Income 85,060.95 0.02 85,060.95 BPRCP19 5.56 4.80 14.08
VALERO ENERGY CORPORATION Energy Fixed Income 85,060.95 0.02 85,060.95 BLGTT55 6.02 3.65 14.18
EXPEDIA GROUP INC Consumer Cyclical Fixed Income 85,012.87 0.02 85,012.87 nan 5.48 5.50 7.61
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 85,012.87 0.02 85,012.87 BMDWBN6 5.58 2.80 15.39
TRUIST FINANCIAL CORP MTN Banking Fixed Income 85,012.87 0.02 85,012.87 nan 4.32 1.95 3.87
PHILLIPS 66 Energy Fixed Income 84,916.70 0.02 84,916.70 BNM6J09 5.93 3.30 14.88
WYETH LLC Consumer Non-Cyclical Fixed Income 84,916.70 0.02 84,916.70 2235543 4.71 6.50 6.11
WEYERHAEUSER COMPANY Basic Industry Fixed Income 84,772.45 0.02 84,772.45 BJJDQP9 4.39 4.00 3.24
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 84,724.36 0.02 84,724.36 BMTCTB4 4.56 2.13 5.48
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 84,628.19 0.02 84,628.19 BDFC7W2 5.68 4.45 12.70
JBS NV Consumer Non-Cyclical Fixed Income 84,580.11 0.02 84,580.11 2PGWWX0 6.28 6.38 13.10
METLIFE INC Insurance Fixed Income 84,532.03 0.02 84,532.03 BQ0N1M9 5.67 5.25 13.92
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 84,532.03 0.02 84,532.03 nan 5.75 2.95 15.11
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 84,435.86 0.02 84,435.86 BN7GF39 5.62 3.30 15.03
EOG RESOURCES INC Energy Fixed Income 84,435.86 0.02 84,435.86 nan 5.75 5.95 13.79
AUTODESK INC Technology Fixed Income 84,387.77 0.02 84,387.77 nan 4.64 2.40 5.14
BELL TELEPHONE COMPANY OF CANADA O Communications Fixed Income 84,387.77 0.02 84,387.77 nan 4.92 5.10 5.76
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 84,387.77 0.02 84,387.77 nan 4.71 4.95 7.37
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 84,387.77 0.02 84,387.77 nan 4.97 5.41 5.65
KROGER CO Consumer Non-Cyclical Fixed Income 84,339.69 0.02 84,339.69 nan 5.86 3.95 13.69
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 84,339.69 0.02 84,339.69 nan 6.24 6.10 13.46
MERCK & CO INC Consumer Non-Cyclical Fixed Income 84,195.44 0.02 84,195.44 BLHM7R1 5.65 2.90 17.21
CHEVRON CORP Energy Fixed Income 84,147.35 0.02 84,147.35 nan 4.14 2.24 3.78
ORANGE SA Communications Fixed Income 84,099.27 0.02 84,099.27 B57N0W8 5.59 5.38 10.31
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 84,051.18 0.02 84,051.18 BMTQL54 5.67 3.00 17.10
VISA INC Technology Fixed Income 84,051.18 0.02 84,051.18 BD5WHT9 5.41 3.65 13.64
MERCK & CO INC Consumer Non-Cyclical Fixed Income 84,003.10 0.02 84,003.10 nan 4.14 1.45 3.97
ENBRIDGE INC Energy Fixed Income 83,955.01 0.02 83,955.01 BP2Q7V0 5.81 3.40 14.64
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 83,906.93 0.02 83,906.93 nan 5.60 5.75 14.17
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 83,906.93 0.02 83,906.93 BMMB383 5.69 4.60 11.45
CIGNA GROUP Consumer Non-Cyclical Fixed Income 83,810.76 0.02 83,810.76 nan 4.76 5.40 5.72
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 83,810.76 0.02 83,810.76 nan 5.42 5.50 6.28
WELLS FARGO BANK NA Banking Fixed Income 83,810.76 0.02 83,810.76 B1PB082 5.29 5.85 7.91
WESTPAC BANKING CORP Banking Fixed Income 83,810.76 0.02 83,810.76 BLD9486 5.67 3.13 11.30
SWP: OIS 3.826700 01-DEC-2040 SOF Cash and/or Derivatives Swaps 83,763.51 0.02 -3,835,236.49 nan 0.24 3.83 11.11
ENBRIDGE INC Energy Fixed Income 83,762.68 0.02 83,762.68 BZ6CXF0 5.78 5.50 11.83
FISERV INC Technology Fixed Income 83,762.68 0.02 83,762.68 nan 5.19 5.60 5.63
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 83,762.68 0.02 83,762.68 BNNPHX4 5.73 5.15 13.74
WESTINGHOUSE AIR BRAKE TECHNOLOGIE Capital Goods Fixed Income 83,762.68 0.02 83,762.68 nan 5.04 5.50 7.00
WILLIAMS COMPANIES INC Energy Fixed Income 83,762.68 0.02 83,762.68 BMBR285 5.95 5.30 13.40
WALMART INC Consumer Cyclical Fixed Income 83,666.51 0.02 83,666.51 BMDP801 5.01 2.50 12.03
CISCO SYSTEMS INC Technology Fixed Income 83,618.43 0.02 83,618.43 nan 5.61 5.50 14.16
EOG RESOURCES INC Energy Fixed Income 83,618.43 0.02 83,618.43 BLBMLZ3 4.27 4.38 3.63
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 83,618.43 0.02 83,618.43 nan 4.47 4.47 5.56
CROWN CASTLE INC Communications Fixed Income 83,570.34 0.02 83,570.34 nan 4.82 2.50 4.78
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 83,570.34 0.02 83,570.34 nan 4.41 4.60 4.80
SWP: OIS 3.330200 07-OCT-2054 SOF Cash and/or Derivatives Swaps 83,411.25 0.02 -516,588.75 nan -0.15 3.33 17.43
CROWN CASTLE INC Communications Fixed Income 83,378.00 0.02 83,378.00 nan 4.50 5.60 2.79
UNION PACIFIC CORPORATION Transportation Fixed Income 83,378.00 0.02 83,378.00 BMBMCQ8 5.66 2.97 17.41
COTERRA ENERGY INC Energy Fixed Income 83,329.92 0.02 83,329.92 nan 5.15 5.40 6.91
CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 83,329.92 0.02 83,329.92 BFWSC66 6.54 5.40 11.85
CANADIAN NATURAL RESOURCES LTD Energy Fixed Income 83,233.75 0.02 83,233.75 2M24M06 4.38 5.00 3.27
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 83,233.75 0.02 83,233.75 nan 4.60 2.40 4.80
FLORIDA POWER & LIGHT CO Electric Fixed Income 83,185.67 0.02 83,185.67 BG1V081 5.58 3.95 13.43
TRAVELERS COMPANIES INC Insurance Fixed Income 83,137.58 0.02 83,137.58 nan 5.59 3.05 15.07
GLOBAL PAYMENTS INC Technology Fixed Income 83,089.50 0.02 83,089.50 nan 5.07 2.90 3.72
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 83,089.50 0.02 83,089.50 BMGYMZ8 5.33 2.45 18.46
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 82,993.33 0.02 82,993.33 nan 4.15 4.00 4.81
HOME DEPOT INC Consumer Cyclical Fixed Income 82,897.16 0.02 82,897.16 nan 4.03 4.75 2.90
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 82,849.08 0.02 82,849.08 nan 4.33 1.65 4.61
UNITED PARCEL SERVICE INC Transportation Fixed Income 82,849.08 0.02 82,849.08 BJCRWK5 5.68 4.25 13.48
BARCLAYS PLC Banking Fixed Income 82,608.66 0.02 82,608.66 BQC4F17 5.16 5.75 5.22
AMEREN CORPORATION Electric Fixed Income 82,464.40 0.02 82,464.40 nan 5.02 5.38 7.01
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 82,464.40 0.02 82,464.40 nan 4.74 4.60 7.80
REPUBLIC SERVICES INC Capital Goods Fixed Income 82,368.24 0.02 82,368.24 BN7K9J5 4.71 5.00 6.51
TEXAS INSTRUMENTS INC Technology Fixed Income 82,368.24 0.02 82,368.24 nan 4.42 4.90 5.81
AMERICAN TOWER CORPORATION Communications Fixed Income 82,320.15 0.02 82,320.15 nan 4.97 5.90 5.97
SEMPRA Natural Gas Fixed Income 82,320.15 0.02 82,320.15 BFWJFR1 5.99 4.00 13.03
TEXAS INSTRUMENTS INC Technology Fixed Income 82,272.07 0.02 82,272.07 nan 5.51 5.15 14.19
HUMANA INC Insurance Fixed Income 82,272.07 0.02 82,272.07 BL97DH6 4.76 2.15 5.30
FEDEX CORP Transportation Fixed Income 82,175.90 0.02 82,175.90 2NWMTR3 5.84 4.75 11.82
LAM RESEARCH CORPORATION Technology Fixed Income 82,175.90 0.02 82,175.90 BFZ92V1 5.54 4.88 13.18
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 82,079.73 0.02 82,079.73 nan 4.10 4.05 5.82
EQUINOR ASA Owned No Guarantee Fixed Income 81,935.48 0.02 81,935.48 nan 4.75 5.13 7.13
ELEVANCE HEALTH INC Insurance Fixed Income 81,887.39 0.02 81,887.39 BNNRY62 5.09 5.00 7.53
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 81,887.39 0.02 81,887.39 nan 5.63 6.53 4.87
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 81,887.39 0.02 81,887.39 nan 5.70 4.20 13.82
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 81,887.39 0.02 81,887.39 nan 5.42 5.60 7.35
CHUBB INA HOLDINGS LLC Insurance Fixed Income 81,839.31 0.02 81,839.31 nan 5.56 3.05 17.16
KINDER MORGAN INC Energy Fixed Income 81,791.23 0.02 81,791.23 BN2YL07 4.50 2.00 4.49
REALTY INCOME CORPORATION Reits Fixed Income 81,791.23 0.02 81,791.23 BQQ91L0 4.66 5.63 5.43
EASTMAN CHEMICAL CO Basic Industry Fixed Income 81,695.06 0.02 81,695.06 BMNQYY0 5.97 4.65 11.70
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 81,695.06 0.02 81,695.06 BNZJ110 5.80 5.35 13.74
SWP: OIS 3.598700 15-MAR-2054 SOF Cash and/or Derivatives Swaps 81,662.30 0.02 -818,337.70 nan 0.07 3.60 16.90
KINDER MORGAN INC Energy Fixed Income 81,646.97 0.02 81,646.97 nan 5.05 5.85 6.94
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 81,550.80 0.02 81,550.80 nan 4.05 3.80 3.16
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 81,358.47 0.02 81,358.47 BKTSH36 6.52 4.20 13.12
SWP: OIS 3.195700 20-SEP-2054 SOF Cash and/or Derivatives Swaps 81,347.56 0.02 -418,652.44 nan -0.27 3.20 17.59
METLIFE INC Insurance Fixed Income 81,310.38 0.02 81,310.38 B815P82 5.59 4.13 11.18
VERIZON COMMUNICATIONS INC Communications Fixed Income 81,310.38 0.02 81,310.38 BVYRK47 5.97 5.01 13.95
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 81,262.30 0.02 81,262.30 BQ11MP2 5.51 4.55 11.85
OWENS CORNING Capital Goods Fixed Income 81,214.22 0.02 81,214.22 BNNRNT8 4.93 5.70 6.41
CHEVRON CORP Energy Fixed Income 81,069.96 0.02 81,069.96 BMFY3H8 5.48 3.08 14.77
GENERAL MOTORS CO Consumer Cyclical Fixed Income 81,069.96 0.02 81,069.96 nan 4.50 5.40 3.16
MICROCHIP TECHNOLOGY INCORPORATED Technology Fixed Income 81,069.96 0.02 81,069.96 nan 4.58 5.05 3.42
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 81,021.88 0.02 81,021.88 BFMN5B7 5.60 4.05 13.28
NATIONAL GRID PLC Electric Fixed Income 81,021.88 0.02 81,021.88 nan 4.92 5.42 6.20
CRH AMERICA FINANCE INC Capital Goods Fixed Income 80,877.63 0.02 80,877.63 nan 5.05 5.00 7.60
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 80,877.63 0.02 80,877.63 BYWKWC1 4.82 4.70 7.54
ZOETIS INC Consumer Non-Cyclical Fixed Income 80,877.63 0.02 80,877.63 BG0R585 5.56 4.70 11.08
BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 80,829.54 0.02 80,829.54 991CAB7 6.40 6.60 3.00
EBAY INC Consumer Cyclical Fixed Income 80,829.54 0.02 80,829.54 BLGBMR4 4.42 2.70 3.63
TEXAS INSTRUMENTS INC Technology Fixed Income 80,829.54 0.02 80,829.54 nan 5.05 3.88 9.80
VULCAN MATERIALS COMPANY Capital Goods Fixed Income 80,733.37 0.02 80,733.37 nan 4.92 5.35 6.75
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 80,685.29 0.02 80,685.29 nan 4.47 5.24 3.58
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 80,685.29 0.02 80,685.29 nan 4.29 4.20 4.20
CROWN CASTLE INC Communications Fixed Income 80,637.20 0.02 80,637.20 BS4CSJ2 5.17 5.80 6.26
ORANGE SA Communications Fixed Income 80,589.12 0.02 80,589.12 BJLP9T8 5.63 5.50 11.09
BLACKSTONE REG FINANCE CO LLC Brokerage/Asset Managers/Exchanges Fixed Income 80,444.87 0.02 80,444.87 nan 5.02 5.00 6.82
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 80,396.78 0.02 80,396.78 nan 4.34 4.60 5.47
EBAY INC Consumer Cyclical Fixed Income 80,348.70 0.02 80,348.70 B88WNK4 5.72 4.00 11.13
LEIDOS INC Technology Fixed Income 80,252.53 0.02 80,252.53 nan 4.68 2.30 4.46
ELEVANCE HEALTH INC Insurance Fixed Income 80,204.45 0.02 80,204.45 BNTB0H1 5.93 6.10 13.20
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 80,204.45 0.02 80,204.45 BNC3DJ7 5.82 4.60 13.87
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 80,204.45 0.02 80,204.45 nan 5.00 5.40 7.09
GLP CAPITAL LP Consumer Cyclical Fixed Income 80,108.28 0.02 80,108.28 nan 5.74 5.63 7.43
AGILENT TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 79,915.94 0.02 79,915.94 nan 4.46 2.30 4.54
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 79,915.94 0.02 79,915.94 BN4BQK1 5.54 6.18 10.61
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 79,867.86 0.02 79,867.86 nan 4.28 2.05 3.81
BRIXMOR OPERATING PARTNERSHIP LP Reits Fixed Income 79,867.86 0.02 79,867.86 BMC8VY6 4.54 4.05 3.77
WALMART INC Consumer Cyclical Fixed Income 79,867.86 0.02 79,867.86 nan 3.96 1.80 5.07
NISOURCE INC Natural Gas Fixed Income 79,819.77 0.02 79,819.77 BL0MLT8 4.39 3.60 3.65
NUTRIEN LTD Basic Industry Fixed Income 79,771.69 0.02 79,771.69 BRJG2L2 5.85 5.80 13.46
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 79,675.52 0.02 79,675.52 BK9SDZ0 4.19 3.55 3.08
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 79,435.10 0.02 79,435.10 nan 4.57 4.75 6.44
GLOBAL PAYMENTS INC Technology Fixed Income 79,387.02 0.02 79,387.02 BK0WRZ9 4.86 3.20 3.09
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 79,050.43 0.02 79,050.43 nan 4.79 6.09 6.01
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 78,954.26 0.02 78,954.26 nan 4.16 4.97 3.19
RAYMOND JAMES FINANCIAL INC. Brokerage/Asset Managers/Exchanges Fixed Income 78,954.26 0.02 78,954.26 nan 5.83 3.75 14.34
TARGA RESOURCES PARTNERS LP Energy Fixed Income 78,906.17 0.02 78,906.17 nan 5.11 5.50 3.43
TELEDYNE TECHNOLOGIES INCORPORATED Technology Fixed Income 78,906.17 0.02 78,906.17 nan 4.54 2.75 4.54
AES CORPORATION (THE) Electric Fixed Income 78,858.09 0.02 78,858.09 nan 5.29 5.80 4.95
BROOKFIELD ASSET MANAGEMENT LTD Brokerage/Asset Managers/Exchanges Fixed Income 78,665.75 0.02 78,665.75 BTWSHT2 6.02 6.08 13.61
INTEL CORPORATION Technology Fixed Income 78,521.50 0.02 78,521.50 BF3W9R7 6.05 4.10 12.56
JBS NV 144A Consumer Non-Cyclical Fixed Income 78,377.25 0.02 78,377.25 nan 5.44 5.63 8.09
SANTANDER HOLDINGS USA INC Banking Fixed Income 78,377.25 0.02 78,377.25 BN4L8N8 5.50 6.34 6.22
HUMANA INC Insurance Fixed Income 78,329.16 0.02 78,329.16 BQMS2B8 6.43 5.50 13.05
INTEL CORPORATION Technology Fixed Income 78,184.91 0.02 78,184.91 BQHM3T0 6.20 5.05 14.70
M&T BANK CORPORATION MTN Banking Fixed Income 78,184.91 0.02 78,184.91 nan 5.31 5.38 6.82
DELTA AIR LINES INC Transportation Fixed Income 78,136.83 0.02 78,136.83 nan 4.74 5.25 3.71
PACIFIC GAS AND ELECTRIC CO Electric Fixed Income 78,136.83 0.02 78,136.83 BD24YZ3 6.12 3.95 12.82
ANALOG DEVICES INC Technology Fixed Income 78,088.74 0.02 78,088.74 BPBK6M7 5.56 2.95 15.52
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 78,040.66 0.02 78,040.66 nan 4.80 5.63 6.08
CSX CORP Transportation Fixed Income 77,992.57 0.02 77,992.57 BD6D9N9 5.63 4.30 13.15
MERCK & CO INC Consumer Non-Cyclical Fixed Income 77,992.57 0.02 77,992.57 nan 5.14 2.35 11.28
S&P GLOBAL INC Technology Fixed Income 77,992.57 0.02 77,992.57 BQZC712 5.60 3.70 14.76
METLIFE INC Insurance Fixed Income 77,944.49 0.02 77,944.49 BGDXK74 5.62 4.88 11.15
OTIS WORLDWIDE CORP Capital Goods Fixed Income 77,607.90 0.02 77,607.90 BKP3SZ4 5.43 3.11 10.57
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 77,607.90 0.02 77,607.90 BGCC7M6 5.63 4.88 11.15
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 77,511.73 0.02 77,511.73 nan 4.89 2.00 5.54
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 77,511.73 0.02 77,511.73 BNNXRV6 5.71 4.55 14.08
AMPHENOL CORPORATION Capital Goods Fixed Income 77,367.48 0.02 77,367.48 nan 4.30 4.13 4.06
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 77,367.48 0.02 77,367.48 BG7PB06 5.57 4.15 13.39
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 77,367.48 0.02 77,367.48 BJYMJ29 5.09 5.11 2.72
BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 77,271.31 0.02 77,271.31 nan 5.87 5.95 2.87
AMGEN INC Consumer Non-Cyclical Fixed Income 77,223.23 0.02 77,223.23 BN0THC8 5.69 2.77 16.07
EXELON CORPORATION Electric Fixed Income 77,127.06 0.02 77,127.06 nan 4.71 5.30 5.74
PUBLIC SERVICE COMPANY OF OKLAHOMA Electric Fixed Income 77,127.06 0.02 77,127.06 BT212Q3 5.18 5.45 7.42
ABBVIE INC Consumer Non-Cyclical Fixed Income 76,982.81 0.02 76,982.81 nan 4.17 4.88 3.52
GLAXOSMITHKLINE CAPITAL PLC Consumer Non-Cyclical Fixed Income 76,982.81 0.02 76,982.81 BJ0M5L4 4.08 3.38 2.89
UNITEDHEALTH GROUP INC Insurance Fixed Income 76,934.72 0.02 76,934.72 nan 4.14 4.00 2.82
CIGNA GROUP Consumer Non-Cyclical Fixed Income 76,838.55 0.02 76,838.55 BL6BBD3 5.37 3.20 10.61
NISOURCE INC Natural Gas Fixed Income 76,838.55 0.02 76,838.55 B976296 5.82 4.80 11.35
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 76,838.55 0.02 76,838.55 BKRMRB8 6.42 5.25 12.47
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 76,694.30 0.02 76,694.30 nan 4.24 3.90 5.34
ONEOK INC Energy Fixed Income 76,598.13 0.02 76,598.13 nan 4.53 3.10 3.62
SWP: OIS 3.353200 11-SEP-2032 SOF Cash and/or Derivatives Swaps 76,476.71 0.02 -4,023,523.29 nan -0.16 3.35 5.78
MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 76,405.80 0.02 76,405.80 nan 4.67 3.00 5.30
PROGRESSIVE CORPORATION (THE) Insurance Fixed Income 76,357.71 0.02 76,357.71 BDR0683 5.66 4.13 13.04
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 76,309.63 0.02 76,309.63 nan 4.92 5.35 6.39
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 76,261.54 0.02 76,261.54 nan 4.47 4.63 3.10
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 76,117.29 0.02 76,117.29 nan 4.47 1.88 4.78
CORNING INC Technology Fixed Income 76,021.12 0.02 76,021.12 BF8QCP3 5.78 4.38 14.91
NXP BV Technology Fixed Income 75,973.04 0.02 75,973.04 nan 4.44 3.40 3.66
SOUTHWEST AIRLINES CO Transportation Fixed Income 75,924.95 0.02 75,924.95 BRCDJX1 5.63 5.25 7.23
SWP: OIS 3.731700 12-NOV-2054 SOF Cash and/or Derivatives Swaps 75,854.65 0.01 -1,024,145.35 nan 0.16 3.73 16.99
ARES CAPITAL CORPORATION Finance Companies Fixed Income 75,828.78 0.01 75,828.78 nan 5.62 5.50 3.81
JBS NV 144A Consumer Non-Cyclical Fixed Income 75,828.78 0.01 75,828.78 nan 6.38 6.40 13.44
ROYAL BANK OF CANADA (FX-FRN) MTN Banking Fixed Income 75,828.78 0.01 75,828.78 nan 4.53 4.97 3.55
PFIZER INC Consumer Non-Cyclical Fixed Income 75,780.70 0.01 75,780.70 BMXGNZ4 5.55 2.70 15.21
AMPHENOL CORPORATION Capital Goods Fixed Income 75,732.62 0.01 75,732.62 BJDSY67 4.26 2.80 3.56
EQUINIX INC Technology Fixed Income 75,732.62 0.01 75,732.62 nan 4.54 2.15 3.96
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 75,732.62 0.01 75,732.62 nan 5.81 5.45 13.68
APTIV SWISS HOLDINGS LTD Consumer Cyclical Fixed Income 75,684.53 0.01 75,684.53 BNYF3L3 6.13 4.15 13.69
HEALTHPEAK OP LLC Reits Fixed Income 75,636.45 0.01 75,636.45 BL0L9G8 4.53 3.00 3.46
AMCOR FLEXIBLES NORTH AMERICA INC Capital Goods Fixed Income 75,588.36 0.01 75,588.36 nan 4.62 2.69 4.63
FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 75,492.20 0.01 75,492.20 nan 4.93 5.10 5.23
MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 75,492.20 0.01 75,492.20 nan 5.66 2.63 15.48
INTEL CORPORATION Technology Fixed Income 75,444.11 0.01 75,444.11 BWVFJQ6 6.06 4.90 11.66
SOUTHERN COMPANY (THE) Electric Fixed Income 75,299.86 0.01 75,299.86 BQB6DF4 5.03 4.85 7.12
LLOYDS BANKING GROUP PLC Banking Fixed Income 75,155.61 0.01 75,155.61 BFMYF65 5.82 4.34 12.85
SANOFI SA MTN Consumer Non-Cyclical Fixed Income 75,155.61 0.01 75,155.61 nan 4.34 4.20 5.56
COMCAST CORPORATION Communications Fixed Income 75,059.44 0.01 75,059.44 BQPF830 4.72 4.80 5.83
SWP: OIS 3.266200 09-SEP-2034 SOF Cash and/or Derivatives Swaps 75,006.46 0.01 -1,924,993.54 nan -0.12 3.27 7.34
APPLIED MATERIALS INC Technology Fixed Income 74,915.18 0.01 74,915.18 nan 4.22 1.75 3.88
CF INDUSTRIES INC Basic Industry Fixed Income 74,867.10 0.01 74,867.10 BKL56J4 5.86 5.38 11.15
GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 74,867.10 0.01 74,867.10 nan 4.74 4.88 7.22
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 74,819.02 0.01 74,819.02 BKPSYC8 5.97 4.00 15.56
ARTHUR J GALLAGHER & CO Insurance Fixed Income 74,819.02 0.01 74,819.02 BNDQK38 5.84 3.50 14.33
CIGNA GROUP Consumer Non-Cyclical Fixed Income 74,770.93 0.01 74,770.93 nan 4.20 5.00 2.78
DIAGEO INVESTMENT CORPORATION Consumer Non-Cyclical Fixed Income 74,770.93 0.01 74,770.93 nan 4.94 5.63 7.05
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 74,722.85 0.01 74,722.85 BK0P0W6 4.58 3.15 3.01
SWP: OIS 3.519200 28-DEC-2043 SOF Cash and/or Derivatives Swaps 74,678.91 0.01 -925,321.09 nan 0.10 3.52 12.88
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 74,674.76 0.01 74,674.76 BMW1GS4 4.23 2.25 4.70
EXELON CORPORATION Electric Fixed Income 74,578.60 0.01 74,578.60 BD073T1 5.86 4.45 12.39
BANCO SANTANDER SA Banking Fixed Income 74,530.51 0.01 74,530.51 nan 5.36 5.44 7.64
BANCO SANTANDER SA Banking Fixed Income 74,482.43 0.01 74,482.43 nan 4.74 4.87 4.39
CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 74,386.26 0.01 74,386.26 BK6S8N6 4.38 3.15 3.06
TRANSCONTINENTAL GAS PIPE LINE COM Energy Fixed Income 74,386.26 0.01 74,386.26 nan 5.07 5.10 7.68
CARDINAL HEALTH INC Consumer Non-Cyclical Fixed Income 74,290.09 0.01 74,290.09 nan 5.00 5.35 6.69
ELEVANCE HEALTH INC Insurance Fixed Income 74,193.92 0.01 74,193.92 nan 6.01 5.85 14.59
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 74,193.92 0.01 74,193.92 BN7QLH5 6.00 2.95 14.83
HONDA MOTOR CO LTD Consumer Cyclical Fixed Income 74,145.84 0.01 74,145.84 nan 4.89 2.97 5.28
EXELON GENERATION CO LLC Electric Fixed Income 74,049.67 0.01 74,049.67 B715FY1 5.62 5.60 10.34
UNITEDHEALTH GROUP INC Insurance Fixed Income 74,049.67 0.01 74,049.67 BZ0X5W0 5.73 4.20 12.70
AUTOZONE INC Consumer Cyclical Fixed Income 74,001.59 0.01 74,001.59 nan 4.71 4.75 5.33
GEORGIA POWER COMPANY Electric Fixed Income 74,001.59 0.01 74,001.59 BLR77M1 5.64 3.25 14.94
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 74,001.59 0.01 74,001.59 nan 4.49 5.00 6.22
EXELON CORPORATION Electric Fixed Income 73,905.42 0.01 73,905.42 BLTZKK2 5.90 4.70 13.38
HOST HOTELS & RESORTS LP Reits Fixed Income 73,905.42 0.01 73,905.42 nan 4.71 3.50 4.01
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 73,857.33 0.01 73,857.33 nan 5.82 5.75 13.46
AMERICAN HONDA FINANCE CORPORATION Consumer Cyclical Fixed Income 73,665.00 0.01 73,665.00 nan 4.91 5.15 5.21
MASTERCARD INC Technology Fixed Income 73,472.66 0.01 73,472.66 BHTBRZ6 4.00 2.95 2.91
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 73,424.57 0.01 73,424.57 BMHLD00 5.57 2.93 11.54
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 73,376.49 0.01 73,376.49 BDF0M54 5.62 3.75 13.38
INTEL CORPORATION Technology Fixed Income 73,376.49 0.01 73,376.49 BLK78B4 6.09 3.10 16.20
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 73,328.41 0.01 73,328.41 nan 4.11 5.05 2.78
AMGEN INC Consumer Non-Cyclical Fixed Income 73,136.07 0.01 73,136.07 BKP4ZM3 5.36 2.80 11.61
AUTOZONE INC Consumer Cyclical Fixed Income 73,087.99 0.01 73,087.99 BK8TZ58 4.43 4.00 3.65
EATON CORPORATION Capital Goods Fixed Income 73,087.99 0.01 73,087.99 BGLPFR7 5.33 4.15 11.21
FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 73,087.99 0.01 73,087.99 BKQN7C3 5.80 3.10 11.06
INTEL CORPORATION Technology Fixed Income 73,039.90 0.01 73,039.90 BL59332 5.67 2.80 11.51
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 72,991.82 0.01 72,991.82 BLFHQ82 5.55 2.80 15.13
COMCAST CORPORATION 144A Communications Fixed Income 72,943.73 0.01 72,943.73 2N415B4 5.34 5.17 8.04
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 72,847.56 0.01 72,847.56 BN6JKB2 5.82 4.25 13.86
KINDER MORGAN INC Energy Fixed Income 72,847.56 0.01 72,847.56 BW01ZR8 5.86 5.05 11.89
SWP: OIS 3.849200 29-OCT-2055 SOF Cash and/or Derivatives Swaps 72,798.13 0.01 -1,428,201.87 nan 0.24 3.85 17.18
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 72,751.40 0.01 72,751.40 BVXY748 5.67 4.50 11.91
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 72,751.40 0.01 72,751.40 nan 4.93 5.47 5.35
SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 72,607.14 0.01 72,607.14 nan 5.96 3.15 14.77
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 72,510.97 0.01 72,510.97 BYMK191 5.95 6.13 15.44
UNITEDHEALTH GROUP INC Insurance Fixed Income 72,462.89 0.01 72,462.89 BM95BH3 5.75 3.13 16.49
BUNGE FINANCE LTD CORP Consumer Non-Cyclical Fixed Income 72,414.81 0.01 72,414.81 nan 4.99 4.65 6.84
MARVELL TECHNOLOGY INC Technology Fixed Income 72,414.81 0.01 72,414.81 nan 5.14 5.30 7.70
APPLE INC Technology Fixed Income 72,318.64 0.01 72,318.64 BM6NVC5 5.26 4.45 11.71
KINDER MORGAN INC Energy Fixed Income 72,318.64 0.01 72,318.64 BKSCX53 5.89 3.60 14.30
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 72,126.30 0.01 72,126.30 B8NWTL2 5.44 4.13 11.26
3M CO Capital Goods Fixed Income 72,126.30 0.01 72,126.30 BKRLV68 5.71 3.25 14.39
ERP OPERATING LP Reits Fixed Income 72,078.22 0.01 72,078.22 BNGK4X5 5.52 4.50 11.71
RIO TINTO FINANCE (USA) LTD Basic Industry Fixed Income 72,078.22 0.01 72,078.22 BNRLYY8 5.56 2.75 15.51
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 72,030.13 0.01 72,030.13 BK54437 6.46 3.63 13.92
EVEREST REINSURANCE HOLDINGS INC Insurance Fixed Income 71,982.05 0.01 71,982.05 BN0XP93 6.04 3.50 14.30
SIMON PROPERTY GROUP LP Reits Fixed Income 71,885.88 0.01 71,885.88 nan 5.64 3.80 14.11
AUTOMATIC DATA PROCESSING INC Technology Fixed Income 71,789.71 0.01 71,789.71 BKP8MV3 4.19 1.25 4.17
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 71,789.71 0.01 71,789.71 BMFBKD4 5.75 3.20 14.86
SWP: OIS 3.387200 05-SEP-2049 SOF Cash and/or Derivatives Swaps 71,694.15 0.01 -528,305.85 nan -0.04 3.39 15.53
CME GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 71,693.54 0.01 71,693.54 nan 4.24 2.65 5.36
CANADIAN NATIONAL RAILWAY COMPANY Transportation Fixed Income 71,549.29 0.01 71,549.29 nan 4.70 4.38 6.93
CUMMINS INC Consumer Cyclical Fixed Income 71,501.21 0.01 71,501.21 nan 4.18 1.50 4.14
BUNGE FINANCE LTD CORP Consumer Non-Cyclical Fixed Income 71,453.12 0.01 71,453.12 nan 4.51 2.75 4.59
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 71,356.95 0.01 71,356.95 nan 5.83 3.38 16.23
LAM RESEARCH CORPORATION Technology Fixed Income 71,308.87 0.01 71,308.87 nan 4.22 1.90 3.90
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 71,260.79 0.01 71,260.79 nan 5.99 3.50 14.42
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 71,260.79 0.01 71,260.79 BP2BTQ4 5.64 2.82 15.53
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 71,164.62 0.01 71,164.62 nan 3.99 1.45 4.27
TRAVELERS COMPANIES INC Insurance Fixed Income 71,116.53 0.01 71,116.53 nan 5.60 5.70 14.09
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 71,068.45 0.01 71,068.45 nan 5.09 5.42 6.97
OREILLY AUTOMOTIVE INC Consumer Cyclical Fixed Income 70,924.20 0.01 70,924.20 nan 4.58 4.70 5.22
AIR LEASE CORPORATION Finance Companies Fixed Income 70,828.03 0.01 70,828.03 BLD3QB5 4.81 3.13 4.17
CSX CORP Transportation Fixed Income 70,779.94 0.01 70,779.94 BYMPHS7 5.58 3.80 12.88
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 70,779.94 0.01 70,779.94 nan 4.75 5.25 3.46
GENERAL MOTORS CO Consumer Cyclical Fixed Income 70,779.94 0.01 70,779.94 nan 4.62 5.63 3.56
HSBC HOLDINGS PLC Banking Fixed Income 70,779.94 0.01 70,779.94 B13VN63 5.25 6.50 7.27
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 70,683.78 0.01 70,683.78 nan 5.32 2.99 11.37
VERIZON COMMUNICATIONS INC Communications Fixed Income 70,635.69 0.01 70,635.69 nan 4.39 1.68 4.24
ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 70,251.02 0.01 70,251.02 BPX1TS5 5.76 4.95 13.85
SWP: OIS 3.338700 09-SEP-2039 SOF Cash and/or Derivatives Swaps 70,226.08 0.01 -929,773.92 nan 0.00 3.34 10.68
BOSTON PROPERTIES LP Reits Fixed Income 70,058.68 0.01 70,058.68 nan 5.52 6.50 6.00
AMERICAN TOWER CORPORATION Communications Fixed Income 69,962.51 0.01 69,962.51 BQXHZN7 4.84 5.65 5.68
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 69,962.51 0.01 69,962.51 BSTJMG3 5.48 4.70 14.72
MPLX LP Energy Fixed Income 69,866.34 0.01 69,866.34 nan 4.93 5.00 5.60
SWP: OIS 3.819700 10-MAR-2055 SOF Cash and/or Derivatives Swaps 69,837.78 0.01 -1,230,162.22 nan 0.22 3.82 17.00
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 69,770.18 0.01 69,770.18 BSQC9Q4 5.75 4.63 14.30
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 69,770.18 0.01 69,770.18 nan 4.97 3.04 4.58
AMERICAN EXPRESS COMPANY Banking Fixed Income 69,722.09 0.01 69,722.09 B968SP1 5.46 4.05 11.30
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 69,722.09 0.01 69,722.09 BMYCBT1 5.51 2.50 15.80
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 69,674.01 0.01 69,674.01 BFNF664 5.30 3.50 13.84
VODAFONE GROUP PLC Communications Fixed Income 69,577.84 0.01 69,577.84 nan 6.11 5.88 14.54
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 69,481.67 0.01 69,481.67 B432721 5.24 5.30 9.64
EBAY INC Consumer Cyclical Fixed Income 69,481.67 0.01 69,481.67 nan 5.80 3.65 14.20
HEALTHPEAK OP LLC Reits Fixed Income 69,337.42 0.01 69,337.42 nan 4.89 5.25 5.49
DANAHER CORPORATION Consumer Non-Cyclical Fixed Income 69,289.33 0.01 69,289.33 BP83MD2 5.56 2.80 15.55
WASTE MANAGEMENT INC Capital Goods Fixed Income 69,289.33 0.01 69,289.33 nan 4.37 4.80 5.09
AMERICAN TOWER CORPORATION Communications Fixed Income 69,241.25 0.01 69,241.25 BL9BW37 4.44 2.90 3.47
CIGNA GROUP Consumer Non-Cyclical Fixed Income 69,241.25 0.01 69,241.25 nan 5.79 3.88 13.30
DUKE ENERGY CORP Electric Fixed Income 69,193.16 0.01 69,193.16 BM8RPH8 4.34 2.45 3.82
UNION PACIFIC CORPORATION Transportation Fixed Income 69,145.08 0.01 69,145.08 BMCFPF6 5.75 3.80 17.07
EVEREST REINSURANCE HOLDINGS INC Insurance Fixed Income 69,097.00 0.01 69,097.00 BM9XD71 6.05 3.13 15.15
AMCOR FLEXIBLES NORTH AMERICA INC Capital Goods Fixed Income 69,048.91 0.01 69,048.91 nan 5.24 5.13 7.64
SWP: OIS 3.829700 18-SEP-2055 SOF Cash and/or Derivatives Swaps 69,037.40 0.01 -1,246,962.60 nan 0.23 3.83 17.18
REGIONS FINANCIAL CORP Banking Fixed Income 69,000.83 0.01 69,000.83 nan 5.29 5.50 6.63
QUEST DIAGNOSTICS INCORPORATED Consumer Non-Cyclical Fixed Income 68,952.74 0.01 68,952.74 BJ9RW53 4.40 2.95 3.86
APOLLO GLOBAL MANAGEMENT INC Brokerage/Asset Managers/Exchanges Fixed Income 68,904.66 0.01 68,904.66 nan 5.51 5.70 7.52
REGIONS FINANCIAL CORP Banking Fixed Income 68,568.07 0.01 68,568.07 nan 4.72 5.72 2.80
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 68,471.90 0.01 68,471.90 BF8QNS3 5.70 4.45 13.15
PEPSICO INC Consumer Non-Cyclical Fixed Income 68,423.82 0.01 68,423.82 nan 4.01 4.50 2.97
SIXTH STREET LENDING PARTNERS Finance Companies Fixed Income 68,423.82 0.01 68,423.82 BVH78L7 5.81 6.13 3.64
HUNTINGTON BANCSHARES INC Banking Fixed Income 68,375.73 0.01 68,375.73 nan 4.52 2.55 3.54
GLP CAPITAL LP Consumer Cyclical Fixed Income 68,279.57 0.01 68,279.57 BPNXM93 5.25 3.25 5.08
WILLIAMS COMPANIES INC Energy Fixed Income 68,183.40 0.01 68,183.40 BFY8W75 5.91 4.85 12.62
DH EUROPE FINANCE II SARL Consumer Non-Cyclical Fixed Income 68,135.31 0.01 68,135.31 nan 5.57 3.40 14.23
PEPSICO INC Consumer Non-Cyclical Fixed Income 68,135.31 0.01 68,135.31 nan 4.25 3.90 5.43
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 68,039.14 0.01 68,039.14 BQXQQT7 5.66 5.90 15.03
PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 67,991.06 0.01 67,991.06 nan 4.55 2.45 5.05
HOME DEPOT INC Consumer Cyclical Fixed Income 67,750.64 0.01 67,750.64 nan 4.27 1.88 5.04
WILLIS NORTH AMERICA INC Insurance Fixed Income 67,702.55 0.01 67,702.55 nan 5.96 5.90 13.46
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 67,558.30 0.01 67,558.30 nan 4.38 5.32 2.91
AUTOMATIC DATA PROCESSING INC Technology Fixed Income 67,462.13 0.01 67,462.13 nan 4.62 4.45 6.89
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 67,414.05 0.01 67,414.05 nan 5.92 3.55 14.23
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 67,317.88 0.01 67,317.88 nan 4.28 5.41 2.75
NORTHERN TRUST CORPORATION Banking Fixed Income 67,317.88 0.01 67,317.88 nan 4.17 1.95 3.78
CANADIAN NATURAL RESOURCES LTD Energy Fixed Income 67,269.80 0.01 67,269.80 2M24MW8 5.07 5.40 6.76
CATERPILLAR INC Capital Goods Fixed Income 67,269.80 0.01 67,269.80 BKY86V2 5.46 3.25 14.64
WESTPAC BANKING CORP Banking Fixed Income 67,269.80 0.01 67,269.80 nan 5.38 4.42 9.63
DELL INTERNATIONAL LLC Technology Fixed Income 67,125.54 0.01 67,125.54 BRBVT70 5.63 3.38 11.23
CF INDUSTRIES INC Basic Industry Fixed Income 67,077.46 0.01 67,077.46 BKL56K5 5.12 5.15 6.41
KLA CORP Technology Fixed Income 66,885.12 0.01 66,885.12 BL1LXW1 5.64 3.30 14.55
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 66,788.95 0.01 66,788.95 BJDQJW2 4.04 3.45 2.79
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 66,500.45 0.01 66,500.45 BQH6206 4.62 5.09 6.02
META PLATFORMS INC Communications Fixed Income 66,308.11 0.01 66,308.11 nan 4.01 4.30 3.05
EMERSON ELECTRIC CO Capital Goods Fixed Income 66,211.94 0.01 66,211.94 nan 5.54 2.80 15.60
HORMEL FOODS CORPORATION Consumer Non-Cyclical Fixed Income 66,211.94 0.01 66,211.94 nan 4.29 1.80 3.90
US BANCORP Banking Fixed Income 66,211.94 0.01 66,211.94 BK6YKB6 4.24 3.00 3.07
HALLIBURTON COMPANY Energy Fixed Income 65,971.52 0.01 65,971.52 BCR5XW4 5.78 4.75 11.16
INTEL CORPORATION Technology Fixed Income 65,875.36 0.01 65,875.36 BM5D1R1 5.58 4.60 9.93
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 65,731.10 0.01 65,731.10 nan 4.47 5.13 4.99
ARCHER DANIELS MIDLAND CO Consumer Non-Cyclical Fixed Income 65,586.85 0.01 65,586.85 nan 4.43 2.90 5.28
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 65,154.09 0.01 65,154.09 B83K8M0 5.59 3.88 11.35
LEIDOS INC Technology Fixed Income 65,057.92 0.01 65,057.92 nan 4.59 4.38 3.63
UNITEDHEALTH GROUP INC Insurance Fixed Income 65,009.84 0.01 65,009.84 B97GZH5 5.62 4.25 11.41
NETFLIX INC Communications Fixed Income 64,865.59 0.01 64,865.59 nan 5.54 5.40 14.15
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 64,865.59 0.01 64,865.59 BZ78L86 5.62 4.63 12.33
BOSTON PROPERTIES LP Reits Fixed Income 64,673.25 0.01 64,673.25 BK6WVQ2 4.57 3.40 2.94
ARES CAPITAL CORPORATION Finance Companies Fixed Income 64,625.17 0.01 64,625.17 nan 5.44 5.95 2.88
ENTERGY LOUISIANA LLC Electric Fixed Income 64,625.17 0.01 64,625.17 nan 5.75 4.20 13.28
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 64,432.83 0.01 64,432.83 B83KB65 5.58 4.13 11.46
SUNCOR ENERGY INC Energy Fixed Income 64,336.66 0.01 64,336.66 nan 5.96 3.75 14.15
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 64,288.58 0.01 64,288.58 nan 4.93 5.67 5.33
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 64,000.07 0.01 64,000.07 nan 4.50 5.38 2.78
PEPSICO INC Consumer Non-Cyclical Fixed Income 63,951.99 0.01 63,951.99 BHKDDP3 3.98 2.63 3.09
AIR LEASE CORPORATION MTN Finance Companies Fixed Income 63,807.73 0.01 63,807.73 nan 4.93 2.88 5.14
SWP: OIS 3.329200 20-SEP-2044 SOF Cash and/or Derivatives Swaps 63,617.17 0.01 -536,382.83 nan -0.01 3.33 13.40
HSBC HOLDINGS PLC Banking Fixed Income 63,519.23 0.01 63,519.23 B6QZ5W7 5.43 6.10 10.11
SWP: OIS 3.606700 07-NOV-2054 SOF Cash and/or Derivatives Swaps 63,411.18 0.01 -636,588.82 nan 0.07 3.61 17.12
APPLIED MATERIALS INC Technology Fixed Income 63,374.98 0.01 63,374.98 BMDPPX3 5.44 2.75 15.24
MANULIFE FINANCIAL CORP Insurance Fixed Income 63,374.98 0.01 63,374.98 BYQ6504 5.60 5.38 11.93
TYSON FOODS INC Consumer Non-Cyclical Fixed Income 63,374.98 0.01 63,374.98 BF0P399 5.73 4.55 12.52
Kaiser Permanente Consumer Non-Cyclical Fixed Income 63,230.72 0.01 63,230.72 BMF0DM1 5.63 3.00 15.08
SWP: OIS 3.512200 06-FEB-2054 SOF Cash and/or Derivatives Swaps 63,192.76 0.01 -536,807.24 nan 0.00 3.51 16.96
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 63,134.56 0.01 63,134.56 BKX8JW5 5.60 2.80 15.01
ENTERGY LOUISIANA LLC Electric Fixed Income 63,134.56 0.01 63,134.56 nan 5.81 5.80 13.86
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 62,749.88 0.01 62,749.88 BYXD4B2 5.56 4.13 12.94
NISOURCE INC Natural Gas Fixed Income 62,413.29 0.01 62,413.29 BK20BW6 4.35 2.95 3.15
SWP: OIS 3.680200 29-OCT-2054 SOF Cash and/or Derivatives Swaps 62,406.07 0.01 -737,593.93 nan 0.13 3.68 17.04
ANALOG DEVICES INC Technology Fixed Income 62,269.04 0.01 62,269.04 BPBK6K5 5.32 2.80 11.74
FIFTH THIRD BANCORP Banking Fixed Income 62,269.04 0.01 62,269.04 nan 4.81 4.77 2.97
LEIDOS INC Technology Fixed Income 62,124.79 0.01 62,124.79 nan 5.27 5.00 7.66
DANAHER CORPORATION Consumer Non-Cyclical Fixed Income 62,028.62 0.01 62,028.62 BLGYGD7 5.55 2.60 15.67
CROWN CASTLE INC Communications Fixed Income 61,980.53 0.01 61,980.53 BMGFFV8 5.92 3.25 14.53
SWP: OIS 3.612200 07-FEB-2054 SOF Cash and/or Derivatives Swaps 61,966.51 0.01 -638,033.49 nan 0.08 3.61 16.86
ECOLAB INC Basic Industry Fixed Income 61,692.03 0.01 61,692.03 BPKC1L8 5.56 2.70 15.70
ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 61,692.03 0.01 61,692.03 BSRJHL5 5.80 5.55 13.65
CADENCE DESIGN SYSTEMS INC Technology Fixed Income 61,547.78 0.01 61,547.78 nan 4.79 4.70 6.83
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 61,451.61 0.01 61,451.61 nan 4.85 5.20 6.97
ZIMMER BIOMET HOLDINGS INC Consumer Non-Cyclical Fixed Income 61,403.52 0.01 61,403.52 nan 4.57 2.60 5.05
SWP: OIS 3.254200 22-AUG-2054 SOF Cash and/or Derivatives Swaps 61,376.29 0.01 -338,623.71 nan -0.22 3.25 17.51
MASSACHUSETTS INSTITUTE OF TECHNOL Industrial Other Fixed Income 61,307.36 0.01 61,307.36 nan 5.42 5.62 14.17
SWP: OIS 3.234700 09-SEP-2031 SOF Cash and/or Derivatives Swaps 61,048.08 0.01 -2,938,951.92 nan -0.22 3.23 4.97
DOLLAR TREE INC Consumer Cyclical Fixed Income 61,018.85 0.01 61,018.85 nan 4.69 2.65 5.06
KEYCORP MTN Banking Fixed Income 61,018.85 0.01 61,018.85 BNHWYC9 4.37 4.79 5.16
UNION PACIFIC CORPORATION Transportation Fixed Income 61,018.85 0.01 61,018.85 nan 4.17 2.40 3.56
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 60,922.68 0.01 60,922.68 BL39936 5.74 3.95 15.79
FAIRFAX FINANCIAL HOLDINGS LTD Insurance Fixed Income 60,922.68 0.01 60,922.68 nan 5.04 6.00 6.01
MARVELL TECHNOLOGY INC Technology Fixed Income 60,874.60 0.01 60,874.60 nan 4.55 2.95 4.56
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 60,826.51 0.01 60,826.51 nan 4.50 5.00 5.71
NXP BV / NXP FUNDING LLC / NXP USA Technology Fixed Income 60,682.26 0.01 60,682.26 BPH0DN1 5.67 3.25 10.96
AMERICAN TOWER CORPORATION Communications Fixed Income 60,297.59 0.01 60,297.59 nan 4.51 2.10 3.88
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 60,297.59 0.01 60,297.59 nan 4.18 4.63 3.17
FAIRFAX FINANCIAL HOLDINGS LTD Insurance Fixed Income 60,249.50 0.01 60,249.50 2MQJXK4 6.10 6.35 13.18
INTEL CORPORATION Technology Fixed Income 60,201.42 0.01 60,201.42 BPCKX36 6.08 3.20 16.24
SWP: OIS 3.812700 24-OCT-2044 SOF Cash and/or Derivatives Swaps 60,103.77 0.01 -1,439,896.23 nan 0.26 3.81 13.07
COCA-COLA CO Consumer Non-Cyclical Fixed Income 60,057.17 0.01 60,057.17 nan 5.09 2.88 11.36
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 60,057.17 0.01 60,057.17 nan 4.16 4.55 3.02
HUNTINGTON NATIONAL BANK (THE) Banking Fixed Income 59,624.41 0.01 59,624.41 nan 4.49 5.65 3.30
HASBRO INC Consumer Non-Cyclical Fixed Income 59,480.16 0.01 59,480.16 nan 4.44 3.90 3.26
UNION PACIFIC CORPORATION Transportation Fixed Income 59,383.99 0.01 59,383.99 BKDMLC1 5.77 3.75 16.84
PIONEER NATURAL RESOURCES COMPANY Energy Fixed Income 59,287.82 0.01 59,287.82 BM9PJB3 4.26 2.15 4.40
PRESIDENT AND FELLOWS OF HARVARD C Industrial Other Fixed Income 59,143.57 0.01 59,143.57 nan 4.57 4.61 7.14
BROOKFIELD ASSET MANAGEMENT LTD Brokerage/Asset Managers/Exchanges Fixed Income 58,999.31 0.01 58,999.31 nan 5.44 5.30 7.36
ENERGY TRANSFER LP Energy Fixed Income 58,999.31 0.01 58,999.31 BJCYMH3 4.37 5.25 2.75
AEP TEXAS INC Electric Fixed Income 58,806.98 0.01 58,806.98 nan 6.00 5.85 13.81
BANCO SANTANDER SA Banking Fixed Income 58,662.72 0.01 58,662.72 BKDK9G5 4.38 3.31 2.96
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 58,518.47 0.01 58,518.47 BMGYN33 5.48 2.50 18.17
STATE STREET CORP Banking Fixed Income 58,422.30 0.01 58,422.30 nan 4.41 2.20 4.52
SWP: OIS 3.313700 11-SEP-2039 SOF Cash and/or Derivatives Swaps 58,399.25 0.01 -741,600.75 nan -0.01 3.31 10.70
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 58,374.22 0.01 58,374.22 nan 4.05 4.85 2.86
SWP: OIS 3.680700 14-OCT-2044 SOF Cash and/or Derivatives Swaps 58,054.24 0.01 -941,945.76 nan 0.19 3.68 13.16
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 57,893.38 0.01 57,893.38 nan 5.72 2.45 15.61
JBS USA HOLDING LUX SARL Consumer Non-Cyclical Fixed Income 57,845.29 0.01 57,845.29 nan 5.18 6.75 6.15
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 57,797.21 0.01 57,797.21 nan 4.38 5.40 2.80
AES CORPORATION (THE) Electric Fixed Income 57,652.96 0.01 57,652.96 BP6T4P8 4.91 2.45 4.35
BANK OF NOVA SCOTIA MTN Banking Fixed Income 57,652.96 0.01 57,652.96 nan 4.51 2.45 5.26
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 57,556.79 0.01 57,556.79 nan 5.22 5.25 6.89
LAM RESEARCH CORPORATION Technology Fixed Income 57,460.62 0.01 57,460.62 BKY6M63 5.56 2.88 15.03
BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 57,268.28 0.01 57,268.28 nan 5.27 6.03 6.25
BANK OF MONTREAL MTN Banking Fixed Income 57,075.95 0.01 57,075.95 nan 4.48 4.64 3.10
SALESFORCE INC Technology Fixed Income 57,027.86 0.01 57,027.86 BN466Y0 5.97 3.05 16.52
ELEVANCE HEALTH INC Insurance Fixed Income 56,979.78 0.01 56,979.78 BF2PYZ0 5.82 4.55 12.86
EXTRA SPACE STORAGE LP Reits Fixed Income 56,883.61 0.01 56,883.61 nan 4.91 4.95 5.61
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 56,787.44 0.01 56,787.44 nan 3.79 4.80 2.84
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 56,402.77 0.01 56,402.77 nan 5.11 5.33 7.71
AON CORP Insurance Fixed Income 55,921.93 0.01 55,921.93 BK1WFQ5 4.34 3.75 2.79
SWP: OIS 3.666200 25-JAN-2054 SOF Cash and/or Derivatives Swaps 55,623.32 0.01 -644,376.68 nan 0.12 3.67 16.79
BANK OF MONTREAL MTN Banking Fixed Income 55,393.00 0.01 55,393.00 nan 4.49 5.51 4.37
ARCHER DANIELS MIDLAND CO Consumer Non-Cyclical Fixed Income 55,296.83 0.01 55,296.83 nan 5.63 2.70 15.73
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 54,815.99 0.01 54,815.99 BJZD6Q4 5.60 4.45 11.71
UTAH ACQUISITION SUB INC Consumer Non-Cyclical Fixed Income 54,431.32 0.01 54,431.32 BYMX8F5 6.88 5.25 11.22
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 54,335.15 0.01 54,335.15 nan 5.67 5.20 15.59
NORTHERN TRUST CORPORATION Banking Fixed Income 54,335.15 0.01 54,335.15 nan 4.69 6.13 5.27
SWP: OIS 3.283700 10-SEP-2049 SOF Cash and/or Derivatives Swaps 54,247.22 0.01 -345,752.78 nan -0.11 3.28 15.64
VULCAN MATERIALS COMPANY Capital Goods Fixed Income 54,238.98 0.01 54,238.98 nan 5.76 5.70 13.68
ASCENSION HEALTH Consumer Non-Cyclical Fixed Income 53,902.39 0.01 53,902.39 nan 4.92 4.92 7.42
NETFLIX INC Communications Fixed Income 53,854.30 0.01 53,854.30 BK724H3 4.18 6.38 2.72
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 53,421.55 0.01 53,421.55 nan 4.55 3.60 5.28
SWP: OIS 3.492200 20-AUG-2039 SOF Cash and/or Derivatives Swaps 53,418.24 0.01 -946,581.76 nan 0.07 3.49 10.58
RELX CAPITAL INC Technology Fixed Income 53,277.29 0.01 53,277.29 BMTYHL6 4.99 5.25 7.07
ELEVANCE HEALTH INC Insurance Fixed Income 52,844.54 0.01 52,844.54 BK6V1D6 5.88 3.70 13.90
AMAZON.COM INC Consumer Cyclical Fixed Income 52,700.28 0.01 52,700.28 nan 3.99 3.45 2.81
ATMOS ENERGY CORPORATION Natural Gas Fixed Income 52,700.28 0.01 52,700.28 BRJ8Y23 5.48 4.13 12.23
REGENERON PHARMACEUTICALS INC. Consumer Non-Cyclical Fixed Income 52,700.28 0.01 52,700.28 nan 5.77 2.80 15.19
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 52,652.20 0.01 52,652.20 BNSNRL1 5.64 2.95 15.33
UNIVERSAL HEALTH SERVICES INC Consumer Non-Cyclical Fixed Income 52,459.86 0.01 52,459.86 nan 4.83 2.65 4.15
ASCENSION HEALTH Consumer Non-Cyclical Fixed Income 52,411.78 0.01 52,411.78 nan 4.35 4.29 4.05
S&P GLOBAL INC Technology Fixed Income 52,267.53 0.01 52,267.53 nan 4.23 4.25 2.77
SWP: OIS 3.518200 12-JAN-2054 SOF Cash and/or Derivatives Swaps 52,189.54 0.01 -447,810.46 nan 0.01 3.52 16.93
HARTFORD INSURANCE GROUP INC Insurance Fixed Income 52,171.36 0.01 52,171.36 BK5R469 5.69 3.60 14.06
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 51,882.85 0.01 51,882.85 BJK53F3 3.98 2.13 3.21
FIFTH THIRD BANCORP Banking Fixed Income 51,834.77 0.01 51,834.77 B2Q1497 5.69 8.25 7.91
FLORIDA POWER & LIGHT CO Electric Fixed Income 51,738.60 0.01 51,738.60 nan 4.10 5.15 2.85
TWDC ENTERPRISES 18 CORP MTN Communications Fixed Income 51,642.43 0.01 51,642.43 BN459D7 5.54 4.13 11.84
MARATHON PETROLEUM CORP Energy Fixed Income 51,642.43 0.01 51,642.43 BQQCCJ4 5.94 4.75 11.58
SWP: OIS 3.880700 17-OCT-2055 SOF Cash and/or Derivatives Swaps 51,136.37 0.01 -1,134,863.63 nan 0.27 3.88 17.14
MASSACHUSETTS INSTITUTE OF TECHNOL Industrial Other Fixed Income 51,017.34 0.01 51,017.34 B4LWP63 5.66 5.60 17.23
EQUINOR ASA Owned No Guarantee Fixed Income 50,825.00 0.01 50,825.00 nan 4.18 3.13 3.68
SWP: OIS 3.527200 10-MAR-2033 SOF Cash and/or Derivatives Swaps 50,619.00 0.01 -6,727,381.00 nan -0.09 3.53 6.12
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 50,440.33 0.01 50,440.33 BMG70V9 5.68 3.39 16.41
SWP: OIS 3.641200 14-FEB-2054 SOF Cash and/or Derivatives Swaps 50,189.01 0.01 -549,810.99 nan 0.10 3.64 16.83
SWP: OIS 3.598200 19-JAN-2054 SOF Cash and/or Derivatives Swaps 49,995.49 0.01 -500,004.51 nan 0.07 3.60 16.86
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 49,478.64 0.01 49,478.64 nan 4.10 4.70 2.76
BOEING CO Capital Goods Fixed Income 49,286.31 0.01 49,286.31 nan 4.37 6.30 2.69
AMERICAN EXPRESS COMPANY Banking Fixed Income 49,190.14 0.01 49,190.14 nan 3.99 4.05 2.79
SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 49,190.14 0.01 49,190.14 nan 4.69 4.86 3.09
KENVUE INC Consumer Non-Cyclical Fixed Income 49,142.05 0.01 49,142.05 nan 5.42 5.10 11.09
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 49,093.97 0.01 49,093.97 nan 5.73 3.60 16.21
TARGA RESOURCES CORP Energy Fixed Income 48,420.79 0.01 48,420.79 nan 6.17 6.05 13.56
KIMBERLY-CLARK CORPORATION Consumer Non-Cyclical Fixed Income 48,180.37 0.01 48,180.37 BMGWDJ3 4.19 3.10 3.65
EQUINIX EUROPE 2 FINANCING CORPORA Technology Fixed Income 47,314.85 0.01 47,314.85 nan 5.03 5.50 6.43
ARES STRATEGIC INCOME FUND Finance Companies Fixed Income 46,882.10 0.01 46,882.10 nan 6.22 6.20 4.88
AMERICAN TOWER CORPORATION Communications Fixed Income 46,641.67 0.01 46,641.67 BMC59H6 5.71 2.95 15.05
EQUINOR ASA Owned No Guarantee Fixed Income 46,545.51 0.01 46,545.51 nan 4.83 4.75 7.46
STANLEY BLACK & DECKER INC Capital Goods Fixed Income 46,545.51 0.01 46,545.51 nan 6.05 2.75 14.84
CENOVUS ENERGY INC Energy Fixed Income 46,257.00 0.01 46,257.00 BNTFNT6 5.90 3.75 14.40
STEEL DYNAMICS INC Basic Industry Fixed Income 46,064.66 0.01 46,064.66 nan 5.03 5.25 7.02
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 45,583.82 0.01 45,583.82 BN79088 5.64 3.15 15.79
HOME DEPOT INC Consumer Cyclical Fixed Income 45,391.49 0.01 45,391.49 BD886H5 5.60 3.50 15.97
SUNCOR ENERGY INC Energy Fixed Income 45,247.23 0.01 45,247.23 BD5W818 5.92 4.00 12.88
EXPAND ENERGY CORP Energy Fixed Income 45,199.15 0.01 45,199.15 nan 5.00 5.38 3.48
SWP: OIS 3.448700 05-SEP-2044 SOF Cash and/or Derivatives Swaps 44,999.25 0.01 -455,000.75 nan 0.06 3.45 13.30
SWP: OIS 3.400700 29-OCT-2032 SOF Cash and/or Derivatives Swaps 44,876.29 0.01 -2,931,123.71 nan -0.14 3.40 5.86
CRH SMW FINANCE DAC Capital Goods Fixed Income 44,670.22 0.01 44,670.22 nan 4.25 5.20 2.78
CANADIAN NATURAL RESOURCES LTD MTN Energy Fixed Income 44,574.05 0.01 44,574.05 BF47XX5 5.88 4.95 12.20
SWP: OIS 3.306700 26-NOV-2030 SOF Cash and/or Derivatives Swaps 44,553.51 0.01 -3,955,446.49 nan -0.22 3.31 4.28
SWP: OIS 3.697700 28-MAR-2054 SOF Cash and/or Derivatives Swaps 44,517.64 0.01 -555,482.36 nan 0.14 3.70 16.81
BROADCOM INC Technology Fixed Income 44,477.89 0.01 44,477.89 BKXB3J9 4.19 4.75 2.77
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 44,477.89 0.01 44,477.89 nan 4.16 4.90 3.36
MYLAN INC Consumer Non-Cyclical Fixed Income 44,429.80 0.01 44,429.80 BHQXR55 6.88 5.20 11.93
CHEVRON USA INC Energy Fixed Income 44,189.38 0.01 44,189.38 nan 5.45 2.34 15.99
LLOYDS BANKING GROUP PLC Banking Fixed Income 44,045.13 0.01 44,045.13 BD84H70 5.87 5.30 11.56
ADOBE INC Technology Fixed Income 43,756.62 0.01 43,756.62 nan 4.83 4.95 6.51
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 43,660.45 0.01 43,660.45 nan 4.35 4.55 6.45
SWP: OIS 3.760200 24-JAN-2044 SOF Cash and/or Derivatives Swaps 43,636.45 0.01 -956,363.55 nan 0.23 3.76 12.75
SWP: OIS 3.847200 18-SEP-2045 SOF Cash and/or Derivatives Swaps 43,488.67 0.01 -1,077,511.33 nan 0.29 3.85 13.46
APPLOVIN CORP Communications Fixed Income 43,275.78 0.01 43,275.78 nan 5.34 5.50 6.67
APPLIED MATERIALS INC Technology Fixed Income 43,227.70 0.01 43,227.70 BYVBMC5 5.48 4.35 12.96
STATE STREET BANK AND TRUST COMPAN Banking Fixed Income 43,227.70 0.01 43,227.70 nan 4.16 4.78 3.23
SWP: OIS 3.529700 18-JUL-2038 SOF Cash and/or Derivatives Swaps 42,388.78 0.01 -957,611.22 nan 0.06 3.53 9.90
TRANSCANADA PIPELINES LTD Energy Fixed Income 41,400.50 0.01 41,400.50 BGNBYW1 5.57 5.10 13.04
CADENCE DESIGN SYSTEMS INC Technology Fixed Income 40,823.49 0.01 40,823.49 nan 4.22 4.30 3.12
WESTPAC BANKING CORP Banking Fixed Income 40,631.15 0.01 40,631.15 nan 4.04 5.05 2.77
SWP: OIS 3.781200 31-AUG-2043 SOF Cash and/or Derivatives Swaps 40,452.63 0.01 -959,547.37 nan 0.24 3.78 12.56
SWP: OIS 3.680200 07-JUN-2054 SOF Cash and/or Derivatives Swaps 40,326.04 0.01 -459,673.96 nan 0.13 3.68 16.96
SYNCHRONY FINANCIAL Banking Fixed Income 40,294.56 0.01 40,294.56 nan 5.33 2.88 4.91
MOTOROLA SOLUTIONS INC Technology Fixed Income 40,198.39 0.01 40,198.39 BK203M0 4.42 4.60 2.81
SWP: OIS 3.425700 26-NOV-2032 SOF Cash and/or Derivatives Swaps 40,136.75 0.01 -2,959,863.25 nan -0.13 3.43 5.92
Kaiser Permanente Consumer Non-Cyclical Fixed Income 39,861.80 0.01 39,861.80 BMF8YY4 5.35 2.81 11.40
SWP: OIS 3.376700 20-NOV-2030 SOF Cash and/or Derivatives Swaps 39,766.19 0.01 -4,960,233.81 nan -0.21 3.38 4.26
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 39,380.96 0.01 39,380.96 BLBCW16 5.42 2.80 15.19
APOLLO DEBT SOLUTIONS BDC Finance Companies Fixed Income 39,284.79 0.01 39,284.79 BMHDJ97 5.73 6.90 2.68
PPL ELECTRIC UTILITIES CORPORATION Electric Fixed Income 38,996.29 0.01 38,996.29 nan 5.66 5.25 13.66
SWP: OIS 3.248200 10-SEP-2034 SOF Cash and/or Derivatives Swaps 38,876.47 0.01 -961,123.53 nan -0.13 3.25 7.35
BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 38,515.44 0.01 38,515.44 nan 6.44 3.13 14.31
WASTE CONNECTIONS INC Capital Goods Fixed Income 38,515.44 0.01 38,515.44 nan 5.56 2.95 15.45
COCA-COLA CO Consumer Non-Cyclical Fixed Income 38,467.36 0.01 38,467.36 BLB7Z34 5.43 2.75 17.56
STATE STREET CORP Banking Fixed Income 38,323.11 0.01 38,323.11 nan 4.03 2.40 3.53
SWP: OIS 3.407700 22-AUG-2044 SOF Cash and/or Derivatives Swaps 38,308.87 0.01 -361,691.13 nan 0.03 3.41 13.32
COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 38,226.94 0.01 38,226.94 nan 4.11 4.49 3.21
SWP: OIS 3.558200 12-FEB-2033 SOF Cash and/or Derivatives Swaps 37,884.53 0.01 -6,962,115.47 nan -0.08 3.56 6.06
COREBRIDGE FINANCIAL INC Insurance Fixed Income 37,553.76 0.01 37,553.76 991XAF6 4.46 3.85 2.77
CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 37,313.34 0.01 37,313.34 BP7LTN6 4.89 6.70 5.26
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 37,024.83 0.01 37,024.83 nan 4.47 4.30 2.75
SWP: OIS 3.781200 29-OCT-2040 SOF Cash and/or Derivatives Swaps 36,836.14 0.01 -1,357,163.86 nan 0.22 3.78 11.09
ICON INVESTMENTS SIX DAC Consumer Non-Cyclical Fixed Income 36,784.41 0.01 36,784.41 nan 4.93 5.85 2.71
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 36,688.25 0.01 36,688.25 nan 4.24 5.26 2.73
KLA CORP Technology Fixed Income 36,688.25 0.01 36,688.25 BQ5J0D6 5.75 5.25 15.19
COMMONSPIRIT HEALTH Consumer Non-Cyclical Fixed Income 36,543.99 0.01 36,543.99 BKLCY46 4.52 3.35 3.21
JACOBS SOLUTIONS INC Industrial Other Fixed Income 36,063.15 0.01 36,063.15 nan 4.87 4.75 4.28
LEIDOS INC Technology Fixed Income 36,063.15 0.01 36,063.15 nan 4.94 5.75 5.66
LABORATORY CORPORATION OF AMERICA Consumer Non-Cyclical Fixed Income 35,966.98 0.01 35,966.98 BVJDNV8 5.65 4.70 11.81
NATWEST GROUP PLC Banking Fixed Income 35,966.98 0.01 35,966.98 BQMS2W9 5.00 6.02 5.59
GLOBAL PAYMENTS INC Technology Fixed Income 35,870.81 0.01 35,870.81 BJXV303 6.45 4.15 13.04
KAISER FOUNDATION HOSPITALS Consumer Non-Cyclical Fixed Income 35,870.81 0.01 35,870.81 BKS7M84 5.58 3.27 14.32
SWP: OIS 3.528700 07-MAR-2054 SOF Cash and/or Derivatives Swaps 35,860.13 0.01 -314,139.87 nan 0.02 3.53 16.97
SWP: OIS 3.808200 05-MAR-2040 SOF Cash and/or Derivatives Swaps 35,792.46 0.01 -1,764,207.54 nan 0.21 3.81 10.71
SWP: OIS 3.563700 27-OCT-2035 SOF Cash and/or Derivatives Swaps 35,715.19 0.01 -1,808,284.81 nan 0.01 3.56 8.07
SWP: OIS 3.779700 07-NOV-2044 SOF Cash and/or Derivatives Swaps 35,617.18 0.01 -764,382.82 nan 0.25 3.78 13.11
ENBRIDGE INC Energy Fixed Income 35,341.89 0.01 35,341.89 nan 4.34 5.30 2.72
KEYSIGHT TECHNOLOGIES INC Technology Fixed Income 35,197.63 0.01 35,197.63 nan 4.42 5.35 3.77
SWP: OIS 3.293200 25-SEP-2034 SOF Cash and/or Derivatives Swaps 35,179.90 0.01 -964,820.10 nan -0.11 3.29 7.36
SWP: OIS 3.946895 10-SEP-2045 SOF Cash and/or Derivatives Swaps 35,100.32 0.01 -1,378,899.68 nan 0.34 3.95 13.38
FAIRFAX FINANCIAL HOLDINGS LTD Insurance Fixed Income 35,005.30 0.01 35,005.30 2K03C78 4.90 5.63 5.26
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 34,861.05 0.01 34,861.05 nan 4.64 4.87 4.41
LAS VEGAS SANDS CORP Consumer Cyclical Fixed Income 34,764.88 0.01 34,764.88 BKPHQ07 4.86 3.90 3.04
NATIONAL BANK OF CANADA MTN Banking Fixed Income 34,668.71 0.01 34,668.71 nan 4.29 4.50 3.19
ADOBE INC Technology Fixed Income 34,380.20 0.01 34,380.20 nan 4.08 4.80 2.74
SWP: OIS 3.676200 20-NOV-2035 SOF Cash and/or Derivatives Swaps 34,342.80 0.01 -3,465,657.20 nan 0.05 3.68 8.07
PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 33,995.53 0.01 33,995.53 nan 4.34 5.20 2.72
SWP: OIS 3.610700 26-NOV-2035 SOF Cash and/or Derivatives Swaps 33,835.59 0.01 -2,166,164.41 nan 0.03 3.61 8.10
LOWES COMPANIES INC Consumer Cyclical Fixed Income 33,803.19 0.01 33,803.19 BH3TYV1 4.21 3.65 2.78
SWP: OIS 3.289700 07-OCT-2031 SOF Cash and/or Derivatives Swaps 33,775.63 0.01 -1,966,224.37 nan -0.21 3.29 5.02
SWP: OIS 3.745200 04-APR-2054 SOF Cash and/or Derivatives Swaps 33,137.59 0.01 -466,862.41 nan 0.17 3.75 16.77
SWP: OIS 3.876700 29-OCT-2045 SOF Cash and/or Derivatives Swaps 33,113.36 0.01 -925,886.64 nan 0.30 3.88 13.48
SWP: OIS 3.208700 25-SEP-2029 SOF Cash and/or Derivatives Swaps 32,767.74 0.01 -2,467,232.26 nan -0.27 3.21 3.27
SWP: OIS 3.814700 05-MAR-2045 SOF Cash and/or Derivatives Swaps 32,721.73 0.01 -767,278.27 nan 0.26 3.81 13.23
SWP: OIS 3.920700 03-NOV-2055 SOF Cash and/or Derivatives Swaps 32,603.08 0.01 -876,396.92 nan 0.29 3.92 17.11
AUSTRALIA AND NEW ZEALAND BANKING MTN Banking Fixed Income 32,072.16 0.01 32,072.16 nan 4.08 4.62 3.30
FIRSTENERGY CORPORATION Electric Fixed Income 32,072.16 0.01 32,072.16 BL5H0D5 5.94 3.40 14.22
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 32,024.08 0.01 32,024.08 BLR95S9 5.38 4.25 14.04
OTIS WORLDWIDE CORP Capital Goods Fixed Income 31,831.74 0.01 31,831.74 nan 5.69 3.36 14.41
REALTY INCOME CORPORATION Reits Fixed Income 31,687.49 0.01 31,687.49 nan 4.69 4.75 5.89
SWP: OIS 3.510700 13-NOV-2032 SOF Cash and/or Derivatives Swaps 31,663.34 0.01 -3,868,336.66 nan -0.11 3.51 5.88
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 31,639.40 0.01 31,639.40 nan 5.75 5.87 11.75
SWP: OIS 3.928200 02-OCT-2055 SOF Cash and/or Derivatives Swaps 31,420.26 0.01 -868,579.74 nan 0.30 3.93 17.08
SWP: OIS 3.343700 07-OCT-2034 SOF Cash and/or Derivatives Swaps 31,212.25 0.01 -968,787.75 nan -0.09 3.34 7.37
PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 30,821.97 0.01 30,821.97 BKKDHP2 5.60 4.00 13.62
SWP: OIS 3.371200 22-AUG-2034 SOF Cash and/or Derivatives Swaps 29,471.43 0.01 -970,528.57 nan -0.09 3.37 7.28
SWP: OIS 3.891700 12-NOV-2044 SOF Cash and/or Derivatives Swaps 29,380.21 0.01 -970,619.79 nan 0.31 3.89 13.04
SWP: OIS 3.281700 17-OCT-2030 SOF Cash and/or Derivatives Swaps 29,088.06 0.01 -2,235,911.94 nan -0.24 3.28 4.19
SWP: OIS 3.866200 29-APR-2055 SOF Cash and/or Derivatives Swaps 29,034.95 0.01 -570,965.05 nan 0.26 3.87 17.05
GOLDMAN SACHS PRIVATE CREDIT CORP 144A Finance Companies Fixed Income 28,898.60 0.01 28,898.60 nan 6.36 6.15 4.37
SWP: OIS 3.824200 29-OCT-2044 SOF Cash and/or Derivatives Swaps 28,880.53 0.01 -721,119.47 nan 0.27 3.82 13.07
SWP: OIS 3.184700 10-SEP-2029 SOF Cash and/or Derivatives Swaps 28,775.63 0.01 -1,971,224.37 nan -0.27 3.18 3.23
SWP: OIS 3.798200 24-MAR-2055 SOF Cash and/or Derivatives Swaps 28,707.23 0.01 -471,292.77 nan 0.20 3.80 17.04
ATLAS WAREHOUSE LENDING COMPANY LP 144A Financial Other Fixed Income 28,610.10 0.01 28,610.10 nan 5.48 5.25 5.54
SWP: OIS 3.331200 10-SEP-2039 SOF Cash and/or Derivatives Swaps 28,437.25 0.01 -371,562.75 nan 0.00 3.33 10.69
SWP: OIS 3.719200 25-MAR-2054 SOF Cash and/or Derivatives Swaps 28,240.20 0.01 -371,759.80 nan 0.16 3.72 16.79
OMNICOM GROUP INC Communications Fixed Income 27,840.75 0.01 27,840.75 nan 4.68 2.60 4.81
COMMONWEALTH BANK OF AUSTRALIA (NE MTN Banking Fixed Income 27,744.58 0.01 27,744.58 nan 4.19 4.15 4.02
ASCENSION HEALTH ALLIANCE Consumer Non-Cyclical Fixed Income 27,359.91 0.01 27,359.91 BYYXY44 5.54 3.94 12.84
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 27,311.83 0.01 27,311.83 nan 4.24 4.99 2.73
CONNECTICUT LIGHT AND POWER COMPAN Electric Fixed Income 26,879.07 0.01 26,879.07 BFMNF73 5.61 4.00 13.45
SWP: OIS 3.865200 07-JUN-2044 SOF Cash and/or Derivatives Swaps 26,849.12 0.01 -773,150.88 nan 0.29 3.87 12.89
SYNCHRONY FINANCIAL Banking Fixed Income 26,782.90 0.01 26,782.90 nan 5.33 4.95 4.23
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 26,638.65 0.01 26,638.65 nan 4.20 4.53 3.70
SWP: OIS 3.395200 17-OCT-2032 SOF Cash and/or Derivatives Swaps 26,106.26 0.01 -1,649,893.74 nan -0.14 3.40 5.84
SWP: OIS 3.653200 02-OCT-2035 SOF Cash and/or Derivatives Swaps 26,011.32 0.01 -2,173,988.68 nan 0.04 3.65 7.99
SWP: OIS 3.573136 14-AUG-2032 SOF Cash and/or Derivatives Swaps 25,919.47 0.01 -4,974,080.53 nan -0.11 3.57 5.68
REPUBLIC SERVICES INC Capital Goods Fixed Income 25,917.38 0.01 25,917.38 nan 4.17 4.88 2.73
SWP: OIS 3.759200 24-MAR-2055 SOF Cash and/or Derivatives Swaps 25,619.22 0.01 -374,380.78 nan 0.18 3.76 17.07
EQUINOR ASA Owned No Guarantee Fixed Income 25,148.04 0.00 25,148.04 BGD8XW5 5.42 4.80 11.26
SWP: OIS 3.840200 11-MAR-2055 SOF Cash and/or Derivatives Swaps 25,115.80 0.00 -474,884.20 nan 0.23 3.84 16.98
SWP: OIS 3.883200 27-OCT-2045 SOF Cash and/or Derivatives Swaps 25,113.93 0.00 -721,886.07 nan 0.31 3.88 13.47
SWP: OIS 3.487200 02-OCT-2032 SOF Cash and/or Derivatives Swaps 24,871.33 0.00 -2,475,128.67 nan -0.12 3.49 5.80
TARGET CORPORATION Consumer Cyclical Fixed Income 24,763.36 0.00 24,763.36 BJY5HG8 4.03 3.38 2.81
SWP: OIS 3.240700 09-SEP-2029 SOF Cash and/or Derivatives Swaps 24,596.84 0.00 -1,975,403.16 nan -0.26 3.24 3.23
SWP: OIS 3.754700 04-DEC-2039 SOF Cash and/or Derivatives Swaps 24,371.23 0.00 -975,628.77 nan 0.19 3.75 10.59
EQUINOR ASA Owned No Guarantee Fixed Income 23,705.51 0.00 23,705.51 B522X65 5.17 5.10 9.98
SWP: OIS 3.856700 07-FEB-2055 SOF Cash and/or Derivatives Swaps 23,671.18 0.00 -476,328.82 nan 0.25 3.86 16.94
SWP: OIS 3.571200 17-OCT-2035 SOF Cash and/or Derivatives Swaps 23,300.75 0.00 -1,219,699.25 nan 0.01 3.57 8.04
BROADCOM INC 144A Technology Fixed Income 23,128.50 0.00 23,128.50 nan 4.17 4.00 2.79
HP INC Technology Fixed Income 23,128.50 0.00 23,128.50 nan 4.42 4.00 2.79
BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 23,080.42 0.00 23,080.42 BDT5HL6 4.30 3.30 3.11
MIDAMERICAN ENERGY COMPANY Electric Fixed Income 23,032.33 0.00 23,032.33 BJ1STT7 4.14 3.65 2.80
SWP: OIS 3.816700 23-MAY-2054 SOF Cash and/or Derivatives Swaps 22,780.65 0.00 -377,219.35 nan 0.23 3.82 16.80
SWP: OIS 3.198700 10-SEP-2031 SOF Cash and/or Derivatives Swaps 22,308.74 0.00 -977,691.26 nan -0.23 3.20 4.97
SWP: OIS 3.654700 03-NOV-2035 SOF Cash and/or Derivatives Swaps 22,219.73 0.00 -1,891,780.27 nan 0.04 3.65 8.05
SWP: OIS 3.656200 10-OCT-2035 SOF Cash and/or Derivatives Swaps 21,639.77 0.00 -1,852,360.23 nan 0.04 3.66 8.01
SWP: OIS 3.419500 24-MAY-2033 SOF Cash and/or Derivatives Swaps 21,425.64 0.00 -978,574.36 nan -0.12 3.42 6.33
SWP: OIS 3.779200 15-MAR-2044 SOF Cash and/or Derivatives Swaps 20,904.62 0.00 -479,095.38 nan 0.24 3.78 12.80
SWP: OIS 3.346200 10-SEP-2044 SOF Cash and/or Derivatives Swaps 20,787.85 0.00 -179,212.15 nan 0.00 3.35 13.38
COMMONSPIRIT HEALTH Consumer Non-Cyclical Fixed Income 20,772.37 0.00 20,772.37 BKMD3V8 5.90 4.19 13.55
SWP: OIS 3.880700 28-MAR-2044 SOF Cash and/or Derivatives Swaps 20,231.35 0.00 -679,768.65 nan 0.29 3.88 12.76
BRIGHTHOUSE FINANCIAL INC Insurance Fixed Income 20,147.28 0.00 20,147.28 BD6TZ17 7.54 4.70 11.37
EQUINOR ASA Owned No Guarantee Fixed Income 19,954.94 0.00 19,954.94 B96WFB8 5.47 3.95 11.52
SWP: OIS 3.794200 07-FEB-2044 SOF Cash and/or Derivatives Swaps 19,703.19 0.00 -480,296.81 nan 0.25 3.79 12.75
EQUINOR ASA Owned No Guarantee Fixed Income 19,426.02 0.00 19,426.02 nan 4.19 2.38 3.80
SWP: OIS 3.804200 14-FEB-2044 SOF Cash and/or Derivatives Swaps 19,108.10 0.00 -480,891.90 nan 0.25 3.80 12.75
XILINX INC Technology Fixed Income 19,089.43 0.00 19,089.43 nan 4.24 2.38 3.83
SWP: OIS 3.802700 23-OCT-2039 SOF Cash and/or Derivatives Swaps 18,879.70 0.00 -981,120.30 nan 0.21 3.80 10.51
SWP: OIS 3.786700 20-MAY-2054 SOF Cash and/or Derivatives Swaps 18,683.26 0.00 -281,316.74 nan 0.21 3.79 16.83
EQUINOR ASA Owned No Guarantee Fixed Income 18,512.42 0.00 18,512.42 BJV9CD5 5.51 3.25 14.43
EQUINOR ASA Owned No Guarantee Fixed Income 18,464.33 0.00 18,464.33 nan 5.54 3.70 14.36
SWP: OIS 3.955200 03-NOV-2045 SOF Cash and/or Derivatives Swaps 18,235.79 0.00 -757,764.21 nan 0.34 3.96 13.43
SWP: OIS 3.815200 14-DEC-2043 SOF Cash and/or Derivatives Swaps 17,980.47 0.00 -482,019.53 nan 0.26 3.82 12.66
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 17,791.15 0.00 17,791.15 nan 5.00 6.18 5.45
SWP: OIS 3.611700 02-APR-2054 SOF Cash and/or Derivatives Swaps 17,710.42 0.00 -182,289.58 nan 0.08 3.61 16.90
HOME DEPOT INC Consumer Cyclical Fixed Income 17,646.90 0.00 17,646.90 nan 4.03 4.90 2.77
SWP: OIS 3.901700 17-OCT-2045 SOF Cash and/or Derivatives Swaps 17,641.40 0.00 -550,358.60 nan 0.32 3.90 13.45
SWP: OIS 3.552500 05-JUL-2033 SOF Cash and/or Derivatives Swaps 17,136.12 0.00 -1,482,863.88 nan -0.08 3.55 6.38
ING GROEP NV Banking Fixed Income 17,069.89 0.00 17,069.89 BJFFD58 4.31 4.05 2.77
PROVIDENCE ST. JOSEPH HEALTH Consumer Non-Cyclical Fixed Income 17,021.81 0.00 17,021.81 BN14JM6 5.80 2.70 15.63
SWP: OIS 3.485700 10-OCT-2032 SOF Cash and/or Derivatives Swaps 16,769.57 0.00 -1,665,230.43 nan -0.12 3.49 5.82
SWP: OIS 3.800700 17-OCT-2040 SOF Cash and/or Derivatives Swaps 16,632.92 0.00 -671,367.08 nan 0.22 3.80 11.06
SWP: OIS 3.671200 28-MAR-2054 SOF Cash and/or Derivatives Swaps 15,724.06 0.00 -184,275.94 nan 0.12 3.67 16.84
SWP: OIS 3.560700 18-JUL-2033 SOF Cash and/or Derivatives Swaps 15,420.23 0.00 -1,484,579.77 nan -0.08 3.56 6.41
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 14,858.02 0.00 14,858.02 nan 4.30 4.90 2.76
SWP: OIS 3.795700 02-APR-2044 SOF Cash and/or Derivatives Swaps 11,984.22 0.00 -288,015.78 nan 0.25 3.80 12.82
SWP: OIS 3.724200 11-MAR-2039 SOF Cash and/or Derivatives Swaps 11,680.06 0.00 -488,319.94 nan 0.16 3.72 10.17
SWP: OIS 3.655700 24-NOV-2035 SOF Cash and/or Derivatives Swaps 11,595.41 0.00 -988,404.59 nan 0.04 3.66 8.09
SWP: OIS 4.099200 06-APR-2056 SOF Cash and/or Derivatives Swaps 10,395.78 0.00 -1,989,604.22 nan 0.40 4.10 17.09
SWP: OIS 3.510200 28-DEC-2033 SOF Cash and/or Derivatives Swaps 10,213.28 0.00 -789,786.72 nan -0.06 3.51 6.74
SWP: OIS 3.757700 07-MAR-2039 SOF Cash and/or Derivatives Swaps 9,925.96 0.00 -490,074.04 nan 0.17 3.76 10.15
SWP: OIS 3.954200 29-APR-2045 SOF Cash and/or Derivatives Swaps 9,815.34 0.00 -390,184.66 nan 0.34 3.95 13.23
TAPESTRY INC Consumer Cyclical Fixed Income 9,520.67 0.00 9,520.67 nan 5.20 5.50 6.96
SWP: OIS 3.401200 22-AUG-2029 SOF Cash and/or Derivatives Swaps 9,345.80 0.00 -1,390,654.20 nan -0.24 3.40 3.18
SWP: OIS 3.605200 26-DEC-2032 SOF Cash and/or Derivatives Swaps 7,668.48 0.00 -3,492,331.52 nan -0.08 3.61 5.95
SWP: OIS 3.602700 11-DEC-2032 SOF Cash and/or Derivatives Swaps 7,033.21 0.00 -3,092,966.79 nan -0.08 3.60 5.92
SWP: OIS 3.925700 26-FEB-2044 SOF Cash and/or Derivatives Swaps 6,787.71 0.00 -293,212.29 nan 0.31 3.93 12.69
VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 6,539.45 0.00 6,539.45 nan 5.23 5.25 5.83
SWP: OIS 3.779700 20-MAR-2036 SOF Cash and/or Derivatives Swaps 5,621.32 0.00 -2,330,378.68 nan 0.09 3.78 8.27
BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 5,337.35 0.00 5,337.35 BF2KB43 5.60 4.67 12.54
CENTERPOINT ENERGY HOUSTON ELECTRI Electric Fixed Income 5,337.35 0.00 5,337.35 nan 4.94 4.85 7.76
VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 5,337.35 0.00 5,337.35 nan 5.56 5.55 7.62
SWP: OIS 3.734200 26-AUG-2035 SOF Cash and/or Derivatives Swaps 5,169.13 0.00 -994,830.87 nan 0.06 3.73 7.91
SWP: OIS 3.736700 05-MAR-2035 SOF Cash and/or Derivatives Swaps 4,930.31 0.00 -3,495,069.69 nan 0.04 3.74 7.55
NUTRIEN LTD Basic Industry Fixed Income 4,760.34 0.00 4,760.34 BHPHFC1 4.27 4.20 2.75
GOLDMAN SACHS PRIVATE CREDIT CORP 144A Finance Companies Fixed Income 4,616.08 0.00 4,616.08 nan 6.22 5.88 4.02
SWP: OIS 3.758700 29-APR-2035 SOF Cash and/or Derivatives Swaps 3,925.79 0.00 -996,074.21 nan 0.04 3.76 7.68
SWP: OIS 3.630700 29-APR-2032 SOF Cash and/or Derivatives Swaps 3,033.86 0.00 -996,966.14 nan -0.12 3.63 5.45
TAPESTRY INC Consumer Cyclical Fixed Income 2,933.14 0.00 2,933.14 nan 4.55 5.10 3.49
VISTRA OPERATIONS COMPANY LLC 144A Electric Fixed Income 1,586.78 0.00 1,586.78 nan 4.98 5.00 4.41
SWP: OIS 3.652700 12-JAN-2034 SOF Cash and/or Derivatives Swaps 1,160.30 0.00 -398,839.70 nan -0.03 3.65 6.74
SWP: OIS 4.134700 27-MAR-2046 SOF Cash and/or Derivatives Swaps 501.00 0.00 -2,599,499.00 nan 0.43 4.13 13.48
DERIV USD BALANCE WITH R93535 LCH Cash and/or Derivatives Cash Collateral and Margins 0.20 0.00 0.20 nan 3.65 3.65 0.00
SWP: OIS 4.134200 14-APR-2056 SOF Cash and/or Derivatives Swaps -1,559.24 0.00 -2,001,559.24 nan 0.42 4.13 17.06
SWP: OIS 4.158200 14-APR-2046 SOF Cash and/or Derivatives Swaps -2,750.21 0.00 -1,002,750.21 nan 0.44 4.16 13.49
SWP: OIS 3.689200 17-APR-2033 SOF Cash and/or Derivatives Swaps -7,391.73 0.00 -3,283,391.73 nan -0.05 3.69 6.17
SWP: OIS 3.866200 20-APR-2036 SOF Cash and/or Derivatives Swaps -7,975.94 0.00 -1,838,975.94 nan 0.12 3.87 8.29
SWP: OIS 3.591200 14-APR-2030 SOF Cash and/or Derivatives Swaps -9,560.59 0.00 -3,009,560.59 nan -0.19 3.59 3.72
SWP: OIS 3.865700 09-APR-2036 SOF Cash and/or Derivatives Swaps -22,451.28 0.00 -5,022,451.28 nan 0.12 3.87 8.28
SWP: OIS 3.647700 27-MAR-2031 SOF Cash and/or Derivatives Swaps -36,330.13 -0.01 -7,636,330.13 nan -0.15 3.65 4.53
USD CASH Cash and/or Derivatives Cash -1,929,123.10 -0.38 -1,929,123.10 nan 3.65 0.00 0.00
DERIV USD BALANCE WITH R73215 LCH Cash and/or Derivatives Cash Collateral and Margins -13,746,420.95 -2.72 -13,746,420.95 nan 3.65 3.65 0.00
DERIV USD BALANCE WITH R73215 CME Cash and/or Derivatives Cash Collateral and Margins -48,074,342.63 -9.50 -48,074,342.63 nan 3.65 3.65 0.00
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. Holdings subject to change. See www.iShares.com for the most recent funds holdings. 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. CAREFULLY CONSIDER THE FUNDS' INVESTMENT OBJECTIVES, RISK FACTORS, AND CHARGES AND EXPENSES BEFORE INVESTING. THIS AND OTHER INFORMATION CAN BE FOUND IN THE FUNDS' PROSPECTUSES OR, IF AVAILABLE, THE SUMMARY PROSPECTUSES WHICH MAY BE OBTAINED BY VISITING WWW.ISHARES.COM OR WWW.BLACKROCK.COM. READ THE PROSPECTUS CAREFULLY BEFORE INVESTING. INVESTING INVOLVES RISK, INCLUDING POSSIBLE LOSS OF PRINCIPAL. 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 Funds are distributed by BlackRock Investments, LLC (together with its affiliates, “BlackRock”). The iShares Funds are not sponsored, endorsed, issued, sold or promoted by Bloomberg, BlackRock Index Services, LLC, Cboe Global Indices, LLC, Cohen & Steers, European Public Real Estate Association (“EPRA® ”), FTSE International Limited (“FTSE”), ICE Data Indices, LLC, NSE Indices Ltd, JPMorgan, JPX Group, London Stock Exchange Group (“LSEG”), MSCI Inc., Markit Indices Limited, Morningstar, Inc., Nasdaq, Inc., National Association of Real Estate Investment Trusts (“NAREIT”), Nikkei, Inc., Russell, S&P Dow Jones Indices LLC or STOXX Ltd. 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, LSEG, 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. Neither FTSE, EPRA, LSEG, nor NAREIT makes any warranty regarding the FTSE EPRA Nareit Developed ex-U.S. Index, FTSE EPRA Nareit Developed Green Target Index or FTSE EPRA Nareit Global REITs Index. “FTSE®” is a trademark of London Stock Exchange Group companies and is used by FTSE under license. ©2023 BlackRock, Inc or its affiliates. All rights reserved. iSHARES, iBONDS and BLACKROCK are trademarks of BlackRock, Inc. or its affiliates. All other trademarks are those of their respective owners. nan nan nan nan nan nan nan nan nan