ETF constituents for LQDI

Below, a list of constituents for LQDI (iShares Inflation Hedged Corporate Bond ETF) is shown. In total, LQDI consists of 3295 securities.

Note: The data shown here is as of date Jan 23, 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 67,136,056.23 95.07 US4642872422 8.03 nan 0.00
XCITI CASH COLLATERAL USD XCITI Cash and/or Derivatives Cash Collateral and Margins 3,080,000.00 4.36 nan 0.00 Dec 31, 2049 3.64
XTSLA BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 320,000.00 0.45 US0669224778 0.09 nan 3.64
LCH SWP: IFS 2.565000 02-JUN-2031 Cash and/or Derivatives Swaps 276,307.87 0.39 nan -0.53 Jun 02, 2031 2.56
LCH SWP: IFS 2.240000 12-JAN-2031 Cash and/or Derivatives Swaps 268,595.44 0.38 nan -0.76 Jan 12, 2031 2.24
LCH SWP: IFS 2.465500 07-APR-2031 Cash and/or Derivatives Swaps 215,074.48 0.30 nan -0.61 Apr 07, 2031 2.47
LCH SWP: IFS 2.921000 21-OCT-2026 Cash and/or Derivatives Cash 169,472.58 0.24 nan -0.04 Oct 21, 2026 2.92
LCH SWP: IFS 2.401000 09-FEB-2031 Cash and/or Derivatives Swaps 168,178.45 0.24 nan -0.65 Feb 09, 2031 2.40
LCH SWP: IFS 2.614500 07-JAN-2037 Cash and/or Derivatives Swaps 123,605.65 0.18 nan -0.45 Jan 07, 2037 2.61
LCH SWP: IFS 2.742500 15-SEP-2026 Cash and/or Derivatives Cash 110,001.44 0.16 nan -0.05 Sep 15, 2026 2.74
LCH SWP: IFS 1.947500 20-AUG-2050 Cash and/or Derivatives Swaps 107,892.20 0.15 nan -5.28 Aug 20, 2050 1.95
LCH SWP: IFS 2.446000 29-JUN-2041 Cash and/or Derivatives Swaps 85,026.86 0.12 nan -1.40 Jun 29, 2041 2.45
LCH SWP: IFS 1.833750 18-OCT-2049 Cash and/or Derivatives Swaps 80,577.76 0.11 nan -5.55 Oct 18, 2049 1.83
LCH SWP: IFS 1.896250 20-AUG-2030 Cash and/or Derivatives Swaps 75,327.07 0.11 nan -0.98 Aug 20, 2030 1.90
LCH SWP: IFS 2.408000 30-JUL-2051 Cash and/or Derivatives Swaps 68,972.40 0.10 nan -1.85 Jul 30, 2051 2.41
LCH SWP: IFS 2.659000 01-OCT-2028 Cash and/or Derivatives Swaps 66,192.65 0.09 nan -0.19 Oct 01, 2028 2.66
LCH SWP: IFS 1.889000 20-AUG-2030 Cash and/or Derivatives Swaps 64,829.01 0.09 nan -0.98 Aug 20, 2030 1.89
LCH SWP: IFS 2.964500 26-OCT-2028 Cash and/or Derivatives Swaps 63,998.40 0.09 nan -0.12 Oct 26, 2028 2.96
USD USD CASH Cash and/or Derivatives Cash 58,640.52 0.08 nan 0.00 nan 0.00
LCH SWP: IFS 2.470000 09-DEC-2046 Cash and/or Derivatives Swaps 52,667.98 0.07 nan -1.14 Dec 09, 2046 2.47
LCH SWP: IFS 2.582000 05-JAN-2042 Cash and/or Derivatives Swaps 48,701.78 0.07 nan -0.59 Jan 05, 2042 2.58
LCH SWP: IFS 2.673000 19-MAY-2031 Cash and/or Derivatives Swaps 47,988.29 0.07 nan -0.47 May 19, 2031 2.67
LCH SWP: IFS 2.402000 29-JUN-2041 Cash and/or Derivatives Swaps 46,169.61 0.07 nan -1.54 Jun 29, 2041 2.40
LCH SWP: OIS 2.933500 06-DEC-2052 Cash and/or Derivatives Swaps 41,089.53 0.06 nan 17.24 Dec 06, 2052 2.93
LCH SWP: IFS 2.230000 06-JAN-2051 Cash and/or Derivatives Swaps 35,529.49 0.05 nan -3.28 Jan 06, 2051 2.23
LCH SWP: IFS 2.441898 07-JAN-2032 USC Cash and/or Derivatives Swaps 34,263.33 0.05 nan -0.03 Jan 07, 2032 2.44
LCH SWP: IFS 2.219969 18-SEP-2029 USC Cash and/or Derivatives Swaps 30,490.34 0.04 nan -0.06 Sep 18, 2029 2.22
LCH SWP: IFS 2.420500 02-AUG-2051 Cash and/or Derivatives Swaps 30,262.50 0.04 nan -1.76 Aug 02, 2051 2.42
LCH SWP: OIS 3.168500 09-JAN-2048 Cash and/or Derivatives Swaps 29,872.74 0.04 nan 15.05 Jan 09, 2048 3.17
LCH SWP: IFS 2.500000 25-JAN-2037 Cash and/or Derivatives Swaps 29,708.91 0.04 nan -0.60 Jan 25, 2037 2.50
LCH SWP: IFS 2.383750 16-JUL-2041 Cash and/or Derivatives Swaps 27,780.13 0.04 nan -1.55 Jul 16, 2041 2.38
LCH SWP: IFS 2.430940 07-JAN-2045 USC Cash and/or Derivatives Swaps 25,806.69 0.04 nan -0.16 Jan 07, 2045 2.43
LCH SWP: IFS 2.408000 05-MAY-2028 Cash and/or Derivatives Swaps 20,817.40 0.03 nan -0.03 May 05, 2028 2.41
CME SWP: OIS 2.990000 05-MAY-2053 Cash and/or Derivatives Swaps 20,640.10 0.03 nan 17.49 May 05, 2053 2.99
CME SWP: OIS 2.983500 15-MAR-2048 Cash and/or Derivatives Swaps 18,885.57 0.03 nan 15.51 Mar 15, 2048 2.98
CME SWP: OIS 3.074500 05-MAY-2048 Cash and/or Derivatives Swaps 17,360.36 0.02 nan 15.43 May 05, 2048 3.07
LCH SWP: IFS 2.385000 17-MAY-2028 USC Cash and/or Derivatives Swaps 16,815.70 0.02 nan -0.03 May 17, 2028 2.38
LCH SWP: IFS 2.405976 07-JAN-2055 USC Cash and/or Derivatives Swaps 15,718.35 0.02 nan -0.30 Jan 07, 2055 2.41
LCH SWP: IFS 2.463937 07-JAN-2035 USC Cash and/or Derivatives Swaps 13,280.15 0.02 nan -0.03 Jan 07, 2035 2.46
LCH SWP: IFS 2.287500 22-APR-2032 USC Cash and/or Derivatives Swaps 11,070.86 0.02 nan -0.07 Apr 22, 2032 2.29
LCH SWP: IFS 2.277013 21-AUG-2031 USC Cash and/or Derivatives Swaps 9,184.99 0.01 nan -0.09 Aug 21, 2031 2.28
LCH SWP: OIS 4.008715 11-AUG-2050 SOF Cash and/or Derivatives Swaps 9,053.88 0.01 nan 15.34 Aug 11, 2050 4.01
LCH SWP: IFS 2.318001 21-AUG-2034 USC Cash and/or Derivatives Swaps 6,953.93 0.01 nan -0.13 Aug 21, 2034 2.32
LCH SWP: IFS 2.326000 19-DEC-2042 Cash and/or Derivatives Swaps 6,918.08 0.01 nan -0.59 Dec 19, 2042 2.33
LCH SWP: IFS 2.279200 16-APR-2055 USC Cash and/or Derivatives Swaps 5,958.20 0.01 nan -0.88 Apr 16, 2055 2.28
LCH SWP: IFS 2.348746 27-SEP-2049 USC Cash and/or Derivatives Swaps 5,670.78 0.01 nan -0.45 Sep 27, 2049 2.35
LCH SWP: OIS 3.245000 06-DEC-2032 Cash and/or Derivatives Swaps 5,455.31 0.01 nan 6.13 Dec 06, 2032 3.25
LCH SWP: IFS 2.252492 18-SEP-2031 USC Cash and/or Derivatives Swaps 4,882.00 0.01 nan -0.10 Sep 18, 2031 2.25
LCH SWP: IFS 2.504000 06-DEC-2046 Cash and/or Derivatives Swaps 4,704.43 0.01 nan -1.01 Dec 06, 2046 2.50
LCH SWP: IFS 2.340343 10-MAR-2055 USC Cash and/or Derivatives Swaps 4,550.10 0.01 nan -0.60 Mar 10, 2055 2.34
CME SWP: OIS 3.136000 05-MAY-2030 Cash and/or Derivatives Swaps 4,000.13 0.01 nan 4.03 May 05, 2030 3.14
LCH SWP: IFS 2.498500 06-APR-2028 Cash and/or Derivatives Swaps 3,658.65 0.01 nan -0.02 Apr 06, 2028 2.50
LCH SWP: IFS 2.474938 07-JAN-2040 USC Cash and/or Derivatives Swaps 3,594.51 0.01 nan -0.05 Jan 07, 2040 2.47
LCH SWP: IFS 2.277524 27-SEP-2027 USC Cash and/or Derivatives Swaps 3,563.05 0.01 nan -0.01 Sep 27, 2027 2.28
LCH SWP: IFS 2.325200 24-SEP-2049 USC Cash and/or Derivatives Swaps 3,531.90 0.01 nan -0.54 Sep 24, 2049 2.33
LCH SWP: IFS 2.438200 04-DEC-2034 USC Cash and/or Derivatives Swaps 3,181.76 0.00 nan -0.05 Dec 04, 2034 2.44
LCH SWP: IFS 2.408700 30-APR-2035 USC Cash and/or Derivatives Swaps 2,858.22 0.00 nan -0.04 Apr 30, 2035 2.41
LCH SWP: IFS 2.347538 27-SEP-2029 USC Cash and/or Derivatives Swaps 2,733.98 0.00 nan -0.03 Sep 27, 2029 2.35
LCH SWP: IFS 2.290010 18-SEP-2034 USC Cash and/or Derivatives Swaps 2,608.54 0.00 nan -0.16 Sep 18, 2034 2.29
LCH SWP: IFS 2.491200 27-MAR-2029 USC Cash and/or Derivatives Swaps 2,491.69 0.00 nan -0.01 Mar 27, 2029 2.49
LCH SWP: IFS 2.292200 30-APR-2050 USC Cash and/or Derivatives Swaps 2,414.13 0.00 nan -0.59 Apr 30, 2050 2.29
LCH SWP: IFS 2.370000 08-FEB-2053 Cash and/or Derivatives Swaps 2,357.72 0.00 nan -0.65 Feb 08, 2053 2.37
LCH SWP: IFS 2.426700 22-DEC-2045 USC Cash and/or Derivatives Swaps 2,233.41 0.00 nan -0.08 Dec 22, 2045 2.43
LCH SWP: IFS 2.330173 21-AUG-2054 USC Cash and/or Derivatives Swaps 2,151.98 0.00 nan -0.67 Aug 21, 2054 2.33
LCH SWP: IFS 2.319700 16-APR-2045 USC Cash and/or Derivatives Swaps 2,103.79 0.00 nan -0.40 Apr 16, 2045 2.32
LCH SWP: IFS 2.432500 19-DEC-2032 Cash and/or Derivatives Swaps 1,840.76 0.00 nan -0.12 Dec 19, 2032 2.43
LCH SWP: IFS 1.937500 20-AUG-2050 Cash and/or Derivatives Swaps 1,816.57 0.00 nan -5.34 Aug 20, 2050 1.94
LCH SWP: IFS 2.373734 27-SEP-2044 USC Cash and/or Derivatives Swaps 1,695.91 0.00 nan -0.32 Sep 27, 2044 2.37
LCH SWP: IFS 2.316443 21-AUG-2049 USC Cash and/or Derivatives Swaps 1,664.28 0.00 nan -0.56 Aug 21, 2049 2.32
LCH SWP: IFS 2.405200 04-DEC-2045 USC Cash and/or Derivatives Swaps 1,601.17 0.00 nan -0.16 Dec 04, 2045 2.41
LCH SWP: IFS 2.448200 09-JAN-2034 USC Cash and/or Derivatives Swaps 1,541.46 0.00 nan -0.05 Jan 09, 2034 2.45
LCH SWP: IFS 2.372700 22-DEC-2032 USC Cash and/or Derivatives Swaps 1,512.18 0.00 nan -0.02 Dec 22, 2032 2.37
LCH SWP: IFS 2.452200 22-JAN-2036 USC Cash and/or Derivatives Swaps 1,487.91 0.00 nan -0.01 Jan 22, 2036 2.45
LCH SWP: IFS 2.391200 12-JUN-2055 USC Cash and/or Derivatives Swaps 1,434.35 0.00 nan -0.35 Jun 12, 2055 2.39
LCH SWP: IFS 2.386200 03-JAN-2054 USC Cash and/or Derivatives Swaps 1,344.09 0.00 nan -0.41 Jan 03, 2054 2.39
LCH SWP: IFS 2.388582 10-MAR-2045 USC Cash and/or Derivatives Swaps 1,312.94 0.00 nan -0.25 Mar 10, 2045 2.39
LCH SWP: IFS 2.350500 06-APR-2053 Cash and/or Derivatives Swaps 1,292.61 0.00 nan -0.71 Apr 06, 2053 2.35
LCH SWP: IFS 2.474000 07-FEB-2033 Cash and/or Derivatives Swaps 1,172.43 0.00 nan -0.08 Feb 07, 2033 2.47
LCH SWP: IFS 2.406200 04-DEC-2055 USC Cash and/or Derivatives Swaps 1,118.27 0.00 nan -0.22 Dec 04, 2055 2.41
LCH SWP: IFS 2.601250 30-SEP-2031 Cash and/or Derivatives Swaps 960.66 0.00 nan -0.38 Sep 30, 2031 2.60
LCH SWP: IFS 2.487200 17-MAY-2029 USC Cash and/or Derivatives Swaps 950.16 0.00 nan 0.00 May 17, 2029 2.49
LCH SWP: IFS 2.450000 08-FEB-2028 Cash and/or Derivatives Swaps 946.16 0.00 nan -0.03 Feb 08, 2028 2.45
LCH SWP: IFS 2.486563 12-MAR-2034 USC Cash and/or Derivatives Swaps 938.05 0.00 nan -0.03 Mar 12, 2034 2.49
LCH SWP: IFS 2.531140 05-APR-2029 USC Cash and/or Derivatives Swaps 931.19 0.00 nan 0.00 Apr 05, 2029 2.53
LCH SWP: IFS 2.500200 18-JAN-2034 USC Cash and/or Derivatives Swaps 767.01 0.00 nan -0.01 Jan 18, 2034 2.50
LCH SWP: IFS 2.405200 03-JAN-2034 USC Cash and/or Derivatives Swaps 752.38 0.00 nan -0.08 Jan 03, 2034 2.41
LCH SWP: IFS 2.394700 04-DEC-2050 USC Cash and/or Derivatives Swaps 723.12 0.00 nan -0.18 Dec 04, 2050 2.39
LCH SWP: IFS 2.355332 21-AUG-2039 USC Cash and/or Derivatives Swaps 716.42 0.00 nan -0.24 Aug 21, 2039 2.36
LCH SWP: IFS 2.332735 21-AUG-2044 USC Cash and/or Derivatives Swaps 560.25 0.00 nan -0.42 Aug 21, 2044 2.33
LCH SWP: OIS 4.152700 04-JUN-2050 SOF Cash and/or Derivatives Swaps 544.10 0.00 nan 15.16 Jun 04, 2050 4.15
LCH SWP: IFS 2.429700 28-OCT-2055 USC Cash and/or Derivatives Swaps 507.09 0.00 nan -0.12 Oct 28, 2055 2.43
LCH SWP: IFS 2.366262 27-SEP-2054 USC Cash and/or Derivatives Swaps 499.22 0.00 nan -0.50 Sep 27, 2054 2.37
LCH SWP: IFS 2.467200 12-JUN-2032 USC Cash and/or Derivatives Swaps 493.05 0.00 nan -0.01 Jun 12, 2032 2.47
LCH SWP: IFS 2.535710 13-APR-2033 Cash and/or Derivatives Swaps 469.62 0.00 nan -0.02 Apr 13, 2033 2.54
LCH SWP: IFS 2.494700 30-JAN-2034 USC Cash and/or Derivatives Swaps 427.56 0.00 nan -0.02 Jan 30, 2034 2.49
LCH SWP: IFS 2.500000 05-JAN-2033 Cash and/or Derivatives Swaps 394.95 0.00 nan -0.06 Jan 05, 2033 2.50
LCH SWP: IFS 2.396279 27-SEP-2034 USC Cash and/or Derivatives Swaps 332.05 0.00 nan -0.08 Sep 27, 2034 2.40
LCH SWP: IFS 2.514700 26-FEB-2034 USC Cash and/or Derivatives Swaps 323.07 0.00 nan -0.01 Feb 26, 2034 2.51
LCH SWP: IFS 2.457165 12-MAR-2044 USC Cash and/or Derivatives Swaps 294.64 0.00 nan -0.13 Mar 12, 2044 2.46
LCH SWP: IFS 2.470855 21-OCT-2035 USC Cash and/or Derivatives Swaps 251.05 0.00 nan 0.00 Oct 21, 2035 2.47
LCH SWP: IFS 2.333200 24-SEP-2054 USC Cash and/or Derivatives Swaps 231.95 0.00 nan -0.67 Sep 24, 2054 2.33
LCH SWP: OIS 4.199700 06-MAY-2039 SOF Cash and/or Derivatives Swaps 186.86 0.00 nan 10.19 May 06, 2039 4.20
LCH SWP: IFS 2.496700 15-MAR-2034 USC Cash and/or Derivatives Swaps 186.94 0.00 nan -0.02 Mar 15, 2034 2.50
LCH SWP: IFS 2.452200 28-JAN-2056 USC Cash and/or Derivatives Swaps 96.21 0.00 nan -0.01 Jan 28, 2056 2.45
LCH SWP: IFS 2.514200 19-MAR-2034 USC Cash and/or Derivatives Swaps 15.42 0.00 nan -0.01 Mar 19, 2034 2.51
LCH SWP: IFS 2.489912 11-JUN-2029 USC Cash and/or Derivatives Swaps -39.21 0.00 nan 0.00 Jun 11, 2029 2.49
LCH SWP: IFS 2.470641 21-OCT-2032 USC Cash and/or Derivatives Swaps -114.16 0.00 nan 0.00 Oct 21, 2032 2.47
LCH SWP: IFS 2.464200 03-NOV-2032 USC Cash and/or Derivatives Swaps -120.05 0.00 nan 0.00 Nov 03, 2032 2.46
LCH SWP: IFS 2.578700 30-OCT-2028 USC Cash and/or Derivatives Swaps -241.52 0.00 nan 0.00 Oct 30, 2028 2.58
LCH SWP: IFS 2.481700 28-OCT-2032 USC Cash and/or Derivatives Swaps -383.45 0.00 nan 0.01 Oct 28, 2032 2.48
LCH SWP: OIS 3.658200 04-JUN-2030 SOF Cash and/or Derivatives Swaps -483.27 0.00 nan 4.05 Jun 04, 2030 3.66
LCH SWP: IFS 2.544700 27-MAR-2034 USC Cash and/or Derivatives Swaps -1,372.21 0.00 nan 0.02 Mar 27, 2034 2.54
LCH SWP: IFS 2.576815 05-APR-2034 USC Cash and/or Derivatives Swaps -1,620.45 0.00 nan 0.05 Apr 05, 2034 2.58
LCH SWP: IFS 2.539968 11-JUN-2034 USC Cash and/or Derivatives Swaps -1,720.90 0.00 nan 0.05 Jun 11, 2034 2.54
LCH SWP: IFS 2.577200 22-MAY-2034 USC Cash and/or Derivatives Swaps -1,866.99 0.00 nan 0.07 May 22, 2034 2.58
LCH SWP: IFS 2.605200 28-OCT-2028 USC Cash and/or Derivatives Swaps -2,055.34 0.00 nan 0.01 Oct 28, 2028 2.61
LCH SWP: IFS 2.617279 21-OCT-2028 USC Cash and/or Derivatives Swaps -3,770.71 -0.01 nan 0.01 Oct 21, 2028 2.62
LCH SWP: IFS 2.552200 17-MAY-2034 USC Cash and/or Derivatives Swaps -5,049.10 -0.01 nan 0.05 May 17, 2034 2.55
DERIV_USD DERIV USD BALANCE WITH R93546 CME Cash and/or Derivatives Cash Collateral and Margins -60,942.85 -0.09 nan 0.00 Jan 27, 2026 3.64
DERIV_USD DERIV USD BALANCE WITH R93546 LCH Cash and/or Derivatives Cash Collateral and Margins -2,599,902.03 -3.68 nan 0.00 Jan 27, 2026 3.64
iShares Inflation Hedged Corporate Bond ETF nan nan nan nan nan nan nan nan nan
Fund Holdings as of Jan 26, 2026 nan nan nan nan nan nan nan nan
Inception Date May 08, 2018 nan nan nan nan nan nan nan nan
Shares Outstanding 2,650,000.00 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
CASH COLLATERAL USD XCITI Cash and/or Derivatives Cash Collateral and Margins 3,080,000.00 4.36 3,080,000.00 nan 4.96 3.64 0.00
BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 731,577.59 1.04 731,577.59 6922477 3.62 3.64 0.09
SWP: IFS 2.565000 02-JUN-2031 Cash and/or Derivatives Swaps 276,307.87 0.39 -2,723,692.13 nan nan 2.56 -0.53
SWP: IFS 2.240000 12-JAN-2031 Cash and/or Derivatives Swaps 268,595.44 0.38 -1,731,404.56 nan nan 2.24 -0.76
SWP: IFS 2.465500 07-APR-2031 Cash and/or Derivatives Swaps 215,074.48 0.30 -1,784,925.52 nan nan 2.47 -0.61
SWP: IFS 2.921000 21-OCT-2026 Cash and/or Derivatives Cash 169,472.58 0.24 -2,830,527.42 nan nan 2.92 -0.04
SWP: IFS 2.401000 09-FEB-2031 Cash and/or Derivatives Swaps 168,178.45 0.24 -1,271,821.55 nan nan 2.40 -0.65
ANHEUSER-BUSCH COMPANIES LLC Consumer Non-Cyclical Fixed Income 155,809.36 0.22 155,809.36 BJXS2M9 5.46 4.90 12.05
SWP: IFS 2.614500 07-JAN-2037 Cash and/or Derivatives Swaps 123,605.65 0.18 -2,926,394.35 nan nan 2.61 -0.45
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 122,274.90 0.17 122,274.90 BF4JKH4 5.94 5.05 12.43
META PLATFORMS INC Communications Fixed Income 119,488.75 0.17 119,488.75 nan 5.75 5.50 11.69
T-MOBILE USA INC Communications Fixed Income 113,594.21 0.16 113,594.21 BN0ZLW4 4.36 3.88 3.81
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 111,204.16 0.16 111,204.16 B283338 5.40 6.75 8.09
SWP: IFS 2.742500 15-SEP-2026 Cash and/or Derivatives Cash 110,001.44 0.16 -1,489,998.56 nan nan 2.74 -0.05
BANK OF AMERICA CORP MTN Banking Fixed Income 108,699.99 0.15 108,699.99 BRBCSG5 4.90 5.47 6.45
SWP: IFS 1.947500 20-AUG-2050 Cash and/or Derivatives Swaps 107,892.20 0.15 -492,107.80 nan nan 1.95 -5.28
ABBVIE INC Consumer Non-Cyclical Fixed Income 107,578.82 0.15 107,578.82 BMCF8B3 4.11 3.20 3.53
GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 106,766.47 0.15 106,766.47 nan 4.55 4.52 4.42
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 106,652.34 0.15 106,652.34 nan 5.57 5.54 11.97
BANK OF AMERICA CORP MTN Banking Fixed Income 102,288.50 0.14 102,288.50 BMDLR57 4.88 5.29 5.91
ANHEUSER-BUSCH COMPANIES LLC Consumer Non-Cyclical Fixed Income 98,414.74 0.14 98,414.74 BK5XW52 4.84 4.70 7.72
BOEING CO Capital Goods Fixed Income 96,548.36 0.14 96,548.36 BM8R6R5 5.81 5.80 12.76
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 94,661.84 0.13 94,661.84 BQ66T84 5.59 5.30 13.94
WELLS FARGO & COMPANY MTN Banking Fixed Income 94,628.27 0.13 94,628.27 BMFVFL7 5.64 5.01 13.30
JPMORGAN CHASE & CO Banking Fixed Income 92,526.91 0.13 92,526.91 BRBH8L5 4.83 5.35 6.01
USD CASH Cash and/or Derivatives Cash 92,483.81 0.13 92,483.81 nan 3.64 0.00 0.00
AT&T INC Communications Fixed Income 91,828.70 0.13 91,828.70 BNSLTY2 5.90 3.55 15.20
AT&T INC Communications Fixed Income 91,425.88 0.13 91,425.88 BNTFQF3 5.89 3.50 14.89
WELLS FARGO & COMPANY MTN Banking Fixed Income 90,949.22 0.13 90,949.22 BLD7GV7 4.75 3.35 5.34
META PLATFORMS INC Communications Fixed Income 90,459.12 0.13 90,459.12 nan 6.03 5.75 14.94
ABBVIE INC Consumer Non-Cyclical Fixed Income 88,122.79 0.12 88,122.79 BJDRSH3 5.46 4.25 13.84
META PLATFORMS INC Communications Fixed Income 86,605.51 0.12 86,605.51 nan 5.91 5.63 13.89
JPMORGAN CHASE & CO Banking Fixed Income 85,987.86 0.12 85,987.86 BN101H3 4.76 4.91 5.52
SWP: IFS 2.446000 29-JUN-2041 Cash and/or Derivatives Swaps 85,026.86 0.12 -914,973.14 nan nan 2.45 -1.40
AT&T INC Communications Fixed Income 82,939.88 0.12 82,939.88 BNYDH60 5.95 3.65 15.62
SWP: IFS 1.833750 18-OCT-2049 Cash and/or Derivatives Swaps 80,577.76 0.11 -337,422.24 nan nan 1.83 -5.55
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 79,186.98 0.11 79,186.98 BJ520Z8 5.50 5.55 12.93
WELLS FARGO & COMPANY MTN Banking Fixed Income 78,905.01 0.11 78,905.01 BN101G2 4.81 4.90 5.52
BANK OF AMERICA CORP MTN Banking Fixed Income 78,851.30 0.11 78,851.30 BLD6SH4 5.54 4.08 13.93
JPMORGAN CHASE & CO Banking Fixed Income 78,441.77 0.11 78,441.77 BMGS2T4 4.49 1.95 4.64
AT&T INC Communications Fixed Income 78,079.23 0.11 78,079.23 BNYDPS8 5.94 3.80 15.45
CITIGROUP INC Banking Fixed Income 77,172.90 0.11 77,172.90 BMWJ0T7 4.73 2.57 4.02
JPMORGAN CHASE & CO Banking Fixed Income 77,025.20 0.11 77,025.20 BKVKP92 4.53 2.58 4.77
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 76,857.36 0.11 76,857.36 BF4JK96 5.40 4.78 8.88
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 75,870.46 0.11 75,870.46 BN95VC5 4.74 3.10 5.35
BANK OF AMERICA CORP MTN Banking Fixed Income 75,863.74 0.11 75,863.74 BM92KT9 4.79 4.57 5.32
MICROSOFT CORPORATION Technology Fixed Income 75,628.77 0.11 75,628.77 BMFPJG2 5.33 2.92 15.75
SWP: IFS 1.896250 20-AUG-2030 Cash and/or Derivatives Swaps 75,327.07 0.11 -344,672.93 nan nan 1.90 -0.98
BANK OF AMERICA CORP MTN Banking Fixed Income 75,011.12 0.11 75,011.12 BNNJDR2 4.89 5.87 6.05
CITIGROUP INC Banking Fixed Income 74,044.36 0.10 74,044.36 BKPBQW1 4.65 2.56 4.79
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 73,943.65 0.10 73,943.65 BQ66TB7 5.71 5.34 15.38
JPMORGAN CHASE & CO Banking Fixed Income 73,910.08 0.10 73,910.08 nan 4.58 2.54 5.24
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 73,701.96 0.10 73,701.96 nan 5.06 4.94 7.54
WELLS FARGO & COMPANY MTN Banking Fixed Income 72,835.91 0.10 72,835.91 BJJRN16 4.89 5.39 5.90
VERIZON COMMUNICATIONS INC Communications Fixed Income 72,614.36 0.10 72,614.36 nan 5.11 5.00 7.70
BROADCOM INC Technology Fixed Income 72,258.54 0.10 72,258.54 BTMP748 4.80 3.47 6.92
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 72,171.26 0.10 72,171.26 BNW0354 4.66 2.38 5.03
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 71,244.78 0.10 71,244.78 nan 5.05 5.07 7.76
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 70,962.81 0.10 70,962.81 BQ66T62 4.58 4.75 6.08
VERIZON COMMUNICATIONS INC Communications Fixed Income 70,828.54 0.10 70,828.54 BMV8VC5 4.63 2.36 5.53
JPMORGAN CHASE & CO Banking Fixed Income 70,271.31 0.10 70,271.31 nan 4.96 5.57 7.12
BANK OF AMERICA CORP MTN Banking Fixed Income 70,224.31 0.10 70,224.31 nan 4.94 5.51 7.08
MORGAN STANLEY MTN Banking Fixed Income 69,076.29 0.10 69,076.29 BH3T5Q3 4.51 2.70 3.71
SWP: IFS 2.408000 30-JUL-2051 Cash and/or Derivatives Swaps 68,972.40 0.10 -931,027.60 nan nan 2.41 -1.85
BANK OF AMERICA CORP MTN Banking Fixed Income 68,680.19 0.10 68,680.19 BMYXXT8 5.33 2.68 11.22
WELLS FARGO & COMPANY MTN Banking Fixed Income 67,948.40 0.10 67,948.40 nan 4.56 5.15 3.74
AMGEN INC Consumer Non-Cyclical Fixed Income 67,800.70 0.10 67,800.70 BMTY5X4 5.70 5.65 13.44
JPMORGAN CHASE & CO Banking Fixed Income 67,404.60 0.10 67,404.60 nan 4.94 4.81 7.59
MORGAN STANLEY PRIVATE BANK NA Banking Fixed Income 67,330.75 0.10 67,330.75 nan 4.52 4.46 4.25
SWP: IFS 2.659000 01-OCT-2028 Cash and/or Derivatives Swaps 66,192.65 0.09 -933,807.35 nan nan 2.66 -0.19
META PLATFORMS INC Communications Fixed Income 65,739.63 0.09 65,739.63 BSLN7J1 4.99 4.88 7.62
MICROSOFT CORPORATION Technology Fixed Income 65,296.53 0.09 65,296.53 BM9DJ73 5.36 2.52 15.83
JPMORGAN CHASE & CO Banking Fixed Income 65,229.39 0.09 65,229.39 nan 4.86 5.77 6.48
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 65,195.82 0.09 65,195.82 BSF0602 4.99 5.02 6.92
BANK OF AMERICA CORP MTN Banking Fixed Income 64,933.99 0.09 64,933.99 BPNYGN8 4.83 5.01 5.49
SWP: IFS 1.889000 20-AUG-2030 Cash and/or Derivatives Swaps 64,829.01 0.09 -295,170.99 nan nan 1.89 -0.98
MORGAN STANLEY PRIVATE BANK NA Banking Fixed Income 64,752.73 0.09 64,752.73 nan 4.50 4.73 4.00
BANK OF AMERICA CORP Banking Fixed Income 64,215.64 0.09 64,215.64 BNZKS67 4.58 2.30 5.05
SWP: IFS 2.964500 26-OCT-2028 Cash and/or Derivatives Swaps 63,998.40 0.09 -1,436,001.60 nan nan 2.96 -0.12
CITIGROUP INC (FX-FRN) Banking Fixed Income 63,826.25 0.09 63,826.25 nan 4.84 3.79 5.31
MORGAN STANLEY MTN Banking Fixed Income 63,624.84 0.09 63,624.84 BNZKG63 4.63 2.24 5.05
WELLS FARGO & COMPANY (FXD-FRN) MTN Banking Fixed Income 63,134.75 0.09 63,134.75 nan 5.45 5.43 12.06
ORACLE CORPORATION Technology Fixed Income 62,718.50 0.09 62,718.50 nan 5.96 5.20 7.30
BANK OF AMERICA CORP MTN Banking Fixed Income 62,611.09 0.09 62,611.09 nan 4.60 2.57 5.18
MORGAN STANLEY MTN Banking Fixed Income 62,416.39 0.09 62,416.39 nan 5.02 4.89 7.56
WELLS FARGO & COMPANY MTN Banking Fixed Income 62,355.97 0.09 62,355.97 BNFZXQ7 4.90 5.56 6.12
MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 61,624.19 0.09 61,624.19 nan 4.54 4.36 4.19
GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 61,429.49 0.09 61,429.49 nan 4.57 4.37 4.18
BOEING CO Capital Goods Fixed Income 61,181.09 0.09 61,181.09 nan 4.48 5.15 3.76
BANK OF AMERICA CORP MTN Banking Fixed Income 61,107.24 0.09 61,107.24 nan 4.43 2.50 3.74
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 60,993.11 0.09 60,993.11 nan 4.67 2.65 5.17
APPLE INC Technology Fixed Income 60,630.57 0.09 60,630.57 BYN2GF7 5.27 4.65 12.36
ABBVIE INC Consumer Non-Cyclical Fixed Income 60,603.72 0.09 60,603.72 BJDRSG2 5.12 4.05 10.16
WELLS FARGO & COMPANY Banking Fixed Income 60,006.21 0.08 60,006.21 BLB0XT5 4.96 6.49 6.05
WELLS FARGO & COMPANY MTN Banking Fixed Income 59,851.79 0.08 59,851.79 BQWR464 4.95 5.50 6.45
VERIZON COMMUNICATIONS INC Communications Fixed Income 59,791.37 0.08 59,791.37 BNGDW29 5.66 3.55 14.50
WELLS FARGO & COMPANY (FXD-FRN) MTN Banking Fixed Income 59,549.68 0.08 59,549.68 nan 4.97 4.96 7.79
WELLS FARGO & COMPANY MTN Banking Fixed Income 59,133.44 0.08 59,133.44 nan 4.44 2.88 3.48
WELLS FARGO & COMPANY FX-FRN MTN Banking Fixed Income 58,945.46 0.08 58,945.46 BP6P605 5.56 4.61 14.10
MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 57,978.70 0.08 57,978.70 nan 4.91 6.34 5.42
JPMORGAN CHASE & CO Banking Fixed Income 57,931.70 0.08 57,931.70 BLGSH92 4.62 2.96 5.39
AMAZON.COM INC Consumer Cyclical Fixed Income 57,911.56 0.08 57,911.56 nan 4.12 4.10 4.30
ORACLE CORPORATION Technology Fixed Income 57,891.42 0.08 57,891.42 BMD7RW2 5.09 2.95 3.82
AMAZON.COM INC Consumer Cyclical Fixed Income 57,690.01 0.08 57,690.01 nan 5.54 5.45 14.42
ORACLE CORPORATION Technology Fixed Income 57,549.03 0.08 57,549.03 nan 5.48 4.80 5.52
COMCAST CORPORATION Communications Fixed Income 57,515.46 0.08 57,515.46 BQ7XJ28 5.99 2.94 16.09
BANK OF AMERICA CORP MTN Banking Fixed Income 57,354.33 0.08 57,354.33 BM96PS5 4.68 2.97 5.32
CITIGROUP INC Banking Fixed Income 56,964.94 0.08 56,964.94 nan 4.49 4.54 3.28
BROADCOM INC 144A Technology Fixed Income 56,884.38 0.08 56,884.38 nan 4.94 3.14 8.13
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 56,870.95 0.08 56,870.95 nan 5.52 5.56 11.48
AMAZON.COM INC Consumer Cyclical Fixed Income 56,783.68 0.08 56,783.68 nan 4.74 4.65 7.73
DEUTSCHE TELEKOM INTERNATIONAL FIN Communications Fixed Income 56,219.73 0.08 56,219.73 4081788 4.53 8.75 3.68
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 56,098.89 0.08 56,098.89 BK5CT14 4.12 3.50 3.06
BOEING CO Capital Goods Fixed Income 55,944.48 0.08 55,944.48 BM8R6Q4 5.91 5.93 14.42
META PLATFORMS INC Communications Fixed Income 55,931.05 0.08 55,931.05 nan 4.24 4.20 4.27
COMCAST CORPORATION Communications Fixed Income 55,830.34 0.08 55,830.34 BQ7XHB3 5.97 2.89 15.17
ORACLE CORPORATION Technology Fixed Income 55,232.83 0.08 55,232.83 BMD7RQ6 6.82 3.60 13.27
JPMORGAN CHASE & CO Banking Fixed Income 55,226.12 0.08 55,226.12 BD0G1Q1 5.42 3.96 13.81
JPMORGAN CHASE & CO Banking Fixed Income 55,085.13 0.08 55,085.13 BLB0WL0 4.84 6.25 6.10
MORGAN STANLEY MTN Banking Fixed Income 54,836.73 0.08 54,836.73 BSF0594 4.43 4.65 3.35
ALPHABET INC Technology Fixed Income 54,219.08 0.08 54,219.08 nan 4.73 4.70 7.70
BOEING CO Capital Goods Fixed Income 53,863.26 0.08 53,863.26 BRRG861 5.83 6.86 13.17
ORACLE CORPORATION Technology Fixed Income 53,621.57 0.08 53,621.57 nan 5.09 4.45 4.09
BANK OF AMERICA CORP MTN Banking Fixed Income 53,567.86 0.08 53,567.86 BN2R5L5 4.59 2.69 4.76
CITIGROUP INC (FXD-FRN) Banking Fixed Income 53,306.03 0.08 53,306.03 nan 4.57 4.50 4.06
MORGAN STANLEY MTN Banking Fixed Income 53,225.47 0.08 53,225.47 nan 4.97 5.59 7.04
CITIGROUP INC Banking Fixed Income 52,916.64 0.07 52,916.64 BMH3V24 5.02 4.41 3.71
AMGEN INC Consumer Non-Cyclical Fixed Income 52,836.08 0.07 52,836.08 BDRVZ12 5.65 4.66 13.87
BROADCOM INC Technology Fixed Income 52,715.23 0.07 52,715.23 BW5T4Z8 4.39 2.45 4.61
SWP: IFS 2.470000 09-DEC-2046 Cash and/or Derivatives Swaps 52,667.98 0.07 -947,332.02 nan nan 2.47 -1.14
BROADCOM INC Technology Fixed Income 52,547.39 0.07 52,547.39 BTMP737 4.67 3.42 6.21
APPLE INC Technology Fixed Income 52,251.99 0.07 52,251.99 B8HTMS7 5.18 3.85 11.89
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 52,218.42 0.07 52,218.42 BN11JM7 4.59 1.99 4.61
CITIGROUP INC Banking Fixed Income 52,198.28 0.07 52,198.28 nan 5.08 5.17 7.38
CITIGROUP INC Banking Fixed Income 52,010.30 0.07 52,010.30 BK82405 4.53 2.98 3.49
BROADCOM INC Technology Fixed Income 51,929.74 0.07 51,929.74 2N3CFX0 4.60 2.60 6.22
CITIGROUP INC Banking Fixed Income 51,916.31 0.07 51,916.31 BJN59J6 4.89 6.27 5.51
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 51,882.74 0.07 51,882.74 BYQ7R23 7.11 6.48 10.54
MORGAN STANLEY MTN Banking Fixed Income 51,735.04 0.07 51,735.04 BN7CG34 4.56 1.79 4.68
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 51,594.06 0.07 51,594.06 nan 5.58 5.73 13.83
ORACLE CORPORATION Technology Fixed Income 51,439.65 0.07 51,439.65 nan 6.94 5.95 12.58
ALPHABET INC Technology Fixed Income 51,258.38 0.07 51,258.38 nan 5.52 5.45 14.40
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 51,150.96 0.07 51,150.96 B8J6DZ0 5.31 4.50 11.12
BANK OF AMERICA CORP MTN Banking Fixed Income 50,828.71 0.07 50,828.71 nan 4.47 2.88 3.46
MORGAN STANLEY MTN Banking Fixed Income 50,808.57 0.07 50,808.57 nan 5.52 5.52 14.21
JPMORGAN CHASE & CO Banking Fixed Income 50,607.16 0.07 50,607.16 BP5DT34 4.38 5.00 3.18
BANK OF AMERICA CORP Banking Fixed Income 50,493.03 0.07 50,493.03 BMYDPJ2 5.35 3.31 11.19
BANK OF AMERICA CORP MTN Banking Fixed Income 50,466.17 0.07 50,466.17 nan 4.64 2.59 3.94
MORGAN STANLEY MTN Banking Fixed Income 50,345.33 0.07 50,345.33 BRC15R1 4.94 5.32 6.79
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 50,224.48 0.07 50,224.48 B7FFL50 4.92 6.45 8.21
JPMORGAN CHASE & CO (FXD-FRN) Banking Fixed Income 50,211.06 0.07 50,211.06 nan 4.43 4.25 4.20
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 49,976.08 0.07 49,976.08 BRC1656 5.00 5.33 6.79
META PLATFORMS INC Communications Fixed Income 49,781.39 0.07 49,781.39 BT3NFK3 6.03 5.55 14.71
BANK OF AMERICA CORP Banking Fixed Income 49,324.86 0.07 49,324.86 nan 4.40 3.19 3.25
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 49,251.01 0.07 49,251.01 B920YP3 5.30 6.25 9.67
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 49,022.75 0.07 49,022.75 nan 4.40 2.13 4.16
VERIZON COMMUNICATIONS INC Communications Fixed Income 48,995.89 0.07 48,995.89 nan 5.73 5.75 11.64
JPMORGAN CHASE & CO Banking Fixed Income 48,955.61 0.07 48,955.61 BS55CQ5 4.86 4.95 6.95
AMGEN INC Consumer Non-Cyclical Fixed Income 48,895.19 0.07 48,895.19 BMTY608 4.64 5.25 5.79
MORGAN STANLEY MTN Banking Fixed Income 48,895.19 0.07 48,895.19 nan 5.04 5.66 7.08
SWP: IFS 2.582000 05-JAN-2042 Cash and/or Derivatives Swaps 48,701.78 0.07 -1,286,298.22 nan nan 2.58 -0.59
CITIGROUP INC Banking Fixed Income 48,687.07 0.07 48,687.07 nan 4.41 5.17 2.74
JPMORGAN CHASE & CO Banking Fixed Income 48,653.50 0.07 48,653.50 nan 4.59 2.52 3.92
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 48,438.66 0.07 48,438.66 BQ66T73 5.39 5.11 11.18
CITIGROUP INC Banking Fixed Income 48,331.25 0.07 48,331.25 BLGSHB4 4.77 3.06 5.37
SWP: IFS 2.673000 19-MAY-2031 Cash and/or Derivatives Swaps 47,988.29 0.07 -532,011.71 nan nan 2.67 -0.47
HSBC HOLDINGS PLC Banking Fixed Income 47,941.86 0.07 47,941.86 nan 4.74 2.36 4.19
MORGAN STANLEY MTN Banking Fixed Income 47,760.59 0.07 47,760.59 nan 4.93 5.83 6.46
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 47,733.74 0.07 47,733.74 BRC1645 4.47 5.05 3.17
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 47,720.31 0.07 47,720.31 BPK6XT2 5.62 5.55 13.75
AMAZON.COM INC Consumer Cyclical Fixed Income 47,673.31 0.07 47,673.31 nan 5.65 5.55 15.66
T-MOBILE USA INC Communications Fixed Income 47,653.17 0.07 47,653.17 BN0ZMM1 5.80 4.50 13.44
BANK OF AMERICA CORP MTN Banking Fixed Income 47,545.76 0.07 47,545.76 nan 4.56 1.90 4.22
ABBVIE INC Consumer Non-Cyclical Fixed Income 47,391.34 0.07 47,391.34 BCZM189 5.31 4.40 11.32
JPMORGAN CHASE & CO Banking Fixed Income 47,055.66 0.07 47,055.66 BMCPMR7 5.40 3.33 15.03
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 47,035.52 0.07 47,035.52 BLNNX58 4.27 3.80 3.73
MORGAN STANLEY MTN Banking Fixed Income 46,934.82 0.07 46,934.82 BMDLPL9 4.86 5.25 5.91
CITIGROUP INC Banking Fixed Income 46,746.84 0.07 46,746.84 BRDZWR1 4.95 5.45 6.66
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 46,726.70 0.07 46,726.70 nan 4.62 5.22 3.73
AMGEN INC Consumer Non-Cyclical Fixed Income 46,438.01 0.07 46,438.01 BMTY619 5.81 5.75 14.83
JPMORGAN CHASE & CO Banking Fixed Income 46,397.73 0.07 46,397.73 BSWWSY9 4.88 5.29 6.80
BANK OF AMERICA CORP MTN Banking Fixed Income 46,384.30 0.07 46,384.30 nan 4.54 1.92 4.42
HOME DEPOT INC Consumer Cyclical Fixed Income 46,243.32 0.07 46,243.32 B1L80H6 4.88 5.88 8.07
SWP: IFS 2.402000 29-JUN-2041 Cash and/or Derivatives Swaps 46,169.61 0.07 -453,830.39 nan nan 2.40 -1.54
META PLATFORMS INC Communications Fixed Income 46,095.62 0.07 46,095.62 BT3NPB4 5.90 5.40 13.62
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 46,095.62 0.07 46,095.62 nan 4.30 2.60 3.72
MORGAN STANLEY Banking Fixed Income 45,941.20 0.07 45,941.20 BVJXZY5 5.37 4.30 12.08
BOEING CO Capital Goods Fixed Income 45,927.78 0.07 45,927.78 BM8XFQ5 5.40 5.71 9.63
HSBC HOLDINGS PLC Banking Fixed Income 45,827.07 0.06 45,827.07 BPH14Q4 5.43 6.33 10.51
FISERV INC Technology Fixed Income 45,793.50 0.06 45,793.50 BKF0BQ7 4.48 3.50 3.18
MORGAN STANLEY MTN Banking Fixed Income 45,793.50 0.06 45,793.50 BNKDZF9 4.63 2.51 5.19
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 45,679.37 0.06 45,679.37 BNVW1V3 4.77 3.30 5.26
CITIGROUP INC Banking Fixed Income 45,612.24 0.06 45,612.24 B3Q88R1 5.22 8.13 8.80
META PLATFORMS INC Communications Fixed Income 45,538.39 0.06 45,538.39 nan 4.58 4.60 5.73
ALPHABET INC Technology Fixed Income 45,430.97 0.06 45,430.97 nan 5.39 5.35 11.96
BROADCOM INC Technology Fixed Income 45,155.71 0.06 45,155.71 BKPVKP2 4.35 4.15 4.27
VERIZON COMMUNICATIONS INC Communications Fixed Income 44,887.17 0.06 44,887.17 BNGDVZ5 5.54 3.40 10.99
ALPHABET INC Technology Fixed Income 44,880.45 0.06 44,880.45 nan 4.12 4.10 4.28
PFIZER INC Consumer Non-Cyclical Fixed Income 44,880.45 0.06 44,880.45 B65HZL3 5.11 7.20 8.71
JPMORGAN CHASE & CO Banking Fixed Income 44,853.60 0.06 44,853.60 BS55D06 4.34 4.60 3.37
HSBC HOLDINGS PLC Banking Fixed Income 44,611.91 0.06 44,611.91 nan 5.00 5.40 5.35
SHELL FINANCE US INC Energy Fixed Income 44,222.52 0.06 44,222.52 nan 5.48 4.38 12.26
NATWEST GROUP PLC Banking Fixed Income 44,195.67 0.06 44,195.67 nan 4.45 4.96 3.16
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 44,135.24 0.06 44,135.24 BMW2G98 5.60 4.25 13.67
MORGAN STANLEY MTN Banking Fixed Income 44,021.11 0.06 44,021.11 BNTDVT6 4.87 5.42 6.13
MORGAN STANLEY (FXD-FRN) MTN Banking Fixed Income 44,014.40 0.06 44,014.40 nan 4.55 4.49 4.40
JPMORGAN CHASE & CO Banking Fixed Income 43,906.98 0.06 43,906.98 BK5W969 4.45 2.74 3.45
CITIGROUP INC Banking Fixed Income 43,759.28 0.06 43,759.28 nan 4.67 2.52 5.22
COMCAST CORPORATION Communications Fixed Income 43,732.43 0.06 43,732.43 BQB4RF6 5.99 2.99 16.80
CITIGROUP INC Banking Fixed Income 43,598.15 0.06 43,598.15 nan 4.52 2.67 3.69
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 43,557.87 0.06 43,557.87 BYPFC45 5.91 5.13 11.82
MORGAN STANLEY MTN Banking Fixed Income 43,524.31 0.06 43,524.31 BZ9P947 5.05 3.97 9.56
ORACLE CORPORATION Technology Fixed Income 43,477.31 0.06 43,477.31 BLGXM69 7.07 6.90 11.83
HSBC HOLDINGS PLC MTN Banking Fixed Income 43,296.04 0.06 43,296.04 nan 5.07 5.13 7.54
CIGNA GROUP Consumer Non-Cyclical Fixed Income 43,249.05 0.06 43,249.05 BKPHS34 5.70 4.90 13.03
CITIGROUP INC Banking Fixed Income 43,215.48 0.06 43,215.48 BJ9N143 4.56 3.98 3.73
UNITEDHEALTH GROUP INC Insurance Fixed Income 43,188.62 0.06 43,188.62 BPDY7Z7 5.68 5.63 14.04
BANK OF AMERICA CORP MTN Banking Fixed Income 43,168.48 0.06 43,168.48 nan 4.96 5.46 7.19
HCA INC Consumer Non-Cyclical Fixed Income 43,155.06 0.06 43,155.06 BLF2KK7 4.48 3.50 4.12
JPMORGAN CHASE & CO Banking Fixed Income 43,141.63 0.06 43,141.63 nan 4.93 4.90 7.82
HSBC HOLDINGS PLC Banking Fixed Income 43,027.50 0.06 43,027.50 BMXNKF4 4.79 2.85 4.00
CENTENE CORPORATION Insurance Fixed Income 42,946.94 0.06 42,946.94 nan 5.35 4.63 3.49
BROADCOM INC Technology Fixed Income 42,503.84 0.06 42,503.84 BV8CPD2 4.95 4.80 7.76
ALPHABET INC Technology Fixed Income 42,476.98 0.06 42,476.98 nan 5.73 5.70 16.21
BROADCOM INC Technology Fixed Income 42,309.14 0.06 42,309.14 nan 4.89 5.20 7.43
MORGAN STANLEY MTN Banking Fixed Income 42,302.43 0.06 42,302.43 BLDCKK9 4.45 5.66 2.89
MICROSOFT CORPORATION Technology Fixed Income 42,195.01 0.06 42,195.01 BM9GFY1 5.37 2.67 17.99
ORACLE CORPORATION Technology Fixed Income 42,087.59 0.06 42,087.59 nan 6.86 5.88 10.83
AT&T INC Communications Fixed Income 42,013.74 0.06 42,013.74 nan 4.88 5.40 6.36
MORGAN STANLEY MTN Banking Fixed Income 41,986.89 0.06 41,986.89 nan 4.79 4.89 5.51
MORGAN STANLEY MTN Banking Fixed Income 41,980.18 0.06 41,980.18 nan 4.89 6.63 6.06
JPMORGAN CHASE & CO Banking Fixed Income 41,939.89 0.06 41,939.89 BQWR431 4.86 5.34 6.48
CITIGROUP INC Banking Fixed Income 41,933.18 0.06 41,933.18 BPCTMM5 4.87 4.91 5.35
EXXON MOBIL CORP Energy Fixed Income 41,926.47 0.06 41,926.47 BL68H70 5.48 4.33 13.74
GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 41,825.76 0.06 41,825.76 B2RDM21 5.00 6.38 8.63
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 41,825.76 0.06 41,825.76 BMTC6G8 6.08 4.95 13.15
ABBVIE INC Consumer Non-Cyclical Fixed Income 41,691.49 0.06 41,691.49 BQC4XR9 5.52 5.40 13.98
AMAZON.COM INC Consumer Cyclical Fixed Income 41,597.50 0.06 41,597.50 BN45045 5.47 3.10 15.27
CITIBANK NA Banking Fixed Income 41,584.07 0.06 41,584.07 BRJNSN7 4.75 5.57 6.54
AT&T INC Communications Fixed Income 41,510.22 0.06 41,510.22 BSD2RF2 5.06 4.90 7.54
WELLS FARGO & COMPANY MTN Banking Fixed Income 41,503.51 0.06 41,503.51 nan 4.98 5.21 6.99
HSBC HOLDINGS PLC Banking Fixed Income 41,449.80 0.06 41,449.80 BK81093 4.94 6.25 5.65
HSBC HOLDINGS PLC Banking Fixed Income 41,409.52 0.06 41,409.52 nan 4.34 4.95 3.69
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 41,375.95 0.06 41,375.95 BD7YG30 5.83 4.38 12.47
PAYCHEX INC Technology Fixed Income 41,362.52 0.06 41,362.52 nan 4.39 5.10 3.72
VISA INC Technology Fixed Income 41,355.81 0.06 41,355.81 BYPHFN1 5.32 4.30 12.66
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 41,140.98 0.06 41,140.98 2KLTYQ8 4.65 5.91 5.57
SWP: OIS 2.933500 06-DEC-2052 Cash and/or Derivatives Swaps 41,089.53 0.06 -158,910.47 nan -0.46 2.93 17.24
ROGERS COMMUNICATIONS INC Communications Fixed Income 41,033.56 0.06 41,033.56 nan 4.85 3.80 5.30
META PLATFORMS INC Communications Fixed Income 40,966.42 0.06 40,966.42 BMGK096 5.84 4.45 13.85
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 40,885.86 0.06 40,885.86 BPLHQR3 5.47 3.25 5.26
AMAZON.COM INC Consumer Cyclical Fixed Income 40,818.72 0.06 40,818.72 nan 4.22 3.60 5.44
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 40,758.30 0.06 40,758.30 BFY97C8 5.68 4.25 13.52
JPMORGAN CHASE & CO Banking Fixed Income 40,677.74 0.06 40,677.74 nan 5.37 5.53 11.59
UNITEDHEALTH GROUP INC Insurance Fixed Income 40,637.45 0.06 40,637.45 BPDY843 4.76 5.15 6.82
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 40,577.03 0.06 40,577.03 BJ2W9Y3 5.86 5.95 12.20
WELLS FARGO & COMPANY MTN Banking Fixed Income 40,523.32 0.06 40,523.32 nan 4.41 5.24 3.58
AMAZON.COM INC Consumer Cyclical Fixed Income 40,496.47 0.06 40,496.47 nan 4.43 4.35 6.04
META PLATFORMS INC Communications Fixed Income 40,422.62 0.06 40,422.62 BQPF8B8 5.90 5.60 13.48
VERIZON COMMUNICATIONS INC Communications Fixed Income 40,375.62 0.06 40,375.62 BMWBBL2 5.73 2.88 15.18
ORANGE SA Communications Fixed Income 40,180.93 0.06 40,180.93 7310155 4.60 8.50 4.07
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 40,080.23 0.06 40,080.23 BNC3CS9 5.46 3.85 14.65
BRITISH TELECOMMUNICATIONS PLC Communications Fixed Income 40,019.80 0.06 40,019.80 B23XQ67 4.66 9.63 3.98
MORGAN STANLEY MTN Banking Fixed Income 39,885.53 0.06 39,885.53 nan 4.59 1.93 4.86
VERIZON COMMUNICATIONS INC Communications Fixed Income 39,677.41 0.06 39,677.41 BXVMD62 5.75 4.86 12.12
BOEING CO Capital Goods Fixed Income 39,643.84 0.06 39,643.84 nan 4.92 6.53 6.37
META PLATFORMS INC Communications Fixed Income 39,637.13 0.06 39,637.13 BT3NFJ2 4.74 4.75 6.82
JPMORGAN CHASE & CO Banking Fixed Income 39,583.42 0.06 39,583.42 nan 4.67 4.59 5.32
BANCO SANTANDER SA Banking Fixed Income 39,556.56 0.06 39,556.56 nan 4.47 5.44 4.71
WELLS FARGO & COMPANY MTN Banking Fixed Income 39,502.86 0.06 39,502.86 nan 5.11 5.61 7.10
WELLS FARGO & COMPANY MTN Banking Fixed Income 39,502.86 0.06 39,502.86 nan 8.16 4.89 7.51
JPMORGAN CHASE & CO Banking Fixed Income 39,435.72 0.06 39,435.72 B39F3N0 4.97 6.40 8.63
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 39,355.16 0.06 39,355.16 BMTC6J1 4.65 4.55 3.96
JPMORGAN CHASE & CO Banking Fixed Income 39,059.76 0.06 39,059.76 BJMSTK7 4.43 3.70 3.87
BANK OF AMERICA CORP Banking Fixed Income 39,012.76 0.06 39,012.76 nan 4.56 2.65 4.65
WELLS FARGO & COMPANY Banking Fixed Income 38,972.48 0.06 38,972.48 BJTGHH7 5.61 5.61 11.21
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 38,952.34 0.06 38,952.34 nan 4.64 5.20 6.43
TELEFONICA EMISIONES SAU Communications Fixed Income 38,865.06 0.06 38,865.06 B170DG6 5.50 7.04 7.47
WALT DISNEY CO Communications Fixed Income 38,757.65 0.05 38,757.65 BJQX577 4.55 6.20 6.89
CITIGROUP INC Banking Fixed Income 38,750.93 0.05 38,750.93 nan 5.57 5.61 14.00
ONEOK INC Energy Fixed Income 38,495.81 0.05 38,495.81 BMZ6BW5 6.16 6.63 12.69
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 38,455.53 0.05 38,455.53 BK8VN61 5.60 6.45 7.58
DELL INTERNATIONAL LLC Technology Fixed Income 38,173.56 0.05 38,173.56 nan 4.81 4.75 5.59
CISCO SYSTEMS INC Technology Fixed Income 38,119.85 0.05 38,119.85 BMG7QR7 5.52 5.30 13.99
BROADCOM INC Technology Fixed Income 38,106.43 0.05 38,106.43 2N1CFV0 5.29 3.50 10.91
VERIZON COMMUNICATIONS INC Communications Fixed Income 38,106.43 0.05 38,106.43 BN2RDG6 5.01 4.78 7.10
AT&T INC Communications Fixed Income 38,093.00 0.05 38,093.00 nan 4.84 2.55 6.89
ORACLE CORPORATION Technology Fixed Income 38,086.28 0.05 38,086.28 BYVGRZ8 6.82 4.00 12.27
MORGAN STANLEY Banking Fixed Income 37,985.58 0.05 37,985.58 BYM4WR8 5.40 4.38 13.02
WELLS FARGO & COMPANY MTN Banking Fixed Income 37,931.87 0.05 37,931.87 nan 5.38 3.07 10.84
AT&T INC Communications Fixed Income 37,911.73 0.05 37,911.73 BMHWV76 5.85 3.65 14.43
TELEFONICA EMISIONES SAU Communications Fixed Income 37,911.73 0.05 37,911.73 BF04KW8 6.09 5.21 11.92
CITIGROUP INC Banking Fixed Income 37,871.45 0.05 37,871.45 nan 5.04 5.33 7.09
LLOYDS BANKING GROUP PLC Banking Fixed Income 37,864.74 0.05 37,864.74 nan 4.95 5.68 6.37
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 37,824.45 0.05 37,824.45 BYQHX58 5.37 4.90 12.59
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 37,804.31 0.05 37,804.31 BR3V7M9 4.68 5.77 5.73
UNITEDHEALTH GROUP INC Insurance Fixed Income 37,743.89 0.05 37,743.89 BLBRZR8 5.69 5.88 13.30
VERIZON COMMUNICATIONS INC Communications Fixed Income 37,703.61 0.05 37,703.61 nan 5.99 6.00 14.94
VERIZON COMMUNICATIONS INC Communications Fixed Income 37,616.33 0.05 37,616.33 nan 5.87 5.88 13.87
CISCO SYSTEMS INC Technology Fixed Income 37,515.63 0.05 37,515.63 B4YDXD6 5.06 5.90 8.99
KROGER CO Consumer Non-Cyclical Fixed Income 37,515.63 0.05 37,515.63 nan 4.93 5.00 6.83
ORACLE CORPORATION Technology Fixed Income 37,482.06 0.05 37,482.06 nan 5.25 2.88 4.64
BROADCOM INC Technology Fixed Income 37,448.49 0.05 37,448.49 BRSF3Y0 4.80 4.80 6.96
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 37,401.50 0.05 37,401.50 nan 4.25 4.88 3.66
HSBC HOLDINGS PLC FXD-TO-FLT Banking Fixed Income 37,388.07 0.05 37,388.07 nan 4.46 5.29 3.40
ORACLE CORPORATION Technology Fixed Income 37,334.36 0.05 37,334.36 BWTM367 5.94 3.90 7.46
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 37,307.51 0.05 37,307.51 BYMYP35 5.45 4.75 12.22
T-MOBILE USA INC Communications Fixed Income 37,294.08 0.05 37,294.08 BKP78R8 4.25 3.38 2.98
ORACLE CORPORATION Technology Fixed Income 37,267.22 0.05 37,267.22 BM5M639 6.84 3.85 14.30
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 37,206.80 0.05 37,206.80 BMCLD16 4.95 6.88 5.99
META PLATFORMS INC Communications Fixed Income 37,106.10 0.05 37,106.10 BMGK052 4.47 3.85 5.61
JPMORGAN CHASE & CO Banking Fixed Income 37,072.53 0.05 37,072.53 BF348B0 5.06 3.88 9.01
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 37,065.82 0.05 37,065.82 nan 4.49 4.60 5.93
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 37,052.39 0.05 37,052.39 nan 4.41 5.73 2.91
CITIGROUP INC Banking Fixed Income 36,931.54 0.05 36,931.54 BD366H4 5.51 4.65 13.27
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 36,844.27 0.05 36,844.27 nan 4.04 3.40 3.26
HSBC HOLDINGS PLC FXD-TO-FLT MTN Banking Fixed Income 36,837.55 0.05 36,837.55 nan 4.64 4.62 4.20
JPMORGAN CHASE & CO Banking Fixed Income 36,763.70 0.05 36,763.70 nan 4.48 5.10 3.74
AT&T INC Communications Fixed Income 36,756.99 0.05 36,756.99 BX2KBF0 5.04 4.50 7.41
MORGAN STANLEY Banking Fixed Income 36,750.28 0.05 36,750.28 B7N7040 5.29 6.38 10.51
JPMORGAN CHASE & CO Banking Fixed Income 36,689.85 0.05 36,689.85 nan 4.91 5.50 7.08
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 36,616.01 0.05 36,616.01 nan 4.45 5.13 3.57
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 36,528.73 0.05 36,528.73 nan 4.63 4.81 5.80
AMAZON.COM INC Consumer Cyclical Fixed Income 36,481.73 0.05 36,481.73 BFMLMY3 5.40 4.05 13.18
MORGAN STANLEY Banking Fixed Income 36,441.45 0.05 36,441.45 nan 4.87 3.62 3.77
VERIZON COMMUNICATIONS INC Communications Fixed Income 36,434.74 0.05 36,434.74 BMXT869 5.75 2.99 16.33
ABBVIE INC Consumer Non-Cyclical Fixed Income 36,421.31 0.05 36,421.31 nan 4.64 5.05 6.52
APPLE INC Technology Fixed Income 36,387.74 0.05 36,387.74 BDCWWV9 5.32 3.85 12.98
AMGEN INC Consumer Non-Cyclical Fixed Income 36,340.75 0.05 36,340.75 BMTY5V2 5.48 5.60 10.72
SOLVENTUM CORP Consumer Non-Cyclical Fixed Income 36,340.75 0.05 36,340.75 nan 4.53 5.45 4.37
LLOYDS BANKING GROUP PLC (FXD-FXD) Banking Fixed Income 36,273.61 0.05 36,273.61 nan 4.51 4.42 4.21
BOEING CO Capital Goods Fixed Income 36,206.48 0.05 36,206.48 BKPHQJ6 4.37 2.95 3.67
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 36,166.19 0.05 36,166.19 BG5QT52 5.30 4.39 8.65
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 36,159.48 0.05 36,159.48 nan 4.65 2.62 4.76
BANK OF AMERICA CORP MTN Banking Fixed Income 36,146.05 0.05 36,146.05 BJ3WDS4 5.25 5.00 11.65
KROGER CO Consumer Non-Cyclical Fixed Income 36,132.63 0.05 36,132.63 nan 5.74 5.50 13.81
SPRINT CAPITAL CORPORATION Communications Fixed Income 36,011.78 0.05 36,011.78 2964029 4.78 8.75 4.77
AMAZON.COM INC Consumer Cyclical Fixed Income 35,998.35 0.05 35,998.35 BNW2Q84 5.15 2.88 11.58
ABBVIE INC Consumer Non-Cyclical Fixed Income 35,984.93 0.05 35,984.93 BMWB8H7 4.75 4.55 7.27
UNITEDHEALTH GROUP INC Insurance Fixed Income 35,944.64 0.05 35,944.64 nan 4.62 4.50 6.02
BARCLAYS PLC Banking Fixed Income 35,937.93 0.05 35,937.93 nan 5.13 5.34 6.73
COREBRIDGE FINANCIAL INC Insurance Fixed Income 35,911.08 0.05 35,911.08 991XAH2 4.82 3.90 5.34
MORGAN STANLEY MTN Banking Fixed Income 35,817.09 0.05 35,817.09 BMG9M19 4.70 2.94 5.38
QUALCOMM INCORPORATED Technology Fixed Income 35,803.66 0.05 35,803.66 BWX4CX9 4.60 4.65 7.44
BARCLAYS PLC Banking Fixed Income 35,776.80 0.05 35,776.80 BQYLTG9 5.13 6.22 5.81
ALPHABET INC Technology Fixed Income 35,716.38 0.05 35,716.38 nan 5.48 5.25 14.48
REYNOLDS AMERICAN INC Consumer Non-Cyclical Fixed Income 35,662.67 0.05 35,662.67 BZ0HGQ3 5.90 5.85 11.24
HSBC HOLDINGS PLC FXD-FLT Banking Fixed Income 35,635.82 0.05 35,635.82 nan 5.05 5.45 6.70
AT&T INC Communications Fixed Income 35,555.26 0.05 35,555.26 BMHWTV6 5.57 3.50 11.11
ORACLE CORPORATION Technology Fixed Income 35,541.83 0.05 35,541.83 BMYLXC5 6.86 3.95 13.12
SWP: IFS 2.230000 06-JAN-2051 Cash and/or Derivatives Swaps 35,529.49 0.05 -264,470.51 nan nan 2.23 -3.28
UNITEDHEALTH GROUP INC Insurance Fixed Income 35,387.42 0.05 35,387.42 BN7K9M8 5.66 5.05 13.91
JPMORGAN CHASE & CO Banking Fixed Income 35,326.99 0.05 35,326.99 BZ7NF45 5.42 4.26 12.87
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 35,239.72 0.05 35,239.72 nan 4.35 4.63 3.25
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 35,239.72 0.05 35,239.72 BKSVYZ7 6.97 4.80 12.22
BARCLAYS PLC Banking Fixed Income 35,186.01 0.05 35,186.01 nan 4.69 2.67 4.64
TIME WARNER CABLE LLC Communications Fixed Income 35,172.58 0.05 35,172.58 B62X8Y8 6.71 6.75 8.67
ING GROEP NV Banking Fixed Income 35,165.87 0.05 35,165.87 nan 4.57 2.73 4.70
T-MOBILE USA INC Communications Fixed Income 35,145.73 0.05 35,145.73 nan 4.78 5.05 6.17
ORACLE CORPORATION Technology Fixed Income 35,078.59 0.05 35,078.59 BMWS9B9 7.02 5.55 12.21
ANHEUSER-BUSCH INBEV FINANCE INC Consumer Non-Cyclical Fixed Income 34,971.17 0.05 34,971.17 BYMLGZ5 5.47 4.90 12.05
EXXON MOBIL CORP Energy Fixed Income 34,964.46 0.05 34,964.46 BLD2032 5.46 3.45 14.83
ABBVIE INC Consumer Non-Cyclical Fixed Income 34,937.60 0.05 34,937.60 BXC32G7 5.43 4.70 12.11
T-MOBILE USA INC Communications Fixed Income 34,910.75 0.05 34,910.75 nan 4.55 2.70 5.61
BANK OF AMERICA CORP MTN Banking Fixed Income 34,890.61 0.05 34,890.61 BJMJ632 5.49 4.33 13.44
LOWES COMPANIES INC Consumer Cyclical Fixed Income 34,870.47 0.05 34,870.47 nan 4.58 4.50 5.66
AMGEN INC Consumer Non-Cyclical Fixed Income 34,850.33 0.05 34,850.33 BWTM390 5.54 4.40 12.19
UNITEDHEALTH GROUP INC Insurance Fixed Income 34,796.62 0.05 34,796.62 nan 4.20 5.30 3.55
WELLS FARGO & COMPANY Banking Fixed Income 34,756.34 0.05 34,756.34 BYYYTZ3 5.70 4.40 12.56
HSBC HOLDINGS PLC Banking Fixed Income 34,742.91 0.05 34,742.91 BSHSKJ1 4.50 5.55 2.78
AT&T INC Communications Fixed Income 34,729.48 0.05 34,729.48 nan 5.96 5.70 13.54
INTEL CORPORATION Technology Fixed Income 34,669.06 0.05 34,669.06 nan 4.85 5.20 5.72
ORACLE CORPORATION Technology Fixed Income 34,648.92 0.05 34,648.92 BLGXM47 5.58 6.25 5.44
AMAZON.COM INC Consumer Cyclical Fixed Income 34,615.35 0.05 34,615.35 BF199R0 4.83 3.88 8.94
T-MOBILE USA INC Communications Fixed Income 34,615.35 0.05 34,615.35 BMW23T7 4.52 3.50 4.65
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 34,541.50 0.05 34,541.50 nan 5.02 5.54 6.89
WYETH LLC Consumer Non-Cyclical Fixed Income 34,541.50 0.05 34,541.50 B1VQ7M4 4.99 5.95 8.10
AMPHENOL CORPORATION Capital Goods Fixed Income 34,507.93 0.05 34,507.93 nan 5.53 5.30 14.49
HSBC HOLDINGS PLC FXD-TO-FLT MTN Banking Fixed Income 34,440.80 0.05 34,440.80 nan 4.56 5.13 3.60
T-MOBILE USA INC Communications Fixed Income 34,434.08 0.05 34,434.08 BMB3SY1 5.79 3.40 14.96
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 34,413.94 0.05 34,413.94 nan 4.36 2.05 3.90
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 34,407.23 0.05 34,407.23 nan 4.52 2.22 5.15
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 34,366.95 0.05 34,366.95 BJ2WB47 5.48 5.80 8.92
HCA INC Consumer Non-Cyclical Fixed Income 34,366.95 0.05 34,366.95 nan 4.97 5.60 6.44
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 34,299.81 0.05 34,299.81 nan 4.11 3.50 3.96
TIME WARNER CABLE LLC Communications Fixed Income 34,272.96 0.05 34,272.96 B28WMV6 6.42 6.55 7.79
SWP: IFS 2.441898 07-JAN-2032 USC Cash and/or Derivatives Swaps 34,263.33 0.05 -6,965,736.67 nan nan 2.44 -0.03
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 34,246.10 0.05 34,246.10 BFY3BX9 7.08 5.75 11.35
BARCLAYS PLC Banking Fixed Income 34,239.39 0.05 34,239.39 nan 5.02 5.79 6.90
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 34,212.53 0.05 34,212.53 BDCMR69 5.28 4.95 10.82
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 34,158.83 0.05 34,158.83 BYZKX58 5.18 4.02 9.01
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 34,145.40 0.05 34,145.40 nan 4.65 5.38 5.72
WELLS FARGO & COMPANY MTN Banking Fixed Income 34,131.97 0.05 34,131.97 BK8ZYZ9 4.50 2.57 3.72
BARCLAYS PLC Banking Fixed Income 34,111.83 0.05 34,111.83 BQC4F17 5.06 5.75 5.30
PFIZER INC Consumer Non-Cyclical Fixed Income 34,084.98 0.05 34,084.98 nan 4.84 4.88 7.66
ABBVIE INC Consumer Non-Cyclical Fixed Income 34,078.26 0.05 34,078.26 BQC4XT1 4.26 4.95 4.44
PFIZER INC Consumer Non-Cyclical Fixed Income 34,017.84 0.05 34,017.84 nan 4.11 2.63 3.87
VERIZON COMMUNICATIONS INC Communications Fixed Income 33,997.70 0.05 33,997.70 BNGDW30 5.83 3.70 15.95
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 33,984.27 0.05 33,984.27 nan 4.22 5.05 3.65
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 33,970.84 0.05 33,970.84 nan 4.32 1.75 4.46
BROADCOM INC 144A Technology Fixed Income 33,943.99 0.05 33,943.99 BPCTV84 5.06 4.93 8.48
TELEFONICA EUROPE BV Communications Fixed Income 33,923.85 0.05 33,923.85 4474021 4.74 8.25 3.81
ORACLE CORPORATION Technology Fixed Income 33,870.14 0.05 33,870.14 BD390R1 6.81 4.00 12.51
ABBVIE INC Consumer Non-Cyclical Fixed Income 33,850.00 0.05 33,850.00 BYP8MQ6 5.47 4.45 12.59
APPLE INC Technology Fixed Income 33,850.00 0.05 33,850.00 nan 3.86 3.25 3.25
CIGNA GROUP Consumer Non-Cyclical Fixed Income 33,850.00 0.05 33,850.00 nan 5.76 5.60 13.57
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 33,796.29 0.05 33,796.29 BFF9P78 7.06 5.38 11.40
CHUBB INA HOLDINGS LLC Insurance Fixed Income 33,722.44 0.05 33,722.44 nan 4.21 1.38 4.38
UNITEDHEALTH GROUP INC Insurance Fixed Income 33,709.01 0.05 33,709.01 nan 4.63 5.35 5.73
WELLS FARGO & COMPANY Banking Fixed Income 33,675.45 0.05 33,675.45 BS9FPF1 5.66 4.65 11.81
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 33,655.30 0.05 33,655.30 BFD3PF0 5.34 5.00 11.31
CISCO SYSTEMS INC Technology Fixed Income 33,621.74 0.05 33,621.74 nan 4.22 4.95 4.39
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 33,527.75 0.05 33,527.75 BMWC3G4 5.59 3.70 14.66
PFIZER INC Consumer Non-Cyclical Fixed Income 33,521.03 0.05 33,521.03 nan 4.17 1.75 5.15
BOEING CO Capital Goods Fixed Income 33,474.04 0.05 33,474.04 nan 5.94 7.01 14.47
BANK OF AMERICA CORP MTN Banking Fixed Income 33,413.62 0.05 33,413.62 BYWC0C3 5.09 4.24 9.23
APPLE INC Technology Fixed Income 33,386.76 0.05 33,386.76 BM98Q33 5.39 2.65 15.58
CANADIAN IMPERIAL BANK (FXD-FRN) Banking Fixed Income 33,380.05 0.05 33,380.05 nan 4.48 4.58 4.05
BROADCOM INC Technology Fixed Income 33,319.62 0.05 33,319.62 nan 4.57 5.20 5.22
BARCLAYS PLC Banking Fixed Income 33,259.20 0.05 33,259.20 BP6L2R2 5.10 6.69 5.91
ORACLE CORPORATION Technology Fixed Income 33,212.21 0.05 33,212.21 nan 5.36 5.25 4.97
CISCO SYSTEMS INC Technology Fixed Income 33,178.64 0.05 33,178.64 nan 4.63 5.05 6.47
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 33,171.93 0.05 33,171.93 nan 4.43 4.53 4.07
ALPHABET INC Technology Fixed Income 33,165.21 0.05 33,165.21 BMD7LF3 5.38 2.05 16.44
AMGEN INC Consumer Non-Cyclical Fixed Income 33,165.21 0.05 33,165.21 nan 4.47 3.35 5.32
WELLS FARGO & COMPANY MTN Banking Fixed Income 33,030.94 0.05 33,030.94 BX2H0V0 5.45 3.90 12.55
HCA INC Consumer Non-Cyclical Fixed Income 33,017.51 0.05 33,017.51 nan 5.08 5.75 6.93
UNITEDHEALTH GROUP INC Insurance Fixed Income 33,010.80 0.05 33,010.80 BSSHCR9 4.76 5.00 6.60
ROYAL BANK OF CANADA MTN Banking Fixed Income 33,004.09 0.05 33,004.09 nan 4.28 2.30 5.27
WELLS FARGO & COMPANY MTN Banking Fixed Income 32,923.52 0.05 32,923.52 BYQ29R7 5.68 4.90 12.05
HOME DEPOT INC Consumer Cyclical Fixed Income 32,916.81 0.05 32,916.81 nan 4.76 4.65 7.56
CIGNA GROUP Consumer Non-Cyclical Fixed Income 32,856.39 0.05 32,856.39 BKPHS23 5.23 4.80 9.06
JPMORGAN CHASE & CO Banking Fixed Income 32,856.39 0.05 32,856.39 BP09ZH3 4.35 5.14 3.59
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 32,769.11 0.05 32,769.11 nan 4.05 2.20 4.21
AMPHENOL CORPORATION Capital Goods Fixed Income 32,762.40 0.05 32,762.40 nan 4.85 4.63 7.86
UNITEDHEALTH GROUP INC Insurance Fixed Income 32,755.68 0.05 32,755.68 BPDY809 5.81 5.75 15.31
T-MOBILE USA INC Communications Fixed Income 32,748.97 0.05 32,748.97 BN303Z3 5.77 3.30 14.55
UNITEDHEALTH GROUP INC Insurance Fixed Income 32,748.97 0.05 32,748.97 BSSHCV3 5.68 5.38 13.92
ORACLE CORPORATION Technology Fixed Income 32,735.54 0.05 32,735.54 nan 7.07 6.10 13.20
COOPERATIEVE RABOBANK UA MTN Banking Fixed Income 32,728.83 0.05 32,728.83 B44YJW0 5.22 5.25 10.36
INTEL CORPORATION Technology Fixed Income 32,708.69 0.05 32,708.69 BMX7HF5 6.08 5.70 13.00
VERIZON COMMUNICATIONS INC Communications Fixed Income 32,701.97 0.05 32,701.97 nan 4.26 4.02 3.51
WALT DISNEY CO Communications Fixed Income 32,668.40 0.05 32,668.40 BMF33Q4 5.43 4.70 13.55
UBS GROUP AG Banking Fixed Income 32,654.98 0.05 32,654.98 2K8Y9P0 5.45 4.88 12.01
VERIZON COMMUNICATIONS INC Communications Fixed Income 32,621.41 0.05 32,621.41 BKY5H43 4.49 2.55 4.69
MORGAN STANLEY Banking Fixed Income 32,601.27 0.05 32,601.27 BQWR3S9 4.93 5.47 6.44
ORACLE CORPORATION Technology Fixed Income 32,594.56 0.05 32,594.56 BMD7RZ5 6.50 3.60 10.14
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 32,581.13 0.05 32,581.13 nan 4.45 2.72 5.39
GOLDMAN SACHS GROUP INC/THE MTN Banking Fixed Income 32,560.99 0.05 32,560.99 BNXBHR6 5.41 4.80 11.84
SYNOPSYS INC Technology Fixed Income 32,460.28 0.05 32,460.28 nan 5.64 5.70 13.95
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 32,352.87 0.05 32,352.87 BZ06JT4 6.10 6.38 7.10
ORACLE CORPORATION Technology Fixed Income 32,332.72 0.05 32,332.72 B7FNML7 6.51 5.38 9.63
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 32,285.73 0.05 32,285.73 nan 4.91 4.93 7.55
AMAZON.COM INC Consumer Cyclical Fixed Income 32,279.02 0.05 32,279.02 nan 4.04 1.50 4.13
BANK OF AMERICA CORP MTN Banking Fixed Income 32,164.88 0.05 32,164.88 BYMX8C2 5.45 4.44 12.97
WILLIAMS COMPANIES INC Energy Fixed Income 32,117.89 0.05 32,117.89 nan 4.85 5.65 5.75
T-MOBILE USA INC Communications Fixed Income 32,104.46 0.05 32,104.46 BN0ZLS0 5.52 3.00 11.15
HSBC HOLDINGS PLC Banking Fixed Income 32,091.03 0.05 32,091.03 nan 5.08 5.79 7.12
APPLE INC Technology Fixed Income 32,057.47 0.05 32,057.47 nan 4.04 1.70 5.13
BANK OF AMERICA CORP Banking Fixed Income 32,017.19 0.05 32,017.19 B1P61P1 5.21 6.11 7.86
WALT DISNEY CO Communications Fixed Income 31,970.19 0.05 31,970.19 nan 4.11 2.65 4.57
JPMORGAN CHASE & CO Banking Fixed Income 31,970.19 0.05 31,970.19 BMF0547 5.46 3.11 14.95
JPMORGAN CHASE & CO (FXD-FRN) Banking Fixed Income 31,963.48 0.05 31,963.48 nan 4.45 4.35 4.44
US BANCORP MTN Banking Fixed Income 31,923.19 0.05 31,923.19 nan 4.48 5.08 3.80
HALEON US CAPITAL LLC Consumer Non-Cyclical Fixed Income 31,916.48 0.05 31,916.48 BP0SW57 4.54 3.63 5.37
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 31,909.77 0.05 31,909.77 nan 4.85 5.56 6.72
VERIZON COMMUNICATIONS INC Communications Fixed Income 31,909.77 0.05 31,909.77 BMWBBK1 5.46 2.65 11.40
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 31,896.34 0.05 31,896.34 nan 4.12 1.45 4.53
US BANCORP MTN Banking Fixed Income 31,856.06 0.05 31,856.06 BRBCTL7 4.92 5.68 6.42
METLIFE INC Insurance Fixed Income 31,822.49 0.05 31,822.49 nan 4.06 4.55 3.71
PFIZER INC Consumer Non-Cyclical Fixed Income 31,815.78 0.05 31,815.78 BZ3FFJ0 4.72 4.00 8.61
AT&T INC Communications Fixed Income 31,768.78 0.04 31,768.78 BX2H2X6 5.84 4.75 12.20
PACIFIC GAS & ELECTRIC UTILITIES Electric Fixed Income 31,768.78 0.04 31,768.78 BMVV6C9 5.78 4.50 10.14
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 31,762.07 0.04 31,762.07 BRJ50G0 6.00 7.08 12.60
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 31,681.50 0.04 31,681.50 BRT6LQ0 4.94 5.40 6.78
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 31,668.08 0.04 31,668.08 nan 4.96 5.62 7.11
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 31,668.08 0.04 31,668.08 nan 4.07 2.60 3.43
UNITEDHEALTH GROUP INC Insurance Fixed Income 31,607.66 0.04 31,607.66 nan 4.38 2.30 4.87
NATWEST GROUP PLC Banking Fixed Income 31,580.80 0.04 31,580.80 BK94J94 4.86 4.45 2.99
JPMORGAN CHASE & CO Banking Fixed Income 31,466.67 0.04 31,466.67 nan 4.37 5.58 2.91
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 31,466.67 0.04 31,466.67 BL9XNG3 4.83 5.00 7.15
CONOCOPHILLIPS Energy Fixed Income 31,419.67 0.04 31,419.67 B4T4431 5.16 6.50 8.76
HSBC HOLDINGS PLC Banking Fixed Income 31,412.96 0.04 31,412.96 nan 4.94 5.72 6.35
SYNOPSYS INC Technology Fixed Income 31,359.25 0.04 31,359.25 nan 4.58 5.00 5.20
SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 31,345.82 0.04 31,345.82 nan 8.45 5.14 7.46
HCA INC Consumer Non-Cyclical Fixed Income 31,332.40 0.04 31,332.40 BKKDGY4 5.94 5.25 12.80
BANK OF AMERICA CORP MTN Banking Fixed Income 31,318.97 0.04 31,318.97 B6T0187 5.22 5.88 10.26
T-MOBILE USA INC Communications Fixed Income 31,318.97 0.04 31,318.97 nan 5.04 4.95 7.57
TRUIST FINANCIAL CORP MTN Banking Fixed Income 31,312.26 0.04 31,312.26 nan 5.14 4.96 7.53
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 31,231.69 0.04 31,231.69 BD7YG52 5.90 5.20 11.77
FLORIDA POWER & LIGHT CO Electric Fixed Income 31,211.55 0.04 31,211.55 nan 4.00 5.15 3.08
APPLE INC Technology Fixed Income 31,204.84 0.04 31,204.84 BQB7DX5 5.17 4.85 14.58
EXXON MOBIL CORP Energy Fixed Income 31,204.84 0.04 31,204.84 BLD6PH3 5.05 4.23 10.19
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 31,177.98 0.04 31,177.98 nan 5.22 4.00 4.25
RTX CORP Capital Goods Fixed Income 31,130.99 0.04 31,130.99 BQHP8M7 5.59 6.40 13.45
T-MOBILE USA INC Communications Fixed Income 31,083.99 0.04 31,083.99 BN72M69 5.84 5.65 13.56
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 31,057.14 0.04 31,057.14 BKFH1S0 4.25 3.19 3.24
AMGEN INC Consumer Non-Cyclical Fixed Income 31,037.00 0.04 31,037.00 BKP4ZN4 4.48 2.00 5.50
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 31,030.29 0.04 31,030.29 BQS6QG9 5.57 5.38 13.69
COCA-COLA CO Consumer Non-Cyclical Fixed Income 30,909.44 0.04 30,909.44 BNRQYR6 5.50 5.40 15.78
HCA INC Consumer Non-Cyclical Fixed Income 30,889.30 0.04 30,889.30 BKKDGS8 5.48 5.13 9.46
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 30,875.87 0.04 30,875.87 nan 5.44 6.05 4.78
JEFFERIES FINANCIAL GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 30,869.16 0.04 30,869.16 nan 5.36 6.20 6.34
MPLX LP Energy Fixed Income 30,862.45 0.04 30,862.45 BPLJMW6 6.08 4.95 13.29
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 30,788.60 0.04 30,788.60 nan 4.47 5.00 5.16
BROADCOM INC Technology Fixed Income 30,741.60 0.04 30,741.60 nan 5.12 4.90 8.84
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 30,694.60 0.04 30,694.60 BYNZDD3 5.49 4.75 12.16
ORACLE CORPORATION Technology Fixed Income 30,694.60 0.04 30,694.60 nan 7.08 6.00 12.27
MPLX LP Energy Fixed Income 30,661.04 0.04 30,661.04 nan 4.93 5.00 5.80
SHELL FINANCE US INC Energy Fixed Income 30,634.18 0.04 30,634.18 nan 4.15 2.75 3.87
TRUIST BANK Banking Fixed Income 30,634.18 0.04 30,634.18 nan 4.54 2.25 3.83
ROGERS COMMUNICATIONS INC Communications Fixed Income 30,607.33 0.04 30,607.33 BNYJ876 5.99 4.55 13.63
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 30,567.05 0.04 30,567.05 BF15KD1 5.44 4.03 13.30
TRUIST FINANCIAL CORP MTN Banking Fixed Income 30,567.05 0.04 30,567.05 nan 4.54 5.07 3.82
GLOBAL PAYMENTS INC Technology Fixed Income 30,526.76 0.04 30,526.76 nan 5.62 5.55 7.39
SWP: IFS 2.219969 18-SEP-2029 USC Cash and/or Derivatives Swaps 30,490.34 0.04 -1,969,509.66 nan nan 2.22 -0.06
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 30,473.06 0.04 30,473.06 nan 4.48 5.30 5.01
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 30,446.20 0.04 30,446.20 BKHDRD3 5.39 4.80 11.59
MORGAN STANLEY MTN Banking Fixed Income 30,412.63 0.04 30,412.63 BL68VG7 5.56 5.60 13.03
UNITEDHEALTH GROUP INC Insurance Fixed Income 30,412.63 0.04 30,412.63 nan 4.34 4.90 4.52
ING GROEP NV Banking Fixed Income 30,399.21 0.04 30,399.21 nan 4.75 4.25 5.29
CISCO SYSTEMS INC Technology Fixed Income 30,385.78 0.04 30,385.78 B596Q94 5.10 5.50 9.75
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 30,385.78 0.04 30,385.78 BQ5HTN3 5.21 5.55 6.73
ORACLE CORPORATION Technology Fixed Income 30,372.35 0.04 30,372.35 BLFBWD1 4.87 4.20 3.31
PFIZER INC Consumer Non-Cyclical Fixed Income 30,332.07 0.04 30,332.07 nan 4.48 4.50 5.76
T-MOBILE USA INC Communications Fixed Income 30,325.36 0.04 30,325.36 nan 4.64 5.13 5.30
WALMART INC Consumer Cyclical Fixed Income 30,325.36 0.04 30,325.36 B0J45R4 4.50 5.25 7.41
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 30,311.93 0.04 30,311.93 nan 4.56 4.60 6.87
WALT DISNEY CO Communications Fixed Income 30,291.79 0.04 30,291.79 BMDHPZ1 5.42 3.60 14.83
TRANSCANADA PIPELINES LTD Energy Fixed Income 30,271.65 0.04 30,271.65 B3KV7R9 5.54 7.63 8.61
SWP: IFS 2.420500 02-AUG-2051 Cash and/or Derivatives Swaps 30,262.50 0.04 -428,737.50 nan nan 2.42 -1.76
PFIZER INC Consumer Non-Cyclical Fixed Income 30,224.65 0.04 30,224.65 BJJD7R8 3.86 3.45 2.91
ENERGY TRANSFER LP Energy Fixed Income 30,197.80 0.04 30,197.80 BQGG508 5.04 6.55 6.13
MICROSOFT CORPORATION Technology Fixed Income 30,191.08 0.04 30,191.08 BYP2PC5 5.14 4.25 12.99
WALMART INC Consumer Cyclical Fixed Income 30,144.09 0.04 30,144.09 nan 4.54 4.90 7.33
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 30,117.23 0.04 30,117.23 BMVQHT8 4.35 4.50 3.31
LLOYDS BANKING GROUP PLC Banking Fixed Income 30,083.67 0.04 30,083.67 nan 5.04 4.94 7.58
ALPHABET INC Technology Fixed Income 30,070.24 0.04 30,070.24 nan 5.62 5.30 15.76
BANK OF AMERICA CORP MTN Banking Fixed Income 30,063.53 0.04 30,063.53 BD49X71 5.46 3.95 13.62
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 30,003.10 0.04 30,003.10 BHZRWX1 5.43 4.25 13.72
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 30,003.10 0.04 30,003.10 BVDD8P3 4.94 5.20 7.72
KINDER MORGAN INC Energy Fixed Income 30,003.10 0.04 30,003.10 nan 4.71 5.20 6.03
MERCK & CO INC Consumer Non-Cyclical Fixed Income 29,996.39 0.04 29,996.39 nan 4.80 4.95 7.47
ROYAL BANK OF CANADA MTN Banking Fixed Income 29,989.68 0.04 29,989.68 nan 4.55 5.15 6.39
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 29,956.11 0.04 29,956.11 nan 5.34 5.95 7.14
JPMORGAN CHASE & CO Banking Fixed Income 29,942.68 0.04 29,942.68 BF348D2 5.43 4.03 13.42
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 29,942.68 0.04 29,942.68 nan 3.98 1.20 4.52
ONEOK INC Energy Fixed Income 29,929.25 0.04 29,929.25 BRBVNB2 6.12 5.70 13.45
TARGA RESOURCES CORP Energy Fixed Income 29,909.11 0.04 29,909.11 nan 5.35 5.40 7.86
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 29,895.69 0.04 29,895.69 nan 4.21 2.55 3.73
MERCK & CO INC Consumer Non-Cyclical Fixed Income 29,882.26 0.04 29,882.26 nan 5.58 5.70 14.06
SWP: OIS 3.168500 09-JAN-2048 Cash and/or Derivatives Swaps 29,872.74 0.04 -170,127.26 nan -0.15 3.17 15.05
DELL INTERNATIONAL LLC Technology Fixed Income 29,821.84 0.04 29,821.84 nan 5.29 5.10 7.64
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 29,727.85 0.04 29,727.85 nan 4.16 3.70 4.07
SWP: IFS 2.500000 25-JAN-2037 Cash and/or Derivatives Swaps 29,708.91 0.04 -530,291.09 nan nan 2.50 -0.60
SYNOPSYS INC Technology Fixed Income 29,687.56 0.04 29,687.56 nan 4.92 5.15 7.15
AMPHENOL CORPORATION Capital Goods Fixed Income 29,654.00 0.04 29,654.00 nan 4.58 4.40 5.94
META PLATFORMS INC Communications Fixed Income 29,640.57 0.04 29,640.57 BQPF885 6.00 5.75 14.76
COMCAST CORPORATION Communications Fixed Income 29,627.14 0.04 29,627.14 BGV15K8 5.95 4.70 12.81
BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 29,580.15 0.04 29,580.15 nan 5.03 2.54 5.37
MICROSOFT CORPORATION Technology Fixed Income 29,553.29 0.04 29,553.29 BYV2RR8 5.07 4.45 12.60
CATERPILLAR INC Capital Goods Fixed Income 29,506.30 0.04 29,506.30 nan 4.70 5.20 7.29
WALT DISNEY CO Communications Fixed Income 29,486.16 0.04 29,486.16 nan 4.04 3.80 3.76
T-MOBILE USA INC Communications Fixed Income 29,479.44 0.04 29,479.44 nan 4.74 4.63 5.82
MERCK & CO INC Consumer Non-Cyclical Fixed Income 29,466.02 0.04 29,466.02 BVFMPQ8 5.40 3.70 12.50
NISOURCE INC Natural Gas Fixed Income 29,466.02 0.04 29,466.02 BK20BW6 4.21 2.95 3.32
AMAZON.COM INC Consumer Cyclical Fixed Income 29,432.45 0.04 29,432.45 BDGMR10 5.52 4.25 15.33
ROYAL BANK OF CANADA (FX-FRN) MTN Banking Fixed Income 29,432.45 0.04 29,432.45 nan 4.44 4.97 3.78
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 29,419.02 0.04 29,419.02 5733992 5.11 7.45 4.52
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 29,419.02 0.04 29,419.02 nan 4.51 5.45 3.94
EOG RESOURCES INC Energy Fixed Income 29,398.88 0.04 29,398.88 BRVW3B5 4.98 5.35 7.69
LLOYDS BANKING GROUP PLC Banking Fixed Income 29,378.74 0.04 29,378.74 BPW6S28 4.82 4.98 5.42
HCA INC Consumer Non-Cyclical Fixed Income 29,358.60 0.04 29,358.60 nan 4.58 2.38 5.02
SOUTHERN COMPANY (THE) Electric Fixed Income 29,358.60 0.04 29,358.60 BYT1540 5.59 4.40 12.67
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 29,345.17 0.04 29,345.17 BFY3CF8 6.45 5.38 8.48
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 29,338.46 0.04 29,338.46 nan 4.94 5.85 6.46
TIME WARNER CABLE LLC Communications Fixed Income 29,338.46 0.04 29,338.46 B3B14R7 6.57 7.30 8.20
BARCLAYS PLC Banking Fixed Income 29,304.89 0.04 29,304.89 BQXQCP5 5.15 7.44 5.32
HOME DEPOT INC Consumer Cyclical Fixed Income 29,298.17 0.04 29,298.17 nan 4.34 3.25 5.49
UNITED PARCEL SERVICE INC Transportation Fixed Income 29,278.03 0.04 29,278.03 nan 4.74 5.25 7.27
ENERGY TRANSFER LP Energy Fixed Income 29,271.32 0.04 29,271.32 BJCYMJ5 6.20 6.25 12.00
MORGAN STANLEY MTN Banking Fixed Income 29,271.32 0.04 29,271.32 nan 4.45 5.04 3.16
UNITEDHEALTH GROUP INC Insurance Fixed Income 29,197.47 0.04 29,197.47 BNKBV00 5.67 4.75 13.95
HCA INC Consumer Non-Cyclical Fixed Income 29,177.33 0.04 29,177.33 nan 4.59 5.45 4.42
VERIZON COMMUNICATIONS INC Communications Fixed Income 29,170.62 0.04 29,170.62 BK93J80 4.33 1.50 4.37
CENTENE CORPORATION Insurance Fixed Income 29,130.33 0.04 29,130.33 BKP8G66 5.56 2.50 4.61
VODAFONE GROUP PLC Communications Fixed Income 29,130.33 0.04 29,130.33 nan 5.85 5.75 13.76
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 29,110.19 0.04 29,110.19 nan 4.31 1.75 5.18
INTEL CORPORATION Technology Fixed Income 29,096.77 0.04 29,096.77 nan 4.43 3.90 3.75
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 29,069.91 0.04 29,069.91 nan 4.27 5.32 3.13
PHILLIPS 66 Energy Fixed Income 29,049.77 0.04 29,049.77 BMTD3K4 4.48 2.15 4.54
BOEING CO Capital Goods Fixed Income 29,016.20 0.04 29,016.20 nan 4.55 6.39 4.42
VERIZON COMMUNICATIONS INC Communications Fixed Income 28,955.78 0.04 28,955.78 nan 5.04 5.25 7.12
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 28,935.64 0.04 28,935.64 nan 4.86 5.25 7.09
SHELL FINANCE US INC Energy Fixed Income 28,908.79 0.04 28,908.79 BR4TV31 5.49 4.00 12.85
PHILLIPS 66 Energy Fixed Income 28,902.07 0.04 28,902.07 B7RB2F3 5.72 5.88 10.30
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 28,868.50 0.04 28,868.50 nan 4.66 2.45 5.41
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 28,861.79 0.04 28,861.79 nan 4.93 5.32 7.38
GLOBAL PAYMENTS INC Technology Fixed Income 28,855.08 0.04 28,855.08 nan 4.90 4.88 4.20
COMCAST CORPORATION Communications Fixed Income 28,808.08 0.04 28,808.08 BQPF829 6.10 5.50 14.82
BANK OF NOVA SCOTIA (FXD-FRN) MTN Banking Fixed Income 28,787.94 0.04 28,787.94 nan 4.51 4.34 4.09
FOX CORP Communications Fixed Income 28,787.94 0.04 28,787.94 nan 4.90 6.50 6.02
BANK OF AMERICA CORP MTN Banking Fixed Income 28,761.09 0.04 28,761.09 BK1LR11 5.23 4.08 9.78
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 28,747.66 0.04 28,747.66 nan 4.22 4.80 3.17
ROYAL BANK OF CANADA (FXD-FRN) MTN Banking Fixed Income 28,740.95 0.04 28,740.95 nan 4.48 4.30 4.22
REGAL REXNORD CORP Capital Goods Fixed Income 28,720.80 0.04 28,720.80 nan 5.20 6.40 5.70
JEFFERIES GROUP LLC Brokerage/Asset Managers/Exchanges Fixed Income 28,714.09 0.04 28,714.09 BD1DDP4 4.56 4.15 3.63
ARTHUR J GALLAGHER & CO Insurance Fixed Income 28,707.38 0.04 28,707.38 BT225N4 5.74 5.55 13.80
AON NORTH AMERICA INC Insurance Fixed Income 28,693.95 0.04 28,693.95 BMFF928 5.68 5.75 13.61
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 28,599.96 0.04 28,599.96 BMBKZF2 4.26 2.25 4.45
VERIZON COMMUNICATIONS INC Communications Fixed Income 28,566.39 0.04 28,566.39 BF22PM5 4.76 4.50 6.19
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 28,539.54 0.04 28,539.54 nan 3.97 3.80 3.33
ENERGY TRANSFER OPERATING LP Energy Fixed Income 28,519.40 0.04 28,519.40 BL3BQ53 4.47 3.75 3.89
CITIGROUP INC (FXD-FRN) Banking Fixed Income 28,505.97 0.04 28,505.97 nan 4.60 4.95 3.79
DUKE ENERGY PROGRESS LLC Electric Fixed Income 28,499.26 0.04 28,499.26 nan 4.83 5.05 7.14
COMCAST CORPORATION Communications Fixed Income 28,492.54 0.04 28,492.54 BFW31L9 5.98 4.00 13.57
GENERAL MOTORS CO Consumer Cyclical Fixed Income 28,465.69 0.04 28,465.69 BP8Y7Q3 6.02 6.25 10.51
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 28,452.26 0.04 28,452.26 nan 4.81 5.13 5.47
TARGA RESOURCES CORP Energy Fixed Income 28,432.12 0.04 28,432.12 nan 5.10 6.50 6.28
NVIDIA CORPORATION Technology Fixed Income 28,398.55 0.04 28,398.55 BNK9MH8 4.09 2.00 5.00
REALTY INCOME CORPORATION Reits Fixed Income 28,371.70 0.04 28,371.70 nan 4.40 3.25 4.51
CONOCOPHILLIPS CO Energy Fixed Income 28,331.42 0.04 28,331.42 nan 4.63 5.05 6.19
ENBRIDGE INC Energy Fixed Income 28,317.99 0.04 28,317.99 BMW78G4 4.88 5.70 5.72
SIMON PROPERTY GROUP LP Reits Fixed Income 28,311.27 0.04 28,311.27 BMVPRM8 4.27 2.65 4.14
HSBC HOLDINGS PLC Banking Fixed Income 28,304.56 0.04 28,304.56 BK5JGQ9 4.62 3.97 3.05
TOTALENERGIES CAPITAL SA Energy Fixed Income 28,304.56 0.04 28,304.56 nan 5.59 5.49 13.92
TRUIST FINANCIAL CORP MTN Banking Fixed Income 28,297.85 0.04 28,297.85 BRBD998 4.98 5.87 5.94
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 28,203.86 0.04 28,203.86 nan 4.19 5.41 2.97
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 28,183.72 0.04 28,183.72 BJ521B1 5.58 5.80 14.90
ENERGY TRANSFER LP Energy Fixed Income 28,177.00 0.04 28,177.00 nan 5.10 5.55 6.55
APPLE INC Technology Fixed Income 28,150.15 0.04 28,150.15 BYN2GG8 4.38 4.50 7.90
BANCO SANTANDER SA Banking Fixed Income 28,089.73 0.04 28,089.73 nan 4.71 6.94 6.04
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 28,083.01 0.04 28,083.01 nan 4.82 5.30 6.01
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 28,083.01 0.04 28,083.01 nan 5.92 6.55 6.35
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 28,069.59 0.04 28,069.59 BT8P849 5.69 5.55 13.86
ROYAL BANK OF CANADA (FXD-FRN) MTN Banking Fixed Income 28,069.59 0.04 28,069.59 nan 4.48 4.70 3.96
UNITED PARCEL SERVICE INC Transportation Fixed Income 28,049.44 0.04 28,049.44 nan 5.62 5.95 13.97
BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 28,029.30 0.04 28,029.30 BF2KB43 5.63 4.67 12.75
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 27,962.17 0.04 27,962.17 BKFH1R9 5.07 3.75 10.20
ORACLE CORPORATION Technology Fixed Income 27,962.17 0.04 27,962.17 BL6JQV0 5.83 4.70 6.83
VERIZON COMMUNICATIONS INC Communications Fixed Income 27,962.17 0.04 27,962.17 BMWBBJ0 4.46 1.75 4.67
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 27,955.45 0.04 27,955.45 BMW1GS4 4.21 2.25 4.92
HCA INC Consumer Non-Cyclical Fixed Income 27,935.31 0.04 27,935.31 nan 5.03 5.45 6.73
UNITEDHEALTH GROUP INC Insurance Fixed Income 27,921.89 0.04 27,921.89 nan 4.83 5.30 7.33
VERIZON COMMUNICATIONS INC Communications Fixed Income 27,888.32 0.04 27,888.32 BRXDL34 4.88 4.40 7.09
WALT DISNEY CO Communications Fixed Income 27,827.90 0.04 27,827.90 BMFKW68 5.11 3.50 10.68
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 27,827.90 0.04 27,827.90 990XAX4 6.08 6.50 12.87
SWP: IFS 2.383750 16-JUL-2041 Cash and/or Derivatives Swaps 27,780.13 0.04 -272,219.87 nan nan 2.38 -1.55
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 27,747.33 0.04 27,747.33 nan 4.32 5.71 3.53
UNITEDHEALTH GROUP INC Insurance Fixed Income 27,707.05 0.04 27,707.05 BN7K9P1 5.79 5.20 15.25
LLOYDS BANKING GROUP PLC Banking Fixed Income 27,693.62 0.04 27,693.62 nan 4.34 5.72 3.02
CITIGROUP INC Banking Fixed Income 27,673.48 0.04 27,673.48 BLCBFR9 5.45 5.32 9.71
COCA-COLA CO Consumer Non-Cyclical Fixed Income 27,666.77 0.04 27,666.77 BRXJJY9 5.37 5.20 14.68
CRH AMERICA FINANCE INC Capital Goods Fixed Income 27,660.06 0.04 27,660.06 nan 4.94 5.00 7.71
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 27,639.91 0.04 27,639.91 nan 4.13 2.05 4.03
US BANCORP MTN Banking Fixed Income 27,606.35 0.04 27,606.35 nan 4.80 4.84 5.76
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 27,592.92 0.04 27,592.92 nan 4.36 2.95 5.45
DUKE ENERGY CORP Electric Fixed Income 27,579.49 0.04 27,579.49 BNR5LF0 4.44 2.55 4.92
COMCAST CORPORATION Communications Fixed Income 27,572.78 0.04 27,572.78 nan 6.00 5.65 13.59
DIAMONDBACK ENERGY INC Energy Fixed Income 27,539.21 0.04 27,539.21 BMDPVW4 6.01 5.75 13.41
JPMORGAN CHASE & CO Banking Fixed Income 27,539.21 0.04 27,539.21 BLSP4R8 5.25 4.85 11.46
TRUIST FINANCIAL CORP MTN Banking Fixed Income 27,539.21 0.04 27,539.21 BMGC3Z9 4.99 5.71 6.41
JPMORGAN CHASE & CO Banking Fixed Income 27,532.50 0.04 27,532.50 BMF05B4 5.32 3.11 10.80
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 27,512.36 0.04 27,512.36 nan 4.78 5.23 6.97
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 27,512.36 0.04 27,512.36 nan 4.82 6.13 4.23
COOPERATIEVE RABOBANK UA Banking Fixed Income 27,498.93 0.04 27,498.93 BYWZXG7 5.62 5.25 11.63
PNC FINANCIAL SERVICES GROUP INC ( MTN Banking Fixed Income 27,498.93 0.04 27,498.93 nan 5.03 5.37 7.39
T-MOBILE USA INC Communications Fixed Income 27,492.22 0.04 27,492.22 nan 5.00 5.30 7.23
AT&T INC Communications Fixed Income 27,465.36 0.04 27,465.36 nan 4.67 4.55 5.67
HCA INC Consumer Non-Cyclical Fixed Income 27,451.93 0.04 27,451.93 BP6JPF5 5.98 6.00 13.28
VERIZON COMMUNICATIONS INC Communications Fixed Income 27,451.93 0.04 27,451.93 nan 4.75 4.75 5.83
CHEVRON CORP Energy Fixed Income 27,438.51 0.04 27,438.51 nan 4.11 2.24 4.01
HUNTINGTON BANCSHARES INC Banking Fixed Income 27,411.65 0.04 27,411.65 nan 4.58 5.27 3.55
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 27,398.22 0.04 27,398.22 nan 5.20 5.80 6.50
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 27,391.51 0.04 27,391.51 nan 4.34 2.75 3.70
KINDER MORGAN INC MTN Energy Fixed Income 27,384.80 0.04 27,384.80 2836399 4.61 7.75 4.86
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 27,364.66 0.04 27,364.66 nan 4.14 4.10 4.26
AMGEN INC Consumer Non-Cyclical Fixed Income 27,357.94 0.04 27,357.94 BDR5CM4 5.63 4.56 13.14
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 27,351.23 0.04 27,351.23 nan 4.56 4.90 3.94
HCA INC Consumer Non-Cyclical Fixed Income 27,324.37 0.04 27,324.37 BF2XWB6 5.89 5.50 12.17
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 27,317.66 0.04 27,317.66 nan 4.67 2.61 4.99
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 27,297.52 0.04 27,297.52 nan 4.26 5.55 4.18
COMCAST CORPORATION Communications Fixed Income 27,284.09 0.04 27,284.09 B0B7ZQ0 4.98 5.65 7.24
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 27,284.09 0.04 27,284.09 nan 4.54 4.40 4.15
COMCAST CORPORATION Communications Fixed Income 27,250.53 0.04 27,250.53 nan 4.98 5.30 7.23
AT&T INC Communications Fixed Income 27,223.67 0.04 27,223.67 BDCL4L0 5.16 5.25 8.17
ENERGY TRANSFER LP Energy Fixed Income 27,216.96 0.04 27,216.96 BQHNMW9 6.22 5.95 13.19
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 27,183.39 0.04 27,183.39 nan 4.43 5.22 3.51
CITIGROUP INC Banking Fixed Income 27,176.68 0.04 27,176.68 BDGLCL2 5.70 4.75 12.29
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 27,156.53 0.04 27,156.53 nan 6.03 5.85 7.22
MERCK & CO INC Consumer Non-Cyclical Fixed Income 27,156.53 0.04 27,156.53 nan 4.12 1.45 4.19
LOWES COMPANIES INC Consumer Cyclical Fixed Income 27,136.39 0.04 27,136.39 nan 4.37 4.25 4.51
UNITEDHEALTH GROUP INC Insurance Fixed Income 27,116.25 0.04 27,116.25 B2PHBR3 5.10 6.88 8.24
JPMORGAN CHASE & CO Banking Fixed Income 27,109.54 0.04 27,109.54 BDRJGF7 5.43 3.90 13.68
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 27,089.40 0.04 27,089.40 nan 4.37 3.40 3.90
CATERPILLAR INC Capital Goods Fixed Income 27,082.69 0.04 27,082.69 B95BMR1 5.21 3.80 11.47
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 27,075.97 0.04 27,075.97 nan 4.78 5.25 5.75
NXP BV Technology Fixed Income 27,075.97 0.04 27,075.97 nan 4.63 2.65 5.41
HOME DEPOT INC Consumer Cyclical Fixed Income 27,069.26 0.04 27,069.26 nan 4.30 4.50 5.60
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 27,049.12 0.04 27,049.12 nan 4.97 5.78 6.66
BROADCOM INC Technology Fixed Income 27,042.40 0.04 27,042.40 nan 4.53 4.55 5.14
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 27,022.26 0.04 27,022.26 BMDWCG6 5.15 2.60 11.39
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 27,008.84 0.04 27,008.84 nan 4.50 1.75 4.27
ENERGY TRANSFER LP Energy Fixed Income 26,995.41 0.04 26,995.41 BL569D5 6.21 6.05 13.04
BROADCOM INC Technology Fixed Income 26,961.84 0.04 26,961.84 2N3CFY1 5.49 3.75 14.37
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 26,948.41 0.04 26,948.41 nan 4.66 5.25 6.14
MICROSOFT CORPORATION Technology Fixed Income 26,948.41 0.04 26,948.41 BYP2P70 4.48 4.10 8.57
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 26,941.70 0.04 26,941.70 nan 4.23 4.30 3.61
AMAZON.COM INC Consumer Cyclical Fixed Income 26,928.27 0.04 26,928.27 BLPP103 5.46 3.95 14.64
HSBC HOLDINGS PLC Banking Fixed Income 26,894.70 0.04 26,894.70 nan 4.68 2.80 4.83
UNITEDHEALTH GROUP INC Insurance Fixed Income 26,881.28 0.04 26,881.28 BJMSS00 4.10 2.88 3.29
INTEL CORPORATION Technology Fixed Income 26,874.56 0.04 26,874.56 BM5D1Q0 6.06 4.75 13.02
CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 26,867.85 0.04 26,867.85 nan 4.55 2.25 5.02
APPLE INC Technology Fixed Income 26,841.00 0.04 26,841.00 BNNRD54 5.04 2.38 11.73
BANK OF AMERICA CORP Banking Fixed Income 26,807.43 0.04 26,807.43 B2RFJL5 5.29 7.75 8.25
EXXON MOBIL CORP Energy Fixed Income 26,800.71 0.04 26,800.71 BYYD0G8 5.40 4.11 12.64
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 26,760.43 0.04 26,760.43 BF97772 5.61 4.20 13.60
WELLS FARGO & COMPANY Banking Fixed Income 26,760.43 0.04 26,760.43 BFVGYC1 5.57 5.38 11.13
MOTOROLA SOLUTIONS INC Technology Fixed Income 26,740.29 0.04 26,740.29 BLB5ZP0 4.46 2.30 4.44
ONEOK INC Energy Fixed Income 26,733.58 0.04 26,733.58 nan 5.18 5.05 6.92
LOWES COMPANIES INC Consumer Cyclical Fixed Income 26,720.15 0.04 26,720.15 nan 4.40 2.63 4.71
AMAZON.COM INC Consumer Cyclical Fixed Income 26,706.72 0.04 26,706.72 BTC0L18 4.41 4.80 7.14
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 26,653.01 0.04 26,653.01 BK0P0W6 4.53 3.15 3.23
COCA-COLA CO Consumer Non-Cyclical Fixed Income 26,646.30 0.04 26,646.30 nan 4.37 4.65 6.87
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 26,626.16 0.04 26,626.16 nan 4.29 5.40 3.02
MARATHON PETROLEUM CORP Energy Fixed Income 26,619.45 0.04 26,619.45 nan 4.39 5.15 3.60
UNITEDHEALTH GROUP INC Insurance Fixed Income 26,612.73 0.04 26,612.73 BYTRVP1 5.53 4.75 12.20
AON NORTH AMERICA INC Insurance Fixed Income 26,606.02 0.04 26,606.02 nan 4.85 5.45 6.39
UNITEDHEALTH GROUP INC Insurance Fixed Income 26,599.31 0.04 26,599.31 BYY9WB5 4.83 4.63 7.56
HSBC HOLDINGS PLC Banking Fixed Income 26,572.45 0.04 26,572.45 nan 4.72 5.73 4.52
JPMORGAN CHASE & CO Banking Fixed Income 26,572.45 0.04 26,572.45 BY8L4X3 5.40 4.95 12.04
MERCK & CO INC Consumer Non-Cyclical Fixed Income 26,572.45 0.04 26,572.45 BP487M5 5.54 5.00 14.15
HCA INC Consumer Non-Cyclical Fixed Income 26,538.88 0.04 26,538.88 nan 4.86 5.50 5.98
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 26,532.17 0.04 26,532.17 nan 4.08 4.35 3.11
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 26,525.46 0.04 26,525.46 nan 4.20 4.90 4.39
FREEPORT-MCMORAN INC Basic Industry Fixed Income 26,518.74 0.04 26,518.74 BFPC4S1 5.60 5.45 10.77
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 26,518.74 0.04 26,518.74 BSHRLF1 5.43 5.00 14.21
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 26,485.17 0.04 26,485.17 nan 4.98 5.45 7.04
SOLVENTUM CORP Consumer Non-Cyclical Fixed Income 26,485.17 0.04 26,485.17 nan 4.99 5.60 6.42
COMCAST CORPORATION Communications Fixed Income 26,478.46 0.04 26,478.46 BKTZC54 5.97 3.45 13.94
LOWES COMPANIES INC Consumer Cyclical Fixed Income 26,471.75 0.04 26,471.75 nan 4.92 4.85 7.55
EQUINIX INC Technology Fixed Income 26,438.18 0.04 26,438.18 nan 4.46 2.15 4.18
ABBVIE INC Consumer Non-Cyclical Fixed Income 26,424.75 0.04 26,424.75 BQC4XY6 5.62 5.50 15.39
MPLX LP Energy Fixed Income 26,404.61 0.04 26,404.61 nan 4.59 4.80 4.35
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 26,397.90 0.04 26,397.90 nan 4.56 1.98 4.29
DELL INTERNATIONAL LLC Technology Fixed Income 26,391.18 0.04 26,391.18 nan 4.59 4.50 4.41
MEDTRONIC GLOBAL HOLDINGS SCA Consumer Non-Cyclical Fixed Income 26,384.47 0.04 26,384.47 nan 4.47 4.50 5.99
MPLX LP Energy Fixed Income 26,371.04 0.04 26,371.04 nan 5.16 5.50 6.60
BANCO SANTANDER SA Banking Fixed Income 26,344.19 0.04 26,344.19 nan 4.60 2.96 4.65
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 26,330.76 0.04 26,330.76 nan 4.82 6.10 2.99
ENERGY TRANSFER LP Energy Fixed Income 26,310.62 0.04 26,310.62 nan 6.21 6.20 13.15
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 26,310.62 0.04 26,310.62 nan 4.85 4.80 6.88
ABBVIE INC Consumer Non-Cyclical Fixed Income 26,303.91 0.04 26,303.91 nan 4.75 5.20 7.12
TARGET CORPORATION Consumer Cyclical Fixed Income 26,270.34 0.04 26,270.34 nan 4.81 5.00 7.24
BANCO SANTANDER SA Banking Fixed Income 26,236.77 0.04 26,236.77 nan 4.83 2.75 4.43
META PLATFORMS INC Communications Fixed Income 26,236.77 0.04 26,236.77 BMGS9S2 5.93 4.65 15.13
ELEVANCE HEALTH INC Insurance Fixed Income 26,216.63 0.04 26,216.63 nan 4.48 2.55 4.68
MICROSOFT CORPORATION Technology Fixed Income 26,203.20 0.04 26,203.20 BMFPF53 5.40 3.04 17.49
MORGAN STANLEY MTN Banking Fixed Income 26,196.49 0.04 26,196.49 BMZ2XH2 5.42 2.80 15.72
ABBVIE INC Consumer Non-Cyclical Fixed Income 26,142.78 0.04 26,142.78 BGHCHX2 5.51 4.88 13.09
ENERGY TRANSFER PARTNERS LP Energy Fixed Income 26,136.07 0.04 26,136.07 BDFT2Z1 6.15 6.00 12.05
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 26,136.07 0.04 26,136.07 nan 4.81 6.04 5.49
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 26,122.64 0.04 26,122.64 nan 5.21 5.95 6.36
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 26,122.64 0.04 26,122.64 BM9GT05 5.55 2.94 15.45
MORGAN STANLEY Banking Fixed Income 26,089.07 0.04 26,089.07 BD1KDW2 5.10 4.46 9.12
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 26,048.79 0.04 26,048.79 BG84470 5.49 4.25 13.37
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 26,042.08 0.04 26,042.08 BMC5783 4.21 2.10 4.11
TRANSCANADA PIPELINES LTD Energy Fixed Income 26,008.51 0.04 26,008.51 BLSP672 4.96 4.63 6.54
ALPHABET INC Technology Fixed Income 25,995.08 0.04 25,995.08 BNKM909 4.01 4.00 3.89
INTEL CORPORATION Technology Fixed Income 25,981.65 0.04 25,981.65 BMX7HC2 6.19 5.90 14.18
JPMORGAN CHASE & CO Banking Fixed Income 25,954.80 0.04 25,954.80 B43XY12 5.07 5.50 9.98
WALMART INC Consumer Cyclical Fixed Income 25,954.80 0.04 25,954.80 nan 4.09 4.15 5.65
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 25,941.37 0.04 25,941.37 nan 5.15 5.45 7.29
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 25,927.94 0.04 25,927.94 nan 4.23 4.40 4.86
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 25,894.38 0.04 25,894.38 nan 4.49 4.90 3.81
US BANCORP Banking Fixed Income 25,874.24 0.04 25,874.24 BK6YKB6 4.15 3.00 3.24
JPMORGAN CHASE & CO Banking Fixed Income 25,867.52 0.04 25,867.52 BD035K4 5.33 5.63 10.93
GOLDMAN SACHS GROUP INC (FXD-FRN) Banking Fixed Income 25,854.10 0.04 25,854.10 nan 4.46 5.21 3.50
ENERGY TRANSFER LP Energy Fixed Income 25,847.38 0.04 25,847.38 B5L3ZK7 5.88 6.50 9.79
FISERV INC Technology Fixed Income 25,847.38 0.04 25,847.38 nan 4.74 4.55 4.37
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 25,847.38 0.04 25,847.38 B8H94Y7 6.68 4.75 10.79
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 25,847.38 0.04 25,847.38 BN912G4 4.56 2.44 5.43
BARCLAYS PLC Banking Fixed Income 25,840.67 0.04 25,840.67 nan 4.52 5.69 2.79
CONOCOPHILLIPS CO Energy Fixed Income 25,827.24 0.04 25,827.24 nan 4.23 4.70 3.59
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 25,813.81 0.04 25,813.81 BG3KW02 5.65 5.38 11.03
SWP: IFS 2.430940 07-JAN-2045 USC Cash and/or Derivatives Swaps 25,806.69 0.04 -2,974,193.31 nan nan 2.43 -0.16
WELLTOWER OP LLC Reits Fixed Income 25,780.25 0.04 25,780.25 BK5R492 4.27 3.10 3.68
HALLIBURTON COMPANY Energy Fixed Income 25,746.68 0.04 25,746.68 BYNR4N6 5.77 5.00 11.95
APPLE INC Technology Fixed Income 25,739.96 0.04 25,739.96 BNYNTK8 5.42 4.10 16.30
BANCO SANTANDER SA Banking Fixed Income 25,739.96 0.04 25,739.96 nan 5.20 6.35 6.25
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 25,739.96 0.04 25,739.96 BMYBXL4 5.58 4.55 12.87
ABBVIE INC Consumer Non-Cyclical Fixed Income 25,686.26 0.04 25,686.26 BXC32C3 4.75 4.50 7.44
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 25,666.11 0.04 25,666.11 nan 4.35 5.38 3.13
GEORGIA POWER COMPANY Electric Fixed Income 25,659.40 0.04 25,659.40 nan 4.33 4.85 4.44
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 25,652.69 0.04 25,652.69 nan 6.11 5.60 13.47
TOTALENERGIES CAPITAL SA Energy Fixed Income 25,645.97 0.04 25,645.97 nan 4.62 4.72 6.90
WALMART INC Consumer Cyclical Fixed Income 25,632.55 0.04 25,632.55 nan 4.15 4.10 6.12
APPLE INC Technology Fixed Income 25,625.83 0.04 25,625.83 nan 3.95 4.20 3.87
KROGER CO Consumer Non-Cyclical Fixed Income 25,605.69 0.04 25,605.69 nan 5.85 5.65 15.03
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 25,605.69 0.04 25,605.69 BMYC5X3 5.55 3.13 14.93
TOTALENERGIES CAPITAL SA Energy Fixed Income 25,605.69 0.04 25,605.69 nan 5.71 5.42 15.32
BARCLAYS PLC Banking Fixed Income 25,551.98 0.04 25,551.98 nan 4.58 4.94 3.23
ENERGY TRANSFER OPERATING LP Energy Fixed Income 25,498.27 0.04 25,498.27 BL3BQC0 6.17 5.00 12.93
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 25,478.13 0.04 25,478.13 BN6SF14 4.64 2.13 5.15
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 25,471.42 0.04 25,471.42 BG5QTB8 5.85 4.54 12.53
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 25,471.42 0.04 25,471.42 nan 5.43 2.91 11.66
AT&T INC Communications Fixed Income 25,404.28 0.04 25,404.28 BD3HCY6 5.87 4.50 12.75
AT&T INC Communications Fixed Income 25,404.28 0.04 25,404.28 BG6F4D1 4.31 4.30 3.61
GEORGIA POWER COMPANY Electric Fixed Income 25,404.28 0.04 25,404.28 nan 4.75 5.25 6.48
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 25,384.14 0.04 25,384.14 nan 4.32 5.25 4.65
FIFTH THIRD BANCORP Banking Fixed Income 25,343.86 0.04 25,343.86 nan 4.58 4.89 3.22
BARCLAYS PLC Banking Fixed Income 25,249.87 0.04 25,249.87 BYT35M4 5.44 5.25 11.76
JBS USA HOLDING LUX SARL Consumer Non-Cyclical Fixed Income 25,236.44 0.04 25,236.44 nan 6.15 7.25 12.69
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 25,229.73 0.04 25,229.73 BFX84P8 5.44 4.20 13.34
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 25,209.59 0.04 25,209.59 nan 5.44 6.10 5.25
COMCAST CORPORATION Communications Fixed Income 25,189.45 0.04 25,189.45 BFWQ3V2 5.93 3.97 13.07
ORACLE CORPORATION Technology Fixed Income 25,189.45 0.04 25,189.45 BWTM334 6.82 4.13 11.73
CRH SMW FINANCE DAC Capital Goods Fixed Income 25,176.02 0.04 25,176.02 nan 4.33 5.13 3.55
JPMORGAN CHASE & CO Banking Fixed Income 25,129.03 0.04 25,129.03 B7FRRL4 5.19 5.40 10.64
GENERAL ELECTRIC CO Capital Goods Fixed Income 25,108.89 0.04 25,108.89 nan 4.71 4.90 7.68
ORACLE CORPORATION Technology Fixed Income 25,102.17 0.04 25,102.17 BF4ZFF5 6.21 3.80 8.94
EXXON MOBIL CORP Energy Fixed Income 25,095.46 0.04 25,095.46 BJP4010 5.46 3.10 14.60
INTEL CORPORATION Technology Fixed Income 25,095.46 0.04 25,095.46 nan 4.72 4.15 5.52
SHELL FINANCE US INC Energy Fixed Income 25,088.74 0.04 25,088.74 BT26H41 5.53 3.25 14.67
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 25,082.03 0.04 25,082.03 BR82SK2 4.06 4.90 4.65
ORACLE CORPORATION Technology Fixed Income 25,055.18 0.04 25,055.18 nan 5.62 4.90 5.70
WALT DISNEY CO Communications Fixed Income 25,048.46 0.04 25,048.46 BL98SS5 5.04 4.63 10.03
DIAMONDBACK ENERGY INC Energy Fixed Income 25,028.32 0.04 25,028.32 BQWR7X2 4.92 6.25 5.66
BROADCOM INC Technology Fixed Income 25,014.89 0.04 25,014.89 nan 4.30 5.05 3.73
ENERGY TRANSFER LP Energy Fixed Income 24,994.75 0.04 24,994.75 nan 5.15 5.60 6.66
SOUTHERN COMPANY (THE) Electric Fixed Income 24,988.04 0.04 24,988.04 nan 4.34 3.70 3.86
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 24,961.19 0.04 24,961.19 nan 5.53 5.25 14.02
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 24,961.19 0.04 24,961.19 nan 5.05 6.15 5.66
BOEING CO Capital Goods Fixed Income 24,941.04 0.04 24,941.04 BKPHQH4 4.92 3.25 7.47
BANCO SANTANDER SA (FXD) Banking Fixed Income 24,920.90 0.04 24,920.90 nan 4.56 4.55 4.21
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 24,900.76 0.04 24,900.76 BLGYSB9 5.02 5.75 5.77
SOUTHERN COMPANY (THE) Electric Fixed Income 24,900.76 0.04 24,900.76 BQB6DF4 4.99 4.85 7.17
CROWN CASTLE INC Communications Fixed Income 24,887.34 0.04 24,887.34 BN0WR16 4.92 5.10 5.95
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 24,867.20 0.04 24,867.20 nan 5.00 5.58 6.89
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 24,820.20 0.04 24,820.20 BJ521C2 4.19 4.90 4.40
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 24,820.20 0.04 24,820.20 nan 5.12 5.75 6.58
KINDER MORGAN INC Energy Fixed Income 24,820.20 0.04 24,820.20 BST78D6 5.73 5.55 11.58
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 24,813.49 0.04 24,813.49 BF8QNN8 5.53 4.63 13.24
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 24,793.35 0.04 24,793.35 nan 4.61 5.25 3.63
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 24,786.63 0.04 24,786.63 BMWV9D0 5.08 4.13 9.94
US BANCORP MTN Banking Fixed Income 24,759.78 0.04 24,759.78 nan 4.39 5.10 3.17
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 24,746.35 0.04 24,746.35 BMTYVB4 5.21 5.50 8.22
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 24,739.64 0.04 24,739.64 BQ0MLB5 6.01 5.88 13.29
CENTENE CORPORATION Insurance Fixed Income 24,739.64 0.04 24,739.64 BKVDKR4 5.50 3.00 4.26
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 24,726.21 0.04 24,726.21 nan 5.91 6.65 6.01
T-MOBILE USA INC Communications Fixed Income 24,699.36 0.03 24,699.36 BQBCJR6 5.85 5.75 13.71
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 24,672.50 0.03 24,672.50 BMCY3Z9 5.42 3.21 11.22
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 24,665.79 0.03 24,665.79 BPJN8T9 4.93 5.68 6.42
APPLE INC Technology Fixed Income 24,659.07 0.03 24,659.07 BM6NVC5 5.10 4.45 12.00
HSBC HOLDINGS PLC Banking Fixed Income 24,638.93 0.03 24,638.93 BMWK7Q6 4.76 2.87 5.22
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 24,618.79 0.03 24,618.79 nan 4.58 4.25 5.74
US BANCORP Banking Fixed Income 24,618.79 0.03 24,618.79 nan 4.25 1.38 4.27
SOUTH BOW USA INFRASTRUCTURE HOLDI Energy Fixed Income 24,612.08 0.03 24,612.08 BNTFYD7 5.44 5.58 6.70
SHELL FINANCE US INC Energy Fixed Income 24,585.22 0.03 24,585.22 nan 4.07 2.38 3.54
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 24,578.51 0.03 24,578.51 nan 5.07 5.63 7.21
HP INC Technology Fixed Income 24,558.37 0.03 24,558.37 nan 4.81 2.65 4.90
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 24,558.37 0.03 24,558.37 nan 4.35 5.49 2.97
MERCK & CO INC Consumer Non-Cyclical Fixed Income 24,551.66 0.03 24,551.66 nan 5.36 4.90 11.68
ONEOK INC Energy Fixed Income 24,551.66 0.03 24,551.66 nan 4.90 6.10 5.52
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 24,544.94 0.03 24,544.94 nan 3.98 2.30 5.45
KENVUE INC Consumer Non-Cyclical Fixed Income 24,531.51 0.03 24,531.51 nan 5.63 5.05 13.88
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 24,524.80 0.03 24,524.80 BMCJWJ1 4.65 4.89 6.21
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 24,524.80 0.03 24,524.80 BMDX623 4.33 2.25 4.05
TRANSCANADA PIPELINES LTD Energy Fixed Income 24,511.37 0.03 24,511.37 B287YY8 5.37 6.20 8.27
HOME DEPOT INC Consumer Cyclical Fixed Income 24,504.66 0.03 24,504.66 BDGLXQ4 5.45 3.90 13.39
MORGAN STANLEY MTN Banking Fixed Income 24,497.95 0.03 24,497.95 nan 4.51 5.23 3.55
JPMORGAN CHASE & CO Banking Fixed Income 24,491.23 0.03 24,491.23 BLC8C68 4.88 4.49 3.70
HSBC HOLDINGS PLC Banking Fixed Income 24,484.52 0.03 24,484.52 BKJL6Z0 5.40 5.25 11.32
ADOBE INC Technology Fixed Income 24,471.09 0.03 24,471.09 BJSB7N9 4.09 2.30 3.73
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 24,464.38 0.03 24,464.38 nan 4.99 4.95 6.82
VISA INC Technology Fixed Income 24,464.38 0.03 24,464.38 BM6KKH4 3.97 2.05 3.95
EOG RESOURCES INC Energy Fixed Income 24,410.67 0.03 24,410.67 nan 5.69 5.65 14.00
ORACLE CORPORATION Technology Fixed Income 24,383.82 0.03 24,383.82 B2QR213 6.25 6.50 8.25
CITIBANK NA Banking Fixed Income 24,370.39 0.03 24,370.39 BVFBKM6 4.27 4.91 3.86
CROWN CASTLE INC Communications Fixed Income 24,370.39 0.03 24,370.39 nan 4.71 2.10 4.77
SMURFIT WESTROCK FINANCING DAC Basic Industry Fixed Income 24,350.25 0.03 24,350.25 nan 5.00 5.42 7.06
HUMANA INC Insurance Fixed Income 24,343.53 0.03 24,343.53 BL97DH6 4.70 2.15 5.45
ORACLE CORPORATION Technology Fixed Income 24,336.82 0.03 24,336.82 nan 5.01 4.65 3.79
APPLE INC Technology Fixed Income 24,296.54 0.03 24,296.54 BLN8MV2 5.37 2.55 18.00
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 24,269.68 0.03 24,269.68 nan 4.17 4.40 4.01
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 24,262.97 0.03 24,262.97 nan 4.86 5.30 6.62
APPLE INC Technology Fixed Income 24,249.54 0.03 24,249.54 BKP9GX6 5.39 2.65 15.65
CONOCOPHILLIPS CO Energy Fixed Income 24,249.54 0.03 24,249.54 nan 4.79 5.00 7.17
EQUINIX INC Technology Fixed Income 24,215.98 0.03 24,215.98 nan 4.65 3.90 5.38
JPMORGAN CHASE & CO Banking Fixed Income 24,202.55 0.03 24,202.55 BNDQ2D2 4.45 1.76 4.51
COMCAST CORPORATION Communications Fixed Income 24,195.83 0.03 24,195.83 BMGQ5B1 4.24 3.40 3.80
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 24,189.12 0.03 24,189.12 nan 5.44 5.50 14.14
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 24,182.41 0.03 24,182.41 BJZ7ZQ9 5.28 4.40 11.95
HOME DEPOT INC Consumer Cyclical Fixed Income 24,175.69 0.03 24,175.69 nan 4.63 4.95 6.82
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 24,175.69 0.03 24,175.69 nan 5.11 5.20 7.40
FISERV INC Technology Fixed Income 24,168.98 0.03 24,168.98 nan 5.13 5.63 5.99
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 24,148.84 0.03 24,148.84 B5NNJ47 5.31 4.13 11.05
CSX CORP Transportation Fixed Income 24,142.13 0.03 24,142.13 nan 4.39 4.10 5.82
UNION PACIFIC CORPORATION Transportation Fixed Income 24,135.41 0.03 24,135.41 nan 4.34 2.80 5.39
ELEVANCE HEALTH INC Insurance Fixed Income 24,128.70 0.03 24,128.70 nan 4.37 2.25 4.01
METLIFE INC Insurance Fixed Income 24,121.99 0.03 24,121.99 B0BXDC0 4.79 5.70 7.26
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 24,101.84 0.03 24,101.84 nan 4.65 5.75 4.25
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 24,088.42 0.03 24,088.42 nan 4.49 5.35 3.53
AMAZON.COM INC Consumer Cyclical Fixed Income 24,081.70 0.03 24,081.70 BLPP192 5.56 4.10 16.20
BROADCOM INC 144A Technology Fixed Income 24,054.85 0.03 24,054.85 nan 4.15 4.00 2.96
CROWN CASTLE INC Communications Fixed Income 24,054.85 0.03 24,054.85 BS4CSJ2 5.06 5.80 6.31
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 24,027.99 0.03 24,027.99 BRXH288 4.11 4.70 3.91
IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 24,027.99 0.03 24,027.99 nan 5.71 5.30 13.74
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 24,007.85 0.03 24,007.85 nan 4.29 4.00 4.25
JPMORGAN CHASE & CO Banking Fixed Income 23,994.43 0.03 23,994.43 B6QKFT9 5.20 5.60 10.37
WELLS FARGO & COMPANY MTN Banking Fixed Income 23,981.00 0.03 23,981.00 BDSFRX9 5.70 4.75 12.50
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 23,967.57 0.03 23,967.57 nan 5.08 6.40 5.87
UNITEDHEALTH GROUP INC Insurance Fixed Income 23,960.86 0.03 23,960.86 nan 4.19 4.80 3.59
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 23,920.58 0.03 23,920.58 BN13PD6 5.56 2.55 15.74
BROADCOM INC Technology Fixed Income 23,920.58 0.03 23,920.58 BS6VJM7 4.45 5.15 4.95
DELL INTERNATIONAL LLC Technology Fixed Income 23,880.30 0.03 23,880.30 nan 5.02 5.40 6.51
UNITED PARCEL SERVICE INC Transportation Fixed Income 23,860.15 0.03 23,860.15 nan 4.37 4.88 5.87
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 23,846.73 0.03 23,846.73 nan 4.37 4.60 4.40
CANADIAN IMPERIAL (FX-FRN) Banking Fixed Income 23,840.01 0.03 23,840.01 nan 4.47 5.25 3.55
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 23,833.30 0.03 23,833.30 nan 4.93 3.40 6.60
PACIFICORP Electric Fixed Income 23,833.30 0.03 23,833.30 nan 5.19 5.45 6.32
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 23,806.45 0.03 23,806.45 nan 4.17 2.13 3.82
VERIZON COMMUNICATIONS INC Communications Fixed Income 23,806.45 0.03 23,806.45 BYRLSF4 5.77 4.52 12.97
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 23,793.02 0.03 23,793.02 BKPKLT0 5.60 3.40 10.84
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 23,786.30 0.03 23,786.30 BPCTJS0 7.03 5.25 12.49
GENERAL ELECTRIC CO Capital Goods Fixed Income 23,786.30 0.03 23,786.30 nan 4.15 4.30 3.98
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 23,786.30 0.03 23,786.30 nan 4.99 5.15 7.37
BANCO SANTANDER SA Banking Fixed Income 23,772.88 0.03 23,772.88 BRF3T49 5.16 6.92 5.76
CISCO SYSTEMS INC Technology Fixed Income 23,746.02 0.03 23,746.02 nan 4.73 5.10 7.09
BANCO SANTANDER SA Banking Fixed Income 23,739.31 0.03 23,739.31 nan 5.10 5.13 7.53
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 23,732.60 0.03 23,732.60 nan 4.55 5.25 4.27
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 23,725.88 0.03 23,725.88 nan 4.49 4.75 5.80
SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 23,719.17 0.03 23,719.17 nan 5.73 6.60 12.40
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 23,705.74 0.03 23,705.74 BD5W7X3 4.75 3.40 9.53
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 23,699.03 0.03 23,699.03 BHWTW63 4.11 3.13 3.23
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 23,685.60 0.03 23,685.60 BP091C0 4.15 4.70 3.55
FOX CORP Communications Fixed Income 23,652.03 0.03 23,652.03 BM63802 5.83 5.58 12.69
UNION PACIFIC CORPORATION Transportation Fixed Income 23,652.03 0.03 23,652.03 BLF0CQ1 5.58 3.84 16.06
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 23,645.32 0.03 23,645.32 nan 4.55 5.15 5.80
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 23,638.61 0.03 23,638.61 BMZ3RL7 4.79 3.25 5.26
T-MOBILE USA INC Communications Fixed Income 23,638.61 0.03 23,638.61 nan 4.70 5.20 5.81
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 23,631.89 0.03 23,631.89 nan 4.58 4.85 6.47
HCA INC Consumer Non-Cyclical Fixed Income 23,618.46 0.03 23,618.46 nan 4.40 5.25 3.59
MARATHON PETROLEUM CORP Energy Fixed Income 23,611.75 0.03 23,611.75 B6W1ZC9 5.73 6.50 9.54
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 23,591.61 0.03 23,591.61 nan 4.33 4.81 3.87
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 23,578.18 0.03 23,578.18 nan 4.66 5.05 5.81
TARGA RESOURCES CORP Energy Fixed Income 23,571.47 0.03 23,571.47 BTPHWY6 5.27 5.65 7.46
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 23,564.76 0.03 23,564.76 BSNBJW0 5.41 4.50 11.95
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 23,564.76 0.03 23,564.76 nan 4.19 2.00 5.17
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 23,558.04 0.03 23,558.04 nan 4.32 2.56 3.77
AMGEN INC Consumer Non-Cyclical Fixed Income 23,551.33 0.03 23,551.33 BMH9SK9 5.67 4.88 13.90
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 23,551.33 0.03 23,551.33 nan 4.97 5.95 5.98
AT&T INC Communications Fixed Income 23,537.90 0.03 23,537.90 nan 4.33 4.70 3.95
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 23,537.90 0.03 23,537.90 nan 4.91 3.04 4.80
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 23,531.19 0.03 23,531.19 BKVKRK7 6.29 6.60 10.97
VODAFONE GROUP PLC Communications Fixed Income 23,517.76 0.03 23,517.76 BK6WV73 5.78 4.88 13.14
BARCLAYS PLC (FXD TO FLOAT) Banking Fixed Income 23,511.05 0.03 23,511.05 nan 5.56 5.86 11.41
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 23,504.33 0.03 23,504.33 nan 6.00 6.20 13.33
AT&T INC Communications Fixed Income 23,497.62 0.03 23,497.62 nan 5.96 6.05 13.44
WILLIAMS COMPANIES INC Energy Fixed Income 23,497.62 0.03 23,497.62 B3RZKK8 5.49 6.30 9.37
MPLX LP Energy Fixed Income 23,490.91 0.03 23,490.91 BYZGJY7 6.04 4.70 12.61
LOWES COMPANIES INC Consumer Cyclical Fixed Income 23,484.19 0.03 23,484.19 BN4NTS6 5.64 3.00 15.02
WASTE MANAGEMENT INC Capital Goods Fixed Income 23,477.48 0.03 23,477.48 nan 4.74 4.95 7.18
BANK OF AMERICA CORP Banking Fixed Income 23,470.77 0.03 23,470.77 BNZKS56 5.44 2.97 15.63
INTEL CORPORATION Technology Fixed Income 23,470.77 0.03 23,470.77 nan 6.00 3.25 14.26
CIGNA GROUP Consumer Non-Cyclical Fixed Income 23,464.05 0.03 23,464.05 BT6M1P4 5.02 5.25 7.70
M&T BANK CORPORATION Banking Fixed Income 23,464.05 0.03 23,464.05 nan 4.62 5.18 3.94
ENERGY TRANSFER LP Energy Fixed Income 23,457.34 0.03 23,457.34 nan 4.92 5.75 5.65
MIDAMERICAN ENERGY COMPANY Electric Fixed Income 23,457.34 0.03 23,457.34 BNSP5G8 5.57 5.85 13.81
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 23,437.20 0.03 23,437.20 BSLSJY5 5.44 5.05 14.29
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 23,417.06 0.03 23,417.06 BR3XVJ0 5.51 5.50 14.15
COCA-COLA CO Consumer Non-Cyclical Fixed Income 23,410.34 0.03 23,410.34 nan 4.10 1.38 4.84
AUTOMATIC DATA PROCESSING INC Technology Fixed Income 23,403.63 0.03 23,403.63 nan 4.32 4.75 5.35
AMERICAN TOWER CORPORATION Communications Fixed Income 23,396.92 0.03 23,396.92 BL9BW37 4.36 2.90 3.69
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 23,396.92 0.03 23,396.92 nan 5.02 5.70 6.58
VISA INC Technology Fixed Income 23,396.92 0.03 23,396.92 BMPS1L0 5.34 2.00 16.56
PHILLIPS 66 Energy Fixed Income 23,390.20 0.03 23,390.20 BSN4Q40 5.83 4.88 11.64
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 23,370.06 0.03 23,370.06 nan 4.67 5.25 3.60
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 23,356.63 0.03 23,356.63 nan 4.52 5.55 2.97
T-MOBILE USA INC Communications Fixed Income 23,343.21 0.03 23,343.21 nan 5.09 5.00 7.80
ARTHUR J GALLAGHER & CO Insurance Fixed Income 23,296.21 0.03 23,296.21 nan 4.99 5.15 7.02
DELL INTERNATIONAL LLC Technology Fixed Income 23,296.21 0.03 23,296.21 nan 5.53 8.10 7.35
LOCKHEED MARTIN CORP Capital Goods Fixed Income 23,296.21 0.03 23,296.21 BBD6G92 5.28 4.07 11.61
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 23,296.21 0.03 23,296.21 BNKDB17 5.52 5.13 13.91
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 23,276.07 0.03 23,276.07 BRBD9B0 5.52 5.20 14.18
WALMART INC Consumer Cyclical Fixed Income 23,276.07 0.03 23,276.07 nan 3.99 1.80 5.24
ORACLE CORPORATION Technology Fixed Income 23,262.64 0.03 23,262.64 nan 5.93 5.50 7.09
S&P GLOBAL INC Technology Fixed Income 23,262.64 0.03 23,262.64 nan 4.43 2.90 5.42
MICRON TECHNOLOGY INC Technology Fixed Income 23,222.36 0.03 23,222.36 nan 5.08 6.05 7.32
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 23,208.93 0.03 23,208.93 BJLRB98 4.07 3.74 2.87
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 23,188.79 0.03 23,188.79 nan 4.43 2.85 4.73
PROLOGIS LP Reits Fixed Income 23,188.79 0.03 23,188.79 nan 4.63 4.75 6.14
HOME DEPOT INC Consumer Cyclical Fixed Income 23,148.51 0.03 23,148.51 BPLZ008 5.47 4.95 13.96
ROPER TECHNOLOGIES INC Technology Fixed Income 23,148.51 0.03 23,148.51 BL9YSK5 4.49 1.75 4.69
DIAMONDBACK ENERGY INC Energy Fixed Income 23,135.08 0.03 23,135.08 nan 5.02 5.40 6.51
GLOBAL PAYMENTS INC Technology Fixed Income 23,135.08 0.03 23,135.08 nan 5.19 5.20 5.61
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 23,128.37 0.03 23,128.37 nan 4.86 5.30 6.76
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 23,121.66 0.03 23,121.66 B46LC31 5.14 8.20 8.58
INTEL CORPORATION Technology Fixed Income 23,121.66 0.03 23,121.66 BSNWTF6 6.05 5.60 13.29
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 23,114.94 0.03 23,114.94 nan 4.98 5.06 7.75
ORACLE CORPORATION Technology Fixed Income 23,101.52 0.03 23,101.52 B3LR141 6.33 6.13 9.00
APPLE INC Technology Fixed Income 23,081.38 0.03 23,081.38 BNYNTH5 5.36 3.95 14.68
MPLX LP Energy Fixed Income 23,074.66 0.03 23,074.66 BYXT874 6.00 5.20 11.97
BELL TELEPHONE COMPANY OF CANADA O Communications Fixed Income 23,061.24 0.03 23,061.24 nan 4.83 5.10 5.98
HCA INC Consumer Non-Cyclical Fixed Income 23,054.52 0.03 23,054.52 nan 4.73 5.50 5.05
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 23,054.52 0.03 23,054.52 nan 4.61 4.50 6.62
MICRON TECHNOLOGY INC Technology Fixed Income 23,054.52 0.03 23,054.52 nan 4.90 5.88 6.04
ELEVANCE HEALTH INC Insurance Fixed Income 23,054.52 0.03 23,054.52 B87XCP6 5.48 4.63 10.95
ABBOTT LABORATORIES Consumer Non-Cyclical Fixed Income 23,047.81 0.03 23,047.81 BYVQ5V0 4.77 4.75 8.34
WALMART INC Consumer Cyclical Fixed Income 23,047.81 0.03 23,047.81 nan 3.95 4.35 3.82
HP INC Technology Fixed Income 23,027.67 0.03 23,027.67 nan 5.06 5.50 5.74
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 23,020.95 0.03 23,020.95 nan 5.18 5.00 6.88
WOODSIDE FINANCE LTD Energy Fixed Income 23,014.24 0.03 23,014.24 nan 5.41 6.00 7.05
BROADCOM INC Technology Fixed Income 22,994.10 0.03 22,994.10 nan 4.65 4.60 5.89
LOWES COMPANIES INC Consumer Cyclical Fixed Income 22,987.39 0.03 22,987.39 nan 4.63 5.15 6.13
HSBC HOLDINGS PLC Banking Fixed Income 22,980.67 0.03 22,980.67 nan 5.48 6.50 8.09
US BANCORP MTN Banking Fixed Income 22,980.67 0.03 22,980.67 BRXDCZ3 4.90 5.84 5.63
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 22,947.10 0.03 22,947.10 BM8MLZ3 5.11 4.50 14.11
DUKE ENERGY FLORIDA LLC Electric Fixed Income 22,947.10 0.03 22,947.10 B39XY20 5.13 6.40 8.68
LOWES COMPANIES INC Consumer Cyclical Fixed Income 22,926.96 0.03 22,926.96 BMH1W14 4.21 4.50 3.77
KINDER MORGAN ENERGY PARTNERS LP Energy Fixed Income 22,900.11 0.03 22,900.11 B1Z54W6 5.38 6.95 8.33
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 22,886.68 0.03 22,886.68 nan 4.71 4.90 7.53
LOWES COMPANIES INC Consumer Cyclical Fixed Income 22,866.54 0.03 22,866.54 BNNPR34 5.72 5.63 13.54
WILLIAMS COMPANIES INC Energy Fixed Income 22,866.54 0.03 22,866.54 nan 5.07 5.30 7.40
BIOGEN INC Consumer Non-Cyclical Fixed Income 22,859.83 0.03 22,859.83 BYNPNY4 5.78 5.20 11.67
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 22,859.83 0.03 22,859.83 nan 4.17 4.85 3.57
LOWES COMPANIES INC Consumer Cyclical Fixed Income 22,839.69 0.03 22,839.69 BD0SCD1 5.62 3.70 12.93
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 22,832.97 0.03 22,832.97 nan 4.98 5.35 7.06
UNITED PARCEL SERVICE INC Transportation Fixed Income 22,832.97 0.03 22,832.97 BQMRXX4 5.59 5.05 13.87
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 22,799.40 0.03 22,799.40 nan 5.51 5.80 14.19
GENERAL MOTORS CO Consumer Cyclical Fixed Income 22,779.26 0.03 22,779.26 BSKDLG7 6.03 5.20 11.43
T-MOBILE USA INC Communications Fixed Income 22,772.55 0.03 22,772.55 BMW1GL7 5.42 4.38 10.09
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 22,738.98 0.03 22,738.98 nan 3.80 4.80 3.06
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 22,718.84 0.03 22,718.84 BD9BPH6 5.99 4.00 12.78
UNITEDHEALTH GROUP INC Insurance Fixed Income 22,718.84 0.03 22,718.84 BJMSRY7 5.21 3.50 10.14
VERIZON COMMUNICATIONS INC Communications Fixed Income 22,705.41 0.03 22,705.41 nan 4.38 1.68 4.46
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 22,678.56 0.03 22,678.56 BF7MH35 5.44 4.44 13.31
PFIZER INC Consumer Non-Cyclical Fixed Income 22,678.56 0.03 22,678.56 BJR2186 5.10 3.90 9.79
ARTHUR J GALLAGHER & CO Insurance Fixed Income 22,658.42 0.03 22,658.42 nan 4.25 4.85 3.50
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 22,651.71 0.03 22,651.71 nan 4.59 5.10 6.59
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 22,651.71 0.03 22,651.71 nan 4.92 6.56 6.05
KENVUE INC Consumer Non-Cyclical Fixed Income 22,651.71 0.03 22,651.71 BLFCLD7 4.28 5.00 3.67
ORACLE CORPORATION Technology Fixed Income 22,644.99 0.03 22,644.99 BMYLXB4 6.55 3.65 10.53
UNITEDHEALTH GROUP INC Insurance Fixed Income 22,644.99 0.03 22,644.99 BLPK6R0 5.35 3.05 11.41
JPMORGAN CHASE & CO Banking Fixed Income 22,638.28 0.03 22,638.28 BNDQ298 5.26 2.52 11.54
NISOURCE INC Natural Gas Fixed Income 22,631.56 0.03 22,631.56 nan 5.79 5.85 13.73
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 22,631.56 0.03 22,631.56 BV6KMB5 5.52 5.75 14.00
T-MOBILE USA INC Communications Fixed Income 22,631.56 0.03 22,631.56 nan 5.84 5.88 13.88
COMCAST CORPORATION Communications Fixed Income 22,618.14 0.03 22,618.14 nan 6.00 6.05 13.54
PAYPAL HOLDINGS INC Technology Fixed Income 22,577.86 0.03 22,577.86 nan 4.45 4.40 5.45
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 22,557.71 0.03 22,557.71 BMGYMN6 3.92 1.30 4.36
APPLE INC Technology Fixed Income 22,537.57 0.03 22,537.57 nan 3.99 1.65 4.06
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 22,510.72 0.03 22,510.72 nan 4.75 5.25 6.39
ALPHABET INC Technology Fixed Income 22,483.87 0.03 22,483.87 BMD7ZS4 5.29 2.25 18.69
HOME DEPOT INC Consumer Cyclical Fixed Income 22,483.87 0.03 22,483.87 BMQ5MC8 5.09 3.30 10.72
UNITEDHEALTH GROUP INC Insurance Fixed Income 22,483.87 0.03 22,483.87 BPDY8C1 5.50 5.50 11.49
UNITEDHEALTH GROUP INC Insurance Fixed Income 22,477.15 0.03 22,477.15 BSSHCL3 5.79 5.50 15.21
INTEL CORPORATION Technology Fixed Income 22,470.44 0.03 22,470.44 BDDQWX2 6.02 4.10 12.51
VALERO ENERGY CORPORATION Energy Fixed Income 22,443.58 0.03 22,443.58 B1YLTG4 5.37 6.63 8.08
TEXAS INSTRUMENTS INC Technology Fixed Income 22,436.87 0.03 22,436.87 BMCJZD6 5.61 5.05 15.70
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 22,423.44 0.03 22,423.44 nan 4.80 3.10 5.33
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 22,423.44 0.03 22,423.44 nan 5.16 6.10 6.29
ROYAL BANK OF CANADA MTN Banking Fixed Income 22,423.44 0.03 22,423.44 nan 4.44 3.88 5.45
WOODSIDE FINANCE LTD Energy Fixed Income 22,423.44 0.03 22,423.44 nan 4.71 5.40 3.79
HOME DEPOT INC Consumer Cyclical Fixed Income 22,410.02 0.03 22,410.02 nan 4.26 1.88 5.20
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 22,403.30 0.03 22,403.30 nan 4.58 2.49 5.17
VICI PROPERTIES LP Consumer Cyclical Fixed Income 22,403.30 0.03 22,403.30 nan 4.91 5.13 4.93
COMCAST CORPORATION Communications Fixed Income 22,396.59 0.03 22,396.59 B92PSY5 4.62 4.25 5.95
JBS NV Consumer Non-Cyclical Fixed Income 22,396.59 0.03 22,396.59 2PGWWX1 5.23 5.50 7.62
UNITEDHEALTH GROUP INC Insurance Fixed Income 22,383.16 0.03 22,383.16 BYZLN95 5.58 3.75 13.43
HCA INC Consumer Non-Cyclical Fixed Income 22,376.45 0.03 22,376.45 nan 4.79 4.60 5.71
NVIDIA CORPORATION Technology Fixed Income 22,349.59 0.03 22,349.59 BKP3KQ9 5.02 3.50 10.59
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 22,349.59 0.03 22,349.59 nan 5.32 6.00 7.09
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 22,336.17 0.03 22,336.17 BKY7998 6.82 3.90 13.54
WILLIAMS COMPANIES INC Energy Fixed Income 22,329.45 0.03 22,329.45 nan 4.45 3.50 4.33
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 22,322.74 0.03 22,322.74 BQY7CZ7 4.17 4.38 6.57
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 22,302.60 0.03 22,302.60 nan 4.72 5.38 4.99
ROYAL BANK OF CANADA MTN Banking Fixed Income 22,295.88 0.03 22,295.88 nan 4.58 5.00 5.99
CRH AMERICA FINANCE INC Capital Goods Fixed Income 22,289.17 0.03 22,289.17 nan 4.42 4.40 4.42
COCA-COLA CO Consumer Non-Cyclical Fixed Income 22,282.46 0.03 22,282.46 nan 4.41 5.00 6.71
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 22,282.46 0.03 22,282.46 BT8P667 4.77 4.95 7.09
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 22,282.46 0.03 22,282.46 nan 4.67 2.85 5.38
SHELL FINANCE US INC Energy Fixed Income 22,282.46 0.03 22,282.46 nan 5.49 3.75 13.06
WILLIAMS COMPANIES INC Energy Fixed Income 22,275.74 0.03 22,275.74 nan 4.68 4.65 5.48
AMERICAN ELECTRIC POWER COMPANY IN Electric Fixed Income 22,262.32 0.03 22,262.32 nan 4.81 5.63 5.72
WELLTOWER OP LLC Reits Fixed Income 22,255.60 0.03 22,255.60 nan 4.87 5.13 7.41
BOEING CO Capital Goods Fixed Income 22,248.89 0.03 22,248.89 BK1WFH6 4.90 3.60 6.93
IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 22,242.18 0.03 22,242.18 nan 5.50 5.25 11.17
COMCAST CORPORATION Communications Fixed Income 22,235.46 0.03 22,235.46 BQPF818 6.02 5.35 13.49
META PLATFORMS INC Communications Fixed Income 22,222.03 0.03 22,222.03 BT3NFH0 4.26 4.55 4.78
MASTERCARD INC Technology Fixed Income 22,222.03 0.03 22,222.03 nan 4.29 4.35 5.20
HOME DEPOT INC Consumer Cyclical Fixed Income 22,215.32 0.03 22,215.32 BMQ5M95 4.13 2.70 3.90
FLORIDA POWER & LIGHT CO Electric Fixed Income 22,208.61 0.03 22,208.61 nan 4.62 5.30 6.72
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 22,188.47 0.03 22,188.47 nan 4.82 6.63 3.87
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 22,188.47 0.03 22,188.47 nan 4.92 5.05 5.56
ALPHABET INC Technology Fixed Income 22,181.75 0.03 22,181.75 nan 4.35 4.38 5.78
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 22,175.04 0.03 22,175.04 nan 5.56 3.85 11.06
DOMINION ENERGY INC Electric Fixed Income 22,168.33 0.03 22,168.33 nan 4.37 5.00 3.89
ENBRIDGE INC Energy Fixed Income 22,161.61 0.03 22,161.61 nan 4.97 5.63 6.44
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 22,161.61 0.03 22,161.61 nan 4.31 3.95 2.96
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 22,154.90 0.03 22,154.90 B1FTHZ2 5.02 6.13 7.51
INTEL CORPORATION Technology Fixed Income 22,148.18 0.03 22,148.18 BQHM3Q7 6.09 4.90 13.31
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 22,134.76 0.03 22,134.76 nan 4.11 1.38 4.28
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 22,134.76 0.03 22,134.76 BMC5GZ3 4.15 3.63 3.80
ORACLE CORPORATION Technology Fixed Income 22,114.62 0.03 22,114.62 BLFBZX2 7.00 5.38 12.65
TARGA RESOURCES CORP Energy Fixed Income 22,114.62 0.03 22,114.62 nan 5.15 5.50 6.93
KENVUE INC Consumer Non-Cyclical Fixed Income 22,094.48 0.03 22,094.48 nan 4.48 4.85 5.36
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 22,087.76 0.03 22,087.76 nan 4.45 4.47 5.66
GENERAL ELECTRIC CO MTN Capital Goods Fixed Income 22,074.34 0.03 22,074.34 B2NJ7Z1 4.94 5.88 8.67
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 22,074.34 0.03 22,074.34 BNNMQV6 6.14 6.75 12.84
COMCAST CORPORATION Communications Fixed Income 22,054.19 0.03 22,054.19 BGGFK99 6.04 4.95 14.49
TARGET CORPORATION Consumer Cyclical Fixed Income 22,040.77 0.03 22,040.77 BMD54D6 4.37 4.50 5.60
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 22,034.05 0.03 22,034.05 nan 4.04 1.95 4.87
DUKE ENERGY CORP Electric Fixed Income 22,027.34 0.03 22,027.34 nan 4.57 4.50 5.51
PFIZER INC Consumer Non-Cyclical Fixed Income 21,993.77 0.03 21,993.77 BZ3FFH8 5.48 4.13 13.05
UNION PACIFIC CORPORATION Transportation Fixed Income 21,980.34 0.03 21,980.34 nan 4.15 2.38 4.89
AMERICAN TOWER CORPORATION Communications Fixed Income 21,953.49 0.03 21,953.49 BNGFY30 4.41 1.88 4.40
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 21,946.78 0.03 21,946.78 nan 5.88 6.50 6.63
UNITEDHEALTH GROUP INC Insurance Fixed Income 21,940.06 0.03 21,940.06 nan 4.49 4.95 5.13
ENBRIDGE INC Energy Fixed Income 21,933.35 0.03 21,933.35 nan 4.38 3.13 3.51
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 21,926.64 0.03 21,926.64 nan 5.34 5.45 6.86
HCA INC Consumer Non-Cyclical Fixed Income 21,906.50 0.03 21,906.50 nan 6.00 6.20 13.28
HOME DEPOT INC Consumer Cyclical Fixed Income 21,906.50 0.03 21,906.50 BKDX1Q8 5.44 3.13 14.91
MPLX LP Energy Fixed Income 21,899.78 0.03 21,899.78 BH4Q9M7 6.07 5.50 12.26
HCA INC Consumer Non-Cyclical Fixed Income 21,893.07 0.03 21,893.07 BPLJR21 5.95 4.63 13.61
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 21,886.35 0.03 21,886.35 BN6LRM8 5.50 4.95 14.04
GENERAL MOTORS CO Consumer Cyclical Fixed Income 21,872.93 0.03 21,872.93 BSJX2S7 5.24 5.00 7.15
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 21,866.21 0.03 21,866.21 nan 5.32 3.55 11.44
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 21,866.21 0.03 21,866.21 nan 4.72 5.81 6.06
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 21,866.21 0.03 21,866.21 nan 4.90 4.80 7.50
WALMART INC Consumer Cyclical Fixed Income 21,866.21 0.03 21,866.21 B2QVLK7 4.78 6.20 8.64
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 21,859.50 0.03 21,859.50 nan 4.26 4.95 6.78
MERCK & CO INC Consumer Non-Cyclical Fixed Income 21,859.50 0.03 21,859.50 BP487N6 5.64 5.15 15.58
ELEVANCE HEALTH INC Insurance Fixed Income 21,846.07 0.03 21,846.07 nan 4.62 4.60 5.57
UNITEDHEALTH GROUP INC Insurance Fixed Income 21,832.65 0.03 21,832.65 BLBRZS9 5.81 6.05 14.67
CHENIERE ENERGY PARTNERS LP 144A Energy Fixed Income 21,805.79 0.03 21,805.79 nan 5.23 5.55 7.29
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 21,799.08 0.03 21,799.08 BSNZ687 4.28 4.90 5.10
LOWES COMPANIES INC Consumer Cyclical Fixed Income 21,785.65 0.03 21,785.65 nan 4.58 5.00 5.95
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 21,785.65 0.03 21,785.65 nan 4.37 4.15 4.44
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 21,778.94 0.03 21,778.94 nan 4.40 5.86 3.59
MERCK & CO INC Consumer Non-Cyclical Fixed Income 21,772.22 0.03 21,772.22 nan 5.71 5.70 15.54
VERIZON COMMUNICATIONS INC Communications Fixed Income 21,758.80 0.03 21,758.80 BYZKXZ8 5.17 5.25 8.21
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 21,752.08 0.03 21,752.08 nan 5.54 4.35 13.10
ABBVIE INC Consumer Non-Cyclical Fixed Income 21,731.94 0.03 21,731.94 nan 5.51 5.60 14.10
MPLX LP Energy Fixed Income 21,731.94 0.03 21,731.94 nan 4.96 5.00 5.82
SIMON PROPERTY GROUP LP Reits Fixed Income 21,731.94 0.03 21,731.94 nan 4.84 4.75 6.92
ENERGY TRANSFER LP Energy Fixed Income 21,731.94 0.03 21,731.94 BSN4Q84 6.07 5.35 11.45
ARCELORMITTAL SA Basic Industry Fixed Income 21,725.23 0.03 21,725.23 nan 4.72 6.80 5.48
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 21,725.23 0.03 21,725.23 nan 4.06 4.75 3.58
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 21,711.80 0.03 21,711.80 nan 5.67 5.25 13.66
AT&T INC Communications Fixed Income 21,705.09 0.03 21,705.09 nan 4.49 2.75 4.86
MERCK & CO INC Consumer Non-Cyclical Fixed Income 21,705.09 0.03 21,705.09 nan 4.11 4.30 3.87
ELEVANCE HEALTH INC Insurance Fixed Income 21,698.37 0.03 21,698.37 BNNRY62 5.03 5.00 7.76
CRH AMERICA FINANCE INC Capital Goods Fixed Income 21,698.37 0.03 21,698.37 nan 4.85 5.40 6.62
DEVON ENERGY CORPORATION Energy Fixed Income 21,698.37 0.03 21,698.37 BSQNDD2 6.15 5.75 13.27
MICROSOFT CORPORATION Technology Fixed Income 21,698.37 0.03 21,698.37 BYP2P81 5.16 4.50 15.47
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 21,691.66 0.03 21,691.66 nan 4.41 3.25 3.89
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 21,678.23 0.03 21,678.23 BF38WR6 5.47 4.09 14.56
MERCK & CO INC Consumer Non-Cyclical Fixed Income 21,671.52 0.03 21,671.52 BMBQJZ8 5.49 2.45 15.89
DIAMONDBACK ENERGY INC Energy Fixed Income 21,664.81 0.03 21,664.81 BMW23V9 4.56 3.13 4.63
FOX CORP Communications Fixed Income 21,664.81 0.03 21,664.81 BMPRYX0 5.46 5.48 9.21
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 21,651.38 0.03 21,651.38 BP9SD44 5.44 3.10 15.49
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 21,651.38 0.03 21,651.38 BWTZ6W3 5.45 4.15 12.42
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 21,644.66 0.03 21,644.66 BMCJ8Q0 6.77 3.70 13.42
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 21,637.95 0.03 21,637.95 BD319Y7 5.19 3.70 13.06
BROADCOM INC Technology Fixed Income 21,631.24 0.03 21,631.24 nan 4.25 4.35 3.61
T-MOBILE USA INC Communications Fixed Income 21,624.52 0.03 21,624.52 BN4P5S4 5.82 6.00 13.64
BANK OF AMERICA NA Banking Fixed Income 21,617.81 0.03 21,617.81 B1G7Y98 5.07 6.00 7.85
EXELON GENERATION CO LLC Electric Fixed Income 21,597.67 0.03 21,597.67 B4LVKD2 5.41 6.25 9.15
MPLX LP Energy Fixed Income 21,590.96 0.03 21,590.96 BF2PNH5 5.47 4.50 9.01
ONEOK INC Energy Fixed Income 21,584.24 0.03 21,584.24 nan 5.27 5.40 7.33
AMGEN INC Consumer Non-Cyclical Fixed Income 21,570.81 0.03 21,570.81 nan 4.11 4.05 3.23
JBS NV Consumer Non-Cyclical Fixed Income 21,564.10 0.03 21,564.10 2PGWWX2 6.21 6.38 14.18
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 21,564.10 0.03 21,564.10 nan 4.33 5.24 3.72
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 21,543.96 0.03 21,543.96 nan 4.29 5.10 4.44
KINDER MORGAN INC Energy Fixed Income 21,537.25 0.03 21,537.25 nan 4.74 4.80 5.77
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 21,537.25 0.03 21,537.25 nan 4.27 5.13 3.56
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 21,530.53 0.03 21,530.53 nan 4.40 4.91 3.70
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 21,517.11 0.03 21,517.11 nan 5.71 3.30 10.61
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 21,510.39 0.03 21,510.39 nan 3.96 4.20 3.21
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 21,503.68 0.03 21,503.68 BNG4SJ1 5.47 3.44 11.40
AMPHENOL CORPORATION Capital Goods Fixed Income 21,496.97 0.03 21,496.97 nan 4.29 4.13 4.28
ENERGY TRANSFER LP Energy Fixed Income 21,496.97 0.03 21,496.97 nan 5.19 5.70 7.01
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 21,496.97 0.03 21,496.97 BMYR011 5.96 3.50 14.03
WASTE MANAGEMENT INC Capital Goods Fixed Income 21,496.97 0.03 21,496.97 nan 4.27 1.50 4.81
ONEOK INC Energy Fixed Income 21,490.25 0.03 21,490.25 nan 5.04 6.05 5.96
WALT DISNEY CO Communications Fixed Income 21,476.82 0.03 21,476.82 BKKKD11 3.94 2.00 3.39
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 21,456.68 0.03 21,456.68 BRJVGH1 5.50 5.20 14.25
CATERPILLAR FINANCIAL SERVICES COR MTN Capital Goods Fixed Income 21,449.97 0.03 21,449.97 nan 4.03 4.70 3.43
VICI PROPERTIES LP Consumer Cyclical Fixed Income 21,449.97 0.03 21,449.97 nan 5.31 5.63 7.01
INTEL CORPORATION Technology Fixed Income 21,409.69 0.03 21,409.69 nan 4.33 4.00 3.19
MPLX LP Energy Fixed Income 21,402.97 0.03 21,402.97 nan 6.12 5.95 13.35
COOPERATIEVE RABOBANK UA Banking Fixed Income 21,369.41 0.03 21,369.41 BGYY0D2 5.63 5.75 11.02
ROGERS COMMUNICATIONS INC Communications Fixed Income 21,362.69 0.03 21,362.69 nan 5.12 5.30 6.35
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 21,355.98 0.03 21,355.98 nan 4.64 5.10 7.06
SYNOPSYS INC Technology Fixed Income 21,355.98 0.03 21,355.98 nan 4.34 4.85 3.70
SEMPRA Natural Gas Fixed Income 21,349.27 0.03 21,349.27 B4T9B57 5.57 6.00 9.22
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 21,335.84 0.03 21,335.84 BY58YT3 5.60 5.15 11.81
TARGET CORPORATION Consumer Cyclical Fixed Income 21,329.13 0.03 21,329.13 nan 4.67 4.50 6.96
WILLIAMS COMPANIES INC Energy Fixed Income 21,329.13 0.03 21,329.13 nan 5.17 5.15 7.80
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 21,315.70 0.03 21,315.70 BLGYSF3 4.80 3.00 5.59
T-MOBILE USA INC Communications Fixed Income 21,315.70 0.03 21,315.70 nan 5.86 5.85 14.03
BARCLAYS PLC Banking Fixed Income 21,302.27 0.03 21,302.27 nan 4.60 5.37 3.56
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 21,295.56 0.03 21,295.56 nan 4.40 4.85 4.98
COCA-COLA CO Consumer Non-Cyclical Fixed Income 21,282.13 0.03 21,282.13 nan 5.36 3.00 15.30
EQUINIX EUROPE 2 FINANCING CORPORA Technology Fixed Income 21,275.42 0.03 21,275.42 nan 4.54 4.60 4.23
COMCAST CORPORATION Communications Fixed Income 21,268.70 0.03 21,268.70 BT029X4 4.84 5.30 6.67
PROLOGIS LP Reits Fixed Income 21,261.99 0.03 21,261.99 BHNBBT4 4.05 2.25 4.05
CIGNA GROUP Consumer Non-Cyclical Fixed Income 21,255.28 0.03 21,255.28 BLGBML8 4.26 2.40 3.84
WASTE MANAGEMENT INC Capital Goods Fixed Income 21,255.28 0.03 21,255.28 nan 4.27 4.95 4.73
CF INDUSTRIES INC Basic Industry Fixed Income 21,248.56 0.03 21,248.56 nan 5.28 5.30 7.53
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 21,248.56 0.03 21,248.56 nan 4.20 4.80 3.83
COMCAST CORPORATION Communications Fixed Income 21,235.13 0.03 21,235.13 BY58YR1 4.94 4.40 7.52
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 21,208.28 0.03 21,208.28 BMD2N30 5.33 3.06 11.50
TEXAS INSTRUMENTS INC Technology Fixed Income 21,208.28 0.03 21,208.28 BG0DDF6 5.44 4.15 13.46
DOMINION ENERGY INC Electric Fixed Income 21,201.57 0.03 21,201.57 nan 4.51 2.25 5.06
PROLOGIS LP Reits Fixed Income 21,201.57 0.03 21,201.57 nan 4.84 5.25 7.26
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 21,188.14 0.03 21,188.14 nan 4.64 4.05 3.58
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 21,168.00 0.03 21,168.00 BMDX2F8 6.95 3.85 14.21
CUMMINS INC Consumer Cyclical Fixed Income 21,127.72 0.03 21,127.72 nan 4.82 5.30 7.24
HOME DEPOT INC Consumer Cyclical Fixed Income 21,127.72 0.03 21,127.72 BDD8L53 5.36 4.88 11.44
CROWN CASTLE INC Communications Fixed Income 21,121.00 0.03 21,121.00 BMG11F2 4.69 2.25 4.60
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 21,121.00 0.03 21,121.00 BP39CF7 4.62 5.75 5.58
META PLATFORMS INC Communications Fixed Income 21,114.29 0.03 21,114.29 nan 4.12 4.80 3.83
FLORIDA POWER & LIGHT CO Electric Fixed Income 21,094.15 0.03 21,094.15 nan 5.61 5.60 15.77
DUKE ENERGY CORP Electric Fixed Income 21,087.44 0.03 21,087.44 nan 5.04 4.95 7.44
ABBVIE INC Consumer Non-Cyclical Fixed Income 21,074.01 0.03 21,074.01 nan 5.37 5.35 11.29
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 21,067.29 0.03 21,067.29 BPJK3B7 4.40 5.15 6.18
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 21,040.44 0.03 21,040.44 BR82SP7 5.15 5.25 14.65
PEPSICO INC Consumer Non-Cyclical Fixed Income 21,013.59 0.03 21,013.59 nan 3.96 4.50 3.19
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 21,006.87 0.03 21,006.87 nan 4.80 5.47 5.44
MPLX LP Energy Fixed Income 21,000.16 0.03 21,000.16 nan 5.28 5.40 7.28
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 20,993.44 0.03 20,993.44 nan 4.16 2.88 5.47
ELEVANCE HEALTH INC Insurance Fixed Income 20,939.74 0.03 20,939.74 nan 5.78 5.70 13.68
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 20,899.45 0.03 20,899.45 nan 4.51 5.00 6.49
GENERAL MOTORS CO Consumer Cyclical Fixed Income 20,899.45 0.03 20,899.45 BYXXXG0 5.45 6.60 7.35
PEPSICO INC Consumer Non-Cyclical Fixed Income 20,886.03 0.03 20,886.03 BZ30BC0 5.33 4.45 12.58
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 20,865.89 0.03 20,865.89 B8C0348 5.20 4.00 11.45
CENTENE CORPORATION Insurance Fixed Income 20,865.89 0.03 20,865.89 BMVX1F3 5.49 3.38 3.65
MASTERCARD INC Technology Fixed Income 20,859.17 0.03 20,859.17 nan 4.60 4.55 7.28
APPLE INC Technology Fixed Income 20,845.75 0.03 20,845.75 BL6LYZ6 5.39 2.70 15.72
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 20,845.75 0.03 20,845.75 BQKW052 5.78 6.13 6.21
T-MOBILE USA INC Communications Fixed Income 20,845.75 0.03 20,845.75 BR875P1 4.86 5.15 6.57
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 20,832.32 0.03 20,832.32 nan 4.60 6.15 3.99
GLOBAL PAYMENTS INC Technology Fixed Income 20,832.32 0.03 20,832.32 BK0WRZ9 4.63 3.20 3.26
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 20,818.89 0.03 20,818.89 B3B3L83 5.02 6.59 8.24
SWP: IFS 2.408000 05-MAY-2028 Cash and/or Derivatives Swaps 20,817.40 0.03 -1,579,182.60 nan nan 2.41 -0.03
MOTOROLA SOLUTIONS INC Technology Fixed Income 20,812.18 0.03 20,812.18 nan 4.93 5.40 6.52
AMGEN INC Consumer Non-Cyclical Fixed Income 20,792.04 0.03 20,792.04 BPY0TJ2 5.76 4.40 15.52
HUMANA INC Insurance Fixed Income 20,792.04 0.03 20,792.04 nan 4.70 5.38 4.46
CUMMINS INC Consumer Cyclical Fixed Income 20,785.32 0.03 20,785.32 nan 4.67 5.15 6.44
HCA INC Consumer Non-Cyclical Fixed Income 20,785.32 0.03 20,785.32 BND8HZ5 5.88 3.50 14.66
ELEVANCE HEALTH INC Insurance Fixed Income 20,778.61 0.03 20,778.61 BSWYK61 5.77 5.65 13.86
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 20,778.61 0.03 20,778.61 nan 4.33 4.55 5.64
GENERAL MOTORS CO Consumer Cyclical Fixed Income 20,758.47 0.03 20,758.47 nan 4.40 5.40 3.30
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 20,745.04 0.03 20,745.04 nan 5.15 5.40 6.72
ENBRIDGE INC Energy Fixed Income 20,745.04 0.03 20,745.04 BN12KM7 4.52 6.20 4.11
ELEVANCE HEALTH INC Insurance Fixed Income 20,745.04 0.03 20,745.04 BPZFRW5 5.59 4.65 11.63
AT&T INC Communications Fixed Income 20,724.90 0.03 20,724.90 BYMLXL0 5.56 5.65 11.98
FISERV INC Technology Fixed Income 20,704.76 0.03 20,704.76 nan 4.62 4.75 3.66
UNITEDHEALTH GROUP INC Insurance Fixed Income 20,677.91 0.03 20,677.91 B108F38 4.96 5.80 7.55
AMPHENOL CORPORATION Capital Goods Fixed Income 20,664.48 0.03 20,664.48 nan 4.37 2.20 5.15
SWP: OIS 2.990000 05-MAY-2053 Cash and/or Derivatives Swaps 20,640.10 0.03 -79,359.90 nan -0.45 2.99 17.49
GENERAL ELECTRIC CO MTN Capital Goods Fixed Income 20,637.62 0.03 20,637.62 BG48W16 4.31 6.75 4.98
ONEOK INC Energy Fixed Income 20,637.62 0.03 20,637.62 BFZZ811 5.95 5.20 12.64
MERCK & CO INC Consumer Non-Cyclical Fixed Income 20,624.20 0.03 20,624.20 nan 4.39 4.55 5.59
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 20,617.48 0.03 20,617.48 BNGF9D5 6.00 5.63 13.15
AT&T INC Communications Fixed Income 20,610.77 0.03 20,610.77 BMHWTR2 5.95 3.85 15.71
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 20,597.34 0.03 20,597.34 nan 4.17 1.95 4.08
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 20,597.34 0.03 20,597.34 nan 4.26 4.80 3.57
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 20,570.49 0.03 20,570.49 BQH6206 4.51 5.09 6.10
XCEL ENERGY INC Electric Fixed Income 20,563.77 0.03 20,563.77 nan 5.12 5.60 7.07
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 20,550.35 0.03 20,550.35 nan 4.70 4.99 6.60
DUKE ENERGY CORP Electric Fixed Income 20,550.35 0.03 20,550.35 BNDQRS2 5.79 5.00 13.55
EXXON MOBIL CORP Energy Fixed Income 20,550.35 0.03 20,550.35 BMDSC20 4.11 2.61 4.34
CHENIERE ENERGY PARTNERS LP Energy Fixed Income 20,543.63 0.03 20,543.63 nan 4.65 4.00 4.47
UNITEDHEALTH GROUP INC Insurance Fixed Income 20,543.63 0.03 20,543.63 B97GZH5 5.45 4.25 11.41
FEDEX CORP Transportation Fixed Income 20,536.92 0.03 20,536.92 BTMJQQ5 5.76 4.55 12.24
BOEING CO Capital Goods Fixed Income 20,536.92 0.03 20,536.92 nan 4.23 3.20 2.87
WILLIAMS COMPANIES INC Energy Fixed Income 20,530.21 0.03 20,530.21 nan 5.86 5.95 14.00
WALT DISNEY CO Communications Fixed Income 20,516.78 0.03 20,516.78 BKKK9P7 5.48 2.75 15.02
BANCO SANTANDER SA Banking Fixed Income 20,510.07 0.03 20,510.07 BKDK9G5 4.23 3.31 3.18
COSTCO WHOLESALE CORPORATION Consumer Cyclical Fixed Income 20,510.07 0.03 20,510.07 nan 4.22 1.75 5.75
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 20,510.07 0.03 20,510.07 nan 4.24 4.90 4.42
JEFFERIES GROUP LLC MTN Brokerage/Asset Managers/Exchanges Fixed Income 20,510.07 0.03 20,510.07 nan 4.92 2.63 5.15
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 20,510.07 0.03 20,510.07 BQ5HTL1 4.85 5.38 5.03
JBS NV Consumer Non-Cyclical Fixed Income 20,503.35 0.03 20,503.35 2PGWWW9 5.18 5.95 7.01
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 20,496.64 0.03 20,496.64 nan 4.90 4.63 7.66
CHEVRON USA INC Energy Fixed Income 20,489.92 0.03 20,489.92 nan 4.33 4.50 5.64
SUNOCO LOGISTICS PARTNERS OPERATIO Energy Fixed Income 20,489.92 0.03 20,489.92 BD35XM5 6.10 5.40 12.02
CIGNA GROUP Consumer Non-Cyclical Fixed Income 20,483.21 0.03 20,483.21 nan 4.69 5.40 5.80
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 20,476.50 0.03 20,476.50 nan 4.84 5.35 6.66
DIAMONDBACK ENERGY INC Energy Fixed Income 20,469.78 0.03 20,469.78 nan 5.14 5.55 7.04
JPMORGAN CHASE & CO Banking Fixed Income 20,469.78 0.03 20,469.78 nan 5.30 3.16 11.30
PEPSICO INC Consumer Non-Cyclical Fixed Income 20,463.07 0.03 20,463.07 nan 4.20 4.45 5.90
AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 20,442.93 0.03 20,442.93 nan 4.53 5.05 4.73
COMCAST CORPORATION Communications Fixed Income 20,436.22 0.03 20,436.22 nan 5.49 3.25 10.41
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 20,409.36 0.03 20,409.36 BFN8M65 5.98 4.13 12.91
AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 20,402.65 0.03 20,402.65 nan 4.68 5.13 5.87
VODAFONE GROUP PLC Communications Fixed Income 20,402.65 0.03 20,402.65 BKVJXB7 5.80 4.25 13.67
ARES CAPITAL CORPORATION Finance Companies Fixed Income 20,348.94 0.03 20,348.94 nan 5.68 5.80 4.99
DUKE ENERGY CORP Electric Fixed Income 20,348.94 0.03 20,348.94 BD381P3 5.69 3.75 12.91
UNITEDHEALTH GROUP INC Insurance Fixed Income 20,342.23 0.03 20,342.23 nan 4.45 4.20 5.43
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 20,335.51 0.03 20,335.51 BJKRNX7 5.57 4.35 13.59
JBS USA HOLDING LUX SARL Consumer Non-Cyclical Fixed Income 20,328.80 0.03 20,328.80 nan 5.15 6.75 6.19
MPLX LP Energy Fixed Income 20,328.80 0.03 20,328.80 nan 6.13 6.20 13.19
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 20,328.80 0.03 20,328.80 BF8QNP0 5.05 4.45 9.47
COMCAST CORPORATION Communications Fixed Income 20,322.08 0.03 20,322.08 BGGFK00 5.34 4.60 9.27
ENBRIDGE INC Energy Fixed Income 20,315.37 0.03 20,315.37 BN12KN8 5.87 6.70 13.13
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 20,315.37 0.03 20,315.37 7518926 4.31 5.90 5.58
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 20,308.66 0.03 20,308.66 BSCC010 6.00 6.05 13.40
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 20,308.66 0.03 20,308.66 BB9ZSW0 5.33 4.75 11.41
HCA INC Consumer Non-Cyclical Fixed Income 20,295.23 0.03 20,295.23 nan 4.71 3.63 5.33
EQUINIX INC Technology Fixed Income 20,288.52 0.03 20,288.52 nan 4.55 2.50 4.84
MEDTRONIC INC Consumer Non-Cyclical Fixed Income 20,288.52 0.03 20,288.52 BYP6GR9 4.62 4.38 7.32
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 20,268.38 0.03 20,268.38 nan 4.55 3.60 4.00
BANK OF AMERICA CORP MTN Banking Fixed Income 20,261.66 0.03 20,261.66 BJ9NHM3 4.36 3.97 3.61
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 20,261.66 0.03 20,261.66 B2418B9 4.68 5.95 8.30
NXP BV Technology Fixed Income 20,254.95 0.03 20,254.95 nan 4.27 4.30 3.11
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 20,241.52 0.03 20,241.52 nan 4.61 4.74 5.19
DELL INTERNATIONAL LLC Technology Fixed Income 20,234.81 0.03 20,234.81 nan 5.10 4.85 7.04
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 20,214.67 0.03 20,214.67 BMZ5L44 5.58 3.38 16.55
BANK OF AMERICA CORP (FXD-FLT) MTN Banking Fixed Income 20,207.95 0.03 20,207.95 nan 4.41 5.16 3.59
AT&T INC Communications Fixed Income 20,181.10 0.03 20,181.10 BJN3990 5.38 4.85 9.30
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 20,167.67 0.03 20,167.67 B2RK1T2 5.10 6.38 8.61
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 20,160.96 0.03 20,160.96 B6S0304 5.27 5.65 10.43
PFIZER INVESTMENT ENTERPRISES PTE Consumer Non-Cyclical Fixed Income 20,140.82 0.03 20,140.82 nan 4.19 4.65 3.85
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 20,140.82 0.03 20,140.82 nan 4.50 3.00 5.35
FISERV INC Technology Fixed Income 20,134.10 0.03 20,134.10 BGBN0F4 6.03 4.40 13.28
VERIZON COMMUNICATIONS INC Communications Fixed Income 20,127.39 0.03 20,127.39 BDFLJN4 5.33 4.81 9.37
CHUBB INA HOLDINGS LLC Insurance Fixed Income 20,120.68 0.03 20,120.68 B1XD1V0 4.98 6.00 8.20
AT&T INC Communications Fixed Income 20,100.54 0.03 20,100.54 BD3HCX5 5.90 4.55 12.98
CANADIAN NATURAL RESOURCES LIMITED Energy Fixed Income 20,093.82 0.03 20,093.82 B1VJP74 5.55 6.25 8.38
TAKEDA US FINANCING INC Consumer Non-Cyclical Fixed Income 20,080.39 0.03 20,080.39 nan 5.00 5.20 7.39
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 20,073.68 0.03 20,073.68 BW0XKQ8 4.87 5.00 7.68
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 20,026.69 0.03 20,026.69 nan 4.69 2.70 4.88
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 20,006.54 0.03 20,006.54 BK5CT25 5.25 4.15 9.81
WALMART INC Consumer Cyclical Fixed Income 19,999.83 0.03 19,999.83 BMDP812 5.24 2.65 16.06
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 19,979.69 0.03 19,979.69 nan 4.69 5.63 6.07
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 19,972.98 0.03 19,972.98 BPK81T4 4.74 4.95 5.90
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 19,966.26 0.03 19,966.26 nan 5.52 4.40 5.94
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 19,966.26 0.03 19,966.26 nan 4.46 4.69 3.36
ORACLE CORPORATION Technology Fixed Income 19,966.26 0.03 19,966.26 nan 5.00 6.15 3.32
TARGA RESOURCES CORP Energy Fixed Income 19,966.26 0.03 19,966.26 nan 4.97 6.13 5.67
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 19,959.55 0.03 19,959.55 BJ2NYK7 4.07 4.38 2.86
AMPHENOL CORPORATION Capital Goods Fixed Income 19,952.84 0.03 19,952.84 BJDSY67 4.18 2.80 3.73
COMCAST CORPORATION Communications Fixed Income 19,952.84 0.03 19,952.84 nan 4.22 2.65 3.70
GENERAL MOTORS CO Consumer Cyclical Fixed Income 19,952.84 0.03 19,952.84 BGLRQ81 6.13 5.95 12.14
UBS AG (LONDON BRANCH) Banking Fixed Income 19,932.70 0.03 19,932.70 9974A26 5.41 4.50 13.36
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 19,925.98 0.03 19,925.98 nan 4.81 5.30 7.03
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 19,925.98 0.03 19,925.98 BRF3SP3 5.57 5.35 13.95
FLORIDA POWER & LIGHT CO Electric Fixed Income 19,919.27 0.03 19,919.27 nan 4.52 5.10 5.90
HCA INC Consumer Non-Cyclical Fixed Income 19,919.27 0.03 19,919.27 nan 5.10 4.90 7.60
CONOCOPHILLIPS CO Energy Fixed Income 19,912.55 0.03 19,912.55 BSL17W8 5.53 4.30 12.10
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 19,905.84 0.03 19,905.84 nan 4.24 2.00 3.99
METLIFE INC Insurance Fixed Income 19,905.84 0.03 19,905.84 BGDXK74 5.41 4.88 11.46
APPLOVIN CORP Communications Fixed Income 19,899.13 0.03 19,899.13 nan 4.48 5.13 3.44
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 19,899.13 0.03 19,899.13 nan 5.04 6.40 5.62
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 19,899.13 0.03 19,899.13 nan 4.54 4.63 6.86
UNION PACIFIC CORPORATION Transportation Fixed Income 19,899.13 0.03 19,899.13 nan 4.35 4.50 5.94
PAYCHEX INC Technology Fixed Income 19,892.41 0.03 19,892.41 nan 4.71 5.35 5.19
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 19,865.56 0.03 19,865.56 BYWKW98 5.54 4.88 12.20
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 19,852.13 0.03 19,852.13 B97MM05 5.57 6.88 8.81
UNITEDHEALTH GROUP INC Insurance Fixed Income 19,852.13 0.03 19,852.13 BNHS0K7 5.58 3.25 15.02
VERIZON COMMUNICATIONS INC Communications Fixed Income 19,852.13 0.03 19,852.13 BMWBBM3 5.72 3.00 17.00
VISA INC Technology Fixed Income 19,831.99 0.03 19,831.99 BYPHG16 4.56 4.15 7.95
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 19,825.28 0.03 19,825.28 BKBZGD8 4.07 2.83 3.69
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 19,818.56 0.03 19,818.56 nan 5.53 6.53 4.94
UNITEDHEALTH GROUP INC Insurance Fixed Income 19,818.56 0.03 19,818.56 BJMSS22 5.71 3.88 15.68
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 19,811.85 0.03 19,811.85 nan 4.33 5.25 4.00
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 19,811.85 0.03 19,811.85 BJXT2P5 4.15 2.38 3.50
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 19,811.85 0.03 19,811.85 nan 5.57 5.50 6.32
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 19,805.14 0.03 19,805.14 nan 4.37 4.63 3.25
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 19,805.14 0.03 19,805.14 nan 4.73 5.60 4.61
ELEVANCE HEALTH INC Insurance Fixed Income 19,791.71 0.03 19,791.71 nan 5.85 5.85 15.06
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 19,778.28 0.03 19,778.28 nan 5.33 3.63 4.78
DIAMONDBACK ENERGY INC Energy Fixed Income 19,764.85 0.03 19,764.85 nan 4.42 5.15 3.51
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 19,764.85 0.03 19,764.85 nan 4.40 4.75 4.95
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 19,758.14 0.03 19,758.14 nan 4.47 5.00 5.79
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 19,751.43 0.03 19,751.43 BLD57S5 5.61 3.20 15.07
HCA INC Consumer Non-Cyclical Fixed Income 19,738.00 0.03 19,738.00 nan 5.96 5.70 13.80
DTE ENERGY COMPANY Electric Fixed Income 19,731.29 0.03 19,731.29 nan 4.23 5.10 2.79
AMGEN INC Consumer Non-Cyclical Fixed Income 19,724.57 0.03 19,724.57 BKP4ZL2 5.52 3.00 15.65
METLIFE INC Insurance Fixed Income 19,717.86 0.03 19,717.86 BQ0N1M9 5.51 5.25 14.30
BROADCOM INC 144A Technology Fixed Income 19,684.29 0.03 19,684.29 nan 5.00 3.19 8.77
HCA INC Consumer Non-Cyclical Fixed Income 19,670.86 0.03 19,670.86 BQPF7Y4 5.99 5.90 13.30
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 19,670.86 0.03 19,670.86 nan 4.23 1.95 4.04
WASTE MANAGEMENT INC Capital Goods Fixed Income 19,670.86 0.03 19,670.86 BT03N02 5.44 5.35 14.28
ALLY FINANCIAL INC Banking Fixed Income 19,664.15 0.03 19,664.15 B3LVPV8 5.34 8.00 4.60
METLIFE INC Insurance Fixed Income 19,650.72 0.03 19,650.72 BYQ29M2 5.42 4.60 12.52
BARCLAYS PLC Banking Fixed Income 19,644.01 0.03 19,644.01 BD72S38 5.52 4.95 12.58
T-MOBILE USA INC Communications Fixed Income 19,644.01 0.03 19,644.01 nan 4.97 4.70 7.21
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 19,617.16 0.03 19,617.16 BMW2YQ1 6.63 3.50 10.78
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 19,617.16 0.03 19,617.16 nan 3.95 4.70 3.64
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 19,610.44 0.03 19,610.44 B8Y96M2 5.75 5.00 10.73
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 19,610.44 0.03 19,610.44 nan 4.11 4.45 3.14
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 19,603.73 0.03 19,603.73 nan 5.17 6.15 5.70
ONEOK INC Energy Fixed Income 19,597.01 0.03 19,597.01 nan 6.15 6.25 13.17
CRH AMERICA FINANCE INC Capital Goods Fixed Income 19,590.30 0.03 19,590.30 nan 4.91 5.50 7.04
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 19,583.59 0.03 19,583.59 nan 5.66 5.75 14.13
HUMANA INC Insurance Fixed Income 19,570.16 0.03 19,570.16 nan 5.01 5.88 5.67
ELEVANCE HEALTH INC Insurance Fixed Income 19,563.45 0.03 19,563.45 BNTB0H1 5.76 6.10 13.18
HALLIBURTON COMPANY Energy Fixed Income 19,556.73 0.03 19,556.73 B3D2F31 5.38 6.70 8.54
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 19,556.73 0.03 19,556.73 BMGC2W9 4.81 3.63 5.27
RIO TINTO ALCAN INC Basic Industry Fixed Income 19,550.02 0.03 19,550.02 2213970 4.68 6.13 6.26
VERIZON COMMUNICATIONS INC Communications Fixed Income 19,536.59 0.03 19,536.59 BVYRK47 5.82 5.01 13.93
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 19,523.17 0.03 19,523.17 BK6V1G9 4.36 3.55 3.57
WALMART INC Consumer Cyclical Fixed Income 19,516.45 0.03 19,516.45 BPMQ8D9 5.26 4.50 14.44
COCA-COLA CO Consumer Non-Cyclical Fixed Income 19,489.60 0.03 19,489.60 nan 4.16 2.25 5.45
HSBC HOLDINGS PLC Banking Fixed Income 19,489.60 0.03 19,489.60 B24FY35 5.34 6.50 8.12
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 19,462.74 0.03 19,462.74 nan 4.39 4.30 5.76
ONEOK INC Energy Fixed Income 19,462.74 0.03 19,462.74 nan 4.89 4.95 5.54
TIME WARNER CABLE LLC Communications Fixed Income 19,449.32 0.03 19,449.32 B66BW80 6.83 5.88 9.40
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 19,435.89 0.03 19,435.89 BDB6944 5.40 4.70 12.48
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 19,422.46 0.03 19,422.46 nan 4.39 1.90 5.16
COMCAST CORPORATION Communications Fixed Income 19,415.75 0.03 19,415.75 BPYD9Q8 4.83 4.20 6.93
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 19,409.03 0.03 19,409.03 BL6LJC8 5.61 3.17 14.93
CITIGROUP INC Banking Fixed Income 19,402.32 0.03 19,402.32 BFMTXQ6 5.18 3.88 9.29
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 19,402.32 0.03 19,402.32 BMGSCX8 5.57 5.70 13.68
TOTALENERGIES CAPITAL SA Energy Fixed Income 19,388.89 0.03 19,388.89 nan 5.57 5.28 14.09
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 19,382.18 0.03 19,382.18 nan 4.99 5.30 3.19
EXPAND ENERGY CORP Energy Fixed Income 19,375.47 0.03 19,375.47 nan 4.96 5.38 3.61
CIGNA GROUP Consumer Non-Cyclical Fixed Income 19,368.75 0.03 19,368.75 nan 4.36 4.50 4.08
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 19,362.04 0.03 19,362.04 2KLTYR9 5.66 6.38 13.26
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 19,362.04 0.03 19,362.04 BYND5R5 5.45 4.15 12.93
BERRY GLOBAL INC Capital Goods Fixed Income 19,355.33 0.03 19,355.33 BSSB334 4.61 5.80 4.59
COREBRIDGE FINANCIAL INC Insurance Fixed Income 19,348.61 0.03 19,348.61 991XAM1 5.72 4.40 14.03
ELEVANCE HEALTH INC Insurance Fixed Income 19,341.90 0.03 19,341.90 nan 4.24 4.75 3.59
HALLIBURTON COMPANY Energy Fixed Income 19,341.90 0.03 19,341.90 BJJRL90 4.34 2.92 3.76
HOME DEPOT INC Consumer Cyclical Fixed Income 19,341.90 0.03 19,341.90 BHQFF46 5.47 4.50 13.42
HOME DEPOT INC Consumer Cyclical Fixed Income 19,335.18 0.03 19,335.18 B608VG8 5.22 5.95 9.96
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 19,308.33 0.03 19,308.33 B3P4VB5 5.43 5.95 9.73
T-MOBILE USA INC Communications Fixed Income 19,308.33 0.03 19,308.33 BN0ZLT1 5.82 3.60 16.15
PAYPAL HOLDINGS INC Technology Fixed Income 19,301.62 0.03 19,301.62 BMD8004 5.62 3.25 14.74
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 19,294.90 0.03 19,294.90 BMGYMV4 4.94 2.10 11.74
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 19,288.19 0.03 19,288.19 nan 4.92 5.80 2.77
AMGEN INC Consumer Non-Cyclical Fixed Income 19,281.48 0.03 19,281.48 BMTY697 4.26 5.25 3.60
BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 19,281.48 0.03 19,281.48 nan 6.10 6.00 6.69
TRANSCANADA PIPELINES LTD Energy Fixed Income 19,274.76 0.03 19,274.76 B5SKD29 5.55 6.10 9.54
NEWMONT CORPORATION Basic Industry Fixed Income 19,261.33 0.03 19,261.33 nan 4.67 5.35 6.47
PNC BANK NA Banking Fixed Income 19,261.33 0.03 19,261.33 nan 4.32 2.70 3.48
TIME WARNER CABLE ENTERPRISES LLC Communications Fixed Income 19,254.62 0.03 19,254.62 2727266 5.94 8.38 5.65
COMCAST CORPORATION Communications Fixed Income 19,247.91 0.03 19,247.91 BFY1N04 5.34 3.90 9.15
J M SMUCKER CO Consumer Non-Cyclical Fixed Income 19,247.91 0.03 19,247.91 BQT1N84 5.80 6.50 13.28
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 19,241.19 0.03 19,241.19 nan 4.52 5.42 4.69
COMCAST CORPORATION Communications Fixed Income 19,234.48 0.03 19,234.48 BKP8N09 5.91 2.45 15.88
SMURFIT KAPPA TREASURY UNLIMITED C Basic Industry Fixed Income 19,234.48 0.03 19,234.48 nan 4.38 5.20 3.56
VICI PROPERTIES LP Consumer Cyclical Fixed Income 19,227.77 0.03 19,227.77 nan 5.03 5.13 5.28
REYNOLDS AMERICAN INC Consumer Non-Cyclical Fixed Income 19,214.34 0.03 19,214.34 BZ0W055 5.11 5.70 7.19
PFIZER INC Consumer Non-Cyclical Fixed Income 19,207.63 0.03 19,207.63 BMMB3K5 5.27 4.40 11.98
AMGEN INC Consumer Non-Cyclical Fixed Income 19,187.48 0.03 19,187.48 BKMGBM4 4.23 2.45 3.77
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 19,180.77 0.03 19,180.77 BQMRY08 5.43 4.88 14.11
CHEVRON USA INC Energy Fixed Income 19,174.06 0.03 19,174.06 nan 4.13 4.30 4.16
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 19,167.34 0.03 19,167.34 nan 4.47 4.45 5.44
CBRE SERVICES INC Consumer Cyclical Fixed Income 19,167.34 0.03 19,167.34 nan 4.98 5.95 6.56
COMCAST CORPORATION Communications Fixed Income 19,160.63 0.03 19,160.63 BQ0KW38 4.56 5.50 5.61
QUALCOMM INCORPORATED Technology Fixed Income 19,160.63 0.03 19,160.63 BF3KVD1 5.53 4.30 12.99
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 19,153.92 0.03 19,153.92 nan 4.17 4.25 3.28
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 19,147.20 0.03 19,147.20 nan 4.08 2.63 3.35
MITSUBISHI UFJ FIN GRP (6NC5 FXD) Banking Fixed Income 19,147.20 0.03 19,147.20 nan 4.47 4.50 4.40
VERIZON COMMUNICATIONS INC Communications Fixed Income 19,133.78 0.03 19,133.78 BMG8DB3 5.54 2.85 11.56
PFIZER INC Consumer Non-Cyclical Fixed Income 19,120.35 0.03 19,120.35 nan 4.11 1.70 4.10
ROYAL BANK OF CANADA (FX-FRN) MTN Banking Fixed Income 19,120.35 0.03 19,120.35 BS893X8 4.45 5.15 3.52
CARDINAL HEALTH INC Consumer Non-Cyclical Fixed Income 19,113.64 0.03 19,113.64 nan 4.28 5.00 3.41
MOTOROLA SOLUTIONS INC Technology Fixed Income 19,113.64 0.03 19,113.64 nan 5.00 5.55 7.17
PAYPAL HOLDINGS INC Technology Fixed Income 19,106.92 0.03 19,106.92 nan 4.80 5.15 6.70
CIGNA GROUP Consumer Non-Cyclical Fixed Income 19,100.21 0.03 19,100.21 nan 4.47 5.13 4.57
UNITED PARCEL SERVICE INC Transportation Fixed Income 19,100.21 0.03 19,100.21 BMGJVK1 4.04 4.45 3.74
CIGNA GROUP Consumer Non-Cyclical Fixed Income 19,093.49 0.03 19,093.49 nan 5.75 6.00 14.07
EXELON CORPORATION Electric Fixed Income 19,059.93 0.03 19,059.93 nan 4.67 5.30 5.81
TARGA RESOURCES CORP Energy Fixed Income 19,026.36 0.03 19,026.36 nan 4.93 4.20 5.85
INGERSOLL RAND INC Capital Goods Fixed Income 19,012.93 0.03 19,012.93 nan 4.75 5.70 5.99
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 19,006.22 0.03 19,006.22 BD91617 5.89 3.88 12.74
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 18,999.50 0.03 18,999.50 BF01Z57 4.71 3.63 8.78
COMCAST CORPORATION 144A Communications Fixed Income 18,986.08 0.03 18,986.08 2N415B4 5.31 5.17 8.26
HP INC Technology Fixed Income 18,986.08 0.03 18,986.08 B5V6LS6 5.95 6.00 9.86
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 18,986.08 0.03 18,986.08 BPTJT38 4.80 5.07 5.85
CROWN CASTLE INC Communications Fixed Income 18,979.36 0.03 18,979.36 nan 4.41 5.60 3.01
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 18,979.36 0.03 18,979.36 B28P5J4 4.98 6.30 8.32
APPLE INC Technology Fixed Income 18,972.65 0.03 18,972.65 BJDSXR1 3.87 2.20 3.40
AON NORTH AMERICA INC Insurance Fixed Income 18,965.94 0.03 18,965.94 nan 4.14 5.15 2.79
ARES CAPITAL CORPORATION Finance Companies Fixed Income 18,965.94 0.03 18,965.94 nan 5.03 5.88 2.75
VMWARE LLC Technology Fixed Income 18,959.22 0.03 18,959.22 nan 4.30 4.70 3.83
VMWARE LLC Technology Fixed Income 18,952.51 0.03 18,952.51 nan 4.50 2.20 5.06
CITIGROUP INC Banking Fixed Income 18,939.08 0.03 18,939.08 BM6NVB4 5.50 5.30 11.39
ELEVANCE HEALTH INC Insurance Fixed Income 18,918.94 0.03 18,918.94 BF2PYZ0 5.64 4.55 12.86
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 18,912.23 0.03 18,912.23 BNNPHX4 5.57 5.15 13.74
MERCK & CO INC Consumer Non-Cyclical Fixed Income 18,912.23 0.03 18,912.23 nan 4.28 2.15 5.39
ENERGY TRANSFER LP Energy Fixed Income 18,905.51 0.03 18,905.51 BJCYMH3 4.37 5.25 2.90
AMERICAN TOWER CORPORATION Communications Fixed Income 18,898.80 0.03 18,898.80 nan 4.80 5.55 6.09
FLORIDA POWER & LIGHT CO Electric Fixed Income 18,892.09 0.03 18,892.09 BG1V081 5.47 3.95 13.39
SWP: OIS 2.983500 15-MAR-2048 Cash and/or Derivatives Swaps 18,885.57 0.03 -81,114.43 nan -0.33 2.98 15.51
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 18,885.37 0.03 18,885.37 BMBP1C6 7.11 4.40 13.82
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 18,885.37 0.03 18,885.37 BMHBC36 5.60 3.30 15.21
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 18,885.37 0.03 18,885.37 nan 4.23 1.75 5.13
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 18,871.95 0.03 18,871.95 BYXD4B2 5.46 4.13 13.23
NISOURCE INC Natural Gas Fixed Income 18,865.23 0.03 18,865.23 BD72Q01 5.67 3.95 13.33
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 18,851.80 0.03 18,851.80 BK9SDZ0 4.12 3.55 3.25
EXXON MOBIL CORP Energy Fixed Income 18,824.95 0.03 18,824.95 nan 4.09 3.48 3.77
HCA INC Consumer Non-Cyclical Fixed Income 18,824.95 0.03 18,824.95 BKKDGV1 4.26 4.13 3.11
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 18,818.24 0.03 18,818.24 nan 4.89 5.63 5.12
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 18,811.52 0.03 18,811.52 nan 5.35 6.05 4.27
BOSTON PROPERTIES LP Reits Fixed Income 18,798.10 0.03 18,798.10 nan 4.98 2.55 5.53
TRUIST FINANCIAL CORP MTN Banking Fixed Income 18,798.10 0.03 18,798.10 BPX1Z87 4.91 5.12 5.84
BANCO SANTANDER SA Banking Fixed Income 18,791.38 0.03 18,791.38 nan 5.03 6.03 6.95
BOSTON PROPERTIES LP Reits Fixed Income 18,784.67 0.03 18,784.67 nan 5.38 5.75 6.96
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 18,777.95 0.03 18,777.95 nan 4.59 5.05 6.77
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 18,771.24 0.03 18,771.24 BK5KKM6 4.35 3.25 3.26
CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 18,764.53 0.03 18,764.53 BFWSC66 6.29 5.40 12.23
BANCO SANTANDER SA Banking Fixed Income 18,757.81 0.03 18,757.81 nan 4.46 5.57 3.55
BROADCOM INC Technology Fixed Income 18,757.81 0.03 18,757.81 nan 4.56 4.30 5.78
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 18,757.81 0.03 18,757.81 B8D1HN7 5.49 4.45 11.21
PEPSICO INC Consumer Non-Cyclical Fixed Income 18,751.10 0.03 18,751.10 nan 4.11 1.40 4.78
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 18,744.39 0.03 18,744.39 BDF0M54 5.56 3.75 13.32
AUTOMATIC DATA PROCESSING INC Technology Fixed Income 18,744.39 0.03 18,744.39 nan 4.51 4.45 6.97
BERKSHIRE HATHAWAY INC Insurance Fixed Income 18,744.39 0.03 18,744.39 B819DG8 5.02 4.50 11.36
PRUDENTIAL FINANCIAL INC Insurance Fixed Income 18,744.39 0.03 18,744.39 BFZCSL2 5.58 3.94 14.03
INTEL CORPORATION Technology Fixed Income 18,717.53 0.03 18,717.53 BFMFJQ6 6.04 3.73 13.28
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 18,710.82 0.03 18,710.82 BDCT8F6 6.08 6.35 11.11
SIMON PROPERTY GROUP LP Reits Fixed Income 18,710.82 0.03 18,710.82 BKMGXX9 5.55 3.25 14.44
INTEL CORPORATION Technology Fixed Income 18,697.39 0.03 18,697.39 nan 4.39 2.45 3.55
CARRIER GLOBAL CORP Capital Goods Fixed Income 18,690.68 0.03 18,690.68 nan 4.35 2.72 3.73
DTE ENERGY COMPANY Electric Fixed Income 18,690.68 0.03 18,690.68 nan 4.87 5.85 6.57
TARGA RESOURCES CORP Energy Fixed Income 18,690.68 0.03 18,690.68 nan 5.22 5.55 7.20
UNITEDHEALTH GROUP INC Insurance Fixed Income 18,690.68 0.03 18,690.68 nan 4.23 2.00 4.03
SHELL FINANCE US INC Energy Fixed Income 18,683.96 0.03 18,683.96 nan 4.63 4.13 7.54
PFIZER INC Consumer Non-Cyclical Fixed Income 18,663.82 0.03 18,663.82 BM9ZYF2 5.14 2.55 11.29
AMERICAN TOWER CORPORATION Communications Fixed Income 18,657.11 0.03 18,657.11 BG0X453 4.29 3.80 3.23
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 18,657.11 0.03 18,657.11 nan 4.59 5.35 5.69
BANK OF AMERICA CORP Banking Fixed Income 18,643.68 0.03 18,643.68 nan 5.48 3.48 14.70
ROPER TECHNOLOGIES INC Technology Fixed Income 18,643.68 0.03 18,643.68 nan 5.00 5.10 7.38
CITIGROUP INC Banking Fixed Income 18,630.26 0.03 18,630.26 BCRXKM7 5.59 6.67 10.50
APPLE INC Technology Fixed Income 18,610.11 0.03 18,610.11 BLN8PN5 5.36 2.40 15.90
BANK OF NOVA SCOTIA (FXD-FRN) MTN Banking Fixed Income 18,610.11 0.03 18,610.11 nan 4.43 5.13 3.55
VIATRIS INC Consumer Non-Cyclical Fixed Income 18,603.40 0.03 18,603.40 nan 4.88 2.70 4.06
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 18,603.40 0.03 18,603.40 nan 6.28 6.05 13.05
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 18,589.97 0.03 18,589.97 nan 5.82 7.12 5.92
MERCK & CO INC Consumer Non-Cyclical Fixed Income 18,583.26 0.03 18,583.26 BLHM7Q0 5.49 2.75 15.89
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 18,576.55 0.03 18,576.55 BN6JKB2 5.62 4.25 13.89
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 18,576.55 0.03 18,576.55 BYMYP24 4.74 4.60 7.53
GLAXOSMITHKLINE CAPITAL PLC Consumer Non-Cyclical Fixed Income 18,576.55 0.03 18,576.55 BJ0M5L4 4.02 3.38 3.11
PEPSICO INC Consumer Non-Cyclical Fixed Income 18,576.55 0.03 18,576.55 nan 5.35 3.63 14.41
WILLIAMS COMPANIES INC Energy Fixed Income 18,569.83 0.03 18,569.83 nan 4.52 2.60 4.67
COCA-COLA CO Consumer Non-Cyclical Fixed Income 18,542.98 0.03 18,542.98 nan 3.89 2.13 3.39
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 18,542.98 0.03 18,542.98 BMTY675 4.74 5.44 5.73
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 18,542.98 0.03 18,542.98 nan 4.58 2.20 4.16
LOWES COMPANIES INC Consumer Cyclical Fixed Income 18,529.55 0.03 18,529.55 BMGCHK2 5.79 4.45 15.54
TOYOTA MOTOR CREDIT CORP Consumer Cyclical Fixed Income 18,516.12 0.03 18,516.12 BLM1Q43 4.13 2.15 3.77
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 18,502.70 0.03 18,502.70 BK63D81 4.26 3.04 3.25
CONOCOPHILLIPS CO Energy Fixed Income 18,495.98 0.03 18,495.98 BMTYC44 5.68 5.30 13.83
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 18,495.98 0.03 18,495.98 BKSYG05 5.93 4.88 12.94
SUMITOMO MITSUI FINANCIAL FXD-FRN Banking Fixed Income 18,495.98 0.03 18,495.98 nan 4.50 4.49 4.40
CARRIER GLOBAL CORP Capital Goods Fixed Income 18,489.27 0.03 18,489.27 nan 4.35 2.70 4.58
MPLX LP Energy Fixed Income 18,482.56 0.03 18,482.56 nan 5.27 5.40 7.06
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 18,482.56 0.03 18,482.56 nan 5.31 5.70 6.91
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 18,482.56 0.03 18,482.56 nan 4.82 5.20 7.02
AT&T INC Communications Fixed Income 18,462.42 0.03 18,462.42 nan 5.06 5.38 7.19
AON CORP Insurance Fixed Income 18,462.42 0.03 18,462.42 nan 4.66 5.35 5.76
TARGET CORPORATION Consumer Cyclical Fixed Income 18,455.70 0.03 18,455.70 BJY5HG8 4.00 3.38 2.99
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 18,448.99 0.03 18,448.99 nan 5.16 5.20 6.65
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 18,435.56 0.03 18,435.56 BMF74Z2 6.17 3.38 10.60
ORACLE CORPORATION Technology Fixed Income 18,435.56 0.03 18,435.56 BP4W534 5.83 4.30 6.87
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 18,428.85 0.03 18,428.85 BKPJWW7 5.87 3.70 14.05
RTX CORP Capital Goods Fixed Income 18,415.42 0.03 18,415.42 nan 4.34 6.00 4.34
PHILLIPS 66 Energy Fixed Income 18,408.71 0.03 18,408.71 BSN56M1 4.94 4.65 7.06
ASCENSION HEALTH Consumer Non-Cyclical Fixed Income 18,401.99 0.03 18,401.99 nan 4.04 2.53 3.55
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 18,401.99 0.03 18,401.99 BD3GB68 5.17 6.20 7.24
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 18,401.99 0.03 18,401.99 nan 4.52 4.75 6.51
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 18,381.85 0.03 18,381.85 nan 4.25 5.10 4.36
HONDA MOTOR CO LTD Consumer Cyclical Fixed Income 18,375.14 0.03 18,375.14 nan 4.61 2.97 5.42
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 18,361.71 0.03 18,361.71 BMWJ138 4.27 1.95 4.12
AMERIPRISE FINANCIAL INC Brokerage/Asset Managers/Exchanges Fixed Income 18,334.86 0.03 18,334.86 nan 4.92 5.20 7.18
COMCAST CORPORATION Communications Fixed Income 18,328.14 0.03 18,328.14 2470065 4.64 7.05 5.58
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 18,328.14 0.03 18,328.14 nan 5.65 5.25 13.77
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 18,328.14 0.03 18,328.14 BPCHD04 4.19 2.00 5.27
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 18,321.43 0.03 18,321.43 nan 4.71 5.00 5.49
LOWES COMPANIES INC Consumer Cyclical Fixed Income 18,314.72 0.03 18,314.72 BPMQ8K6 5.82 5.80 14.78
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 18,308.00 0.03 18,308.00 2350640 4.62 6.13 5.62
FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 18,301.29 0.03 18,301.29 nan 4.75 5.10 5.46
DOW CHEMICAL CO Basic Industry Fixed Income 18,287.86 0.03 18,287.86 nan 4.81 4.80 4.37
UNION PACIFIC CORPORATION Transportation Fixed Income 18,287.86 0.03 18,287.86 BJ6H4T4 3.98 3.70 2.85
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 18,281.15 0.03 18,281.15 BRJ50F9 5.87 7.08 10.14
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 18,274.43 0.03 18,274.43 BYND5Q4 4.82 4.00 8.31
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 18,261.01 0.03 18,261.01 nan 4.45 5.16 3.74
DELL INTERNATIONAL LLC Technology Fixed Income 18,254.29 0.03 18,254.29 nan 4.59 6.20 3.89
QUALCOMM INCORPORATED Technology Fixed Income 18,247.58 0.03 18,247.58 BXS2XQ5 5.46 4.80 12.05
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 18,234.15 0.03 18,234.15 nan 5.55 5.60 15.49
APPLOVIN CORP Communications Fixed Income 18,227.44 0.03 18,227.44 nan 4.73 5.38 4.95
CHUBB INA HOLDINGS LLC Insurance Fixed Income 18,227.44 0.03 18,227.44 nan 4.85 4.90 7.39
WALT DISNEY CO Communications Fixed Income 18,227.44 0.03 18,227.44 BKPTBZ3 5.04 6.65 8.30
SHELL FINANCE US INC Energy Fixed Income 18,227.44 0.03 18,227.44 nan 5.44 4.55 11.37
AMAZON.COM INC Consumer Cyclical Fixed Income 18,220.73 0.03 18,220.73 nan 4.19 2.10 4.90
ACCENTURE CAPITAL INC Technology Fixed Income 18,207.30 0.03 18,207.30 nan 4.67 4.50 7.01
JPMORGAN CHASE & CO Banking Fixed Income 18,207.30 0.03 18,207.30 nan 4.50 4.57 3.09
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 18,200.58 0.03 18,200.58 nan 4.23 2.40 4.95
ELEVANCE HEALTH INC Insurance Fixed Income 18,200.58 0.03 18,200.58 BMXHKL2 4.69 4.75 5.82
TRAVELERS COMPANIES INC MTN Insurance Fixed Income 18,200.58 0.03 18,200.58 B1Y1S45 4.93 6.25 8.24
EOG RESOURCES INC Energy Fixed Income 18,187.16 0.03 18,187.16 nan 4.59 5.00 5.48
MICROSOFT CORPORATION Technology Fixed Income 18,180.44 0.03 18,180.44 BT3CPZ5 5.33 2.50 15.84
COMCAST CORPORATION Communications Fixed Income 18,173.73 0.03 18,173.73 BFY1YN4 5.93 4.00 13.03
NXP BV Technology Fixed Income 18,173.73 0.03 18,173.73 nan 4.58 2.50 4.83
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 18,167.02 0.03 18,167.02 BJKQ1M9 3.90 3.38 2.91
HESS CORP Energy Fixed Income 18,160.30 0.03 18,160.30 B4TV238 5.22 5.60 9.96
MICROSOFT CORPORATION Technology Fixed Income 18,160.30 0.03 18,160.30 BDCBCL6 5.26 3.70 13.14
EVERSOURCE ENERGY Electric Fixed Income 18,140.16 0.03 18,140.16 nan 4.94 5.13 5.98
RTX CORP Capital Goods Fixed Income 18,133.45 0.03 18,133.45 BQHN1W2 4.70 6.10 6.34
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 18,120.02 0.03 18,120.02 BTPH0N1 4.77 5.10 7.38
NISOURCE INC Natural Gas Fixed Income 18,113.31 0.03 18,113.31 nan 5.05 5.35 7.38
APPLE INC Technology Fixed Income 18,099.88 0.03 18,099.88 BVVCSF2 5.26 3.45 12.76
HALLIBURTON COMPANY Energy Fixed Income 18,099.88 0.03 18,099.88 BCR5XW4 5.70 4.75 11.12
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 18,093.17 0.03 18,093.17 nan 5.54 5.40 14.16
HOME DEPOT INC Consumer Cyclical Fixed Income 18,086.45 0.03 18,086.45 BLFG827 5.47 3.63 14.92
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 18,079.74 0.03 18,079.74 nan 4.69 4.85 6.44
COCA-COLA CO Consumer Non-Cyclical Fixed Income 18,052.89 0.03 18,052.89 nan 4.08 2.00 4.73
DOW CHEMICAL CO Basic Industry Fixed Income 18,046.17 0.03 18,046.17 BQ72LX0 6.49 6.90 12.42
PEPSICO INC Consumer Non-Cyclical Fixed Income 18,039.46 0.03 18,039.46 nan 4.73 5.00 7.51
WILLIAMS COMPANIES INC Energy Fixed Income 18,012.60 0.03 18,012.60 nan 5.04 5.60 7.00
APTIV SWISS HOLDINGS LTD Consumer Cyclical Fixed Income 18,005.89 0.03 18,005.89 BNYF3L3 5.78 4.15 14.23
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 17,999.18 0.03 17,999.18 nan 6.10 6.10 13.39
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 17,992.46 0.03 17,992.46 nan 4.55 5.85 3.65
ABBVIE INC Consumer Non-Cyclical Fixed Income 17,979.04 0.03 17,979.04 nan 4.12 4.88 3.66
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 17,979.04 0.03 17,979.04 nan 4.71 4.85 4.88
TRANSCANADA PIPELINES LTD Energy Fixed Income 17,979.04 0.03 17,979.04 BM9L3W0 4.39 4.10 3.79
AT&T INC Communications Fixed Income 17,958.90 0.03 17,958.90 BN2YL18 5.89 3.30 14.65
HOME DEPOT INC Consumer Cyclical Fixed Income 17,958.90 0.03 17,958.90 nan 4.25 1.38 4.83
DELL INTERNATIONAL LLC Technology Fixed Income 17,945.47 0.03 17,945.47 nan 4.82 5.30 5.15
VISA INC Technology Fixed Income 17,932.04 0.03 17,932.04 nan 3.96 1.10 4.80
KINDER MORGAN INC Energy Fixed Income 17,918.61 0.03 17,918.61 nan 4.30 5.15 3.85
MARATHON PETROLEUM CORP Energy Fixed Income 17,918.61 0.03 17,918.61 nan 5.20 5.70 6.92
NXP BV Technology Fixed Income 17,918.61 0.03 17,918.61 nan 4.36 3.40 3.88
BROWN & BROWN INC Insurance Fixed Income 17,885.05 0.03 17,885.05 BTQGQ62 5.85 6.25 13.71
NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 17,885.05 0.03 17,885.05 BRT75P0 5.58 5.95 13.47
ENTERGY LOUISIANA LLC Electric Fixed Income 17,851.48 0.03 17,851.48 nan 5.66 5.80 13.84
SALESFORCE INC Technology Fixed Income 17,851.48 0.03 17,851.48 BN466T5 5.33 2.70 11.83
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 17,851.48 0.03 17,851.48 nan 4.80 4.79 7.57
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 17,838.05 0.03 17,838.05 nan 4.66 2.35 4.57
AMRIZE FINANCE US LLC Capital Goods Fixed Income 17,824.62 0.03 17,824.62 nan 4.36 4.95 3.71
ACCENTURE CAPITAL INC Technology Fixed Income 17,804.48 0.03 17,804.48 nan 3.98 4.05 3.36
LPL HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 17,791.05 0.03 17,791.05 nan 4.61 5.20 3.63
ENBRIDGE INC Energy Fixed Income 17,784.34 0.03 17,784.34 nan 5.10 5.55 7.26
ATHENE HOLDING LTD Insurance Fixed Income 17,777.63 0.03 17,777.63 BRXY416 6.30 6.25 12.88
CARRIER GLOBAL CORP Capital Goods Fixed Income 17,770.91 0.03 17,770.91 BS2FZR0 4.81 5.90 6.36
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 17,764.20 0.03 17,764.20 nan 4.79 4.90 6.99
GENERAL MOTORS CO Consumer Cyclical Fixed Income 17,750.77 0.03 17,750.77 nan 4.86 5.60 5.50
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 17,737.35 0.03 17,737.35 nan 4.31 5.10 2.74
EXELON CORPORATION Electric Fixed Income 17,737.35 0.03 17,737.35 BM5M651 4.32 4.05 3.79
TARGET CORPORATION Consumer Cyclical Fixed Income 17,730.63 0.03 17,730.63 BPRCP19 5.50 4.80 14.35
TARGA RESOURCES CORP Energy Fixed Income 17,730.63 0.03 17,730.63 nan 4.46 4.90 4.05
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 17,723.92 0.03 17,723.92 BMGNSZ7 5.48 3.00 15.17
METLIFE INC Insurance Fixed Income 17,717.21 0.03 17,717.21 B4Z51H1 5.34 5.88 9.80
WALT DISNEY CO Communications Fixed Income 17,710.49 0.03 17,710.49 BLCVMK1 5.48 3.80 16.40
INTEL CORPORATION Technology Fixed Income 17,703.78 0.03 17,703.78 nan 4.47 5.13 3.54
SUNCOR ENERGY INC. Energy Fixed Income 17,703.78 0.03 17,703.78 B39RFF2 5.66 6.85 8.87
AMAZON.COM INC Consumer Cyclical Fixed Income 17,690.35 0.03 17,690.35 BNVX8J3 5.54 3.25 17.01
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 17,690.35 0.03 17,690.35 BM8JC28 5.86 6.00 11.00
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 17,683.64 0.03 17,683.64 BN7K3Z9 4.67 5.00 5.90
VICI PROPERTIES LP Consumer Cyclical Fixed Income 17,676.92 0.03 17,676.92 nan 4.65 4.95 3.56
KRAFT HEINZ FOODS CO Consumer Non-Cyclical Fixed Income 17,670.21 0.03 17,670.21 BNG49V0 5.96 5.50 12.86
SHELL FINANCE US INC Energy Fixed Income 17,656.78 0.03 17,656.78 nan 4.79 4.75 7.83
WASTE MANAGEMENT INC Capital Goods Fixed Income 17,623.21 0.02 17,623.21 nan 3.99 4.88 2.76
AT&T INC Communications Fixed Income 17,609.79 0.02 17,609.79 BBNC4H4 5.82 4.35 12.19
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 17,609.79 0.02 17,609.79 BM6QSF6 4.30 2.88 3.88
HUNTINGTON NATIONAL BANK (THE) Banking Fixed Income 17,609.79 0.02 17,609.79 nan 4.38 5.65 3.52
INGERSOLL RAND INC Capital Goods Fixed Income 17,609.79 0.02 17,609.79 nan 4.15 5.18 3.07
TEXAS INSTRUMENTS INC Technology Fixed Income 17,603.07 0.02 17,603.07 nan 4.08 1.75 4.03
DELL INTERNATIONAL LLC Technology Fixed Income 17,596.36 0.02 17,596.36 nan 4.42 5.30 3.27
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 17,589.65 0.02 17,589.65 BNC3DJ7 5.67 4.60 14.23
EOG RESOURCES INC Energy Fixed Income 17,589.65 0.02 17,589.65 BLBMLZ3 4.24 4.38 3.77
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 17,582.93 0.02 17,582.93 nan 4.50 5.13 5.08
BOSTON PROPERTIES LP Reits Fixed Income 17,576.22 0.02 17,576.22 BK6WVQ2 4.37 3.40 3.16
STATE STREET CORP Banking Fixed Income 17,576.22 0.02 17,576.22 nan 4.14 4.83 3.77
NETFLIX INC Communications Fixed Income 17,562.79 0.02 17,562.79 BR2NKN8 4.64 4.90 6.80
NIKE INC Consumer Cyclical Fixed Income 17,562.79 0.02 17,562.79 nan 5.15 3.25 10.68
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 17,556.08 0.02 17,556.08 BJHNYB3 7.06 5.13 12.10
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 17,535.94 0.02 17,535.94 B8K84P2 5.71 4.25 11.00
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 17,529.22 0.02 17,529.22 nan 4.45 4.90 3.30
TRANSCONTINENTAL GAS PIPE LINE COM 144A Energy Fixed Income 17,529.22 0.02 17,529.22 nan 5.02 5.10 7.78
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 17,522.51 0.02 17,522.51 nan 4.61 4.81 4.91
COMCAST CORPORATION Communications Fixed Income 17,515.80 0.02 17,515.80 nan 4.58 4.65 5.84
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 17,502.37 0.02 17,502.37 nan 5.23 5.45 6.68
SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 17,495.66 0.02 17,495.66 nan 4.71 5.69 3.68
AMCOR FLEXIBLES NORTH AMERICA INC Capital Goods Fixed Income 17,488.94 0.02 17,488.94 nan 4.55 2.69 4.85
META PLATFORMS INC Communications Fixed Income 17,488.94 0.02 17,488.94 nan 4.57 4.95 6.04
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 17,482.23 0.02 17,482.23 BMCJ8R1 5.16 2.80 4.67
MERCK & CO INC Consumer Non-Cyclical Fixed Income 17,468.80 0.02 17,468.80 nan 4.14 4.15 4.11
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 17,462.09 0.02 17,462.09 BQXQQS6 5.52 5.70 14.10
WASTE MANAGEMENT INC Capital Goods Fixed Income 17,462.09 0.02 17,462.09 nan 4.50 4.88 6.49
EQT CORP Energy Fixed Income 17,455.37 0.02 17,455.37 nan 4.66 4.75 4.38
PFIZER INC Consumer Non-Cyclical Fixed Income 17,448.66 0.02 17,448.66 BMXGNZ4 5.44 2.70 15.52
BRIXMOR OPERATING PARTNERSHIP LP Reits Fixed Income 17,441.95 0.02 17,441.95 BJCX1Y0 4.31 4.13 3.03
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 17,435.23 0.02 17,435.23 nan 4.43 5.00 6.44
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 17,428.52 0.02 17,428.52 nan 4.18 4.25 4.49
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 17,428.52 0.02 17,428.52 BSHZYC3 5.46 4.25 12.15
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 17,428.52 0.02 17,428.52 nan 4.41 2.38 5.54
BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 17,421.81 0.02 17,421.81 nan 5.52 5.65 7.46
QUANTA SERVICES INC. Industrial Other Fixed Income 17,421.81 0.02 17,421.81 nan 4.42 2.90 4.26
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 17,415.09 0.02 17,415.09 nan 4.35 4.30 2.92
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 17,394.95 0.02 17,394.95 BN7T9S1 5.49 4.15 14.86
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 17,388.24 0.02 17,388.24 nan 4.48 4.40 5.48
XCEL ENERGY INC Electric Fixed Income 17,381.52 0.02 17,381.52 nan 5.01 5.50 6.41
PACIFICORP Electric Fixed Income 17,374.81 0.02 17,374.81 BPCPZ91 6.15 5.35 13.50
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 17,368.10 0.02 17,368.10 BK9DLD9 4.08 2.70 3.30
NEWMONT CORPORATION Basic Industry Fixed Income 17,368.10 0.02 17,368.10 nan 4.28 2.60 5.84
SWP: OIS 3.074500 05-MAY-2048 Cash and/or Derivatives Swaps 17,360.36 0.02 -82,639.64 nan -0.25 3.07 15.43
MICRON TECHNOLOGY INC Technology Fixed Income 17,354.67 0.02 17,354.67 nan 4.50 5.30 4.34
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 17,341.24 0.02 17,341.24 nan 4.19 4.65 3.68
PACIFICORP Electric Fixed Income 17,341.24 0.02 17,341.24 nan 6.15 5.80 13.58
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 17,341.24 0.02 17,341.24 nan 4.08 4.55 3.18
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 17,334.53 0.02 17,334.53 BF39VN8 5.67 4.80 12.88
BOEING CO Capital Goods Fixed Income 17,327.82 0.02 17,327.82 nan 4.29 6.30 2.91
SANTANDER HOLDINGS USA INC Banking Fixed Income 17,314.39 0.02 17,314.39 nan 4.94 5.74 3.60
T-MOBILE USA INC Communications Fixed Income 17,314.39 0.02 17,314.39 nan 4.51 2.25 5.30
KINDER MORGAN ENERGY PARTNERS LP Energy Fixed Income 17,307.68 0.02 17,307.68 BJZXT76 5.75 5.50 11.01
CANADIAN NATURAL RESOURCES LTD Energy Fixed Income 17,294.25 0.02 17,294.25 2M24M06 4.26 5.00 3.49
HEWLETT PACKARD ENTERPRISE CO Technology Fixed Income 17,294.25 0.02 17,294.25 nan 4.40 4.55 3.35
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 17,294.25 0.02 17,294.25 nan 4.25 4.38 3.81
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 17,287.53 0.02 17,287.53 nan 5.01 8.88 3.74
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 17,280.82 0.02 17,280.82 nan 5.12 2.30 5.40
COMCAST CORPORATION Communications Fixed Income 17,274.11 0.02 17,274.11 BQPF830 4.65 4.80 6.05
HSBC HOLDINGS PLC FXD-FLT Banking Fixed Income 17,274.11 0.02 17,274.11 nan 4.62 5.24 3.78
PEPSICO INC Consumer Non-Cyclical Fixed Income 17,267.39 0.02 17,267.39 nan 4.33 4.65 5.56
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 17,260.68 0.02 17,260.68 nan 4.37 1.95 5.39
MOLSON COORS BREWING CO Consumer Non-Cyclical Fixed Income 17,253.97 0.02 17,253.97 B82MC25 5.61 5.00 10.69
WASTE CONNECTIONS INC Capital Goods Fixed Income 17,240.54 0.02 17,240.54 nan 4.56 4.20 5.96
PAYPAL HOLDINGS INC Technology Fixed Income 17,233.83 0.02 17,233.83 nan 4.20 2.30 4.05
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 17,233.83 0.02 17,233.83 BMMB383 5.47 4.60 11.77
CHUBB INA HOLDINGS LLC Insurance Fixed Income 17,227.11 0.02 17,227.11 nan 4.66 5.00 6.53
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 17,220.40 0.02 17,220.40 nan 4.69 4.95 7.41
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 17,213.68 0.02 17,213.68 BF8QNS3 5.56 4.45 13.12
ORACLE CORPORATION Technology Fixed Income 17,206.97 0.02 17,206.97 BLFC9N3 7.10 5.50 13.30
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 17,193.54 0.02 17,193.54 BNZJ110 5.65 5.35 13.72
FLORIDA POWER & LIGHT CO Electric Fixed Income 17,186.83 0.02 17,186.83 nan 4.50 4.80 6.06
RIO TINTO FINANCE (USA) LTD Basic Industry Fixed Income 17,173.40 0.02 17,173.40 BNRLYY8 5.46 2.75 15.82
QUALCOMM INCORPORATED Technology Fixed Income 17,159.98 0.02 17,159.98 BNG8GG6 5.54 4.50 14.25
ACCENTURE CAPITAL INC Technology Fixed Income 17,153.26 0.02 17,153.26 nan 4.24 4.25 4.94
COMCAST CORPORATION Communications Fixed Income 17,153.26 0.02 17,153.26 BMGWCS5 5.49 3.75 10.33
CONOCOPHILLIPS CO Energy Fixed Income 17,146.55 0.02 17,146.55 BQD1VB9 5.70 5.55 13.73
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 17,139.84 0.02 17,139.84 nan 5.53 5.50 14.19
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 17,133.12 0.02 17,133.12 nan 4.45 2.45 5.32
MARSH & MCLENNAN COMPANIES INC Insurance Fixed Income 17,133.12 0.02 17,133.12 BJ2NYF2 5.55 4.90 13.03
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 17,133.12 0.02 17,133.12 nan 4.73 2.50 4.56
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 17,119.69 0.02 17,119.69 BN7B2Q6 6.15 6.70 12.66
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 17,112.98 0.02 17,112.98 BQ11MP2 5.41 4.55 11.82
AMERICAN TOWER CORPORATION Communications Fixed Income 17,106.27 0.02 17,106.27 nan 4.84 5.90 6.20
GLOBAL PAYMENTS INC Technology Fixed Income 17,099.55 0.02 17,099.55 nan 5.12 5.40 5.35
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 17,099.55 0.02 17,099.55 BMXN3F5 4.46 1.85 6.05
EASTMAN CHEMICAL COMPANY Basic Industry Fixed Income 17,086.13 0.02 17,086.13 nan 5.12 5.63 6.31
NATWEST GROUP PLC Banking Fixed Income 17,086.13 0.02 17,086.13 BQBBVP5 4.90 5.78 6.33
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 17,079.41 0.02 17,079.41 nan 4.15 4.55 3.90
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 17,079.41 0.02 17,079.41 nan 5.03 5.88 3.33
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 17,079.41 0.02 17,079.41 nan 4.49 3.20 3.89
UNION PACIFIC CORPORATION Transportation Fixed Income 17,079.41 0.02 17,079.41 BKDMLD2 5.51 3.25 14.52
LAM RESEARCH CORPORATION Technology Fixed Income 17,045.84 0.02 17,045.84 BFZ93F2 4.03 4.00 2.88
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 17,039.13 0.02 17,039.13 nan 4.09 5.05 3.00
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 17,032.42 0.02 17,032.42 nan 5.67 5.90 13.65
ENERGY TRANSFER LP Energy Fixed Income 17,025.70 0.02 17,025.70 nan 4.35 5.25 3.11
LYONDELLBASELL INDUSTRIES NV Basic Industry Fixed Income 17,025.70 0.02 17,025.70 BW3SZD2 6.35 4.63 13.70
PROLOGIS LP Reits Fixed Income 17,025.70 0.02 17,025.70 BPDYZG4 5.52 5.25 14.07
VERIZON COMMUNICATIONS INC Communications Fixed Income 17,025.70 0.02 17,025.70 BF320B8 5.60 6.55 10.54
BANK OF NOVA SCOTIA MTN Banking Fixed Income 17,012.28 0.02 17,012.28 nan 4.52 2.45 5.41
COMCAST CORPORATION Communications Fixed Income 17,012.28 0.02 17,012.28 nan 4.35 1.50 4.73
TARGA RESOURCES PARTNERS LP Energy Fixed Income 17,012.28 0.02 17,012.28 BPLF5V4 4.87 4.00 5.22
MICRON TECHNOLOGY INC Technology Fixed Income 17,005.56 0.02 17,005.56 nan 4.61 2.70 5.56
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 17,005.56 0.02 17,005.56 BJVNJQ9 5.96 3.65 13.76
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 16,998.85 0.02 16,998.85 nan 4.31 4.35 3.77
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 16,998.85 0.02 16,998.85 nan 5.54 5.65 11.38
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 16,992.14 0.02 16,992.14 nan 4.57 4.90 5.84
SOUTH BOW USA INFRASTRUCTURE HOLDI Energy Fixed Income 16,992.14 0.02 16,992.14 nan 4.64 5.03 3.28
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 16,985.42 0.02 16,985.42 BP2CRG3 5.56 3.00 15.43
CHEVRON USA INC Energy Fixed Income 16,985.42 0.02 16,985.42 nan 4.13 4.69 3.76
GEORGIA POWER COMPANY Electric Fixed Income 16,985.42 0.02 16,985.42 B78K6L3 5.37 4.30 10.99
HUMANA INC Insurance Fixed Income 16,978.71 0.02 16,978.71 BRC6GS4 6.09 5.75 13.33
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 16,978.71 0.02 16,978.71 nan 4.49 3.20 5.39
DOW CHEMICAL CO Basic Industry Fixed Income 16,972.00 0.02 16,972.00 nan 4.70 2.10 4.45
OWENS CORNING Capital Goods Fixed Income 16,972.00 0.02 16,972.00 BNNRNT8 4.90 5.70 6.63
VERIZON COMMUNICATIONS INC Communications Fixed Income 16,951.85 0.02 16,951.85 nan 5.71 5.50 13.68
BARCLAYS PLC Banking Fixed Income 16,945.14 0.02 16,945.14 nan 4.73 2.89 5.22
TEXAS INSTRUMENTS INC Technology Fixed Income 16,945.14 0.02 16,945.14 nan 3.99 2.25 3.38
UNITEDHEALTH GROUP INC Insurance Fixed Income 16,945.14 0.02 16,945.14 BM95BC8 5.25 2.75 11.09
PUBLIC SERVICE COMPANY OF OKLAHOMA Electric Fixed Income 16,938.43 0.02 16,938.43 BT212Q3 5.14 5.45 7.64
NISOURCE INC Natural Gas Fixed Income 16,931.71 0.02 16,931.71 BD20RG3 5.71 4.38 12.82
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 16,925.00 0.02 16,925.00 BGHJWG1 5.32 4.38 13.31
MASTERCARD INC Technology Fixed Income 16,918.29 0.02 16,918.29 nan 4.19 2.00 5.36
TYSON FOODS INC Consumer Non-Cyclical Fixed Income 16,911.57 0.02 16,911.57 BFZZ2V9 5.59 5.10 12.79
ALLSTATE CORPORATION (THE) Insurance Fixed Income 16,898.15 0.02 16,898.15 nan 4.65 5.25 5.86
COMCAST CORPORATION Communications Fixed Income 16,898.15 0.02 16,898.15 BY58YP9 5.80 4.60 11.90
KINDER MORGAN INC Energy Fixed Income 16,898.15 0.02 16,898.15 BKSCX53 5.78 3.60 14.25
TIME WARNER CABLE LLC Communications Fixed Income 16,898.15 0.02 16,898.15 B8N2417 6.85 4.50 10.53
APPLE INC Technology Fixed Income 16,891.43 0.02 16,891.43 BJDSXS2 5.39 2.95 14.88
CHEVRON USA INC Energy Fixed Income 16,891.43 0.02 16,891.43 nan 4.70 4.85 7.54
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 16,884.72 0.02 16,884.72 nan 4.43 3.75 3.77
NATIONAL GRID PLC Electric Fixed Income 16,884.72 0.02 16,884.72 nan 4.82 5.81 5.97
CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 16,878.00 0.02 16,878.00 BK6S8N6 4.26 3.15 3.23
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 16,871.29 0.02 16,871.29 BLGM4V5 5.54 3.00 14.82
DELL INTERNATIONAL LLC / EMC CORP Technology Fixed Income 16,871.29 0.02 16,871.29 nan 4.85 5.75 5.62
HOME DEPOT INC Consumer Cyclical Fixed Income 16,857.86 0.02 16,857.86 BP0TWX8 5.45 2.75 15.71
MERCK & CO INC Consumer Non-Cyclical Fixed Income 16,851.15 0.02 16,851.15 BJRL1T4 5.50 4.00 13.65
SALESFORCE INC Technology Fixed Income 16,851.15 0.02 16,851.15 BN466W8 5.56 2.90 15.59
AMGEN INC Consumer Non-Cyclical Fixed Income 16,844.44 0.02 16,844.44 nan 5.28 3.15 10.61
SABINE PASS LIQUEFACTION LLC Energy Fixed Income 16,844.44 0.02 16,844.44 nan 4.40 4.50 3.84
VERIZON COMMUNICATIONS INC Communications Fixed Income 16,844.44 0.02 16,844.44 BY7RR99 5.74 4.13 12.56
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 16,837.72 0.02 16,837.72 BSHRLG2 5.54 5.10 15.63
BELL TELEPHONE COMPANY OF CANADA O Communications Fixed Income 16,831.01 0.02 16,831.01 BFY0DB2 5.77 4.46 12.91
PHILLIPS 66 CO Energy Fixed Income 16,831.01 0.02 16,831.01 nan 4.83 5.30 6.09
AT&T INC Communications Fixed Income 16,824.30 0.02 16,824.30 nan 4.60 2.25 5.43
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 16,817.58 0.02 16,817.58 BG0PVG9 5.65 4.08 13.30
SWP: IFS 2.385000 17-MAY-2028 USC Cash and/or Derivatives Swaps 16,815.70 0.02 -1,133,184.30 nan nan 2.38 -0.03
COCA-COLA CO Consumer Non-Cyclical Fixed Income 16,810.87 0.02 16,810.87 BK93JD5 5.34 2.50 16.00
BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 16,797.44 0.02 16,797.44 991CAB7 5.72 6.60 3.13
CF INDUSTRIES INC Basic Industry Fixed Income 16,797.44 0.02 16,797.44 BKL56K5 5.02 5.15 6.47
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 16,784.01 0.02 16,784.01 nan 4.45 2.40 5.02
TOTALENERGIES CAPITAL SA Energy Fixed Income 16,784.01 0.02 16,784.01 nan 5.73 5.64 15.22
HOME DEPOT INC Consumer Cyclical Fixed Income 16,777.30 0.02 16,777.30 BNRQN46 5.44 2.38 16.10
CIGNA GROUP Consumer Non-Cyclical Fixed Income 16,763.87 0.02 16,763.87 nan 4.85 5.25 6.39
BOEING CO Capital Goods Fixed Income 16,757.16 0.02 16,757.16 BKPHQG3 5.74 3.75 13.85
PARAMOUNT GLOBAL Communications Fixed Income 16,750.45 0.02 16,750.45 B1G5DX9 7.21 6.88 7.11
BOSTON PROPERTIES LP Reits Fixed Income 16,743.73 0.02 16,743.73 BM9KMK8 4.67 3.25 4.47
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 16,743.73 0.02 16,743.73 nan 5.79 5.97 13.42
KINDER MORGAN INC Energy Fixed Income 16,743.73 0.02 16,743.73 BRJK1M8 5.85 5.95 13.37
PFIZER INC Consumer Non-Cyclical Fixed Income 16,743.73 0.02 16,743.73 nan 4.17 4.20 4.28
HCA INC Consumer Non-Cyclical Fixed Income 16,737.02 0.02 16,737.02 nan 5.97 5.95 13.36
HONDA MOTOR CO LTD Consumer Cyclical Fixed Income 16,737.02 0.02 16,737.02 nan 5.05 5.34 7.36
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 16,737.02 0.02 16,737.02 B8J5PR3 5.46 4.00 11.38
ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 16,737.02 0.02 16,737.02 nan 4.72 5.65 6.25
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 16,730.31 0.02 16,730.31 nan 4.27 3.90 5.56
BANCO SANTANDER SA Banking Fixed Income 16,723.59 0.02 16,723.59 BLB6SW1 4.45 3.49 3.95
DEVON ENERGY CORP Energy Fixed Income 16,723.59 0.02 16,723.59 B7XHMQ6 5.90 4.75 10.74
GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 16,723.59 0.02 16,723.59 nan 4.13 4.50 3.77
NATWEST GROUP PLC Banking Fixed Income 16,723.59 0.02 16,723.59 BQMS2W9 4.86 6.02 5.67
LOWES COMPANIES INC Consumer Cyclical Fixed Income 16,716.88 0.02 16,716.88 BYWC120 5.64 4.05 13.05
TRUIST FINANCIAL CORP MTN Banking Fixed Income 16,710.16 0.02 16,710.16 BSWTGC4 4.64 5.15 4.67
CATERPILLAR INC Capital Goods Fixed Income 16,703.45 0.02 16,703.45 BKY86V2 5.33 3.25 14.63
COMCAST CORPORATION Communications Fixed Income 16,703.45 0.02 16,703.45 BGGFKB1 4.25 4.25 4.19
COMCAST CORPORATION Communications Fixed Income 16,690.02 0.02 16,690.02 BDFFPY9 5.90 3.40 13.25
MOLSON COORS BREWING CO Consumer Non-Cyclical Fixed Income 16,690.02 0.02 16,690.02 BYT4Q46 5.73 4.20 12.76
BROADCOM INC Technology Fixed Income 16,683.31 0.02 16,683.31 nan 4.17 5.05 3.15
TELEFONICA EMISIONES SAU Communications Fixed Income 16,683.31 0.02 16,683.31 BF2TMG9 6.10 4.89 12.35
UNITEDHEALTH GROUP INC Insurance Fixed Income 16,683.31 0.02 16,683.31 BZ0X5W0 5.58 4.20 13.01
ZOETIS INC Consumer Non-Cyclical Fixed Income 16,683.31 0.02 16,683.31 BG0R585 5.38 4.70 11.09
GENERAL MOTORS CO Consumer Cyclical Fixed Income 16,676.60 0.02 16,676.60 BD93Q91 6.13 5.40 12.14
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 16,676.60 0.02 16,676.60 B1L6KD6 4.96 5.70 8.09
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 16,669.88 0.02 16,669.88 BKRWX76 4.16 2.75 3.50
BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 16,669.88 0.02 16,669.88 BS47SR5 6.06 6.65 4.22
PPL CAPITAL FUNDING INC Electric Fixed Income 16,663.17 0.02 16,663.17 nan 4.93 5.25 6.74
HUNTINGTON BANCSHARES INC(FXD-FRN) Banking Fixed Income 16,656.46 0.02 16,656.46 nan 4.77 4.87 4.42
PEPSICO INC Consumer Non-Cyclical Fixed Income 16,656.46 0.02 16,656.46 nan 4.27 3.90 5.65
DELL INTERNATIONAL LLC Technology Fixed Income 16,643.03 0.02 16,643.03 nan 4.41 5.00 3.69
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 16,616.17 0.02 16,616.17 B5M4JQ3 4.88 5.75 9.73
BROWN & BROWN INC Insurance Fixed Income 16,616.17 0.02 16,616.17 nan 4.51 4.90 3.92
AMRIZE FINANCE US LLC Capital Goods Fixed Income 16,609.46 0.02 16,609.46 BVPJWK2 4.89 5.40 7.12
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 16,602.75 0.02 16,602.75 nan 4.70 4.60 7.71
DOMINION ENERGY INC Electric Fixed Income 16,596.03 0.02 16,596.03 nan 4.71 5.38 5.62
AMGEN INC Consumer Non-Cyclical Fixed Income 16,589.32 0.02 16,589.32 BM9D0T2 4.38 2.30 4.66
EXPEDIA GROUP INC Consumer Cyclical Fixed Income 16,589.32 0.02 16,589.32 BLTZ2F1 4.32 3.25 3.69
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 16,575.89 0.02 16,575.89 nan 5.14 2.65 11.31
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 16,575.89 0.02 16,575.89 nan 4.46 5.00 7.16
CONOCOPHILLIPS CO Energy Fixed Income 16,569.18 0.02 16,569.18 nan 5.68 5.50 14.20
MORGAN STANLEY Banking Fixed Income 16,569.18 0.02 16,569.18 nan 4.60 5.19 3.72
VERIZON COMMUNICATIONS INC Communications Fixed Income 16,555.75 0.02 16,555.75 BRS92H8 4.64 5.05 6.00
CME GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 16,542.32 0.02 16,542.32 nan 4.09 4.40 3.69
WASTE MANAGEMENT INC Capital Goods Fixed Income 16,542.32 0.02 16,542.32 nan 4.17 4.63 3.60
ELEVANCE HEALTH INC Insurance Fixed Income 16,535.61 0.02 16,535.61 BMH9C29 5.67 3.60 14.43
CDW LLC Technology Fixed Income 16,535.61 0.02 16,535.61 nan 4.92 3.57 5.15
HOME DEPOT INC Consumer Cyclical Fixed Income 16,502.04 0.02 16,502.04 BPLZ1P0 5.49 5.30 14.34
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 16,502.04 0.02 16,502.04 nan 4.51 4.20 7.05
CIGNA GROUP Consumer Non-Cyclical Fixed Income 16,495.33 0.02 16,495.33 BL6BBD3 5.33 3.20 10.63
IBM INTERNATIONAL CAPITAL PTE LTD Technology Fixed Income 16,495.33 0.02 16,495.33 nan 4.77 4.90 6.43
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 16,481.90 0.02 16,481.90 BJT1608 5.56 5.10 11.59
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 16,481.90 0.02 16,481.90 nan 4.75 5.45 4.58
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 16,475.19 0.02 16,475.19 BSLSJZ6 5.54 5.20 15.64
VERIZON COMMUNICATIONS INC Communications Fixed Income 16,475.19 0.02 16,475.19 BPP3C79 5.73 3.88 14.34
TARGA RESOURCES CORP Energy Fixed Income 16,468.47 0.02 16,468.47 nan 6.04 6.13 13.47
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 16,461.76 0.02 16,461.76 nan 4.85 5.75 6.04
CISCO SYSTEMS INC Technology Fixed Income 16,455.05 0.02 16,455.05 nan 4.37 4.95 5.12
ALPHABET INC Technology Fixed Income 16,448.33 0.02 16,448.33 nan 4.59 4.50 7.46
CHENIERE CORPUS CHRISTI HOLDINGS L Energy Fixed Income 16,448.33 0.02 16,448.33 nan 4.39 3.70 3.48
AON CORP Insurance Fixed Income 16,441.62 0.02 16,441.62 BMZM963 4.25 2.80 3.97
KENVUE INC Consumer Non-Cyclical Fixed Income 16,421.48 0.02 16,421.48 nan 4.58 4.90 5.90
METLIFE INC Insurance Fixed Income 16,421.48 0.02 16,421.48 B019VJ1 4.69 6.38 6.54
AMERICAN TOWER CORPORATION Communications Fixed Income 16,414.77 0.02 16,414.77 BQXHZN7 4.77 5.65 5.76
CIGNA GROUP Consumer Non-Cyclical Fixed Income 16,414.77 0.02 16,414.77 nan 4.67 4.88 5.52
WESTPAC BANKING CORP Banking Fixed Income 16,414.77 0.02 16,414.77 nan 4.98 6.82 6.06
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 16,408.05 0.02 16,408.05 nan 4.67 5.63 6.15
LLOYDS BANKING GROUP PLC Banking Fixed Income 16,408.05 0.02 16,408.05 nan 4.94 5.59 6.90
AMCOR FLEXIBLES NORTH AMERICA INC Capital Goods Fixed Income 16,401.34 0.02 16,401.34 2NW3125 5.00 5.50 7.03
GLP CAPITAL LP Consumer Cyclical Fixed Income 16,401.34 0.02 16,401.34 nan 5.41 5.63 6.66
CANADIAN NATURAL RESOURCES LTD Energy Fixed Income 16,394.62 0.02 16,394.62 2M24MW8 5.14 5.40 6.97
COMCAST CORPORATION Communications Fixed Income 16,394.62 0.02 16,394.62 nan 5.89 2.65 17.18
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 16,394.62 0.02 16,394.62 BZ78L86 5.46 4.63 12.32
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 16,387.91 0.02 16,387.91 BH458J4 5.84 5.30 11.14
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 16,387.91 0.02 16,387.91 nan 4.44 5.25 4.61
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 16,374.48 0.02 16,374.48 BRRD709 5.80 6.50 13.16
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 16,367.77 0.02 16,367.77 nan 3.99 1.45 4.46
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 16,367.77 0.02 16,367.77 BMF3XC0 5.55 2.77 15.44
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 16,367.77 0.02 16,367.77 BNXJJF2 4.71 5.40 6.01
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 16,361.06 0.02 16,361.06 BMTWJ58 5.63 5.20 15.52
LOWES COMPANIES INC Consumer Cyclical Fixed Income 16,354.34 0.02 16,354.34 BMGCHJ1 5.70 4.25 14.15
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 16,354.34 0.02 16,354.34 nan 4.84 5.43 6.52
DH EUROPE FINANCE II SARL Consumer Non-Cyclical Fixed Income 16,347.63 0.02 16,347.63 BKTX8T4 4.08 2.60 3.55
FLORIDA POWER & LIGHT CO Electric Fixed Income 16,347.63 0.02 16,347.63 nan 4.33 2.45 5.42
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 16,347.63 0.02 16,347.63 nan 4.92 5.42 7.21
JEFFERIES FINANCIAL GROUP INC MTN Brokerage/Asset Managers/Exchanges Fixed Income 16,340.92 0.02 16,340.92 nan 5.60 5.50 7.62
AMEREN CORPORATION Electric Fixed Income 16,334.20 0.02 16,334.20 nan 5.00 5.38 7.05
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 16,334.20 0.02 16,334.20 BQ0N1J6 5.56 5.35 13.98
MERCK & CO INC Consumer Non-Cyclical Fixed Income 16,334.20 0.02 16,334.20 nan 4.27 4.15 4.55
AMAZON.COM INC Consumer Cyclical Fixed Income 16,327.49 0.02 16,327.49 nan 3.96 4.65 3.48
ARES CAPITAL CORPORATION Finance Companies Fixed Income 16,327.49 0.02 16,327.49 nan 5.09 5.95 3.11
MERCK & CO INC Consumer Non-Cyclical Fixed Income 16,320.78 0.02 16,320.78 nan 4.38 4.50 6.13
ONEOK INC Energy Fixed Income 16,320.78 0.02 16,320.78 nan 4.51 3.10 3.78
EQT CORP Energy Fixed Income 16,293.92 0.02 16,293.92 nan 5.09 5.75 6.24
SHELL FINANCE US INC Energy Fixed Income 16,287.21 0.02 16,287.21 nan 4.20 4.13 4.26
COMCAST CORPORATION Communications Fixed Income 16,280.49 0.02 16,280.49 BFWQ3S9 5.97 4.05 14.23
DEVON ENERGY CORP Energy Fixed Income 16,280.49 0.02 16,280.49 B3Q7W10 5.84 5.60 10.16
UNITEDHEALTH GROUP INC Insurance Fixed Income 16,273.78 0.02 16,273.78 nan 5.67 5.95 14.01
SANTANDER HOLDINGS USA INC Banking Fixed Income 16,260.35 0.02 16,260.35 BQB8DW7 5.02 6.17 2.67
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 16,253.64 0.02 16,253.64 BQV0GK2 4.16 4.98 3.96
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 16,246.93 0.02 16,246.93 nan 5.51 5.75 14.09
MEDTRONIC INC Consumer Non-Cyclical Fixed Income 16,246.93 0.02 16,246.93 BYZYSL1 5.26 4.63 12.08
TRUIST FINANCIAL CORP MTN Banking Fixed Income 16,246.93 0.02 16,246.93 nan 4.89 6.12 5.47
WALMART INC Consumer Cyclical Fixed Income 16,233.50 0.02 16,233.50 B242VX5 4.70 6.50 8.16
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 16,220.07 0.02 16,220.07 nan 4.26 5.75 4.24
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 16,220.07 0.02 16,220.07 nan 5.63 5.70 13.88
APPLE INC Technology Fixed Income 16,213.36 0.02 16,213.36 BKPJTD7 5.42 2.80 17.55
T-MOBILE USA INC Communications Fixed Income 16,213.36 0.02 16,213.36 nan 4.49 2.55 4.60
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 16,206.64 0.02 16,206.64 BLR95R8 5.06 4.25 10.21
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 16,199.93 0.02 16,199.93 nan 5.49 4.45 14.60
CATERPILLAR INC Capital Goods Fixed Income 16,199.93 0.02 16,199.93 BLGYRQ7 5.26 3.25 14.90
ORACLE CORPORATION Technology Fixed Income 16,199.93 0.02 16,199.93 nan 7.08 6.13 13.02
SALESFORCE INC Technology Fixed Income 16,179.79 0.02 16,179.79 nan 4.27 1.95 5.08
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 16,152.94 0.02 16,152.94 BQBBGR2 5.51 5.55 13.89
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 16,139.51 0.02 16,139.51 BQMRXZ6 4.34 4.70 5.88
HALLIBURTON COMPANY Energy Fixed Income 16,132.79 0.02 16,132.79 B63S808 5.49 7.45 8.77
CANADIAN NATIONAL RAILWAY COMPANY Transportation Fixed Income 16,126.08 0.02 16,126.08 nan 4.43 3.85 5.59
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 16,126.08 0.02 16,126.08 nan 4.31 4.88 3.54
PEPSICO INC Consumer Non-Cyclical Fixed Income 16,126.08 0.02 16,126.08 BHKDDP3 4.01 2.63 3.26
SOUTHERN COMPANY (THE) Electric Fixed Income 16,119.37 0.02 16,119.37 BM9VYX8 4.92 5.70 6.38
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 16,119.37 0.02 16,119.37 BL739D4 4.31 2.25 3.84
TAKEDA US FINANCING INC Consumer Non-Cyclical Fixed Income 16,119.37 0.02 16,119.37 nan 5.71 5.90 14.05
T-MOBILE USA INC Communications Fixed Income 16,112.65 0.02 16,112.65 BR876T2 5.84 5.50 14.03
REGAL REXNORD CORP Capital Goods Fixed Income 16,105.94 0.02 16,105.94 BNZHS13 4.69 6.30 3.48
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 16,099.23 0.02 16,099.23 nan 4.16 1.65 4.40
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 16,092.51 0.02 16,092.51 BQ1QMJ1 4.87 5.94 5.96
BOEING CO Capital Goods Fixed Income 16,085.80 0.02 16,085.80 BK1WFJ8 5.82 3.90 13.63
ABBVIE INC Consumer Non-Cyclical Fixed Income 16,072.37 0.02 16,072.37 BYP8MR7 4.81 4.30 8.11
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 16,072.37 0.02 16,072.37 nan 4.50 4.95 5.85
WILLIAMS COMPANIES INC Energy Fixed Income 16,072.37 0.02 16,072.37 nan 4.92 5.15 6.48
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 16,072.37 0.02 16,072.37 nan 4.50 4.46 5.46
UNITED PARCEL SERVICE INC Transportation Fixed Income 16,052.23 0.02 16,052.23 BJCRWL6 3.94 3.40 2.91
WELLS FARGO BANK NA MTN Banking Fixed Income 16,052.23 0.02 16,052.23 B29SN65 5.26 6.60 8.43
INGERSOLL RAND INC Capital Goods Fixed Income 16,045.52 0.02 16,045.52 nan 4.85 5.45 6.68
VIATRIS INC Consumer Non-Cyclical Fixed Income 16,038.80 0.02 16,038.80 nan 6.67 4.00 13.28
WEYERHAEUSER COMPANY Basic Industry Fixed Income 16,038.80 0.02 16,038.80 BJJDQP9 4.34 4.00 3.46
BARCLAYS PLC Banking Fixed Income 16,032.09 0.02 16,032.09 nan 4.68 2.65 4.07
COMCAST CORPORATION Communications Fixed Income 16,032.09 0.02 16,032.09 nan 4.35 1.95 4.64
WALT DISNEY CO Communications Fixed Income 16,032.09 0.02 16,032.09 nan 4.78 6.40 7.41
INTUIT INC Technology Fixed Income 16,032.09 0.02 16,032.09 BNNJDM7 5.59 5.50 13.76
MASTERCARD INC Technology Fixed Income 16,032.09 0.02 16,032.09 BHTBRZ6 3.99 2.95 3.13
ARES CAPITAL CORPORATION Finance Companies Fixed Income 16,018.66 0.02 16,018.66 nan 5.41 5.50 3.93
ADOBE INC Technology Fixed Income 16,005.24 0.02 16,005.24 nan 3.95 4.80 2.90
INTEL CORPORATION Technology Fixed Income 15,998.52 0.02 15,998.52 BMX7H88 5.85 5.63 10.50
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 15,998.52 0.02 15,998.52 BK0WS12 5.57 3.63 14.04
WEYERHAEUSER COMPANY Basic Industry Fixed Income 15,998.52 0.02 15,998.52 BMQ5MG2 4.42 4.00 3.79
WESTPAC BANKING CORP Banking Fixed Income 15,978.38 0.02 15,978.38 nan 4.18 4.35 3.98
FORD MOTOR COMPANY Consumer Cyclical Fixed Income 15,971.67 0.02 15,971.67 BYPL1V3 6.61 5.29 11.68
APPLE INC Technology Fixed Income 15,951.53 0.02 15,951.53 BF58H35 5.32 3.75 13.51
COMCAST CORPORATION Communications Fixed Income 15,951.53 0.02 15,951.53 BL6D441 5.96 2.80 15.23
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 15,951.53 0.02 15,951.53 nan 4.86 5.75 5.93
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 15,951.53 0.02 15,951.53 BTFK546 6.09 5.90 13.31
NISOURCE INC Natural Gas Fixed Income 15,938.10 0.02 15,938.10 BL0MLT8 4.34 3.60 3.87
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 15,938.10 0.02 15,938.10 nan 4.67 4.90 6.76
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 15,931.39 0.02 15,931.39 nan 4.23 5.00 3.59
LABORATORY CORPORATION OF AMERICA Consumer Non-Cyclical Fixed Income 15,931.39 0.02 15,931.39 nan 4.95 4.80 6.91
ZOETIS INC Consumer Non-Cyclical Fixed Income 15,931.39 0.02 15,931.39 nan 4.19 2.00 4.03
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 15,917.96 0.02 15,917.96 B2Q1JQ9 5.06 6.30 8.43
RELX CAPITAL INC Technology Fixed Income 15,917.96 0.02 15,917.96 nan 4.28 4.75 3.70
UNION PACIFIC CORPORATION Transportation Fixed Income 15,917.96 0.02 15,917.96 BDCWS88 5.51 3.80 14.56
APPLE INC Technology Fixed Income 15,904.53 0.02 15,904.53 BXC5WP2 5.24 4.38 12.39
ROYAL BANK OF CANADA MTN Banking Fixed Income 15,897.82 0.02 15,897.82 nan 4.56 5.00 5.75
AMGEN INC Consumer Non-Cyclical Fixed Income 15,891.10 0.02 15,891.10 BJVPJP4 5.46 3.38 14.48
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 15,891.10 0.02 15,891.10 nan 4.41 1.88 5.01
UNITED PARCEL SERVICE INC Transportation Fixed Income 15,891.10 0.02 15,891.10 B2NP6Q3 4.99 6.20 8.58
HUMANA INC Insurance Fixed Income 15,877.68 0.02 15,877.68 BQZJCM9 5.93 4.95 11.44
PFIZER INC Consumer Non-Cyclical Fixed Income 15,877.68 0.02 15,877.68 BB9ZSR5 5.35 4.30 11.67
GLP CAPITAL LP Consumer Cyclical Fixed Income 15,870.96 0.02 15,870.96 BPNXM93 5.13 3.25 5.30
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 15,870.96 0.02 15,870.96 BFNF664 5.22 3.50 14.12
US BANCORP MTN Banking Fixed Income 15,850.82 0.02 15,850.82 nan 4.42 5.38 2.74
UNION PACIFIC CORPORATION Transportation Fixed Income 15,844.11 0.02 15,844.11 nan 5.53 5.60 14.18
AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 15,837.40 0.02 15,837.40 BFMNF40 5.49 4.75 12.92
COCA-COLA CO Consumer Non-Cyclical Fixed Income 15,830.68 0.02 15,830.68 nan 5.39 5.30 14.33
DUPONT DE NEMOURS INC Basic Industry Fixed Income 15,817.25 0.02 15,817.25 BGYGSM3 5.29 5.32 9.11
HEALTHPEAK OP LLC Reits Fixed Income 15,803.83 0.02 15,803.83 nan 4.82 5.25 5.71
CIGNA GROUP Consumer Non-Cyclical Fixed Income 15,797.11 0.02 15,797.11 nan 4.47 2.38 4.70
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 15,797.11 0.02 15,797.11 nan 7.23 5.50 13.07
WILLIAMS COMPANIES INC Energy Fixed Income 15,783.69 0.02 15,783.69 nan 5.81 5.80 13.76
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 15,776.97 0.02 15,776.97 BMBMD76 5.36 2.25 16.18
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 15,770.26 0.02 15,770.26 B6VMZ67 5.38 4.38 10.89
TRAVELERS COMPANIES INC Insurance Fixed Income 15,770.26 0.02 15,770.26 nan 5.48 5.70 14.42
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 15,763.55 0.02 15,763.55 nan 4.56 1.88 4.71
CUMMINS INC Consumer Cyclical Fixed Income 15,763.55 0.02 15,763.55 nan 4.10 1.50 4.33
DEERE & CO Capital Goods Fixed Income 15,763.55 0.02 15,763.55 B87L119 5.07 3.90 11.54
ENBRIDGE INC Energy Fixed Income 15,763.55 0.02 15,763.55 BZ6CXF0 5.58 5.50 12.17
HOME DEPOT INC Consumer Cyclical Fixed Income 15,763.55 0.02 15,763.55 BJKPFV3 3.97 2.95 3.17
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 15,756.83 0.02 15,756.83 nan 5.37 6.15 7.18
CSX CORP Transportation Fixed Income 15,750.12 0.02 15,750.12 nan 4.80 5.05 7.39
FLORIDA POWER & LIGHT CO Electric Fixed Income 15,750.12 0.02 15,750.12 nan 5.51 5.70 14.05
UNITED PARCEL SERVICE INC Transportation Fixed Income 15,750.12 0.02 15,750.12 nan 5.75 6.05 15.23
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 15,743.41 0.02 15,743.41 nan 5.12 2.70 11.16
AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 15,743.41 0.02 15,743.41 nan 4.83 4.90 6.51
WILLIAMS COMPANIES INC Energy Fixed Income 15,743.41 0.02 15,743.41 BFY8W75 5.77 4.85 12.59
NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 15,736.69 0.02 15,736.69 nan 4.82 5.55 6.34
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 15,723.26 0.02 15,723.26 BKBZGZ0 4.73 3.38 4.89
SWP: IFS 2.405976 07-JAN-2055 USC Cash and/or Derivatives Swaps 15,718.35 0.02 -1,504,281.65 nan nan 2.41 -0.30
BOEING CO Capital Goods Fixed Income 15,703.12 0.02 15,703.12 BKPHQD0 5.91 3.95 15.29
DOMINION ENERGY INC Electric Fixed Income 15,696.41 0.02 15,696.41 BM6KKK7 4.34 3.38 3.80
EOG RESOURCES INC Energy Fixed Income 15,696.41 0.02 15,696.41 BLB9JH2 5.67 4.95 13.26
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 15,696.41 0.02 15,696.41 nan 4.52 4.70 5.92
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 15,689.70 0.02 15,689.70 nan 5.57 4.20 13.79
BUNGE FINANCE LTD CORP Consumer Non-Cyclical Fixed Income 15,669.56 0.02 15,669.56 nan 4.87 4.65 6.91
PEPSICO INC Consumer Non-Cyclical Fixed Income 15,669.56 0.02 15,669.56 nan 4.07 1.63 4.03
BIOGEN INC Consumer Non-Cyclical Fixed Income 15,662.84 0.02 15,662.84 nan 5.81 3.15 14.61
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 15,656.13 0.02 15,656.13 nan 5.52 5.55 14.47
MSCI INC Technology Fixed Income 15,656.13 0.02 15,656.13 nan 5.15 5.25 7.30
MERCK & CO INC Consumer Non-Cyclical Fixed Income 15,649.41 0.02 15,649.41 B9D69N3 5.35 4.15 11.68
M&T BANK CORPORATION MTN Banking Fixed Income 15,642.70 0.02 15,642.70 nan 4.87 6.08 4.31
ORACLE CORPORATION Technology Fixed Income 15,642.70 0.02 15,642.70 BWTM356 6.88 4.38 13.53
OCCIDENTAL PETROLEUM CORPORATION Energy Fixed Income 15,635.99 0.02 15,635.99 BKTC909 4.78 7.50 4.33
GLAXOSMITHKLINE CAPITAL INC Consumer Non-Cyclical Fixed Income 15,622.56 0.02 15,622.56 nan 4.72 4.88 7.28
TRANE TECHNOLOGIES FINANCING LTD Capital Goods Fixed Income 15,622.56 0.02 15,622.56 BJ1DL29 4.02 3.80 2.90
J M SMUCKER CO Consumer Non-Cyclical Fixed Income 15,622.56 0.02 15,622.56 BMTQVH6 5.72 6.50 10.67
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 15,615.85 0.02 15,615.85 B432721 5.17 5.30 9.63
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 15,609.13 0.02 15,609.13 BYWKWC1 4.74 4.70 7.77
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 15,595.71 0.02 15,595.71 nan 4.71 5.35 7.09
WILLIAMS COMPANIES INC Energy Fixed Income 15,595.71 0.02 15,595.71 BMBR285 5.78 5.30 13.39
PROLOGIS LP Reits Fixed Income 15,582.28 0.02 15,582.28 BMGKBT3 4.21 1.25 4.47
EXPAND ENERGY CORP Energy Fixed Income 15,575.57 0.02 15,575.57 nan 5.01 4.75 5.05
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 15,575.57 0.02 15,575.57 nan 5.71 5.60 13.97
FISERV INC Technology Fixed Income 15,568.85 0.02 15,568.85 nan 5.30 5.25 7.25
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 15,568.85 0.02 15,568.85 nan 4.84 5.20 7.01
MASTERCARD INC Technology Fixed Income 15,568.85 0.02 15,568.85 nan 4.46 4.85 5.88
WASTE MANAGEMENT INC Capital Goods Fixed Income 15,562.14 0.02 15,562.14 nan 4.38 4.80 5.19
APPLE INC Technology Fixed Income 15,548.71 0.02 15,548.71 BF8QDG1 5.32 3.75 13.67
TRAVELERS COMPANIES INC Insurance Fixed Income 15,528.57 0.02 15,528.57 B5MHZ97 5.20 5.35 10.04
CONOCOPHILLIPS CO Energy Fixed Income 15,521.86 0.02 15,521.86 BPG4CH1 5.76 4.03 15.87
3M CO MTN Capital Goods Fixed Income 15,508.43 0.02 15,508.43 BJ2WB03 4.09 3.38 2.87
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 15,501.72 0.02 15,501.72 nan 5.66 5.75 13.83
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 15,495.00 0.02 15,495.00 BNTYN15 5.49 4.95 14.07
JBS NV Consumer Non-Cyclical Fixed Income 15,495.00 0.02 15,495.00 2PGWWX3 6.10 6.25 13.19
PAYPAL HOLDINGS INC Technology Fixed Income 15,495.00 0.02 15,495.00 nan 5.66 5.05 13.82
PIONEER NATURAL RESOURCES COMPANY Energy Fixed Income 15,495.00 0.02 15,495.00 BMFBJD7 4.20 1.90 4.24
WELLTOWER OP LLC Reits Fixed Income 15,495.00 0.02 15,495.00 nan 4.32 4.50 3.97
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 15,488.29 0.02 15,488.29 nan 4.68 5.35 5.38
REPUBLIC SERVICES INC Capital Goods Fixed Income 15,488.29 0.02 15,488.29 BN7K9J5 4.65 5.00 6.58
ONEOK INC Energy Fixed Income 15,481.57 0.02 15,481.57 nan 4.69 4.75 4.90
REPUBLIC SERVICES INC Capital Goods Fixed Income 15,481.57 0.02 15,481.57 nan 4.09 4.88 2.89
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 15,474.86 0.02 15,474.86 nan 4.94 5.19 7.39
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 15,474.86 0.02 15,474.86 BKBZGF0 5.56 3.46 14.40
ABBVIE INC Consumer Non-Cyclical Fixed Income 15,468.15 0.02 15,468.15 BLKFQT2 5.43 4.75 11.92
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 15,468.15 0.02 15,468.15 nan 5.56 5.65 15.54
ARCHER DANIELS MIDLAND CO Consumer Non-Cyclical Fixed Income 15,461.43 0.02 15,461.43 nan 4.46 2.90 5.42
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 15,454.72 0.02 15,454.72 nan 5.21 5.73 3.93
WESTINGHOUSE AIR BRAKE TECHNOLOGIE Capital Goods Fixed Income 15,441.29 0.02 15,441.29 nan 4.94 5.50 7.23
WRKCO INC Basic Industry Fixed Income 15,434.58 0.02 15,434.58 BJHN0K4 4.27 4.90 2.84
TOTALENERGIES CAPITAL SA Energy Fixed Income 15,427.87 0.02 15,427.87 BQZCLV0 4.61 5.15 6.56
L3HARRIS TECHNOLOGIES INC Capital Goods Fixed Income 15,394.30 0.02 15,394.30 nan 4.23 5.05 3.04
MICRON TECHNOLOGY INC Technology Fixed Income 15,394.30 0.02 15,394.30 BK53B88 -5.00 4.66 0.07
KINDER MORGAN INC Energy Fixed Income 15,387.58 0.02 15,387.58 BW01ZR8 5.79 5.05 11.82
TARGA RESOURCES PARTNERS LP Energy Fixed Income 15,387.58 0.02 15,387.58 BP6T4Q9 4.67 4.88 4.31
WASTE CONNECTIONS INC Capital Goods Fixed Income 15,380.87 0.02 15,380.87 nan 4.69 5.00 6.49
KEYCORP MTN Banking Fixed Income 15,374.16 0.02 15,374.16 BQBDY96 5.18 6.40 6.23
CENTENE CORPORATION Insurance Fixed Income 15,347.30 0.02 15,347.30 BM8DBR8 5.59 2.63 4.92
CITIGROUP INC Banking Fixed Income 15,347.30 0.02 15,347.30 BYTHPH1 5.43 4.65 12.04
LLOYDS BANKING GROUP PLC Banking Fixed Income 15,347.30 0.02 15,347.30 BD84H70 5.65 5.30 11.91
ELEVANCE HEALTH INC Insurance Fixed Income 15,340.59 0.02 15,340.59 nan 4.92 5.20 7.02
STANLEY BLACK & DECKER INC Capital Goods Fixed Income 15,340.59 0.02 15,340.59 nan 4.50 2.30 3.84
PEPSICO INC Consumer Non-Cyclical Fixed Income 15,327.16 0.02 15,327.16 nan 4.60 5.00 7.08
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 15,313.73 0.02 15,313.73 BRZWBR3 4.80 6.42 5.85
CSX CORP Transportation Fixed Income 15,307.02 0.02 15,307.02 BH4QB54 4.00 4.25 2.87
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 15,300.31 0.02 15,300.31 BK54437 6.41 3.63 13.80
AMGEN INC Consumer Non-Cyclical Fixed Income 15,293.59 0.02 15,293.59 BN4J2B8 4.55 4.20 5.96
CIGNA GROUP Consumer Non-Cyclical Fixed Income 15,293.59 0.02 15,293.59 nan 4.21 5.00 3.00
ING GROEP NV Banking Fixed Income 15,280.17 0.02 15,280.17 nan 4.60 5.07 3.67
QUEST DIAGNOSTICS INCORPORATED Consumer Non-Cyclical Fixed Income 15,273.45 0.02 15,273.45 nan 4.78 6.40 6.17
T-MOBILE USA INC Communications Fixed Income 15,273.45 0.02 15,273.45 nan 5.85 5.70 13.90
ROYAL BANK OF CANADA MTN Banking Fixed Income 15,266.74 0.02 15,266.74 nan 4.34 4.97 3.13
TARGET CORPORATION Consumer Cyclical Fixed Income 15,266.74 0.02 15,266.74 nan 4.10 2.35 3.76
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 15,260.03 0.02 15,260.03 BMF33S6 5.52 5.25 13.25
RELX CAPITAL INC Technology Fixed Income 15,253.31 0.02 15,253.31 BJ16XR7 4.15 4.00 2.88
TARGA RESOURCES PARTNERS LP Energy Fixed Income 15,246.60 0.02 15,246.60 nan 5.02 5.50 3.56
MICROSOFT CORPORATION Technology Fixed Income 15,239.88 0.02 15,239.88 BVWXT28 4.29 3.50 7.49
ROPER TECHNOLOGIES INC Technology Fixed Income 15,239.88 0.02 15,239.88 nan 4.90 4.90 6.93
BUNGE FINANCE LTD CORP Consumer Non-Cyclical Fixed Income 15,233.17 0.02 15,233.17 nan 4.24 4.20 3.30
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 15,233.17 0.02 15,233.17 BHQ3T37 3.98 3.46 2.83
WESTPAC BANKING CORP Banking Fixed Income 15,233.17 0.02 15,233.17 nan 5.19 4.42 9.90
WESTPAC BANKING CORP Banking Fixed Income 15,233.17 0.02 15,233.17 nan 3.95 5.05 2.92
DTE ENERGY COMPANY Electric Fixed Income 15,226.46 0.02 15,226.46 nan 4.40 5.20 3.68
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 15,206.32 0.02 15,206.32 nan 4.89 5.57 7.05
MASTERCARD INC Technology Fixed Income 15,199.60 0.02 15,199.60 BMH9H80 5.40 3.85 14.19
MASTERCARD INC Technology Fixed Income 15,199.60 0.02 15,199.60 nan 4.56 4.88 6.71
INTEL CORPORATION Technology Fixed Income 15,192.89 0.02 15,192.89 BLK78B4 6.07 3.10 16.02
KROGER CO Consumer Non-Cyclical Fixed Income 15,192.89 0.02 15,192.89 nan 5.67 3.95 14.05
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 15,186.18 0.02 15,186.18 BV4FN08 4.20 4.85 5.16
US BANCORP MTN Banking Fixed Income 15,186.18 0.02 15,186.18 nan 4.91 5.42 6.97
KINDER MORGAN INC Energy Fixed Income 15,179.46 0.02 15,179.46 BDR5VY9 5.79 5.20 12.39
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 15,179.46 0.02 15,179.46 nan 5.30 2.99 11.59
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 15,172.75 0.02 15,172.75 nan 7.08 6.70 12.14
FISERV INC Technology Fixed Income 15,159.32 0.02 15,159.32 nan 4.66 2.65 4.01
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 15,159.32 0.02 15,159.32 nan 5.24 7.35 3.46
PHILLIPS 66 CO Energy Fixed Income 15,159.32 0.02 15,159.32 nan 4.48 5.25 4.64
SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 15,159.32 0.02 15,159.32 BM5M5P4 4.43 5.95 3.63
DOW CHEMICAL CO Basic Industry Fixed Income 15,152.61 0.02 15,152.61 BKBZCX0 6.37 5.55 12.19
INTUIT INC Technology Fixed Income 15,152.61 0.02 15,152.61 nan 4.54 5.20 6.18
MICRON TECHNOLOGY INC Technology Fixed Income 15,152.61 0.02 15,152.61 nan 5.02 5.80 6.99
NUTRIEN LTD Basic Industry Fixed Income 15,145.89 0.02 15,145.89 BRJG2L2 5.69 5.80 13.45
MORGAN STANLEY Banking Fixed Income 15,139.18 0.02 15,139.18 B4021X3 4.49 7.25 4.96
OTIS WORLDWIDE CORP Capital Goods Fixed Income 15,139.18 0.02 15,139.18 BM98MG8 4.31 2.56 3.74
MICRON TECHNOLOGY INC Technology Fixed Income 15,119.04 0.02 15,119.04 nan 4.81 5.88 5.62
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 15,112.33 0.02 15,112.33 nan 4.61 5.55 4.57
HUMANA INC Insurance Fixed Income 15,112.33 0.02 15,112.33 nan 5.27 5.55 7.11
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 15,092.19 0.02 15,092.19 nan 4.07 4.70 2.92
ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 15,092.19 0.02 15,092.19 BPX1TS5 5.66 4.95 13.78
PEPSICO INC Consumer Non-Cyclical Fixed Income 15,092.19 0.02 15,092.19 nan 4.04 4.60 3.58
GEORGIA POWER COMPANY Electric Fixed Income 15,085.47 0.02 15,085.47 nan 4.62 4.95 6.04
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 15,085.47 0.02 15,085.47 BKVJXR3 5.55 3.70 14.44
TIME WARNER CABLE LLC Communications Fixed Income 15,085.47 0.02 15,085.47 B441BS1 6.90 5.50 9.67
ING GROEP NV Banking Fixed Income 15,051.90 0.02 15,051.90 BJFFD58 4.17 4.05 2.94
WALMART INC Consumer Cyclical Fixed Income 15,051.90 0.02 15,051.90 BP6LN24 5.24 4.50 14.68
GENERAL MOTORS CO Consumer Cyclical Fixed Income 15,045.19 0.02 15,045.19 BYXXXH1 6.07 6.75 11.08
AMAZON.COM INC Consumer Cyclical Fixed Income 15,038.48 0.02 15,038.48 BPCPZ13 4.25 4.70 5.79
GENERAL MOTORS CO Consumer Cyclical Fixed Income 15,038.48 0.02 15,038.48 BD93QC4 5.53 5.15 8.74
EXXON MOBIL CORP Energy Fixed Income 15,031.76 0.02 15,031.76 BW9RTS6 5.34 3.57 12.70
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 15,031.76 0.02 15,031.76 nan 5.71 5.55 13.72
DIGITAL REALTY TRUST LP Reits Fixed Income 15,004.91 0.02 15,004.91 BKF20T9 4.23 3.60 3.18
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 14,998.19 0.02 14,998.19 nan 4.77 4.63 5.93
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 14,991.48 0.02 14,991.48 BP2TQZ6 5.84 3.55 14.57
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 14,991.48 0.02 14,991.48 nan 5.04 3.55 4.15
ZOETIS INC Consumer Non-Cyclical Fixed Income 14,984.77 0.02 14,984.77 nan 4.54 5.60 5.60
CAMPBELLS CO Consumer Non-Cyclical Fixed Income 14,971.34 0.02 14,971.34 nan 5.23 5.40 6.42
WILLIS NORTH AMERICA INC Insurance Fixed Income 14,971.34 0.02 14,971.34 nan 5.78 5.90 13.46
COCA-COLA CO Consumer Non-Cyclical Fixed Income 14,951.20 0.02 14,951.20 nan 5.34 2.60 15.74
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 14,937.77 0.02 14,937.77 BLDB3T6 5.27 6.95 6.15
ARES STRATEGIC INCOME FUND Finance Companies Fixed Income 14,931.06 0.02 14,931.06 nan 5.59 5.60 3.49
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 14,924.35 0.02 14,924.35 BK94080 4.88 1.88 6.33
ELEVANCE HEALTH INC Insurance Fixed Income 14,917.63 0.02 14,917.63 BMXHKK1 5.74 5.13 13.63
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 14,890.78 0.02 14,890.78 BNTX3Z6 5.83 4.50 13.89
MIDAMERICAN ENERGY COMPANY Electric Fixed Income 14,890.78 0.02 14,890.78 BJ1STT7 4.07 3.65 2.97
BARRICK NORTH AMERICA FINANCE LLC Basic Industry Fixed Income 14,884.06 0.02 14,884.06 B4TYCN7 5.46 5.70 10.13
GOLDMAN SACHS GROUP INC/THE Banking Fixed Income 14,884.06 0.02 14,884.06 BFXTLH2 5.23 4.41 9.12
PFIZER INC Consumer Non-Cyclical Fixed Income 14,877.35 0.02 14,877.35 BJJD7V2 5.46 4.00 13.70
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 14,863.92 0.02 14,863.92 BGCC7M6 5.49 4.88 11.43
BARRICK NA FINANCE LLC Basic Industry Fixed Income 14,857.21 0.02 14,857.21 BCRWZ96 5.47 5.75 10.83
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 14,857.21 0.02 14,857.21 BK0NJG7 5.72 4.45 13.25
ORACLE CORPORATION Technology Fixed Income 14,850.50 0.02 14,850.50 BZ5YK12 6.09 3.85 8.24
MASTERCARD INC Technology Fixed Income 14,830.35 0.02 14,830.35 nan 4.00 3.35 3.80
AMERICAN INTERNATIONAL GROUP INC Insurance Fixed Income 14,816.93 0.02 14,816.93 BMCTM02 5.53 4.38 13.94
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 14,816.93 0.02 14,816.93 BMYT813 5.47 3.03 15.47
SOUTHERN CALIFORNIA EDISON CO Electric Fixed Income 14,810.21 0.02 14,810.21 BF6DYS3 5.94 4.65 11.23
VULCAN MATERIALS COMPANY Capital Goods Fixed Income 14,810.21 0.02 14,810.21 nan 4.84 5.35 6.97
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 14,796.79 0.02 14,796.79 BPCRP08 4.60 4.80 6.54
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 14,769.93 0.02 14,769.93 nan 4.50 5.83 4.28
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 14,769.93 0.02 14,769.93 nan 4.52 5.90 6.23
ZOETIS INC Consumer Non-Cyclical Fixed Income 14,756.51 0.02 14,756.51 nan 4.87 5.00 7.38
QUEST DIAGNOSTICS INCORPORATED Consumer Non-Cyclical Fixed Income 14,743.08 0.02 14,743.08 nan 4.85 5.00 7.08
INTEL CORPORATION Technology Fixed Income 14,722.94 0.02 14,722.94 BWVFJQ6 6.00 4.90 11.59
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 14,722.94 0.02 14,722.94 nan 5.24 5.45 6.97
WELLTOWER OP LLC Reits Fixed Income 14,722.94 0.02 14,722.94 nan 4.40 2.80 4.86
ENERGY TRANSFER PARTNERS LP Energy Fixed Income 14,716.22 0.02 14,716.22 BWB92Y7 6.06 5.15 11.40
AT&T INC Communications Fixed Income 14,709.51 0.02 14,709.51 BGKCWJ0 4.18 4.35 2.82
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 14,709.51 0.02 14,709.51 nan 5.64 5.88 15.30
FISERV INC Technology Fixed Income 14,689.37 0.02 14,689.37 nan 5.24 5.45 6.40
KINDER MORGAN INC Energy Fixed Income 14,689.37 0.02 14,689.37 nan 5.04 5.85 7.16
ORACLE CORPORATION Technology Fixed Income 14,689.37 0.02 14,689.37 BMYLXD6 6.79 4.10 14.24
WASTE MANAGEMENT INC Capital Goods Fixed Income 14,689.37 0.02 14,689.37 nan 4.34 4.15 5.36
MASTERCARD INC Technology Fixed Income 14,675.94 0.02 14,675.94 BJYR388 5.40 3.65 14.24
VERIZON COMMUNICATIONS INC Communications Fixed Income 14,675.94 0.02 14,675.94 nan 5.77 4.00 13.76
RAYMOND JAMES FINANCIAL INC. Brokerage/Asset Managers/Exchanges Fixed Income 14,669.23 0.02 14,669.23 BVSYVN0 5.71 5.65 13.94
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 14,662.51 0.02 14,662.51 BP2TQV2 5.04 2.95 6.95
DELL INTERNATIONAL LLC Technology Fixed Income 14,655.80 0.02 14,655.80 nan 5.11 5.50 7.06
UNITED PARCEL SERVICE INC Transportation Fixed Income 14,655.80 0.02 14,655.80 BDRYRR1 5.48 3.75 13.57
ING GROEP NV Banking Fixed Income 14,628.95 0.02 14,628.95 nan 5.00 5.53 7.05
PAYCHEX INC Technology Fixed Income 14,615.52 0.02 14,615.52 nan 5.02 5.60 7.09
VIATRIS INC Consumer Non-Cyclical Fixed Income 14,608.81 0.02 14,608.81 nan 6.25 3.85 10.29
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 14,602.09 0.02 14,602.09 B5LM203 5.46 4.85 10.82
MERCK & CO INC Consumer Non-Cyclical Fixed Income 14,602.09 0.02 14,602.09 nan 4.83 4.75 7.74
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 14,595.38 0.02 14,595.38 BMWG8W7 5.62 5.50 14.14
US BANCORP MTN Banking Fixed Income 14,581.95 0.02 14,581.95 nan 4.42 5.05 3.55
GE CAPITAL INTERNATIONAL FUNDING C Capital Goods Fixed Income 14,575.24 0.02 14,575.24 BYNWXZ6 4.72 4.42 7.78
ONCOR ELECTRIC DELIVERY COMPANY LL Electric Fixed Income 14,568.52 0.02 14,568.52 BSRJHL5 5.66 5.55 14.01
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 14,561.81 0.02 14,561.81 BDFC7W2 5.54 4.45 12.68
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 14,561.81 0.02 14,561.81 BLC8C02 4.24 4.40 3.82
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 14,561.81 0.02 14,561.81 nan 4.19 4.63 3.39
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 14,555.10 0.02 14,555.10 nan 4.24 4.10 5.80
QUEST DIAGNOSTICS INCORPORATED Consumer Non-Cyclical Fixed Income 14,555.10 0.02 14,555.10 BJ9RW53 4.31 2.95 4.08
CITIGROUP INC Banking Fixed Income 14,548.38 0.02 14,548.38 B7N9B65 5.35 5.88 10.19
AT&T INC Communications Fixed Income 14,541.67 0.02 14,541.67 BBP3ML5 5.70 4.30 11.33
WILLIAMS COMPANIES INC Energy Fixed Income 14,541.67 0.02 14,541.67 nan 4.41 4.63 3.96
ELEVANCE HEALTH INC Insurance Fixed Income 14,521.53 0.02 14,521.53 nan 4.54 4.95 4.93
MICROCHIP TECHNOLOGY INCORPORATED Technology Fixed Income 14,514.82 0.02 14,514.82 nan 4.32 5.05 2.83
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 14,514.82 0.02 14,514.82 BMQ9JS5 5.49 4.35 12.89
KROGER CO Consumer Non-Cyclical Fixed Income 14,501.39 0.02 14,501.39 BYND735 5.66 4.45 12.52
CIGNA GROUP Consumer Non-Cyclical Fixed Income 14,487.96 0.02 14,487.96 BMCDRL0 5.68 4.80 12.42
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 14,487.96 0.02 14,487.96 BP39M57 5.33 3.00 11.76
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 14,487.96 0.02 14,487.96 BFXV4P7 5.70 4.50 13.19
VISA INC Technology Fixed Income 14,487.96 0.02 14,487.96 nan 4.98 2.70 11.11
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 14,481.25 0.02 14,481.25 BJ555V8 4.30 4.85 2.88
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 14,481.25 0.02 14,481.25 nan 5.70 5.45 13.62
MERCEDES-BENZ FINANCE NORTH AMERIC Consumer Cyclical Fixed Income 14,474.53 0.02 14,474.53 B065ZJ2 4.43 8.50 4.14
PEPSICO INC Consumer Non-Cyclical Fixed Income 14,474.53 0.02 14,474.53 BN4HRC8 5.36 2.75 15.89
VODAFONE GROUP PLC Communications Fixed Income 14,474.53 0.02 14,474.53 B1SBFX9 5.05 6.15 7.95
WESTPAC BANKING CORP Banking Fixed Income 14,474.53 0.02 14,474.53 nan 4.23 2.15 4.95
RIO TINTO FINANCE (USA) LTD Basic Industry Fixed Income 14,461.11 0.02 14,461.11 B5TZB18 5.20 5.20 10.10
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 14,454.39 0.02 14,454.39 B9M5X40 5.55 4.85 11.44
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 14,447.68 0.02 14,447.68 nan 4.39 5.13 4.33
CATERPILLAR INC Capital Goods Fixed Income 14,440.97 0.02 14,440.97 BK80N35 4.05 2.60 3.89
EQUITABLE HOLDINGS INC Insurance Fixed Income 14,434.25 0.02 14,434.25 BJ2KDV2 5.73 5.00 12.66
CROWN CASTLE INC Communications Fixed Income 14,434.25 0.02 14,434.25 nan 5.52 2.90 11.35
REGIONS FINANCIAL CORP Banking Fixed Income 14,427.54 0.02 14,427.54 nan 5.14 5.50 6.69
XCEL ENERGY INC Electric Fixed Income 14,427.54 0.02 14,427.54 nan 4.91 5.45 6.02
DEUTSCHE BANK (NY BRNCH)(FXD-FLT) Banking Fixed Income 14,420.82 0.02 14,420.82 nan 4.82 5.30 3.76
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 14,420.82 0.02 14,420.82 nan 4.59 5.00 5.48
DANAHER CORPORATION Consumer Non-Cyclical Fixed Income 14,414.11 0.02 14,414.11 BLGYGD7 5.42 2.60 15.67
BROADCOM INC Technology Fixed Income 14,407.40 0.02 14,407.40 BKXB3J9 4.19 4.75 2.93
GLOBAL PAYMENTS INC Technology Fixed Income 14,407.40 0.02 14,407.40 nan 4.78 2.90 3.95
UNITEDHEALTH GROUP INC Insurance Fixed Income 14,407.40 0.02 14,407.40 BFWST10 5.60 4.25 13.36
CORNING INC Technology Fixed Income 14,400.68 0.02 14,400.68 BF8QCP3 5.56 4.38 15.41
BANK OF MONTREAL MTN Banking Fixed Income 14,387.26 0.02 14,387.26 nan 4.53 4.44 4.40
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 14,387.26 0.02 14,387.26 nan 4.08 4.80 3.42
EXTRA SPACE STORAGE LP Reits Fixed Income 14,380.54 0.02 14,380.54 nan 4.51 5.50 3.90
AMAZON.COM INC Consumer Cyclical Fixed Income 14,367.12 0.02 14,367.12 BM8HHH2 5.45 2.50 15.79
BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 14,367.12 0.02 14,367.12 nan 5.87 6.00 4.85
GENERAL MOTORS CO Consumer Cyclical Fixed Income 14,367.12 0.02 14,367.12 nan 4.59 5.63 3.68
AMERICAN HONDA FINANCE CORPORATION Consumer Cyclical Fixed Income 14,360.40 0.02 14,360.40 nan 4.69 5.15 5.44
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 14,353.69 0.02 14,353.69 nan 5.71 4.90 13.64
DUKE ENERGY PROGRESS LLC Electric Fixed Income 14,346.98 0.02 14,346.98 nan 5.56 5.55 14.07
US BANCORP MTN Banking Fixed Income 14,346.98 0.02 14,346.98 nan 4.99 5.03 7.79
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 14,340.26 0.02 14,340.26 nan 4.93 5.95 5.49
BROADCOM INC Technology Fixed Income 14,333.55 0.02 14,333.55 nan 4.31 4.20 4.18
UNION PACIFIC CORPORATION Transportation Fixed Income 14,333.55 0.02 14,333.55 nan 4.66 5.10 7.08
QUALCOMM INCORPORATED Technology Fixed Income 14,320.12 0.02 14,320.12 BNSP1K4 5.55 6.00 13.63
US BANCORP (FXD-FRN) MTN Banking Fixed Income 14,320.12 0.02 14,320.12 nan 7.65 4.48 4.38
AON CORP Insurance Fixed Income 14,313.41 0.02 14,313.41 BK1WFQ5 4.13 3.75 3.02
BANK OF NOVA SCOTIA MTN Banking Fixed Income 14,306.69 0.02 14,306.69 BPP33C1 4.26 4.85 3.54
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 14,306.69 0.02 14,306.69 BMTCTB4 4.52 2.13 5.70
HUNTINGTON BANCSHARES INC Banking Fixed Income 14,299.98 0.02 14,299.98 nan 4.40 2.55 3.71
PFIZER INC Consumer Non-Cyclical Fixed Income 14,299.98 0.02 14,299.98 BYZFHM8 5.48 4.20 13.39
APPLE INC Technology Fixed Income 14,293.27 0.02 14,293.27 nan 4.11 4.30 6.16
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 14,286.55 0.02 14,286.55 BSNYFK9 4.93 6.00 6.26
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 14,286.55 0.02 14,286.55 nan 4.31 5.26 2.91
UNITED PARCEL SERVICE INC Transportation Fixed Income 14,279.84 0.02 14,279.84 nan 5.53 5.30 13.14
AETNA INC Insurance Fixed Income 14,273.13 0.02 14,273.13 B16MV25 5.29 6.63 7.57
KKR & CO INC Brokerage/Asset Managers/Exchanges Fixed Income 14,266.41 0.02 14,266.41 nan 5.12 5.10 7.30
LYB INTERNATIONAL FINANCE BV Basic Industry Fixed Income 14,266.41 0.02 14,266.41 BCBR9Y0 6.42 5.25 10.84
NORTHROP GRUMMAN CORP Capital Goods Fixed Income 14,266.41 0.02 14,266.41 BS2G0M3 5.51 5.20 14.31
CME GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 14,259.70 0.02 14,259.70 nan 4.29 2.65 5.50
CROWN CASTLE INC Communications Fixed Income 14,252.98 0.02 14,252.98 nan 4.72 2.50 5.00
CITIGROUP INC Banking Fixed Income 14,246.27 0.02 14,246.27 BNHX0S0 5.35 2.90 11.74
APPLE INC Technology Fixed Income 14,239.56 0.02 14,239.56 BL6LZ19 5.41 2.85 17.56
HONDA MOTOR CO LTD Consumer Cyclical Fixed Income 14,232.84 0.02 14,232.84 nan 4.45 4.69 3.97
DIAMONDBACK ENERGY INC Energy Fixed Income 14,226.13 0.02 14,226.13 BMDPVL3 6.13 5.90 14.55
METLIFE INC Insurance Fixed Income 14,226.13 0.02 14,226.13 nan 4.55 5.38 6.14
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 14,226.13 0.02 14,226.13 nan 4.75 3.25 4.79
BHP BILLITON FINANCE (USA) LTD Basic Industry Fixed Income 14,219.42 0.02 14,219.42 BRJRLD0 5.48 5.50 13.85
BANK OF MONTREAL MTN Banking Fixed Income 14,219.42 0.02 14,219.42 nan 7.73 4.35 4.06
TEXAS INSTRUMENTS INC Technology Fixed Income 14,219.42 0.02 14,219.42 nan 4.37 4.90 5.89
DOW CHEMICAL CO Basic Industry Fixed Income 14,199.28 0.02 14,199.28 B7QD380 6.20 4.38 11.01
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 14,192.56 0.02 14,192.56 BQMRY20 5.52 4.95 15.67
EXXON MOBIL CORP Energy Fixed Income 14,185.85 0.02 14,185.85 BJTHKK4 5.02 3.00 10.47
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 14,179.14 0.02 14,179.14 BNHT9D6 4.53 2.31 5.04
BANK OF MONTREAL MTN Banking Fixed Income 14,172.42 0.02 14,172.42 nan 4.40 4.64 3.25
ENERGY TRANSFER LP Energy Fixed Income 14,172.42 0.02 14,172.42 nan 4.54 6.40 4.14
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 14,165.71 0.02 14,165.71 BN7G7N3 7.00 3.95 14.37
UNITEDHEALTH GROUP INC Insurance Fixed Income 14,165.71 0.02 14,165.71 BM95BD9 5.55 2.90 15.15
CISCO SYSTEMS INC Technology Fixed Income 14,158.99 0.02 14,158.99 BMG9FF4 5.61 5.35 15.42
DUKE ENERGY CORP Electric Fixed Income 14,158.99 0.02 14,158.99 nan 4.86 5.45 6.68
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 14,152.28 0.02 14,152.28 BQ0MLF9 6.14 6.00 14.50
EQUIFAX INC Technology Fixed Income 14,152.28 0.02 14,152.28 nan 4.60 2.35 5.12
METLIFE INC Insurance Fixed Income 14,152.28 0.02 14,152.28 BW9JZD9 5.45 4.05 12.29
IQVIA INC Consumer Non-Cyclical Fixed Income 14,145.57 0.02 14,145.57 nan 4.40 6.25 2.66
BROADCOM INC Technology Fixed Income 14,138.85 0.02 14,138.85 nan 4.57 4.90 5.50
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 14,132.14 0.02 14,132.14 BMDWBN6 5.46 2.80 15.38
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 14,132.14 0.02 14,132.14 nan 4.37 4.60 4.91
KLA CORP Technology Fixed Income 14,125.43 0.02 14,125.43 BQ5J5X1 5.50 4.95 14.14
LAM RESEARCH CORPORATION Technology Fixed Income 14,105.29 0.02 14,105.29 BKY6M63 5.41 2.88 15.37
BANK OF NOVA SCOTIA (FXD-FRN) MTN Banking Fixed Income 14,085.14 0.02 14,085.14 nan 4.79 5.06 5.90
EOG RESOURCES INC Energy Fixed Income 14,078.43 0.02 14,078.43 nan 4.36 4.40 4.42
KINDER MORGAN INC Energy Fixed Income 14,078.43 0.02 14,078.43 BMFQ1T2 5.85 5.45 13.21
3M CO Capital Goods Fixed Income 14,071.72 0.02 14,071.72 BKRLV68 5.56 3.25 14.39
DIAGEO INVESTMENT CORPORATION Consumer Non-Cyclical Fixed Income 14,065.00 0.02 14,065.00 nan 4.31 5.13 3.89
MANULIFE FINANCIAL CORP Insurance Fixed Income 14,065.00 0.02 14,065.00 BYQ6504 5.39 5.38 11.94
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 14,051.58 0.02 14,051.58 BKH0LR6 5.33 4.90 11.56
HOME DEPOT INC Consumer Cyclical Fixed Income 14,051.58 0.02 14,051.58 nan 4.01 4.90 2.92
FEDEX CORP Transportation Fixed Income 14,044.86 0.02 14,044.86 2NWMTX9 5.67 5.25 13.18
AMERICAN TOWER CORPORATION Communications Fixed Income 14,038.15 0.02 14,038.15 nan 4.36 4.90 3.65
ENBRIDGE INC Energy Fixed Income 14,031.44 0.02 14,031.44 BQZCJF0 5.79 5.95 13.50
CANADIAN NATIONAL RAILWAY COMPANY Transportation Fixed Income 14,024.72 0.02 14,024.72 nan 4.60 4.38 7.00
SOUTHERN COMPANY (THE) Electric Fixed Income 14,018.01 0.02 14,018.01 nan 4.74 5.20 6.07
PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 14,011.29 0.02 14,011.29 nan 4.17 4.50 3.28
GE HEALTHCARE TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 13,997.87 0.02 13,997.87 nan 5.02 5.50 7.27
HOME DEPOT INC Consumer Cyclical Fixed Income 13,997.87 0.02 13,997.87 BR30BC4 5.40 4.40 12.14
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 13,997.87 0.02 13,997.87 nan 4.85 5.25 6.47
VERIZON COMMUNICATIONS INC Communications Fixed Income 13,997.87 0.02 13,997.87 BYRLRK2 5.05 4.27 7.94
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 13,991.15 0.02 13,991.15 nan 4.22 5.63 3.38
TARGA RESOURCES CORP Energy Fixed Income 13,991.15 0.02 13,991.15 BQ3PVG6 6.06 6.50 12.70
COCA-COLA CO Consumer Non-Cyclical Fixed Income 13,984.44 0.02 13,984.44 nan 4.99 2.50 11.37
RELX CAPITAL INC Technology Fixed Income 13,984.44 0.02 13,984.44 BM9BZ02 4.25 3.00 3.97
PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 13,977.73 0.02 13,977.73 nan 4.54 2.45 5.27
HUNTINGTON BANCSHARES INC Banking Fixed Income 13,977.73 0.02 13,977.73 BQ67KH3 5.09 5.71 6.25
MOTOROLA SOLUTIONS INC Technology Fixed Income 13,977.73 0.02 13,977.73 BK203M0 4.29 4.60 3.03
CATERPILLAR INC Capital Goods Fixed Income 13,971.01 0.02 13,971.01 B3T0KH8 5.09 5.20 10.43
APPLE INC Technology Fixed Income 13,957.59 0.02 13,957.59 nan 4.43 4.75 7.41
ENBRIDGE INC Energy Fixed Income 13,957.59 0.02 13,957.59 nan 4.28 5.30 2.88
HOME DEPOT INC Consumer Cyclical Fixed Income 13,957.59 0.02 13,957.59 nan 4.18 4.85 4.72
MPLX LP Energy Fixed Income 13,944.16 0.02 13,944.16 BKP8MY6 4.48 2.65 4.16
UNITEDHEALTH GROUP INC Insurance Fixed Income 13,944.16 0.02 13,944.16 nan 4.35 4.65 4.40
STRYKER CORPORATION Consumer Non-Cyclical Fixed Income 13,937.45 0.02 13,937.45 nan 4.71 4.63 6.92
COTERRA ENERGY INC Energy Fixed Income 13,930.73 0.02 13,930.73 nan 5.17 5.40 6.95
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 13,924.02 0.02 13,924.02 nan 5.68 5.85 13.96
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 13,924.02 0.02 13,924.02 nan 4.95 5.40 7.14
STATE STREET BANK AND TRUST COMPAN Banking Fixed Income 13,924.02 0.02 13,924.02 nan 4.06 4.78 3.45
EATON CORPORATION Capital Goods Fixed Income 13,910.59 0.02 13,910.59 BGLPFR7 5.29 4.15 11.45
DANAHER CORPORATION Consumer Non-Cyclical Fixed Income 13,897.16 0.02 13,897.16 BP83MD2 5.38 2.80 15.93
NATIONAL GRID PLC Electric Fixed Income 13,890.45 0.02 13,890.45 nan 4.90 5.42 6.43
WILLIS NORTH AMERICA INC Insurance Fixed Income 13,883.74 0.02 13,883.74 nan 4.84 5.35 5.96
PEPSICO INC Consumer Non-Cyclical Fixed Income 13,877.02 0.02 13,877.02 nan 4.09 2.75 3.82
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 13,863.60 0.02 13,863.60 nan 4.74 5.00 7.13
INTEL CORPORATION Technology Fixed Income 13,863.60 0.02 13,863.60 BQHM3T0 6.19 5.05 14.50
BUNGE FINANCE LTD CORP Consumer Non-Cyclical Fixed Income 13,856.88 0.02 13,856.88 nan 4.50 2.75 4.81
HOME DEPOT INC Consumer Cyclical Fixed Income 13,856.88 0.02 13,856.88 BYZFY49 5.43 4.25 12.61
LAS VEGAS SANDS CORP Consumer Cyclical Fixed Income 13,856.88 0.02 13,856.88 BKPHQ07 4.74 3.90 3.19
UNITED PARCEL SERVICE INC Transportation Fixed Income 13,856.88 0.02 13,856.88 nan 5.61 5.50 14.03
ORANGE SA Communications Fixed Income 13,850.17 0.02 13,850.17 B57N0W8 5.50 5.38 10.56
AGILENT TECHNOLOGIES INC Consumer Non-Cyclical Fixed Income 13,823.31 0.02 13,823.31 nan 4.38 2.30 4.70
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 13,823.31 0.02 13,823.31 nan 4.45 2.73 4.68
CHEVRON USA INC Energy Fixed Income 13,809.89 0.02 13,809.89 nan 4.66 4.98 7.26
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 13,809.89 0.02 13,809.89 nan 4.50 2.90 5.42
3M CO Capital Goods Fixed Income 13,809.89 0.02 13,809.89 BKRLV80 4.11 2.38 3.35
SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 13,803.17 0.02 13,803.17 BKDXGP2 4.18 2.95 3.28
ENBRIDGE INC Energy Fixed Income 13,796.46 0.02 13,796.46 BP2Q7V0 5.71 3.40 14.60
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 13,789.75 0.02 13,789.75 nan 5.44 5.55 14.26
MERCK & CO INC Consumer Non-Cyclical Fixed Income 13,783.03 0.02 13,783.03 nan 5.58 5.55 14.36
ELEVANCE HEALTH INC Insurance Fixed Income 13,776.32 0.02 13,776.32 BFMC2M4 5.65 4.38 13.05
ABBVIE INC Consumer Non-Cyclical Fixed Income 13,769.61 0.02 13,769.61 BMW97K7 5.40 4.85 11.76
ELEVANCE HEALTH INC Insurance Fixed Income 13,762.89 0.02 13,762.89 BK6V1D6 5.64 3.70 13.95
UNITED PARCEL SERVICE INC Transportation Fixed Income 13,762.89 0.02 13,762.89 BJCRWK5 5.54 4.25 13.46
DUKE ENERGY CORP Electric Fixed Income 13,756.18 0.02 13,756.18 BM8RPH8 4.32 2.45 4.04
EBAY INC Consumer Cyclical Fixed Income 13,736.04 0.02 13,736.04 nan 5.56 3.65 14.63
VODAFONE GROUP PLC Communications Fixed Income 13,736.04 0.02 13,736.04 nan 5.97 5.88 14.98
CANADIAN PACIFIC RAILWAY COMPANY Transportation Fixed Income 13,729.32 0.02 13,729.32 BYMK191 5.95 6.13 15.21
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 13,715.90 0.02 13,715.90 nan 4.67 5.00 3.23
NATWEST GROUP PLC Banking Fixed Income 13,715.90 0.02 13,715.90 nan 4.49 5.12 3.82
PEPSICO INC Consumer Non-Cyclical Fixed Income 13,715.90 0.02 13,715.90 nan 5.14 2.63 11.99
APPLE INC Technology Fixed Income 13,709.18 0.02 13,709.18 BDVPX83 5.35 4.25 12.87
GLOBAL PAYMENTS INC Technology Fixed Income 13,702.47 0.02 13,702.47 nan 5.00 2.90 5.19
HUMANA INC Insurance Fixed Income 13,702.47 0.02 13,702.47 BQMS2B8 6.08 5.50 13.19
BARCLAYS PLC Banking Fixed Income 13,682.33 0.02 13,682.33 nan 5.53 6.04 13.66
DEERE & CO Capital Goods Fixed Income 13,682.33 0.02 13,682.33 nan 4.69 5.45 7.09
GOLDMAN SACHS CAPITAL I Banking Fixed Income 13,682.33 0.02 13,682.33 2380584 5.39 6.34 6.15
INTEL CORPORATION Technology Fixed Income 13,682.33 0.02 13,682.33 B93NKV9 4.75 4.00 5.90
CSX CORP Transportation Fixed Income 13,675.61 0.02 13,675.61 BD6D9N9 5.51 4.30 13.11
SEMPRA Natural Gas Fixed Income 13,662.19 0.02 13,662.19 BFWJJY6 5.40 3.80 9.09
INTEL CORPORATION Technology Fixed Income 13,655.47 0.02 13,655.47 BL59332 5.68 2.80 11.50
MERCK & CO INC Consumer Non-Cyclical Fixed Income 13,655.47 0.02 13,655.47 BJRL3P4 5.01 3.90 9.79
CADENCE DESIGN SYSTEMS INC Technology Fixed Income 13,648.76 0.02 13,648.76 nan 4.74 4.70 6.90
ING GROEP NV Banking Fixed Income 13,648.76 0.02 13,648.76 nan 4.91 6.11 6.00
EQUINOR ASA Owned No Guarantee Fixed Income 13,628.62 0.02 13,628.62 nan 4.77 5.13 7.35
AMEREN CORPORATION Electric Fixed Income 13,615.19 0.02 13,615.19 nan 4.42 3.50 4.49
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 13,615.19 0.02 13,615.19 BMVXV31 5.65 3.90 16.15
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 13,615.19 0.02 13,615.19 nan 4.34 5.25 5.82
LEIDOS INC Technology Fixed Income 13,601.76 0.02 13,601.76 nan 4.57 2.30 4.62
NIKE INC Consumer Cyclical Fixed Income 13,601.76 0.02 13,601.76 nan 5.41 3.38 14.61
WYETH LLC Consumer Non-Cyclical Fixed Income 13,601.76 0.02 13,601.76 2235543 4.63 6.50 6.16
CSX CORP Transportation Fixed Income 13,595.05 0.02 13,595.05 BNDW393 5.47 4.50 14.42
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 13,595.05 0.02 13,595.05 nan 4.78 5.41 5.89
APPLE INC Technology Fixed Income 13,581.62 0.02 13,581.62 nan 4.06 1.65 4.70
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 13,581.62 0.02 13,581.62 nan 5.91 5.88 15.24
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 13,581.62 0.02 13,581.62 BMXNHJ7 4.34 4.63 3.92
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 13,574.91 0.02 13,574.91 nan 5.58 5.60 15.62
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 13,568.20 0.02 13,568.20 nan 5.59 3.60 16.64
AES CORPORATION (THE) Electric Fixed Income 13,554.77 0.02 13,554.77 nan 5.20 5.80 5.03
INTEL CORPORATION Technology Fixed Income 13,554.77 0.02 13,554.77 nan 4.94 5.15 6.41
BOSTON PROPERTIES LP Reits Fixed Income 13,548.06 0.02 13,548.06 BMCQ2X6 5.18 2.45 6.73
COCA-COLA CO Consumer Non-Cyclical Fixed Income 13,548.06 0.02 13,548.06 nan 4.00 3.45 3.79
KEYCORP MTN Banking Fixed Income 13,548.06 0.02 13,548.06 nan 4.21 2.55 3.43
SOLVENTUM CORP Consumer Non-Cyclical Fixed Income 13,548.06 0.02 13,548.06 nan 5.77 5.90 13.61
BROWN & BROWN INC Insurance Fixed Income 13,541.34 0.02 13,541.34 nan 5.17 5.55 7.26
APOLLO DEBT SOLUTIONS BDC Finance Companies Fixed Income 13,534.63 0.02 13,534.63 BMZLJ15 5.82 6.70 4.44
CROWN CASTLE INC Communications Fixed Income 13,507.77 0.02 13,507.77 nan 4.61 3.30 4.05
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 13,507.77 0.02 13,507.77 nan 4.32 4.60 5.57
REGIONS FINANCIAL CORP Banking Fixed Income 13,507.77 0.02 13,507.77 nan 4.54 5.72 3.02
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 13,487.63 0.02 13,487.63 BVF9ZL4 5.43 4.15 12.32
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 13,474.21 0.02 13,474.21 nan 4.87 5.63 7.04
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 13,467.49 0.02 13,467.49 BMBMD21 4.32 2.55 4.42
BROADCOM INC 144A Technology Fixed Income 13,460.78 0.02 13,460.78 BNDB2F9 4.59 4.15 5.35
EQUINIX INC Technology Fixed Income 13,460.78 0.02 13,460.78 BKC9V23 4.36 3.20 3.52
PACIFICORP Electric Fixed Income 13,447.35 0.02 13,447.35 BP4FC32 6.14 5.50 13.48
ROGERS COMMUNICATIONS INC Communications Fixed Income 13,440.64 0.02 13,440.64 BJZD8R9 5.91 5.00 11.20
DOLLAR GENERAL CORP Consumer Cyclical Fixed Income 13,427.21 0.02 13,427.21 nan 4.83 5.45 6.08
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 13,427.21 0.02 13,427.21 BFY1ZL9 5.61 4.25 13.03
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 13,427.21 0.02 13,427.21 BRF5C57 5.56 5.45 13.73
COMCAST CORPORATION Communications Fixed Income 13,393.64 0.02 13,393.64 BDFL075 5.01 3.20 8.60
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 13,393.64 0.02 13,393.64 nan 3.90 4.50 2.76
KINDER MORGAN INC Energy Fixed Income 13,386.93 0.02 13,386.93 nan 4.86 5.40 6.32
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 13,380.22 0.02 13,380.22 BKPSYC8 5.78 4.00 15.63
MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 13,380.22 0.02 13,380.22 BKWF8H5 4.29 2.75 3.88
UNITED PARCEL SERVICE INC Transportation Fixed Income 13,380.22 0.02 13,380.22 nan 4.56 5.15 6.69
CHEVRON CORP Energy Fixed Income 13,366.79 0.02 13,366.79 BMFY3H8 5.39 3.08 15.07
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 13,360.08 0.02 13,360.08 nan 4.35 5.05 2.83
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 13,346.65 0.02 13,346.65 BJK36N6 4.13 3.38 3.26
HESS CORP Energy Fixed Income 13,339.93 0.02 13,339.93 B55GWZ6 5.14 6.00 9.58
CARLISLE COMPANIES INCORPORATED Capital Goods Fixed Income 13,333.22 0.02 13,333.22 BKBP1Y4 4.28 2.75 3.77
KINDER MORGAN INC Energy Fixed Income 13,333.22 0.02 13,333.22 BSTL4S5 4.97 5.30 6.97
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 13,333.22 0.02 13,333.22 nan 4.23 2.25 4.14
DIAMONDBACK ENERGY INC Energy Fixed Income 13,326.51 0.02 13,326.51 BQ1KVT6 5.82 4.25 14.00
KENVUE INC Consumer Non-Cyclical Fixed Income 13,319.79 0.02 13,319.79 nan 5.39 5.10 11.03
FLORIDA POWER & LIGHT CO Electric Fixed Income 13,313.08 0.02 13,313.08 BQKMPC4 5.49 5.60 14.16
ARCHER DANIELS MIDLAND CO Consumer Non-Cyclical Fixed Income 13,306.37 0.02 13,306.37 nan 4.17 3.25 3.81
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 13,306.37 0.02 13,306.37 nan 5.82 3.55 14.18
PROLOGIS LP Reits Fixed Income 13,299.65 0.02 13,299.65 BP6V8F2 5.51 5.25 14.11
PACIFIC GAS AND ELECTRIC CO Electric Fixed Income 13,292.94 0.02 13,292.94 BD24YZ3 5.99 3.95 13.13
SWP: IFS 2.463937 07-JAN-2035 USC Cash and/or Derivatives Swaps 13,280.15 0.02 -4,056,719.85 nan nan 2.46 -0.03
QUALCOMM INCORPORATED Technology Fixed Income 13,259.37 0.02 13,259.37 BNBTHV6 4.35 1.65 5.85
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 13,259.37 0.02 13,259.37 nan 4.29 4.20 4.42
AMAZON.COM INC Consumer Cyclical Fixed Income 13,245.94 0.02 13,245.94 BM8KRQ0 5.48 2.70 17.77
COCA-COLA CO Consumer Non-Cyclical Fixed Income 13,239.23 0.02 13,239.23 nan 5.05 2.88 11.60
COSTCO WHOLESALE CORPORATION Consumer Cyclical Fixed Income 13,239.23 0.02 13,239.23 BMG2X93 4.05 1.60 4.00
UNITEDHEALTH GROUP INC Insurance Fixed Income 13,239.23 0.02 13,239.23 nan 4.03 4.00 3.04
VERIZON COMMUNICATIONS INC Communications Fixed Income 13,232.52 0.02 13,232.52 nan 5.27 5.40 8.44
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 13,225.80 0.02 13,225.80 nan 4.48 3.60 5.41
INTEL CORPORATION Technology Fixed Income 13,225.80 0.02 13,225.80 nan 4.56 2.00 5.08
SEMPRA Natural Gas Fixed Income 13,225.80 0.02 13,225.80 BFWJFR1 5.85 4.00 13.01
CENCORA INC Consumer Non-Cyclical Fixed Income 13,212.38 0.02 13,212.38 nan 4.46 2.70 4.66
LLOYDS BANKING GROUP PLC Banking Fixed Income 13,212.38 0.02 13,212.38 BFMYF65 5.62 4.34 13.20
WILLIAMS COMPANIES INC Energy Fixed Income 13,205.66 0.02 13,205.66 nan 4.20 4.90 2.84
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 13,198.95 0.02 13,198.95 nan 4.45 4.71 3.97
SMURFIT WESTROCK FINANCING DAC Basic Industry Fixed Income 13,198.95 0.02 13,198.95 nan 5.06 5.18 7.66
AMAZON.COM INC Consumer Cyclical Fixed Income 13,192.24 0.02 13,192.24 BTC0KW2 5.21 4.95 11.96
PARAMOUNT GLOBAL Communications Fixed Income 13,192.24 0.02 13,192.24 BCZYK22 7.87 5.85 9.77
FLORIDA POWER & LIGHT CO Electric Fixed Income 13,178.81 0.02 13,178.81 BKTC8V3 5.49 3.15 14.64
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 13,178.81 0.02 13,178.81 BJYMJ29 4.92 5.11 2.95
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 13,172.09 0.02 13,172.09 nan 5.75 5.90 13.70
BARRICK PD AUSTRALIA FINANCE PTY L Basic Industry Fixed Income 13,158.67 0.02 13,158.67 B5KT034 5.35 5.95 9.30
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 13,158.67 0.02 13,158.67 BVXY748 5.57 4.50 11.87
COCA-COLA CO Consumer Non-Cyclical Fixed Income 13,151.95 0.02 13,151.95 nan 4.06 1.65 4.11
DEVON ENERGY CORPORATION Energy Fixed Income 13,151.95 0.02 13,151.95 nan 5.14 5.20 6.77
US BANCORP MTN Banking Fixed Income 13,145.24 0.02 13,145.24 BPBRV01 4.60 2.68 5.35
VODAFONE GROUP PLC Communications Fixed Income 13,145.24 0.02 13,145.24 BFMLP22 5.75 5.25 12.62
AMERICAN TOWER CORPORATION Communications Fixed Income 13,138.53 0.02 13,138.53 BMC59H6 5.62 2.95 15.34
AON CORP Insurance Fixed Income 13,138.53 0.02 13,138.53 BL5DFJ4 5.66 3.90 14.37
TEXAS INSTRUMENTS INC Technology Fixed Income 13,138.53 0.02 13,138.53 nan 4.98 3.88 9.83
BERRY GLOBAL INC Capital Goods Fixed Income 13,131.81 0.02 13,131.81 nan 4.97 5.65 6.39
WESTPAC BANKING CORP Banking Fixed Income 13,131.81 0.02 13,131.81 nan 4.10 2.65 3.71
DOLLAR TREE INC Consumer Cyclical Fixed Income 13,125.10 0.02 13,125.10 nan 4.61 2.65 5.28
JBS USA LUX SA Consumer Non-Cyclical Fixed Income 13,125.10 0.02 13,125.10 990XAQ9 5.94 4.38 13.67
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 13,104.96 0.02 13,104.96 nan 4.50 5.00 5.07
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 13,104.96 0.02 13,104.96 nan 4.88 5.58 6.60
UNITEDHEALTH GROUP INC Insurance Fixed Income 13,104.96 0.02 13,104.96 BHHK982 5.63 4.45 13.35
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 13,098.24 0.02 13,098.24 nan 5.63 5.70 13.93
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 13,098.24 0.02 13,098.24 nan 4.09 4.05 6.04
APPLE INC Technology Fixed Income 13,091.53 0.02 13,091.53 nan 4.13 4.50 5.40
ABBVIE INC Consumer Non-Cyclical Fixed Income 13,084.82 0.02 13,084.82 nan 4.01 4.80 2.85
TARGA RESOURCES CORP Energy Fixed Income 13,084.82 0.02 13,084.82 nan 4.36 6.15 2.75
MORGAN STANLEY (FXD-FXD) MTN Banking Fixed Income 13,078.10 0.02 13,078.10 nan 5.28 5.31 7.66
EXPAND ENERGY CORP Energy Fixed Income 13,064.68 0.02 13,064.68 nan 5.20 5.70 6.99
NASDAQ INC Brokerage/Asset Managers/Exchanges Fixed Income 13,064.68 0.02 13,064.68 BRT75N8 5.73 6.10 15.13
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 13,044.54 0.02 13,044.54 nan 4.76 3.00 5.37
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 13,037.82 0.02 13,037.82 nan 6.65 3.50 10.95
EASTMAN CHEMICAL COMPANY Basic Industry Fixed Income 13,031.11 0.02 13,031.11 nan 4.38 5.00 3.12
INTEL CORPORATION Technology Fixed Income 13,031.11 0.02 13,031.11 nan 6.16 4.95 14.47
WALMART INC Consumer Cyclical Fixed Income 13,024.39 0.02 13,024.39 BFYK6C4 5.25 4.05 13.78
DEERE & CO Capital Goods Fixed Income 13,017.68 0.02 13,017.68 BMQ5M40 5.28 3.75 14.42
COREBRIDGE FINANCIAL INC Insurance Fixed Income 13,010.97 0.02 13,010.97 nan 5.02 5.75 6.37
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 12,977.40 0.02 12,977.40 BQ9D7Y4 4.55 5.00 6.79
RAYMOND JAMES FINANCIAL INC. Brokerage/Asset Managers/Exchanges Fixed Income 12,977.40 0.02 12,977.40 BYP6KY4 5.56 4.95 12.41
EXPEDIA GROUP INC Consumer Cyclical Fixed Income 12,970.69 0.02 12,970.69 nan 5.08 5.40 6.96
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 12,963.97 0.02 12,963.97 BYQNQH9 5.30 4.38 12.55
CARDINAL HEALTH INC Consumer Non-Cyclical Fixed Income 12,950.55 0.02 12,950.55 nan 4.92 5.35 6.92
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 12,943.83 0.02 12,943.83 nan 5.34 2.75 15.42
CITIGROUP INC Banking Fixed Income 12,930.40 0.02 12,930.40 7392227 4.70 6.63 5.21
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 12,930.40 0.02 12,930.40 nan 4.12 4.00 4.93
S&P GLOBAL INC Technology Fixed Income 12,930.40 0.02 12,930.40 nan 4.07 2.70 2.90
INTEL CORPORATION Technology Fixed Income 12,923.69 0.02 12,923.69 BM5D1R1 5.66 4.60 9.88
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 12,923.69 0.02 12,923.69 nan 4.50 4.70 6.51
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 12,916.98 0.02 12,916.98 nan 4.72 5.00 7.38
DIAMONDBACK ENERGY INC Energy Fixed Income 12,910.26 0.02 12,910.26 BJR45B3 4.38 3.50 3.53
BARCLAYS PLC Banking Fixed Income 12,863.27 0.02 12,863.27 nan 5.47 3.33 11.47
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 12,863.27 0.02 12,863.27 BKM3QG4 4.23 2.80 3.68
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 12,863.27 0.02 12,863.27 nan 5.49 5.57 11.98
CME GROUP INC Brokerage/Asset Managers/Exchanges Fixed Income 12,856.55 0.02 12,856.55 BDDY861 5.21 5.30 11.20
LOWES COMPANIES INC Consumer Cyclical Fixed Income 12,856.55 0.02 12,856.55 BN4NTQ4 4.33 1.70 4.42
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 12,856.55 0.02 12,856.55 BS6Z6Y0 5.54 5.84 11.32
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 12,843.13 0.02 12,843.13 BG7PB06 5.47 4.15 13.68
WOODSIDE FINANCE LTD Energy Fixed Income 12,843.13 0.02 12,843.13 nan 5.23 5.10 6.77
WELLS FARGO & COMPANY Banking Fixed Income 12,836.41 0.02 12,836.41 B0FR9F3 5.09 5.50 7.19
BRISTOL-MYERS SQUIBB CO Consumer Non-Cyclical Fixed Income 12,829.70 0.02 12,829.70 nan 5.18 2.35 11.68
VIPER ENERGY PARTNERS LLC Energy Fixed Income 12,816.27 0.02 12,816.27 nan 5.44 5.70 7.10
EXELON CORPORATION Electric Fixed Income 12,809.56 0.02 12,809.56 BLTZKK2 5.74 4.70 13.36
CISCO SYSTEMS INC Technology Fixed Income 12,802.85 0.02 12,802.85 nan 5.50 5.50 14.11
UNION PACIFIC CORPORATION Transportation Fixed Income 12,802.85 0.02 12,802.85 BP9P0J9 5.50 2.95 15.52
ENBRIDGE INC Energy Fixed Income 12,789.42 0.02 12,789.42 BLR8KZ8 4.75 2.50 6.58
OREILLY AUTOMOTIVE INC Consumer Cyclical Fixed Income 12,775.99 0.02 12,775.99 nan 4.55 4.70 5.44
T-MOBILE USA INC Communications Fixed Income 12,755.85 0.02 12,755.85 nan 4.49 2.88 4.56
APTIV SWISS HOLDINGS LTD Consumer Cyclical Fixed Income 12,749.14 0.02 12,749.14 BLR5N72 5.67 3.10 15.27
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 12,749.14 0.02 12,749.14 BZ0WZL6 5.67 4.70 12.65
PUBLIC SERVICE COMPANY OF COLORADO Electric Fixed Income 12,749.14 0.02 12,749.14 nan 4.92 5.35 6.61
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 12,749.14 0.02 12,749.14 nan 4.14 3.38 3.81
WELLS FARGO & COMPANY MTN Banking Fixed Income 12,749.14 0.02 12,749.14 nan 4.96 4.48 3.72
KENVUE INC Consumer Non-Cyclical Fixed Income 12,742.42 0.02 12,742.42 nan 5.73 5.20 15.27
EVEREST REINSURANCE HOLDINGS INC Insurance Fixed Income 12,735.71 0.02 12,735.71 BN0XP93 5.75 3.50 14.40
AUTOMATIC DATA PROCESSING INC Technology Fixed Income 12,729.00 0.02 12,729.00 BKP8MV3 4.05 1.25 4.36
CARRIER GLOBAL CORP Capital Goods Fixed Income 12,729.00 0.02 12,729.00 BNG21Z2 5.49 3.58 14.39
DOW CHEMICAL CO Basic Industry Fixed Income 12,729.00 0.02 12,729.00 B76L298 6.09 5.25 10.25
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 12,715.57 0.02 12,715.57 BLB65N1 4.25 1.75 4.24
KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 12,715.57 0.02 12,715.57 nan 4.85 5.00 5.85
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 12,708.86 0.02 12,708.86 B4PXK12 5.13 5.75 9.69
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 12,702.14 0.02 12,702.14 BJ52177 5.06 5.45 9.31
COREBRIDGE FINANCIAL INC Insurance Fixed Income 12,702.14 0.02 12,702.14 991XAF6 4.28 3.85 2.94
EASTERN ENERGY GAS HOLDINGS LLC Energy Fixed Income 12,702.14 0.02 12,702.14 BQFN221 5.78 5.65 13.78
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 12,695.43 0.02 12,695.43 BP9QGH2 5.76 5.75 13.57
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 12,682.00 0.02 12,682.00 nan 4.78 5.67 5.42
EMERSON ELECTRIC CO Capital Goods Fixed Income 12,675.29 0.02 12,675.29 nan 4.30 2.20 5.41
APTIV SWISS HOLDINGS LTD Consumer Cyclical Fixed Income 12,668.57 0.02 12,668.57 nan 4.51 3.25 5.36
GEORGIA POWER COMPANY Electric Fixed Income 12,668.57 0.02 12,668.57 BMW7ZC9 5.53 5.13 13.85
BP CAPITAL MARKETS AMERICA INC Energy Fixed Income 12,661.86 0.02 12,661.86 nan 4.18 4.97 3.34
AMERICAN TOWER CORPORATION Communications Fixed Income 12,648.43 0.02 12,648.43 nan 4.41 2.10 4.10
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 12,635.01 0.02 12,635.01 nan 4.49 3.10 3.68
JOHN DEERE CAPITAL CORP MTN Capital Goods Fixed Income 12,621.58 0.02 12,621.58 nan 4.00 4.85 3.08
DIAGEO INVESTMENT CORPORATION Consumer Non-Cyclical Fixed Income 12,621.58 0.02 12,621.58 nan 4.84 5.63 7.10
FAIRFAX FINANCIAL HOLDINGS LTD Insurance Fixed Income 12,621.58 0.02 12,621.58 2MQJXK4 5.92 6.35 13.17
CF INDUSTRIES INC Basic Industry Fixed Income 12,614.86 0.02 12,614.86 B9XR0S8 5.78 4.95 11.12
CIGNA GROUP Consumer Non-Cyclical Fixed Income 12,614.86 0.02 12,614.86 nan 5.64 3.40 14.37
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 12,608.15 0.02 12,608.15 nan 4.77 4.95 7.14
PUBLIC STORAGE OPERATING CO Reits Fixed Income 12,601.44 0.02 12,601.44 nan 5.51 5.35 13.80
NATWEST GROUP PLC Banking Fixed Income 12,594.72 0.02 12,594.72 BG5JQM7 4.82 5.08 2.69
FLORIDA POWER & LIGHT CO Electric Fixed Income 12,588.01 0.02 12,588.01 nan 5.50 5.30 13.89
TYSON FOODS INC Consumer Non-Cyclical Fixed Income 12,561.16 0.02 12,561.16 BF0P399 5.57 4.55 12.84
CONOCOPHILLIPS CO Energy Fixed Income 12,554.44 0.02 12,554.44 BPLD6W6 5.64 3.80 14.52
ALPHABET INC Technology Fixed Income 12,541.02 0.02 12,541.02 BMD7L20 4.01 1.10 4.33
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 12,541.02 0.02 12,541.02 BL6L2C9 5.54 3.05 14.98
MANULIFE FINANCIAL CORP Insurance Fixed Income 12,534.30 0.02 12,534.30 nan 4.55 3.70 5.33
WESTPAC BANKING CORP Banking Fixed Income 12,534.30 0.02 12,534.30 BMX5050 5.26 2.96 11.23
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 12,500.73 0.02 12,500.73 nan 4.47 2.31 4.81
T-MOBILE USA INC Communications Fixed Income 12,467.17 0.02 12,467.17 nan 5.85 5.25 14.17
FLORIDA POWER & LIGHT CO Electric Fixed Income 12,460.45 0.02 12,460.45 BPG96F2 5.44 2.88 15.77
REPUBLIC SERVICES INC Capital Goods Fixed Income 12,447.02 0.02 12,447.02 nan 4.35 1.75 5.57
EXELON GENERATION CO LLC Electric Fixed Income 12,433.60 0.02 12,433.60 B715FY1 5.52 5.60 10.60
KINDER MORGAN INC Energy Fixed Income 12,433.60 0.02 12,433.60 BN2YL07 4.34 2.00 4.67
TEXAS INSTRUMENTS INC Technology Fixed Income 12,420.17 0.02 12,420.17 nan 5.44 5.15 14.11
HOME DEPOT INC Consumer Cyclical Fixed Income 12,406.74 0.02 12,406.74 B9N1J94 5.31 4.20 11.55
AUTOZONE INC Consumer Cyclical Fixed Income 12,400.03 0.02 12,400.03 BK8TZ58 4.37 4.00 3.80
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 12,400.03 0.02 12,400.03 nan 4.40 6.34 3.83
SMURFIT KAPPA TREASURY UNLIMITED C Basic Industry Fixed Income 12,400.03 0.02 12,400.03 nan 4.92 5.44 6.48
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 12,393.32 0.02 12,393.32 nan 4.75 4.05 5.35
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 12,386.60 0.02 12,386.60 nan 4.59 2.68 4.13
LOWES COMPANIES INC Consumer Cyclical Fixed Income 12,379.89 0.02 12,379.89 BH3TYV1 4.11 3.65 2.95
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 12,373.18 0.02 12,373.18 BNNXRV6 5.57 4.55 14.44
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 12,359.75 0.02 12,359.75 BMWG8Z0 4.84 5.15 7.01
REALTY INCOME CORPORATION Reits Fixed Income 12,346.32 0.02 12,346.32 BQHNMX0 4.76 5.13 6.42
PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 12,312.75 0.02 12,312.75 BKKDHH4 4.11 3.25 3.15
ORANGE SA Communications Fixed Income 12,306.04 0.02 12,306.04 BJLP9T8 5.54 5.50 11.04
FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 12,299.33 0.02 12,299.33 BKQN7B2 4.61 2.25 4.67
TRUIST FINANCIAL CORP MTN Banking Fixed Income 12,299.33 0.02 12,299.33 nan 4.32 1.95 4.09
ROYAL BANK OF CANADA MTN Banking Fixed Income 12,292.61 0.02 12,292.61 nan 4.02 4.95 2.72
PEPSICO INC Consumer Non-Cyclical Fixed Income 12,279.18 0.02 12,279.18 nan 5.36 5.25 14.56
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 12,279.18 0.02 12,279.18 BN0XP59 5.45 2.85 15.36
KAISER FOUNDATION HOSPITALS Consumer Non-Cyclical Fixed Income 12,279.18 0.02 12,279.18 BF0YLL4 5.45 4.15 13.09
AMAZON.COM INC Consumer Cyclical Fixed Income 12,272.47 0.02 12,272.47 nan 3.85 3.45 2.98
ELEVANCE HEALTH INC Insurance Fixed Income 12,265.76 0.02 12,265.76 nan 4.89 5.38 6.69
MCDONALDS CORPORATION MTN Consumer Cyclical Fixed Income 12,265.76 0.02 12,265.76 nan 4.11 3.60 4.04
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 12,265.76 0.02 12,265.76 BZ1JMC6 5.50 3.75 13.18
ING GROEP NV Banking Fixed Income 12,259.04 0.02 12,259.04 nan 4.46 5.34 2.83
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 12,252.33 0.02 12,252.33 nan 3.98 3.00 3.82
UNITEDHEALTH GROUP INC Insurance Fixed Income 12,245.62 0.02 12,245.62 BNKBV11 5.75 4.95 15.41
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 12,238.90 0.02 12,238.90 BJKRNL5 5.37 3.95 13.81
PEPSICO INC Consumer Non-Cyclical Fixed Income 12,238.90 0.02 12,238.90 BD3VCR1 5.33 3.45 13.45
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 12,225.48 0.02 12,225.48 nan 4.33 2.20 4.36
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 12,212.05 0.02 12,212.05 BMC8W21 4.48 3.80 4.14
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 12,198.62 0.02 12,198.62 nan 5.63 5.75 5.81
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 12,185.19 0.02 12,185.19 BPCHD15 5.20 2.80 11.82
HALEON US CAPITAL LLC Consumer Non-Cyclical Fixed Income 12,178.48 0.02 12,178.48 BP0SVZ0 4.19 3.38 2.93
BANK OF AMERICA CORP MTN Banking Fixed Income 12,171.77 0.02 12,171.77 BLNB200 5.48 2.83 15.39
ING GROEP NV Banking Fixed Income 12,165.05 0.02 12,165.05 nan 4.97 5.55 6.42
CHUBB INA HOLDINGS LLC Insurance Fixed Income 12,158.34 0.02 12,158.34 BYSRKF5 5.36 4.35 12.50
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 12,158.34 0.02 12,158.34 nan 4.29 2.10 3.98
BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 12,151.63 0.02 12,151.63 nan 4.44 1.96 4.66
LAM RESEARCH CORPORATION Technology Fixed Income 12,138.20 0.02 12,138.20 nan 4.21 1.90 4.12
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 12,124.77 0.02 12,124.77 nan 5.31 5.90 6.92
NXP BV Technology Fixed Income 12,124.77 0.02 12,124.77 nan 4.76 5.00 5.83
UNION PACIFIC CORPORATION Transportation Fixed Income 12,124.77 0.02 12,124.77 BMCFPF6 5.67 3.80 17.00
BLACKSTONE REG FINANCE CO LLC Brokerage/Asset Managers/Exchanges Fixed Income 12,111.34 0.02 12,111.34 nan 4.92 5.00 7.05
CAMPBELLS CO Consumer Non-Cyclical Fixed Income 12,111.34 0.02 12,111.34 nan 5.29 4.75 7.18
PNC FINANCIAL SERVICES GROUP INC ( Banking Fixed Income 12,111.34 0.02 12,111.34 BJDQJW2 4.00 3.45 3.01
PACIFICORP Electric Fixed Income 12,111.34 0.02 12,111.34 BL544T0 5.94 2.90 15.43
MPLX LP Energy Fixed Income 12,104.63 0.02 12,104.63 nan 4.83 4.95 5.47
BERKSHIRE HATHAWAY FINANCE CORP Insurance Fixed Income 12,097.92 0.02 12,097.92 BMYCBT1 5.39 2.50 16.12
DOLLAR GENERAL CORP Consumer Cyclical Fixed Income 12,097.92 0.02 12,097.92 BMCBVG7 4.44 3.50 3.80
BAT CAPITAL CORP Consumer Non-Cyclical Fixed Income 12,084.49 0.02 12,084.49 BJSFMZ8 5.89 4.76 12.97
MICROCHIP TECHNOLOGY INCORPORATED Technology Fixed Income 12,084.49 0.02 12,084.49 nan 4.49 5.05 3.56
APPLE INC Technology Fixed Income 12,077.78 0.02 12,077.78 nan 4.14 3.35 5.69
ENERGY TRANSFER PARTNERS LP Energy Fixed Income 12,077.78 0.02 12,077.78 BDHTRM1 6.11 5.30 11.97
MERCK & CO INC Consumer Non-Cyclical Fixed Income 12,077.78 0.02 12,077.78 nan 5.48 5.50 12.00
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 12,077.78 0.02 12,077.78 nan 5.61 2.95 15.47
AMGEN INC Consumer Non-Cyclical Fixed Income 12,064.35 0.02 12,064.35 nan 4.07 3.00 2.86
CROWN CASTLE INC Communications Fixed Income 12,064.35 0.02 12,064.35 BMGFFV8 5.77 3.25 14.88
KEYSIGHT TECHNOLOGIES INC Technology Fixed Income 12,064.35 0.02 12,064.35 nan 4.39 5.35 3.84
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 12,010.64 0.02 12,010.64 nan 4.85 5.72 4.69
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 12,003.93 0.02 12,003.93 BG0JBZ0 5.60 3.80 13.78
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 12,003.93 0.02 12,003.93 nan 4.14 3.63 3.79
NVIDIA CORPORATION Technology Fixed Income 12,003.93 0.02 12,003.93 BKP3KW5 5.36 3.50 14.55
T-MOBILE USA INC Communications Fixed Income 12,003.93 0.02 12,003.93 nan 4.87 5.75 6.39
AMGEN INC Consumer Non-Cyclical Fixed Income 11,983.79 0.02 11,983.79 BN7KZX1 5.64 4.20 14.13
NVIDIA CORPORATION Technology Fixed Income 11,970.36 0.02 11,970.36 BKMQMN2 4.03 2.85 3.85
MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 11,956.93 0.02 11,956.93 nan 4.56 3.00 5.44
CIGNA GROUP Consumer Non-Cyclical Fixed Income 11,936.79 0.02 11,936.79 BKQN6X7 5.65 3.40 14.64
SHERWIN-WILLIAMS COMPANY (THE) Basic Industry Fixed Income 11,909.94 0.02 11,909.94 BDGKT18 5.60 4.50 12.85
INTEL CORPORATION Technology Fixed Income 11,883.08 0.02 11,883.08 BPCKX36 6.07 3.20 16.04
METLIFE INC Insurance Fixed Income 11,862.94 0.02 11,862.94 B815P82 5.41 4.13 11.20
PHILLIPS 66 Energy Fixed Income 11,862.94 0.02 11,862.94 BNM6J09 5.82 3.30 14.83
WESTERN MIDSTREAM OPERATING LP Energy Fixed Income 11,849.51 0.02 11,849.51 BKRMRB8 6.37 5.25 12.35
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 11,829.37 0.02 11,829.37 BJZD6Q4 5.52 4.45 11.67
AIR LEASE CORPORATION Finance Companies Fixed Income 11,822.66 0.02 11,822.66 BLD3QB5 4.75 3.13 4.39
AMPHENOL CORPORATION Capital Goods Fixed Income 11,822.66 0.02 11,822.66 BT259Q4 4.75 5.00 7.17
APPLIED MATERIALS INC Technology Fixed Income 11,809.23 0.02 11,809.23 nan 4.22 1.75 4.10
CITIBANK NA Banking Fixed Income 11,809.23 0.02 11,809.23 nan 4.20 4.84 3.15
LYB INTERNATIONAL FINANCE BV Basic Industry Fixed Income 11,795.81 0.02 11,795.81 BK3NZG6 6.36 4.88 11.06
AT&T INC Communications Fixed Income 11,789.09 0.02 11,789.09 nan 5.81 5.55 11.56
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 11,789.09 0.02 11,789.09 nan 5.57 3.95 13.99
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 11,789.09 0.02 11,789.09 nan 4.42 5.55 3.13
CONSOLIDATED EDISON COMPANY OF NEW Electric Fixed Income 11,782.38 0.02 11,782.38 BSQC9Q4 5.66 4.63 14.62
DIAGEO CAPITAL PLC Consumer Non-Cyclical Fixed Income 11,782.38 0.02 11,782.38 BQ7XCG3 4.62 5.50 5.80
TELEFONICA EMISIONES SAU Communications Fixed Income 11,782.38 0.02 11,782.38 BJLKT93 6.12 5.52 12.26
APOLLO GLOBAL MANAGEMENT INC Brokerage/Asset Managers/Exchanges Fixed Income 11,775.66 0.02 11,775.66 nan 5.82 5.80 13.67
ELI LILLY AND COMPANY Consumer Non-Cyclical Fixed Income 11,768.95 0.02 11,768.95 BMGYN33 5.36 2.50 18.16
GENERAL DYNAMICS CORPORATION Capital Goods Fixed Income 11,762.24 0.02 11,762.24 BLR95S9 5.32 4.25 13.96
HUMANA INC Insurance Fixed Income 11,748.81 0.02 11,748.81 nan 4.34 3.70 2.91
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 11,742.10 0.02 11,742.10 nan 5.01 5.05 7.75
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 11,735.38 0.02 11,735.38 BF01Z35 5.22 3.75 13.37
DOW CHEMICAL CO Basic Industry Fixed Income 11,728.67 0.02 11,728.67 BN15X50 6.28 3.60 13.94
JBS NV Consumer Non-Cyclical Fixed Income 11,715.24 0.02 11,715.24 2PGWWX0 6.06 6.38 13.13
EBAY INC Consumer Cyclical Fixed Income 11,708.53 0.02 11,708.53 B88WNK4 5.55 4.00 11.41
FEDEX CORP Transportation Fixed Income 11,695.10 0.02 11,695.10 2NWMTR3 5.78 4.75 12.07
HASBRO INC Consumer Non-Cyclical Fixed Income 11,681.67 0.02 11,681.67 nan 4.33 3.90 3.48
INTERCONTINENTAL EXCHANGE INC Brokerage/Asset Managers/Exchanges Fixed Income 11,668.25 0.02 11,668.25 BMTQL54 5.56 3.00 17.07
TARGET CORPORATION Consumer Cyclical Fixed Income 11,668.25 0.02 11,668.25 BN95W88 5.49 2.95 15.74
COTERRA ENERGY INC Energy Fixed Income 11,654.82 0.02 11,654.82 BRRG203 6.06 5.90 13.30
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 11,654.82 0.02 11,654.82 BKFV9W2 5.54 3.20 14.42
CHENIERE ENERGY INC Energy Fixed Income 11,641.39 0.02 11,641.39 nan 5.08 5.65 6.46
QUALCOMM INCORPORATED Technology Fixed Income 11,641.39 0.02 11,641.39 BMV6XQ7 5.51 3.25 14.80
WILLIAMS COMPANIES INC Energy Fixed Income 11,641.39 0.02 11,641.39 BW3SWW0 5.72 5.10 11.76
UTAH ACQUISITION SUB INC Consumer Non-Cyclical Fixed Income 11,634.68 0.02 11,634.68 BYMX8F5 6.71 5.25 11.53
APOLLO DEBT SOLUTIONS BDC Finance Companies Fixed Income 11,627.96 0.02 11,627.96 BMHDJ97 5.36 6.90 2.82
LOWES COMPANIES INC Consumer Cyclical Fixed Income 11,627.96 0.02 11,627.96 BNG50S7 5.43 2.80 11.67
PPL ELECTRIC UTILITIES CORPORATION Electric Fixed Income 11,614.54 0.02 11,614.54 nan 5.48 5.25 14.06
HOME DEPOT INC Consumer Cyclical Fixed Income 11,607.82 0.02 11,607.82 nan 4.02 4.75 3.12
NETFLIX INC Communications Fixed Income 11,607.82 0.02 11,607.82 BK724H3 4.17 6.38 2.95
STATE STREET CORP Banking Fixed Income 11,601.11 0.02 11,601.11 nan 3.97 2.40 3.75
COMMONWEALTH EDISON COMPANY Electric Fixed Income 11,580.97 0.02 11,580.97 BFYRPY0 5.56 4.00 13.29
LAM RESEARCH CORPORATION Technology Fixed Income 11,580.97 0.02 11,580.97 BFZ92V1 5.43 4.88 13.14
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 11,580.97 0.02 11,580.97 nan 5.71 3.38 16.63
MORGAN STANLEY Banking Fixed Income 11,560.83 0.02 11,560.83 BN7LY82 5.29 3.22 11.26
SANTANDER HOLDINGS USA INC Banking Fixed Income 11,560.83 0.02 11,560.83 nan 4.87 5.35 3.19
BANK OF NEW YORK MELLON CORP/THE MTN Banking Fixed Income 11,554.12 0.02 11,554.12 BDT5HL6 4.18 3.30 3.28
TRUIST FINANCIAL CORP MTN Banking Fixed Income 11,554.12 0.02 11,554.12 nan 4.50 5.43 2.74
BROADCOM INC Technology Fixed Income 11,547.40 0.02 11,547.40 nan 4.27 4.60 4.00
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 11,540.69 0.02 11,540.69 BL39936 5.68 3.95 15.68
MICROSOFT CORPORATION Technology Fixed Income 11,540.69 0.02 11,540.69 BDCBCM7 4.51 3.45 8.48
SIXTH STREET LENDING PARTNERS Finance Companies Fixed Income 11,540.69 0.02 11,540.69 nan 5.19 6.50 2.75
CSX CORP Transportation Fixed Income 11,513.83 0.02 11,513.83 BYMPHS7 5.45 3.80 13.17
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 11,500.41 0.02 11,500.41 nan 4.34 2.05 4.19
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 11,500.41 0.02 11,500.41 nan 4.57 5.30 5.12
NATIONAL BANK OF CANADA MTN Banking Fixed Income 11,493.69 0.02 11,493.69 nan 4.23 4.50 3.34
CSX CORP Transportation Fixed Income 11,486.98 0.02 11,486.98 B8MZYR3 5.44 4.10 11.91
MERCK & CO INC Consumer Non-Cyclical Fixed Income 11,486.98 0.02 11,486.98 BLHM7R1 5.59 2.90 17.53
SOUTHERN CALIFORNIA EDISON COMPANY Electric Fixed Income 11,486.98 0.02 11,486.98 BN7QLH5 5.87 2.95 14.81
DUKE ENERGY CORP Electric Fixed Income 11,480.27 0.02 11,480.27 nan 5.83 5.70 13.79
UNION PACIFIC CORPORATION Transportation Fixed Income 11,480.27 0.02 11,480.27 BNYF3J1 5.51 3.50 15.09
TARGET CORPORATION Consumer Cyclical Fixed Income 11,460.12 0.02 11,460.12 B8HK5Z8 5.38 4.00 11.44
KLA CORP Technology Fixed Income 11,439.98 0.02 11,439.98 BL1LXW1 5.48 3.30 14.56
MONDELEZ INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 11,439.98 0.02 11,439.98 nan 5.57 2.63 15.43
AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 11,433.27 0.02 11,433.27 nan 4.20 4.90 2.83
KLA CORP Technology Fixed Income 11,433.27 0.02 11,433.27 BQ5J0D6 5.61 5.25 15.61
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 11,426.56 0.02 11,426.56 nan 4.82 2.00 5.76
AMGEN INC Consumer Non-Cyclical Fixed Income 11,426.56 0.02 11,426.56 BN0THC8 5.61 2.77 16.01
SIXTH STREET LENDING PARTNERS Finance Companies Fixed Income 11,426.56 0.02 11,426.56 BVH78L7 5.55 6.13 3.87
MITSUBISHI UFJ FINANCIAL GROUP INC Banking Fixed Income 11,406.42 0.02 11,406.42 nan 4.39 5.20 3.56
FIFTH THIRD BANCORP Banking Fixed Income 11,386.28 0.02 11,386.28 nan 4.71 4.77 3.12
KIMBERLY-CLARK CORPORATION Consumer Non-Cyclical Fixed Income 11,386.28 0.02 11,386.28 BMGWDJ3 4.15 3.10 3.82
S&P GLOBAL INC Technology Fixed Income 11,379.56 0.02 11,379.56 nan 4.12 4.25 2.99
TELEDYNE TECHNOLOGIES INCORPORATED Technology Fixed Income 11,379.56 0.02 11,379.56 nan 4.37 2.75 4.70
TAKEDA PHARMACEUTICAL CO LTD Consumer Non-Cyclical Fixed Income 11,359.42 0.02 11,359.42 BL6LJ95 5.34 3.02 11.04
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 11,352.71 0.02 11,352.71 nan 4.72 2.56 5.08
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 11,345.99 0.02 11,345.99 nan 5.87 5.88 7.39
US BANCORP Banking Fixed Income 11,325.85 0.02 11,325.85 BM9WJ58 4.79 5.85 5.50
VULCAN MATERIALS COMPANY Capital Goods Fixed Income 11,299.00 0.02 11,299.00 BM95BK6 4.32 3.50 3.96
MARVELL TECHNOLOGY INC Technology Fixed Income 11,285.57 0.02 11,285.57 nan 4.60 2.95 4.71
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 11,272.14 0.02 11,272.14 BN927Q2 5.61 2.85 15.45
HSBC HOLDINGS PLC Banking Fixed Income 11,272.14 0.02 11,272.14 B39GHK8 5.35 6.80 8.49
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 11,265.43 0.02 11,265.43 nan 6.11 6.15 13.19
MERCK & CO INC Consumer Non-Cyclical Fixed Income 11,245.29 0.02 11,245.29 BJRH6C0 3.98 3.40 2.88
BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 11,231.86 0.02 11,231.86 BTDFT52 5.59 4.68 11.94
UNION PACIFIC CORPORATION Transportation Fixed Income 11,231.86 0.02 11,231.86 nan 4.15 2.40 3.73
PROLOGIS LP Reits Fixed Income 11,211.72 0.02 11,211.72 nan 4.72 5.00 6.53
CITIGROUP INC Banking Fixed Income 11,205.01 0.02 11,205.01 BF1ZBM7 5.49 4.28 12.98
HALLIBURTON COMPANY Energy Fixed Income 11,205.01 0.02 11,205.01 BYNR6K7 5.00 4.85 7.64
REALTY INCOME CORPORATION Reits Fixed Income 11,205.01 0.02 11,205.01 BQQ91L0 4.61 5.63 5.51
APOLLO GLOBAL MANAGEMENT INC Brokerage/Asset Managers/Exchanges Fixed Income 11,198.29 0.02 11,198.29 nan 5.17 5.15 7.29
LOWES COMPANIES INC Consumer Cyclical Fixed Income 11,184.87 0.02 11,184.87 nan 4.51 3.75 5.37
ICON INVESTMENTS SIX DAC Consumer Non-Cyclical Fixed Income 11,164.73 0.02 11,164.73 nan 4.50 5.85 2.94
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 11,144.59 0.02 11,144.59 BDCBVP3 5.29 4.00 12.81
BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 11,137.87 0.02 11,137.87 nan 5.11 6.03 6.31
AUTOZONE INC Consumer Cyclical Fixed Income 11,124.44 0.02 11,124.44 nan 4.62 4.75 5.43
VERIZON COMMUNICATIONS INC Communications Fixed Income 11,104.30 0.02 11,104.30 BLNNZ29 4.30 3.15 3.80
BROADCOM INC Technology Fixed Income 11,077.45 0.02 11,077.45 nan 4.37 4.30 4.42
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 11,077.45 0.02 11,077.45 nan 4.38 1.65 4.78
SWP: IFS 2.287500 22-APR-2032 USC Cash and/or Derivatives Swaps 11,070.86 0.02 -988,929.14 nan nan 2.29 -0.07
PROCTER & GAMBLE CO Consumer Non-Cyclical Fixed Income 11,064.02 0.02 11,064.02 nan 4.33 4.55 6.52
EVERSOURCE ENERGY Electric Fixed Income 11,057.31 0.02 11,057.31 BNC2XP0 4.37 5.95 2.67
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 11,050.59 0.02 11,050.59 BMGYMZ8 5.22 2.45 18.45
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 11,023.74 0.02 11,023.74 BWWC4X8 5.59 4.90 12.26
NISOURCE INC Natural Gas Fixed Income 11,010.31 0.02 11,010.31 nan 4.42 1.70 4.70
MPLX LP Energy Fixed Income 11,003.60 0.02 11,003.60 BF5M0H2 4.33 4.80 2.76
DEERE & CO Capital Goods Fixed Income 10,996.89 0.02 10,996.89 nan 5.36 5.70 14.43
HORMEL FOODS CORPORATION Consumer Non-Cyclical Fixed Income 10,996.89 0.02 10,996.89 nan 4.27 1.80 4.12
SIMON PROPERTY GROUP LP Reits Fixed Income 10,990.17 0.02 10,990.17 nan 4.93 5.13 7.42
BOSTON PROPERTIES LP Reits Fixed Income 10,983.46 0.02 10,983.46 nan 5.34 6.50 6.23
CISCO SYSTEMS INC Technology Fixed Income 10,976.75 0.02 10,976.75 nan 4.07 4.75 3.61
PRUDENTIAL FINANCIAL INC MTN Insurance Fixed Income 10,976.75 0.02 10,976.75 nan 4.88 5.20 7.10
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 10,970.03 0.02 10,970.03 BJFSR11 5.69 4.45 13.40
META PLATFORMS INC Communications Fixed Income 10,963.32 0.02 10,963.32 nan 4.01 4.30 3.21
S&P GLOBAL INC Technology Fixed Income 10,949.89 0.02 10,949.89 BQZC712 5.40 3.70 14.80
EASTMAN CHEMICAL CO Basic Industry Fixed Income 10,943.18 0.02 10,943.18 BMNQYY0 5.91 4.65 11.64
MARATHON PETROLEUM CORP Energy Fixed Income 10,936.46 0.02 10,936.46 BQQCCJ4 5.90 4.75 11.51
EVEREST REINSURANCE HOLDINGS INC Insurance Fixed Income 10,923.04 0.02 10,923.04 BM9XD71 5.72 3.13 15.33
ONEOK INC Energy Fixed Income 10,916.32 0.02 10,916.32 BM8JWH3 6.06 3.95 13.51
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 10,909.61 0.02 10,909.61 B7YGHX4 5.37 4.45 11.34
GATX CORPORATION Finance Companies Fixed Income 10,902.90 0.02 10,902.90 nan 5.84 6.05 13.57
LEIDOS INC Technology Fixed Income 10,902.90 0.02 10,902.90 nan 4.44 4.38 3.85
VISA INC Technology Fixed Income 10,896.18 0.02 10,896.18 BD5WHT9 5.33 3.65 13.59
CF INDUSTRIES INC Basic Industry Fixed Income 10,876.04 0.02 10,876.04 BKL56J4 5.78 5.38 11.09
ONEOK INC Energy Fixed Income 10,869.33 0.02 10,869.33 nan 6.20 5.85 14.54
COMCAST CORPORATION Communications Fixed Income 10,855.90 0.02 10,855.90 BF22PR0 5.91 4.00 12.86
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 10,842.47 0.02 10,842.47 BJQV485 5.48 3.55 14.28
TRAVELERS COMPANIES INC Insurance Fixed Income 10,842.47 0.02 10,842.47 nan 5.45 3.05 15.41
DH EUROPE FINANCE II SARL Consumer Non-Cyclical Fixed Income 10,835.76 0.02 10,835.76 nan 5.45 3.40 14.54
ARTHUR J GALLAGHER & CO Insurance Fixed Income 10,808.91 0.02 10,808.91 BNDQK38 5.70 3.50 14.67
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 10,808.91 0.02 10,808.91 BQXQQT7 5.59 5.90 15.36
3M CO MTN Capital Goods Fixed Income 10,808.91 0.02 10,808.91 BFNR3G9 5.57 4.00 13.47
AEP TEXAS INC Electric Fixed Income 10,802.19 0.02 10,802.19 nan 5.89 5.85 13.70
PROGRESSIVE CORPORATION (THE) Insurance Fixed Income 10,802.19 0.02 10,802.19 BDR0683 5.48 4.13 13.05
TELUS CORP Communications Fixed Income 10,795.48 0.02 10,795.48 nan 4.85 3.40 5.52
UNION PACIFIC CORPORATION Transportation Fixed Income 10,788.76 0.02 10,788.76 BKDMLC1 5.67 3.75 16.82
CONOCOPHILLIPS CO Energy Fixed Income 10,782.05 0.02 10,782.05 nan 5.39 3.76 11.29
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 10,775.34 0.02 10,775.34 BH420W2 4.78 5.05 2.86
NOVARTIS CAPITAL CORP Consumer Non-Cyclical Fixed Income 10,768.62 0.02 10,768.62 BSTJMG3 5.39 4.70 14.66
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 10,768.62 0.02 10,768.62 B83K8M0 5.44 3.88 11.36
ENTERGY LOUISIANA LLC Electric Fixed Income 10,748.48 0.02 10,748.48 nan 5.63 4.20 13.24
GENERAL MILLS INC Consumer Non-Cyclical Fixed Income 10,714.91 0.02 10,714.91 nan 4.99 5.25 6.96
BLUE OWL CREDIT INCOME CORP Finance Companies Fixed Income 10,708.20 0.02 10,708.20 991CAD3 5.96 5.80 3.55
CARRIER GLOBAL CORP Capital Goods Fixed Income 10,701.49 0.02 10,701.49 BMT6MR3 5.30 3.38 10.59
REGENERON PHARMACEUTICALS INC. Consumer Non-Cyclical Fixed Income 10,688.06 0.02 10,688.06 nan 4.34 1.75 4.34
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 10,681.35 0.02 10,681.35 BLBCYC1 5.51 3.13 15.05
J M SMUCKER CO Consumer Non-Cyclical Fixed Income 10,681.35 0.02 10,681.35 nan 4.88 6.20 6.15
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 10,674.63 0.02 10,674.63 BKX8JW5 5.43 2.80 15.37
PACIFIC GAS AND ELECTRIC COMPANY Electric Fixed Income 10,674.63 0.02 10,674.63 nan 4.36 6.10 2.70
AIR LEASE CORPORATION MTN Finance Companies Fixed Income 10,654.49 0.02 10,654.49 nan 4.87 2.88 5.36
MARTIN MARIETTA MATERIALS INC Capital Goods Fixed Income 10,641.06 0.02 10,641.06 BMFBKD4 5.54 3.20 15.27
APPLIED MATERIALS INC Technology Fixed Income 10,634.35 0.02 10,634.35 BYVBMC5 5.36 4.35 12.94
BAKER HUGHES HOLDINGS LLC Energy Fixed Income 10,627.64 0.02 10,627.64 B57Y827 5.33 5.13 9.96
VENTAS REALTY LP Reits Fixed Income 10,620.92 0.02 10,620.92 BGB5RY8 4.24 4.40 2.75
PARAMOUNT GLOBAL Communications Fixed Income 10,620.92 0.02 10,620.92 BCHWWF1 7.67 4.38 10.42
CBRE SERVICES INC Consumer Cyclical Fixed Income 10,607.50 0.02 10,607.50 nan 4.82 4.90 5.80
CHARLES SCHWAB CORPORATION (THE) Brokerage/Asset Managers/Exchanges Fixed Income 10,607.50 0.02 10,607.50 nan 4.31 2.30 4.87
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 10,580.64 0.01 10,580.64 nan 5.26 7.20 3.72
S&P GLOBAL INC Technology Fixed Income 10,573.93 0.01 10,573.93 2LPMN18 4.51 5.25 6.17
ELEVANCE HEALTH INC Insurance Fixed Income 10,567.22 0.01 10,567.22 BJDSXN7 4.28 2.88 3.36
AUTODESK INC Technology Fixed Income 10,567.22 0.01 10,567.22 nan 4.54 2.40 5.36
EXXON MOBIL CORP Energy Fixed Income 10,560.50 0.01 10,560.50 BJP2G49 3.90 2.44 3.32
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 10,547.07 0.01 10,547.07 nan 5.65 2.95 15.01
SOUTHWEST AIRLINES CO Transportation Fixed Income 10,533.65 0.01 10,533.65 BRCDJX1 5.53 5.25 7.46
MANULIFE FINANCIAL CORP Insurance Fixed Income 10,493.37 0.01 10,493.37 nan 4.97 4.99 7.68
FISERV INC Technology Fixed Income 10,479.94 0.01 10,479.94 BQ1PKF0 5.27 5.15 6.67
PRUDENTIAL FINANCIAL INC Insurance Fixed Income 10,479.94 0.01 10,479.94 BG0KDC4 5.56 3.90 13.46
LOCKHEED MARTIN CORP Capital Goods Fixed Income 10,473.22 0.01 10,473.22 BVGDWK3 5.38 3.80 12.50
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 10,466.51 0.01 10,466.51 BYP8NL8 5.46 3.90 12.85
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 10,466.51 0.01 10,466.51 BN4BQK1 5.38 6.18 10.90
GILEAD SCIENCES INC Consumer Non-Cyclical Fixed Income 10,459.80 0.01 10,459.80 nan 4.49 5.25 6.25
MORGAN STANLEY MTN Banking Fixed Income 10,446.37 0.01 10,446.37 BJ2XKL0 4.52 4.43 3.62
ANALOG DEVICES INC Technology Fixed Income 10,419.52 0.01 10,419.52 nan 4.36 2.10 5.21
CONSTELLATION ENERGY GENERATION LL Electric Fixed Income 10,406.09 0.01 10,406.09 nan 4.48 4.40 4.41
NUTRIEN LTD Basic Industry Fixed Income 10,392.66 0.01 10,392.66 BHPHFC1 4.24 4.20 2.91
HEALTHPEAK OP LLC Reits Fixed Income 10,379.23 0.01 10,379.23 BL0L9G8 4.45 3.00 3.68
NORFOLK SOUTHERN CORPORATION Transportation Fixed Income 10,345.67 0.01 10,345.67 BN79088 5.57 3.15 16.09
INTEL CORPORATION Technology Fixed Income 10,338.95 0.01 10,338.95 B6SRRZ8 5.83 4.80 10.42
TWDC ENTERPRISES 18 CORP MTN Communications Fixed Income 10,332.24 0.01 10,332.24 BN459D7 5.41 4.13 12.11
CENOVUS ENERGY INC Energy Fixed Income 10,318.81 0.01 10,318.81 BNTFNT6 5.92 3.75 14.23
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 10,318.81 0.01 10,318.81 nan 4.23 4.90 2.92
MARRIOTT INTERNATIONAL INC Consumer Cyclical Fixed Income 10,305.38 0.01 10,305.38 nan 4.70 3.50 5.82
TRAVELERS COMPANIES INC Insurance Fixed Income 10,305.38 0.01 10,305.38 nan 5.48 5.45 13.97
ENTERPRISE PRODUCTS OPERATING LLC Energy Fixed Income 10,298.67 0.01 10,298.67 BKM3QH5 5.60 3.70 14.28
INTEL CORPORATION Technology Fixed Income 10,278.53 0.01 10,278.53 BF3W9R7 6.06 4.10 12.77
COMMONWEALTH BANK OF AUSTRALIA (NE MTN Banking Fixed Income 10,271.82 0.01 10,271.82 nan 4.20 4.15 4.16
CAPITAL ONE FINANCIAL CORPORATION Banking Fixed Income 10,271.82 0.01 10,271.82 BP7LTN6 4.96 6.70 5.48
WALMART INC Consumer Cyclical Fixed Income 10,265.10 0.01 10,265.10 BMDP801 5.06 2.50 12.03
ROGERS COMMUNICATIONS INC Communications Fixed Income 10,258.39 0.01 10,258.39 BNXJJZ2 5.80 4.50 10.73
ATLAS WAREHOUSE LENDING COMPANY LP 144A Financial Other Fixed Income 10,244.96 0.01 10,244.96 nan 4.89 4.95 4.19
BOEING CO Capital Goods Fixed Income 10,238.25 0.01 10,238.25 nan 4.48 3.63 4.44
PEPSICO INC Consumer Non-Cyclical Fixed Income 10,218.11 0.01 10,218.11 nan 5.37 2.88 15.08
HSBC HOLDINGS PLC Banking Fixed Income 10,211.39 0.01 10,211.39 B6QZ5W7 5.32 6.10 10.37
GLOBAL PAYMENTS INC Technology Fixed Income 10,197.97 0.01 10,197.97 BNBVCY0 6.18 5.95 12.72
FAIRFAX FINANCIAL HOLDINGS LTD Insurance Fixed Income 10,150.97 0.01 10,150.97 nan 5.01 6.00 6.23
HARTFORD INSURANCE GROUP INC Insurance Fixed Income 10,144.26 0.01 10,144.26 BK5R469 5.51 3.60 14.08
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 10,144.26 0.01 10,144.26 BD31B74 4.55 3.55 8.18
UNILEVER CAPITAL CORP Consumer Non-Cyclical Fixed Income 10,144.26 0.01 10,144.26 BJK53F3 3.95 2.13 3.39
CONAGRA BRANDS INC Consumer Non-Cyclical Fixed Income 10,124.12 0.01 10,124.12 BFWSC55 5.87 5.30 8.95
AMERICAN EXPRESS COMPANY Banking Fixed Income 10,070.41 0.01 10,070.41 B968SP1 5.26 4.05 11.60
PRESIDENT AND FELLOWS OF HARVARD C Industrial Other Fixed Income 10,070.41 0.01 10,070.41 nan 4.48 4.61 7.20
HOME DEPOT INC Consumer Cyclical Fixed Income 10,043.55 0.01 10,043.55 BK8TZG9 5.46 3.35 14.65
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 10,043.55 0.01 10,043.55 B83KB65 5.42 4.13 11.47
ZIMMER BIOMET HOLDINGS INC Consumer Non-Cyclical Fixed Income 10,043.55 0.01 10,043.55 nan 4.54 2.60 5.27
MERCK & CO INC Consumer Non-Cyclical Fixed Income 10,023.41 0.01 10,023.41 nan 5.10 2.35 11.51
AMERIPRISE FINANCIAL INC Brokerage/Asset Managers/Exchanges Fixed Income 10,016.70 0.01 10,016.70 nan 4.56 5.15 6.01
RIO TINTO FINANCE (USA) PLC Basic Industry Fixed Income 9,989.85 0.01 9,989.85 B8NWTL2 5.35 4.13 11.25
ERP OPERATING LP Reits Fixed Income 9,969.70 0.01 9,969.70 BNGK4X5 5.34 4.50 12.01
DUKE ENERGY CORP Electric Fixed Income 9,942.85 0.01 9,942.85 BRK1TD7 5.80 5.80 13.76
GENERAL MOTORS FINANCIAL COMPANY I Consumer Cyclical Fixed Income 9,929.42 0.01 9,929.42 nan 4.64 4.60 4.37
RELX CAPITAL INC Technology Fixed Income 9,929.42 0.01 9,929.42 BMTYHL6 4.84 5.25 7.13
TYSON FOODS INC Consumer Non-Cyclical Fixed Income 9,922.71 0.01 9,922.71 nan 4.87 5.70 6.39
PIONEER NATURAL RESOURCES COMPANY Energy Fixed Income 9,902.57 0.01 9,902.57 BM9PJB3 4.21 2.15 4.62
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 9,902.57 0.01 9,902.57 nan 4.94 4.90 7.47
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 9,889.14 0.01 9,889.14 nan 4.65 5.84 2.73
FISERV INC Technology Fixed Income 9,869.00 0.01 9,869.00 nan 5.07 5.60 5.71
ENERGY TRANSFER LP Energy Fixed Income 9,848.86 0.01 9,848.86 BYQ24Q1 6.10 6.13 11.34
EXELON CORPORATION Electric Fixed Income 9,835.43 0.01 9,835.43 BN45Q25 5.75 5.60 13.45
FIFTH THIRD BANCORP Banking Fixed Income 9,815.29 0.01 9,815.29 BMGBZR2 4.70 5.63 4.24
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 9,815.29 0.01 9,815.29 nan 4.17 4.78 3.51
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 9,795.15 0.01 9,795.15 BN7GF39 5.51 3.30 15.00
KEYBANK NATIONAL ASSOCIATION Banking Fixed Income 9,795.15 0.01 9,795.15 nan 4.98 4.90 5.41
M&T BANK CORPORATION MTN Banking Fixed Income 9,788.44 0.01 9,788.44 nan 5.16 5.38 7.06
CIGNA GROUP Consumer Non-Cyclical Fixed Income 9,734.73 0.01 9,734.73 nan 5.65 3.88 13.28
ROGERS COMMUNICATIONS INC Communications Fixed Income 9,728.01 0.01 9,728.01 BPGLSS5 4.38 5.00 2.75
BRIXMOR OPERATING PARTNERSHIP LP Reits Fixed Income 9,707.87 0.01 9,707.87 BMC8VY6 4.46 4.05 4.00
NIKE INC Consumer Cyclical Fixed Income 9,707.87 0.01 9,707.87 BLB1V27 4.11 2.85 3.84
OTIS WORLDWIDE CORP Capital Goods Fixed Income 9,707.87 0.01 9,707.87 BKP3SZ4 5.25 3.11 10.62
UBER TECHNOLOGIES INC Consumer Cyclical Fixed Income 9,701.16 0.01 9,701.16 BQB6DJ8 5.62 5.35 14.01
UNION PACIFIC CORPORATION Transportation Fixed Income 9,701.16 0.01 9,701.16 BNKG3R6 5.23 3.20 11.37
ANALOG DEVICES INC Technology Fixed Income 9,694.45 0.01 9,694.45 BPBK6M7 5.45 2.95 15.49
CONNECTICUT LIGHT AND POWER COMPAN Electric Fixed Income 9,694.45 0.01 9,694.45 BFMNF73 5.58 4.00 13.36
TRUIST FINANCIAL CORP MTN Banking Fixed Income 9,660.88 0.01 9,660.88 nan 4.57 4.85 4.42
DH EUROPE FINANCE II SARL Consumer Non-Cyclical Fixed Income 9,647.45 0.01 9,647.45 nan 5.09 3.25 10.55
FIRSTENERGY CORPORATION Electric Fixed Income 9,640.74 0.01 9,640.74 BL5H0D5 5.69 3.40 14.30
BECTON DICKINSON AND COMPANY Consumer Non-Cyclical Fixed Income 9,627.31 0.01 9,627.31 nan 4.30 2.82 3.98
CITIZENS FINANCIAL GROUP INC Banking Fixed Income 9,620.60 0.01 9,620.60 nan 5.23 6.64 6.32
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 9,613.88 0.01 9,613.88 BKTSH36 6.45 4.20 13.01
EATON CORPORATION Capital Goods Fixed Income 9,560.17 0.01 9,560.17 nan 4.42 4.15 6.01
EBAY INC Consumer Cyclical Fixed Income 9,540.03 0.01 9,540.03 BMGH020 4.48 2.60 4.82
EMERSON ELECTRIC CO Capital Goods Fixed Income 9,533.32 0.01 9,533.32 nan 5.34 2.80 16.00
ANALOG DEVICES INC Technology Fixed Income 9,513.18 0.01 9,513.18 BPBK6K5 5.25 2.80 11.77
SALESFORCE INC Technology Fixed Income 9,506.47 0.01 9,506.47 BN466Y0 5.60 3.05 17.34
PARAMOUNT GLOBAL Communications Fixed Income 9,493.04 0.01 9,493.04 nan 6.11 4.20 5.36
WOODSIDE FINANCE LTD Energy Fixed Income 9,472.90 0.01 9,472.90 nan 6.06 5.70 13.38
HONEYWELL INTERNATIONAL INC Capital Goods Fixed Income 9,466.18 0.01 9,466.18 BLBCW16 5.22 2.80 15.58
EXELON CORPORATION Electric Fixed Income 9,459.47 0.01 9,459.47 BD073T1 5.71 4.45 12.37
NEXTERA ENERGY CAPITAL HOLDINGS IN Electric Fixed Income 9,452.76 0.01 9,452.76 nan 4.12 4.90 2.84
ELEVANCE HEALTH INC Insurance Fixed Income 9,439.33 0.01 9,439.33 B88F2Y0 5.54 4.65 11.29
MIZUHO FINANCIAL GROUP INC Banking Fixed Income 9,432.62 0.01 9,432.62 nan 4.39 5.38 3.01
SUNCOR ENERGY INC Energy Fixed Income 9,425.90 0.01 9,425.90 BD5W818 5.82 4.00 13.16
APPLOVIN CORP Communications Fixed Income 9,419.19 0.01 9,419.19 nan 5.12 5.50 6.92
PROLOGIS LP Reits Fixed Income 9,419.19 0.01 9,419.19 nan 4.73 5.13 6.50
ECOLAB INC Basic Industry Fixed Income 9,392.33 0.01 9,392.33 BPKC1L8 5.36 2.70 16.10
ARES CAPITAL CORPORATION Finance Companies Fixed Income 9,385.62 0.01 9,385.62 nan 5.59 5.25 4.48
METLIFE INC Insurance Fixed Income 9,372.19 0.01 9,372.19 BND9JW9 5.52 5.00 14.09
BELL TELEPHONE COMPANY OF CANADA O Communications Fixed Income 9,338.63 0.01 9,338.63 BPGLSL8 5.77 5.55 13.57
RAYMOND JAMES FINANCIAL INC. Brokerage/Asset Managers/Exchanges Fixed Income 9,325.20 0.01 9,325.20 nan 5.61 3.75 14.39
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 9,311.77 0.01 9,311.77 BLFHQ82 5.43 2.80 15.45
SANTANDER UK GROUP HOLDINGS PLC Banking Fixed Income 9,311.77 0.01 9,311.77 nan 4.63 4.86 3.23
AES CORPORATION (THE) Electric Fixed Income 9,305.06 0.01 9,305.06 BP6T4P8 4.60 2.45 4.58
CADENCE DESIGN SYSTEMS INC Technology Fixed Income 9,305.06 0.01 9,305.06 nan 4.20 4.30 3.27
LOCKHEED MARTIN CORPORATION Capital Goods Fixed Income 9,305.06 0.01 9,305.06 nan 5.58 5.20 15.52
WORKDAY INC Technology Fixed Income 9,305.06 0.01 9,305.06 BPP2DY0 4.64 3.80 5.36
MERCK & CO INC Consumer Non-Cyclical Fixed Income 9,284.92 0.01 9,284.92 nan 4.45 4.45 5.82
AMERICAN HONDA FINANCE CORPORATION MTN Consumer Cyclical Fixed Income 9,264.78 0.01 9,264.78 nan 4.19 4.40 3.25
INTERNATIONAL BUSINESS MACHINES CO Technology Fixed Income 9,258.06 0.01 9,258.06 nan 5.74 5.70 13.71
ROYALTY PHARMA PLC Consumer Non-Cyclical Fixed Income 9,244.63 0.01 9,244.63 BMB3JX7 5.51 3.30 10.75
NETFLIX INC Communications Fixed Income 9,204.35 0.01 9,204.35 nan 5.62 5.40 13.91
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 9,204.35 0.01 9,204.35 BNSNRL1 5.55 2.95 15.28
SIMON PROPERTY GROUP LP Reits Fixed Income 9,204.35 0.01 9,204.35 BJDSY78 4.11 2.45 3.39
ARES STRATEGIC INCOME FUND Finance Companies Fixed Income 9,197.64 0.01 9,197.64 nan 5.88 6.20 4.96
BROOKFIELD FINANCE INC Brokerage/Asset Managers/Exchanges Fixed Income 9,197.64 0.01 9,197.64 nan 5.72 3.50 14.51
RAYTHEON TECHNOLOGIES CORPORATION Capital Goods Fixed Income 9,190.93 0.01 9,190.93 BP2BTQ4 5.48 2.82 15.55
SWP: IFS 2.277013 21-AUG-2031 USC Cash and/or Derivatives Swaps 9,184.99 0.01 -590,815.01 nan nan 2.28 -0.09
SOUTHERN COMPANY (THE) Electric Fixed Income 9,184.21 0.01 9,184.21 nan 4.22 5.50 2.81
SYSCO CORPORATION Consumer Non-Cyclical Fixed Income 9,143.93 0.01 9,143.93 nan 5.50 3.15 15.41
UNIVERSAL HEALTH SERVICES INC Consumer Non-Cyclical Fixed Income 9,137.22 0.01 9,137.22 nan 4.77 2.65 4.31
COCA-COLA CO Consumer Non-Cyclical Fixed Income 9,130.50 0.01 9,130.50 BLB7Z34 5.35 2.75 17.90
TYSON FOODS INC Consumer Non-Cyclical Fixed Income 9,110.36 0.01 9,110.36 BDVLC17 4.28 4.35 2.82
DUKE ENERGY CAROLINAS LLC Electric Fixed Income 9,063.37 0.01 9,063.37 BPW7P75 5.54 5.40 14.19
SWP: OIS 4.008715 11-AUG-2050 SOF Cash and/or Derivatives Swaps 9,053.88 0.01 -290,946.12 nan 0.39 4.01 15.34
PARKER HANNIFIN CORPORATION Capital Goods Fixed Income 9,049.94 0.01 9,049.94 BKKDHP2 5.35 4.00 14.02
CRH SMW FINANCE DAC Capital Goods Fixed Income 9,043.23 0.01 9,043.23 nan 4.21 5.20 3.01
BIOGEN INC Consumer Non-Cyclical Fixed Income 9,036.51 0.01 9,036.51 BMDWPJ0 4.38 2.25 3.97
ADOBE INC Technology Fixed Income 9,029.80 0.01 9,029.80 nan 4.51 4.95 6.61
HOME DEPOT INC Consumer Cyclical Fixed Income 9,023.09 0.01 9,023.09 BD886H5 5.47 3.50 15.96
FIFTH THIRD BANCORP Banking Fixed Income 9,002.95 0.01 9,002.95 B2Q1497 5.55 8.25 7.90
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 8,996.23 0.01 8,996.23 nan 4.15 5.26 2.89
PAYPAL HOLDINGS INC Technology Fixed Income 8,982.80 0.01 8,982.80 BKZCC60 4.13 2.85 3.41
NIKE INC Consumer Cyclical Fixed Income 8,942.52 0.01 8,942.52 BYQGY18 5.41 3.88 12.78
VICI PROPERTIES LP Consumer Cyclical Fixed Income 8,942.52 0.01 8,942.52 BPWCPW5 6.01 5.63 13.16
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 8,922.38 0.01 8,922.38 BMWC900 5.31 3.00 15.57
SUNCOR ENERGY INC Energy Fixed Income 8,922.38 0.01 8,922.38 nan 5.90 3.75 14.06
INTEL CORPORATION Technology Fixed Income 8,915.67 0.01 8,915.67 BL59309 5.88 3.05 14.84
HOST HOTELS & RESORTS LP Reits Fixed Income 8,908.95 0.01 8,908.95 nan 4.66 3.50 4.16
BERKSHIRE HATHAWAY ENERGY CO Electric Fixed Income 8,902.24 0.01 8,902.24 BMJ6RW3 5.43 5.15 11.33
T-MOBILE USA INC Communications Fixed Income 8,902.24 0.01 8,902.24 BN72M47 5.85 5.80 14.74
AMGEN INC Consumer Non-Cyclical Fixed Income 8,895.53 0.01 8,895.53 BKP4ZM3 5.36 2.80 11.61
BANCO SANTANDER SA Banking Fixed Income 8,895.53 0.01 8,895.53 nan 4.49 5.54 2.80
KLA CORP Technology Fixed Income 8,888.81 0.01 8,888.81 nan 4.36 4.65 5.54
SYNCHRONY FINANCIAL Banking Fixed Income 8,848.53 0.01 8,848.53 nan 5.04 2.88 5.15
EXTRA SPACE STORAGE LP Reits Fixed Income 8,821.68 0.01 8,821.68 nan 4.82 4.95 5.83
TARGA RESOURCES CORP Energy Fixed Income 8,821.68 0.01 8,821.68 BMZM349 5.98 4.95 13.47
HUMANA INC Insurance Fixed Income 8,801.54 0.01 8,801.54 nan 5.21 5.95 6.31
BAT INTERNATIONAL FINANCE PLC Consumer Non-Cyclical Fixed Income 8,781.40 0.01 8,781.40 nan 4.24 5.93 2.68
MASSACHUSETTS INSTITUTE OF TECHNOL Industrial Other Fixed Income 8,754.54 0.01 8,754.54 B4LWP63 5.56 5.60 17.75
CONSTELLATION BRANDS INC Consumer Non-Cyclical Fixed Income 8,741.11 0.01 8,741.11 nan 4.77 4.90 5.99
NORTHERN TRUST CORPORATION Banking Fixed Income 8,700.83 0.01 8,700.83 nan 4.60 6.13 5.50
KLA CORP Technology Fixed Income 8,694.12 0.01 8,694.12 BJDRF49 4.03 4.10 2.87
MIDAMERICAN ENERGY COMPANY Electric Fixed Income 8,680.69 0.01 8,680.69 BJ1STS6 5.54 4.25 13.78
METLIFE INC Insurance Fixed Income 8,653.84 0.01 8,653.84 nan 4.76 5.30 7.03
EQUINOR ASA Owned No Guarantee Fixed Income 8,626.98 0.01 8,626.98 nan 4.13 3.13 3.84
DUKE ENERGY CORP Electric Fixed Income 8,613.56 0.01 8,613.56 BNTVSP5 5.79 6.10 13.29
GEORGIA POWER COMPANY Electric Fixed Income 8,606.84 0.01 8,606.84 BLR77M1 5.53 3.25 14.90
AMERICAN TOWER CORPORATION Communications Fixed Income 8,600.13 0.01 8,600.13 nan 4.71 4.70 5.79
Kaiser Permanente Consumer Non-Cyclical Fixed Income 8,586.70 0.01 8,586.70 BMF0DM1 5.50 3.00 15.41
DUKE ENERGY CORP Electric Fixed Income 8,559.85 0.01 8,559.85 BNR5LJ4 5.75 3.50 14.70
NUTRIEN LTD Basic Industry Fixed Income 8,512.85 0.01 8,512.85 BHPRDR2 5.71 5.00 12.90
BAXTER INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 8,492.71 0.01 8,492.71 nan 5.88 3.13 15.05
LABORATORY CORPORATION OF AMERICA Consumer Non-Cyclical Fixed Income 8,492.71 0.01 8,492.71 BVJDNV8 5.56 4.70 11.76
ELEVANCE HEALTH INC Insurance Fixed Income 8,486.00 0.01 8,486.00 BKY6KG9 5.68 3.13 14.78
KEURIG DR PEPPER INC Consumer Non-Cyclical Fixed Income 8,472.57 0.01 8,472.57 BL0MLQ5 5.84 3.80 13.97
HP INC Technology Fixed Income 8,418.86 0.01 8,418.86 nan 4.41 4.00 2.95
SAN DIEGO GAS & ELECTRIC CO Electric Fixed Income 8,405.43 0.01 8,405.43 nan 4.25 1.70 4.39
PEPSICO INC Consumer Non-Cyclical Fixed Income 8,398.72 0.01 8,398.72 nan 4.18 1.95 5.29
SANTANDER HOLDINGS USA INC Banking Fixed Income 8,398.72 0.01 8,398.72 BN4L8N8 5.43 6.34 6.45
VALERO ENERGY CORPORATION Energy Fixed Income 8,385.29 0.01 8,385.29 BLGTT55 5.93 3.65 14.48
CANADIAN NATURAL RESOURCES LTD MTN Energy Fixed Income 8,371.87 0.01 8,371.87 BF47XX5 5.85 4.95 12.44
CORNING INC Technology Fixed Income 8,324.87 0.01 8,324.87 nan 5.88 5.45 16.19
OTIS WORLDWIDE CORP Capital Goods Fixed Income 8,244.31 0.01 8,244.31 nan 5.54 3.36 14.41
WELLS FARGO BANK NA Banking Fixed Income 8,244.31 0.01 8,244.31 B1PB082 5.19 5.85 7.93
APPLE INC Technology Fixed Income 8,217.45 0.01 8,217.45 nan 3.97 1.25 4.33
CHEVRON USA INC Energy Fixed Income 8,190.60 0.01 8,190.60 nan 5.35 2.34 15.97
THERMO FISHER SCIENTIFIC INC Consumer Non-Cyclical Fixed Income 8,177.17 0.01 8,177.17 BF2K6Q0 5.38 4.10 13.13
UNION PACIFIC CORPORATION Transportation Fixed Income 8,177.17 0.01 8,177.17 BMBMCQ8 5.57 2.97 17.35
SMURFIT KAPPA TREASURY UNLIMITED C Basic Industry Fixed Income 8,163.74 0.01 8,163.74 nan 5.64 5.78 13.73
EBAY INC Consumer Cyclical Fixed Income 8,089.89 0.01 8,089.89 BLGBMR4 4.35 2.70 3.80
VULCAN MATERIALS COMPANY Capital Goods Fixed Income 8,089.89 0.01 8,089.89 nan 5.63 5.70 14.03
NORTHERN STATES POWER COMPANY (MIN Electric Fixed Income 8,083.18 0.01 8,083.18 BQPF863 5.54 5.10 14.08
FIFTH THIRD BANCORP Banking Fixed Income 8,063.04 0.01 8,063.04 nan 4.79 4.82 4.57
ORACLE CORPORATION Technology Fixed Income 8,056.33 0.01 8,056.33 BNXJBK1 6.80 4.50 11.35
CHUBB INA HOLDINGS LLC Insurance Fixed Income 8,042.90 0.01 8,042.90 nan 5.45 3.05 17.57
PUBLIC SERVICE ENTERPRISE GROUP IN Electric Fixed Income 8,002.62 0.01 8,002.62 nan 4.32 5.20 2.87
DEVON ENERGY CORPORATION Energy Fixed Income 7,975.76 0.01 7,975.76 BYNCYY2 6.03 5.00 11.72
JOHNSON & JOHNSON Consumer Non-Cyclical Fixed Income 7,942.20 0.01 7,942.20 nan 5.18 2.25 16.32
MOTOROLA SOLUTIONS INC Technology Fixed Income 7,935.48 0.01 7,935.48 BKPG927 4.56 2.75 4.84
DELTA AIR LINES INC Transportation Fixed Income 7,928.77 0.01 7,928.77 nan 4.68 5.25 3.94
ANHEUSER-BUSCH INBEV WORLDWIDE INC Consumer Non-Cyclical Fixed Income 7,895.20 0.01 7,895.20 BJ52100 4.07 4.75 2.77
LYB INTERNATIONAL FINANCE III LLC Basic Industry Fixed Income 7,875.06 0.01 7,875.06 BMG2XG0 6.45 4.20 13.17
EQUINIX EUROPE 2 FINANCING CORPORA Technology Fixed Income 7,861.63 0.01 7,861.63 nan 4.99 5.50 6.65
ATHENE HOLDING LTD Insurance Fixed Income 7,848.20 0.01 7,848.20 nan 6.31 6.63 13.01
STANLEY BLACK & DECKER INC Capital Goods Fixed Income 7,828.06 0.01 7,828.06 nan 5.77 2.75 15.30
ASTRAZENECA FINANCE LLC Consumer Non-Cyclical Fixed Income 7,801.21 0.01 7,801.21 nan 4.02 4.85 2.79
BANK OF NOVA SCOTIA Banking Fixed Income 7,801.21 0.01 7,801.21 nan 4.76 5.65 6.29
WASTE CONNECTIONS INC Capital Goods Fixed Income 7,767.64 0.01 7,767.64 nan 5.44 2.95 15.78
EQUINOR ASA Owned No Guarantee Fixed Income 7,760.93 0.01 7,760.93 nan 4.82 4.75 7.68
ROYAL BANK OF CANADA (FX-FRN) MTN Banking Fixed Income 7,747.50 0.01 7,747.50 nan 4.40 4.65 3.35
MYLAN INC Consumer Non-Cyclical Fixed Income 7,727.36 0.01 7,727.36 BHQXR55 6.74 5.20 11.87
DUKE ENERGY CORP Electric Fixed Income 7,700.51 0.01 7,700.51 nan 5.49 3.30 11.29
JPMORGAN CHASE & CO Banking Fixed Income 7,700.51 0.01 7,700.51 BQWR420 4.37 5.01 2.76
VIRGINIA ELECTRIC AND POWER COMPAN Electric Fixed Income 7,693.79 0.01 7,693.79 nan 5.56 2.45 15.97
ALEXANDRIA REAL ESTATE EQUITIES IN Reits Fixed Income 7,680.36 0.01 7,680.36 BM8SR08 5.84 3.00 15.08
AMERICAN WATER CAPITAL CORP Utility Other Fixed Income 7,666.94 0.01 7,666.94 nan 4.86 5.25 7.06
DUPONT DE NEMOURS INC Basic Industry Fixed Income 7,653.51 0.01 7,653.51 BGWKX55 5.76 5.42 12.63
M&T BANK CORPORATION Banking Fixed Income 7,613.23 0.01 7,613.23 nan 5.02 5.05 5.70
SANOFI SA MTN Consumer Non-Cyclical Fixed Income 7,613.23 0.01 7,613.23 nan 4.33 4.20 5.78
MORGAN STANLEY Banking Fixed Income 7,579.66 0.01 7,579.66 nan 4.45 5.17 2.73
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 7,478.96 0.01 7,478.96 nan 4.16 4.99 2.89
QUALCOMM INCORPORATED Technology Fixed Income 7,465.53 0.01 7,465.53 BMZ7WJ2 4.19 2.15 4.04
APOLLO DEBT SOLUTIONS BDC 144A Finance Companies Fixed Income 7,458.82 0.01 7,458.82 nan 5.83 5.70 4.29
UNITEDHEALTH GROUP INC Insurance Fixed Income 7,452.10 0.01 7,452.10 BJMSRX6 5.60 3.70 13.91
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 7,405.11 0.01 7,405.11 nan 4.16 4.53 3.92
ALPHABET INC Technology Fixed Income 7,391.68 0.01 7,391.68 BMD7ZG2 5.06 1.90 11.84
SIMON PROPERTY GROUP LP Reits Fixed Income 7,358.11 0.01 7,358.11 nan 4.38 4.30 4.42
AMERICAN TOWER CORPORATION Communications Fixed Income 7,257.41 0.01 7,257.41 BMBKJ72 5.64 3.10 14.92
UNITEDHEALTH GROUP INC Insurance Fixed Income 7,243.98 0.01 7,243.98 BM95BH3 5.68 3.13 16.83
EOG RESOURCES INC Energy Fixed Income 7,223.84 0.01 7,223.84 nan 5.69 5.95 14.06
WESTPAC BANKING CORP Banking Fixed Income 7,176.84 0.01 7,176.84 BLD9486 5.42 3.13 11.60
ASCENSION HEALTH ALLIANCE Consumer Non-Cyclical Fixed Income 7,116.42 0.01 7,116.42 BYYXY44 5.42 3.94 13.12
REGENERON PHARMACEUTICALS INC. Consumer Non-Cyclical Fixed Income 7,102.99 0.01 7,102.99 nan 5.66 2.80 15.16
TOTALENERGIES CAPITAL INTERNATIONA Energy Fixed Income 7,089.57 0.01 7,089.57 BMG70V9 5.62 3.39 16.72
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 7,056.00 0.01 7,056.00 nan 4.13 4.90 3.58
AERCAP IRELAND CAPITAL DAC Finance Companies Fixed Income 7,015.72 0.01 7,015.72 nan 4.91 4.75 5.86
HALEON US CAPITAL LLC Consumer Non-Cyclical Fixed Income 7,015.72 0.01 7,015.72 BP0SVV6 5.48 4.00 14.52
GLOBAL PAYMENTS INC Technology Fixed Income 7,015.72 0.01 7,015.72 BJXV303 6.15 4.15 13.12
TORONTO-DOMINION BANK/THE MTN Banking Fixed Income 7,009.00 0.01 7,009.00 nan 4.37 4.41 4.41
BROADCOM INC Technology Fixed Income 6,988.86 0.01 6,988.86 nan 5.58 5.70 14.39
SWP: IFS 2.318001 21-AUG-2034 USC Cash and/or Derivatives Swaps 6,953.93 0.01 -438,046.07 nan nan 2.32 -0.13
SHELL FINANCE US INC 144A Energy Fixed Income 6,948.58 0.01 6,948.58 nan 5.47 3.00 15.57
SWP: IFS 2.326000 19-DEC-2042 Cash and/or Derivatives Swaps 6,918.08 0.01 -193,081.92 nan nan 2.33 -0.59
CANADIAN IMPERIAL BANK OF COMMERCE Banking Fixed Income 6,868.02 0.01 6,868.02 nan 4.74 6.09 6.07
STARBUCKS CORPORATION Consumer Cyclical Fixed Income 6,847.88 0.01 6,847.88 BMBL2X2 5.69 3.50 14.53
AIR PRODUCTS AND CHEMICALS INC Basic Industry Fixed Income 6,787.46 0.01 6,787.46 nan 4.01 4.60 2.75
NISOURCE INC Natural Gas Fixed Income 6,780.74 0.01 6,780.74 B976296 5.63 4.80 11.35
SIMON PROPERTY GROUP LP Reits Fixed Income 6,700.18 0.01 6,700.18 nan 5.58 3.80 14.39
COOPERATIEVE RABOBANK UA (NEW YORK MTN Banking Fixed Income 6,639.76 0.01 6,639.76 nan 4.01 4.49 3.37
CUMMINS INC Consumer Cyclical Fixed Income 6,633.04 0.01 6,633.04 BSBGTN8 5.47 5.45 13.95
ANTERO RESOURCES CORP Energy Fixed Income 6,626.33 0.01 6,626.33 nan 5.45 5.40 7.65
ATMOS ENERGY CORPORATION Natural Gas Fixed Income 6,619.62 0.01 6,619.62 BRJ8Y23 5.42 4.13 12.18
HSBC HOLDINGS PLC Banking Fixed Income 6,612.90 0.01 6,612.90 B13VN63 5.08 6.50 7.51
CVS HEALTH CORP Consumer Non-Cyclical Fixed Income 6,606.19 0.01 6,606.19 nan 4.24 5.00 2.71
BROADCOM INC Technology Fixed Income 6,518.91 0.01 6,518.91 nan 4.93 4.95 7.78
FIDELITY NATIONAL INFORMATION SERV Technology Fixed Income 6,512.20 0.01 6,512.20 BKQN7C3 5.67 3.10 11.08
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 6,485.34 0.01 6,485.34 nan 4.60 4.70 4.38
OMNICOM GROUP INC Communications Fixed Income 6,445.06 0.01 6,445.06 nan 4.50 2.60 4.97
BURLINGTON NORTHERN SANTA FE LLC Transportation Fixed Income 6,351.07 0.01 6,351.07 BFMN5B7 5.47 4.05 13.59
LEIDOS INC Technology Fixed Income 6,230.23 0.01 6,230.23 nan 4.78 5.75 5.74
COMMONSPIRIT HEALTH Consumer Non-Cyclical Fixed Income 6,216.80 0.01 6,216.80 BKLCY46 4.40 3.35 3.38
DEUTSCHE BANK AG (NEW YORK BRANCH) Banking Fixed Income 6,210.09 0.01 6,210.09 nan 4.40 4.47 4.31
XILINX INC Technology Fixed Income 6,183.23 0.01 6,183.23 nan 4.19 2.38 4.05
Kaiser Permanente Consumer Non-Cyclical Fixed Income 6,156.38 0.01 6,156.38 BMF8YY4 5.26 2.81 11.65
STEEL DYNAMICS INC Basic Industry Fixed Income 6,116.09 0.01 6,116.09 nan 5.02 5.25 7.24
BROOKFIELD ASSET MANAGEMENT LTD Brokerage/Asset Managers/Exchanges Fixed Income 6,082.53 0.01 6,082.53 BTWSHT2 5.82 6.08 13.62
MASSACHUSETTS INSTITUTE OF TECHNOL Industrial Other Fixed Income 6,042.25 0.01 6,042.25 nan 5.35 5.62 14.47
SWP: IFS 2.279200 16-APR-2055 USC Cash and/or Derivatives Swaps 5,958.20 0.01 -194,041.80 nan nan 2.28 -0.88
BANK OF MONTREAL MTN Banking Fixed Income 5,874.40 0.01 5,874.40 nan 4.49 5.51 4.59
PLAINS ALL AMERICAN PIPELINE LP Energy Fixed Income 5,834.12 0.01 5,834.12 nan 5.40 5.60 7.58
PARAMOUNT GLOBAL Communications Fixed Income 5,820.70 0.01 5,820.70 BL66P92 6.06 4.95 4.31
STATE STREET CORP Banking Fixed Income 5,766.99 0.01 5,766.99 nan 4.41 2.20 4.69
SHELL FINANCE US INC 144A Energy Fixed Income 5,733.42 0.01 5,733.42 nan 5.55 3.13 14.72
SWP: IFS 2.348746 27-SEP-2049 USC Cash and/or Derivatives Swaps 5,670.78 0.01 -294,329.22 nan nan 2.35 -0.45
FAIRFAX FINANCIAL HOLDINGS LTD Insurance Fixed Income 5,485.02 0.01 5,485.02 2K03C78 4.85 5.63 5.34
SWP: OIS 3.245000 06-DEC-2032 Cash and/or Derivatives Swaps 5,455.31 0.01 -194,544.69 nan -0.13 3.25 6.13
NORTHERN TRUST CORPORATION Banking Fixed Income 5,438.02 0.01 5,438.02 nan 4.17 1.95 4.00
PARAMOUNT GLOBAL Communications Fixed Income 5,350.74 0.01 5,350.74 BMF32K1 7.68 4.95 11.80
KEYCORP MTN Banking Fixed Income 5,156.05 0.01 5,156.05 BNHWYC9 4.25 4.79 5.38
WELLS FARGO & COMPANY MTN Banking Fixed Income 5,156.05 0.01 5,156.05 BQWR475 4.45 5.20 2.75
PARAMOUNT GLOBAL Communications Fixed Income 5,122.48 0.01 5,122.48 4230375 6.01 7.88 3.66
FIFTH THIRD BANCORP Banking Fixed Income 5,015.06 0.01 5,015.06 nan 5.13 5.42 7.75
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Banking Fixed Income 4,974.78 0.01 4,974.78 nan 3.94 4.79 2.73
NXP BV / NXP FUNDING LLC / NXP USA Technology Fixed Income 4,961.35 0.01 4,961.35 BPH0DN1 5.60 3.25 11.20
SWP: IFS 2.252492 18-SEP-2031 USC Cash and/or Derivatives Swaps 4,882.00 0.01 -275,118.00 nan nan 2.25 -0.10
BANCO BILBAO VIZCAYA ARGENTARIA SA Banking Fixed Income 4,874.08 0.01 4,874.08 nan 4.18 5.38 2.81
WORKDAY INC Technology Fixed Income 4,847.22 0.01 4,847.22 nan 4.19 3.70 2.93
KEYCORP MTN Banking Fixed Income 4,786.80 0.01 4,786.80 nan 5.21 5.30 7.70
SWP: IFS 2.504000 06-DEC-2046 Cash and/or Derivatives Swaps 4,704.43 0.01 -95,295.57 nan nan 2.50 -1.01
AUSTRALIA AND NEW ZEALAND BANKING MTN Banking Fixed Income 4,605.53 0.01 4,605.53 nan 4.08 4.62 3.52
ENERGY TRANSFER LP Energy Fixed Income 4,598.82 0.01 4,598.82 nan 6.22 6.30 13.49
ASCENSION HEALTH Consumer Non-Cyclical Fixed Income 4,585.39 0.01 4,585.39 nan 4.32 4.29 4.27
KAISER FOUNDATION HOSPITALS Consumer Non-Cyclical Fixed Income 4,578.68 0.01 4,578.68 BKS7M84 5.49 3.27 14.60
SWP: IFS 2.340343 10-MAR-2055 USC Cash and/or Derivatives Swaps 4,550.10 0.01 -215,449.90 nan nan 2.34 -0.60
FORD MOTOR CREDIT COMPANY LLC Consumer Cyclical Fixed Income 4,518.26 0.01 4,518.26 nan 4.87 2.90 2.82
PROVIDENCE ST. JOSEPH HEALTH Consumer Non-Cyclical Fixed Income 4,404.13 0.01 4,404.13 BN14JM6 5.65 2.70 15.63
AMERICAN EXPRESS COMPANY Banking Fixed Income 4,383.98 0.01 4,383.98 nan 4.01 4.05 3.01
APPLIED MATERIALS INC Technology Fixed Income 4,283.28 0.01 4,283.28 BMDPPX3 5.31 2.75 15.57
CHARTER COMMUNICATIONS OPERATING L Communications Fixed Income 4,276.57 0.01 4,276.57 nan 4.67 2.25 2.82
ASCENSION HEALTH Consumer Non-Cyclical Fixed Income 4,263.14 0.01 4,263.14 nan 4.90 4.92 7.64
EQUINOR ASA Owned No Guarantee Fixed Income 4,216.14 0.01 4,216.14 BGD8XW5 5.34 4.80 11.51
PHILIP MORRIS INTERNATIONAL INC Consumer Non-Cyclical Fixed Income 4,209.43 0.01 4,209.43 nan 4.08 4.88 2.75
SUMITOMO MITSUI FINANCIAL GROUP IN Banking Fixed Income 4,202.72 0.01 4,202.72 BMHLD00 5.45 2.93 11.57
ARCHER DANIELS MIDLAND CO Consumer Non-Cyclical Fixed Income 4,175.86 0.01 4,175.86 nan 5.45 2.70 15.77
TRANSCANADA PIPELINES LTD Energy Fixed Income 4,081.87 0.01 4,081.87 BGNBYW1 5.59 5.10 12.89
EQUINOR ASA Owned No Guarantee Fixed Income 4,048.30 0.01 4,048.30 B522X65 5.15 5.10 9.95
ALTRIA GROUP INC Consumer Non-Cyclical Fixed Income 4,021.45 0.01 4,021.45 BFZ57Y7 4.22 4.80 2.76
SWP: OIS 3.136000 05-MAY-2030 Cash and/or Derivatives Swaps 4,000.13 0.01 -165,999.87 nan -0.27 3.14 4.03
BROOKFIELD ASSET MANAGEMENT LTD Brokerage/Asset Managers/Exchanges Fixed Income 3,920.75 0.01 3,920.75 nan 5.18 5.79 7.05
SWP: IFS 2.498500 06-APR-2028 Cash and/or Derivatives Swaps 3,658.65 0.01 -376,341.35 nan nan 2.50 -0.02
SWP: IFS 2.474938 07-JAN-2040 USC Cash and/or Derivatives Swaps 3,594.51 0.01 -906,405.49 nan nan 2.47 -0.05
COMMONSPIRIT HEALTH Consumer Non-Cyclical Fixed Income 3,591.78 0.01 3,591.78 BKMD3V8 5.80 4.19 13.49
SWP: IFS 2.277524 27-SEP-2027 USC Cash and/or Derivatives Swaps 3,563.05 0.01 -396,436.95 nan nan 2.28 -0.01
SWP: IFS 2.325200 24-SEP-2049 USC Cash and/or Derivatives Swaps 3,531.90 0.01 -152,468.10 nan nan 2.33 -0.54
BRIGHTHOUSE FINANCIAL INC Insurance Fixed Income 3,517.93 0.00 3,517.93 BD6TZ17 7.07 4.70 11.87
EQUINOR ASA Owned No Guarantee Fixed Income 3,383.66 0.00 3,383.66 B96WFB8 5.30 3.95 11.81
EQUINOR ASA Owned No Guarantee Fixed Income 3,242.67 0.00 3,242.67 nan 4.18 2.38 4.02
TOTALENERGIES CAPITAL USA LLC Energy Fixed Income 3,242.67 0.00 3,242.67 nan 4.27 4.25 4.43
EQUINOR ASA Owned No Guarantee Fixed Income 3,188.96 0.00 3,188.96 nan 5.44 3.70 14.31
SWP: IFS 2.438200 04-DEC-2034 USC Cash and/or Derivatives Swaps 3,181.76 0.00 -514,818.24 nan nan 2.44 -0.05
EQUINOR ASA Owned No Guarantee Fixed Income 3,101.69 0.00 3,101.69 BJV9CD5 5.46 3.25 14.69
DELL INTERNATIONAL LLC Technology Fixed Income 3,027.84 0.00 3,027.84 BRBVT70 5.71 3.38 11.42
FOX CORP Communications Fixed Income 3,021.12 0.00 3,021.12 BJLV907 4.24 4.71 2.77
NOMURA HOLDINGS INC Brokerage/Asset Managers/Exchanges Fixed Income 3,000.98 0.00 3,000.98 nan 4.82 6.18 5.68
FORD MOTOR CREDIT COMPANY LLC MTN Consumer Cyclical Fixed Income 2,873.42 0.00 2,873.42 nan 5.91 5.87 7.25
SWP: IFS 2.408700 30-APR-2035 USC Cash and/or Derivatives Swaps 2,858.22 0.00 -597,141.78 nan nan 2.41 -0.04
SWP: IFS 2.347538 27-SEP-2029 USC Cash and/or Derivatives Swaps 2,733.98 0.00 -297,266.02 nan nan 2.35 -0.03
HCA INC Consumer Non-Cyclical Fixed Income 2,712.30 0.00 2,712.30 BFMY0T3 4.44 5.88 2.68
SWP: IFS 2.290010 18-SEP-2034 USC Cash and/or Derivatives Swaps 2,608.54 0.00 -137,391.46 nan nan 2.29 -0.16
SWP: IFS 2.491200 27-MAR-2029 USC Cash and/or Derivatives Swaps 2,491.69 0.00 -612,508.31 nan nan 2.49 -0.01
SWP: IFS 2.292200 30-APR-2050 USC Cash and/or Derivatives Swaps 2,414.13 0.00 -97,585.87 nan nan 2.29 -0.59
T-MOBILE USA INC Communications Fixed Income 2,363.19 0.00 2,363.19 nan 4.21 2.63 2.86
SWP: IFS 2.370000 08-FEB-2053 Cash and/or Derivatives Swaps 2,357.72 0.00 -96,642.28 nan nan 2.37 -0.65
SWP: IFS 2.426700 22-DEC-2045 USC Cash and/or Derivatives Swaps 2,233.41 0.00 -527,766.59 nan nan 2.43 -0.08
SWP: IFS 2.330173 21-AUG-2054 USC Cash and/or Derivatives Swaps 2,151.98 0.00 -89,848.02 nan nan 2.33 -0.67
SWP: IFS 2.319700 16-APR-2045 USC Cash and/or Derivatives Swaps 2,103.79 0.00 -97,896.21 nan nan 2.32 -0.40
GLP CAPITAL LP Consumer Cyclical Fixed Income 2,034.22 0.00 2,034.22 BGLKMW6 4.65 5.30 2.72
BLACKSTONE PRIVATE CREDIT FUND Finance Companies Fixed Income 1,973.80 0.00 1,973.80 nan 5.44 5.95 3.10
SWP: IFS 2.432500 19-DEC-2032 Cash and/or Derivatives Swaps 1,840.76 0.00 -108,159.24 nan nan 2.43 -0.12
CISCO SYSTEMS INC Technology Fixed Income 1,839.53 0.00 1,839.53 nan 4.01 4.85 2.79
SWP: IFS 1.937500 20-AUG-2050 Cash and/or Derivatives Swaps 1,816.57 0.00 -8,183.43 nan nan 1.94 -5.34
ASTRAZENECA PLC Consumer Non-Cyclical Fixed Income 1,779.11 0.00 1,779.11 BGHJW49 3.95 4.00 2.78
SWP: IFS 2.373734 27-SEP-2044 USC Cash and/or Derivatives Swaps 1,695.91 0.00 -98,304.09 nan nan 2.37 -0.32
SWP: IFS 2.316443 21-AUG-2049 USC Cash and/or Derivatives Swaps 1,664.28 0.00 -68,335.72 nan nan 2.32 -0.56
SWP: IFS 2.405200 04-DEC-2045 USC Cash and/or Derivatives Swaps 1,601.17 0.00 -198,398.83 nan nan 2.41 -0.16
SWP: IFS 2.448200 09-JAN-2034 USC Cash and/or Derivatives Swaps 1,541.46 0.00 -248,458.54 nan nan 2.45 -0.05
SWP: IFS 2.372700 22-DEC-2032 USC Cash and/or Derivatives Swaps 1,512.18 0.00 -452,987.82 nan nan 2.37 -0.02
SWP: IFS 2.452200 22-JAN-2036 USC Cash and/or Derivatives Swaps 1,487.91 0.00 -998,512.09 nan nan 2.45 -0.01
UNITEDHEALTH GROUP INC Insurance Fixed Income 1,443.43 0.00 1,443.43 nan 4.04 4.25 2.76
ENERGY TRANSFER LP Energy Fixed Income 1,436.71 0.00 1,436.71 nan 4.59 4.55 4.40
SWP: IFS 2.391200 12-JUN-2055 USC Cash and/or Derivatives Swaps 1,434.35 0.00 -118,565.65 nan nan 2.39 -0.35
SWP: IFS 2.386200 03-JAN-2054 USC Cash and/or Derivatives Swaps 1,344.09 0.00 -88,655.91 nan nan 2.39 -0.41
TOTALENERGIES CAPITAL USA LLC Energy Fixed Income 1,329.29 0.00 1,329.29 nan 4.87 4.86 7.81
TOTALENERGIES CAPITAL USA LLC Energy Fixed Income 1,322.58 0.00 1,322.58 nan 4.56 4.57 5.90
SWP: IFS 2.388582 10-MAR-2045 USC Cash and/or Derivatives Swaps 1,312.94 0.00 -98,687.06 nan nan 2.39 -0.25
SWP: IFS 2.350500 06-APR-2053 Cash and/or Derivatives Swaps 1,292.61 0.00 -48,707.39 nan nan 2.35 -0.71
SWP: IFS 2.474000 07-FEB-2033 Cash and/or Derivatives Swaps 1,172.43 0.00 -96,827.57 nan nan 2.47 -0.08
TAPESTRY INC Consumer Cyclical Fixed Income 1,127.89 0.00 1,127.89 nan 5.17 5.50 7.00
SWP: IFS 2.406200 04-DEC-2055 USC Cash and/or Derivatives Swaps 1,118.27 0.00 -148,881.73 nan nan 2.41 -0.22
SWP: IFS 2.601250 30-SEP-2031 Cash and/or Derivatives Swaps 960.66 0.00 -14,039.34 nan nan 2.60 -0.38
SWP: IFS 2.487200 17-MAY-2029 USC Cash and/or Derivatives Swaps 950.16 0.00 -1,149,049.84 nan nan 2.49 0.00
SWP: IFS 2.450000 08-FEB-2028 Cash and/or Derivatives Swaps 946.16 0.00 -64,053.84 nan nan 2.45 -0.03
SWP: IFS 2.486563 12-MAR-2034 USC Cash and/or Derivatives Swaps 938.05 0.00 -265,061.95 nan nan 2.49 -0.03
SWP: IFS 2.531140 05-APR-2029 USC Cash and/or Derivatives Swaps 931.19 0.00 -599,068.81 nan nan 2.53 0.00
SWP: IFS 2.500200 18-JAN-2034 USC Cash and/or Derivatives Swaps 767.01 0.00 -449,232.99 nan nan 2.50 -0.01
SWP: IFS 2.405200 03-JAN-2034 USC Cash and/or Derivatives Swaps 752.38 0.00 -75,247.62 nan nan 2.41 -0.08
SWP: IFS 2.394700 04-DEC-2050 USC Cash and/or Derivatives Swaps 723.12 0.00 -99,276.88 nan nan 2.39 -0.18
SWP: IFS 2.355332 21-AUG-2039 USC Cash and/or Derivatives Swaps 716.42 0.00 -39,283.58 nan nan 2.36 -0.24
SWP: IFS 2.332735 21-AUG-2044 USC Cash and/or Derivatives Swaps 560.25 0.00 -24,439.75 nan nan 2.33 -0.42
SWP: OIS 4.152700 04-JUN-2050 SOF Cash and/or Derivatives Swaps 544.10 0.00 -69,455.90 nan 0.48 4.15 15.16
SWP: IFS 2.429700 28-OCT-2055 USC Cash and/or Derivatives Swaps 507.09 0.00 -119,492.91 nan nan 2.43 -0.12
SWP: IFS 2.366262 27-SEP-2054 USC Cash and/or Derivatives Swaps 499.22 0.00 -28,200.78 nan nan 2.37 -0.50
TAPESTRY INC Consumer Cyclical Fixed Income 496.81 0.00 496.81 nan 4.46 5.10 3.63
SWP: IFS 2.467200 12-JUN-2032 USC Cash and/or Derivatives Swaps 493.05 0.00 -299,506.95 nan nan 2.47 -0.01
SWP: IFS 2.535710 13-APR-2033 Cash and/or Derivatives Swaps 469.62 0.00 -134,530.38 nan nan 2.54 -0.02
SWP: IFS 2.494700 30-JAN-2034 USC Cash and/or Derivatives Swaps 427.56 0.00 -159,572.44 nan nan 2.49 -0.02
SWP: IFS 2.500000 05-JAN-2033 Cash and/or Derivatives Swaps 394.95 0.00 -44,605.05 nan nan 2.50 -0.06
SWP: IFS 2.396279 27-SEP-2034 USC Cash and/or Derivatives Swaps 332.05 0.00 -35,667.95 nan nan 2.40 -0.08
SWP: IFS 2.514700 26-FEB-2034 USC Cash and/or Derivatives Swaps 323.07 0.00 -239,676.93 nan nan 2.51 -0.01
SWP: IFS 2.457165 12-MAR-2044 USC Cash and/or Derivatives Swaps 294.64 0.00 -39,705.36 nan nan 2.46 -0.13
BLUE OWL CAPITAL CORP Finance Companies Fixed Income 255.12 0.00 255.12 nan 5.64 5.95 2.77
SWP: IFS 2.470855 21-OCT-2035 USC Cash and/or Derivatives Swaps 251.05 0.00 -499,748.95 nan nan 2.47 0.00
SWP: IFS 2.333200 24-SEP-2054 USC Cash and/or Derivatives Swaps 231.95 0.00 -9,768.05 nan nan 2.33 -0.67
TOYOTA MOTOR CREDIT CORP MTN Consumer Cyclical Fixed Income 187.98 0.00 187.98 nan 3.97 4.65 2.72
SWP: IFS 2.496700 15-MAR-2034 USC Cash and/or Derivatives Swaps 186.94 0.00 -75,813.06 nan nan 2.50 -0.02
SWP: OIS 4.199700 06-MAY-2039 SOF Cash and/or Derivatives Swaps 186.86 0.00 10,186.86 nan 0.38 4.20 10.19
SWP: IFS 2.452200 28-JAN-2056 USC Cash and/or Derivatives Swaps 96.21 0.00 -199,903.79 nan nan 2.45 -0.01
KINDER MORGAN INC Energy Fixed Income 60.42 0.00 60.42 nan 4.16 5.00 2.72
SWP: IFS 2.514200 19-MAR-2034 USC Cash and/or Derivatives Swaps 15.42 0.00 -22,984.58 nan nan 2.51 -0.01
SWP: IFS 2.489912 11-JUN-2029 USC Cash and/or Derivatives Swaps -39.21 0.00 -108,039.21 nan nan 2.49 0.00
SWP: IFS 2.470641 21-OCT-2032 USC Cash and/or Derivatives Swaps -114.16 0.00 -850,114.16 nan nan 2.47 0.00
SWP: IFS 2.464200 03-NOV-2032 USC Cash and/or Derivatives Swaps -120.05 0.00 -600,120.05 nan nan 2.46 0.00
SWP: IFS 2.578700 30-OCT-2028 USC Cash and/or Derivatives Swaps -241.52 0.00 -400,241.52 nan nan 2.58 0.00
SWP: IFS 2.481700 28-OCT-2032 USC Cash and/or Derivatives Swaps -383.45 0.00 -350,383.45 nan nan 2.48 0.01
SWP: OIS 3.658200 04-JUN-2030 SOF Cash and/or Derivatives Swaps -483.27 0.00 -300,483.27 nan -0.18 3.66 4.05
SWP: IFS 2.544700 27-MAR-2034 USC Cash and/or Derivatives Swaps -1,372.21 0.00 -551,372.21 nan nan 2.54 0.02
SWP: IFS 2.576815 05-APR-2034 USC Cash and/or Derivatives Swaps -1,620.45 0.00 -274,620.45 nan nan 2.58 0.05
SWP: IFS 2.539968 11-JUN-2034 USC Cash and/or Derivatives Swaps -1,720.90 0.00 -281,720.90 nan nan 2.54 0.05
SWP: IFS 2.577200 22-MAY-2034 USC Cash and/or Derivatives Swaps -1,866.99 0.00 -211,866.99 nan nan 2.58 0.07
SWP: IFS 2.605200 28-OCT-2028 USC Cash and/or Derivatives Swaps -2,055.34 0.00 -502,055.34 nan nan 2.61 0.01
SWP: IFS 2.617279 21-OCT-2028 USC Cash and/or Derivatives Swaps -3,770.71 -0.01 -903,770.71 nan nan 2.62 0.01
SWP: IFS 2.552200 17-MAY-2034 USC Cash and/or Derivatives Swaps -5,049.10 -0.01 -805,049.10 nan nan 2.55 0.05
DERIV USD BALANCE WITH R93546 CME Cash and/or Derivatives Cash Collateral and Margins -60,942.85 -0.09 -60,942.85 nan 3.64 3.64 0.00
DERIV USD BALANCE WITH R93546 LCH Cash and/or Derivatives Cash Collateral and Margins -2,599,902.03 -3.68 -2,599,902.03 nan 3.64 3.64 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