Full & Historical Holdings
Global Total Return Fund
| Based on Market Value | Based on Equivalent Exposure | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| CUSIP/SEDOL | Ticker |
Securities
(on 10-31-25)
|
Shares or Par Amount | Value | Percent of Net Assets | Value | Percent of Net Assets | Market Cap ($mm) |
GICS Sectors
The Global Industry Classification Standard (GICS®) was developed by and/or is the exclusive property of MSCI, Inc. and S&P Global Market Intelligence Inc. ("S&P Global Market Intelligence"). GICS is a service mark of MSCI and S&P Global Market Intelligence and has been licensed for use by MFS. MFS has applied its own internal sector/industry classification methodology for equity securities and non-equity securities that are unclassified by GICS. |
Country | |
| TUZ25F00 | TUZ25F00 | UST Bond 2Yr Future DEC 31 25 | 143 | $0.00 | 0.00% | $29,778,632.88 | 2.40% | - | U.S. Governments | United States | |
| SM11925R | SM11925R | USD ZC CPI OCT 14 25 P 3.170 OCT 14 26 | 26,500,000 | $26,568,619.90 | 0.00% | $26,568,619.90 | 2.14% | - | U.S. Governments | United States | |
| SM11926R | SM11926R | USD ZC CPI OCT 14 25 R .000 OCT 14 28 | 26,500,000 | $26,395,405.03 | 0.00% | $26,395,405.03 | 2.13% | - | U.S. Governments | United States | |
| CS100183 | CS100183 | Itraxx Eur Main S44 Payer 70.00 JAN 21 26 | -67,220,000 | $-78,392.31 | -0.01% | $20,850,367.82 | 1.68% | - | Corporate Debt | Germany | |
| FWD6027426 | JPY/USD | JPY/USD FWD 20260116 CCHA-NYC | 2,954,124,930 | $19,320,808.74 | 1.56% | $19,168,937.32 | 1.55% | - | Unclassified | United States | |
| BM8PJY | NWG LN | NatWest Group PLC | 2,350,090 | $18,029,909.28 | 1.45% | $18,029,909.28 | 1.45% | 61,692.79 | Financials | United Kingdom | |
| FWD6020328 | USD/CAD | USD/CAD FWD 20260116 SSBT-BOS | 16,664,260 | $16,664,260.44 | 1.34% | $16,664,260.44 | 1.34% | - | Unclassified | United States | |
| 80851310 | SCHW US | Charles Schwab Corp | 168,416 | $15,918,680.32 | 1.28% | $15,918,680.32 | 1.28% | 171,574.54 | Financials | United States | |
| FWD6013292 | CNH/USD | CNH/USD FWD 20260116 SSBT-BOS | 112,335,195 | $15,853,358.96 | 1.28% | $15,792,053.68 | 1.27% | - | Unclassified | United States | |
| 47816010 | JNJ US | Johnson & Johnson | 80,755 | $15,252,196.85 | 1.23% | $15,252,196.85 | 1.23% | 455,043.58 | Health Care | United States | |
| 71708110 | PFE US | Pfizer Inc | 602,830 | $14,859,759.50 | 1.20% | $14,859,759.50 | 1.20% | 140,148.81 | Health Care | United States | |
| 711038 | ROG SW | Roche Holding AG | 45,156 | $14,527,354.33 | 1.17% | $14,527,354.33 | 1.17% | 256,187.04 | Health Care | Switzerland | |
| BKTFDX | BKTFDX | China Government Bond 3.13% NOV 21 29 | 87,780,000 | $13,359,513.47 | 1.08% | $13,359,513.47 | 1.08% | - | Emerging Markets | China | |
| G5960L10 | MDT US | Medtronic PLC | 145,845 | $13,228,141.50 | 1.07% | $13,228,141.50 | 1.07% | 116,339.61 | Health Care | United States | |
| BRJL17 | UBSG SW | UBS Group AG | 337,164 | $12,874,867.62 | 1.04% | $12,874,867.62 | 1.04% | 127,600.88 | Financials | Switzerland | |
| 66585910 | NTRS US | Northern Trust Corp | 99,099 | $12,751,068.33 | 1.03% | $12,751,068.33 | 1.03% | 24,333.73 | Financials | United States | |
| BLGZ98 | TSCO LN | Tesco PLC | 2,110,804 | $12,872,928.56 | 1.03% | $12,738,993.01 | 1.03% | 39,089.02 | Consumer Staples | United Kingdom | |
| FWD6022332 | EUR/USD | EUR/USD FWD 20260116 CCHA-NYC | 10,735,156 | $12,428,329.46 | 1.00% | $12,373,877.15 | 1.00% | - | Unclassified | United States | |
| OEZ25F00 | OEZ25F00 | Euro BOBL Future DEC 08 25 | 90 | $0.00 | 0.00% | $12,268,115.01 | 0.99% | - | Non U.S. Markets | Germany | |
| 07588710 | BDX US | Becton Dickinson & Co | 66,923 | $11,959,809.33 | 0.96% | $11,959,809.33 | 0.96% | 51,223.20 | Health Care | United States | |
| BMD3N0 | BMD3N0 | Korea Treasury Bond 1.375% JUN 10 30 | 17,796,200,000 | $11,736,517.73 | 0.95% | $11,736,517.77 | 0.95% | - | Emerging Markets | South Korea | |
| BPLM2X | BPLM2X | China Government Bond 2.88% FEB 25 33 | 75,220,000 | $11,511,203.46 | 0.93% | $11,511,203.45 | 0.93% | - | Emerging Markets | China | |
| FWD6035355 | USD/KRW | USD/KRW NDF 20260116 CBCL-LON | 10,639,137 | $10,639,137.20 | 0.86% | $10,639,137.20 | 0.86% | - | Unclassified | United States | |
| 730968 | BNP FP | BNP Paribas SA | 135,570 | $10,479,114.84 | 0.84% | $10,479,114.84 | 0.84% | 86,323.79 | Financials | France | |
| 06050510 | BAC US | Bank of America Corp | 194,123 | $10,375,874.35 | 0.84% | $10,375,874.35 | 0.84% | 395,901.33 | Financials | United States | |
| 633517 | 8306 JP | Mitsubishi UFJ Financial Group Inc | 666,000 | $10,208,824.22 | 0.81% | $10,069,301.15 | 0.81% | 182,452.58 | Financials | Japan | |
| 028758 | BATS LN | British American Tobacco PLC | 192,314 | $10,018,454.91 | 0.80% | $9,863,178.89 | 0.80% | 112,056.64 | Consumer Staples | United Kingdom | |
| G0403H10 | AON US | Aon PLC | 27,282 | $9,294,431.76 | 0.75% | $9,294,431.76 | 0.75% | 73,459.67 | Financials | United States | |
| 12552310 | CI US | Cigna Group | 37,460 | $9,155,598.60 | 0.74% | $9,155,598.60 | 0.74% | 65,288.22 | Health Care | United States | |
| 714505 | ENI IM | Eni SpA | 488,700 | $8,981,256.08 | 0.72% | $8,981,256.08 | 0.72% | 57,830.78 | Energy | Italy | |
| BDR05C | NG/ LN | National Grid PLC | 594,316 | $8,900,583.39 | 0.72% | $8,900,583.39 | 0.72% | 74,303.56 | Utilities | United Kingdom | |
| 677172 | 005930 KS | Samsung Electronics Co Ltd | 116,702 | $8,834,046.24 | 0.71% | $8,805,379.89 | 0.71% | 504,477.22 | Information Technology | South Korea | |
| BKRQD0 | BKRQD0 | Japan Government Twenty Year Bond 0.3% DEC 20 39 | 1,676,200,000 | $8,466,472.61 | 0.68% | $8,466,472.60 | 0.68% | - | Non U.S. Markets | Japan | |
| 91282CMU | 91282CMU | US Treasury Note 4% MAR 31 30 | 8,120,000 | $8,251,322.60 | 0.67% | $8,251,322.60 | 0.67% | - | U.S. Governments | United States | |
| 59491810 | MSFT US | Microsoft Corp | 15,872 | $8,218,680.32 | 0.66% | $8,218,680.32 | 0.66% | 3,849,399.54 | Information Technology | United States | |
| B15C55 | TTE FP | TotalEnergies SE | 130,235 | $8,098,724.36 | 0.65% | $8,098,724.36 | 0.65% | 137,217.54 | Energy | France | |
| 507670 | HEN3 GY | Henkel AG & Co KGaA IPS | 99,218 | $8,035,188.48 | 0.65% | $8,035,188.48 | 0.65% | 33,524.94 | Consumer Staples | Germany | |
| 00287Y10 | ABBV US | AbbVie Inc | 36,526 | $8,026,257.16 | 0.64% | $7,964,129.04 | 0.64% | 385,180.35 | Health Care | United States | |
| FWD6024386 | USD/GBP | USD/GBP FWD 20260116 CCHA-NYC | 7,721,761 | $7,721,761.29 | 0.62% | $7,721,761.29 | 0.62% | - | Unclassified | United States | |
| 71817210 | PM US | Philip Morris International Inc | 52,887 | $7,633,180.71 | 0.62% | $7,633,180.71 | 0.62% | 224,669.68 | Consumer Staples | United States | |
| BVZM87 | BVZM87 | French Republic Government Bond OAT 3.5% NOV 25 35 | 6,260,000 | $7,499,079.60 | 0.60% | $7,499,079.61 | 0.60% | - | Non U.S. Markets | France | |
| BP0Y0C | BP0Y0C | Spain Government Bond 3.9% JUL 30 39 | 5,982,000 | $7,275,377.44 | 0.59% | $7,275,377.44 | 0.59% | - | Non U.S. Markets | Spain | |
| 659704 | 6503 JP | Mitsubishi Electric Corp | 255,100 | $7,184,157.10 | 0.58% | $7,145,978.20 | 0.58% | 59,195.98 | Industrials | Japan | |
| 483410 | SU FP | Schneider Electric SE | 24,915 | $7,067,567.42 | 0.57% | $7,067,567.42 | 0.57% | 163,710.70 | Industrials | France | |
| SM11716R | SM11716R | CNY NDIRS DEC 13 24 R 1.490 DEC 13 29 | 50,200,000 | $7,058,834.45 | 0.00% | $7,058,834.46 | 0.57% | - | Emerging Markets | China | |
| 49177J10 | KVUE US | Kenvue Inc | 490,487 | $7,048,298.19 | 0.57% | $7,048,298.19 | 0.57% | 27,577.04 | Consumer Staples | United States | |
| BKT1DG | BKT1DG | Italy Buoni Poliennali Del Tesoro REGS 1.45% MAR 01 36 | 7,104,000 | $6,838,345.58 | 0.55% | $6,838,345.58 | 0.55% | - | Non U.S. Markets | Italy | |
| H1467J10 | CB US | Chubb Ltd | 24,664 | $6,830,448.16 | 0.55% | $6,830,448.16 | 0.55% | 109,204.09 | Financials | United States | |
| 567173 | SAN FP | Sanofi SA | 67,462 | $6,811,782.51 | 0.55% | $6,811,782.51 | 0.55% | 123,940.17 | Health Care | France | |
| BT8V36 | BT8V36 | European Union RegS 2.75% DEC 13 32 | 5,860,000 | $6,807,486.74 | 0.55% | $6,807,486.73 | 0.55% | - | Non U.S. Markets | Supranational | |
| BPSNBF | BPSNBF | United Kingdom Gilt RegS 4% OCT 22 31 | 5,184,000 | $6,804,276.16 | 0.55% | $6,804,276.17 | 0.55% | - | Non U.S. Markets | United Kingdom | |
| 19416210 | CL US | Colgate-Palmolive Co | 88,034 | $6,829,031.38 | 0.55% | $6,783,019.70 | 0.55% | 62,273.43 | Consumer Staples | United States | |
| 20030N10 | CMCSA US | Comcast Corp | 241,322 | $6,717,197.87 | 0.54% | $6,717,197.87 | 0.54% | 102,932.44 | Communication Services | United States | |
| 68191910 | OMC US | Omnicom Group Inc | 89,225 | $6,693,659.50 | 0.54% | $6,693,659.50 | 0.54% | 14,477.66 | Communication Services | United States | |
| TYZ25F00 | TYZ25F00 | UST Bond 10Yr Future DEC 19 25 | 59 | $0.00 | 0.00% | $6,647,640.63 | 0.54% | - | U.S. Governments | United States | |
| 38141G10 | GS US | Goldman Sachs Group Inc | 8,333 | $6,577,820.21 | 0.53% | $6,577,820.21 | 0.53% | 243,757.46 | Financials | United States | |
| 71854610 | PSX US | Phillips 66 | 47,355 | $6,446,909.70 | 0.52% | $6,446,909.70 | 0.52% | 54,853.68 | Energy | United States | |
| BS3D4D | BS3D4D | Italy Buoni Poliennali Del Tesoro 4.15% OCT 01 39 | 5,302,000 | $6,426,148.03 | 0.52% | $6,426,148.04 | 0.52% | - | Non U.S. Markets | Italy | |
| 912810TS | 912810TS | US Treasury Bond 3.875% MAY 15 43 | 6,867,000 | $6,395,500.21 | 0.52% | $6,395,500.21 | 0.52% | - | U.S. Governments | United States | |
| BN6R2V | BN6R2V | Spain Government Bond 3.45% OCT 31 34 | 5,374,000 | $6,394,644.54 | 0.52% | $6,394,644.54 | 0.52% | - | Non U.S. Markets | Spain | |
| 624899 | 9433 JP | KDDI Corp | 389,200 | $6,309,320.61 | 0.50% | $6,216,441.50 | 0.50% | 66,889.80 | Communication Services | Japan | |
| 20825C10 | COP US | ConocoPhillips | 69,930 | $6,213,979.80 | 0.50% | $6,213,979.80 | 0.50% | 110,981.01 | Energy | United States | |
| 664040 | 6701 JP | NEC Corp | 170,200 | $6,220,839.14 | 0.50% | $6,204,552.59 | 0.50% | 49,733.00 | Information Technology | Japan | |
| 071887 | RIO LN | Rio Tinto PLC | 85,890 | $6,190,056.40 | 0.50% | $6,190,056.40 | 0.50% | 117,129.59 | Materials | United Kingdom | |
| 135087N5 | 135087N5 | Canadian Government Bond 2% JUN 01 32 | 9,070,000 | $6,178,442.59 | 0.50% | $6,178,442.58 | 0.50% | - | Non U.S. Markets | Canada | |
| G9662910 | WTW US | Willis Towers Watson PLC | 19,723 | $6,175,271.30 | 0.50% | $6,175,271.30 | 0.50% | 30,072.32 | Financials | United States | |
| FWD6022338 | CAD/USD | CAD/USD FWD 20260116 CCIT-NYC | 8,624,577 | $6,173,955.08 | 0.50% | $6,149,211.71 | 0.50% | - | Unclassified | United States | |
| 416343 | CAP FP | Capgemini SE | 39,663 | $6,103,293.85 | 0.49% | $6,103,293.85 | 0.49% | 26,366.74 | Information Technology | France | |
| 49436810 | KMB US | Kimberly-Clark Corp | 49,159 | $5,884,823.89 | 0.47% | $5,884,823.89 | 0.47% | 39,731.75 | Consumer Staples | United States | |
| 57459910 | MAS US | Masco Corp | 89,071 | $5,768,237.96 | 0.46% | $5,768,237.96 | 0.46% | 13,450.39 | Industrials | United States | |
| BNVRS7 | BNVRS7 | China Government Bond 1.43% JAN 25 30 | 40,000,000 | $5,665,866.74 | 0.46% | $5,665,866.75 | 0.46% | - | Emerging Markets | China | |
| N6596X10 | NXPI US | NXP Semiconductors NV | 27,043 | $5,655,232.16 | 0.46% | $5,655,232.16 | 0.46% | 52,724.38 | Information Technology | United States | |
| 494290 | EOAN GY | E.ON SE | 297,257 | $5,530,101.16 | 0.45% | $5,530,101.16 | 0.45% | 49,138.49 | Utilities | Germany | |
| G3265R10 | APTV US | Aptiv PLC | 67,982 | $5,513,340.20 | 0.44% | $5,513,340.20 | 0.44% | 17,660.34 | Consumer Discretionary | United States | |
| 30231G10 | XOM US | Exxon Mobil Corp | 48,083 | $5,498,771.88 | 0.44% | $5,498,771.88 | 0.44% | 487,544.93 | Energy | United States | |
| 642910 | 6501 JP | Hitachi Ltd | 157,300 | $5,449,745.70 | 0.44% | $5,428,079.94 | 0.44% | 158,099.68 | Industrials | Japan | |
| 912810TV | 912810TV | US Treasury Bond 4.75% NOV 15 53 | 5,210,000 | $5,383,749.25 | 0.43% | $5,383,749.25 | 0.43% | - | U.S. Governments | United States | |
| SM11689R | SM11689R | CNY NDIRS NOV 18 24 R 1.6445 NOV 18 29 | 38,000,000 | $5,383,963.18 | 0.00% | $5,383,963.17 | 0.43% | - | Emerging Markets | China | |
| G5150210 | JCI US | Johnson Controls International PLC | 45,524 | $5,207,490.36 | 0.42% | $5,207,490.36 | 0.42% | 74,855.15 | Industrials | United States | |
| B3NB1P | SU CN | Suncor Energy Inc | 129,935 | $5,174,054.22 | 0.42% | $5,174,054.22 | 0.42% | 48,496.54 | Energy | Canada | |
| 69331C10 | PCG US | PG&E Corp | 324,004 | $5,171,103.84 | 0.42% | $5,171,103.84 | 0.42% | 35,078.65 | Utilities | United States | |
| 690058 | 8015 JP | Toyota Tsusho Corp | 168,300 | $5,209,553.43 | 0.42% | $5,151,327.62 | 0.42% | 32,510.89 | Industrials | Japan | |
| 91282CNC | 91282CNC | US Treasury Note 4.25% MAY 15 35 | 4,949,000 | $5,112,666.66 | 0.41% | $5,112,666.66 | 0.41% | - | U.S. Governments | United States | |
| BYQP13 | ABN NA | ABN AMRO Bank NV | 171,128 | $5,110,765.36 | 0.41% | $5,110,765.36 | 0.41% | 24,879.13 | Financials | Netherlands | |
| B0LMTQ | 939 HK | China Construction Bank Corp | 5,073,000 | $5,026,941.46 | 0.41% | $5,026,941.46 | 0.41% | 259,225.27 | Financials | China | |
| SM11834R | SM11834R | EUR ZC HICPXT JUN 15 25 R 1.8312 JUN 15 30 | 4,300,000 | $4,975,879.48 | 0.00% | $4,975,879.48 | 0.40% | - | Non U.S. Markets | Supranational | |
| 643856 | 2317 TT | Hon Hai Precision Industry Co Ltd | 593,000 | $4,967,226.18 | 0.40% | $4,967,226.18 | 0.40% | 116,970.41 | Information Technology | Taiwan | |
| 46625H10 | JPM US | JPMorgan Chase & Co | 15,887 | $4,942,763.44 | 0.40% | $4,942,763.44 | 0.40% | 855,503.46 | Financials | United States | |
| 91282CJZ | 91282CJZ | US Treasury Note 4% FEB 15 34 | 4,883,000 | $4,927,641.95 | 0.40% | $4,927,641.95 | 0.40% | - | U.S. Governments | United States | |
| 16676410 | CVX US | Chevron Corp | 31,203 | $4,921,337.16 | 0.40% | $4,921,337.16 | 0.40% | 322,914.97 | Energy | United States | |
| 12572Q10 | CME US | CME Group Inc | 18,310 | $4,861,121.90 | 0.39% | $4,861,121.90 | 0.39% | 95,734.80 | Financials | United States | |
| 45814010 | INTC US | Intel Corp | 121,371 | $4,853,626.29 | 0.39% | $4,853,626.29 | 0.39% | 190,592.34 | Information Technology | United States | |
| BG7ZWY | ABEV3 BZ | Ambev SA | 2,009,100 | $4,746,449.50 | 0.38% | $4,746,449.50 | 0.38% | 37,236.49 | Consumer Staples | Brazil | |
| BJGTKB | BJGTKB | Korea Treasury Bond 1.875% JUN 10 29 | 6,911,970,000 | $4,739,236.82 | 0.38% | $4,739,236.83 | 0.38% | - | Emerging Markets | South Korea | |
| BSJR6Q | BSJR6Q | Peru Government Bond 6.85% AUG 12 35 | 14,287,000 | $4,592,940.08 | 0.37% | $4,590,517.54 | 0.37% | - | Emerging Markets | Peru | |
| B4T3BW | GLEN LN | Glencore PLC | 958,874 | $4,590,877.42 | 0.37% | $4,590,877.42 | 0.37% | 56,516.95 | Materials | United Kingdom | |
| FWD6031411 | THB/USD | THB/USD FWD 20260116 CCHA-NYC | 148,380,305 | $4,617,970.11 | 0.37% | $4,588,845.07 | 0.37% | - | Unclassified | United States | |
| FVZ25F00 | FVZ25F00 | UST Bond 5Yr Future DEC 31 25 | 42 | $0.00 | 0.00% | $4,586,859.40 | 0.37% | - | U.S. Governments | United States | |
| B3MSM2 | AMS SM | Amadeus IT Group SA | 58,497 | $4,471,729.93 | 0.36% | $4,471,729.93 | 0.36% | 34,437.85 | Consumer Discretionary | Spain | |
| B1Y9TB | BN FP | Danone SA | 50,344 | $4,449,664.61 | 0.36% | $4,449,664.61 | 0.36% | 60,225.19 | Consumer Staples | France | |
| 90781810 | UNP US | Union Pacific Corp | 20,118 | $4,433,403.66 | 0.36% | $4,433,403.66 | 0.36% | 130,714.87 | Industrials | United States | |
| BMJ6DW | INF LN | Informa PLC | 348,242 | $4,427,544.82 | 0.36% | $4,427,544.82 | 0.36% | 16,439.50 | Communication Services | United Kingdom | |
| 03852U10 | ARMK US | Aramark | 116,583 | $4,416,164.04 | 0.36% | $4,416,164.04 | 0.36% | 9,956.79 | Consumer Discretionary | United States | |
| 779255 | HEIA NA | Heineken NV | 56,646 | $4,377,243.52 | 0.35% | $4,377,243.52 | 0.35% | 44,509.83 | Consumer Staples | Netherlands | |
| BJQWYH | BJQWYH | United Kingdom Gilt RegS 1.25% OCT 22 41 | 5,433,000 | $4,293,515.78 | 0.35% | $4,293,515.77 | 0.35% | - | Non U.S. Markets | United Kingdom | |
| 023740 | DGE LN | Diageo PLC | 186,674 | $4,410,028.78 | 0.35% | $4,291,588.59 | 0.35% | 51,184.10 | Consumer Staples | United Kingdom | |
| G4705A10 | ICLR US | ICON PLC | 24,954 | $4,287,596.28 | 0.35% | $4,287,596.28 | 0.35% | 13,362.81 | Health Care | United States | |
| 04956010 | ATO US | Atmos Energy Corp | 24,707 | $4,242,686.04 | 0.34% | $4,242,686.04 | 0.34% | 27,565.11 | Utilities | United States | |
| BPBPJ0 | ML FP | Cie Generale des Etablissements Michelin SCA | 131,682 | $4,202,878.39 | 0.34% | $4,202,878.39 | 0.34% | 22,654.23 | Consumer Discretionary | France | |
| B0190C | 669 HK | Techtronic Industries Co Ltd | 355,500 | $4,154,068.89 | 0.33% | $4,154,068.89 | 0.33% | 21,393.69 | Industrials | Hong Kong | |
| 135087S2 | 135087S2 | Canadian Government Bond 3.25% DEC 01 34 | 5,575,000 | $4,081,483.07 | 0.33% | $4,081,483.07 | 0.33% | - | Non U.S. Markets | Canada | |
| B4R2R5 | BAER SW | Julius Baer Group Ltd | 58,808 | $3,960,725.19 | 0.32% | $3,960,725.19 | 0.32% | 13,874.24 | Financials | Switzerland | |
| 706271 | SW FP | Sodexo SA | 71,441 | $3,955,924.35 | 0.32% | $3,955,924.35 | 0.32% | 8,165.06 | Consumer Discretionary | France | |
| BF5J6P | BF5J6P | Australia Government Bond RegS 2.75% MAY 21 41 | 7,480,000 | $3,943,450.30 | 0.32% | $3,943,450.30 | 0.32% | - | Non U.S. Markets | Australia | |
| BN7QFJ | BN7QFJ | French Republic Government Bond OAT 2.7% FEB 25 31 | 3,335,000 | $3,911,652.13 | 0.32% | $3,911,652.12 | 0.32% | - | Non U.S. Markets | France | |
| 69350610 | PPG US | PPG Industries Inc | 39,818 | $3,892,209.50 | 0.31% | $3,892,209.50 | 0.31% | 21,935.10 | Materials | United States | |
| 28551210 | EA US | Electronic Arts Inc | 19,040 | $3,809,142.40 | 0.31% | $3,809,142.40 | 0.31% | 50,216.66 | Communication Services | United States | |
| 649926 | 6971 JP | Kyocera Corp | 285,600 | $3,841,838.63 | 0.31% | $3,799,104.54 | 0.31% | 20,092.61 | Information Technology | Japan | |
| 91282CFF | 91282CFF | US Treasury Note 2.75% AUG 15 32 | 4,020,000 | $3,774,280.25 | 0.30% | $3,774,280.25 | 0.30% | - | U.S. Governments | United States | |
| 52186520 | LEA US | Lear Corp | 35,767 | $3,743,016.55 | 0.30% | $3,743,016.55 | 0.30% | 5,568.02 | Consumer Discretionary | United States | |
| 595937 | ERICB SS | Telefonaktiebolaget LM Ericsson | 364,974 | $3,680,377.80 | 0.30% | $3,680,377.80 | 0.30% | 33,619.22 | Information Technology | Sweden | |
| 50243110 | LHX US | L3Harris Technologies Inc | 12,732 | $3,680,821.20 | 0.30% | $3,680,821.20 | 0.30% | 54,076.98 | Industrials | United States | |
| 738048 | SGO FP | Cie de St-Gobain | 37,653 | $3,648,265.40 | 0.29% | $3,648,265.40 | 0.29% | 48,355.52 | Industrials | France | |
| 249251 | MFC CN | Manulife Financial Corp | 110,251 | $3,567,996.07 | 0.29% | $3,567,996.07 | 0.29% | 55,113.31 | Financials | Canada | |
| 637248 | 2454 TT | MediaTek Inc | 83,000 | $3,536,970.17 | 0.29% | $3,536,970.17 | 0.29% | 68,349.97 | Information Technology | Taiwan | |
| 50188920 | LKQ US | LKQ Corp | 110,049 | $3,517,166.04 | 0.28% | $3,517,166.04 | 0.28% | 8,191.35 | Consumer Discretionary | United States | |
| B11ZRK | LR FP | Legrand SA | 19,692 | $3,393,348.58 | 0.27% | $3,393,348.58 | 0.27% | 45,190.49 | Industrials | France | |
| 622657 | 857 HK | PetroChina Co Ltd | 3,248,000 | $3,352,267.21 | 0.27% | $3,352,267.21 | 0.27% | 188,896.31 | Energy | China | |
| 00846U10 | A US | Agilent Technologies Inc | 22,678 | $3,319,152.08 | 0.27% | $3,319,152.08 | 0.27% | 41,506.82 | Health Care | United States | |
| 44485910 | HUM US | Humana Inc | 11,411 | $3,174,426.09 | 0.26% | $3,174,426.09 | 0.26% | 33,458.42 | Health Care | United States | |
| 595607 | KPN NA | Koninklijke KPN NV | 682,022 | $3,158,681.01 | 0.25% | $3,158,681.02 | 0.25% | 18,010.99 | Communication Services | Netherlands | |
| BTMMRP | BTMMRP | Japan Government Five Year Bond 1.3% SEP 20 30 | 483,000,000 | $3,150,566.25 | 0.25% | $3,150,566.25 | 0.25% | - | Non U.S. Markets | Japan | |
| 65339F11 | 65339F11 | NextEra Energy Inc | 64,080 | $3,192,097.14 | 0.25% | $3,134,152.80 | 0.25% | 1,467.30 | Utilities | United States | |
| 28102010 | EIX US | Edison International | 56,462 | $3,126,865.56 | 0.25% | $3,126,865.56 | 0.25% | 21,309.51 | Utilities | United States | |
| 69347510 | PNC US | PNC Financial Services Group Inc | 17,134 | $3,147,547.00 | 0.25% | $3,127,811.70 | 0.25% | 71,629.33 | Financials | United States | |
| 438042 | PUB FP | Publicis Groupe SA | 31,172 | $3,118,759.22 | 0.25% | $3,118,759.22 | 0.25% | 25,443.91 | Communication Services | France | |
| 43851610 | HON US | Honeywell International Inc | 15,387 | $3,097,864.71 | 0.25% | $3,097,864.71 | 0.25% | 127,821.84 | Industrials | United States | |
| 36955010 | GD US | General Dynamics Corp | 8,948 | $3,099,686.20 | 0.25% | $3,086,165.20 | 0.25% | 93,164.54 | Industrials | United States | |
| DUZ25F00 | DUZ25F00 | Euro Schatz 2Yr Future DEC 08 25 | 25 | $0.00 | 0.00% | $3,085,644.05 | 0.25% | - | Non U.S. Markets | Germany | |
| BCRWZ1 | CFR SW | Cie Financiere Richemont SA | 15,550 | $3,066,523.76 | 0.25% | $3,066,523.77 | 0.25% | 115,944.24 | Consumer Discretionary | Switzerland | |
| BMHVLR | TEN IM | Tenaris SA | 153,845 | $3,065,139.36 | 0.25% | $3,065,139.36 | 0.25% | 21,357.95 | Energy | Italy | |
| BQC4YP | BQC4YP | French Republic Government Bond OAT 3.25% MAY 25 55 | 3,140,000 | $3,052,074.14 | 0.25% | $3,052,074.14 | 0.25% | - | Non U.S. Markets | France | |
| BT3NRZ | BT3NRZ | Hellenic Republic Government Bond 3.625% JUN 15 35 | 2,490,000 | $2,992,895.07 | 0.24% | $2,992,895.07 | 0.24% | - | Emerging Markets | Greece | |
| BJ2KSG | AKZA NA | Akzo Nobel NV | 44,984 | $2,997,846.57 | 0.24% | $2,978,310.39 | 0.24% | 11,328.86 | Materials | Netherlands | |
| 52532710 | LDOS US | Leidos Holdings Inc | 15,396 | $2,932,476.12 | 0.24% | $2,932,476.12 | 0.24% | 24,436.79 | Industrials | United States | |
| 26441C20 | DUK US | Duke Energy Corp | 23,238 | $2,888,483.40 | 0.23% | $2,888,483.40 | 0.23% | 96,705.40 | Utilities | United States | |
| 37033410 | GIS US | General Mills Inc | 61,535 | $2,905,874.24 | 0.23% | $2,868,146.35 | 0.23% | 24,922.37 | Consumer Staples | United States | |
| FWD6035353 | USD/KRW | USD/KRW NDF 20260116 CMSD-NYC | 2,858,663 | $2,858,662.56 | 0.23% | $2,858,662.56 | 0.23% | - | Unclassified | United States | |
| G2918310 | ETN US | Eaton Corp PLC | 7,483 | $2,855,213.48 | 0.23% | $2,855,213.48 | 0.23% | 148,541.31 | Industrials | United States | |
| B24CGK | RKT LN | Reckitt Benckiser Group PLC | 36,880 | $2,817,808.73 | 0.23% | $2,817,808.73 | 0.23% | 51,550.50 | Consumer Staples | United Kingdom | |
| 75875010 | RRX US | Regal Rexnord Corp | 19,922 | $2,806,810.58 | 0.23% | $2,806,810.58 | 0.23% | 9,355.10 | Industrials | United States | |
| B57FG0 | CVE CN | Cenovus Energy Inc | 163,817 | $2,768,145.81 | 0.22% | $2,768,145.81 | 0.22% | 30,411.82 | Energy | Canada | |
| 94974610 | WFC US | Wells Fargo & Co | 31,322 | $2,724,074.34 | 0.22% | $2,724,074.34 | 0.22% | 278,603.28 | Financials | United States | |
| BRF4GQ | BRF4GQ | Japan Government Ten Year Bond 1.4% MAR 20 35 | 420,000,000 | $2,678,752.86 | 0.22% | $2,678,752.86 | 0.22% | - | Non U.S. Markets | Japan | |
| BM93SF | 9999 HK | NetEase Inc | 94,700 | $2,644,587.58 | 0.21% | $2,644,587.58 | 0.21% | 88,468.27 | Communication Services | China | |
| B068LQ | B068LQ | Japan Government Thirty Year Bond 2.4% DEC 20 34 | 375,000,000 | $2,620,685.43 | 0.21% | $2,620,685.44 | 0.21% | - | Non U.S. Markets | Japan | |
| 43707610 | HD US | Home Depot Inc | 6,844 | $2,597,913.96 | 0.21% | $2,597,913.96 | 0.21% | 377,838.82 | Consumer Discretionary | United States | |
| BS81ZK | BS81ZK | European Union RegS 3.125% DEC 05 28 | 2,130,000 | $2,588,665.18 | 0.21% | $2,588,665.18 | 0.21% | - | Non U.S. Markets | Supranational | |
| 59156R10 | MET US | MetLife Inc | 31,731 | $2,532,768.42 | 0.20% | $2,532,768.42 | 0.20% | 53,226.21 | Financials | United States | |
| FWD6031431 | USD/THB | USD/THB FWD 20260116 CBCL-LON | 2,530,823 | $2,530,823.43 | 0.20% | $2,530,823.43 | 0.20% | - | Unclassified | United States | |
| 21871X10 | CRBG US | Corebridge Financial Inc | 77,605 | $2,526,818.80 | 0.20% | $2,526,818.80 | 0.20% | 17,686.17 | Financials | United States | |
| BSB7RZ | BSB7RZ | Spain Government Bond 3.15% APR 30 35 | 2,132,000 | $2,508,143.93 | 0.20% | $2,508,143.93 | 0.20% | - | Non U.S. Markets | Spain | |
| 3132DWDS | 3132DWDS | Freddie Mac Pool 3% MAY 01 52 | 2,769,294 | $2,470,278.26 | 0.20% | $2,470,278.27 | 0.20% | - | Mortgage-Backed Securities | United States | |
| 617520 | DBS SP | DBS Group Holdings Ltd | 59,490 | $2,464,886.06 | 0.20% | $2,464,886.06 | 0.20% | 117,589.50 | Financials | Singapore | |
| FWD6025423 | CZK/USD | CZK/USD FWD 20260116 SSBT-BOS | 51,532,104 | $2,445,615.02 | 0.20% | $2,441,065.08 | 0.20% | - | Unclassified | United States | |
| 87603010 | TPR US | Tapestry Inc | 22,160 | $2,433,611.20 | 0.20% | $2,433,611.20 | 0.20% | 22,853.54 | Consumer Discretionary | United States | |
| BT7KTT | BT7KTT | International Bank for Reconstruction & Development 4.125% OCT 22 30 | 1,825,000 | $2,418,457.00 | 0.20% | $2,418,457.00 | 0.20% | - | Non U.S. Markets | Supranational | |
| B6RNH5 | B6RNH5 | United Kingdom Gilt RegS 3.75% JUL 22 52 | 2,269,000 | $2,405,702.52 | 0.19% | $2,405,702.52 | 0.19% | - | Non U.S. Markets | United Kingdom | |
| FWD6037318 | NOK/USD | NOK/USD FWD 20260116 CMLI-LON | 24,314,569 | $2,399,945.01 | 0.19% | $2,400,431.36 | 0.19% | - | Unclassified | United States | |
| 67066G10 | NVDA US | NVIDIA Corp | 11,519 | $2,332,482.31 | 0.19% | $2,332,482.31 | 0.19% | 4,930,024.03 | Information Technology | United States | |
| 29452E10 | EQH US | Equitable Holdings Inc | 46,790 | $2,311,426.00 | 0.19% | $2,311,426.00 | 0.19% | 14,907.34 | Financials | United States | |
| 51280730 | LRCX US | Lam Research Corp | 14,663 | $2,308,835.98 | 0.19% | $2,308,835.98 | 0.19% | 198,269.85 | Information Technology | United States | |
| 635652 | 4901 JP | FUJIFILM Holdings Corp | 96,400 | $2,239,387.45 | 0.18% | $2,239,387.45 | 0.18% | 28,895.47 | Information Technology | Japan | |
| B645J8 | B645J8 | Japan Government Thirty Year Bond 2.3% MAR 20 40 | 332,150,000 | $2,198,919.88 | 0.18% | $2,198,919.88 | 0.18% | - | Non U.S. Markets | Japan | |
| 219628 | VALE3 BZ | Vale SA | 180,900 | $2,194,357.57 | 0.18% | $2,194,357.57 | 0.18% | 55,059.18 | Materials | Brazil | |
| 41651510 | HIG US | Hartford Insurance Group Inc | 17,369 | $2,156,882.42 | 0.17% | $2,156,882.42 | 0.17% | 34,724.95 | Financials | United States | |
| 02209S10 | MO US | Altria Group Inc | 37,201 | $2,097,392.38 | 0.17% | $2,097,392.38 | 0.17% | 94,670.59 | Consumer Staples | United States | |
| FWD6020326 | MYR/USD | MYR/USD NDF 20260115 CBCL-LON | 8,757,522 | $2,096,000.14 | 0.17% | $2,091,098.80 | 0.17% | - | Unclassified | United States | |
| BSPQJ8 | BSPQJ8 | China Government Bond 2.27% MAY 25 34 | 13,900,000 | $2,050,070.55 | 0.17% | $2,050,070.55 | 0.17% | - | Emerging Markets | China | |
| FWD6031326 | CHF/USD | CHF/USD FWD 20260116 CMLI-LON | 1,635,741 | $2,051,421.62 | 0.17% | $2,032,608.10 | 0.16% | - | Unclassified | United States | |
| B0FS5D | 3382 JP | Seven & i Holdings Co Ltd | 157,800 | $2,013,073.78 | 0.16% | $2,013,073.78 | 0.16% | 33,226.64 | Consumer Staples | Japan | |
| 233917 | FTT CN | Finning International Inc | 37,018 | $2,001,935.97 | 0.16% | $2,001,935.97 | 0.16% | 7,174.80 | Industrials | Canada | |
| G1151C10 | ACN US | Accenture PLC | 7,926 | $1,995,308.15 | 0.16% | $1,982,292.60 | 0.16% | 155,526.19 | Information Technology | United States | |
| FWD6029300 | SEK/USD | SEK/USD FWD 20260116 SSBT-BOS | 18,812,045 | $1,989,361.68 | 0.16% | $1,980,163.12 | 0.16% | - | Unclassified | United States | |
| 505160 | HTO GA | Hellenic Telecommunications Organization SA | 103,072 | $1,937,724.89 | 0.16% | $1,937,724.89 | 0.16% | 7,592.33 | Communication Services | Greece | |
| BQXQSG | BQXQSG | Mexican Bonos 7.5% MAY 26 33 | 365,000 | $1,914,855.92 | 0.15% | $1,914,855.93 | 0.15% | - | Emerging Markets | Mexico | |
| FWD6031419 | AUD/USD | AUD/USD FWD 20260116 CUBS-STM | 2,912,142 | $1,906,802.78 | 0.15% | $1,905,414.67 | 0.15% | - | Unclassified | United States | |
| 3132DWK9 | 3132DWK9 | Freddie Mac Pool 5.5% APR 01 54 | 1,875,422 | $1,904,991.26 | 0.15% | $1,904,991.27 | 0.15% | - | Mortgage-Backed Securities | United States | |
| 715638EB | 715638EB | Peruvian Government International Bond 5.375% FEB 08 35 | 1,800,000 | $1,870,024.25 | 0.15% | $1,870,024.25 | 0.15% | - | Emerging Markets | Peru | |
| 94184810 | WAT US | Waters Corp | 5,285 | $1,847,636.00 | 0.15% | $1,847,636.00 | 0.15% | 20,809.64 | Health Care | United States | |
| 29274FAF | 29274FAF | Enel Americas SA 4% OCT 25 26 | 1,835,000 | $1,832,201.01 | 0.15% | $1,832,201.01 | 0.15% | - | Emerging Markets | Chile | |
| 69331C30 | PCG.pra US | PG&E Corp | 43,713 | $1,796,604.30 | 0.14% | $1,796,604.30 | 0.14% | 1,323.42 | Utilities | United States | |
| 33773810 | FI US | Fiserv Inc | 26,846 | $1,790,359.74 | 0.14% | $1,790,359.74 | 0.14% | 36,279.36 | Financials | United States | |
| FWD6043308 | USD/CZK | USD/CZK FWD 20260116 CDEB-LON | 1,777,798 | $1,777,798.27 | 0.14% | $1,777,798.27 | 0.14% | - | Unclassified | United States | |
| 677381 | 005935 KS | Samsung Electronics Co Ltd IPS | 29,987 | $1,776,383.79 | 0.14% | $1,776,383.79 | 0.14% | 396,073.28 | Information Technology | South Korea | |
| 31620M10 | FIS US | Fidelity National Information Services Inc | 28,235 | $1,765,252.20 | 0.14% | $1,765,252.20 | 0.14% | 32,697.96 | Financials | United States | |
| BQYKSC | BQYKSC | Italy Buoni Poliennali Del Tesoro 4.3% OCT 01 54 | 1,499,000 | $1,751,566.24 | 0.14% | $1,751,566.24 | 0.14% | - | Non U.S. Markets | Italy | |
| 71344810 | PEP US | PepsiCo Inc | 11,939 | $1,744,168.51 | 0.14% | $1,744,168.51 | 0.14% | 199,997.21 | Consumer Staples | United States | |
| 09702320 | 09702320 | Boeing Co | 26,865 | $1,738,702.80 | 0.14% | $1,738,702.80 | 0.14% | 7,442.80 | Industrials | United States | |
| G8267P10 | SW US | Smurfit WestRock PLC | 47,010 | $1,735,609.20 | 0.14% | $1,735,609.20 | 0.14% | 19,278.59 | Materials | United States | |
| BLPLD3 | SDZ SW | Sandoz Group AG | 25,952 | $1,725,296.05 | 0.14% | $1,725,296.05 | 0.14% | 29,251.32 | Health Care | Switzerland | |
| BG087C | ETE GA | National Bank of Greece SA | 115,460 | $1,696,167.93 | 0.14% | $1,696,167.93 | 0.14% | 13,437.65 | Financials | Greece | |
| BRBG3Q | BRBG3Q | Hungary Government International Bond RegS 4% JUL 25 29 | 1,400,000 | $1,685,483.88 | 0.14% | $1,685,483.88 | 0.14% | - | Emerging Markets | Hungary | |
| B62G7K | 8630 JP | Sompo Holdings Inc | 55,000 | $1,704,843.94 | 0.14% | $1,680,228.41 | 0.14% | 28,540.32 | Financials | Japan | |
| 664180 | 6988 JP | Nitto Denko Corp | 66,500 | $1,663,039.39 | 0.13% | $1,663,039.39 | 0.13% | 16,972.00 | Materials | Japan | |
| 3140XGX4 | 3140XGX4 | Fannie Mae 2% APR 01 52 | 2,034,914 | $1,661,856.31 | 0.13% | $1,661,856.31 | 0.13% | - | Mortgage-Backed Securities | United States | |
| 917288BM | 917288BM | Uruguay Government International Bond 8.25% MAY 21 31 | 62,491,000 | $1,652,632.09 | 0.13% | $1,652,632.09 | 0.13% | - | Emerging Markets | Uruguay | |
| USZ25F00 | USZ25F00 | UST Bond 30Yr Future DEC 19 25 | 14 | $0.00 | 0.00% | $1,642,375.00 | 0.13% | - | U.S. Governments | United States | |
| BMX86B | HLN LN | Haleon PLC | 346,273 | $1,610,796.79 | 0.13% | $1,610,796.79 | 0.13% | 41,430.86 | Health Care | United Kingdom | |
| BN44R7 | BN44R7 | SPP-Distribucia AS RegS 1% JUN 09 31 | 1,570,000 | $1,579,785.31 | 0.13% | $1,579,785.30 | 0.13% | - | Non U.S. Markets | Slovakia | |
| 73317470 | BPOP US | Popular Inc | 13,970 | $1,557,235.90 | 0.13% | $1,557,235.90 | 0.13% | 7,464.03 | Financials | United States | |
| 43128410 | HIW US | Highwoods Properties Inc REIT | 54,355 | $1,556,183.65 | 0.13% | $1,556,183.65 | 0.13% | 3,146.26 | Real Estate | United States | |
| G0750C10 | AXTA US | Axalta Coating Systems Ltd | 53,987 | $1,537,009.89 | 0.12% | $1,537,009.89 | 0.12% | 6,073.79 | Materials | United States | |
| BLT1SS | BLT1SS | Mexican Bonos 7.75% NOV 23 34 | 293,000 | $1,536,428.68 | 0.12% | $1,536,428.68 | 0.12% | - | Emerging Markets | Mexico | |
| 712387 | NESN SW | Nestle SA | 16,013 | $1,529,766.31 | 0.12% | $1,529,766.31 | 0.12% | 246,142.10 | Consumer Staples | Switzerland | |
| G7997R10 | STX US | Seagate Technology Holdings PLC | 5,979 | $1,529,906.52 | 0.12% | $1,529,906.52 | 0.12% | 54,758.32 | Information Technology | United States | |
| BD5CPP | 000333 C2 | Midea Group Co Ltd | 141,700 | $1,521,899.51 | 0.12% | $1,521,899.51 | 0.12% | 82,336.74 | Consumer Discretionary | China | |
| BKPQWC | BKPQWC | Japan Government Thirty Year Bond 0.4% MAR 20 50 | 407,400,000 | $1,492,373.20 | 0.12% | $1,492,373.19 | 0.12% | - | Non U.S. Markets | Japan | |
| FWD6027388 | PLN/USD | PLN/USD FWD 20260116 CMLI-LON | 5,501,924 | $1,488,648.62 | 0.12% | $1,489,825.14 | 0.12% | - | Unclassified | United States | |
| 3140N55Y | 3140N55Y | Fannie Mae 5.5% NOV 01 52 | 1,445,245 | $1,473,099.77 | 0.12% | $1,473,099.77 | 0.12% | - | Mortgage-Backed Securities | United States | |
| 87612E10 | TGT US | Target Corp | 15,724 | $1,457,929.28 | 0.12% | $1,457,929.28 | 0.12% | 42,131.89 | Consumer Staples | United States | |
| BDCHBW | BDCHBW | United Kingdom Gilt RegS 1.5% JUL 22 47 | 2,076,000 | $1,452,924.26 | 0.12% | $1,452,924.25 | 0.12% | - | Non U.S. Markets | United Kingdom | |
| 05675210 | BIDU US | Baidu Inc ADR | 11,916 | $1,440,286.92 | 0.12% | $1,440,286.92 | 0.12% | 41,754.18 | Communication Services | China | |
| 3132DWC6 | 3132DWC6 | Freddie Mac Pool 2% FEB 01 52 | 1,719,959 | $1,404,183.06 | 0.11% | $1,404,183.06 | 0.11% | - | Mortgage-Backed Securities | United States | |
| FWD6017313 | USD/EUR | USD/EUR FWD 20260116 CMSD-NYC | 1,402,630 | $1,402,629.66 | 0.11% | $1,402,629.66 | 0.11% | - | Unclassified | United States | |
| 57563RSU | 57563RSU | Massachusetts Educational Financing Authority MA Ref-Txbl-Senior-Issue M-Ser A 4.949 JUL 01 38 | 1,405,000 | $1,393,831.61 | 0.11% | $1,393,831.61 | 0.11% | - | Municipal | United States | |
| BMGT16 | WDS AU | Woodside Energy Group Ltd | 85,258 | $1,383,450.87 | 0.11% | $1,383,450.87 | 0.11% | 30,848.47 | Energy | Australia | |
| 085209AJ | 085209AJ | Bermuda Government International Bond 144A 5% JUL 15 32 | 1,331,000 | $1,373,222.27 | 0.11% | $1,373,222.28 | 0.11% | - | Non U.S. Markets | Bermuda | |
| 05682NAQ | 05682NAQ | Bain Capital Credit CLO 2021-7 Ltd 144A 5.357% JAN 22 35 | 1,365,087 | $1,362,033.76 | 0.11% | $1,362,033.76 | 0.11% | - | Collateralized Loan Obligations | United States | |
| 034932AA | 034932AA | Angel Oak Mortgage Trust 2024-12 144A FRB OCT 25 69 | 1,344,724 | $1,360,780.34 | 0.11% | $1,360,780.35 | 0.11% | - | Residential Mortgage Backed Securities | United States | |
| BTL1DB | BTL1DB | Japan Government Twenty Year Bond 1.2% DEC 20 34 | 216,000,000 | $1,361,294.04 | 0.11% | $1,361,294.03 | 0.11% | - | Non U.S. Markets | Japan | |
| 608039 | 914 HK | Anhui Conch Cement Co Ltd | 449,000 | $1,337,081.67 | 0.11% | $1,337,081.67 | 0.11% | 15,714.61 | Materials | China | |
| FWD6024381 | AUD/USD | AUD/USD FWD 20260116 CCHA-NYC | 2,033,848 | $1,331,716.37 | 0.11% | $1,330,746.90 | 0.11% | - | Unclassified | United States | |
| 92974010 | WAB US | Westinghouse Air Brake Technologies Corp | 6,262 | $1,280,203.28 | 0.10% | $1,280,203.28 | 0.10% | 34,950.49 | Industrials | United States | |
| BRJV85 | BRJV85 | Hellenic Republic Government Bond RegS 4.125% JUN 15 54 | 1,094,000 | $1,280,366.66 | 0.10% | $1,280,366.66 | 0.10% | - | Emerging Markets | Greece | |
| 87190CBL | 87190CBL | TCW CLO 2020-1 Ltd 144A 5.484% APR 20 34 | 1,275,000 | $1,268,081.30 | 0.10% | $1,268,081.30 | 0.10% | - | Collateralized Loan Obligations | United States | |
| 3136BNW4 | 3136BNW4 | Fannie Mae REMICS FRB SEP 25 52 | 1,273,177 | $1,254,292.92 | 0.10% | $1,254,292.92 | 0.10% | - | Mortgage-Backed Securities | United States | |
| BMBVXH | BMBVXH | Romanian Government International Bond RegS 6% MAY 25 34 | 1,212,000 | $1,249,645.24 | 0.10% | $1,249,645.24 | 0.10% | - | Emerging Markets | Romania | |
| BT386064 | BT386064 | Japan Government Thirty Year Bond 0.7% DEC 20 51 | 330,200,000 | $1,248,314.70 | 0.10% | $1,248,314.68 | 0.10% | - | Non U.S. Markets | Japan | |
| FWD6017307 | JPY/USD | JPY/USD FWD 20260116 SSBT-BOS | 190,544,507 | $1,246,214.72 | 0.10% | $1,236,418.84 | 0.10% | - | Unclassified | United States | |
| FWD6027419 | CHF/USD | CHF/USD FWD 20260116 CCIT-NYC | 986,663 | $1,237,397.06 | 0.10% | $1,226,048.93 | 0.10% | - | Unclassified | United States | |
| 688879 | KBANK/F TB | Kasikornbank PCL | 212,000 | $1,222,761.71 | 0.10% | $1,222,761.71 | 0.10% | 13,803.71 | Financials | Thailand | |
| 06540MBQ | 06540MBQ | BANK 2022-BNK41 FRB APR 15 65 | 1,304,000 | $1,222,365.49 | 0.10% | $1,222,365.49 | 0.10% | - | Commercial Mortgage-Backed Securities | United States | |
| BYX9GP | 241560 KS | Doosan Bobcat Inc | 28,864 | $1,221,617.27 | 0.10% | $1,221,617.27 | 0.10% | 4,056.94 | Industrials | South Korea | |
| BRXJDF | BRXJDF | Republic of Poland Government International Bond RegS 3.625% JAN 11 34 | 1,000,000 | $1,220,991.19 | 0.10% | $1,220,991.19 | 0.10% | - | Emerging Markets | Poland | |
| 09702310 | BA US | Boeing Co | 6,056 | $1,217,377.12 | 0.10% | $1,217,377.12 | 0.10% | 152,794.39 | Industrials | United States | |
| BQXS45 | BQXS45 | Indonesia Treasury Bond 6.5% JUL 15 30 | 19,000,000,000 | $1,211,501.60 | 0.10% | $1,211,501.60 | 0.10% | - | Emerging Markets | Indonesia | |
| 48129VAD | 48129VAD | Development Bank of Kazakhstan JSC 144A 5.625% APR 07 30 | 1,165,000 | $1,209,140.13 | 0.10% | $1,209,140.13 | 0.10% | - | Emerging Markets | Kazakhstan | |
| BVF8ZN | BVF8ZN | MFB Magyar Fejlesztesi Bank Zrt RegS 4.375% JUN 27 30 | 995,000 | $1,209,189.02 | 0.10% | $1,209,189.01 | 0.10% | - | Emerging Markets | Hungary | |
| BMY837 | BMY837 | Iceland Rikisbref 5% NOV 15 28 | 152,600,000 | $1,206,539.44 | 0.10% | $1,206,539.44 | 0.10% | - | Non U.S. Markets | Iceland | |
| 00108410 | AGCO US | AGCO Corp | 11,523 | $1,188,712.68 | 0.10% | $1,188,712.68 | 0.10% | 7,697.82 | Industrials | United States | |
| B01NPJ | TCS IN | Tata Consultancy Services Ltd | 34,360 | $1,187,915.74 | 0.10% | $1,183,636.37 | 0.10% | 124,636.20 | Information Technology | India | |
| 625072 | 6367 JP | Daikin Industries Ltd | 10,100 | $1,188,059.82 | 0.10% | $1,178,038.41 | 0.10% | 34,188.07 | Industrials | Japan | |
| BVMJVX | BVMJVX | Indonesia Treasury Bond 5.875% MAR 15 31 | 19,000,000,000 | $1,168,937.31 | 0.09% | $1,168,937.31 | 0.09% | - | Emerging Markets | Indonesia | |
| 91087BBE | 91087BBE | Mexico Government International Bond 5.85% JUL 02 32 | 1,102,000 | $1,160,226.93 | 0.09% | $1,160,226.93 | 0.09% | - | Emerging Markets | Mexico | |
| 55261F10 | MTB US | M&T Bank Corp | 6,202 | $1,140,361.74 | 0.09% | $1,140,361.74 | 0.09% | 28,409.75 | Financials | United States | |
| BC5ZY5 | BC5ZY5 | Iceland Rikisbref 6.5% JAN 24 31 | 138,000,000 | $1,138,053.59 | 0.09% | $1,138,053.59 | 0.09% | - | Non U.S. Markets | Iceland | |
| BVN7PS | BVN7PS | E.ON International Finance BV RegS 3.5% SEP 03 35 | 960,000 | $1,115,834.29 | 0.09% | $1,115,834.29 | 0.09% | - | Corporate Debt | Germany | |
| BPJJK3 | BPJJK3 | Finland Government Bond 3% SEP 15 35 | 956,000 | $1,106,272.83 | 0.09% | $1,106,272.83 | 0.09% | - | Non U.S. Markets | Finland | |
| 649374 | 2503 JP | Kirin Holdings Co Ltd | 78,500 | $1,102,545.26 | 0.09% | $1,102,545.26 | 0.09% | 12,837.28 | Consumer Staples | Japan | |
| FWD6025405 | DKK/USD | DKK/USD FWD 20260116 SSBT-BOS | 6,974,285 | $1,082,025.35 | 0.09% | $1,076,452.96 | 0.09% | - | Unclassified | United States | |
| 19244610 | CTSH US | Cognizant Technology Solutions Corp | 14,740 | $1,074,251.20 | 0.09% | $1,074,251.20 | 0.09% | 35,201.04 | Information Technology | United States | |
| 680403 | 8227 JP | Shimamura Co Ltd | 16,600 | $1,071,228.34 | 0.09% | $1,071,228.34 | 0.09% | 4,764.17 | Consumer Discretionary | Japan | |
| G4863A10 | BRSL US | Brightstar Lottery PLC | 63,867 | $1,064,024.22 | 0.09% | $1,064,024.22 | 0.09% | 3,381.98 | Consumer Discretionary | United States | |
| 03466JAA | 03466JAA | Angel Oak Mortgage Trust 2024-9 144A FRB SEP 25 69 | 1,060,713 | $1,063,412.71 | 0.09% | $1,063,412.71 | 0.09% | - | Residential Mortgage Backed Securities | United States | |
| 00135TAD | 00135TAD | AIB Group PLC 144A FRB SEP 13 29 | 973,000 | $1,040,994.35 | 0.08% | $1,040,994.35 | 0.08% | - | Corporate Debt | Ireland | |
| BQXK2R | BQXK2R | Bundesrepublik Deutschland Bundesanleihe RegS 2.5% AUG 15 54 | 1,020,000 | $1,027,770.72 | 0.08% | $1,027,770.72 | 0.08% | - | Non U.S. Markets | Germany | |
| BW01J3 | BW01J3 | CBQ Finance Ltd RegS 4.625% SEP 10 30 | 1,000,000 | $1,008,726.30 | 0.08% | $1,008,726.30 | 0.08% | - | Emerging Markets | Qatar | |
| BNBNSG | ENX FP | Euronext NV | 7,036 | $1,005,645.63 | 0.08% | $1,005,645.63 | 0.08% | 14,687.36 | Financials | France | |
| 14316JAA | 14316JAA | Carlyle Group Inc 5.05% SEP 19 35 | 1,004,000 | $1,001,048.04 | 0.08% | $1,001,048.05 | 0.08% | - | Corporate Debt | United States | |
| B800MQ | ASII IJ | Astra International Tbk PT | 2,655,500 | $982,039.99 | 0.08% | $982,039.99 | 0.08% | 14,971.37 | Industrials | Indonesia | |
| FWD6031390 | USD/GBP | USD/GBP FWD 20260116 CHSB-NYC | 977,419 | $977,418.93 | 0.08% | $977,418.93 | 0.08% | - | Unclassified | United States | |
| BVY4LP | BVY4LP | BHP Billiton Finance Ltd RegS 3.643% SEP 04 35 | 840,000 | $974,909.46 | 0.08% | $974,909.45 | 0.08% | - | Corporate Debt | Australia | |
| 501499AD | 501499AD | Kuwait International Government Bond 144A 4.016% OCT 09 28 | 974,000 | $974,040.67 | 0.08% | $974,040.68 | 0.08% | - | Emerging Markets | Kuwait | |
| 512907 | FME GY | Fresenius Medical Care AG | 18,118 | $972,345.66 | 0.08% | $972,345.66 | 0.08% | 15,746.73 | Health Care | Germany | |
| FWD6053326 | CAD/USD | CAD/USD FWD 20260116 CCHA-NYC | 1,349,347 | $965,938.43 | 0.08% | $962,067.23 | 0.08% | - | Unclassified | United States | |
| 57587GTN | 57587GTN | Massachusetts Housing Finance Agency MA Txbl-Ser 226-Social Bond 5.562 DEC 01 52 | 915,000 | $961,068.15 | 0.08% | $961,068.15 | 0.08% | - | Municipal | United States | |
| 668138AF | 668138AF | Northwestern Mutual Life Insurance Co 144A 6.17% MAY 29 55 | 866,000 | $953,531.53 | 0.08% | $953,531.53 | 0.08% | - | Corporate Debt | United States | |
| 36179W5B | 36179W5B | Ginnie Mae II 2.5% MAY 20 52 | 1,090,479 | $946,553.51 | 0.08% | $946,553.51 | 0.08% | - | Mortgage-Backed Securities | United States | |
| 6174468P | 6174468P | Morgan Stanley FRB APR 01 31 | 957,000 | $932,325.56 | 0.08% | $932,325.56 | 0.08% | - | Corporate Debt | United States | |
| FWD6020334 | USD/EUR | USD/EUR FWD 20260116 CDEB-LON | 933,430 | $933,429.88 | 0.08% | $933,429.88 | 0.08% | - | Unclassified | United States | |
| BLH2WK | BLH2WK | APA Infrastructure Ltd RegS 2.5% MAR 15 36 | 910,000 | $930,770.76 | 0.08% | $930,770.75 | 0.08% | - | Corporate Debt | Australia | |
| 87971MBV | 87971MBV | TELUS Corp RegS 2.85% NOV 13 31 | 1,323,000 | $915,351.43 | 0.07% | $915,351.43 | 0.07% | - | Corporate Debt | Canada | |
| 67118HAA | 67118HAA | OBX 2024-NQM2 Trust 144A 5.878% DEC 25 63 | 899,823 | $910,490.51 | 0.07% | $910,490.52 | 0.07% | - | Residential Mortgage Backed Securities | United States | |
| 36179XLG | 36179XLG | Ginnie Mae II 4.5% NOV 20 52 | 910,988 | $898,929.36 | 0.07% | $898,929.35 | 0.07% | - | Mortgage-Backed Securities | United States | |
| 100743AP | 100743AP | Boston Gas Co 144A 5.843% JAN 10 35 | 816,000 | $881,067.70 | 0.07% | $881,067.70 | 0.07% | - | Corporate Debt | United States | |
| FWD6027331 | USD/NOK | USD/NOK FWD 20260116 CHSB-NYC | 873,479 | $873,479.14 | 0.07% | $873,479.14 | 0.07% | - | Unclassified | United States | |
| 61747YFG | 61747YFG | Morgan Stanley FRB JUL 21 34 | 824,000 | $872,082.58 | 0.07% | $872,082.58 | 0.07% | - | Corporate Debt | United States | |
| 3132DWJM | 3132DWJM | Freddie Mac Pool 6% OCT 01 53 | 841,558 | $865,747.13 | 0.07% | $865,747.13 | 0.07% | - | Mortgage-Backed Securities | United States | |
| BN2ZNQ | BN2ZNQ | Japan Government Twenty Year Bond 1.1% JUN 20 43 | 163,850,000 | $864,657.60 | 0.07% | $864,657.60 | 0.07% | - | Non U.S. Markets | Japan | |
| 760942BF | 760942BF | Uruguay Government International Bond 9.75% JUL 20 33 | 30,347,000 | $862,530.91 | 0.07% | $862,530.91 | 0.07% | - | Emerging Markets | Uruguay | |
| 50212YAD | 50212YAD | LPL Holdings Inc 144A 4% MAR 15 29 | 875,000 | $859,082.59 | 0.07% | $859,082.60 | 0.07% | - | Corporate Debt | United States | |
| 29103DAT | 29103DAT | Emera US Finance LP 2.639% JUN 15 31 | 951,000 | $857,873.35 | 0.07% | $857,873.35 | 0.07% | - | Corporate Debt | Canada | |
| BVK6BR | BVK6BR | Unilever Capital Corp RegS 2.875% OCT 31 32 | 750,000 | $856,882.93 | 0.07% | $856,882.92 | 0.07% | - | Corporate Debt | United Kingdom | |
| BNC2NG | BNC2NG | Province of Ontario Canada RegS 3.25% JUL 03 35 | 730,000 | $853,693.73 | 0.07% | $853,693.72 | 0.07% | - | Corporate Debt | Canada | |
| 57563RRZ | 57563RRZ | Massachusetts Educational Financing Authority MA Txbl-Senior-Ser A 2.641 JUL 01 37 | 960,000 | $848,018.05 | 0.07% | $848,018.05 | 0.07% | - | Municipal | United States | |
| 902613AK | 902613AK | UBS Group AG 144A FRB FEB 11 33 | 941,000 | $847,528.17 | 0.07% | $847,528.17 | 0.07% | - | Corporate Debt | Switzerland | |
| 202712BN | 202712BN | Commonwealth Bank of Australia 144A 2.688% MAR 11 31 | 927,000 | $845,213.29 | 0.07% | $845,213.29 | 0.07% | - | Corporate Debt | Australia | |
| 26860XAU | 26860XAU | ELM Trust 2024-ELM 144A FRB JUN 10 39 | 833,333 | $845,179.96 | 0.07% | $845,179.96 | 0.07% | - | Commercial Mortgage-Backed Securities | United States | |
| BVMS2F | BVMS2F | Heineken NV RegS 3.505% MAY 03 34 | 720,000 | $842,361.43 | 0.07% | $842,361.43 | 0.07% | - | Corporate Debt | Netherlands | |
| 571676BA | 571676BA | Mars Inc 144A 5.2% MAR 01 35 | 800,000 | $828,047.21 | 0.07% | $828,047.21 | 0.07% | - | Corporate Debt | United States | |
| FWD6027357 | ILS/USD | ILS/USD FWD 20260120 CHSB-NYC | 2,693,926 | $827,171.00 | 0.07% | $826,750.87 | 0.07% | - | Unclassified | United States | |
| 7591EP10 | RF US | Regions Financial Corp | 33,877 | $819,823.40 | 0.07% | $819,823.40 | 0.07% | 21,593.86 | Financials | United States | |
| 760942BJ | 760942BJ | Uruguay Government International Bond 8% OCT 29 35 | 32,499,996 | $819,013.30 | 0.07% | $819,013.31 | 0.07% | - | Emerging Markets | Uruguay | |
| BVK384 | BVK384 | CaixaBank SA RegS 3.375% JUN 26 35 | 700,000 | $817,534.44 | 0.07% | $817,534.44 | 0.07% | - | Corporate Debt | Spain | |
| 03209510 | APH US | Amphenol Corp | 5,843 | $814,163.62 | 0.07% | $814,163.62 | 0.07% | 170,559.89 | Information Technology | United States | |
| 06051GJT | 06051GJT | Bank of America Corp FRB APR 22 32 | 886,000 | $810,266.90 | 0.07% | $810,266.90 | 0.07% | - | Corporate Debt | United States | |
| 242104 | GFNORTEO | Grupo Financiero Banorte SAB de CV | 85,872 | $808,177.15 | 0.07% | $808,177.15 | 0.07% | 26,475.79 | Financials | Mexico | |
| BRJBNH | BRJBNH | Pernod Ricard SA RegS 3.25% FEB 04 33 | 700,000 | $802,899.80 | 0.06% | $802,899.80 | 0.06% | - | Corporate Debt | France | |
| 26444HAR | 26444HAR | Duke Energy Florida LLC 6.2% NOV 15 53 | 710,000 | $801,327.22 | 0.06% | $801,327.22 | 0.06% | - | Corporate Debt | United States | |
| 92345Y10 | VRSK US | Verisk Analytics Inc | 3,631 | $794,317.56 | 0.06% | $794,317.56 | 0.06% | 30,489.14 | Industrials | United States | |
| 69362BBD | 69362BBD | PSEG Power LLC 144A 5.2% MAY 15 30 | 754,000 | $790,858.21 | 0.06% | $790,858.21 | 0.06% | - | Corporate Debt | United States | |
| BMFWZX | BMFWZX | New Zealand Government Bond 2% MAY 15 32 | 1,513,000 | $789,864.27 | 0.06% | $789,864.27 | 0.06% | - | Non U.S. Markets | New Zealand | |
| 91324PFJ | 91324PFJ | UnitedHealth Group Inc 5.15% JUL 15 34 | 752,000 | $784,279.56 | 0.06% | $784,279.56 | 0.06% | - | Corporate Debt | United States | |
| 960386AR | 960386AR | Westinghouse Air Brake Technologies Corp 5.611% MAR 11 34 | 741,000 | $784,147.73 | 0.06% | $784,147.74 | 0.06% | - | Corporate Debt | United States | |
| 862121AD | 862121AD | Store Capital LLC 2.7% DEC 01 31 | 878,000 | $779,995.99 | 0.06% | $779,995.99 | 0.06% | - | Corporate Debt | United States | |
| 12189LBL | 12189LBL | Burlington Northern Santa Fe LLC 5.5% MAR 15 55 | 768,000 | $774,477.41 | 0.06% | $774,462.44 | 0.06% | - | Corporate Debt | United States | |
| 92938WAB | 92938WAB | WSP Global Inc 5.548% NOV 22 30 | 978,000 | $773,667.00 | 0.06% | $773,667.00 | 0.06% | - | Corporate Debt | Canada | |
| 22279550 | CUZ US | Cousins Properties Inc REIT | 29,402 | $762,393.86 | 0.06% | $762,393.86 | 0.06% | 4,355.41 | Real Estate | United States | |
| 36179W7K | 36179W7K | Ginnie Mae II 3% JUN 20 52 | 843,791 | $760,841.45 | 0.06% | $760,841.45 | 0.06% | - | Mortgage-Backed Securities | United States | |
| 716743AV | 716743AV | Petronas Capital Ltd 144A 4.95% JAN 03 31 | 733,000 | $760,241.31 | 0.06% | $760,241.31 | 0.06% | - | Emerging Markets | Malaysia | |
| 62954WAU | 62954WAU | NTT Finance Corp 144A 5.171% JUL 16 32 | 728,000 | $759,030.24 | 0.06% | $759,030.24 | 0.06% | - | Corporate Debt | Japan | |
| 44810ZCS | 44810ZCS | Hydro One Inc 4.25% JAN 04 35 | 1,022,000 | $758,011.04 | 0.06% | $758,011.04 | 0.06% | - | Corporate Debt | Canada | |
| 3618N5ML | 3618N5ML | Ginnie Mae II 3.5% MAY 20 55 | 824,998 | $757,826.35 | 0.06% | $757,826.34 | 0.06% | - | Mortgage-Backed Securities | United States | |
| 444859CD | 444859CD | Humana Inc 5.55% MAY 01 35 | 713,000 | $755,030.75 | 0.06% | $755,030.75 | 0.06% | - | Corporate Debt | United States | |
| FWD6031354 | GBP/USD | GBP/USD FWD 20260116 CCIT-NYC | 573,517 | $753,445.34 | 0.06% | $753,429.66 | 0.06% | - | Unclassified | United States | |
| 38869PAP | 38869PAP | Graphic Packaging International LLC 144A 1.512% APR 15 26 | 758,000 | $747,960.01 | 0.06% | $747,960.00 | 0.06% | - | Corporate Debt | United States | |
| 26951TAA | 26951TAA | Eagle Funding Luxco Sarl 144A 5.5% AUG 17 30 | 727,000 | $747,111.65 | 0.06% | $747,111.65 | 0.06% | - | Emerging Markets | Mexico | |
| 54750AAB | 54750AAB | Low Income Investment Fund 3.711% JUL 01 29 | 760,000 | $742,358.25 | 0.06% | $742,358.25 | 0.06% | - | Corporate Debt | United States | |
| 621808 | 992 HK | Lenovo Group Ltd | 504,000 | $736,812.71 | 0.06% | $736,812.71 | 0.06% | 18,134.74 | Information Technology | China | |
| FWD6031342 | USD/JPY | USD/JPY FWD 20260116 CHSB-NYC | 733,763 | $733,763.38 | 0.06% | $733,763.38 | 0.06% | - | Unclassified | United States | |
| BVMNHF | BVMNHF | European Union RegS 4% OCT 12 55 | 627,000 | $731,315.50 | 0.06% | $731,315.50 | 0.06% | - | Non U.S. Markets | Supranational | |
| BR54F2 | BR54F2 | BP Capital Markets PLC RegS 6% FEB 19 73 | 520,000 | $729,230.93 | 0.06% | $729,230.93 | 0.06% | - | Corporate Debt | United States | |
| 303901AZ | 303901AZ | Fairfax Financial Holdings Ltd 4.250 DEC 06 27 | 974,000 | $721,083.53 | 0.06% | $721,083.53 | 0.06% | - | Corporate Debt | Canada | |
| 3138ELAF | 3138ELAF | Fannie Mae 3.5% MAY 01 43 | 758,869 | $719,026.61 | 0.06% | $719,026.61 | 0.06% | - | Mortgage-Backed Securities | United States | |
| 36179W7J | 36179W7J | Ginnie Mae II 2.5% JUN 20 52 | 827,454 | $718,497.93 | 0.06% | $718,497.93 | 0.06% | - | Mortgage-Backed Securities | United States | |
| 65249BAA | 65249BAA | News Corp 144A 3.875% MAY 15 29 | 730,000 | $717,006.84 | 0.06% | $717,006.84 | 0.06% | - | Corporate Debt | United States | |
| BQZ9GR | BQZ9GR | Liberty Mutual Group Inc RegS 3.875% SEP 26 35 | 620,000 | $715,294.70 | 0.06% | $715,294.70 | 0.06% | - | Corporate Debt | United States | |
| 69351UBB | 69351UBB | PPL Electric Utilities Corp 5.25% MAY 15 53 | 713,000 | $715,149.95 | 0.06% | $715,149.95 | 0.06% | - | Corporate Debt | United States | |
| 19828TAC | 19828TAC | Columbia Pipelines Operating Co LLC 144A 6.544% NOV 15 53 | 647,000 | $715,523.33 | 0.06% | $715,523.33 | 0.06% | - | Corporate Debt | United States | |
| 3140XHKM | 3140XHKM | Fannie Mae 1.5% APR 01 52 | 923,445 | $714,598.76 | 0.06% | $714,598.76 | 0.06% | - | Mortgage-Backed Securities | United States | |
| 07083010 | BBWI US | Bath & Body Works Inc | 29,118 | $712,808.64 | 0.06% | $712,808.64 | 0.06% | 5,091.84 | Consumer Discretionary | United States | |
| FWD6017335 | AUD/USD | AUD/USD FWD 20260116 SSBT-BOS | 1,082,386 | $708,720.99 | 0.06% | $708,205.06 | 0.06% | - | Unclassified | United States | |
| 46647PBX | 46647PBX | JPMorgan Chase & Co FRB FEB 04 32 | 794,000 | $707,145.59 | 0.06% | $707,145.59 | 0.06% | - | Corporate Debt | United States | |
| BVDD8N | BVDD8N | SNB Funding Ltd RegS FRB JUN 24 35 | 672,000 | $705,462.92 | 0.06% | $705,462.92 | 0.06% | - | Emerging Markets | Saudi Arabia | |
| B1VT03 | YZJSGD SP | Yangzijiang Shipbuilding Holdings Ltd | 260,500 | $704,486.79 | 0.06% | $704,486.79 | 0.06% | 10,747.35 | Industrials | Singapore | |
| 87276WAC | 87276WAC | TRTX 2021-FL4 Issuer Ltd 144A 5.657% MAR 15 38 | 700,000 | $700,657.48 | 0.06% | $700,657.48 | 0.06% | - | Collateralized Loan Obligations | United States | |
| 902613AD | 902613AD | UBS Group AG 144A FRB AUG 10 69 (PERP) | 767,000 | $700,918.70 | 0.06% | $700,918.69 | 0.06% | - | Corporate Debt | Switzerland | |
| BPJMZC | BPJMZC | Tesco Corporate Treasury Services PLC RegS 5.125% MAY 22 34 | 529,000 | $700,598.07 | 0.06% | $700,598.07 | 0.06% | - | Corporate Debt | United Kingdom | |
| BN12Q1 | BN12Q1 | Heathrow Funding Ltd RegS FRB JAN 16 36 | 590,000 | $701,352.57 | 0.06% | $701,352.58 | 0.06% | - | Corporate Debt | United Kingdom | |
| BTLP3N | BTLP3N | America Movil BV RegS 3% SEP 30 30 | 600,000 | $695,917.52 | 0.06% | $695,917.52 | 0.06% | - | Emerging Markets | Mexico | |
| 3140MGKG | 3140MGKG | Fannie Mae 2.5% APR 01 52 | 807,014 | $689,090.10 | 0.06% | $689,090.10 | 0.06% | - | Mortgage-Backed Securities | United States | |
| 097023CW | 097023CW | Boeing Co 5.805% MAY 01 50 | 671,000 | $685,917.52 | 0.06% | $685,917.51 | 0.06% | - | Corporate Debt | United States | |
| 17039AAZ | 17039AAZ | Choice Properties Real Estate Investment Trust 5.03% FEB 28 31 | 898,000 | $685,424.92 | 0.06% | $685,424.91 | 0.06% | - | Corporate Debt | Canada | |
| 31488VAA | 31488VAA | Ferguson Enterprises Inc 5% OCT 03 34 | 677,000 | $684,879.60 | 0.06% | $684,879.60 | 0.06% | - | Corporate Debt | United States | |
| 291918AA | 291918AA | Empire District Bondco LLC 4.943% JAN 01 33 | 665,111 | $684,370.72 | 0.06% | $684,370.72 | 0.06% | - | Asset Backed Securities | United States | |
| 08163HAG | 08163HAG | Benchmark 2021-B27 Mortgage Trust FRB JUL 15 54 | 13,549,287 | $683,208.89 | 0.06% | $683,208.89 | 0.06% | - | Commercial Mortgage-Backed Securities | United States | |
| 455710 | G1A GY | GEA Group AG | 9,559 | $683,127.24 | 0.06% | $683,127.24 | 0.06% | 11,634.51 | Industrials | Germany | |
| BVPCXR | BVPCXR | Citigroup Inc FRB JUL 23 36 | 570,000 | $681,724.48 | 0.06% | $681,724.48 | 0.06% | - | Corporate Debt | United States | |
| BP2VP5 | BP2VP5 | Landsbankinn HF RegS 3.75% OCT 08 29 | 575,000 | $678,696.49 | 0.05% | $678,696.49 | 0.05% | - | Non U.S. Markets | Iceland | |
| 92928QAH | 92928QAH | WEA Finance LLC 144A 2.875% JAN 15 27 | 685,000 | $677,714.23 | 0.05% | $677,714.22 | 0.05% | - | Corporate Debt | France | |
| 648380 | 4452 JP | Kao Corp | 16,000 | $676,919.08 | 0.05% | $676,919.08 | 0.05% | 19,711.04 | Consumer Staples | Japan | |
| 013051EY | 013051EY | Province of Alberta Canada 4.3% NOV 02 35 | 677,000 | $676,653.10 | 0.05% | $676,653.10 | 0.05% | - | Non U.S. Markets | Canada | |
| 609701 | 2 HK | CLP Holdings Ltd | 79,000 | $674,044.95 | 0.05% | $674,044.95 | 0.05% | 21,556.22 | Utilities | Hong Kong | |
| B28RLV | B28RLV | E.ON International Finance BV RegS 5.875% OCT 30 37 | 500,000 | $672,321.47 | 0.05% | $672,321.47 | 0.05% | - | Corporate Debt | Germany | |
| 863667BM | 863667BM | Stryker Corp 5.2% FEB 10 35 | 643,000 | $670,202.55 | 0.05% | $670,202.55 | 0.05% | - | Corporate Debt | United States | |
| 264551 | GGBR4 BZ | Gerdau SA IPS | 190,422 | $670,376.62 | 0.05% | $670,376.62 | 0.05% | 7,033.19 | Materials | Brazil | |
| BNVZ46 | BNVZ46 | Hammerson PLC RegS 3.5% APR 15 32 | 580,000 | $668,718.94 | 0.05% | $668,718.93 | 0.05% | - | Corporate Debt | United Kingdom | |
| BNM0CF | BNM0CF | Aeroporti di Roma SpA RegS 3.625% JUN 15 32 | 560,000 | $664,664.84 | 0.05% | $664,664.84 | 0.05% | - | Corporate Debt | Italy | |
| BT7MYQ | BT7MYQ | Logicor Financing Sarl RegS 3.75% JUL 14 32 | 570,000 | $664,516.76 | 0.05% | $664,516.75 | 0.05% | - | Non U.S. Markets | Luxembourg | |
| 31427NMZ | 31427NMZ | Freddie Mac Pool 6.5% NOV 01 54 | 628,585 | $660,589.58 | 0.05% | $660,589.59 | 0.05% | - | Mortgage-Backed Securities | United States | |
| 25160PAQ | 25160PAQ | Deutsche Bank AG/New York NY FRB JAN 10 29 | 634,000 | $657,537.23 | 0.05% | $657,537.22 | 0.05% | - | Corporate Debt | Germany | |
| 08163GAZ | 08163GAZ | Benchmark 2021-B28 Mortgage Trust FRB AUG 15 54 | 12,817,256 | $655,566.23 | 0.05% | $655,566.23 | 0.05% | - | Commercial Mortgage-Backed Securities | United States | |
| 68233JCZ | 68233JCZ | Oncor Electric Delivery Co LLC 144A 5.35% APR 01 35 | 627,000 | $653,250.51 | 0.05% | $653,250.50 | 0.05% | - | Corporate Debt | United States | |
| 46069010 | IPG US | Interpublic Group of Cos Inc | 25,487 | $653,996.42 | 0.05% | $653,996.42 | 0.05% | 9,398.40 | Communication Services | United States | |
| 3132DWDY | 3132DWDY | Freddie Mac Pool 2.5% JUN 01 52 | 764,196 | $652,079.26 | 0.05% | $652,079.26 | 0.05% | - | Mortgage-Backed Securities | United States | |
| BV1C8C | BV1C8C | Terna - Rete Elettrica Nazionale RegS 3% JUL 22 31 | 560,000 | $650,076.91 | 0.05% | $650,076.92 | 0.05% | - | Corporate Debt | Italy | |
| 11135FCC | 11135FCC | Broadcom Inc 4.55% FEB 15 32 | 639,000 | $649,322.13 | 0.05% | $649,322.13 | 0.05% | - | Corporate Debt | United States | |
| BMGDGD | BMGDGD | National Grid North America Inc RegS 3.917% JUN 03 35 | 540,000 | $646,444.77 | 0.05% | $646,444.76 | 0.05% | - | Corporate Debt | United States | |
| 067316AG | 067316AG | Bacardi Ltd 144A 5.15% MAY 15 38 | 658,000 | $637,663.74 | 0.05% | $637,663.74 | 0.05% | - | Corporate Debt | Bermuda | |
| 303901BR | 303901BR | Fairfax Financial Holdings Ltd 6.35% MAR 22 54 | 599,000 | $637,849.28 | 0.05% | $637,849.28 | 0.05% | - | Corporate Debt | Canada | |
| 303901BV | 303901BV | Fairfax Financial Holdings Ltd 144A 5.75% MAY 20 35 | 594,000 | $636,903.75 | 0.05% | $636,903.75 | 0.05% | - | Corporate Debt | Canada | |
| 116705AQ | 116705AQ | Bruce Power LP 4.27% DEC 21 34 | 862,000 | $632,196.34 | 0.05% | $632,196.34 | 0.05% | - | Corporate Debt | Canada | |
| FWD6020331 | USD/EUR | USD/EUR FWD 20260116 CHSB-NYC | 631,799 | $631,798.53 | 0.05% | $631,798.53 | 0.05% | - | Unclassified | United States | |
| FWD6024335 | USD/CAD | USD/CAD FWD 20260116 CUBS-STM | 630,845 | $630,844.88 | 0.05% | $630,844.88 | 0.05% | - | Unclassified | United States | |
| 693475BW | 693475BW | PNC Financial Services Group Inc FRB JAN 22 35 | 590,000 | $631,867.59 | 0.05% | $631,867.59 | 0.05% | - | Corporate Debt | United States | |
| 718172DP | 718172DP | Philip Morris International Inc 4.75% NOV 01 31 | 605,000 | $629,927.84 | 0.05% | $629,927.84 | 0.05% | - | Corporate Debt | United States | |
| BV6K5V | BV6K5V | Mondi Finance PLC RegS 3.75% MAY 18 33 | 530,000 | $629,539.40 | 0.05% | $629,539.41 | 0.05% | - | Corporate Debt | Austria | |
| BRF1YM | BRF1YM | Bundesrepublik Deutschland Bundesanleihe RegS 2.2% FEB 15 34 | 550,000 | $628,662.67 | 0.05% | $628,662.66 | 0.05% | - | Non U.S. Markets | Germany | |
| 00108WAT | 00108WAT | AEP Texas Inc 5.7% MAY 15 34 | 588,000 | $629,019.79 | 0.05% | $629,019.79 | 0.05% | - | Corporate Debt | United States | |
| 80414L2P | 80414L2P | Saudi Arabian Oil Co 144A 5.75% JUL 17 54 | 612,000 | $625,177.04 | 0.05% | $625,177.04 | 0.05% | - | Emerging Markets | Saudi Arabia | |
| 907818FK | 907818FK | Union Pacific Corp 3.25% FEB 05 50 | 871,000 | $622,875.43 | 0.05% | $622,875.42 | 0.05% | - | Corporate Debt | United States | |
| 69331CAL | PCG | PG&E Corp 4.25% DEC 01 27 | 594,000 | $620,410.73 | 0.05% | $620,200.35 | 0.05% | - | Convertible Debt | United States | |
| BSNVZR | BSNVZR | Heathrow Funding Ltd RegS 6% MAR 05 32 | 440,000 | $620,345.81 | 0.05% | $620,345.82 | 0.05% | - | Corporate Debt | United Kingdom | |
| 04002VAE | 04002VAE | AREIT 2022-CRE6 Trust 144A 1.95% JAN 20 37 | 620,000 | $618,448.52 | 0.05% | $618,448.52 | 0.05% | - | Commercial Mortgage-Backed Securities | United States | |
| 62878U2F | 62878U2F | NBN Co Ltd 144A 5.75% OCT 06 28 | 590,000 | $618,732.72 | 0.05% | $618,732.72 | 0.05% | - | Non U.S. Markets | Australia | |
| 26860XBA | 26860XBA | ELM Trust 2024-ELM 144A FRB JUN 10 39 | 607,994 | $616,730.88 | 0.05% | $616,730.88 | 0.05% | - | Commercial Mortgage-Backed Securities | United States | |
| 70632ZAD | 70632ZAD | Pembina Pipeline Corp RegS 4.81% MAR 25 44 | 887,000 | $614,070.42 | 0.05% | $614,070.43 | 0.05% | - | Corporate Debt | Canada | |
| 883556DD | 883556DD | Thermo Fisher Scientific Inc 4.473% OCT 07 32 | 613,000 | $614,541.99 | 0.05% | $614,541.98 | 0.05% | - | Corporate Debt | United States | |
| 31418ECQ | 31418ECQ | Fannie Mae 2.5% APR 01 52 | 715,259 | $611,986.15 | 0.05% | $611,986.16 | 0.05% | - | Mortgage-Backed Securities | United States | |
| 889184AG | 889184AG | Toledo Hospital 6.015% NOV 15 48 | 590,000 | $608,718.68 | 0.05% | $608,718.68 | 0.05% | - | Corporate Debt | United States | |
| 38141GB7 | 38141GB7 | Goldman Sachs Group Inc FRB OCT 23 35 | 603,000 | $607,761.27 | 0.05% | $607,761.27 | 0.05% | - | Corporate Debt | United States | |
| 00115AAS | 00115AAS | AEP Transmission Co LLC 5.375% JUN 15 35 | 573,000 | $607,792.94 | 0.05% | $607,792.94 | 0.05% | - | Corporate Debt | United States | |
| 76720AAT | 76720AAT | Rio Tinto Finance USA PLC 5% MAR 14 32 | 584,000 | $606,010.26 | 0.05% | $606,010.26 | 0.05% | - | Corporate Debt | Australia | |
| 87277LAC | 87277LAC | TRTX 2025-FL7 Issuer Ltd 144A 5% JUN 18 43 | 606,325 | $606,704.98 | 0.05% | $606,704.98 | 0.05% | - | Collateralized Loan Obligations | United States | |
| 532457CY | 532457CY | Eli Lilly & Co 5.5% FEB 12 55 | 587,000 | $605,371.03 | 0.05% | $605,371.04 | 0.05% | - | Corporate Debt | United States | |
| 471105AD | 471105AD | Japan Tobacco Inc 144A 5.25% JUN 15 30 | 566,000 | $603,573.31 | 0.05% | $603,573.31 | 0.05% | - | Corporate Debt | Japan | |
| 00138CBH | 00138CBH | Corebridge Global Funding 144A 4.9% AUG 21 32 | 594,000 | $603,231.22 | 0.05% | $603,231.22 | 0.05% | - | Corporate Debt | United States | |
| 075887CR | 075887CR | Becton Dickinson & Co 4.874% FEB 08 29 | 584,000 | $601,312.73 | 0.05% | $601,312.73 | 0.05% | - | Corporate Debt | United States | |
| BT03MQ | BT03MQ | Vier Gas Transport GmbH RegS 3.375% NOV 11 31 | 500,000 | $599,577.12 | 0.05% | $599,577.12 | 0.05% | - | Corporate Debt | Germany | |
| BTWVBT | BTWVBT | Experian Finance PLC RegS 3.51% DEC 15 33 | 500,000 | $598,880.26 | 0.05% | $598,880.26 | 0.05% | - | Corporate Debt | United States | |
| 92660FAN | 92660FAN | Videotron Ltd 144A 3.625% JUN 15 29 | 610,000 | $599,666.71 | 0.05% | $599,666.71 | 0.05% | - | Corporate Debt | Canada | |
| 79588TAF | 79588TAF | Sammons Financial Group Inc 144A 6.875% APR 15 34 | 541,000 | $597,443.17 | 0.05% | $597,443.17 | 0.05% | - | Corporate Debt | United States | |
| BT7HZ0 | BT7HZ0 | CEZ AS RegS 4.125% APR 30 33 | 496,000 | $595,789.94 | 0.05% | $595,789.94 | 0.05% | - | Emerging Markets | Czech Republic | |
| BMB37L | BMB37L | Exxon Mobil Corp 1.408% JUN 26 39 | 690,000 | $592,861.65 | 0.05% | $592,861.66 | 0.05% | - | Corporate Debt | United States | |
| 36179WVT | 36179WVT | Ginnie Mae II 2% JAN 20 52 | 711,857 | $593,491.50 | 0.05% | $593,491.50 | 0.05% | - | Mortgage-Backed Securities | United States | |
| BQTY6W | BQTY6W | mBank SA RegS FRB SEP 27 30 | 500,000 | $591,198.79 | 0.05% | $591,198.78 | 0.05% | - | Emerging Markets | Poland | |
| B06QFB | IGG LN | IG Group Holdings PLC | 40,420 | $591,531.26 | 0.05% | $591,531.26 | 0.05% | 5,041.75 | Financials | United Kingdom | |
| FWD6017330 | USD/EUR | USD/EUR FWD 20260116 SSBT-BOS | 590,709 | $590,709.45 | 0.05% | $590,709.45 | 0.05% | - | Unclassified | United States | |
| 98389B10 | XEL US | Xcel Energy Inc | 7,264 | $589,618.88 | 0.05% | $589,618.88 | 0.05% | 48,015.29 | Utilities | United States | |
| 66573RAA | 66573RAA | Northern Star Resources Ltd 144A 6.125% APR 11 33 | 553,000 | $588,960.07 | 0.05% | $588,960.07 | 0.05% | - | Corporate Debt | Australia | |
| BLLHKZ | 288 HK | WH Group Ltd | 613,500 | $588,981.47 | 0.05% | $588,981.47 | 0.05% | 12,317.46 | Consumer Staples | Hong Kong | |
| 3138EQTZ | 3138EQTZ | Fannie Mae 4.5% JUN 01 44 | 583,132 | $587,428.17 | 0.05% | $587,428.17 | 0.05% | - | Mortgage-Backed Securities | United States | |
| 29373NAB | 29373NAB | Enterprise Fleet Financing 2025-4 LLC 144A 4.05% AUG 20 28 | 586,000 | $586,823.16 | 0.05% | $586,823.15 | 0.05% | - | Asset Backed Securities | United States | |
| 29278GAC | 29278GAC | Enel Finance International NV 144A 4.75% MAY 25 47 | 656,000 | $586,830.35 | 0.05% | $586,830.35 | 0.05% | - | Corporate Debt | Italy | |
| BS0CQB | BS0CQB | Koninklijke KPN NV RegS 3.375% FEB 17 35 | 500,000 | $582,437.94 | 0.05% | $582,437.94 | 0.05% | - | Corporate Debt | Netherlands | |
| 63610HAA | 63610HAA | New Hampshire Business Finance Authority NH Txbl-Ref-Wheeling Power Co Pro 6.890 APR 01 34 | 545,000 | $580,253.80 | 0.05% | $580,253.80 | 0.05% | - | Municipal | United States | |
| 034934AB | 034934AB | Angel Oak Mortgage Trust 2025-1 144A FRB JAN 25 70 | 573,284 | $580,194.16 | 0.05% | $580,194.16 | 0.05% | - | Residential Mortgage Backed Securities | United States | |
| BSSH1N | BSSH1N | Severn Trent Utilities Finance PLC RegS 3.875% AUG 04 35 | 490,000 | $577,940.24 | 0.05% | $577,940.24 | 0.05% | - | Corporate Debt | United Kingdom | |
| 286181AP | 286181AP | Element Fleet Management Corp 144A 5.037% MAR 25 30 | 562,000 | $576,863.06 | 0.05% | $576,863.07 | 0.05% | - | Corporate Debt | Canada | |
| 23636ABJ | 23636ABJ | Danske Bank AS 144A FRB OCT 02 30 | 568,000 | $573,864.80 | 0.05% | $573,864.80 | 0.05% | - | Corporate Debt | Denmark | |
| 06237MAB | 06237MAB | Bank Gospodarstwa Krajowego 144A 6.25% OCT 31 28 | 539,000 | $572,964.61 | 0.05% | $572,964.61 | 0.05% | - | Emerging Markets | Poland | |
| 606822DQ | 606822DQ | Mitsubishi UFJ Financial Group Inc FRB SEP 12 36 | 557,000 | $572,618.02 | 0.05% | $572,618.02 | 0.05% | - | Corporate Debt | Japan | |
| 55977YAA | 55977YAA | Magyar Export-Import Bank Zrt 144A 6.125% DEC 04 27 | 540,000 | $572,384.60 | 0.05% | $572,384.59 | 0.05% | - | Emerging Markets | Hungary | |
| BSSDBH | BSSDBH | Flutter Treasury DAC RegS 6.125% JUN 04 31 | 430,000 | $571,523.98 | 0.05% | $571,523.99 | 0.05% | - | Corporate Debt | Ireland | |
| FWD6027371 | RON/USD | RON/USD FWD 20260116 CMSD-NYC | 2,511,859 | $567,021.19 | 0.05% | $569,350.09 | 0.05% | - | Unclassified | United States | |
| 63861VAP | 63861VAP | Nationwide Building Society 144A 4.351% SEP 30 30 | 567,000 | $566,955.47 | 0.05% | $566,955.46 | 0.05% | - | Corporate Debt | United Kingdom | |
| BKVFK4 | BKVFK4 | BAT International Finance PLC RegS 4.125% APR 12 32 | 462,000 | $565,474.45 | 0.05% | $565,474.45 | 0.05% | - | Corporate Debt | United Kingdom | |
| 571676BC | 571676BC | Mars Inc 144A 5.7% MAY 01 55 | 536,000 | $564,814.04 | 0.05% | $564,814.03 | 0.05% | - | Corporate Debt | United States | |
| 29439DAA | 29439DAA | EQT Trust 2024-EXTR 144A FRB JUL 05 41 | 543,479 | $558,353.49 | 0.04% | $558,353.49 | 0.04% | - | Commercial Mortgage-Backed Securities | United States | |
| BKSBMY | BKSBMY | Transurban Finance Co Pty Ltd RegS 4.225% APR 26 33 | 450,000 | $558,760.58 | 0.04% | $558,760.59 | 0.04% | - | Corporate Debt | Australia | |
| 30040WAX | 30040WAX | Eversource Energy 5.5% JAN 01 34 | 525,000 | $553,485.84 | 0.04% | $553,485.83 | 0.04% | - | Corporate Debt | United States | |
| 3137FUZG | 3137FUZG | Freddie Mac Multifamily Structured Pass Through Certificates FRB MAY 25 30 | 7,375,798 | $551,793.70 | 0.04% | $551,793.70 | 0.04% | - | Mortgage-Backed Securities | United States | |
| BP3R2V | 600887 C1 | Inner Mongolia Yili Industrial Group Co Ltd | 142,600 | $549,479.29 | 0.04% | $549,479.29 | 0.04% | 24,373.46 | Consumer Staples | China | |
| 05401AAG | 05401AAG | Avolon Holdings Funding Ltd 144A 4.375% MAY 01 26 | 537,000 | $548,460.93 | 0.04% | $548,460.93 | 0.04% | - | Corporate Debt | Ireland | |
| 013051EP | 013051EP | Province of Alberta Canada 1.65% JUN 01 31 | 817,000 | $546,649.01 | 0.04% | $546,649.01 | 0.04% | - | Non U.S. Markets | Canada | |
| 116705AK | 116705AK | Bruce Power LP 2.68% DEC 21 28 | 767,000 | $545,438.58 | 0.04% | $545,438.58 | 0.04% | - | Corporate Debt | Canada | |
| 27636AAA | 27636AAA | Eastern Energy Gas Holdings LLC 5.65% OCT 15 54 | 547,000 | $539,361.77 | 0.04% | $539,361.76 | 0.04% | - | Corporate Debt | United States | |
| 29251ZBU | 29251ZBU | Enbridge Inc 3.1% SEP 21 33 | 800,000 | $540,091.15 | 0.04% | $540,091.15 | 0.04% | - | Corporate Debt | Canada | |
| 80413TBJ | 80413TBJ | Saudi Government International Bond 144A 5.13% JAN 13 28 | 519,000 | $537,866.23 | 0.04% | $537,866.22 | 0.04% | - | Emerging Markets | Saudi Arabia | |
| 87264ACY | 87264ACY | T-Mobile USA Inc 5.05% JUL 15 33 | 522,000 | $538,537.51 | 0.04% | $538,537.51 | 0.04% | - | Corporate Debt | United States | |
| BVF9JP | BVF9JP | American Tower Corp 3.625% MAY 30 32 | 450,000 | $536,737.38 | 0.04% | $536,737.38 | 0.04% | - | Corporate Debt | United States | |
| 026874DS | 026874DS | American International Group Inc 5.125% MAR 27 33 | 519,000 | $535,577.39 | 0.04% | $535,577.39 | 0.04% | - | Corporate Debt | United States | |
| 571903BG | 571903BG | Marriott International Inc/MD 2.85% APR 15 31 | 579,000 | $534,074.87 | 0.04% | $534,074.87 | 0.04% | - | Corporate Debt | United States | |
| 912810UN | 912810UN | US Treasury Bond 4.875% AUG 15 45 | 514,000 | $534,731.10 | 0.04% | $534,731.10 | 0.04% | - | U.S. Governments | United States | |
| 556079AG | 556079AG | Macquarie Bank Ltd 144A FRB AUG 13 36 | 520,000 | $534,897.66 | 0.04% | $534,897.66 | 0.04% | - | Corporate Debt | Australia | |
| 373334KT | 373334KT | Georgia Power Co 4.95% MAY 17 33 | 512,000 | $534,196.56 | 0.04% | $534,196.56 | 0.04% | - | Corporate Debt | United States | |
| 46647PEG | 46647PEG | JPMorgan Chase & Co FRB APR 22 30 | 511,000 | $533,978.89 | 0.04% | $533,978.89 | 0.04% | - | Corporate Debt | United States | |
| 71568PAP | 71568PAP | Perusahaan Perseroan Persero PT Perusahaan Listrik Negara 144A 4% JUN 30 50 | 691,000 | $533,115.72 | 0.04% | $533,115.72 | 0.04% | - | Emerging Markets | Indonesia | |
| FWD6024358 | NOK/USD | NOK/USD FWD 20260116 CBCL-LON | 5,389,782 | $531,992.96 | 0.04% | $532,100.77 | 0.04% | - | Unclassified | United States | |
| 23636ABB | 23636ABB | Danske Bank AS 144A 1.549% SEP 10 27 | 543,000 | $531,894.53 | 0.04% | $531,894.52 | 0.04% | - | Corporate Debt | Denmark | |
| 36179XHX | 36179XHX | Ginnie Mae II 4% OCT 20 52 | 554,805 | $531,020.28 | 0.04% | $531,020.28 | 0.04% | - | Mortgage-Backed Securities | United States | |
| 80007RAL | 80007RAL | Sands China Ltd 4.375% JUN 18 30 | 532,000 | $531,458.90 | 0.04% | $531,458.90 | 0.04% | - | Emerging Markets | Macau | |
| BRXZ0W | BRXZ0W | T-Mobile USA Inc 3.5% FEB 11 37 | 460,000 | $531,470.29 | 0.04% | $531,470.28 | 0.04% | - | Corporate Debt | United States | |
| 615593 | 005830 KS | DB Insurance Co Ltd | 5,934 | $528,114.55 | 0.04% | $528,114.55 | 0.04% | 6,301.06 | Financials | South Korea | |
| 03523TBV | 03523TBV | Anheuser-Busch InBev Worldwide Inc 5.55% JAN 23 49 | 512,000 | $527,101.09 | 0.04% | $527,101.08 | 0.04% | - | Corporate Debt | Belgium | |
| 3138ERZ6 | 3138ERZ6 | Fannie Mae 4.5% FEB 01 46 | 521,736 | $526,347.98 | 0.04% | $526,347.98 | 0.04% | - | Mortgage-Backed Securities | United States | |
| 02687478 | AIG US | American International Group Inc | 6,663 | $526,110.48 | 0.04% | $526,110.48 | 0.04% | 44,198.81 | Financials | United States | |
| 75102XAB | 75102XAB | Raizen Fuels Finance SA 144A 6.45% MAR 05 34 | 606,000 | $521,937.70 | 0.04% | $521,937.70 | 0.04% | - | Emerging Markets | Brazil | |
| 16411QAV | 16411QAV | Cheniere Energy Partners LP 144A 5.55% OCT 30 35 | 501,000 | $521,273.76 | 0.04% | $521,273.77 | 0.04% | - | Corporate Debt | United States | |
| FWD6027317 | USD/NZD | USD/NZD FWD 20260116 SSBT-BOS | 521,578 | $521,578.11 | 0.04% | $521,578.11 | 0.04% | - | Unclassified | United States | |
| 92763W10 | VIPS US | Vipshop Holdings Ltd ADR | 29,708 | $519,592.92 | 0.04% | $519,592.92 | 0.04% | 8,622.57 | Consumer Discretionary | China | |
| 95000U2U | 95000U2U | Wells Fargo & Co FRB MAR 02 33 | 554,000 | $519,548.88 | 0.04% | $519,548.89 | 0.04% | - | Corporate Debt | United States | |
| 251526DB | 251526DB | Deutsche Bank AG/New York NY FRB AUG 04 31 | 507,000 | $517,828.16 | 0.04% | $517,828.16 | 0.04% | - | Corporate Debt | Germany | |
| 21871XAK | 21871XAK | Corebridge Financial Inc 4.35% APR 05 42 | 593,000 | $515,601.07 | 0.04% | $515,601.07 | 0.04% | - | Corporate Debt | United States | |
| BQ7YBT | BQ7YBT | Enel Finance International NV RegS 3.5% FEB 24 36 | 440,000 | $513,676.37 | 0.04% | $513,676.36 | 0.04% | - | Corporate Debt | Italy | |
| 594918CE | 594918CE | Microsoft Corp 2.921% MAR 17 52 | 753,000 | $510,509.35 | 0.04% | $510,509.36 | 0.04% | - | Corporate Debt | United States | |
| BTY1SW | BTY1SW | CNH Industrial NV RegS 3.875% SEP 03 35 | 440,000 | $510,660.68 | 0.04% | $510,660.67 | 0.04% | - | Corporate Debt | United States | |
| BKVFLM | BKVFLM | Saudi Arabian Oil Co RegS 6.375% JUN 02 55 | 462,000 | $510,269.46 | 0.04% | $510,269.46 | 0.04% | - | Emerging Markets | Saudi Arabia | |
| 758750AM | 758750AM | Regal Rexnord Corp 6.05% APR 15 28 | 491,000 | $509,220.97 | 0.04% | $509,220.98 | 0.04% | - | Corporate Debt | United States | |
| 95000U3P | 95000U3P | Wells Fargo & Co FRB JAN 24 31 | 485,000 | $508,819.10 | 0.04% | $508,819.10 | 0.04% | - | Corporate Debt | United States | |
| 344045AA | 344045AA | Flutter Treasury DAC 144A 6.375% APR 29 29 | 489,000 | $508,030.09 | 0.04% | $508,030.09 | 0.04% | - | Corporate Debt | Ireland | |
| 59156RCN | 59156RCN | MetLife Inc 5.3% DEC 15 34 | 478,000 | $507,341.88 | 0.04% | $507,359.84 | 0.04% | - | Corporate Debt | United States | |
| BR4ZX4 | BR4ZX4 | P3 Group Sarl RegS 3.75% APR 02 33 | 440,000 | $507,099.69 | 0.04% | $507,099.69 | 0.04% | - | Non U.S. Markets | Luxembourg | |
| 344045AB | 344045AB | Flutter Treasury DAC 144A 5.875% JUN 04 31 | 500,000 | $507,555.56 | 0.04% | $507,555.56 | 0.04% | - | Corporate Debt | Ireland | |
| 207743WY | 207743WY | Connecticut State Higher Ed Supplement Loan Auth CT Txbl-Ref-Chesla Loan Prog-Ser 4.668 NOV 15 34 | 510,000 | $507,972.49 | 0.04% | $506,909.23 | 0.04% | - | Municipal | United States | |
| 196480D6 | 196480D6 | Colorado Housing and Finance Authority CO Txbl-Social Bond-Class I-Ser D 5.000 NOV 01 47 | 490,000 | $505,506.37 | 0.04% | $505,011.93 | 0.04% | - | Municipal | United States | |
| BPRBBF | BPRBBF | Eurofins Scientific SE RegS 3.875% FEB 05 33 | 430,000 | $504,621.54 | 0.04% | $504,621.55 | 0.04% | - | Corporate Debt | Luxembourg | |
| 67448LAA | 67448LAA | OBX 2024-NQM1 Trust 144A 5.928% NOV 25 63 | 496,857 | $502,652.59 | 0.04% | $502,652.58 | 0.04% | - | Residential Mortgage Backed Securities | United States | |
| 59447TXX | 59447TXX | Michigan Finance Authority Txbl-Ref-Trinity Hlth Credit G 3.384 DEC 01 40 | 585,000 | $502,583.68 | 0.04% | $502,583.68 | 0.04% | - | Municipal | United States | |
| 723787AR | 723787AR | Pioneer Natural Resources Co 2.15% JAN 15 31 | 549,000 | $499,634.41 | 0.04% | $499,634.41 | 0.04% | - | Corporate Debt | United States | |
| 91087BBF | 91087BBF | Mexico Government International Bond 6.625% JAN 29 38 | 463,000 | $499,067.38 | 0.04% | $499,067.38 | 0.04% | - | Emerging Markets | Mexico | |
| 404280ER | 404280ER | HSBC Holdings PLC FRB MAR 03 31 | 483,000 | $498,215.67 | 0.04% | $498,215.66 | 0.04% | - | Corporate Debt | United Kingdom | |
| FWD6025386 | EUR/USD | EUR/USD FWD 20260116 CCIT-NYC | 432,146 | $500,305.01 | 0.04% | $498,113.02 | 0.04% | - | Unclassified | United States | |
| BTPGY3 | BTPGY3 | EnBW International Finance BV RegS 3.75% NOV 20 35 | 410,000 | $496,929.86 | 0.04% | $496,929.85 | 0.04% | - | Non U.S. Markets | Germany | |
| 161175BA | 161175BA | Charter Communications Operating LLC 6.484% OCT 23 45 | 511,000 | $494,388.08 | 0.04% | $494,388.08 | 0.04% | - | Corporate Debt | United States | |
| 665772CZ | 665772CZ | Northern States Power Co/MN 5.05% MAY 15 35 | 471,000 | $494,503.06 | 0.04% | $494,503.05 | 0.04% | - | Corporate Debt | United States | |
| FWD6024360 | USD/SGD | USD/SGD FWD 20260116 SSBT-BOS | 493,716 | $493,716.21 | 0.04% | $493,716.21 | 0.04% | - | Unclassified | United States | |
| 476556DD | 476556DD | Jersey Central Power & Light Co 144A 2.75% MAR 01 32 | 548,000 | $494,052.18 | 0.04% | $494,052.17 | 0.04% | - | Corporate Debt | United States | |
| 36179WR2 | 36179WR2 | Ginnie Mae II 2.5% NOV 20 51 | 564,177 | $489,890.13 | 0.04% | $489,890.13 | 0.04% | - | Mortgage-Backed Securities | United States | |
| 20030NEQ | 20030NEQ | Comcast Corp 6.05% MAY 15 55 | 470,000 | $488,490.27 | 0.04% | $488,490.27 | 0.04% | - | Corporate Debt | United States | |
| 55282XAC | 55282XAC | MF1 Multifamily Housing Mortgage Loan Trust 144A FRB JUL 15 36 | 486,089 | $487,239.14 | 0.04% | $487,239.14 | 0.04% | - | Commercial Mortgage-Backed Securities | United States | |
| 3132A5GF | 3132A5GF | Freddie Mac Pool 3.5% JAN 01 47 | 510,498 | $482,767.99 | 0.04% | $482,767.99 | 0.04% | - | Mortgage-Backed Securities | United States | |
| BVMTH8 | BVMTH8 | Amprion GmbH RegS 3.875% JUN 05 36 | 400,000 | $479,498.92 | 0.04% | $479,498.91 | 0.04% | - | Corporate Debt | Germany | |
| 87612GAB | 87612GAB | Targa Resources Corp 4.95% APR 15 52 | 558,000 | $478,405.06 | 0.04% | $478,405.06 | 0.04% | - | Corporate Debt | United States | |
| BN7K9S | BN7K9S | Severn Trent Utilities Finance PLC RegS 3.875% AUG 04 37 | 410,000 | $476,099.43 | 0.04% | $476,099.42 | 0.04% | - | Corporate Debt | United Kingdom | |
| 12327CAA | 12327CAA | Business Jet Securities 2024-1 LLC 144A 6.197% MAY 15 39 | 463,083 | $475,885.27 | 0.04% | $475,885.28 | 0.04% | - | Asset Backed Securities | United States | |
| BRJM5V | BRJM5V | Shurgard Luxembourg Sarl RegS 4% MAY 27 35 | 400,000 | $474,822.32 | 0.04% | $474,822.31 | 0.04% | - | Corporate Debt | Belgium | |
| BTZDLZ | BTZDLZ | Cellnex Finance Co SA RegS 3.5% MAY 22 32 | 400,000 | $472,898.56 | 0.04% | $472,898.56 | 0.04% | - | Corporate Debt | Spain | |
| 09062XAN | 09062XAN | Biogen Inc 5.05% JAN 15 31 | 449,000 | $473,073.50 | 0.04% | $473,073.50 | 0.04% | - | Corporate Debt | United States | |
| 06237MAA | 06237MAA | Bank Gospodarstwa Krajowego 144A 5.375% MAY 22 33 | 442,000 | $471,387.99 | 0.04% | $471,387.98 | 0.04% | - | Emerging Markets | Poland | |
| 68327LAD | 68327LAD | Ontario Teachers' Cadillac Fairview Properties Trust 144A 2.5% OCT 15 31 | 527,000 | $471,633.52 | 0.04% | $471,633.51 | 0.04% | - | Non U.S. Markets | Canada | |
| BQBBFY | BQBBFY | Pluxee NV RegS 3.75% SEP 04 32 | 400,000 | $467,269.53 | 0.04% | $467,269.53 | 0.04% | - | Emerging Markets | Brazil | |
| 06051GMW | 06051GMW | Bank of America Corp FRB MAY 09 36 | 436,000 | $467,519.26 | 0.04% | $467,519.26 | 0.04% | - | Corporate Debt | United States | |
| 31418ECY | 31418ECY | Fannie Mae 2% APR 01 42 | 536,072 | $466,540.19 | 0.04% | $466,540.19 | 0.04% | - | Mortgage-Backed Securities | United States | |
| 404119DF | 404119DF | HCA Inc 4.9% NOV 15 35 | 472,000 | $466,455.08 | 0.04% | $466,455.09 | 0.04% | - | Corporate Debt | United States | |
| BNKB62 | BNKB62 | Alliander NV RegS 3.5% MAY 06 37 | 400,000 | $466,907.18 | 0.04% | $466,907.17 | 0.04% | - | Non U.S. Markets | Netherlands | |
| 16882LAA | 16882LAA | Chile Electricity Lux Mpc II Sarl 144A 5.58% OCT 20 35 | 452,585 | $466,390.92 | 0.04% | $466,390.92 | 0.04% | - | Emerging Markets | Chile | |
| BSSH9N | BSSH9N | Vier Gas Transport GmbH RegS 3.625% SEP 08 33 | 400,000 | $465,778.04 | 0.04% | $465,778.03 | 0.04% | - | Corporate Debt | Germany | |
| 00135TAE | 00135TAE | AIB Group PLC 144A FRB MAR 28 35 | 438,000 | $463,569.94 | 0.04% | $463,569.94 | 0.04% | - | Corporate Debt | Ireland | |
| BVSYK5 | BVSYK5 | Arkema SA RegS 3.5% SEP 09 33 | 400,000 | $462,337.89 | 0.04% | $462,337.88 | 0.04% | - | Corporate Debt | France | |
| 586054AD | 586054AD | Memorial Sloan-Kettering Cancer Center 2.955% JAN 01 50 | 670,000 | $462,468.54 | 0.04% | $462,468.54 | 0.04% | - | Corporate Debt | United States | |
| BRCDG4 | BRCDG4 | Bankinter SA RegS FRB NOV 03 33 | 400,000 | $461,761.53 | 0.04% | $461,761.52 | 0.04% | - | Corporate Debt | Spain | |
| BT978866 | BT978866 | Sage Group PLC RegS 2.875% FEB 08 34 | 401,000 | $461,717.51 | 0.04% | $461,717.51 | 0.04% | - | Corporate Debt | United Kingdom | |
| 92540EAA | 92540EAA | Verus Securitization Trust 2024-1 144A FRB JAN 25 69 | 454,888 | $459,801.97 | 0.04% | $459,801.97 | 0.04% | - | Residential Mortgage Backed Securities | United States | |
| 571748CD | 571748CD | Marsh & McLennan Cos Inc 5.4% MAR 15 55 | 461,000 | $457,004.04 | 0.04% | $457,004.04 | 0.04% | - | Corporate Debt | United States | |
| BSHT68 | BSHT68 | Nestle Finance International Ltd RegS 3.5% JAN 14 45 | 400,000 | $456,242.26 | 0.04% | $456,242.28 | 0.04% | - | Corporate Debt | United States | |
| 38141GB6 | 38141GB6 | Goldman Sachs Group Inc FRB OCT 23 30 | 442,000 | $448,041.78 | 0.04% | $448,041.78 | 0.04% | - | Corporate Debt | United States | |
| FWD6024370 | USD/CHF | USD/CHF FWD 20260116 CCHA-NYC | 445,289 | $445,289.27 | 0.04% | $445,289.27 | 0.04% | - | Unclassified | United States | |
| 472140AE | 472140AE | JBS USA Holding Lux Sarl 144A 5.5% JAN 15 36 | 430,000 | $443,479.54 | 0.04% | $443,479.54 | 0.04% | - | Corporate Debt | United States | |
| 55261FAT | 55261FAT | M&T Bank Corp FRB MAR 13 32 | 416,000 | $443,417.08 | 0.04% | $443,417.08 | 0.04% | - | Corporate Debt | United States | |
| 46647PEW | 46647PEW | JPMorgan Chase & Co FRB JAN 24 36 | 416,000 | $442,715.18 | 0.04% | $442,715.18 | 0.04% | - | Corporate Debt | United States | |
| 341081GE | 341081GE | Florida Power & Light Co 2.875% DEC 04 51 | 665,000 | $441,045.97 | 0.04% | $441,045.98 | 0.04% | - | Corporate Debt | United States | |
| 31418FCG | 31418FCG | Fannie Mae 5.5% SEP 01 54 | 433,431 | $440,217.16 | 0.04% | $440,217.16 | 0.04% | - | Mortgage-Backed Securities | United States | |
| 50077LAB | 50077LAB | Kraft Heinz Foods Co 4.375% JUN 01 46 | 515,000 | $439,633.52 | 0.04% | $439,633.52 | 0.04% | - | Corporate Debt | United States | |
| 72650RBP | 72650RBP | Plains All American Pipeline LP 5.7% SEP 15 34 | 424,000 | $438,748.85 | 0.04% | $438,748.85 | 0.04% | - | Corporate Debt | United States | |
| BRJNHL | BRJNHL | Aviva PLC RegS FRB AUG 28 56 | 361,000 | $438,318.74 | 0.04% | $438,318.75 | 0.04% | - | Corporate Debt | United Kingdom | |
| 337738AV | 337738AV | Fiserv Inc 4.4% JUL 01 49 | 535,000 | $436,545.32 | 0.04% | $436,545.32 | 0.04% | - | Corporate Debt | United States | |
| 345397D2 | 345397D2 | Ford Motor Credit Co LLC 6.95% JUN 10 26 | 420,000 | $436,805.92 | 0.04% | $436,805.91 | 0.04% | - | Corporate Debt | United States | |
| 606822CB | 606822CB | Mitsubishi UFJ Financial Group Inc FRB OCT 13 32 | 484,000 | $433,372.36 | 0.03% | $433,372.36 | 0.03% | - | Corporate Debt | Japan | |
| 254687FY | 254687FY | Walt Disney Co 3.5% MAY 13 40 | 505,000 | $432,858.18 | 0.03% | $432,858.19 | 0.03% | - | Corporate Debt | United States | |
| 3140QSKM | 3140QSKM | Fannie Mae 5% APR 01 53 | 431,707 | $433,269.12 | 0.03% | $433,269.12 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 04316JAE | 04316JAE | Arthur J Gallagher & Co 5.75% MAR 02 53 | 428,000 | $431,404.08 | 0.03% | $431,404.07 | 0.03% | - | Corporate Debt | United States | |
| 00440KAC | 00440KAC | Accenture Capital Inc 4.25% OCT 04 31 | 428,000 | $428,607.72 | 0.03% | $428,607.72 | 0.03% | - | Corporate Debt | United States | |
| 19688TAA | 19688TAA | COLT 2024-1 Mortgage Loan Trust 144A FRB FEB 25 69 | 425,178 | $429,760.31 | 0.03% | $429,760.31 | 0.03% | - | Residential Mortgage Backed Securities | United States | |
| BRQPV4 | BRQPV4 | UniCredit SpA RegS 3.725% JUN 10 35 | 360,000 | $428,015.31 | 0.03% | $428,015.31 | 0.03% | - | Corporate Debt | Italy | |
| 00287YDW | 00287YDW | AbbVie Inc 5.4% MAR 15 54 | 427,000 | $427,704.26 | 0.03% | $427,704.26 | 0.03% | - | Corporate Debt | United States | |
| 693475CC | 693475CC | PNC Financial Services Group Inc FRB JAN 29 36 | 403,000 | $426,891.19 | 0.03% | $426,891.19 | 0.03% | - | Corporate Debt | United States | |
| 008281BK | 008281BK | African Development Bank FRB AUG 07 74 | 424,000 | $425,635.48 | 0.03% | $425,635.48 | 0.03% | - | Non U.S. Markets | Supranational | |
| 46647PBN | 46647PBN | JPMorgan Chase & Co FRB APR 22 51 | 607,000 | $423,151.38 | 0.03% | $423,151.38 | 0.03% | - | Corporate Debt | United States | |
| 95003DBP | 95003DBP | Wells Fargo Commercial Mortgage Trust 2021-C60 FRB AUG 15 54 | 6,716,013 | $422,843.81 | 0.03% | $422,843.81 | 0.03% | - | Commercial Mortgage-Backed Securities | United States | |
| 704326AB | 704326AB | Paychex Inc 5.35% APR 15 32 | 407,000 | $423,049.96 | 0.03% | $423,049.95 | 0.03% | - | Corporate Debt | United States | |
| 446413BB | 446413BB | Huntington Ingalls Industries Inc 5.749% JAN 15 35 | 394,000 | $422,187.08 | 0.03% | $422,187.08 | 0.03% | - | Corporate Debt | United States | |
| 00654GAA | 00654GAA | Adani Electricity Mumbai Ltd 144A 3.949% FEB 12 30 | 442,000 | $418,812.75 | 0.03% | $418,812.75 | 0.03% | - | Emerging Markets | India | |
| 31427MHC | 31427MHC | Freddie Mac Pool 6% FEB 01 55 | 398,609 | $415,065.17 | 0.03% | $415,065.16 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 72650RBS | 72650RBS | Plains All American Pipeline LP 5.6% JAN 15 36 | 405,000 | $412,520.22 | 0.03% | $412,520.22 | 0.03% | - | Corporate Debt | United States | |
| FWD6048322 | USD/IDR | USD/IDR NDF 20260130 CMSD-NYC | 410,543 | $410,543.07 | 0.03% | $410,543.07 | 0.03% | - | Unclassified | United States | |
| 03466PAA | 03466PAA | Angel Oak Mortgage Trust 2024-13 144A FRB DEC 26 69 | 405,509 | $409,370.93 | 0.03% | $409,370.92 | 0.03% | - | Residential Mortgage Backed Securities | United States | |
| 55279HAW | 55279HAW | Manufacturers & Traders Trust Co 4.7% JAN 27 28 | 400,000 | $409,713.14 | 0.03% | $409,713.14 | 0.03% | - | Corporate Debt | United States | |
| 05583JAJ | 05583JAJ | BPCE SA 144A FRB JAN 20 32 | 460,000 | $408,711.41 | 0.03% | $408,711.41 | 0.03% | - | Corporate Debt | France | |
| 36179XFG | 36179XFG | Ginnie Mae II 4% SEP 20 52 | 423,358 | $405,120.80 | 0.03% | $405,120.80 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 46647PEQ | 46647PEQ | JPMorgan Chase & Co FRB OCT 22 30 | 400,000 | $405,799.30 | 0.03% | $405,799.30 | 0.03% | - | Corporate Debt | United States | |
| BT7MJ5 | BT7MJ5 | Legal & General Group PLC RegS FRB SEP 04 55 | 340,000 | $398,887.45 | 0.03% | $398,887.45 | 0.03% | - | Corporate Debt | United Kingdom | |
| BRDYC0 | BRDYC0 | Autostrade per l'Italia SpA RegS 5.125% JUN 14 33 | 310,000 | $399,358.93 | 0.03% | $399,358.93 | 0.03% | - | Corporate Debt | Italy | |
| 36179XLD | 36179XLD | Ginnie Mae II 3% NOV 20 52 | 442,836 | $399,793.65 | 0.03% | $399,793.65 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 3132DWHR | 3132DWHR | Freddie Mac Pool 4.5% JUL 01 53 | 403,135 | $395,514.22 | 0.03% | $395,514.21 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 502117AA | 502117AA | L'Oreal SA 144A 5% MAY 20 35 | 371,000 | $389,875.79 | 0.03% | $389,875.79 | 0.03% | - | Corporate Debt | France | |
| 92933BAQ | 92933BAQ | WMG Acquisition Corp 144A 3.875% JUL 15 30 | 401,000 | $387,074.28 | 0.03% | $387,074.28 | 0.03% | - | Corporate Debt | United States | |
| 36179XX5 | 36179XX5 | Ginnie Mae II 5% APR 20 53 | 381,387 | $383,477.26 | 0.03% | $383,477.27 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 68389XBJ | 68389XBJ | Oracle Corp 4% JUL 15 46 | 501,000 | $381,384.35 | 0.03% | $381,384.35 | 0.03% | - | Corporate Debt | United States | |
| FWD6027403 | SGD/USD | SGD/USD FWD 20260116 CBCL-LON | 493,274 | $381,185.73 | 0.03% | $378,975.03 | 0.03% | - | Unclassified | United States | |
| 3140XGQ4 | 3140XGQ4 | Fannie Mae 3% MAR 01 52 | 425,830 | $378,974.52 | 0.03% | $378,974.53 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 085209AG | 085209AG | Bermuda Government International Bond 144A 2.375% AUG 20 30 | 418,000 | $380,038.92 | 0.03% | $380,038.92 | 0.03% | - | Non U.S. Markets | Bermuda | |
| 46593WAA | 46593WAA | JH North America Holdings Inc 144A 5.875% JAN 31 31 | 363,000 | $377,659.05 | 0.03% | $377,659.05 | 0.03% | - | Corporate Debt | United States | |
| 3137FYUL | 3137FYUL | Freddie Mac Multifamily Structured Pass Through Certificates FRB MAR 25 31 | 16,618,909 | $377,653.00 | 0.03% | $377,653.00 | 0.03% | - | Mortgage-Backed Securities | United States | |
| BQMJ27 | BQMJ27 | Informa PLC RegS 3.375% JUN 09 31 | 320,000 | $376,731.93 | 0.03% | $376,731.93 | 0.03% | - | Corporate Debt | United Kingdom | |
| 3137H4BT | 3137H4BT | Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 31 | 13,281,588 | $376,127.07 | 0.03% | $376,127.07 | 0.03% | - | Mortgage-Backed Securities | United States | |
| BT6BGF | BT6BGF | Assa Abloy AB RegS 3.371% SEP 09 32 | 320,000 | $376,192.45 | 0.03% | $376,192.46 | 0.03% | - | Corporate Debt | Sweden | |
| 458140CJ | 458140CJ | Intel Corp 5.7% FEB 10 53 | 384,000 | $374,101.48 | 0.03% | $374,101.48 | 0.03% | - | Corporate Debt | United States | |
| 3132DWDJ | 3132DWDJ | Freddie Mac Pool 2.5% APR 01 52 | 438,316 | $374,485.61 | 0.03% | $374,485.61 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 161175CS | 161175CS | Charter Communications Operating LLC 5.85% DEC 01 35 | 371,000 | $373,554.22 | 0.03% | $373,554.23 | 0.03% | - | Corporate Debt | United States | |
| 3132DWFU | 3132DWFU | Freddie Mac Pool 6% NOV 01 52 | 361,288 | $372,995.84 | 0.03% | $372,995.85 | 0.03% | - | Mortgage-Backed Securities | United States | |
| FWD6025442 | MXN/USD | MXN/USD FWD 20260116 CGSC-LON | 6,906,867 | $368,694.03 | 0.03% | $371,766.66 | 0.03% | - | Unclassified | United States | |
| 29439DAC | 29439DAC | EQT Trust 2024-EXTR 144A FRB JUL 05 41 | 364,160 | $372,679.07 | 0.03% | $372,679.07 | 0.03% | - | Commercial Mortgage-Backed Securities | United States | |
| 92887QAB | 92887QAB | Volvo Financial Equipment LLC Series 2024-1 144A 4.56% MAY 17 27 | 367,987 | $369,254.97 | 0.03% | $369,254.96 | 0.03% | - | Asset Backed Securities | United States | |
| BL58BK | BL58BK | New Zealand Government Bond 1.75% MAY 15 41 | 933,000 | $368,356.93 | 0.03% | $368,356.93 | 0.03% | - | Non U.S. Markets | New Zealand | |
| 3618N5XL | 3618N5XL | Ginnie Mae II 3.5% OCT 20 55 | 399,960 | $367,392.89 | 0.03% | $367,392.89 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 36179NF7 | 36179NF7 | Ginnie Mae II 3.5% JUN 20 43 | 386,143 | $366,495.53 | 0.03% | $366,495.53 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 31418EBS | 31418EBS | Fannie Mae 2.5% FEB 01 52 | 427,347 | $365,558.89 | 0.03% | $365,558.89 | 0.03% | - | Mortgage-Backed Securities | United States | |
| G6564A10 | NOMD US | Nomad Foods Ltd | 32,205 | $363,916.50 | 0.03% | $363,916.50 | 0.03% | 1,733.45 | Consumer Staples | United Kingdom | |
| 286181AK | 286181AK | Element Fleet Management Corp 144A 6.319% DEC 04 28 | 334,000 | $361,654.11 | 0.03% | $361,654.11 | 0.03% | - | Corporate Debt | Canada | |
| 22003BAL | 22003BAL | COPT Defense Properties LP 2.25% MAR 15 26 | 364,000 | $361,410.60 | 0.03% | $361,410.60 | 0.03% | - | Corporate Debt | United States | |
| 3140N5ER | 3140N5ER | Fannie Mae 5.5% NOV 01 52 | 354,533 | $360,565.46 | 0.03% | $360,565.46 | 0.03% | - | Mortgage-Backed Securities | United States | |
| FWD6025398 | HUF/USD | HUF/USD FWD 20260116 CMLI-LON | 120,482,174 | $356,324.03 | 0.03% | $358,106.66 | 0.03% | - | Unclassified | United States | |
| 529043AE | 529043AE | LXP Industrial Trust 2.7% SEPT 15 30 | 389,000 | $358,225.28 | 0.03% | $358,225.28 | 0.03% | - | Corporate Debt | United States | |
| 36179XTD | 36179XTD | Ginnie Mae II 5.5% FEB 20 53 | 351,378 | $358,232.99 | 0.03% | $358,232.99 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 501044DW | 501044DW | Kroger Co 5.5% SEP 15 54 | 365,000 | $357,469.90 | 0.03% | $357,469.90 | 0.03% | - | Corporate Debt | United States | |
| 36179WNE | 36179WNE | Ginnie Mae II 2.5% SEP 20 51 | 411,123 | $356,863.55 | 0.03% | $356,863.55 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 61692CBK | 61692CBK | Morgan Stanley Capital I Trust 2021-L6 FRB JUN 15 54 | 8,998,922 | $355,125.01 | 0.03% | $355,125.01 | 0.03% | - | Commercial Mortgage-Backed Securities | United States | |
| BNM56G | BNM56G | QatarEnergy RegS 3.125% JUL 12 41 | 449,000 | $354,625.50 | 0.03% | $354,625.50 | 0.03% | - | Emerging Markets | Qatar | |
| BMFY97 | BMFY97 | Richemont International Holding SA RegS 1.625% MAY 26 40 | 400,000 | $355,201.13 | 0.03% | $355,201.13 | 0.03% | - | Corporate Debt | Switzerland | |
| 437076CQ | 437076CQ | Home Depot Inc 3.625% APR 15 52 | 471,000 | $353,065.92 | 0.03% | $353,065.92 | 0.03% | - | Corporate Debt | United States | |
| BNKB5Y | BNKB5Y | Tesco Corporate Treasury Services PLC RegS 3.375% MAY 06 32 | 300,000 | $353,838.64 | 0.03% | $353,838.64 | 0.03% | - | Corporate Debt | United Kingdom | |
| 05401ABC | 05401ABC | Avolon Holdings Funding Ltd 144A 4.95% OCT 15 32 | 355,000 | $352,842.01 | 0.03% | $352,842.01 | 0.03% | - | Corporate Debt | Ireland | |
| BRPS1Z | BRPS1Z | Linde PLC RegS 3.4% FEB 14 36 | 300,000 | $351,863.09 | 0.03% | $351,863.09 | 0.03% | - | Corporate Debt | United States | |
| 44891ABL | 44891ABL | Hyundai Capital America 144A 6.375% APR 08 30 | 328,000 | $351,783.86 | 0.03% | $351,783.85 | 0.03% | - | Corporate Debt | United States | |
| 36179XHU | 36179XHU | Ginnie Mae II 2.5% OCT 20 52 | 404,121 | $351,168.05 | 0.03% | $351,168.05 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 11135FCM | 11135FCM | Broadcom Inc 5.2% JUL 15 35 | 336,000 | $351,447.56 | 0.03% | $351,447.55 | 0.03% | - | Corporate Debt | United States | |
| BRVW3T | BRVW3T | Klepierre SA RegS 3.75% SEP 30 37 | 300,000 | $347,949.88 | 0.03% | $347,949.88 | 0.03% | - | Corporate Debt | France | |
| 00188LAA | 00188LAA | APA Infrastructure Ltd 144A 5.125% SEP 16 34 | 339,000 | $346,823.13 | 0.03% | $346,823.13 | 0.03% | - | Corporate Debt | Australia | |
| BQC960 | BQC960 | Deutsche Telekom AG RegS 3.625% FEB 03 45 | 310,000 | $346,759.28 | 0.03% | $346,759.28 | 0.03% | - | Corporate Debt | Germany | |
| 08163EBE | 08163EBE | Benchmark 2021-B26 Mortgage Trust FRB JUN 15 54 | 10,316,945 | $347,278.72 | 0.03% | $347,278.71 | 0.03% | - | Commercial Mortgage-Backed Securities | United States | |
| 00287YDV | 00287YDV | AbbVie Inc 5.35% MAR 15 44 | 342,000 | $345,717.13 | 0.03% | $345,717.13 | 0.03% | - | Corporate Debt | United States | |
| 00287YDZ | 00287YDZ | AbbVie Inc 4.875% MAR 15 30 | 334,000 | $346,140.95 | 0.03% | $346,140.95 | 0.03% | - | Corporate Debt | United States | |
| BTZKLM | BTZKLM | Fastighets AB Balder RegS 4% FEB 19 32 | 290,000 | $345,711.72 | 0.03% | $345,711.72 | 0.03% | - | Corporate Debt | Sweden | |
| 035240AM | 035240AM | Anheuser-Busch InBev Worldwide Inc 4.375% APR 15 38 | 361,000 | $345,105.30 | 0.03% | $345,105.31 | 0.03% | - | Corporate Debt | Belgium | |
| 01F0326C | 01F0326C | Fannie Mae or Freddie Mac 3.5% DEC TBA | 375,000 | $345,798.82 | 0.03% | $345,434.24 | 0.03% | - | Mortgage-Backed Securities | United States | |
| BRCDJS | BRCDJS | Landsbankinn HF RegS 3.625% NOV 03 32 | 300,000 | $345,237.53 | 0.03% | $345,237.53 | 0.03% | - | Non U.S. Markets | Iceland | |
| 31419JSM | 31419JSM | Fannie Mae 4% NOV 01 40 | 349,480 | $343,673.08 | 0.03% | $343,673.09 | 0.03% | - | Mortgage-Backed Securities | United States | |
| BRBHQ0 | BRBHQ0 | Visa Inc 3.875% MAY 15 44 | 290,000 | $344,179.39 | 0.03% | $344,179.41 | 0.03% | - | Corporate Debt | United States | |
| 29273VAW | 29273VAW | Energy Transfer LP 5.95% MAY 15 54 | 345,000 | $342,478.97 | 0.03% | $342,478.96 | 0.03% | - | Corporate Debt | United States | |
| BNBXF6 | BNBXF6 | EPH Financing International AS RegS 4.625% JUL 02 32 | 285,000 | $341,176.22 | 0.03% | $341,176.22 | 0.03% | - | Emerging Markets | Czech Republic | |
| 674599DF | 674599DF | Occidental Petroleum Corp 6.45% SEP 15 36 | 319,000 | $341,276.94 | 0.03% | $341,276.94 | 0.03% | - | Corporate Debt | United States | |
| 44107HAF | 44107HAF | NY Society for Relief of Ruptured & Crippled Maintaining Hosp Special Surgery 2.667% OCT 01 50 | 545,000 | $340,689.31 | 0.03% | $340,689.31 | 0.03% | - | Corporate Debt | United States | |
| BL6JQN | BL6JQN | RTE Reseau de Transport d'Electricite SADIR RegS 3.5% OCT 02 36 | 300,000 | $341,522.90 | 0.03% | $341,522.91 | 0.03% | - | Non U.S. Markets | France | |
| BSVLR7 | BSVLR7 | Hammerson PLC RegS 5.875% OCT 08 36 | 257,000 | $341,090.40 | 0.03% | $341,090.41 | 0.03% | - | Corporate Debt | United Kingdom | |
| 036752AZ | 036752AZ | Elevance Health Inc 5.375% JUN 15 34 | 323,000 | $339,865.77 | 0.03% | $339,865.77 | 0.03% | - | Corporate Debt | United States | |
| BTY1T2 | BTY1T2 | NatWest Group PLC RegS FRB SEP 03 34 | 290,000 | $339,705.68 | 0.03% | $339,705.68 | 0.03% | - | Corporate Debt | United Kingdom | |
| BTCJD5 | BTCJD5 | Sandoz Finance BV RegS 4% MAR 26 35 | 280,000 | $339,435.14 | 0.03% | $339,435.14 | 0.03% | - | Corporate Debt | Netherlands | |
| 253393AG | 253393AG | Dick's Sporting Goods Inc 4.1% JAN 15 52 | 446,000 | $338,126.22 | 0.03% | $338,126.22 | 0.03% | - | Corporate Debt | United States | |
| FWD6031407 | MXN/USD | MXN/USD FWD 20260116 CBCL-LON | 6,298,050 | $336,194.89 | 0.03% | $338,996.68 | 0.03% | - | Unclassified | United States | |
| 110709GJ | 110709GJ | Province of British Columbia Canada 2.95% JUN 18 50 | 600,000 | $338,448.57 | 0.03% | $338,448.58 | 0.03% | - | Non U.S. Markets | Canada | |
| 780153BV | 780153BV | Royal Caribbean Cruises Ltd 144A 6% FEB 01 33 | 325,000 | $338,555.68 | 0.03% | $338,555.68 | 0.03% | - | Corporate Debt | United States | |
| BYWKSK | BYWKSK | Crh Finance UK PLC RegS 4.125% DEC 02 29 | 250,000 | $337,524.34 | 0.03% | $337,524.35 | 0.03% | - | Corporate Debt | United States | |
| BVF914 | BVF914 | Ceske Drahy AS RegS 3.75% JUL 28 30 | 281,000 | $337,698.07 | 0.03% | $337,698.07 | 0.03% | - | Emerging Markets | Czech Republic | |
| 05493EAZ | 05493EAZ | BBCMS Mortgage Trust 2021-C9 FRB FEB 15 54 | 5,180,688 | $335,586.31 | 0.03% | $335,586.31 | 0.03% | - | Commercial Mortgage-Backed Securities | United States | |
| 44891ACT | 44891ACT | Hyundai Capital America 144A 5.25% JAN 08 27 | 326,000 | $334,762.87 | 0.03% | $334,762.87 | 0.03% | - | Corporate Debt | United States | |
| BPMQ4P | BPMQ4P | Veralto Corp 4.15% SEP 19 31 | 277,000 | $334,658.95 | 0.03% | $334,658.95 | 0.03% | - | Corporate Debt | United States | |
| BNDRF1 | BNDRF1 | BP Capital Markets BV RegS 0.933% DEC 04 40 | 440,000 | $331,872.05 | 0.03% | $331,872.05 | 0.03% | - | Corporate Debt | United States | |
| 19688XAA | 19688XAA | COLT 2024-6 Mortgage Loan Trust 144A FRB NOV 25 69 | 328,707 | $331,447.77 | 0.03% | $331,447.78 | 0.03% | - | Residential Mortgage Backed Securities | United States | |
| 3133BNXA | 3133BNXA | Freddie Mac Pool 5.5% OCT 01 52 | 322,578 | $328,552.93 | 0.03% | $328,552.94 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 771196CG | 771196CG | Roche Holdings Inc 144A 5.489% NOV 13 30 | 302,000 | $327,942.54 | 0.03% | $327,942.54 | 0.03% | - | Corporate Debt | United States | |
| 780153BW | 780153BW | Royal Caribbean Cruises Ltd 144A 5.625% SEP 30 31 | 320,000 | $327,577.12 | 0.03% | $327,577.12 | 0.03% | - | Corporate Debt | United States | |
| 36321PAD | 36321PAD | Galaxy Pipeline Assets Bidco Ltd 144A 2.16% MAR 31 34 | 357,985 | $325,893.47 | 0.03% | $325,893.47 | 0.03% | - | Emerging Markets | United Arab Emirates | |
| 36179WR3 | 36179WR3 | Ginnie Mae II 3% NOV 20 51 | 357,953 | $322,824.05 | 0.03% | $322,824.05 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 31418QPN | 31418QPN | Fannie Mae 5% APR 01 40 | 312,331 | $322,127.83 | 0.03% | $322,127.83 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 46593WAB | 46593WAB | JH North America Holdings Inc 144A 6.125% JUL 31 32 | 305,000 | $319,760.06 | 0.03% | $319,760.05 | 0.03% | - | Corporate Debt | United States | |
| FWD6022317 | CLP/USD | CLP/USD NDF 20260219 CCHA-NYC | 299,524,912 | $317,729.09 | 0.03% | $317,781.46 | 0.03% | - | Unclassified | United States | |
| FWD6017322 | GBP/USD | GBP/USD FWD 20260116 SSBT-BOS | 240,538 | $316,001.69 | 0.03% | $315,995.11 | 0.03% | - | Unclassified | United States | |
| 31292K2A | 31292K2A | Freddie Mac Gold 4.5% MAY 01 40 | 312,236 | $315,476.11 | 0.03% | $315,476.11 | 0.03% | - | Mortgage-Backed Securities | United States | |
| 446413AT | 446413AT | Huntington Ingalls Industries Inc 4.2% MAY 01 30 | 310,000 | $312,854.97 | 0.03% | $312,854.97 | 0.03% | - | Corporate Debt | United States | |
| 222793AA | 222793AA | Cousins Properties LP 5.875% OCT 01 34 | 298,000 | $312,743.36 | 0.03% | $312,743.36 | 0.03% | - | Corporate Debt | United States | |
| 12530MAA | 12530MAA | CF Hippolyta Issuer LLC 144A 1.69% JUL 15 60 | 364,620 | $312,154.17 | 0.03% | $312,154.17 | 0.03% | - | Asset Backed Securities | United States | |
| 02079KAT | 02079KAT | Alphabet Inc 4% MAY 06 54 | 270,000 | $311,193.85 | 0.03% | $311,193.85 | 0.03% | - | Corporate Debt | United States | |
| 929160BD | 929160BD | Vulcan Materials Co 5.7% DEC 01 54 | 297,000 | $310,939.56 | 0.03% | $310,939.56 | 0.03% | - | Corporate Debt | United States | |
| 771196CH | 771196CH | Roche Holdings Inc 144A 5.593% NOV 13 33 | 281,000 | $308,970.38 | 0.02% | $308,970.37 | 0.02% | - | Corporate Debt | United States | |
| 04002VAG | 04002VAG | AREIT 2022-CRE6 Trust 144A 2.25% JAN 20 37 | 312,000 | $308,923.33 | 0.02% | $308,923.33 | 0.02% | - | Commercial Mortgage-Backed Securities | United States | |
| 816851BS | 816851BS | Sempra FRB OCT 01 54 | 293,000 | $304,866.85 | 0.02% | $304,866.84 | 0.02% | - | Corporate Debt | United States | |
| 404119DH | 404119DH | HCA Inc 5.7% NOV 15 55 | 311,000 | $303,386.58 | 0.02% | $303,386.58 | 0.02% | - | Corporate Debt | United States | |
| 3140NRTV | 3140NRTV | Fannie Mae 6% NOV 01 53 | 291,720 | $301,017.38 | 0.02% | $301,017.38 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 462590NG | 462590NG | Iowa Student Loan Liquidity Corp IA Txbl-Ser A 5.080 DEC 01 39 | 300,000 | $299,969.87 | 0.02% | $299,969.87 | 0.02% | - | Municipal | United States | |
| 50222CAB | 50222CAB | Lseg US Fin Corp 144A 5.297% MAR 28 34 | 285,000 | $297,506.91 | 0.02% | $297,506.91 | 0.02% | - | Corporate Debt | United Kingdom | |
| 476556DF | 476556DF | Jersey Central Power & Light Co 5.1% JAN 15 35 | 288,000 | $296,403.84 | 0.02% | $296,403.84 | 0.02% | - | Corporate Debt | United States | |
| 92933BAT | 92933BAT | WMG Acquisition Corp 144A 3.75% DEC 01 29 | 302,000 | $293,621.86 | 0.02% | $293,621.86 | 0.02% | - | Corporate Debt | United States | |
| 343498AD | 343498AD | Flowers Foods Inc 5.75% MAR 15 35 | 286,000 | $291,241.03 | 0.02% | $291,241.03 | 0.02% | - | Corporate Debt | United States | |
| 98389BBB | 98389BBB | Xcel Energy Inc 5.5% MAR 15 34 | 275,000 | $286,669.42 | 0.02% | $286,669.42 | 0.02% | - | Corporate Debt | United States | |
| 29278GAP | 29278GAP | Enel Finance International NV 144A 2.5% JUL 12 31 | 318,000 | $286,979.68 | 0.02% | $286,979.68 | 0.02% | - | Corporate Debt | Italy | |
| 54750AAA | 54750AAA | Low Income Investment Fund 3.386% JUL 01 26 | 285,000 | $283,822.42 | 0.02% | $283,822.42 | 0.02% | - | Corporate Debt | United States | |
| 10112RAY | 10112RAY | Boston Properties LP 2.75% OCT 01 26 | 283,000 | $279,843.89 | 0.02% | $279,843.89 | 0.02% | - | Corporate Debt | United States | |
| BP0BF2 | BP0BF2 | Nippon Life Insurance Co FRB JAN 23 55 | 230,000 | $275,875.83 | 0.02% | $275,875.83 | 0.02% | - | Corporate Debt | Japan | |
| BV5PGB | BV5PGB | NTT Finance Corp REGS 3.678% JUL 16 33 | 230,000 | $273,780.08 | 0.02% | $273,780.07 | 0.02% | - | Corporate Debt | Japan | |
| 05551VBK | 05551VBK | BBCMS Trust 2021-C10 FRB JUL 15 54 | 5,386,163 | $274,359.36 | 0.02% | $274,359.36 | 0.02% | - | Commercial Mortgage-Backed Securities | United States | |
| 62954HAY | 62954HAY | NXP BV 3.4% MAY 01 30 | 279,000 | $272,284.83 | 0.02% | $272,284.83 | 0.02% | - | Corporate Debt | Netherlands | |
| 444859CA | 444859CA | Humana Inc 5.375% APR 15 31 | 264,000 | $273,305.06 | 0.02% | $273,305.05 | 0.02% | - | Corporate Debt | United States | |
| 3138EMUX | 3138EMUX | Fannie Mae 4.5% SEP 01 43 | 270,678 | $272,040.10 | 0.02% | $272,040.10 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 437076BD | 437076BD | Home Depot Inc 4.875% FEB 15 44 | 281,000 | $268,713.68 | 0.02% | $268,713.68 | 0.02% | - | Corporate Debt | United States | |
| 3138ETDL | 3138ETDL | Fannie Mae 4.5% JAN 01 43 | 264,977 | $267,509.07 | 0.02% | $267,509.07 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 3128M9BH | 3128M9BH | Freddie Mac Gold 5% JUL 01 41 | 257,990 | $267,107.67 | 0.02% | $267,107.67 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 3138WHNH | 3138WHNH | Fannie Mae 3.5% JUL 01 46 | 279,907 | $265,051.03 | 0.02% | $265,051.03 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 87264ADC | 87264ADC | T-Mobile USA Inc 5.75% JAN 15 34 | 245,000 | $263,194.06 | 0.02% | $263,194.06 | 0.02% | - | Corporate Debt | United States | |
| 3140QTX9 | 3140QTX9 | Fannie Mae 4.5% OCT 01 53 | 268,748 | $263,584.05 | 0.02% | $263,584.06 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 084659BF | 084659BF | Berkshire Hathaway Energy Co 4.6% MAY 01 53 | 294,000 | $260,618.00 | 0.02% | $260,618.00 | 0.02% | - | Corporate Debt | United States | |
| 06540CBL | 06540CBL | BANK 2021-BNK35 FRB JUN 15 64 | 6,101,160 | $259,673.18 | 0.02% | $259,673.17 | 0.02% | - | Commercial Mortgage-Backed Securities | United States | |
| 55609NAD | 55609NAD | Macquarie Airfinance Holdings Ltd 144A 6.5% MAR 26 31 | 240,000 | $257,669.15 | 0.02% | $257,669.15 | 0.02% | - | Corporate Debt | United Kingdom | |
| 55609NAE | 55609NAE | Macquarie Airfinance Holdings Ltd 144A 5.15% MAR 17 30 | 252,000 | $256,573.72 | 0.02% | $256,573.72 | 0.02% | - | Corporate Debt | United Kingdom | |
| 00440KAD | 00440KAD | Accenture Capital Inc 4.5% OCT 04 34 | 260,000 | $257,235.60 | 0.02% | $257,235.60 | 0.02% | - | Corporate Debt | United States | |
| BQXRZV | BQXRZV | DSM BV RegS 3.375% FEB 25 36 | 220,000 | $255,647.32 | 0.02% | $255,647.33 | 0.02% | - | Corporate Debt | Netherlands | |
| 50212YAQ | 50212YAQ | LPL Holdings Inc 5.75% JUN 15 35 | 244,000 | $255,735.09 | 0.02% | $255,735.09 | 0.02% | - | Corporate Debt | United States | |
| 31335ALX | 31335ALX | Freddie Mac Gold 4.5% MAY 01 42 | 253,147 | $255,864.98 | 0.02% | $255,864.98 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 06541JAR | 06541JAR | BANK 2021-BNK34 FRB JUN 15 63 | 6,532,434 | $251,425.19 | 0.02% | $251,425.19 | 0.02% | - | Commercial Mortgage-Backed Securities | United States | |
| 048930 | 048930 | United Kingdom Gilt RegS 4.25% JUN 07 32 | 185,000 | $250,254.14 | 0.02% | $250,254.13 | 0.02% | - | Non U.S. Markets | United Kingdom | |
| 12713UAA | 12713UAA | COPT Defense Properties LP 4.5% OCT 15 30 | 251,000 | $250,452.22 | 0.02% | $250,452.21 | 0.02% | - | Corporate Debt | United States | |
| 36179XFH | 36179XFH | Ginnie Mae II 4.5% SEP 20 52 | 251,376 | $248,086.97 | 0.02% | $248,086.97 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 710725 | OPAP GA | OPAP SA | 11,944 | $247,122.17 | 0.02% | $247,122.17 | 0.02% | 7,656.62 | Consumer Discretionary | Greece | |
| 46590XAX | 46590XAX | JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 6.5% DEC 01 52 | 230,000 | $244,810.47 | 0.02% | $244,810.47 | 0.02% | - | Corporate Debt | United States | |
| 571676AY | 571676AY | Mars Inc 144A 4.8% MAR 01 30 | 232,000 | $238,851.04 | 0.02% | $238,851.04 | 0.02% | - | Corporate Debt | United States | |
| 30040WBB | 30040WBB | Eversource Energy 4.45% DEC 15 30 | 240,000 | $239,584.59 | 0.02% | $239,584.59 | 0.02% | - | Corporate Debt | United States | |
| 3133CGUU | 3133CGUU | Freddie Mac Pool 6.5% NOV 01 53 | 228,690 | $238,642.93 | 0.02% | $238,642.93 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 31418DKQ | 31418DKQ | Fannie Mae 2.5% JAN 01 50 | 272,391 | $234,120.53 | 0.02% | $234,120.53 | 0.02% | - | Mortgage-Backed Securities | United States | |
| BW0204 | BW0204 | Engie SA RegS 3.25% JAN 11 32 | 200,000 | $232,171.40 | 0.02% | $232,171.40 | 0.02% | - | Corporate Debt | France | |
| BSNN7L | BSNN7L | Elia Transmission Belgium SA RegS 3.5% OCT 08 35 | 200,000 | $230,939.28 | 0.02% | $230,939.29 | 0.02% | - | Corporate Debt | Belgium | |
| 3137FUZZ | 3137FUZZ | Freddie Mac Multifamily Structured Pass Through Certificates FRB MAY 25 30 | 3,298,344 | $228,104.99 | 0.02% | $228,104.99 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 68389XDK | 68389XDK | Oracle Corp 4.8% SEP 26 32 | 230,000 | $228,705.35 | 0.02% | $228,705.35 | 0.02% | - | Corporate Debt | United States | |
| BS6VN6 | BS6VN6 | Shurgard Luxembourg Sarl RegS 3.625% OCT 22 34 | 200,000 | $227,684.71 | 0.02% | $227,684.71 | 0.02% | - | Corporate Debt | Belgium | |
| 3137FTG4 | 3137FTG4 | Freddie Mac Multifamily Structured Pass Through Certificates FRB APR 25 30 | 3,170,226 | $227,679.61 | 0.02% | $227,679.62 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 3132DWES | 3132DWES | Freddie Mac Pool 4.5% SEP 01 52 | 230,908 | $227,115.74 | 0.02% | $227,115.74 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 55282XAG | 55282XAG | MF1 Multifamily Housing Mortgage Loan Trust 144A 1.81% JUL 15 36 | 225,000 | $225,623.69 | 0.02% | $225,623.68 | 0.02% | - | Commercial Mortgage-Backed Securities | United States | |
| 31418XGC | 31418XGC | Fannie Mae 5% AUG 01 40 | 218,756 | $224,234.84 | 0.02% | $224,234.84 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 3133KNEG | 3133KNEG | Freddie Mac Pool 2.5% DEC 01 51 | 257,141 | $221,632.74 | 0.02% | $221,632.75 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 3132DWDC | 3132DWDC | Freddie Mac Pool 2% MAR 01 52 | 263,805 | $215,445.79 | 0.02% | $215,445.80 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 704326AA | 704326AA | Paychex Inc 5.1% APR 15 30 | 207,000 | $213,300.73 | 0.02% | $213,300.73 | 0.02% | - | Corporate Debt | United States | |
| 219868CM | 219868CM | Corp Andina de Fomento 144A FRB DEC 17 73 PERP | 200,000 | $210,518.87 | 0.02% | $210,518.86 | 0.02% | - | Emerging Markets | Supranational | |
| 61691YAP | 61691YAP | Morgan Stanley Capital I Trust 2021-L5 FRB MAY 15 54 | 4,567,684 | $207,427.38 | 0.02% | $207,427.38 | 0.02% | - | Commercial Mortgage-Backed Securities | United States | |
| 3138A2AX | 3138A2AX | Fannie Mae 4% DEC 01 40 | 212,882 | $207,242.95 | 0.02% | $207,242.94 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 00188LAB | 00188LAB | APA Infrastructure Ltd 144A 5.75% SEP 16 44 | 200,000 | $203,412.39 | 0.02% | $203,412.39 | 0.02% | - | Corporate Debt | Australia | |
| BV5PGH | BV5PGH | NTT Finance Corp REGS 4.091% JUL 16 37 | 168,000 | $202,995.39 | 0.02% | $202,995.39 | 0.02% | - | Corporate Debt | Japan | |
| 816851BW | 816851BW | Sempra FRB APR 01 56 | 195,000 | $202,505.36 | 0.02% | $202,505.36 | 0.02% | - | Corporate Debt | United States | |
| 3140XGQ6 | 3140XGQ6 | Fannie Mae 3% DEC 01 51 | 223,695 | $200,865.51 | 0.02% | $200,865.51 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 78017TAB | 78017TAB | Royal Caribbean Cruises Ltd 5.375% JAN 15 36 | 199,000 | $201,240.14 | 0.02% | $201,240.14 | 0.02% | - | Corporate Debt | United States | |
| 36179W2V | 36179W2V | Ginnie Mae II 3% APR 20 52 | 221,851 | $199,988.52 | 0.02% | $199,988.52 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 06542BBN | 06542BBN | BANK 2021-BNK32 FRB MAR 15 31 | 6,718,939 | $199,046.24 | 0.02% | $199,046.24 | 0.02% | - | Commercial Mortgage-Backed Securities | United States | |
| 165183CU | 165183CU | Chesapeake Funding II LLC 144A 5.65% MAY 15 35 | 196,017 | $197,597.61 | 0.02% | $197,597.61 | 0.02% | - | Asset Backed Securities | United States | |
| FWD6027306 | CNH/USD | CNH/USD FWD 20260116 CHSB-NYC | 1,400,185 | $197,601.73 | 0.02% | $196,837.60 | 0.02% | - | Unclassified | United States | |
| 3137FTZU | 3137FTZU | Freddie Mac Multifamily Structured Pass Through Certificates FRB APR 25 30 | 2,614,093 | $193,219.91 | 0.02% | $193,219.91 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 36179XBT | 36179XBT | Ginnie Mae II 4% JUL 20 52 | 200,818 | $192,312.85 | 0.02% | $192,312.86 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 758750AP | 758750AP | Regal Rexnord Corp 6.4% APR 15 33 | 178,000 | $191,288.37 | 0.02% | $191,288.37 | 0.02% | - | Corporate Debt | United States | |
| 3137FWHX | 3137FWHX | Freddie Mac Multifamily Structured Pass Through Certificates FRB AUG 25 30 | 2,713,457 | $186,516.25 | 0.02% | $186,516.25 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 08163CBE | 08163CBE | Benchmark 2021-B24 Mortgage Trust FRB MAR 15 54 | 4,565,785 | $183,477.54 | 0.01% | $183,477.54 | 0.01% | - | Commercial Mortgage-Backed Securities | United States | |
| 3140XTCU | 3140XTCU | Fannie Mae 3% MAY 01 51 | 206,141 | $183,251.07 | 0.01% | $183,251.07 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 67118KAA | 67118KAA | OBX 2024-NQM3 Trust 144A 6.129% DEC 25 63 | 179,115 | $181,866.84 | 0.01% | $181,866.84 | 0.01% | - | Residential Mortgage Backed Securities | United States | |
| 3137FXZ5 | 3137FXZ5 | Freddie Mac Multifamily Structured Pass Through Certificates FRB JAN 25 31 | 13,556,031 | $180,880.69 | 0.01% | $180,880.70 | 0.01% | - | Mortgage-Backed Securities | United States | |
| FWD6027315 | NZD/USD | NZD/USD FWD 20260116 CCIT-NYC | 317,324 | $182,199.99 | 0.01% | $181,588.68 | 0.01% | - | Unclassified | United States | |
| 04316JAF | 04316JAF | Arthur J Gallagher & Co 6.5% FEB 15 34 | 158,000 | $177,102.39 | 0.01% | $177,102.39 | 0.01% | - | Corporate Debt | United States | |
| 3137F84L | 3137F84L | Freddie Mac Multifamily Structured Pass Through Certificates FRB NOV 25 30 | 3,594,105 | $177,810.24 | 0.01% | $177,810.24 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3138EPUM | 3138EPUM | Fannie Mae 4.5% APR 01 44 | 176,372 | $177,895.58 | 0.01% | $177,895.58 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3137H3EZ | 3137H3EZ | Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 31 | 4,021,884 | $176,002.98 | 0.01% | $176,002.98 | 0.01% | - | Mortgage-Backed Securities | United States | |
| BTZJ85 | BTZJ85 | Anheuser-Busch InBev SA/NV RegS 4.125% MAY 19 45 | 150,000 | $176,462.11 | 0.01% | $176,462.12 | 0.01% | - | Corporate Debt | Belgium | |
| 44891AEA | 44891AEA | Hyundai Capital America 144A 4.5% SEP 18 30 | 175,000 | $175,579.70 | 0.01% | $175,579.70 | 0.01% | - | Corporate Debt | United States | |
| 3137HHJ4 | 3137HHJ4 | Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 34 | 2,485,542 | $174,324.67 | 0.01% | $174,324.67 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 83443Q10 | SOLS US | Solstice Advanced Materials Inc | 3,846 | $173,339.22 | 0.01% | $173,339.22 | 0.01% | 7,153.46 | Materials | United States | |
| 36179XQW | 36179XQW | Ginnie Mae II 5% JAN 20 53 | 172,791 | $173,853.07 | 0.01% | $173,853.07 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 161175CQ | 161175CQ | Charter Communications Operating LLC 6.1% JUN 01 29 | 161,000 | $172,396.41 | 0.01% | $172,396.42 | 0.01% | - | Corporate Debt | United States | |
| 05635JAB | 05635JAB | Bacardi Ltd 144A 5.4% JUN 15 33 | 168,000 | $172,895.58 | 0.01% | $172,895.58 | 0.01% | - | Corporate Debt | Bermuda | |
| 3137FVNL | 3137FVNL | Freddie Mac Multifamily Structured Pass Through Certificates FRB JUN 25 30 | 3,056,884 | $172,247.55 | 0.01% | $172,247.55 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3132DWDR | 3132DWDR | Freddie Mac Pool 2.5% MAY 01 52 | 200,575 | $170,805.74 | 0.01% | $170,805.74 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 87264ABF | 87264ABF | T-Mobile USA Inc 3.875% APR 15 30 | 175,000 | $171,713.76 | 0.01% | $171,713.75 | 0.01% | - | Corporate Debt | United States | |
| 57636QAQ | 57636QAQ | Mastercard Inc 3.85% MAR 26 50 | 211,000 | $169,514.61 | 0.01% | $169,514.62 | 0.01% | - | Corporate Debt | United States | |
| 29375QAB | 29375QAB | Enterprise Fleet Financing 2024-3 LLC 144A 5.31% APR 20 27 | 167,620 | $168,704.22 | 0.01% | $168,704.22 | 0.01% | - | Asset Backed Securities | United States | |
| 694308KL | 694308KL | Pacific Gas and Electric Co 6.1% JAN 15 29 | 159,000 | $168,717.81 | 0.01% | $168,717.81 | 0.01% | - | Corporate Debt | United States | |
| 3138ENSU | 3138ENSU | Fannie Mae 4.5% JAN 01 43 | 166,081 | $167,532.26 | 0.01% | $167,532.27 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 343498AE | 343498AE | Flowers Foods Inc 6.2% MAR 15 55 | 168,000 | $165,656.81 | 0.01% | $165,656.81 | 0.01% | - | Corporate Debt | United States | |
| 31418ECZ | 31418ECZ | Fannie Mae 2.5% APR 01 42 | 187,052 | $166,504.17 | 0.01% | $166,504.17 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 59562VBD | 59562VBD | Berkshire Hathaway Energy Co 5.15% NOV 15 43 | 163,000 | $162,035.46 | 0.01% | $162,035.46 | 0.01% | - | Corporate Debt | United States | |
| 3137H2NA | 3137H2NA | Freddie Mac Multifamily Structured Pass Through Certificates FRB JUL 25 31 | 3,177,082 | $155,523.23 | 0.01% | $155,523.23 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140QPKC | 3140QPKC | Fannie Mae 3% JUN 01 52 | 172,212 | $153,356.99 | 0.01% | $153,356.99 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140MMT7 | 3140MMT7 | Fannie Mae 2.5% APR 01 52 | 173,060 | $147,358.80 | 0.01% | $147,358.81 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 29390HAB | 29390HAB | Enterprise Fleet Financing 2025-1 LLC 144A 4.65% OCT 20 27 | 144,000 | $144,646.09 | 0.01% | $144,646.09 | 0.01% | - | Asset Backed Securities | United States | |
| 31418ECG | 31418ECG | Fannie Mae 2% MAR 01 42 | 158,976 | $138,454.00 | 0.01% | $138,454.00 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3128MJM6 | 3128MJM6 | Freddie Mac Gold 4.5% DEC 01 39 | 136,040 | $137,724.46 | 0.01% | $137,724.46 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 62954HBB | 62954HBB | NXP BV 5% JAN 15 33 | 131,000 | $134,153.75 | 0.01% | $134,153.75 | 0.01% | - | Corporate Debt | Netherlands | |
| 31419BBT | 31419BBT | Fannie Mae 4% FEB 01 41 | 134,609 | $132,344.45 | 0.01% | $132,344.44 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 36179WLP | 36179WLP | Ginnie Mae II 2.5% AUG 20 51 | 151,317 | $131,347.16 | 0.01% | $131,347.16 | 0.01% | - | Mortgage-Backed Securities | United States | |
| FWD6027300 | AUD/USD | AUD/USD FWD 20260116 CBCL-LON | 200,024 | $130,970.72 | 0.01% | $130,875.38 | 0.01% | - | Unclassified | United States | |
| 3140XEAU | 3140XEAU | Fannie Mae 3% DEC 01 51 | 144,453 | $129,864.25 | 0.01% | $129,864.26 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140MHTF | 3140MHTF | Fannie Mae 3% MAR 01 52 | 144,877 | $128,965.71 | 0.01% | $128,965.71 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 31418EV9 | 31418EV9 | Fannie Mae 6% SEP 01 53 | 125,883 | $129,520.41 | 0.01% | $129,520.41 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140QMZC | 3140QMZC | Fannie Mae 2.5% JAN 01 52 | 148,683 | $128,538.75 | 0.01% | $128,538.75 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 36179YHS | 36179YHS | Ginnie Mae II 5.5% OCT 20 53 | 124,299 | $126,564.90 | 0.01% | $126,564.90 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 31418EB8 | 31418EB8 | Fannie Mae 2% MAR 01 52 | 152,698 | $124,749.74 | 0.01% | $124,749.73 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140X54P | 3140X54P | Fannie Mae 2.5% MAR 01 50 | 144,955 | $125,116.84 | 0.01% | $125,116.84 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 694308KM | 694308KM | Pacific Gas and Electric Co 6.4% JUN 15 33 | 113,000 | $124,323.46 | 0.01% | $124,323.46 | 0.01% | - | Corporate Debt | United States | |
| 3140XJXH | 3140XJXH | Fannie Mae 6% DEC 01 52 | 119,522 | $123,305.71 | 0.01% | $123,305.71 | 0.01% | - | Mortgage-Backed Securities | United States | |
| BT03HK | BT03HK | DSV Finance BV RegS 3.375% NOV 06 32 | 100,000 | $120,232.03 | 0.01% | $120,232.02 | 0.01% | - | Corporate Debt | Denmark | |
| BT03HF | BT03HF | DSV Finance BV RegS 3.375% NOV 06 34 | 100,000 | $118,324.06 | 0.01% | $118,324.05 | 0.01% | - | Corporate Debt | Denmark | |
| 04316JAM | 04316JAM | Arthur J Gallagher & Co 5% FEB 15 32 | 114,000 | $117,477.44 | 0.01% | $117,477.45 | 0.01% | - | Corporate Debt | United States | |
| BQT2K1 | BQT2K1 | El Corte Ingles SA RegS 3.5% JUL 24 33 | 100,000 | $115,727.07 | 0.01% | $115,727.07 | 0.01% | - | Corporate Debt | Spain | |
| 3132DNXJ | 3132DNXJ | Freddie Mac Pool 2.5% SEP 01 52 | 133,851 | $114,349.61 | 0.01% | $114,349.61 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3133KPF5 | 3133KPF5 | Freddie Mac Pool 4% MAY 01 52 | 114,770 | $110,262.93 | 0.01% | $110,262.93 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 31410LDU | 31410LDU | Fannie Mae 4.5% FEB 01 41 | 109,450 | $110,563.95 | 0.01% | $110,563.95 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3138ENEK | 3138ENEK | Fannie Mae 4.5% APR 01 44 | 108,622 | $109,582.40 | 0.01% | $109,582.40 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140XDYN | 3140XDYN | Fannie Mae 2.5% DEC 01 51 | 125,664 | $108,924.51 | 0.01% | $108,924.51 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3133BAFE | 3133BAFE | Freddie Mac Pool 3% APR 01 52 | 118,363 | $106,126.01 | 0.01% | $106,126.00 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 36179WQB | 36179WQB | Ginnie Mae II 3% OCT 20 51 | 114,505 | $103,267.90 | 0.01% | $103,267.90 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 31417YRW | 31417YRW | Fannie Mae 5% AUG 01 40 | 98,205 | $101,285.22 | 0.01% | $101,285.22 | 0.01% | - | Mortgage-Backed Securities | United States | |
| FWD6022312 | USD/JPY | USD/JPY FWD 20260116 CMSD-NYC | 99,678 | $99,678.19 | 0.01% | $99,678.19 | 0.01% | - | Unclassified | United States | |
| 3137H4SM | 3137H4SM | FHMS K136 XAM 0.567 DEC 25 31 | 3,294,996 | $97,084.71 | 0.01% | $97,084.72 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140QUMP | 3140QUMP | Fannie Mae 4.5% MAY 01 54 | 94,128 | $92,114.88 | 0.01% | $92,114.88 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3137F62R | 3137F62R | Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 30 | 1,752,322 | $90,709.48 | 0.01% | $90,709.48 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3620AXZK | 3620AXZK | Ginnie Mae I 5% MAY 15 40 | 82,952 | $85,581.27 | 0.01% | $85,581.27 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140A0MB | 3140A0MB | Fannie Mae 5.5% NOV 01 53 | 84,732 | $86,162.88 | 0.01% | $86,162.88 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 01F0226C | 01F0226C | Fannie Mae or Freddie Mac 2.5% DEC TBA | 100,000 | $84,963.90 | 0.01% | $84,894.46 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 31416BW8 | 31416BW8 | Fannie Mae 4.5% MAR 01 34 | 82,608 | $82,660.89 | 0.01% | $82,660.89 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 36179YAS | 36179YAS | Ginnie Mae II 5.5% JUL 20 53 | 77,746 | $79,186.84 | 0.01% | $79,186.84 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3133KMZB | 3133KMZB | Freddie Mac Pool 2.5% OCT 01 51 | 89,923 | $77,739.74 | 0.01% | $77,739.73 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140QEAV | 3140QEAV | Fannie Mae 2.5% JUL 01 50 | 87,418 | $75,981.08 | 0.01% | $75,981.08 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3618N5EV | 3618N5EV | Ginnie Mae II 5.5% JAN 20 55 | 69,712 | $70,651.22 | 0.01% | $70,651.22 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3133KNGQ | 3133KNGQ | Freddie Mac Pool 2% DEC 01 51 | 83,697 | $68,456.05 | 0.01% | $68,456.05 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140KG3Z | 3140KG3Z | Fannie Mae 2.5% JUL 01 50 | 76,890 | $67,319.79 | 0.01% | $67,319.78 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3133A67D | 3133A67D | Freddie Mac Pool 3% JUN 01 50 | 73,603 | $66,590.45 | 0.01% | $66,590.44 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 31415MM5 | 31415MM5 | Fannie Mae 6% JUN 01 38 | 62,010 | $65,708.71 | 0.01% | $65,708.70 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 05492VAG | 05492VAG | BBCMS Mortgage Trust 2020-C7 FRB APR 15 53 | 1,378,058 | $63,785.42 | 0.01% | $63,785.42 | 0.01% | - | Commercial Mortgage-Backed Securities | United States | |
| 01F0226B | 01F0226B | Fannie Mae or Freddie Mac 2.5% NOV TBA | 75,000 | $63,727.47 | 0.01% | $63,664.98 | 0.01% | - | Mortgage-Backed Securities | United States | |
| 3140F5DA | 3140F5DA | Fannie Mae 3.5% DEC 01 46 | 62,195 | $58,972.62 | 0.00% | $58,972.62 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 98389BBE | 98389BBE | Xcel Energy Inc 5.6% APR 15 35 | 57,000 | $59,279.68 | 0.00% | $59,279.67 | 0.00% | - | Corporate Debt | United States | |
| 3140MKG8 | 3140MKG8 | Fannie Mae 3% JUN 01 52 | 60,589 | $53,932.99 | 0.00% | $53,933.00 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140KHW3 | 3140KHW3 | Fannie Mae 2.5% JUL 01 50 | 60,623 | $53,077.67 | 0.00% | $53,077.67 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 36179W7H | 36179W7H | Ginnie Mae II 2% JUN 20 52 | 62,474 | $52,086.04 | 0.00% | $52,086.04 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140QKQL | 3140QKQL | Fannie Mae 2.5% MAY 01 51 | 50,922 | $43,645.35 | 0.00% | $43,645.34 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140KG4A | 3140KG4A | Fannie Mae 2.5% JUL 01 50 | 47,683 | $41,613.67 | 0.00% | $41,613.67 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140KFYV | 3140KFYV | Fannie Mae 2.5% JUN 01 50 | 44,574 | $39,028.50 | 0.00% | $39,028.50 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140KE2N | 3140KE2N | Fannie Mae 2.5% JUN 01 50 | 44,691 | $39,069.07 | 0.00% | $39,069.07 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140MLPX | 3140MLPX | Fannie Mae 3% MAY 01 37 | 33,488 | $32,338.43 | 0.00% | $32,338.43 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140XKH7 | 3140XKH7 | Fannie Mae 3.5% MAY 01 52 | 32,320 | $30,110.75 | 0.00% | $30,110.74 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3140QKNN | 3140QKNN | Fannie Mae 2.5% MAY 01 51 | 31,998 | $27,247.11 | 0.00% | $27,247.12 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3137FTFW | 3137FTFW | Freddie Mac Multifamily Structured Pass Through Certificates FRB MAR 25 27 | 1,523,000 | $27,103.99 | 0.00% | $27,103.99 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 31413RFX | 31413RFX | Fannie Mae 6% SEP 01 37 | 23,574 | $24,691.47 | 0.00% | $24,691.47 | 0.00% | - | Mortgage-Backed Securities | United States | |
| FWD6031376 | EUR/USD | EUR/USD FWD 20260116 CUBS-STM | 20,272 | $23,469.72 | 0.00% | $23,366.89 | 0.00% | - | Unclassified | United States | |
| 3140LVSM | 3140LVSM | Fannie Mae 2.5% OCT 01 51 | 25,638 | $21,925.67 | 0.00% | $21,925.67 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 31418ED5 | 31418ED5 | Fannie Mae 2.5% JUN 01 52 | 22,138 | $18,914.14 | 0.00% | $18,914.36 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 31418D4X | 31418D4X | Fannie Mae 2% OCT 01 51 | 21,082 | $17,250.06 | 0.00% | $17,250.06 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3133KMY5 | 3133KMY5 | Freddie Mac Pool 2.5% OCT 01 51 | 18,472 | $15,799.22 | 0.00% | $15,799.23 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 3128M4V4 | 3128M4V4 | Freddie Mac Gold 5.5% JUL 01 37 | 14,958 | $15,660.59 | 0.00% | $15,660.59 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 31418D7E | 31418D7E | Fannie Mae 2% DEC 01 51 | 19,835 | $16,207.49 | 0.00% | $16,207.49 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 83162CRA | 83162CRA | United States Small Business Administration 5.31% MAY 01 27 | 11,226 | $11,507.98 | 0.00% | $11,507.98 | 0.00% | - | Agency | United States | |
| 31410KGB | 31410KGB | Fannie Mae 5.5% JAN 01 37 | 7,508 | $7,850.92 | 0.00% | $7,850.92 | 0.00% | - | Mortgage-Backed Securities | United States | |
| 31410KJU | 31410KJU | Fannie Mae 6% JUN 01 38 | 5,295 | $5,610.62 | 0.00% | $5,610.62 | 0.00% | - | Mortgage-Backed Securities | United States | |
| FWD6031377 | USD/EUR | USD/EUR FWD 20260116 CUBS-STM | -23,816 | $-23,816.02 | -0.00% | $-23,816.02 | -0.00% | - | Unclassified | United States | |
| FWD6022311 | JPY/USD | JPY/USD FWD 20260116 CMSD-NYC | -15,003,563 | $-98,127.53 | -0.01% | $-97,356.19 | -0.01% | - | Unclassified | United States | |
| FWD6027301 | USD/AUD | USD/AUD FWD 20260116 CBCL-LON | -129,275 | $-129,275.34 | -0.01% | $-129,275.34 | -0.01% | - | Unclassified | United States | |
| FWD6027314 | USD/NZD | USD/NZD FWD 20260116 CCIT-NYC | -183,078 | $-183,078.20 | -0.01% | $-183,078.20 | -0.01% | - | Unclassified | United States | |
| FWD6027307 | USD/CNH | USD/CNH FWD 20260116 CHSB-NYC | -198,411 | $-198,410.77 | -0.02% | $-198,410.77 | -0.02% | - | Unclassified | United States | |
| FWD6022318 | USD/CLP | USD/CLP NDF 20260219 CCHA-NYC | -311,046 | $-311,046.06 | -0.03% | $-311,046.06 | -0.03% | - | Unclassified | United States | |
| FWD6017321 | USD/GBP | USD/GBP FWD 20260116 SSBT-BOS | -321,168 | $-321,168.19 | -0.03% | $-321,168.19 | -0.03% | - | Unclassified | United States | |
| FWD6031406 | USD/MXN | USD/MXN FWD 20260116 CBCL-LON | -336,956 | $-336,956.44 | -0.03% | $-336,956.44 | -0.03% | - | Unclassified | United States | |
| FWD6025399 | USD/HUF | USD/HUF FWD 20260116 CMLI-LON | -355,778 | $-355,778.26 | -0.03% | $-355,778.26 | -0.03% | - | Unclassified | United States | |
| FWD6025443 | USD/MXN | USD/MXN FWD 20260116 CGSC-LON | -369,383 | $-369,382.77 | -0.03% | $-369,382.77 | -0.03% | - | Unclassified | United States | |
| FWD6027402 | USD/SGD | USD/SGD FWD 20260116 CBCL-LON | -382,628 | $-382,627.87 | -0.03% | $-382,627.87 | -0.03% | - | Unclassified | United States | |
| FWD6048320 | IDR/USD | IDR/USD NDF 20260130 CMSD-NYC | -6,849,500,650 | $-411,449.65 | -0.03% | $-411,876.17 | -0.03% | - | Unclassified | United States | |
| FWD6024369 | CHF/USD | CHF/USD FWD 20260116 CCHA-NYC | -353,096 | $-442,825.97 | -0.04% | $-438,764.83 | -0.04% | - | Unclassified | United States | |
| FWD6024359 | SGD/USD | SGD/USD FWD 20260116 SSBT-BOS | -635,186 | $-490,850.92 | -0.04% | $-488,004.22 | -0.04% | - | Unclassified | United States | |
| FWD6025387 | USD/EUR | USD/EUR FWD 20260116 CCIT-NYC | -501,713 | $-501,713.27 | -0.04% | $-501,713.27 | -0.04% | - | Unclassified | United States | |
| FWD6027316 | NZD/USD | NZD/USD FWD 20260116 SSBT-BOS | -903,934 | $-519,017.41 | -0.04% | $-517,276.02 | -0.04% | - | Unclassified | United States | |
| FWD6024357 | USD/NOK | USD/NOK FWD 20260116 CBCL-LON | -540,056 | $-540,056.46 | -0.04% | $-540,056.46 | -0.04% | - | Unclassified | United States | |
| FWD6027370 | USD/RON | USD/RON FWD 20260116 CMSD-NYC | -567,885 | $-567,885.00 | -0.05% | $-567,885.00 | -0.05% | - | Unclassified | United States | |
| FWD6017329 | EUR/USD | EUR/USD FWD 20260116 SSBT-BOS | -504,975 | $-584,621.06 | -0.05% | $-582,059.65 | -0.05% | - | Unclassified | United States | |
| FWD6020332 | EUR/USD | EUR/USD FWD 20260116 CHSB-NYC | -539,790 | $-624,927.48 | -0.05% | $-622,189.49 | -0.05% | - | Unclassified | United States | |
| FWD6024336 | CAD/USD | CAD/USD FWD 20260116 CUBS-STM | -879,071 | $-629,288.23 | -0.05% | $-626,766.23 | -0.05% | - | Unclassified | United States | |
| FWD6031343 | JPY/USD | JPY/USD FWD 20260116 CHSB-NYC | -110,514,905 | $-722,798.59 | -0.06% | $-717,117.03 | -0.06% | - | Unclassified | United States | |
| FWD6017336 | USD/AUD | USD/AUD FWD 20260116 SSBT-BOS | -727,638 | $-727,637.66 | -0.06% | $-727,637.66 | -0.06% | - | Unclassified | United States | |
| FWD6031355 | USD/GBP | USD/GBP FWD 20260116 CCIT-NYC | -762,545 | $-762,544.80 | -0.06% | $-762,544.80 | -0.06% | - | Unclassified | United States | |
| UBZ25F00 | UBZ25F00 | Euro BUXL 30Yr Future DEC 08 25 | -6 | $0.00 | 0.00% | $-803,074.31 | -0.06% | - | Non U.S. Markets | Germany | |
| FWD6027356 | USD/ILS | USD/ILS FWD 20260120 CHSB-NYC | -825,994 | $-825,994.45 | -0.07% | $-825,994.45 | -0.07% | - | Unclassified | United States | |
| FWD6027330 | NOK/USD | NOK/USD FWD 20260116 CHSB-NYC | -8,827,255 | $-871,285.26 | -0.07% | $-871,461.83 | -0.07% | - | Unclassified | United States | |
| FWD6020333 | EUR/USD | EUR/USD FWD 20260116 CDEB-LON | -797,812 | $-923,645.27 | -0.07% | $-919,598.50 | -0.07% | - | Unclassified | United States | |
| FWD6031391 | GBP/USD | GBP/USD FWD 20260116 CHSB-NYC | -734,157 | $-964,482.55 | -0.08% | $-964,462.48 | -0.08% | - | Unclassified | United States | |
| FWD6053325 | USD/CAD | USD/CAD FWD 20260116 CCHA-NYC | -971,623 | $-971,622.95 | -0.08% | $-971,622.95 | -0.08% | - | Unclassified | United States | |
| FWD6025404 | USD/DKK | USD/DKK FWD 20260116 SSBT-BOS | -1,087,933 | $-1,087,933.32 | -0.09% | $-1,087,933.32 | -0.09% | - | Unclassified | United States | |
| FWD6027418 | USD/CHF | USD/CHF FWD 20260116 CCIT-NYC | -1,244,079 | $-1,244,079.00 | -0.10% | $-1,244,079.00 | -0.10% | - | Unclassified | United States | |
| FWD6017308 | USD/JPY | USD/JPY FWD 20260116 SSBT-BOS | -1,260,507 | $-1,260,506.64 | -0.10% | $-1,260,506.64 | -0.10% | - | Unclassified | United States | |
| WNZ25F00 | WNZ25F00 | UST Ultra Bond Future DEC 19 25 | -11 | $0.00 | 0.00% | $-1,334,093.75 | -0.11% | - | U.S. Governments | United States | |
| FWD6024382 | USD/AUD | USD/AUD FWD 20260116 CCHA-NYC | -1,356,783 | $-1,356,782.93 | -0.11% | $-1,356,782.93 | -0.11% | - | Unclassified | United States | |
| FWD6017314 | EUR/USD | EUR/USD FWD 20260116 CMSD-NYC | -1,195,903 | $-1,384,523.39 | -0.11% | $-1,378,457.37 | -0.11% | - | Unclassified | United States | |
| FWD6027389 | USD/PLN | USD/PLN FWD 20260116 CMLI-LON | -1,491,800 | $-1,491,800.47 | -0.12% | $-1,491,800.47 | -0.12% | - | Unclassified | United States | |
| LGZ25F00 | LGZ25F00 | GB Govt Bond 10Yr Future DEC 29 25 | -14 | $0.00 | 0.00% | $-1,721,840.32 | -0.14% | - | Non U.S. Markets | United Kingdom | |
| FWD6043307 | CZK/USD | CZK/USD FWD 20260116 CDEB-LON | -37,229,762 | $-1,766,853.26 | -0.14% | $-1,763,566.12 | -0.14% | - | Unclassified | United States | |
| FWD6031418 | USD/AUD | USD/AUD FWD 20260116 CUBS-STM | -1,888,268 | $-1,888,267.97 | -0.15% | $-1,888,267.97 | -0.15% | - | Unclassified | United States | |
| FWD6029299 | USD/SEK | USD/SEK FWD 20260116 SSBT-BOS | -1,980,784 | $-1,980,784.34 | -0.16% | $-1,980,784.34 | -0.16% | - | Unclassified | United States | |
| FWD6031327 | USD/CHF | USD/CHF FWD 20260116 CMLI-LON | -2,055,623 | $-2,055,622.90 | -0.17% | $-2,055,622.90 | -0.17% | - | Unclassified | United States | |
| FWD6020325 | USD/MYR | USD/MYR NDF 20260115 CBCL-LON | -2,086,366 | $-2,086,366.11 | -0.17% | $-2,086,366.11 | -0.17% | - | Unclassified | United States | |
| CNZ25F00 | CNZ25F00 | Canadian Bond 10Yr Future DEC 18 25 | -27 | $0.00 | 0.00% | $-2,363,209.87 | -0.19% | - | Non U.S. Markets | Canada | |
| FWD6037317 | USD/NOK | USD/NOK FWD 20260116 CMLI-LON | -2,414,181 | $-2,414,180.57 | -0.19% | $-2,414,180.57 | -0.19% | - | Unclassified | United States | |
| FWD6025422 | USD/CZK | USD/CZK FWD 20260116 SSBT-BOS | -2,449,567 | $-2,449,566.76 | -0.20% | $-2,449,566.76 | -0.20% | - | Unclassified | United States | |
| FWD6031430 | THB/USD | THB/USD FWD 20260116 CBCL-LON | -82,277,070 | $-2,560,670.35 | -0.21% | $-2,544,520.48 | -0.21% | - | Unclassified | United States | |
| FWD6035352 | KRW/USD | KRW/USD NDF 20260116 CMSD-NYC | -4,034,687,757 | $-2,842,240.12 | -0.23% | $-2,831,856.64 | -0.23% | - | Unclassified | United States | |
| FWD6031410 | USD/THB | USD/THB FWD 20260116 CCHA-NYC | -4,565,548 | $-4,565,547.86 | -0.37% | $-4,565,547.86 | -0.37% | - | Unclassified | United States | |
| SM11834P | SM11834P | EUR ZC HICPXT JUN 15 25 R 1.8312 JUN 15 30 | -4,300,000 | $-4,956,395.00 | 0.00% | $-4,956,395.00 | -0.40% | - | Non U.S. Markets | Supranational | |
| XYZ25F00 | XYZ25F00 | UST 10Yr Ultra Bond Future DEC 19 25 | -43 | $0.00 | 0.00% | $-4,965,828.13 | -0.40% | - | U.S. Governments | United States | |
| SM11689P | SM11689P | CNY NDIRS NOV 18 24 R 1.6445 NOV 18 29 | -38,000,000 | $-5,359,250.89 | 0.00% | $-5,359,250.90 | -0.43% | - | Emerging Markets | China | |
| FWD6022337 | USD/CAD | USD/CAD FWD 20260116 CCIT-NYC | -6,180,330 | $-6,180,330.45 | -0.50% | $-6,180,330.45 | -0.50% | - | Unclassified | United States | |
| SM11716P | SM11716P | CNY NDIRS DEC 13 24 R 1.490 DEC 13 29 | -50,200,000 | $-7,072,053.30 | 0.00% | $-7,072,066.88 | -0.57% | - | Emerging Markets | China | |
| FWD6024385 | GBP/USD | GBP/USD FWD 20260116 CCHA-NYC | -5,804,258 | $-7,625,211.79 | -0.61% | $-7,625,053.14 | -0.61% | - | Unclassified | United States | |
| FWD6035354 | KRW/USD | KRW/USD NDF 20260116 CBCL-LON | -15,096,736,538 | $-10,634,912.27 | -0.86% | $-10,596,060.03 | -0.85% | - | Unclassified | United States | |
| FWD6022331 | USD/EUR | USD/EUR FWD 20260116 CCHA-NYC | -12,529,683 | $-12,529,682.62 | -1.01% | $-12,529,682.62 | -1.01% | - | Unclassified | United States | |
| FWD6013291 | USD/CNH | USD/CNH FWD 20260116 SSBT-BOS | -15,814,334 | $-15,814,333.70 | -1.27% | $-15,814,333.70 | -1.27% | - | Unclassified | United States | |
| FWD6020327 | CAD/USD | CAD/USD FWD 20260116 SSBT-BOS | -23,331,531 | $-16,702,016.64 | -1.35% | $-16,635,079.96 | -1.34% | - | Unclassified | United States | |
| FWD6027427 | USD/JPY | USD/JPY FWD 20260116 CCHA-NYC | -19,633,538 | $-19,633,537.58 | -1.58% | $-19,633,537.58 | -1.58% | - | Unclassified | United States | |
| RXZ25F00 | RXZ25F00 | Euro Bund 10Yr Future DEC 08 25 | -174 | $0.00 | 0.00% | $-25,950,600.73 | -2.09% | - | Non U.S. Markets | Germany | |
| SM11926P | SM11926P | USD ZC CPI OCT 14 25 R 2.740 OCT 14 28 | -26,500,000 | $-26,500,000.00 | 0.00% | $-26,500,000.00 | -2.14% | - | U.S. Governments | United States | |
| SM11925P | SM11925P | USD ZC CPI OCT 14 25 P .000 OCT 14 26 | -26,500,000 | $-26,500,000.00 | 0.00% | $-26,500,000.00 | -2.14% | - | U.S. Governments | United States | |
| CS100182 | CS100182 | Itraxx Eur Main S44 Payer 60.00 JAN 21 26 | 67,220,000 | $138,859.37 | 0.01% | $-35,956,364.67 | -2.90% | - | Corporate Debt | Germany | |
| CASH_USD | CASH_USD | Cash | - | 24,810,905.72 | 2.00% | 24,747,821.52 | 2.00% | - | - | - | |
| 55291X10 | 55291X10 | MFS Institutional Money Market Short Term Vehicle FRB | - | 25,218,111.76 | 2.04% | 25,221,304.90 | - | - | - | United States | |
| CASH_JPY | CASH_JPY | Yen Japan | - | 466,777.70 | 0.04% | 466,777.70 | - | - | - | Japan | |
| CASH_GBP | CASH_GBP | British Pounds | - | 407,754.24 | 0.03% | 407,754.24 | - | - | - | United Kingdom | |
| CASH_RUB | CASH_RUB | Russian Ruble (Rub) | - | 104,091.11 | 0.01% | 104,091.11 | - | - | - | Russia | |
| CAPUSD | CAPUSD | CAPUSD | - | 53,014.45 | 0.00% | 53,014.45 | - | - | - | United States | |
| CASH_KRW | CASH_KRW | South Korea Won | - | 28,666.35 | 0.00% | 28,666.35 | - | - | - | South Korea | |
| CASH_EUR | CASH_EUR | Euro | - | 19,441.52 | 0.00% | 19,441.52 | - | - | - | Germany | |
| CASH_INR | CASH_INR | Indian Rupee | - | 4,279.37 | 0.00% | 4,279.37 | - | - | - | India | |
| CASH_AUD | CASH_AUD | Australian Dollar | - | 89.49 | 0.00% | 89.49 | - | - | - | Australia | |
| CASH_NZD | CASH_NZD | New Zealand Dollar | - | 17.56 | 0.00% | 17.56 | - | - | - | New Zealand | |
| CASH_CAD | CASH_CAD | Canadian Dollar | - | 0.03 | 0.00% | 0.03 | - | - | - | Canada | |
| CASH_USD | CASH_USD | Us Dollars | - | -1,557,615.19 | -0.13% | -1,557,615.19 | - | - | - | United States | |
| CASH_DERV | - | Other | - | -276,206.19 | -1.67% | -20,726,891.51 | -1.67% | - | - | Other | |
*Short positions, unlike long positions, lose value if the underlying asset gains value.
The list of portfolio holdings is as of the date shown and may not represent current or future portfolio composition. This information should not be construed as a recommendation to buy or sell any of the securities mentioned.
This portfolio data has not been audited or adjusted for certain financial statement reclassifications. An audit could potentially result in adjustments to this data. For adjusted holdings information, please refer to the fund's quarterly portfolio holdings and semiannual reports. For audited portfolio holdings information, please refer to the fund's annual report.
A complete list of portfolio holdings for each MFS fund is generally available on mfs.com at the earliest, 19 days after the end of each month. Top 10 portfolio holdings are generally available at the earliest, 11 calendar days after the end of each month.
When posting a fund's top 10 securities holdings, if applicable, for funds with significant investments in both equity and debt instrument securities, the fund's top 10 equity and top 10 debt instrument securities will be made available. In addition, for funds that primarily invest in shares of MFS funds, when posting a fund's top 10 securities holdings, all of the following, as applicable, will be posted all securities positions in shares of MFS funds, top 10 aggregated equity securities contained within fund investments and top 10 aggregated debt instrument securities positions contained within underlying fund investments.
The information provided on this page should be read in conjunction with the fund's prospectus or summary prospectus for the portfolio being offered, which are available online here or by contacting MFS. Consider the fund's investment objectives, risks, charges, and expenses, and otherwise read these documents carefully before you invest. Shares of the funds are not FDIC-insured and are not deposits or other obligations of, or guaranteed by, any bank. Shares of the funds involve investment risk, including possible loss of principal.
MFS registered investment products are offered through MFS® Fund Distributors, Inc., Member SIPC, 111 Huntington Avenue, Boston, MA 02199.