ETF constituents for LQDW

Below, a list of constituents for LQDW (iShares Investment Grade Corporate Bond BuyWrite Strategy ETF) is shown. In total, LQDW consists of 3012 securities.

Note: The data shown here is as of date Oct 29, 2025 (the latest that can be sourced directly from the fund provider).

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

Name Sector Asset Class Market Value Weight (%) Duration Maturity Coupon (%)
ISHARES IBOXX $ INV GRADE CORPORAT Corporates Fixed Income 285,770,134.40 99.46 8.18 nan 0.00
BLK CSH FND TREASURY SL AGENCY Cash and/or Derivatives Money Market 2,630,000.00 0.92 0.11 nan 3.89
USD CASH Cash and/or Derivatives Cash -3,537.57 0.00 0.00 nan 0.00
NOV25 LQD US C @ 112 Cash and/or Derivatives Other Derivatives -1,068,892.25 -0.37 942.05 Nov 21, 2025 0.00
iShares Investment Grade Corporate Bond BuyWrite Strategy ETF nan nan nan nan nan nan nan
Fund Holdings as of nan nan nan nan nan nan nan
Inception Date nan nan nan nan nan nan nan
Shares Outstanding nan nan nan nan nan nan nan
Stock nan nan nan nan nan nan nan
Bond nan nan nan nan nan nan nan
Cash nan nan nan nan nan nan nan
Other nan nan nan nan nan nan nan
Name Asset Class Market Value Weight (%) Notional Value FX Rate Mod. Duration Yield to Call (%)
BLK CSH FND TREASURY SL AGENCY Money Market 5,577,061.67 1.94 5,577,061.67 1.00 0.12 nan
ANHEUSER-BUSCH COMPANIES LLC Fixed Income 636,267.20 0.22 636,267.20 1.00 12.36 nan
CVS HEALTH CORP Fixed Income 527,588.82 0.18 527,588.82 1.00 12.70 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 468,548.71 0.16 468,548.71 1.00 5.20 nan
PFIZER INVESTMENT ENTERPRISES PTE Fixed Income 455,174.67 0.16 455,174.67 1.00 13.89 nan
T-MOBILE USA INC Fixed Income 426,054.69 0.15 426,054.69 1.00 4.04 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 424,168.61 0.15 424,168.61 1.00 8.33 nan
BOEING CO Fixed Income 421,425.22 0.15 421,425.22 1.00 12.64 nan
ABBVIE INC Fixed Income 420,224.98 0.15 420,224.98 1.00 3.70 nan
BANK OF AMERICA CORP MTN Fixed Income 417,395.86 0.15 417,395.86 1.00 5.60 nan
AT&T INC Fixed Income 409,737.22 0.14 409,737.22 1.00 15.30 nan
ANHEUSER-BUSCH COMPANIES LLC Fixed Income 409,165.68 0.14 409,165.68 1.00 7.96 nan
BANK OF AMERICA CORP MTN Fixed Income 403,307.39 0.14 403,307.39 1.00 6.53 nan
WELLS FARGO & COMPANY MTN Fixed Income 392,562.43 0.14 392,562.43 1.00 5.58 nan
WELLS FARGO & COMPANY MTN Fixed Income 388,790.27 0.14 388,790.27 1.00 13.61 nan
META PLATFORMS INC Fixed Income 386,104.03 0.13 386,104.03 1.00 12.06 nan
AT&T INC Fixed Income 384,732.33 0.13 384,732.33 1.00 15.64 nan
PFIZER INVESTMENT ENTERPRISES PTE Fixed Income 373,615.87 0.13 373,615.87 1.00 6.17 nan
CVS HEALTH CORP Fixed Income 370,872.48 0.13 370,872.48 1.00 9.12 nan
WELLS FARGO & COMPANY MTN Fixed Income 361,756.41 0.13 361,756.41 1.00 5.63 nan
BANK OF AMERICA CORP MTN Fixed Income 358,584.36 0.12 358,584.36 1.00 6.15 nan
WELLS FARGO & COMPANY MTN Fixed Income 357,612.75 0.12 357,612.75 1.00 6.20 nan
BANK OF AMERICA CORP MTN Fixed Income 354,840.78 0.12 354,840.78 1.00 4.99 nan
PFIZER INVESTMENT ENTERPRISES PTE Fixed Income 354,126.35 0.12 354,126.35 1.00 15.34 nan
BANK OF AMERICA CORP MTN Fixed Income 352,497.46 0.12 352,497.46 1.00 14.25 nan
JPMORGAN CHASE & CO Fixed Income 351,611.57 0.12 351,611.57 1.00 6.09 nan
AMGEN INC Fixed Income 345,867.59 0.12 345,867.59 1.00 13.76 nan
META PLATFORMS INC Fixed Income 343,952.93 0.12 343,952.93 1.00 15.63 nan
JPMORGAN CHASE & CO Fixed Income 341,523.89 0.12 341,523.89 1.00 5.54 nan
ABBVIE INC Fixed Income 339,409.19 0.12 339,409.19 1.00 13.81 nan
CITIGROUP INC Fixed Income 339,094.84 0.12 339,094.84 1.00 4.96 nan
AT&T INC Fixed Income 331,664.82 0.12 331,664.82 1.00 15.49 nan
JPMORGAN CHASE & CO Fixed Income 324,206.22 0.11 324,206.22 1.00 5.63 nan
AT&T INC Fixed Income 320,576.94 0.11 320,576.94 1.00 16.10 nan
CITIGROUP INC Fixed Income 317,662.08 0.11 317,662.08 1.00 4.20 nan
JPMORGAN CHASE & CO Fixed Income 317,376.31 0.11 317,376.31 1.00 5.01 nan
MICROSOFT CORPORATION Fixed Income 316,747.62 0.11 316,747.62 1.00 16.14 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 313,175.49 0.11 313,175.49 1.00 11.45 nan
WELLS FARGO & COMPANY MTN Fixed Income 312,261.03 0.11 312,261.03 1.00 3.97 nan
JPMORGAN CHASE & CO Fixed Income 310,889.33 0.11 310,889.33 1.00 6.88 nan
MORGAN STANLEY MTN Fixed Income 308,203.09 0.11 308,203.09 1.00 3.90 nan
BANK OF AMERICA CORP MTN Fixed Income 305,688.31 0.11 305,688.31 1.00 7.14 nan
MICROSOFT CORPORATION Fixed Income 305,402.54 0.11 305,402.54 1.00 15.91 nan
CITIBANK NA Fixed Income 298,801.25 0.10 298,801.25 1.00 4.00 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 297,000.90 0.10 297,000.90 1.00 12.90 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 296,858.02 0.10 296,858.02 1.00 4.85 nan
BANK OF AMERICA CORP MTN Fixed Income 295,943.55 0.10 295,943.55 1.00 6.28 nan
VERIZON COMMUNICATIONS INC Fixed Income 294,143.20 0.10 294,143.20 1.00 5.77 nan
CITIGROUP INC Fixed Income 288,142.03 0.10 288,142.03 1.00 5.52 nan
DEUTSCHE TELEKOM INTERNATIONAL FIN Fixed Income 281,740.78 0.10 281,740.78 1.00 3.78 nan
JPMORGAN CHASE & CO Fixed Income 281,426.43 0.10 281,426.43 1.00 7.37 nan
COMCAST CORPORATION Fixed Income 280,797.73 0.10 280,797.73 1.00 16.15 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 280,683.43 0.10 280,683.43 1.00 3.33 nan
WELLS FARGO & COMPANY MTN Fixed Income 280,540.54 0.10 280,540.54 1.00 6.13 nan
APPLE INC Fixed Income 280,254.77 0.10 280,254.77 1.00 12.67 nan
BANK OF AMERICA CORP MTN Fixed Income 278,368.69 0.10 278,368.69 1.00 5.42 nan
JPMORGAN CHASE & CO Fixed Income 276,939.84 0.10 276,939.84 1.00 4.87 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 275,482.41 0.10 275,482.41 1.00 7.17 nan
MORGAN STANLEY MTN Fixed Income 274,625.10 0.10 274,625.10 1.00 3.59 nan
JPMORGAN CHASE & CO Fixed Income 274,510.79 0.10 274,510.79 1.00 5.40 nan
AMGEN INC Fixed Income 274,225.02 0.10 274,225.02 1.00 6.02 nan
ABBVIE INC Fixed Income 272,024.59 0.09 272,024.59 1.00 10.19 nan
CITIGROUP INC (FX-FRN) Fixed Income 271,967.44 0.09 271,967.44 1.00 5.55 nan
BANK OF AMERICA CORP MTN Fixed Income 270,538.59 0.09 270,538.59 1.00 5.56 nan
ORACLE CORPORATION Fixed Income 267,623.73 0.09 267,623.73 1.00 11.46 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 264,480.26 0.09 264,480.26 1.00 14.20 nan
MORGAN STANLEY MTN Fixed Income 263,965.87 0.09 263,965.87 1.00 6.69 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 263,280.02 0.09 263,280.02 1.00 5.49 nan
JPMORGAN CHASE & CO Fixed Income 262,508.45 0.09 262,508.45 1.00 7.19 nan
WELLS FARGO & COMPANY MTN Fixed Income 262,022.64 0.09 262,022.64 1.00 3.72 nan
ORACLE CORPORATION Fixed Income 261,508.25 0.09 261,508.25 1.00 4.06 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 260,736.67 0.09 260,736.67 1.00 5.59 nan
BOEING CO Fixed Income 260,107.98 0.09 260,107.98 1.00 14.23 nan
ABBOTT LABORATORIES Fixed Income 252,077.84 0.09 252,077.84 1.00 12.63 nan
WELLS FARGO & COMPANY MTN Fixed Income 249,420.17 0.09 249,420.17 1.00 6.52 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 248,934.36 0.09 248,934.36 1.00 11.01 nan
MORGAN STANLEY PRIVATE BANK NA Fixed Income 248,191.36 0.09 248,191.36 1.00 4.14 nan
HSBC HOLDINGS PLC Fixed Income 246,391.01 0.09 246,391.01 1.00 5.59 nan
WELLS FARGO & COMPANY MTN Fixed Income 246,305.28 0.09 246,305.28 1.00 3.96 nan
WELLS FARGO & COMPANY Fixed Income 245,933.78 0.09 245,933.78 1.00 6.29 nan
MORGAN STANLEY (FXD-FRN) MTN Fixed Income 245,819.47 0.09 245,819.47 1.00 5.66 nan
CITIGROUP INC Fixed Income 245,648.01 0.09 245,648.01 1.00 3.95 nan
VERIZON COMMUNICATIONS INC Fixed Income 245,133.62 0.09 245,133.62 1.00 4.93 nan
BANK OF AMERICA CORP MTN Fixed Income 243,704.77 0.08 243,704.77 1.00 3.97 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 243,104.65 0.08 243,104.65 1.00 3.24 nan
JPMORGAN CHASE & CO Fixed Income 242,904.61 0.08 242,904.61 1.00 6.72 nan
MORGAN STANLEY MTN Fixed Income 242,761.73 0.08 242,761.73 1.00 14.19 nan
COMCAST CORPORATION Fixed Income 242,304.50 0.08 242,304.50 1.00 15.21 nan
ORACLE CORPORATION Fixed Income 241,647.23 0.08 241,647.23 1.00 5.79 nan
ABBVIE INC Fixed Income 240,561.30 0.08 240,561.30 1.00 14.38 nan
WELLS FARGO & COMPANY FX-FRN MTN Fixed Income 240,532.72 0.08 240,532.72 1.00 14.44 nan
JPMORGAN CHASE & CO Fixed Income 240,304.11 0.08 240,304.11 1.00 13.79 nan
BANK OF AMERICA CORP Fixed Income 240,275.53 0.08 240,275.53 1.00 3.44 nan
MORGAN STANLEY MTN Fixed Income 239,761.14 0.08 239,761.14 1.00 5.22 nan
BANK OF AMERICA CORP MTN Fixed Income 239,246.76 0.08 239,246.76 1.00 11.28 nan
CITIGROUP INC Fixed Income 238,246.56 0.08 238,246.56 1.00 5.38 nan
APPLE INC Fixed Income 238,075.10 0.08 238,075.10 1.00 4.93 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 237,589.29 0.08 237,589.29 1.00 5.41 nan
META PLATFORMS INC Fixed Income 236,531.94 0.08 236,531.94 1.00 14.15 nan
VERIZON COMMUNICATIONS INC Fixed Income 235,760.36 0.08 235,760.36 1.00 14.83 nan
BOEING CO Fixed Income 235,588.90 0.08 235,588.90 1.00 9.58 nan
BANK OF AMERICA CORP Fixed Income 235,103.09 0.08 235,103.09 1.00 5.22 nan
CITIGROUP INC Fixed Income 234,788.74 0.08 234,788.74 1.00 3.67 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 234,417.24 0.08 234,417.24 1.00 7.79 nan
PFIZER INVESTMENT ENTERPRISES PTE Fixed Income 232,959.81 0.08 232,959.81 1.00 11.16 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 232,788.35 0.08 232,788.35 1.00 14.09 nan
JPMORGAN CHASE & CO Fixed Income 231,931.04 0.08 231,931.04 1.00 6.55 nan
MORGAN STANLEY MTN Fixed Income 231,330.92 0.08 231,330.92 1.00 3.70 nan
BOEING CO Fixed Income 231,045.15 0.08 231,045.15 1.00 3.90 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 230,587.92 0.08 230,587.92 1.00 11.09 nan
MORGAN STANLEY MTN Fixed Income 229,702.03 0.08 229,702.03 1.00 6.85 nan
CITIGROUP INC Fixed Income 229,559.15 0.08 229,559.15 1.00 3.92 nan
VERIZON COMMUNICATIONS INC Fixed Income 228,816.15 0.08 228,816.15 1.00 11.26 nan
ORACLE CORPORATION Fixed Income 228,501.80 0.08 228,501.80 1.00 14.08 nan
BANK OF AMERICA CORP MTN Fixed Income 227,815.95 0.08 227,815.95 1.00 3.85 nan
BROADCOM INC Fixed Income 226,529.99 0.08 226,529.99 1.00 7.17 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 226,244.22 0.08 226,244.22 1.00 14.01 nan
CVS HEALTH CORP Fixed Income 226,244.22 0.08 226,244.22 1.00 11.76 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 225,358.33 0.08 225,358.33 1.00 3.44 nan
VERIZON COMMUNICATIONS INC Fixed Income 225,158.29 0.08 225,158.29 1.00 3.67 nan
AMGEN INC Fixed Income 223,786.59 0.08 223,786.59 1.00 15.21 nan
JPMORGAN CHASE & CO Fixed Income 222,300.59 0.08 222,300.59 1.00 3.93 nan
HSBC HOLDINGS PLC Fixed Income 221,957.66 0.08 221,957.66 1.00 3.22 nan
CITIGROUP INC Fixed Income 221,529.01 0.08 221,529.01 1.00 5.59 nan
BROADCOM INC 144A Fixed Income 220,986.04 0.08 220,986.04 1.00 8.23 nan
AT&T INC Fixed Income 219,928.70 0.08 219,928.70 1.00 7.02 nan
BANK OF AMERICA CORP MTN Fixed Income 219,414.31 0.08 219,414.31 1.00 4.41 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 219,328.58 0.08 219,328.58 1.00 7.13 nan
META PLATFORMS INC Fixed Income 218,985.65 0.08 218,985.65 1.00 15.47 nan
MORGAN STANLEY MTN Fixed Income 218,757.04 0.08 218,757.04 1.00 5.10 nan
CITIGROUP INC Fixed Income 218,328.38 0.08 218,328.38 1.00 3.51 nan
JPMORGAN CHASE & CO Fixed Income 218,014.04 0.08 218,014.04 1.00 4.69 nan
AMGEN INC Fixed Income 217,556.80 0.08 217,556.80 1.00 10.98 nan
MORGAN STANLEY (FXD-FRN) MTN Fixed Income 217,013.84 0.08 217,013.84 1.00 4.42 nan
AMAZON.COM INC Fixed Income 216,499.45 0.08 216,499.45 1.00 13.51 nan
WALT DISNEY CO Fixed Income 215,985.07 0.08 215,985.07 1.00 4.74 nan
GOLDMAN SACHS GROUP INC (FXD-FRN) Fixed Income 215,642.14 0.08 215,642.14 1.00 4.42 nan
BOEING CO Fixed Income 215,156.33 0.07 215,156.33 1.00 13.05 nan
BANK OF AMERICA CORP MTN Fixed Income 214,241.87 0.07 214,241.87 1.00 5.56 nan
META PLATFORMS INC Fixed Income 214,156.14 0.07 214,156.14 1.00 14.43 nan
BANK OF AMERICA CORP MTN Fixed Income 213,756.06 0.07 213,756.06 1.00 4.65 nan
MORGAN STANLEY Fixed Income 212,498.67 0.07 212,498.67 1.00 6.51 nan
PFIZER INC Fixed Income 211,927.13 0.07 211,927.13 1.00 8.95 nan
ABBVIE INC Fixed Income 211,812.82 0.07 211,812.82 1.00 7.51 nan
UNITEDHEALTH GROUP INC Fixed Income 210,298.24 0.07 210,298.24 1.00 13.96 nan
WELLS FARGO & CO Fixed Income 210,212.51 0.07 210,212.51 1.00 11.16 nan
ABBVIE INC Fixed Income 210,126.78 0.07 210,126.78 1.00 7.51 nan
WELLS FARGO & COMPANY MTN Fixed Income 209,783.86 0.07 209,783.86 1.00 7.77 nan
MORGAN STANLEY MTN Fixed Income 208,926.55 0.07 208,926.55 1.00 7.32 nan
ABBVIE INC Fixed Income 208,612.20 0.07 208,612.20 1.00 12.09 nan
BANK OF AMERICA CORP Fixed Income 208,440.74 0.07 208,440.74 1.00 11.46 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 208,383.58 0.07 208,383.58 1.00 11.88 nan
ABBVIE INC Fixed Income 208,212.12 0.07 208,212.12 1.00 6.76 nan
CITIGROUP INC Fixed Income 208,012.08 0.07 208,012.08 1.00 6.72 nan
AMAZON.COM INC Fixed Income 207,812.04 0.07 207,812.04 1.00 15.32 nan
HSBC HOLDINGS PLC Fixed Income 207,697.73 0.07 207,697.73 1.00 10.75 nan
HSBC HOLDINGS PLC Fixed Income 206,897.58 0.07 206,897.58 1.00 4.18 nan
JPMORGAN CHASE & CO Fixed Income 206,783.27 0.07 206,783.27 1.00 7.14 nan
ORACLE CORPORATION Fixed Income 206,754.69 0.07 206,754.69 1.00 7.61 nan
ALTRIA GROUP INC Fixed Income 206,611.81 0.07 206,611.81 1.00 12.49 nan
ORACLE CORPORATION Fixed Income 206,354.61 0.07 206,354.61 1.00 12.29 nan
JPMORGAN CHASE & CO Fixed Income 206,297.46 0.07 206,297.46 1.00 3.69 nan
MORGAN STANLEY MTN Fixed Income 206,097.42 0.07 206,097.42 1.00 5.43 nan
JPMORGAN CHASE & CO Fixed Income 205,783.07 0.07 205,783.07 1.00 9.07 nan
MORGAN STANLEY MTN Fixed Income 205,583.03 0.07 205,583.03 1.00 5.53 nan
AMGEN INC Fixed Income 205,383.00 0.07 205,383.00 1.00 13.83 nan
JPMORGAN CHASE & CO Fixed Income 205,268.69 0.07 205,268.69 1.00 3.34 nan
HOME DEPOT INC Fixed Income 204,811.46 0.07 204,811.46 1.00 8.10 nan
HSBC HOLDINGS PLC Fixed Income 204,068.45 0.07 204,068.45 1.00 4.98 nan
PFIZER INC Fixed Income 203,868.41 0.07 203,868.41 1.00 4.10 nan
JPMORGAN CHASE & CO Fixed Income 203,468.34 0.07 203,468.34 1.00 3.14 nan
BRITISH TELECOMMUNICATIONS PLC Fixed Income 203,011.10 0.07 203,011.10 1.00 4.05 nan
MORGAN STANLEY MTN Fixed Income 201,582.25 0.07 201,582.25 1.00 4.91 nan
MORGAN STANLEY MTN Fixed Income 199,896.21 0.07 199,896.21 1.00 6.21 nan
CITIGROUP INC Fixed Income 199,696.17 0.07 199,696.17 1.00 13.21 nan
FISERV INC Fixed Income 199,438.98 0.07 199,438.98 1.00 3.35 nan
WELLS FARGO & COMPANY MTN Fixed Income 199,038.90 0.07 199,038.90 1.00 11.09 nan
JPMORGAN CHASE & CO Fixed Income 198,410.20 0.07 198,410.20 1.00 3.25 nan
VERIZON COMMUNICATIONS INC Fixed Income 198,181.59 0.07 198,181.59 1.00 16.46 nan
HSBC HOLDINGS PLC Fixed Income 198,153.01 0.07 198,153.01 1.00 3.93 nan
MORGAN STANLEY MTN Fixed Income 196,667.01 0.07 196,667.01 1.00 6.15 nan
META PLATFORMS INC Fixed Income 196,295.51 0.07 196,295.51 1.00 14.33 nan
GLAXOSMITHKLINE CAPITAL INC Fixed Income 194,866.65 0.07 194,866.65 1.00 8.62 nan
VISA INC Fixed Income 194,809.50 0.07 194,809.50 1.00 12.66 nan
SHELL INTERNATIONAL FINANCE BV Fixed Income 194,609.46 0.07 194,609.46 1.00 8.94 nan
BROADCOM INC 144A Fixed Income 194,380.85 0.07 194,380.85 1.00 8.86 nan
T-MOBILE USA INC Fixed Income 194,209.38 0.07 194,209.38 1.00 6.26 nan
BARCLAYS PLC Fixed Income 193,980.77 0.07 193,980.77 1.00 3.80 nan
BARCLAYS PLC Fixed Income 193,952.19 0.07 193,952.19 1.00 7.14 nan
MORGAN STANLEY MTN Fixed Income 193,895.04 0.07 193,895.04 1.00 7.10 nan
MORGAN STANLEY MTN Fixed Income 193,809.31 0.07 193,809.31 1.00 3.13 nan
CIGNA GROUP Fixed Income 193,523.54 0.07 193,523.54 1.00 12.96 nan
MICROSOFT CORPORATION Fixed Income 193,123.46 0.07 193,123.46 1.00 18.14 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 192,437.61 0.07 192,437.61 1.00 13.06 nan
HSBC HOLDINGS PLC Fixed Income 192,066.11 0.07 192,066.11 1.00 4.42 nan
COMCAST CORPORATION Fixed Income 191,351.68 0.07 191,351.68 1.00 16.86 nan
JPMORGAN CHASE & CO Fixed Income 191,294.53 0.07 191,294.53 1.00 4.16 nan
KRAFT HEINZ FOODS CO Fixed Income 191,237.37 0.07 191,237.37 1.00 12.46 nan
ABBVIE INC Fixed Income 191,123.07 0.07 191,123.07 1.00 11.32 nan
JPMORGAN CHASE & CO Fixed Income 190,837.30 0.07 190,837.30 1.00 15.35 nan
BANK OF AMERICA CORP Fixed Income 190,180.02 0.07 190,180.02 1.00 4.89 nan
JPMORGAN CHASE & CO Fixed Income 189,808.52 0.07 189,808.52 1.00 7.84 nan
WELLS FARGO & COMPANY MTN Fixed Income 189,694.22 0.07 189,694.22 1.00 7.34 nan
JPMORGAN CHASE & CO Fixed Income 188,322.52 0.07 188,322.52 1.00 6.34 nan
MORGAN STANLEY MTN Fixed Income 187,951.02 0.07 187,951.02 1.00 7.81 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 187,836.71 0.07 187,836.71 1.00 5.00 nan
HSBC HOLDINGS PLC FXD-FLT Fixed Income 187,465.21 0.07 187,465.21 1.00 6.94 nan
META PLATFORMS INC Fixed Income 187,122.28 0.07 187,122.28 1.00 13.61 nan
JPMORGAN CHASE & CO Fixed Income 186,922.24 0.07 186,922.24 1.00 11.57 nan
T-MOBILE USA INC Fixed Income 186,922.24 0.07 186,922.24 1.00 13.76 nan
BANK OF AMERICA CORP MTN Fixed Income 185,407.66 0.06 185,407.66 1.00 4.17 nan
UNITEDHEALTH GROUP INC Fixed Income 184,636.08 0.06 184,636.08 1.00 13.60 nan
CITIGROUP INC Fixed Income 184,264.58 0.06 184,264.58 1.00 8.77 nan
AT&T INC Fixed Income 183,750.20 0.06 183,750.20 1.00 14.42 nan
ASTRAZENECA PLC Fixed Income 183,035.77 0.06 183,035.77 1.00 8.46 nan
ORACLE CORPORATION Fixed Income 182,950.04 0.06 182,950.04 1.00 10.57 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 182,492.81 0.06 182,492.81 1.00 11.58 nan
NATWEST GROUP PLC Fixed Income 182,064.15 0.06 182,064.15 1.00 3.39 nan
ORACLE CORPORATION Fixed Income 181,892.69 0.06 181,892.69 1.00 12.61 nan
AT&T INC Fixed Income 181,749.81 0.06 181,749.81 1.00 7.47 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 181,749.81 0.06 181,749.81 1.00 6.86 nan
MORGAN STANLEY Fixed Income 181,635.50 0.06 181,635.50 1.00 12.37 nan
JPMORGAN CHASE & CO Fixed Income 181,578.34 0.06 181,578.34 1.00 3.74 nan
CENTENE CORPORATION Fixed Income 181,521.19 0.06 181,521.19 1.00 3.63 nan
BROADCOM INC Fixed Income 181,206.84 0.06 181,206.84 1.00 7.49 nan
T-MOBILE USA INC Fixed Income 180,606.72 0.06 180,606.72 1.00 4.83 nan
ORACLE CORPORATION Fixed Income 180,263.80 0.06 180,263.80 1.00 14.43 nan
ORACLE CORPORATION Fixed Income 180,035.18 0.06 180,035.18 1.00 4.34 nan
TAKEDA PHARMACEUTICAL CO LTD Fixed Income 179,806.57 0.06 179,806.57 1.00 4.14 nan
BROADCOM INC Fixed Income 178,777.80 0.06 178,777.80 1.00 5.60 nan
AMGEN INC Fixed Income 178,034.79 0.06 178,034.79 1.00 5.68 nan
CITIGROUP INC Fixed Income 177,920.49 0.06 177,920.49 1.00 7.33 nan
CITIGROUP INC Fixed Income 177,291.79 0.06 177,291.79 1.00 14.33 nan
BANK OF AMERICA CORP MTN Fixed Income 177,234.64 0.06 177,234.64 1.00 3.70 nan
CITIGROUP INC (FXD-FRN) Fixed Income 176,234.44 0.06 176,234.44 1.00 4.30 nan
GILEAD SCIENCES INC Fixed Income 176,034.40 0.06 176,034.40 1.00 12.51 nan
CIGNA GROUP Fixed Income 174,948.48 0.06 174,948.48 1.00 9.28 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 174,919.90 0.06 174,919.90 1.00 6.70 nan
MORGAN STANLEY Fixed Income 174,634.13 0.06 174,634.13 1.00 9.59 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 174,576.98 0.06 174,576.98 1.00 4.35 nan
VERIZON COMMUNICATIONS INC Fixed Income 173,833.97 0.06 173,833.97 1.00 12.44 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 173,748.24 0.06 173,748.24 1.00 9.04 nan
VERIZON COMMUNICATIONS INC Fixed Income 173,691.09 0.06 173,691.09 1.00 7.33 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 173,519.63 0.06 173,519.63 1.00 9.93 nan
BANCO SANTANDER SA Fixed Income 172,948.09 0.06 172,948.09 1.00 4.82 nan
ORANGE SA Fixed Income 172,290.81 0.06 172,290.81 1.00 4.31 nan
BARCLAYS PLC Fixed Income 171,662.12 0.06 171,662.12 1.00 5.39 nan
MORGAN STANLEY Fixed Income 171,547.81 0.06 171,547.81 1.00 3.95 nan
ORACLE CORPORATION Fixed Income 171,147.73 0.06 171,147.73 1.00 15.45 nan
VERIZON COMMUNICATIONS INC Fixed Income 171,090.58 0.06 171,090.58 1.00 16.73 nan
NORTHROP GRUMMAN CORP Fixed Income 170,690.50 0.06 170,690.50 1.00 13.56 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 170,633.35 0.06 170,633.35 1.00 15.01 nan
BANK OF AMERICA CORP MTN Fixed Income 170,404.73 0.06 170,404.73 1.00 11.64 nan
HSBC HOLDINGS PLC Fixed Income 170,176.12 0.06 170,176.12 1.00 5.89 nan
ORACLE CORPORATION Fixed Income 170,061.81 0.06 170,061.81 1.00 13.98 nan
AT&T INC Fixed Income 169,947.50 0.06 169,947.50 1.00 6.59 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 169,890.34 0.06 169,890.34 1.00 13.50 nan
CISCO SYSTEMS INC Fixed Income 169,804.61 0.06 169,804.61 1.00 14.32 nan
JPMORGAN CHASE & CO Fixed Income 169,233.07 0.06 169,233.07 1.00 15.27 nan
ORACLE CORPORATION Fixed Income 169,233.07 0.06 169,233.07 1.00 3.47 nan
EXXON MOBIL CORP Fixed Income 169,004.46 0.06 169,004.46 1.00 15.19 nan
BROADCOM INC Fixed Income 168,718.69 0.06 168,718.69 1.00 8.01 nan
AT&T INC Fixed Income 168,461.49 0.06 168,461.49 1.00 11.14 nan
INTEL CORPORATION Fixed Income 168,147.15 0.06 168,147.15 1.00 13.41 nan
JPMORGAN CHASE & CO Fixed Income 167,689.91 0.06 167,689.91 1.00 4.03 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 167,204.11 0.06 167,204.11 1.00 14.90 nan
ROGERS COMMUNICATIONS INC Fixed Income 167,146.95 0.06 167,146.95 1.00 5.54 nan
FORD MOTOR COMPANY Fixed Income 167,032.64 0.06 167,032.64 1.00 5.49 nan
AMAZON.COM INC Fixed Income 166,889.76 0.06 166,889.76 1.00 4.33 nan
APPLE INC Fixed Income 166,318.22 0.06 166,318.22 1.00 11.89 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 166,118.18 0.06 166,118.18 1.00 3.14 nan
BANK OF AMERICA CORP MTN Fixed Income 166,089.60 0.06 166,089.60 1.00 7.25 nan
ALTRIA GROUP INC Fixed Income 165,803.83 0.06 165,803.83 1.00 9.16 nan
BROADCOM INC Fixed Income 165,489.48 0.06 165,489.48 1.00 4.85 nan
WELLS FARGO & COMPANY MTN Fixed Income 165,203.71 0.06 165,203.71 1.00 3.73 nan
BROADCOM INC Fixed Income 164,832.21 0.06 164,832.21 1.00 7.21 nan
ORACLE CORPORATION Fixed Income 164,746.48 0.06 164,746.48 1.00 3.55 nan
WELLS FARGO & COMPANY MTN Fixed Income 164,403.56 0.06 164,403.56 1.00 3.96 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 163,832.02 0.06 163,832.02 1.00 3.97 nan
BANK OF AMERICA CORP MTN Fixed Income 163,774.86 0.06 163,774.86 1.00 13.75 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 163,546.25 0.06 163,546.25 1.00 3.48 nan
MORGAN STANLEY Fixed Income 163,003.28 0.06 163,003.28 1.00 13.00 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 162,946.13 0.06 162,946.13 1.00 4.13 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 162,574.63 0.06 162,574.63 1.00 6.04 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 162,431.74 0.06 162,431.74 1.00 3.60 nan
KROGER CO Fixed Income 162,288.86 0.06 162,288.86 1.00 7.07 nan
CITIGROUP INC Fixed Income 162,174.55 0.06 162,174.55 1.00 2.97 nan
HEWLETT PACKARD ENTERPRISE CO Fixed Income 161,603.01 0.06 161,603.01 1.00 7.13 nan
MORGAN STANLEY Fixed Income 161,460.13 0.06 161,460.13 1.00 10.50 nan
WELLS FARGO & COMPANY MTN Fixed Income 161,260.09 0.06 161,260.09 1.00 7.06 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 160,517.08 0.06 160,517.08 1.00 12.77 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 160,517.08 0.06 160,517.08 1.00 4.24 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 159,488.31 0.06 159,488.31 1.00 3.92 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 159,173.96 0.06 159,173.96 1.00 15.47 nan
BAT CAPITAL CORP Fixed Income 158,888.19 0.06 158,888.19 1.00 8.87 nan
META PLATFORMS INC Fixed Income 158,773.89 0.06 158,773.89 1.00 4.50 nan
SHELL FINANCE US INC Fixed Income 158,573.85 0.06 158,573.85 1.00 12.25 nan
HSBC HOLDINGS PLC FXD-TO-FLT Fixed Income 158,430.96 0.06 158,430.96 1.00 3.54 nan
JPMORGAN CHASE & CO Fixed Income 158,173.77 0.06 158,173.77 1.00 8.64 nan
AT&T INC Fixed Income 157,945.15 0.05 157,945.15 1.00 13.94 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 157,687.96 0.05 157,687.96 1.00 4.10 nan
SYNOPSYS INC Fixed Income 157,259.30 0.05 157,259.30 1.00 3.93 nan
LLOYDS BANKING GROUP PLC Fixed Income 157,116.42 0.05 157,116.42 1.00 3.17 nan
ORACLE CORPORATION Fixed Income 156,944.96 0.05 156,944.96 1.00 4.89 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 156,773.50 0.05 156,773.50 1.00 3.95 nan
AT&T INC Fixed Income 155,744.72 0.05 155,744.72 1.00 3.85 nan
ORACLE CORPORATION Fixed Income 155,544.68 0.05 155,544.68 1.00 11.01 nan
VERIZON COMMUNICATIONS INC Fixed Income 155,544.68 0.05 155,544.68 1.00 15.20 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 155,316.07 0.05 155,316.07 1.00 11.53 nan
CITIBANK NA Fixed Income 155,258.91 0.05 155,258.91 1.00 6.78 nan
ALLY FINANCIAL INC Fixed Income 155,058.87 0.05 155,058.87 1.00 4.67 nan
ELI LILLY AND COMPANY Fixed Income 154,858.84 0.05 154,858.84 1.00 4.73 nan
TRUIST FINANCIAL CORP MTN Fixed Income 154,601.64 0.05 154,601.64 1.00 6.47 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 154,401.60 0.05 154,401.60 1.00 4.79 nan
AT&T INC Fixed Income 154,315.87 0.05 154,315.87 1.00 5.02 nan
MORGAN STANLEY MTN Fixed Income 154,172.99 0.05 154,172.99 1.00 5.61 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 153,972.95 0.05 153,972.95 1.00 4.48 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 153,887.22 0.05 153,887.22 1.00 3.97 nan
HCA INC Fixed Income 153,830.06 0.05 153,830.06 1.00 12.75 nan
COCA-COLA CO Fixed Income 153,572.87 0.05 153,572.87 1.00 15.77 nan
BANCO SANTANDER SA Fixed Income 153,401.41 0.05 153,401.41 1.00 4.60 nan
AMAZON.COM INC Fixed Income 152,944.18 0.05 152,944.18 1.00 15.83 nan
AT&T INC Fixed Income 152,772.71 0.05 152,772.71 1.00 7.78 nan
BARCLAYS PLC Fixed Income 152,601.25 0.05 152,601.25 1.00 5.87 nan
BOEING CO Fixed Income 152,401.21 0.05 152,401.21 1.00 6.41 nan
BAXTER INTERNATIONAL INC Fixed Income 152,344.06 0.05 152,344.06 1.00 5.61 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 151,801.10 0.05 151,801.10 1.00 4.39 nan
VERIZON COMMUNICATIONS INC Fixed Income 151,715.36 0.05 151,715.36 1.00 11.45 nan
JPMORGAN CHASE & CO Fixed Income 151,372.44 0.05 151,372.44 1.00 3.64 nan
T-MOBILE USA INC Fixed Income 151,372.44 0.05 151,372.44 1.00 14.88 nan
BANCO SANTANDER SA Fixed Income 151,086.67 0.05 151,086.67 1.00 6.00 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 151,058.09 0.05 151,058.09 1.00 5.55 nan
EXXON MOBIL CORP Fixed Income 151,000.94 0.05 151,000.94 1.00 4.00 nan
TELEFONICA EMISIONES SAU Fixed Income 150,715.17 0.05 150,715.17 1.00 12.20 nan
ALPHABET INC Fixed Income 150,658.01 0.05 150,658.01 1.00 15.98 nan
INTEL CORPORATION Fixed Income 150,600.86 0.05 150,600.86 1.00 3.42 nan
BROADCOM INC 144A Fixed Income 150,372.24 0.05 150,372.24 1.00 8.53 nan
UNITEDHEALTH GROUP INC Fixed Income 150,343.67 0.05 150,343.67 1.00 5.04 nan
UNITEDHEALTH GROUP INC Fixed Income 150,343.67 0.05 150,343.67 1.00 14.21 nan
APPLE INC Fixed Income 150,229.36 0.05 150,229.36 1.00 16.00 nan
CISCO SYSTEMS INC Fixed Income 149,943.59 0.05 149,943.59 1.00 9.23 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 149,915.01 0.05 149,915.01 1.00 3.79 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 149,629.24 0.05 149,629.24 1.00 6.45 nan
TELEFONICA EMISIONES SAU Fixed Income 149,486.36 0.05 149,486.36 1.00 7.48 nan
WALT DISNEY CO Fixed Income 149,372.05 0.05 149,372.05 1.00 14.82 nan
T-MOBILE USA INC Fixed Income 149,172.01 0.05 149,172.01 1.00 3.22 nan
BROADCOM INC Fixed Income 149,086.28 0.05 149,086.28 1.00 5.06 nan
MORGAN STANLEY MTN Fixed Income 148,886.24 0.05 148,886.24 1.00 13.34 nan
BROADCOM INC Fixed Income 148,857.66 0.05 148,857.66 1.00 4.42 nan
HCA INC Fixed Income 148,228.97 0.05 148,228.97 1.00 5.57 nan
SYNOPSYS INC Fixed Income 147,886.04 0.05 147,886.04 1.00 7.39 nan
HSBC HOLDINGS PLC Fixed Income 147,743.16 0.05 147,743.16 1.00 5.37 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 147,600.27 0.05 147,600.27 1.00 6.17 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 147,257.35 0.05 147,257.35 1.00 6.67 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 147,200.20 0.05 147,200.20 1.00 4.86 nan
US BANCORP Fixed Income 147,057.31 0.05 147,057.31 1.00 3.47 nan
BROADCOM INC Fixed Income 146,828.70 0.05 146,828.70 1.00 11.20 nan
BARCLAYS PLC Fixed Income 146,600.08 0.05 146,600.08 1.00 6.96 nan
EXXON MOBIL CORP Fixed Income 146,542.92 0.05 146,542.92 1.00 14.10 nan
HSBC HOLDINGS PLC Fixed Income 146,371.46 0.05 146,371.46 1.00 4.63 nan
AMGEN INC Fixed Income 146,314.31 0.05 146,314.31 1.00 12.16 nan
BANK OF AMERICA CORP Fixed Income 145,971.38 0.05 145,971.38 1.00 8.23 nan
UNITEDHEALTH GROUP INC Fixed Income 145,971.38 0.05 145,971.38 1.00 15.25 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 145,828.50 0.05 145,828.50 1.00 4.65 nan
HSBC HOLDINGS PLC Fixed Income 145,799.92 0.05 145,799.92 1.00 3.01 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 145,771.35 0.05 145,771.35 1.00 5.38 nan
UNITEDHEALTH GROUP INC Fixed Income 145,685.61 0.05 145,685.61 1.00 14.24 nan
WELLS FARGO & COMPANY MTN Fixed Income 145,371.27 0.05 145,371.27 1.00 12.46 nan
WELLS FARGO & COMPANY Fixed Income 145,228.38 0.05 145,228.38 1.00 12.53 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 145,171.23 0.05 145,171.23 1.00 7.35 nan
TIME WARNER CABLE LLC Fixed Income 145,142.65 0.05 145,142.65 1.00 8.21 nan
AMAZON.COM INC Fixed Income 145,028.34 0.05 145,028.34 1.00 5.07 nan
ORACLE CORPORATION Fixed Income 145,028.34 0.05 145,028.34 1.00 5.55 nan
UNITEDHEALTH GROUP INC Fixed Income 144,999.77 0.05 144,999.77 1.00 12.17 nan
INTEL CORPORATION Fixed Income 144,914.04 0.05 144,914.04 1.00 5.95 nan
VERIZON COMMUNICATIONS INC Fixed Income 144,799.73 0.05 144,799.73 1.00 7.35 nan
HSBC HOLDINGS PLC Fixed Income 144,485.38 0.05 144,485.38 1.00 6.59 nan
ORACLE CORPORATION Fixed Income 144,199.61 0.05 144,199.61 1.00 9.80 nan
VERIZON COMMUNICATIONS INC Fixed Income 144,171.03 0.05 144,171.03 1.00 6.42 nan
HALLIBURTON COMPANY Fixed Income 144,085.30 0.05 144,085.30 1.00 11.87 nan
ORACLE CORPORATION Fixed Income 143,856.69 0.05 143,856.69 1.00 13.15 nan
BANK OF AMERICA CORP Fixed Income 143,799.53 0.05 143,799.53 1.00 8.10 nan
SPRINT CAPITAL CORPORATION Fixed Income 143,770.95 0.05 143,770.95 1.00 5.00 nan
EXXON MOBIL CORP Fixed Income 143,713.80 0.05 143,713.80 1.00 12.94 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 143,685.22 0.05 143,685.22 1.00 7.39 nan
US BANCORP Fixed Income 143,628.07 0.05 143,628.07 1.00 4.47 nan
AT&T INC Fixed Income 143,485.18 0.05 143,485.18 1.00 5.67 nan
ENBRIDGE INC Fixed Income 143,342.30 0.05 143,342.30 1.00 5.96 nan
ABBVIE INC Fixed Income 143,199.41 0.05 143,199.41 1.00 13.09 nan
UNITEDHEALTH GROUP INC Fixed Income 143,170.84 0.05 143,170.84 1.00 4.22 nan
ENERGY TRANSFER OPERATING LP Fixed Income 143,056.53 0.05 143,056.53 1.00 4.05 nan
EXXON MOBIL CORP Fixed Income 142,913.64 0.05 142,913.64 1.00 4.57 nan
HSBC HOLDINGS PLC Fixed Income 142,885.07 0.05 142,885.07 1.00 7.16 nan
BANK OF AMERICA CORP MTN Fixed Income 142,799.34 0.05 142,799.34 1.00 10.52 nan
BARCLAYS PLC Fixed Income 142,742.18 0.05 142,742.18 1.00 3.02 nan
REYNOLDS AMERICAN INC Fixed Income 142,713.61 0.05 142,713.61 1.00 11.48 nan
MORGAN STANLEY MTN Fixed Income 142,627.87 0.05 142,627.87 1.00 6.12 nan
HCA INC Fixed Income 142,599.30 0.05 142,599.30 1.00 4.36 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 142,484.99 0.05 142,484.99 1.00 13.74 nan
ORACLE CORPORATION Fixed Income 142,284.95 0.05 142,284.95 1.00 7.01 nan
AMAZON.COM INC Fixed Income 142,113.49 0.05 142,113.49 1.00 9.19 nan
MORGAN STANLEY Fixed Income 141,741.99 0.05 141,741.99 1.00 9.37 nan
UNITEDHEALTH GROUP INC Fixed Income 141,541.95 0.05 141,541.95 1.00 4.52 nan
AMAZON.COM INC Fixed Income 141,399.06 0.05 141,399.06 1.00 15.81 nan
AMAZON.COM INC Fixed Income 140,970.41 0.05 140,970.41 1.00 11.97 nan
LOWES COMPANIES INC Fixed Income 140,970.41 0.05 140,970.41 1.00 4.95 nan
PNC FINANCIAL SERVICES GROUP INC ( MTN Fixed Income 140,856.10 0.05 140,856.10 1.00 7.44 nan
KROGER CO Fixed Income 140,798.95 0.05 140,798.95 1.00 14.16 nan
S&P GLOBAL INC Fixed Income 140,770.37 0.05 140,770.37 1.00 3.16 nan
BROADCOM INC Fixed Income 140,627.48 0.05 140,627.48 1.00 5.89 nan
ENERGY TRANSFER LP Fixed Income 140,513.18 0.05 140,513.18 1.00 13.07 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 140,456.02 0.05 140,456.02 1.00 8.56 nan
AMERICAN TOWER CORPORATION Fixed Income 140,398.87 0.05 140,398.87 1.00 3.46 nan
ORACLE CORPORATION Fixed Income 140,370.29 0.05 140,370.29 1.00 12.90 nan
JPMORGAN CHASE & CO Fixed Income 140,341.71 0.05 140,341.71 1.00 3.60 nan
CITIGROUP INC Fixed Income 139,998.79 0.05 139,998.79 1.00 5.45 nan
QUALCOMM INCORPORATED Fixed Income 139,913.06 0.05 139,913.06 1.00 7.50 nan
ENERGY TRANSFER OPERATING LP Fixed Income 139,570.13 0.05 139,570.13 1.00 12.79 nan
SYNOPSYS INC Fixed Income 139,512.98 0.05 139,512.98 1.00 14.24 nan
CITIGROUP INC (FXD-FRN) Fixed Income 139,370.09 0.05 139,370.09 1.00 3.93 nan
ENERGY TRANSFER LP Fixed Income 139,312.94 0.05 139,312.94 1.00 12.24 nan
JPMORGAN CHASE & CO (FXD-FRN) Fixed Income 139,255.79 0.05 139,255.79 1.00 4.44 nan
T-MOBILE USA INC Fixed Income 139,141.48 0.05 139,141.48 1.00 11.42 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 139,112.90 0.05 139,112.90 1.00 9.31 nan
HOME DEPOT INC Fixed Income 139,084.32 0.05 139,084.32 1.00 5.44 nan
META PLATFORMS INC Fixed Income 138,970.02 0.05 138,970.02 1.00 15.72 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 138,884.29 0.05 138,884.29 1.00 3.12 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 138,684.25 0.05 138,684.25 1.00 13.61 nan
INTEL CORPORATION Fixed Income 138,541.36 0.05 138,541.36 1.00 13.38 nan
CVS HEALTH CORP Fixed Income 138,369.90 0.05 138,369.90 1.00 3.81 nan
CVS HEALTH CORP Fixed Income 138,369.90 0.05 138,369.90 1.00 7.52 nan
VODAFONE GROUP PLC Fixed Income 138,227.01 0.05 138,227.01 1.00 13.63 nan
CISCO SYSTEMS INC Fixed Income 137,912.67 0.05 137,912.67 1.00 6.71 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 137,912.67 0.05 137,912.67 1.00 3.92 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 137,626.90 0.05 137,626.90 1.00 3.43 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 137,112.51 0.05 137,112.51 1.00 7.13 nan
BROADCOM INC 144A Fixed Income 137,055.36 0.05 137,055.36 1.00 3.19 nan
UBER TECHNOLOGIES INC Fixed Income 136,969.63 0.05 136,969.63 1.00 3.77 nan
JPMORGAN CHASE & CO Fixed Income 136,741.01 0.05 136,741.01 1.00 10.36 nan
ALTRIA GROUP INC Fixed Income 136,312.35 0.05 136,312.35 1.00 5.64 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 136,140.89 0.05 136,140.89 1.00 4.04 nan
ORACLE CORPORATION Fixed Income 135,969.43 0.05 135,969.43 1.00 11.65 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 135,426.47 0.05 135,426.47 1.00 12.43 nan
JPMORGAN CHASE & CO Fixed Income 135,226.43 0.05 135,226.43 1.00 13.17 nan
BARCLAYS PLC Fixed Income 134,826.35 0.05 134,826.35 1.00 4.87 nan
HSBC HOLDINGS PLC FXD-FLT Fixed Income 134,740.62 0.05 134,740.62 1.00 3.92 nan
COMCAST CORPORATION Fixed Income 134,712.04 0.05 134,712.04 1.00 13.08 nan
DUPONT DE NEMOURS INC Fixed Income 134,712.04 0.05 134,712.04 1.00 12.84 nan
BROADCOM INC Fixed Income 134,683.46 0.05 134,683.46 1.00 9.10 nan
MPLX LP Fixed Income 134,683.46 0.05 134,683.46 1.00 7.50 nan
ORACLE CORPORATION Fixed Income 134,254.81 0.05 134,254.81 1.00 7.40 nan
PACIFIC GAS & ELECTRIC UTILITIES Fixed Income 134,140.50 0.05 134,140.50 1.00 10.12 nan
WELLS FARGO & COMPANY MTN Fixed Income 134,111.92 0.05 134,111.92 1.00 12.54 nan
ORACLE CORPORATION Fixed Income 134,054.77 0.05 134,054.77 1.00 9.10 nan
UNITEDHEALTH GROUP INC Fixed Income 133,997.62 0.05 133,997.62 1.00 11.44 nan
ALTRIA GROUP INC Fixed Income 133,969.04 0.05 133,969.04 1.00 11.31 nan
RIO TINTO FINANCE (USA) PLC Fixed Income 133,969.04 0.05 133,969.04 1.00 14.30 nan
ORACLE CORPORATION Fixed Income 133,854.73 0.05 133,854.73 1.00 5.98 nan
CHUBB INA HOLDINGS LLC Fixed Income 133,626.11 0.05 133,626.11 1.00 6.77 nan
UNITEDHEALTH GROUP INC Fixed Income 133,540.38 0.05 133,540.38 1.00 5.55 nan
BOEING CO Fixed Income 132,940.27 0.05 132,940.27 1.00 14.25 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 132,940.27 0.05 132,940.27 1.00 6.48 nan
WESTPAC BANKING CORP Fixed Income 132,911.69 0.05 132,911.69 1.00 4.13 nan
TRUIST FINANCIAL CORP MTN Fixed Income 132,797.38 0.05 132,797.38 1.00 5.93 nan
AMGEN INC Fixed Income 132,654.50 0.05 132,654.50 1.00 5.56 nan
NVIDIA CORPORATION Fixed Income 132,425.88 0.05 132,425.88 1.00 14.93 nan
BROADCOM INC Fixed Income 132,111.53 0.05 132,111.53 1.00 5.46 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 131,940.07 0.05 131,940.07 1.00 6.23 nan
COMCAST CORPORATION 144A Fixed Income 131,911.49 0.05 131,911.49 1.00 8.39 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 131,882.92 0.05 131,882.92 1.00 5.96 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 131,854.34 0.05 131,854.34 1.00 7.80 nan
AMAZON.COM INC Fixed Income 131,654.30 0.05 131,654.30 1.00 15.01 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 131,625.72 0.05 131,625.72 1.00 4.81 nan
BROADCOM INC Fixed Income 131,568.57 0.05 131,568.57 1.00 6.45 nan
ABBVIE INC Fixed Income 131,539.99 0.05 131,539.99 1.00 12.58 nan
CITIZENS FINANCIAL GROUP INC Fixed Income 131,539.99 0.05 131,539.99 1.00 4.12 nan
UNITEDHEALTH GROUP INC Fixed Income 131,368.53 0.05 131,368.53 1.00 13.91 nan
HSBC HOLDINGS PLC Fixed Income 131,339.95 0.05 131,339.95 1.00 8.34 nan
GILEAD SCIENCES INC Fixed Income 131,311.38 0.05 131,311.38 1.00 7.77 nan
APPLE INC Fixed Income 131,054.18 0.05 131,054.18 1.00 15.61 nan
ROYAL BANK OF CANADA MTN Fixed Income 130,882.72 0.05 130,882.72 1.00 5.43 nan
META PLATFORMS INC Fixed Income 130,654.11 0.05 130,654.11 1.00 7.87 nan
APPLE INC Fixed Income 130,368.34 0.05 130,368.34 1.00 4.25 nan
TAKEDA PHARMACEUTICAL CO LTD Fixed Income 130,368.34 0.05 130,368.34 1.00 6.82 nan
HCA INC Fixed Income 130,339.76 0.05 130,339.76 1.00 13.62 nan
ORACLE CORPORATION Fixed Income 130,339.76 0.05 130,339.76 1.00 12.05 nan
META PLATFORMS INC Fixed Income 130,225.45 0.05 130,225.45 1.00 14.97 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 130,139.72 0.05 130,139.72 1.00 7.74 nan
ROGERS COMMUNICATIONS INC Fixed Income 129,911.10 0.05 129,911.10 1.00 14.00 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 129,739.64 0.05 129,739.64 1.00 13.70 nan
COMCAST CORPORATION Fixed Income 129,682.49 0.05 129,682.49 1.00 4.04 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 129,625.33 0.05 129,625.33 1.00 3.34 nan
CITIGROUP INC Fixed Income 129,596.76 0.05 129,596.76 1.00 12.24 nan
WELLS FARGO & COMPANY Fixed Income 129,568.18 0.05 129,568.18 1.00 11.08 nan
JPMORGAN CHASE & CO Fixed Income 129,511.02 0.05 129,511.02 1.00 13.43 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 129,482.45 0.05 129,482.45 1.00 5.47 nan
WALMART INC Fixed Income 129,482.45 0.05 129,482.45 1.00 4.05 nan
WALMART INC Fixed Income 129,425.29 0.05 129,425.29 1.00 7.64 nan
APPLE INC Fixed Income 129,339.56 0.05 129,339.56 1.00 12.40 nan
RTX CORP Fixed Income 129,053.79 0.04 129,053.79 1.00 13.79 nan
ELI LILLY AND COMPANY Fixed Income 129,025.22 0.04 129,025.22 1.00 7.10 nan
MCDONALDS CORPORATION MTN Fixed Income 128,996.64 0.04 128,996.64 1.00 4.06 nan
BROADCOM INC 144A Fixed Income 128,939.48 0.04 128,939.48 1.00 5.59 nan
UNITEDHEALTH GROUP INC Fixed Income 128,910.91 0.04 128,910.91 1.00 15.61 nan
T-MOBILE USA INC Fixed Income 128,825.18 0.04 128,825.18 1.00 13.53 nan
ORACLE CORPORATION Fixed Income 128,768.02 0.04 128,768.02 1.00 13.53 nan
T-MOBILE USA INC Fixed Income 128,653.71 0.04 128,653.71 1.00 15.31 nan
COMCAST CORPORATION Fixed Income 128,367.94 0.04 128,367.94 1.00 3.93 nan
MEDTRONIC INC Fixed Income 128,339.37 0.04 128,339.37 1.00 12.32 nan
BARCLAYS PLC Fixed Income 127,967.87 0.04 127,967.87 1.00 3.46 nan
CATERPILLAR INC Fixed Income 127,882.14 0.04 127,882.14 1.00 4.13 nan
HCA INC Fixed Income 127,882.14 0.04 127,882.14 1.00 3.28 nan
ONEOK INC Fixed Income 127,853.56 0.04 127,853.56 1.00 12.88 nan
S&P GLOBAL INC Fixed Income 127,796.40 0.04 127,796.40 1.00 5.66 nan
SOLVENTUM CORP Fixed Income 127,796.40 0.04 127,796.40 1.00 6.65 nan
BANK OF AMERICA CORP MTN Fixed Income 127,739.25 0.04 127,739.25 1.00 9.48 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 127,596.37 0.04 127,596.37 1.00 7.26 nan
US BANCORP MTN Fixed Income 127,510.63 0.04 127,510.63 1.00 2.91 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 127,510.63 0.04 127,510.63 1.00 13.20 nan
GE HEALTHCARE TECHNOLOGIES INC Fixed Income 127,482.06 0.04 127,482.06 1.00 3.41 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 127,482.06 0.04 127,482.06 1.00 6.95 nan
BROADCOM INC Fixed Income 127,453.48 0.04 127,453.48 1.00 3.85 nan
MERCK & CO INC Fixed Income 127,453.48 0.04 127,453.48 1.00 15.94 nan
BROADCOM INC Fixed Income 127,367.75 0.04 127,367.75 1.00 6.46 nan
WELLS FARGO & COMPANY MTN Fixed Income 127,367.75 0.04 127,367.75 1.00 12.02 nan
JBS USA LUX SA Fixed Income 127,282.02 0.04 127,282.02 1.00 12.66 nan
JPMORGAN CHASE & CO Fixed Income 127,167.71 0.04 127,167.71 1.00 13.67 nan
WALT DISNEY CO Fixed Income 127,139.13 0.04 127,139.13 1.00 7.45 nan
WYETH LLC Fixed Income 126,824.79 0.04 126,824.79 1.00 8.34 nan
BARCLAYS PLC Fixed Income 126,653.32 0.04 126,653.32 1.00 4.25 nan
ROYAL BANK OF CANADA MTN Fixed Income 126,510.44 0.04 126,510.44 1.00 6.63 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 126,453.28 0.04 126,453.28 1.00 9.83 nan
MORGAN STANLEY Fixed Income 126,424.71 0.04 126,424.71 1.00 4.01 nan
MPLX LP Fixed Income 125,853.17 0.04 125,853.17 1.00 6.65 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 125,538.82 0.04 125,538.82 1.00 12.71 nan
HONEYWELL INTERNATIONAL INC Fixed Income 125,367.36 0.04 125,367.36 1.00 6.70 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 125,167.32 0.04 125,167.32 1.00 9.96 nan
FORD MOTOR COMPANY Fixed Income 125,167.32 0.04 125,167.32 1.00 10.74 nan
UNITEDHEALTH GROUP INC Fixed Income 125,138.74 0.04 125,138.74 1.00 3.52 nan
ORACLE CORPORATION Fixed Income 125,110.16 0.04 125,110.16 1.00 13.36 nan
AON NORTH AMERICA INC Fixed Income 125,053.01 0.04 125,053.01 1.00 6.63 nan
COREBRIDGE FINANCIAL INC Fixed Income 124,938.70 0.04 124,938.70 1.00 5.58 nan
ENERGY TRANSFER LP Fixed Income 124,881.55 0.04 124,881.55 1.00 6.89 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 124,852.97 0.04 124,852.97 1.00 7.37 nan
TOTALENERGIES CAPITAL SA Fixed Income 124,767.24 0.04 124,767.24 1.00 14.21 nan
UNITEDHEALTH GROUP INC Fixed Income 124,738.66 0.04 124,738.66 1.00 15.09 nan
CISCO SYSTEMS INC Fixed Income 124,710.09 0.04 124,710.09 1.00 7.33 nan
CIGNA GROUP Fixed Income 124,681.51 0.04 124,681.51 1.00 7.80 nan
MPLX LP Fixed Income 124,624.36 0.04 124,624.36 1.00 6.03 nan
CITIGROUP INC Fixed Income 124,481.47 0.04 124,481.47 1.00 3.96 nan
META PLATFORMS INC Fixed Income 124,452.89 0.04 124,452.89 1.00 5.01 nan
UNITEDHEALTH GROUP INC Fixed Income 124,367.16 0.04 124,367.16 1.00 6.26 nan
METLIFE INC Fixed Income 124,338.59 0.04 124,338.59 1.00 3.94 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 124,281.43 0.04 124,281.43 1.00 3.09 nan
ORACLE CORPORATION Fixed Income 124,052.82 0.04 124,052.82 1.00 7.13 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 124,024.24 0.04 124,024.24 1.00 3.91 nan
BAT CAPITAL CORP Fixed Income 123,881.35 0.04 123,881.35 1.00 12.79 nan
TOTALENERGIES CAPITAL INTERNATIONA Fixed Income 123,709.89 0.04 123,709.89 1.00 3.86 nan
WALMART INC Fixed Income 123,567.01 0.04 123,567.01 1.00 5.89 nan
CONOCOPHILLIPS Fixed Income 123,452.70 0.04 123,452.70 1.00 9.00 nan
HONEYWELL INTERNATIONAL INC Fixed Income 123,366.97 0.04 123,366.97 1.00 5.41 nan
LOWES COMPANIES INC Fixed Income 123,309.81 0.04 123,309.81 1.00 5.60 nan
UNITEDHEALTH GROUP INC Fixed Income 123,309.81 0.04 123,309.81 1.00 14.94 nan
WELLS FARGO & CO Fixed Income 123,252.66 0.04 123,252.66 1.00 11.77 nan
CHEVRON CORP Fixed Income 123,052.62 0.04 123,052.62 1.00 4.19 nan
KRAFT HEINZ FOODS CO Fixed Income 123,024.04 0.04 123,024.04 1.00 11.74 nan
WASTE MANAGEMENT INC Fixed Income 122,852.58 0.04 122,852.58 1.00 7.41 nan
BANK OF AMERICA CORP MTN Fixed Income 122,766.85 0.04 122,766.85 1.00 12.93 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 122,623.96 0.04 122,623.96 1.00 13.66 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 122,538.23 0.04 122,538.23 1.00 7.03 nan
FOX CORP Fixed Income 122,366.77 0.04 122,366.77 1.00 12.64 nan
TAKEDA US FINANCING INC Fixed Income 122,366.77 0.04 122,366.77 1.00 7.44 nan
CITIGROUP INC Fixed Income 122,338.19 0.04 122,338.19 1.00 7.62 nan
ELI LILLY AND COMPANY Fixed Income 122,338.19 0.04 122,338.19 1.00 7.30 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 122,281.04 0.04 122,281.04 1.00 10.25 nan
ALTRIA GROUP INC Fixed Income 122,166.73 0.04 122,166.73 1.00 13.01 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 121,938.12 0.04 121,938.12 1.00 11.50 nan
JPMORGAN CHASE & CO Fixed Income 121,938.12 0.04 121,938.12 1.00 3.98 nan
T-MOBILE USA INC Fixed Income 121,709.50 0.04 121,709.50 1.00 13.68 nan
META PLATFORMS INC Fixed Income 121,623.77 0.04 121,623.77 1.00 5.84 nan
COSTCO WHOLESALE CORPORATION Fixed Income 121,595.19 0.04 121,595.19 1.00 4.24 nan
WILLIAMS COMPANIES INC Fixed Income 121,423.73 0.04 121,423.73 1.00 4.90 nan
APPLE INC Fixed Income 121,395.15 0.04 121,395.15 1.00 4.57 nan
GLAXOSMITHKLINE CAPITAL PLC Fixed Income 121,223.69 0.04 121,223.69 1.00 3.29 nan
COCA-COLA CO Fixed Income 121,195.11 0.04 121,195.11 1.00 5.07 nan
VERIZON COMMUNICATIONS INC Fixed Income 121,166.54 0.04 121,166.54 1.00 4.03 nan
HCA INC Fixed Income 121,080.81 0.04 121,080.81 1.00 13.97 nan
FORD MOTOR COMPANY Fixed Income 120,880.77 0.04 120,880.77 1.00 5.47 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 120,852.19 0.04 120,852.19 1.00 5.57 nan
JBS USA HOLDING LUX SARL 144A Fixed Income 120,823.61 0.04 120,823.61 1.00 7.62 nan
BROADCOM INC Fixed Income 120,766.46 0.04 120,766.46 1.00 3.16 nan
ING GROEP NV Fixed Income 120,766.46 0.04 120,766.46 1.00 6.65 nan
ABBVIE INC Fixed Income 120,737.88 0.04 120,737.88 1.00 15.87 nan
AT&T INC Fixed Income 120,652.15 0.04 120,652.15 1.00 5.91 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 120,509.27 0.04 120,509.27 1.00 15.12 nan
LOWES COMPANIES INC Fixed Income 120,509.27 0.04 120,509.27 1.00 13.85 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 120,480.69 0.04 120,480.69 1.00 11.67 nan
HOME DEPOT INC Fixed Income 120,452.11 0.04 120,452.11 1.00 14.28 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 120,423.53 0.04 120,423.53 1.00 11.70 nan
ORACLE CORPORATION Fixed Income 120,194.92 0.04 120,194.92 1.00 5.23 nan
UNITEDHEALTH GROUP INC Fixed Income 120,109.19 0.04 120,109.19 1.00 6.89 nan
ENERGY TRANSFER LP Fixed Income 119,880.57 0.04 119,880.57 1.00 7.23 nan
EXPEDIA GROUP INC Fixed Income 119,880.57 0.04 119,880.57 1.00 3.92 nan
GOLDMAN SACHS GROUP INC/THE MTN Fixed Income 119,709.11 0.04 119,709.11 1.00 11.81 nan
ORACLE CORPORATION Fixed Income 119,709.11 0.04 119,709.11 1.00 13.67 nan
DEUTSCHE BANK AG (NEW YORK BRANCH) Fixed Income 119,623.38 0.04 119,623.38 1.00 3.12 nan
VERIZON COMMUNICATIONS INC Fixed Income 119,537.65 0.04 119,537.65 1.00 4.60 nan
HOME DEPOT INC Fixed Income 119,423.34 0.04 119,423.34 1.00 4.13 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 119,223.30 0.04 119,223.30 1.00 11.75 nan
CVS HEALTH CORP Fixed Income 119,108.99 0.04 119,108.99 1.00 3.49 nan
ROYAL BANK OF CANADA MTN Fixed Income 119,051.84 0.04 119,051.84 1.00 5.57 nan
ALTRIA GROUP INC Fixed Income 118,908.95 0.04 118,908.95 1.00 4.06 nan
RIO TINTO FINANCE (USA) PLC Fixed Income 118,908.95 0.04 118,908.95 1.00 7.34 nan
TRUIST BANK Fixed Income 118,680.34 0.04 118,680.34 1.00 4.07 nan
GENERAL MOTORS CO Fixed Income 118,651.76 0.04 118,651.76 1.00 10.76 nan
FIFTH THIRD BANCORP Fixed Income 118,480.30 0.04 118,480.30 1.00 3.35 nan
COMCAST CORPORATION Fixed Income 118,451.72 0.04 118,451.72 1.00 6.72 nan
DUKE ENERGY CORP Fixed Income 118,394.57 0.04 118,394.57 1.00 5.09 nan
CITIGROUP INC Fixed Income 118,308.84 0.04 118,308.84 1.00 9.95 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 118,194.53 0.04 118,194.53 1.00 4.32 nan
MERCK & CO INC Fixed Income 118,165.95 0.04 118,165.95 1.00 12.79 nan
NATWEST GROUP PLC Fixed Income 118,137.37 0.04 118,137.37 1.00 3.16 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 118,108.80 0.04 118,108.80 1.00 5.04 nan
ACCENTURE CAPITAL INC Fixed Income 118,080.22 0.04 118,080.22 1.00 3.59 nan
DIAMONDBACK ENERGY INC Fixed Income 118,080.22 0.04 118,080.22 1.00 7.27 nan
WALT DISNEY CO Fixed Income 118,080.22 0.04 118,080.22 1.00 13.89 nan
KROGER CO Fixed Income 118,023.07 0.04 118,023.07 1.00 15.43 nan
AON NORTH AMERICA INC Fixed Income 117,880.18 0.04 117,880.18 1.00 13.88 nan
UNITEDHEALTH GROUP INC Fixed Income 117,851.60 0.04 117,851.60 1.00 7.39 nan
ONEOK INC Fixed Income 117,737.30 0.04 117,737.30 1.00 13.37 nan
ORACLE CORPORATION Fixed Income 117,537.26 0.04 117,537.26 1.00 9.11 nan
COREBRIDGE FINANCIAL INC Fixed Income 117,280.06 0.04 117,280.06 1.00 3.17 nan
FREEPORT-MCMORAN INC Fixed Income 116,851.41 0.04 116,851.41 1.00 10.98 nan
DEUTSCHE BANK AG (NEW YORK BRANCH) Fixed Income 116,794.25 0.04 116,794.25 1.00 3.46 nan
META PLATFORMS INC Fixed Income 116,765.68 0.04 116,765.68 1.00 7.06 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 116,679.95 0.04 116,679.95 1.00 5.04 nan
PACIFICORP Fixed Income 116,537.06 0.04 116,537.06 1.00 13.61 nan
AMAZON.COM INC Fixed Income 116,479.91 0.04 116,479.91 1.00 11.64 nan
T-MOBILE USA INC Fixed Income 116,394.18 0.04 116,394.18 1.00 10.34 nan
BIOGEN INC Fixed Income 116,365.60 0.04 116,365.60 1.00 4.15 nan
ELI LILLY AND COMPANY Fixed Income 116,337.02 0.04 116,337.02 1.00 14.47 nan
INTEL CORPORATION Fixed Income 116,222.71 0.04 116,222.71 1.00 13.31 nan
US BANCORP MTN Fixed Income 116,108.41 0.04 116,108.41 1.00 5.71 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 116,079.83 0.04 116,079.83 1.00 3.97 nan
T-MOBILE USA INC Fixed Income 116,051.25 0.04 116,051.25 1.00 5.84 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 115,965.52 0.04 115,965.52 1.00 3.28 nan
CHUBB INA HOLDINGS LLC Fixed Income 115,794.06 0.04 115,794.06 1.00 7.63 nan
CVS HEALTH CORP Fixed Income 115,765.48 0.04 115,765.48 1.00 4.01 nan
COMCAST CORPORATION Fixed Income 115,765.48 0.04 115,765.48 1.00 14.84 nan
GILEAD SCIENCES INC Fixed Income 115,736.90 0.04 115,736.90 1.00 14.26 nan
BAT CAPITAL CORP Fixed Income 115,708.33 0.04 115,708.33 1.00 4.92 nan
EOG RESOURCES INC Fixed Income 115,679.75 0.04 115,679.75 1.00 7.71 nan
GE HEALTHCARE TECHNOLOGIES INC Fixed Income 115,679.75 0.04 115,679.75 1.00 5.66 nan
BANK OF AMERICA CORP (FXD-FLT) MTN Fixed Income 115,393.98 0.04 115,393.98 1.00 3.73 nan
WELLS FARGO BANK NA MTN Fixed Income 115,393.98 0.04 115,393.98 1.00 8.44 nan
HONEYWELL INTERNATIONAL INC Fixed Income 115,279.67 0.04 115,279.67 1.00 14.33 nan
EOG RESOURCES INC Fixed Income 114,993.90 0.04 114,993.90 1.00 5.58 nan
GE HEALTHCARE TECHNOLOGIES INC Fixed Income 114,908.17 0.04 114,908.17 1.00 7.31 nan
NETFLIX INC Fixed Income 114,793.86 0.04 114,793.86 1.00 7.05 nan
GLOBAL PAYMENTS INC Fixed Income 114,679.55 0.04 114,679.55 1.00 3.49 nan
HSBC HOLDINGS PLC FXD-TO-FLT MTN Fixed Income 114,650.98 0.04 114,650.98 1.00 3.83 nan
BOEING CO Fixed Income 114,536.67 0.04 114,536.67 1.00 4.67 nan
ROPER TECHNOLOGIES INC Fixed Income 114,479.52 0.04 114,479.52 1.00 4.93 nan
CHUBB INA HOLDINGS LLC Fixed Income 114,393.78 0.04 114,393.78 1.00 4.61 nan
KINDER MORGAN INC Fixed Income 114,336.63 0.04 114,336.63 1.00 11.48 nan
ASTRAZENECA FINANCE LLC Fixed Income 114,279.48 0.04 114,279.48 1.00 4.63 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 114,279.48 0.04 114,279.48 1.00 3.47 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 114,250.90 0.04 114,250.90 1.00 6.79 nan
SUNOCO LOGISTICS PARTNERS OPERATIO Fixed Income 114,250.90 0.04 114,250.90 1.00 12.24 nan
HOME DEPOT INC Fixed Income 114,165.17 0.04 114,165.17 1.00 3.16 nan
ASTRAZENECA FINANCE LLC Fixed Income 114,108.01 0.04 114,108.01 1.00 5.09 nan
MORGAN STANLEY MTN Fixed Income 114,079.44 0.04 114,079.44 1.00 15.69 nan
SHELL FINANCE US INC Fixed Income 114,022.28 0.04 114,022.28 1.00 4.11 nan
CANADIAN PACIFIC RAILWAY COMPANY Fixed Income 113,993.71 0.04 113,993.71 1.00 5.48 nan
CHENIERE ENERGY PARTNERS LP Fixed Income 113,965.13 0.04 113,965.13 1.00 6.05 nan
FISERV INC Fixed Income 113,879.40 0.04 113,879.40 1.00 13.19 nan
ELEVANCE HEALTH INC Fixed Income 113,822.24 0.04 113,822.24 1.00 13.98 nan
PHILLIPS 66 Fixed Income 113,736.51 0.04 113,736.51 1.00 10.27 nan
JOHNSON & JOHNSON Fixed Income 113,679.36 0.04 113,679.36 1.00 4.78 nan
COMCAST CORPORATION Fixed Income 113,536.47 0.04 113,536.47 1.00 4.96 nan
JPMORGAN CHASE & CO Fixed Income 113,450.74 0.04 113,450.74 1.00 5.56 nan
COMCAST CORPORATION Fixed Income 113,393.59 0.04 113,393.59 1.00 13.16 nan
DEUTSCHE BANK (NY BRNCH)(FXD-FLT) Fixed Income 113,279.28 0.04 113,279.28 1.00 3.90 nan
HOME DEPOT INC Fixed Income 113,250.70 0.04 113,250.70 1.00 12.91 nan
MARRIOTT INTERNATIONAL INC Fixed Income 113,250.70 0.04 113,250.70 1.00 3.15 nan
ORACLE CORPORATION Fixed Income 113,250.70 0.04 113,250.70 1.00 7.60 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 113,164.97 0.04 113,164.97 1.00 7.43 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 113,050.67 0.04 113,050.67 1.00 6.84 nan
MCDONALDS CORPORATION MTN Fixed Income 113,050.67 0.04 113,050.67 1.00 12.18 nan
VISA INC Fixed Income 113,022.09 0.04 113,022.09 1.00 8.02 nan
US BANCORP MTN Fixed Income 112,993.51 0.04 112,993.51 1.00 7.20 nan
HEWLETT PACKARD ENTERPRISE CO Fixed Income 112,964.93 0.04 112,964.93 1.00 11.41 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 112,907.78 0.04 112,907.78 1.00 6.76 nan
JOHNSON & JOHNSON Fixed Income 112,793.47 0.04 112,793.47 1.00 13.35 nan
T-MOBILE USA INC Fixed Income 112,679.16 0.04 112,679.16 1.00 5.90 nan
ENERGY TRANSFER LP Fixed Income 112,650.59 0.04 112,650.59 1.00 6.18 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 112,564.86 0.04 112,564.86 1.00 3.54 nan
SHELL FINANCE US INC Fixed Income 112,507.70 0.04 112,507.70 1.00 3.73 nan
NOMURA HOLDINGS INC Fixed Income 112,307.66 0.04 112,307.66 1.00 3.85 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 112,279.09 0.04 112,279.09 1.00 4.30 nan
WALMART INC Fixed Income 112,279.09 0.04 112,279.09 1.00 13.74 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 112,221.93 0.04 112,221.93 1.00 3.29 nan
APPLE INC Fixed Income 112,193.35 0.04 112,193.35 1.00 18.68 nan
AT&T INC Fixed Income 112,136.20 0.04 112,136.20 1.00 13.10 nan
AMAZON.COM INC Fixed Income 112,107.62 0.04 112,107.62 1.00 17.13 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 112,107.62 0.04 112,107.62 1.00 6.85 nan
DIAMONDBACK ENERGY INC Fixed Income 111,964.74 0.04 111,964.74 1.00 13.67 nan
SOUTHERN COMPANY (THE) Fixed Income 111,964.74 0.04 111,964.74 1.00 12.61 nan
PFIZER INC Fixed Income 111,936.16 0.04 111,936.16 1.00 5.39 nan
EBAY INC Fixed Income 111,793.28 0.04 111,793.28 1.00 4.03 nan
AT&T INC Fixed Income 111,736.12 0.04 111,736.12 1.00 7.43 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 111,736.12 0.04 111,736.12 1.00 6.62 nan
MEDTRONIC INC Fixed Income 111,678.97 0.04 111,678.97 1.00 7.56 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 111,678.97 0.04 111,678.97 1.00 14.30 nan
AMAZON.COM INC Fixed Income 111,593.24 0.04 111,593.24 1.00 5.68 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 111,593.24 0.04 111,593.24 1.00 15.03 nan
AT&T INC Fixed Income 111,478.93 0.04 111,478.93 1.00 4.18 nan
ELI LILLY AND COMPANY Fixed Income 111,421.78 0.04 111,421.78 1.00 7.77 nan
WOODSIDE FINANCE LTD Fixed Income 111,421.78 0.04 111,421.78 1.00 7.09 nan
GILEAD SCIENCES INC Fixed Income 111,193.16 0.04 111,193.16 1.00 12.24 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 110,907.39 0.04 110,907.39 1.00 14.50 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 110,764.50 0.04 110,764.50 1.00 3.88 nan
MICROSOFT CORPORATION Fixed Income 110,735.93 0.04 110,735.93 1.00 8.73 nan
TEXAS INSTRUMENTS INC Fixed Income 110,621.62 0.04 110,621.62 1.00 15.63 nan
HOME DEPOT INC Fixed Income 110,593.04 0.04 110,593.04 1.00 5.07 nan
GILEAD SCIENCES INC Fixed Income 110,564.46 0.04 110,564.46 1.00 11.86 nan
DUKE ENERGY CORP Fixed Income 110,421.58 0.04 110,421.58 1.00 14.17 nan
UBS GROUP AG Fixed Income 110,421.58 0.04 110,421.58 1.00 11.98 nan
US BANCORP MTN Fixed Income 110,364.43 0.04 110,364.43 1.00 5.99 nan
VERIZON COMMUNICATIONS INC Fixed Income 110,278.69 0.04 110,278.69 1.00 4.70 nan
OTIS WORLDWIDE CORP Fixed Income 110,078.66 0.04 110,078.66 1.00 3.97 nan
JEFFERIES GROUP LLC Fixed Income 110,050.08 0.04 110,050.08 1.00 3.79 nan
COMCAST CORPORATION Fixed Income 109,992.92 0.04 109,992.92 1.00 7.16 nan
FISERV INC Fixed Income 109,935.77 0.04 109,935.77 1.00 6.91 nan
JEFFERIES FINANCIAL GROUP INC Fixed Income 109,935.77 0.04 109,935.77 1.00 6.56 nan
TAKEDA PHARMACEUTICAL CO LTD Fixed Income 109,935.77 0.04 109,935.77 1.00 11.07 nan
JOHNSON & JOHNSON Fixed Income 109,821.46 0.04 109,821.46 1.00 4.59 nan
J M SMUCKER CO Fixed Income 109,764.31 0.04 109,764.31 1.00 6.21 nan
BANCO SANTANDER SA Fixed Income 109,535.69 0.04 109,535.69 1.00 4.11 nan
INTEL CORPORATION Fixed Income 109,535.69 0.04 109,535.69 1.00 14.29 nan
AMERICAN TOWER CORPORATION Fixed Income 109,335.65 0.04 109,335.65 1.00 3.87 nan
NATWEST GROUP PLC Fixed Income 109,335.65 0.04 109,335.65 1.00 3.96 nan
NISOURCE INC Fixed Income 109,307.08 0.04 109,307.08 1.00 4.03 nan
MOLSON COORS BREWING CO Fixed Income 109,221.35 0.04 109,221.35 1.00 12.72 nan
TIME WARNER CABLE LLC Fixed Income 109,078.46 0.04 109,078.46 1.00 8.70 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 108,992.73 0.04 108,992.73 1.00 5.12 nan
MERCK & CO INC Fixed Income 108,907.00 0.04 108,907.00 1.00 14.47 nan
INTEL CORPORATION Fixed Income 108,878.42 0.04 108,878.42 1.00 13.71 nan
RTX CORP Fixed Income 108,849.84 0.04 108,849.84 1.00 6.58 nan
PFIZER INVESTMENT ENTERPRISES PTE Fixed Income 108,764.11 0.04 108,764.11 1.00 4.00 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 108,678.38 0.04 108,678.38 1.00 3.15 nan
ENBRIDGE INC Fixed Income 108,621.23 0.04 108,621.23 1.00 6.68 nan
FIFTH THIRD BANCORP Fixed Income 108,621.23 0.04 108,621.23 1.00 3.45 nan
WALT DISNEY CO Fixed Income 108,564.07 0.04 108,564.07 1.00 8.33 nan
MICROSOFT CORPORATION Fixed Income 108,535.50 0.04 108,535.50 1.00 18.13 nan
PHILLIPS 66 Fixed Income 108,506.92 0.04 108,506.92 1.00 11.58 nan
BANCO SANTANDER SA Fixed Income 108,306.88 0.04 108,306.88 1.00 4.89 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 108,278.30 0.04 108,278.30 1.00 15.42 nan
PROCTER & GAMBLE CO Fixed Income 108,135.42 0.04 108,135.42 1.00 5.10 nan
FLORIDA POWER & LIGHT CO Fixed Income 108,049.69 0.04 108,049.69 1.00 3.23 nan
AMAZON.COM INC Fixed Income 107,935.38 0.04 107,935.38 1.00 7.21 nan
APPLE INC Fixed Income 107,935.38 0.04 107,935.38 1.00 8.14 nan
PAYCHEX INC Fixed Income 107,735.34 0.04 107,735.34 1.00 5.43 nan
INTEL CORPORATION Fixed Income 107,706.76 0.04 107,706.76 1.00 14.64 nan
MARRIOTT INTERNATIONAL INC Fixed Income 107,678.19 0.04 107,678.19 1.00 6.05 nan
NORTHROP GRUMMAN CORP Fixed Income 107,563.88 0.04 107,563.88 1.00 6.15 nan
WILLIAMS COMPANIES INC Fixed Income 107,563.88 0.04 107,563.88 1.00 6.71 nan
GENERAL DYNAMICS CORPORATION Fixed Income 107,478.15 0.04 107,478.15 1.00 4.03 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 107,478.15 0.04 107,478.15 1.00 4.38 nan
TIME WARNER CABLE LLC Fixed Income 107,449.57 0.04 107,449.57 1.00 10.07 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 107,420.99 0.04 107,420.99 1.00 8.60 nan
AT&T INC Fixed Income 107,363.84 0.04 107,363.84 1.00 13.87 nan
FOX CORP Fixed Income 107,363.84 0.04 107,363.84 1.00 9.22 nan
T-MOBILE USA INC Fixed Income 107,306.69 0.04 107,306.69 1.00 5.41 nan
VERIZON COMMUNICATIONS INC Fixed Income 107,220.95 0.04 107,220.95 1.00 8.00 nan
PFIZER INC Fixed Income 107,135.22 0.04 107,135.22 1.00 8.66 nan
PEPSICO INC Fixed Income 107,106.65 0.04 107,106.65 1.00 5.53 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 107,078.07 0.04 107,078.07 1.00 14.02 nan
ONEOK INC Fixed Income 107,020.92 0.04 107,020.92 1.00 6.97 nan
TOTALENERGIES CAPITAL INTERNATIONA Fixed Income 107,020.92 0.04 107,020.92 1.00 14.92 nan
VALERO ENERGY CORPORATION Fixed Income 107,020.92 0.04 107,020.92 1.00 8.07 nan
DEUTSCHE BANK AG (NEW YORK BRANCH) Fixed Income 106,992.34 0.04 106,992.34 1.00 4.96 nan
BOEING CO Fixed Income 106,963.76 0.04 106,963.76 1.00 3.90 nan
EXPAND ENERGY CORP Fixed Income 106,963.76 0.04 106,963.76 1.00 5.28 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 106,935.18 0.04 106,935.18 1.00 5.95 nan
PFIZER INC Fixed Income 106,935.18 0.04 106,935.18 1.00 3.14 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 106,906.61 0.04 106,906.61 1.00 3.66 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 106,878.03 0.04 106,878.03 1.00 5.72 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 106,792.30 0.04 106,792.30 1.00 14.49 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 106,706.57 0.04 106,706.57 1.00 14.94 nan
CONOCOPHILLIPS CO Fixed Income 106,592.26 0.04 106,592.26 1.00 3.74 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 106,506.53 0.04 106,506.53 1.00 9.49 nan
AT&T INC Fixed Income 106,392.22 0.04 106,392.22 1.00 12.22 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 106,392.22 0.04 106,392.22 1.00 13.48 nan
BAT CAPITAL CORP Fixed Income 106,335.07 0.04 106,335.07 1.00 7.43 nan
APPLE INC Fixed Income 106,306.49 0.04 106,306.49 1.00 13.05 nan
LOWES COMPANIES INC Fixed Income 106,220.76 0.04 106,220.76 1.00 4.66 nan
COOPERATIEVE RABOBANK UA MTN Fixed Income 106,192.18 0.04 106,192.18 1.00 10.35 nan
CIGNA GROUP Fixed Income 106,135.03 0.04 106,135.03 1.00 4.93 nan
VERIZON COMMUNICATIONS INC Fixed Income 106,135.03 0.04 106,135.03 1.00 8.46 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 106,106.45 0.04 106,106.45 1.00 14.84 nan
CIGNA GROUP Fixed Income 106,106.45 0.04 106,106.45 1.00 13.89 nan
CENTENE CORPORATION Fixed Income 105,963.57 0.04 105,963.57 1.00 4.84 nan
TRANSCANADA PIPELINES LTD Fixed Income 105,906.41 0.04 105,906.41 1.00 6.77 nan
CISCO SYSTEMS INC Fixed Income 105,877.83 0.04 105,877.83 1.00 9.74 nan
APPLE INC Fixed Income 105,792.10 0.04 105,792.10 1.00 4.02 nan
CHENIERE ENERGY PARTNERS LP Fixed Income 105,706.37 0.04 105,706.37 1.00 5.49 nan
UBER TECHNOLOGIES INC Fixed Income 105,706.37 0.04 105,706.37 1.00 7.74 nan
LOWES COMPANIES INC Fixed Income 105,563.49 0.04 105,563.49 1.00 5.89 nan
QUALCOMM INCORPORATED Fixed Income 105,563.49 0.04 105,563.49 1.00 12.99 nan
UNITED PARCEL SERVICE INC Fixed Income 105,563.49 0.04 105,563.49 1.00 8.58 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 105,506.33 0.04 105,506.33 1.00 3.68 nan
US BANCORP MTN Fixed Income 105,477.76 0.04 105,477.76 1.00 6.48 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 105,363.45 0.04 105,363.45 1.00 6.70 nan
CVS HEALTH CORP Fixed Income 105,306.29 0.04 105,306.29 1.00 5.38 nan
PEPSICO INC Fixed Income 105,306.29 0.04 105,306.29 1.00 7.57 nan
DIAMONDBACK ENERGY INC Fixed Income 105,249.14 0.04 105,249.14 1.00 6.74 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 105,220.56 0.04 105,220.56 1.00 11.73 nan
BARCLAYS PLC Fixed Income 105,134.83 0.04 105,134.83 1.00 6.14 nan
BECTON DICKINSON AND COMPANY Fixed Income 105,106.26 0.04 105,106.26 1.00 4.89 nan
JOHNSON & JOHNSON Fixed Income 105,106.26 0.04 105,106.26 1.00 7.39 nan
NATWEST GROUP PLC Fixed Income 105,106.26 0.04 105,106.26 1.00 6.57 nan
AMAZON.COM INC Fixed Income 104,963.37 0.04 104,963.37 1.00 5.89 nan
MERCK & CO INC Fixed Income 104,734.75 0.04 104,734.75 1.00 10.04 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 104,706.18 0.04 104,706.18 1.00 4.34 nan
T-MOBILE USA INC Fixed Income 104,677.60 0.04 104,677.60 1.00 4.88 nan
UNITEDHEALTH GROUP INC Fixed Income 104,620.45 0.04 104,620.45 1.00 6.84 nan
AMGEN INC Fixed Income 104,591.87 0.04 104,591.87 1.00 10.86 nan
CHEVRON USA INC Fixed Income 104,563.29 0.04 104,563.29 1.00 3.99 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 104,563.29 0.04 104,563.29 1.00 5.82 nan
CONOCOPHILLIPS CO Fixed Income 104,534.72 0.04 104,534.72 1.00 14.09 nan
COCA-COLA CO Fixed Income 104,506.14 0.04 104,506.14 1.00 6.79 nan
AT&T INC Fixed Income 104,448.98 0.04 104,448.98 1.00 11.87 nan
TARGA RESOURCES CORP Fixed Income 104,448.98 0.04 104,448.98 1.00 6.08 nan
PHILLIPS 66 Fixed Income 104,391.83 0.04 104,391.83 1.00 4.71 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 104,363.25 0.04 104,363.25 1.00 14.20 nan
WELLS FARGO & COMPANY Fixed Income 104,363.25 0.04 104,363.25 1.00 7.43 nan
WELLTOWER OP LLC Fixed Income 104,306.10 0.04 104,306.10 1.00 3.85 nan
AMAZON.COM INC Fixed Income 104,191.79 0.04 104,191.79 1.00 17.91 nan
VERIZON COMMUNICATIONS INC Fixed Income 104,106.06 0.04 104,106.06 1.00 4.86 nan
KRAFT HEINZ FOODS CO Fixed Income 104,077.48 0.04 104,077.48 1.00 13.28 nan
WELLTOWER OP LLC Fixed Income 104,077.48 0.04 104,077.48 1.00 5.02 nan
ABBVIE INC Fixed Income 104,048.91 0.04 104,048.91 1.00 7.36 nan
CVS HEALTH CORP Fixed Income 104,020.33 0.04 104,020.33 1.00 13.66 nan
NORTHROP GRUMMAN CORP Fixed Income 104,020.33 0.04 104,020.33 1.00 6.83 nan
AMGEN INC Fixed Income 103,991.75 0.04 103,991.75 1.00 6.19 nan
ROYAL BANK OF CANADA (FX-FRN) MTN Fixed Income 103,991.75 0.04 103,991.75 1.00 3.76 nan
T-MOBILE USA INC Fixed Income 103,934.60 0.04 103,934.60 1.00 5.46 nan
BECTON DICKINSON AND COMPANY Fixed Income 103,848.87 0.04 103,848.87 1.00 12.71 nan
COMCAST CORPORATION Fixed Income 103,820.29 0.04 103,820.29 1.00 4.82 nan
EXXON MOBIL CORP Fixed Income 103,820.29 0.04 103,820.29 1.00 3.56 nan
ING GROEP NV Fixed Income 103,734.56 0.04 103,734.56 1.00 5.52 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 103,734.56 0.04 103,734.56 1.00 15.55 nan
JBS USA HOLDING LUX SARL 144A Fixed Income 103,705.98 0.04 103,705.98 1.00 13.38 nan
MPLX LP Fixed Income 103,705.98 0.04 103,705.98 1.00 12.50 nan
KENVUE INC Fixed Income 103,591.67 0.04 103,591.67 1.00 14.13 nan
MARATHON PETROLEUM CORP Fixed Income 103,591.67 0.04 103,591.67 1.00 3.83 nan
BANK OF MONTREAL MTN Fixed Income 103,534.52 0.04 103,534.52 1.00 4.29 nan
COMCAST CORPORATION Fixed Income 103,534.52 0.04 103,534.52 1.00 13.58 nan
ELI LILLY AND COMPANY Fixed Income 103,534.52 0.04 103,534.52 1.00 6.11 nan
BARCLAYS PLC (FXD TO FLOAT) Fixed Income 103,505.94 0.04 103,505.94 1.00 11.65 nan
TEXAS INSTRUMENTS INC Fixed Income 103,505.94 0.04 103,505.94 1.00 13.42 nan
DELL INTERNATIONAL LLC Fixed Income 103,477.37 0.04 103,477.37 1.00 5.83 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 103,477.37 0.04 103,477.37 1.00 4.52 nan
MPLX LP Fixed Income 103,420.21 0.04 103,420.21 1.00 5.70 nan
MERCK & CO INC Fixed Income 103,334.48 0.04 103,334.48 1.00 7.71 nan
UNITEDHEALTH GROUP INC Fixed Income 103,305.90 0.04 103,305.90 1.00 3.21 nan
ANHEUSER-BUSCH INBEV FINANCE INC Fixed Income 103,277.33 0.04 103,277.33 1.00 12.34 nan
GENERAL MOTORS CO Fixed Income 103,191.60 0.04 103,191.60 1.00 7.58 nan
ROYAL BANK OF CANADA (FX-FRN) MTN Fixed Income 103,134.44 0.04 103,134.44 1.00 3.92 nan
T-MOBILE USA INC Fixed Income 103,105.86 0.04 103,105.86 1.00 14.27 nan
HOME DEPOT INC Fixed Income 103,105.86 0.04 103,105.86 1.00 5.72 nan
WALT DISNEY CO Fixed Income 103,048.71 0.04 103,048.71 1.00 6.94 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 103,048.71 0.04 103,048.71 1.00 6.43 nan
TRUIST FINANCIAL CORP MTN Fixed Income 103,020.13 0.04 103,020.13 1.00 4.28 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 102,991.56 0.04 102,991.56 1.00 14.46 nan
EATON CORPORATION Fixed Income 102,962.98 0.04 102,962.98 1.00 6.25 nan
CAMPBELLS CO Fixed Income 102,820.09 0.04 102,820.09 1.00 6.68 nan
UNION PACIFIC CORPORATION Fixed Income 102,791.52 0.04 102,791.52 1.00 14.85 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 102,734.36 0.04 102,734.36 1.00 13.32 nan
UNITEDHEALTH GROUP INC Fixed Income 102,734.36 0.04 102,734.36 1.00 5.96 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 102,534.32 0.04 102,534.32 1.00 3.13 nan
HSBC HOLDINGS PLC FXD-TO-FLT MTN Fixed Income 102,534.32 0.04 102,534.32 1.00 4.43 nan
HSBC HOLDINGS PLC MTN Fixed Income 102,534.32 0.04 102,534.32 1.00 7.76 nan
AMPHENOL CORPORATION Fixed Income 102,334.29 0.04 102,334.29 1.00 8.10 nan
CIGNA GROUP Fixed Income 102,305.71 0.04 102,305.71 1.00 14.09 nan
NIKE INC Fixed Income 102,248.55 0.04 102,248.55 1.00 4.07 nan
VICI PROPERTIES LP Fixed Income 102,219.98 0.04 102,219.98 1.00 7.24 nan
UNION PACIFIC CORPORATION Fixed Income 102,134.25 0.04 102,134.25 1.00 5.05 nan
GLAXOSMITHKLINE CAPITAL INC Fixed Income 102,077.09 0.04 102,077.09 1.00 4.00 nan
SHELL FINANCE US INC Fixed Income 102,077.09 0.04 102,077.09 1.00 15.04 nan
AON CORP Fixed Income 102,048.51 0.04 102,048.51 1.00 4.14 nan
SALESFORCE INC Fixed Income 102,048.51 0.04 102,048.51 1.00 15.63 nan
BANK OF AMERICA CORP Fixed Income 102,019.94 0.04 102,019.94 1.00 15.63 nan
QUALCOMM INCORPORATED Fixed Income 101,962.78 0.04 101,962.78 1.00 12.06 nan
INTEL CORPORATION Fixed Income 101,848.48 0.04 101,848.48 1.00 3.98 nan
TYSON FOODS INC Fixed Income 101,848.48 0.04 101,848.48 1.00 12.97 nan
US BANCORP MTN Fixed Income 101,848.48 0.04 101,848.48 1.00 3.94 nan
AT&T INC Fixed Income 101,791.32 0.04 101,791.32 1.00 8.42 nan
JEFFERIES GROUP LLC MTN Fixed Income 101,762.74 0.04 101,762.74 1.00 5.38 nan
SYSCO CORPORATION Fixed Income 101,734.17 0.04 101,734.17 1.00 3.86 nan
LLOYDS BANKING GROUP PLC Fixed Income 101,591.28 0.04 101,591.28 1.00 5.65 nan
JPMORGAN CHASE & CO Fixed Income 101,419.82 0.04 101,419.82 1.00 2.71 nan
PAYCHEX INC Fixed Income 101,419.82 0.04 101,419.82 1.00 3.96 nan
US BANCORP MTN Fixed Income 101,362.67 0.04 101,362.67 1.00 3.79 nan
VERIZON COMMUNICATIONS INC Fixed Income 101,219.78 0.04 101,219.78 1.00 9.61 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 101,134.05 0.04 101,134.05 1.00 13.09 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 100,991.17 0.04 100,991.17 1.00 13.68 nan
MERCK & CO INC Fixed Income 100,991.17 0.04 100,991.17 1.00 5.56 nan
ONEOK INC Fixed Income 100,991.17 0.04 100,991.17 1.00 13.26 nan
HONDA MOTOR CO LTD Fixed Income 100,934.01 0.04 100,934.01 1.00 7.41 nan
TARGET CORPORATION Fixed Income 100,905.43 0.04 100,905.43 1.00 4.00 nan
APPLE INC Fixed Income 100,876.86 0.04 100,876.86 1.00 13.28 nan
MORGAN STANLEY Fixed Income 100,876.86 0.04 100,876.86 1.00 11.52 nan
NOMURA HOLDINGS INC Fixed Income 100,848.28 0.04 100,848.28 1.00 5.15 nan
MARTIN MARIETTA MATERIALS INC Fixed Income 100,791.13 0.04 100,791.13 1.00 5.19 nan
NETFLIX INC Fixed Income 100,733.97 0.04 100,733.97 1.00 3.09 nan
HCA INC Fixed Income 100,676.82 0.04 100,676.82 1.00 12.14 nan
ENERGY TRANSFER LP Fixed Income 100,619.66 0.04 100,619.66 1.00 5.88 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 100,591.09 0.04 100,591.09 1.00 4.23 nan
MICROSOFT CORPORATION Fixed Income 100,591.09 0.04 100,591.09 1.00 8.82 nan
NXP BV Fixed Income 100,591.09 0.04 100,591.09 1.00 5.64 nan
UNITED PARCEL SERVICE INC Fixed Income 100,591.09 0.04 100,591.09 1.00 13.87 nan
HALLIBURTON COMPANY Fixed Income 100,562.51 0.03 100,562.51 1.00 3.99 nan
ALPHABET INC Fixed Income 100,533.93 0.03 100,533.93 1.00 16.87 nan
BOSTON PROPERTIES LP Fixed Income 100,391.05 0.03 100,391.05 1.00 6.96 nan
INTUIT INC Fixed Income 100,219.59 0.03 100,219.59 1.00 14.16 nan
GOLDMAN SACHS GROUP INC (FXD-FRN) Fixed Income 100,191.01 0.03 100,191.01 1.00 3.74 nan
WALMART INC Fixed Income 100,162.43 0.03 100,162.43 1.00 14.97 nan
COOPERATIEVE RABOBANK UA Fixed Income 100,133.86 0.03 100,133.86 1.00 11.01 nan
STARBUCKS CORPORATION Fixed Income 99,933.82 0.03 99,933.82 1.00 3.48 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 99,819.51 0.03 99,819.51 1.00 7.28 nan
CONAGRA BRANDS INC Fixed Income 99,733.78 0.03 99,733.78 1.00 8.97 nan
SAN DIEGO GAS & ELECTRIC CO Fixed Income 99,705.20 0.03 99,705.20 1.00 7.38 nan
HEWLETT PACKARD ENTERPRISE CO Fixed Income 99,648.05 0.03 99,648.05 1.00 13.84 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 99,619.47 0.03 99,619.47 1.00 4.16 nan
ADOBE INC Fixed Income 99,562.31 0.03 99,562.31 1.00 3.96 nan
TOTALENERGIES CAPITAL SA Fixed Income 99,562.31 0.03 99,562.31 1.00 15.69 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 99,533.74 0.03 99,533.74 1.00 14.03 nan
LLOYDS BANKING GROUP PLC Fixed Income 99,476.58 0.03 99,476.58 1.00 6.43 nan
PROCTER & GAMBLE CO Fixed Income 99,448.01 0.03 99,448.01 1.00 4.76 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 99,305.12 0.03 99,305.12 1.00 15.77 nan
GOLDMAN SACHS CAPITAL I Fixed Income 99,305.12 0.03 99,305.12 1.00 6.39 nan
GENERAL ELECTRIC CO MTN Fixed Income 99,247.97 0.03 99,247.97 1.00 5.22 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 99,219.39 0.03 99,219.39 1.00 3.24 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 99,190.81 0.03 99,190.81 1.00 6.84 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 99,162.24 0.03 99,162.24 1.00 3.82 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 99,076.51 0.03 99,076.51 1.00 6.85 nan
INTEL CORPORATION Fixed Income 98,990.77 0.03 98,990.77 1.00 3.74 nan
ROYAL BANK OF CANADA (FXD-FRN) MTN Fixed Income 98,962.20 0.03 98,962.20 1.00 4.19 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 98,933.62 0.03 98,933.62 1.00 6.29 nan
COMCAST CORPORATION Fixed Income 98,905.04 0.03 98,905.04 1.00 10.59 nan
EXXON MOBIL CORP Fixed Income 98,876.47 0.03 98,876.47 1.00 10.45 nan
NOVARTIS CAPITAL CORP Fixed Income 98,847.89 0.03 98,847.89 1.00 11.95 nan
ALPHABET INC Fixed Income 98,819.31 0.03 98,819.31 1.00 14.55 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 98,790.74 0.03 98,790.74 1.00 4.91 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 98,705.00 0.03 98,705.00 1.00 3.88 nan
REGAL REXNORD CORP Fixed Income 98,647.85 0.03 98,647.85 1.00 5.93 nan
DIAMONDBACK ENERGY INC Fixed Income 98,562.12 0.03 98,562.12 1.00 4.86 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 98,562.12 0.03 98,562.12 1.00 13.22 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 98,562.12 0.03 98,562.12 1.00 6.34 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 98,447.81 0.03 98,447.81 1.00 6.87 nan
CVS HEALTH CORP Fixed Income 98,447.81 0.03 98,447.81 1.00 4.94 nan
CISCO SYSTEMS INC Fixed Income 98,447.81 0.03 98,447.81 1.00 5.35 nan
MERCK & CO INC Fixed Income 98,447.81 0.03 98,447.81 1.00 4.39 nan
UNILEVER CAPITAL CORP Fixed Income 98,390.66 0.03 98,390.66 1.00 5.37 nan
AMGEN INC Fixed Income 98,362.08 0.03 98,362.08 1.00 4.89 nan
DELL INTERNATIONAL LLC Fixed Income 98,362.08 0.03 98,362.08 1.00 5.39 nan
BANCO SANTANDER SA Fixed Income 98,333.50 0.03 98,333.50 1.00 6.09 nan
ENBRIDGE INC Fixed Income 98,219.20 0.03 98,219.20 1.00 13.81 nan
GILEAD SCIENCES INC Fixed Income 98,219.20 0.03 98,219.20 1.00 13.23 nan
NISOURCE INC Fixed Income 98,190.62 0.03 98,190.62 1.00 14.06 nan
ARTHUR J GALLAGHER & CO Fixed Income 98,076.31 0.03 98,076.31 1.00 14.12 nan
CVS HEALTH CORP Fixed Income 98,047.73 0.03 98,047.73 1.00 5.98 nan
COMCAST CORPORATION Fixed Income 98,047.73 0.03 98,047.73 1.00 9.39 nan
LOWES COMPANIES INC Fixed Income 98,047.73 0.03 98,047.73 1.00 14.44 nan
HEWLETT PACKARD ENTERPRISE CO Fixed Income 97,990.58 0.03 97,990.58 1.00 3.58 nan
APOLLO DEBT SOLUTIONS BDC Fixed Income 97,904.85 0.03 97,904.85 1.00 4.68 nan
KLA CORP Fixed Income 97,876.27 0.03 97,876.27 1.00 5.65 nan
MICRON TECHNOLOGY INC Fixed Income 97,876.27 0.03 97,876.27 1.00 7.34 nan
HSBC HOLDINGS PLC Fixed Income 97,847.69 0.03 97,847.69 1.00 11.56 nan
VERIZON COMMUNICATIONS INC Fixed Income 97,761.96 0.03 97,761.96 1.00 13.97 nan
APPLE INC Fixed Income 97,733.39 0.03 97,733.39 1.00 3.64 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 97,733.39 0.03 97,733.39 1.00 4.23 nan
JBS USA HOLDING LUX SARL Fixed Income 97,704.81 0.03 97,704.81 1.00 6.42 nan
DELL INTERNATIONAL LLC / EMC CORP Fixed Income 97,590.50 0.03 97,590.50 1.00 5.85 nan
NISOURCE INC Fixed Income 97,590.50 0.03 97,590.50 1.00 3.56 nan
ALPHABET INC Fixed Income 97,361.88 0.03 97,361.88 1.00 19.22 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 97,361.88 0.03 97,361.88 1.00 2.95 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 97,190.42 0.03 97,190.42 1.00 5.59 nan
CIGNA GROUP Fixed Income 97,076.11 0.03 97,076.11 1.00 12.38 nan
GENERAL MOTORS CO Fixed Income 97,018.96 0.03 97,018.96 1.00 5.73 nan
HUMANA INC Fixed Income 97,018.96 0.03 97,018.96 1.00 4.70 nan
WASTE MANAGEMENT INC Fixed Income 96,961.81 0.03 96,961.81 1.00 5.05 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 96,933.23 0.03 96,933.23 1.00 3.74 nan
AT&T INC Fixed Income 96,904.65 0.03 96,904.65 1.00 9.56 nan
CONOCOPHILLIPS CO Fixed Income 96,876.08 0.03 96,876.08 1.00 6.43 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 96,761.77 0.03 96,761.77 1.00 7.32 nan
ACCENTURE CAPITAL INC Fixed Income 96,704.61 0.03 96,704.61 1.00 5.17 nan
MERCK & CO INC Fixed Income 96,676.04 0.03 96,676.04 1.00 15.68 nan
MICROSOFT CORPORATION Fixed Income 96,676.04 0.03 96,676.04 1.00 7.74 nan
VODAFONE GROUP PLC Fixed Income 96,618.88 0.03 96,618.88 1.00 12.55 nan
CVS HEALTH CORP Fixed Income 96,561.73 0.03 96,561.73 1.00 13.43 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 96,476.00 0.03 96,476.00 1.00 4.00 nan
SYSCO CORPORATION Fixed Income 96,447.42 0.03 96,447.42 1.00 12.66 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 96,418.84 0.03 96,418.84 1.00 6.29 nan
MASTERCARD INC Fixed Income 96,418.84 0.03 96,418.84 1.00 6.12 nan
WILLIAMS COMPANIES INC Fixed Income 96,418.84 0.03 96,418.84 1.00 4.10 nan
ACCENTURE CAPITAL INC Fixed Income 96,304.54 0.03 96,304.54 1.00 7.24 nan
HOME DEPOT INC Fixed Income 96,190.23 0.03 96,190.23 1.00 3.36 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 96,133.07 0.03 96,133.07 1.00 13.92 nan
ROGERS COMMUNICATIONS INC Fixed Income 96,075.92 0.03 96,075.92 1.00 6.59 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 96,047.34 0.03 96,047.34 1.00 3.15 nan
TOTALENERGIES CAPITAL SA Fixed Income 95,990.19 0.03 95,990.19 1.00 15.59 nan
COCA-COLA CO Fixed Income 95,904.46 0.03 95,904.46 1.00 7.11 nan
PEPSICO INC Fixed Income 95,904.46 0.03 95,904.46 1.00 7.31 nan
ELI LILLY AND COMPANY Fixed Income 95,818.73 0.03 95,818.73 1.00 14.58 nan
MICRON TECHNOLOGY INC Fixed Income 95,733.00 0.03 95,733.00 1.00 3.82 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 95,733.00 0.03 95,733.00 1.00 11.25 nan
CIGNA GROUP Fixed Income 95,647.26 0.03 95,647.26 1.00 6.63 nan
CVS HEALTH CORP Fixed Income 95,647.26 0.03 95,647.26 1.00 13.20 nan
HCA INC Fixed Income 95,618.69 0.03 95,618.69 1.00 9.48 nan
HCA INC Fixed Income 95,590.11 0.03 95,590.11 1.00 3.83 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 95,561.53 0.03 95,561.53 1.00 13.03 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 95,532.96 0.03 95,532.96 1.00 3.67 nan
LOWES COMPANIES INC Fixed Income 95,418.65 0.03 95,418.65 1.00 7.78 nan
BANK OF AMERICA NA Fixed Income 95,361.49 0.03 95,361.49 1.00 8.10 nan
ONEOK INC Fixed Income 95,332.92 0.03 95,332.92 1.00 6.19 nan
SHELL INTERNATIONAL FINANCE BV Fixed Income 95,304.34 0.03 95,304.34 1.00 9.92 nan
SOUTHERN COMPANY (THE) Fixed Income 95,190.03 0.03 95,190.03 1.00 6.62 nan
GENERAL MOTORS CO Fixed Income 95,161.45 0.03 95,161.45 1.00 3.54 nan
PARKER HANNIFIN CORPORATION Fixed Income 95,132.88 0.03 95,132.88 1.00 3.33 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 95,075.72 0.03 95,075.72 1.00 6.59 nan
ING GROEP NV Fixed Income 95,075.72 0.03 95,075.72 1.00 3.06 nan
QUALCOMM INCORPORATED Fixed Income 95,047.15 0.03 95,047.15 1.00 4.22 nan
HCA INC Fixed Income 94,989.99 0.03 94,989.99 1.00 13.67 nan
MORGAN STANLEY Fixed Income 94,989.99 0.03 94,989.99 1.00 5.20 nan
T-MOBILE USA INC Fixed Income 94,989.99 0.03 94,989.99 1.00 13.83 nan
TIME WARNER CABLE LLC Fixed Income 94,989.99 0.03 94,989.99 1.00 9.43 nan
UBER TECHNOLOGIES INC Fixed Income 94,989.99 0.03 94,989.99 1.00 7.12 nan
WELLS FARGO & COMPANY Fixed Income 94,961.42 0.03 94,961.42 1.00 2.71 nan
CITIGROUP INC Fixed Income 94,875.68 0.03 94,875.68 1.00 9.33 nan
MPLX LP Fixed Income 94,789.95 0.03 94,789.95 1.00 5.93 nan
VODAFONE GROUP PLC Fixed Income 94,789.95 0.03 94,789.95 1.00 8.18 nan
HSBC HOLDINGS PLC Fixed Income 94,675.65 0.03 94,675.65 1.00 8.31 nan
CONSTELLATION BRANDS INC Fixed Income 94,647.07 0.03 94,647.07 1.00 5.25 nan
DEUTSCHE BANK AG (NEW YORK BRANCH) Fixed Income 94,647.07 0.03 94,647.07 1.00 2.68 nan
HCA INC Fixed Income 94,647.07 0.03 94,647.07 1.00 4.66 nan
NOVARTIS CAPITAL CORP Fixed Income 94,618.49 0.03 94,618.49 1.00 4.45 nan
APPLE INC Fixed Income 94,589.91 0.03 94,589.91 1.00 12.01 nan
MSCI INC Fixed Income 94,561.34 0.03 94,561.34 1.00 7.53 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 94,504.18 0.03 94,504.18 1.00 5.09 nan
META PLATFORMS INC Fixed Income 94,504.18 0.03 94,504.18 1.00 5.96 nan
CONOCOPHILLIPS CO Fixed Income 94,475.61 0.03 94,475.61 1.00 16.26 nan
SANTANDER UK GROUP HOLDINGS PLC Fixed Income 94,447.03 0.03 94,447.03 1.00 7.70 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 94,389.88 0.03 94,389.88 1.00 7.05 nan
BAT CAPITAL CORP Fixed Income 94,361.30 0.03 94,361.30 1.00 5.61 nan
CISCO SYSTEMS INC Fixed Income 94,332.72 0.03 94,332.72 1.00 4.62 nan
FIFTH THIRD BANCORP Fixed Income 94,332.72 0.03 94,332.72 1.00 4.47 nan
MICROSOFT CORPORATION Fixed Income 94,332.72 0.03 94,332.72 1.00 13.37 nan
RIO TINTO FINANCE (USA) PLC Fixed Income 94,275.57 0.03 94,275.57 1.00 5.40 nan
MARATHON PETROLEUM CORP Fixed Income 94,218.41 0.03 94,218.41 1.00 7.16 nan
GENERAL MOTORS CO Fixed Income 94,161.26 0.03 94,161.26 1.00 11.70 nan
UNITEDHEALTH GROUP INC Fixed Income 94,132.68 0.03 94,132.68 1.00 4.75 nan
ENBRIDGE INC Fixed Income 94,075.53 0.03 94,075.53 1.00 7.30 nan
FISERV INC Fixed Income 94,046.95 0.03 94,046.95 1.00 3.89 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 93,989.80 0.03 93,989.80 1.00 7.49 nan
QUANTA SERVICES INC. Fixed Income 93,989.80 0.03 93,989.80 1.00 4.50 nan
UNITED PARCEL SERVICE INC Fixed Income 93,961.22 0.03 93,961.22 1.00 6.76 nan
RIO TINTO FINANCE (USA) PLC Fixed Income 93,875.49 0.03 93,875.49 1.00 3.89 nan
CONSTELLATION BRANDS INC Fixed Income 93,846.91 0.03 93,846.91 1.00 3.46 nan
STRYKER CORPORATION Fixed Income 93,818.34 0.03 93,818.34 1.00 7.16 nan
INTEL CORPORATION Fixed Income 93,761.18 0.03 93,761.18 1.00 6.65 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 93,761.18 0.03 93,761.18 1.00 4.77 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 93,732.60 0.03 93,732.60 1.00 7.05 nan
CHARLES SCHWAB CORPORATION (THE) Fixed Income 93,732.60 0.03 93,732.60 1.00 5.57 nan
CVS HEALTH CORP Fixed Income 93,675.45 0.03 93,675.45 1.00 13.34 nan
BANK OF AMERICA CORP MTN Fixed Income 93,646.87 0.03 93,646.87 1.00 13.59 nan
ENERGY TRANSFER LP Fixed Income 93,646.87 0.03 93,646.87 1.00 13.29 nan
SHELL FINANCE US INC Fixed Income 93,646.87 0.03 93,646.87 1.00 7.61 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 93,561.14 0.03 93,561.14 1.00 4.90 nan
T-MOBILE USA INC Fixed Income 93,503.99 0.03 93,503.99 1.00 7.28 nan
SYNOPSYS INC Fixed Income 93,418.26 0.03 93,418.26 1.00 5.43 nan
CISCO SYSTEMS INC Fixed Income 93,361.10 0.03 93,361.10 1.00 15.85 nan
PROLOGIS LP Fixed Income 93,361.10 0.03 93,361.10 1.00 4.71 nan
PARKER HANNIFIN CORPORATION Fixed Income 93,332.53 0.03 93,332.53 1.00 3.51 nan
CITIGROUP INC Fixed Income 93,275.37 0.03 93,275.37 1.00 10.45 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 93,275.37 0.03 93,275.37 1.00 7.14 nan
MPLX LP Fixed Income 93,246.79 0.03 93,246.79 1.00 9.23 nan
MERCK & CO INC Fixed Income 93,246.79 0.03 93,246.79 1.00 14.17 nan
ORACLE CORPORATION Fixed Income 93,246.79 0.03 93,246.79 1.00 14.63 nan
L3HARRIS TECHNOLOGIES INC Fixed Income 93,189.64 0.03 93,189.64 1.00 6.24 nan
COMCAST CORPORATION Fixed Income 93,161.06 0.03 93,161.06 1.00 13.54 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 93,075.33 0.03 93,075.33 1.00 5.69 nan
JOHNSON & JOHNSON Fixed Income 93,075.33 0.03 93,075.33 1.00 6.87 nan
ORACLE CORPORATION Fixed Income 93,075.33 0.03 93,075.33 1.00 14.27 nan
COCA-COLA CO Fixed Income 92,961.02 0.03 92,961.02 1.00 4.97 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 92,961.02 0.03 92,961.02 1.00 5.39 nan
L3HARRIS TECHNOLOGIES INC Fixed Income 92,903.87 0.03 92,903.87 1.00 3.20 nan
TRUIST FINANCIAL CORP MTN Fixed Income 92,903.87 0.03 92,903.87 1.00 6.01 nan
VISA INC Fixed Income 92,903.87 0.03 92,903.87 1.00 5.03 nan
CITIZENS FINANCIAL GROUP INC Fixed Income 92,875.29 0.03 92,875.29 1.00 4.80 nan
KINDER MORGAN INC Fixed Income 92,846.72 0.03 92,846.72 1.00 3.96 nan
PEPSICO INC Fixed Income 92,818.14 0.03 92,818.14 1.00 3.49 nan
BAT CAPITAL CORP Fixed Income 92,789.56 0.03 92,789.56 1.00 12.83 nan
BAKER HUGHES HOLDINGS LLC Fixed Income 92,732.41 0.03 92,732.41 1.00 10.21 nan
JOHNSON & JOHNSON Fixed Income 92,732.41 0.03 92,732.41 1.00 8.42 nan
HONEYWELL INTERNATIONAL INC Fixed Income 92,703.83 0.03 92,703.83 1.00 3.53 nan
LOCKHEED MARTIN CORPORATION Fixed Income 92,703.83 0.03 92,703.83 1.00 14.89 nan
DELL INTERNATIONAL LLC Fixed Income 92,675.25 0.03 92,675.25 1.00 3.51 nan
PUBLIC SERVICE COMPANY OF COLORADO Fixed Income 92,675.25 0.03 92,675.25 1.00 5.19 nan
COMCAST CORPORATION Fixed Income 92,589.52 0.03 92,589.52 1.00 15.27 nan
NOMURA HOLDINGS INC Fixed Income 92,446.64 0.03 92,446.64 1.00 5.52 nan
TIME WARNER CABLE LLC Fixed Income 92,446.64 0.03 92,446.64 1.00 7.82 nan
SOLVENTUM CORP Fixed Income 92,360.91 0.03 92,360.91 1.00 13.91 nan
AMAZON.COM INC Fixed Income 92,246.60 0.03 92,246.60 1.00 3.63 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 92,218.02 0.03 92,218.02 1.00 6.42 nan
ENBRIDGE INC Fixed Income 92,189.45 0.03 92,189.45 1.00 13.03 nan
EXXON MOBIL CORP Fixed Income 92,160.87 0.03 92,160.87 1.00 13.00 nan
ROYAL BANK OF CANADA (FX-FRN) MTN Fixed Income 92,132.29 0.03 92,132.29 1.00 3.59 nan
HCA INC Fixed Income 92,017.98 0.03 92,017.98 1.00 14.63 nan
AT&T INC Fixed Income 91,932.25 0.03 91,932.25 1.00 11.33 nan
HONDA MOTOR CO LTD Fixed Income 91,903.68 0.03 91,903.68 1.00 4.11 nan
JOHNSON & JOHNSON Fixed Income 91,760.79 0.03 91,760.79 1.00 3.88 nan
CANADIAN IMPERIAL BANK (FXD-FRN) Fixed Income 91,732.21 0.03 91,732.21 1.00 4.28 nan
ZOETIS INC Fixed Income 91,703.64 0.03 91,703.64 1.00 7.62 nan
ALEXANDRIA REAL ESTATE EQUITIES IN Fixed Income 91,675.06 0.03 91,675.06 1.00 5.13 nan
BARCLAYS PLC Fixed Income 91,617.91 0.03 91,617.91 1.00 12.49 nan
FOX CORP Fixed Income 91,617.91 0.03 91,617.91 1.00 2.94 nan
SHELL FINANCE US INC Fixed Income 91,560.75 0.03 91,560.75 1.00 12.84 nan
NOVARTIS CAPITAL CORP Fixed Income 91,503.60 0.03 91,503.60 1.00 3.56 nan
APPLE INC Fixed Income 91,446.44 0.03 91,446.44 1.00 16.08 nan
CHEVRON USA INC Fixed Income 91,417.87 0.03 91,417.87 1.00 4.40 nan
CITIGROUP INC Fixed Income 91,332.13 0.03 91,332.13 1.00 10.78 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 91,332.13 0.03 91,332.13 1.00 4.72 nan
SIMON PROPERTY GROUP LP Fixed Income 91,332.13 0.03 91,332.13 1.00 3.62 nan
HOME DEPOT INC Fixed Income 91,303.56 0.03 91,303.56 1.00 13.35 nan
IBM INTERNATIONAL CAPITAL PTE LTD Fixed Income 91,217.83 0.03 91,217.83 1.00 6.67 nan
APPLE INC Fixed Income 91,189.25 0.03 91,189.25 1.00 3.49 nan
PEPSICO INC Fixed Income 91,132.10 0.03 91,132.10 1.00 4.23 nan
JPMORGAN CHASE & CO Fixed Income 91,074.94 0.03 91,074.94 1.00 11.57 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 91,046.36 0.03 91,046.36 1.00 5.78 nan
TAKEDA PHARMACEUTICAL CO LTD Fixed Income 90,989.21 0.03 90,989.21 1.00 14.90 nan
MARRIOTT INTERNATIONAL INC Fixed Income 90,960.63 0.03 90,960.63 1.00 4.96 nan
NXP BV Fixed Income 90,960.63 0.03 90,960.63 1.00 5.00 nan
APPLE INC Fixed Income 90,903.48 0.03 90,903.48 1.00 16.78 nan
MASTERCARD INC Fixed Income 90,903.48 0.03 90,903.48 1.00 14.53 nan
ROYAL BANK OF CANADA MTN Fixed Income 90,903.48 0.03 90,903.48 1.00 5.99 nan
PUBLIC SERVICE COMPANY OF COLORADO Fixed Income 90,874.90 0.03 90,874.90 1.00 6.68 nan
ARES CAPITAL CORPORATION Fixed Income 90,703.44 0.03 90,703.44 1.00 2.98 nan
FISERV INC Fixed Income 90,703.44 0.03 90,703.44 1.00 6.23 nan
TARGA RESOURCES PARTNERS LP Fixed Income 90,674.86 0.03 90,674.86 1.00 4.54 nan
HOME DEPOT INC Fixed Income 90,646.29 0.03 90,646.29 1.00 15.24 nan
MICROCHIP TECHNOLOGY INCORPORATED Fixed Income 90,646.29 0.03 90,646.29 1.00 3.79 nan
AT&T INC Fixed Income 90,617.71 0.03 90,617.71 1.00 3.06 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 90,617.71 0.03 90,617.71 1.00 14.22 nan
TRUIST FINANCIAL CORP MTN Fixed Income 90,617.71 0.03 90,617.71 1.00 7.77 nan
COCA-COLA CO Fixed Income 90,589.13 0.03 90,589.13 1.00 3.63 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 90,560.56 0.03 90,560.56 1.00 16.93 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 90,560.56 0.03 90,560.56 1.00 13.34 nan
VERIZON COMMUNICATIONS INC Fixed Income 90,560.56 0.03 90,560.56 1.00 17.03 nan
WASTE MANAGEMENT INC Fixed Income 90,560.56 0.03 90,560.56 1.00 6.72 nan
CHENIERE ENERGY INC Fixed Income 90,531.98 0.03 90,531.98 1.00 6.69 nan
IBM INTERNATIONAL CAPITAL PTE LTD Fixed Income 90,531.98 0.03 90,531.98 1.00 14.08 nan
TIME WARNER CABLE LLC Fixed Income 90,531.98 0.03 90,531.98 1.00 10.90 nan
JPMORGAN CHASE & CO Fixed Income 90,446.25 0.03 90,446.25 1.00 12.01 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 90,446.25 0.03 90,446.25 1.00 7.32 nan
UNION PACIFIC CORPORATION Fixed Income 90,360.52 0.03 90,360.52 1.00 16.44 nan
AIR PRODUCTS AND CHEMICALS INC Fixed Income 90,331.94 0.03 90,331.94 1.00 4.22 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 90,331.94 0.03 90,331.94 1.00 5.86 nan
BARCLAYS PLC Fixed Income 90,303.36 0.03 90,303.36 1.00 5.54 nan
JPMORGAN CHASE & CO Fixed Income 90,303.36 0.03 90,303.36 1.00 11.73 nan
ONEOK INC Fixed Income 90,303.36 0.03 90,303.36 1.00 5.13 nan
MPLX LP Fixed Income 90,274.79 0.03 90,274.79 1.00 13.44 nan
LOWES COMPANIES INC Fixed Income 90,189.05 0.03 90,189.05 1.00 6.21 nan
COMCAST CORPORATION Fixed Income 90,160.48 0.03 90,160.48 1.00 9.52 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 90,160.48 0.03 90,160.48 1.00 7.63 nan
CENTENE CORPORATION Fixed Income 90,046.17 0.03 90,046.17 1.00 4.49 nan
PACIFICORP Fixed Income 90,046.17 0.03 90,046.17 1.00 13.57 nan
APPLE INC Fixed Income 89,931.86 0.03 89,931.86 1.00 5.36 nan
HUNTINGTON BANCSHARES INC Fixed Income 89,846.13 0.03 89,846.13 1.00 6.48 nan
MCDONALDS CORPORATION MTN Fixed Income 89,846.13 0.03 89,846.13 1.00 14.33 nan
AMGEN INC Fixed Income 89,817.55 0.03 89,817.55 1.00 3.83 nan
EXXON MOBIL CORP Fixed Income 89,817.55 0.03 89,817.55 1.00 14.94 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 89,788.98 0.03 89,788.98 1.00 9.36 nan
COMCAST CORPORATION Fixed Income 89,731.82 0.03 89,731.82 1.00 13.48 nan
BROADCOM INC Fixed Income 89,703.25 0.03 89,703.25 1.00 14.76 nan
JPMORGAN CHASE & CO Fixed Income 89,674.67 0.03 89,674.67 1.00 11.61 nan
CISCO SYSTEMS INC Fixed Income 89,646.09 0.03 89,646.09 1.00 3.85 nan
DOW CHEMICAL CO Fixed Income 89,646.09 0.03 89,646.09 1.00 10.96 nan
NETFLIX INC Fixed Income 89,560.36 0.03 89,560.36 1.00 14.39 nan
TRUIST FINANCIAL CORP MTN Fixed Income 89,531.78 0.03 89,531.78 1.00 3.95 nan
US BANCORP Fixed Income 89,531.78 0.03 89,531.78 1.00 5.73 nan
TRANSCANADA PIPELINES LTD Fixed Income 89,503.21 0.03 89,503.21 1.00 4.02 nan
AMERICAN HONDA FINANCE CORPORATION MTN Fixed Income 89,331.74 0.03 89,331.74 1.00 6.60 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 89,303.17 0.03 89,303.17 1.00 10.80 nan
TARGA RESOURCES CORP Fixed Income 89,303.17 0.03 89,303.17 1.00 4.28 nan
3M CO Fixed Income 89,303.17 0.03 89,303.17 1.00 3.58 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 89,274.59 0.03 89,274.59 1.00 13.34 nan
APPLE INC Fixed Income 89,103.13 0.03 89,103.13 1.00 11.98 nan
ARTHUR J GALLAGHER & CO Fixed Income 88,988.82 0.03 88,988.82 1.00 7.26 nan
CUMMINS INC Fixed Income 88,960.24 0.03 88,960.24 1.00 4.57 nan
LOWES COMPANIES INC Fixed Income 88,960.24 0.03 88,960.24 1.00 15.27 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 88,960.24 0.03 88,960.24 1.00 3.52 nan
AMPHENOL CORPORATION Fixed Income 88,903.09 0.03 88,903.09 1.00 14.84 nan
MCDONALDS CORPORATION MTN Fixed Income 88,903.09 0.03 88,903.09 1.00 3.58 nan
EMERSON ELECTRIC CO Fixed Income 88,760.20 0.03 88,760.20 1.00 5.58 nan
UNITEDHEALTH GROUP INC Fixed Income 88,731.63 0.03 88,731.63 1.00 10.39 nan
RIO TINTO FINANCE (USA) PLC Fixed Income 88,703.05 0.03 88,703.05 1.00 15.69 nan
HOME DEPOT INC Fixed Income 88,617.32 0.03 88,617.32 1.00 6.89 nan
CADENCE DESIGN SYSTEMS INC Fixed Income 88,503.01 0.03 88,503.01 1.00 3.51 nan
LLOYDS BANKING GROUP PLC Fixed Income 88,503.01 0.03 88,503.01 1.00 13.02 nan
TELEFONICA EMISIONES SAU Fixed Income 88,474.43 0.03 88,474.43 1.00 12.52 nan
TRUIST FINANCIAL CORP MTN Fixed Income 88,417.28 0.03 88,417.28 1.00 4.90 nan
COSTCO WHOLESALE CORPORATION Fixed Income 88,388.70 0.03 88,388.70 1.00 5.99 nan
MARVELL TECHNOLOGY INC Fixed Income 88,388.70 0.03 88,388.70 1.00 4.94 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 88,360.13 0.03 88,360.13 1.00 5.30 nan
ELEVANCE HEALTH INC Fixed Income 88,245.82 0.03 88,245.82 1.00 5.04 nan
BLACKSTONE REG FINANCE CO LLC Fixed Income 88,217.24 0.03 88,217.24 1.00 7.11 nan
COCA-COLA CO Fixed Income 88,188.66 0.03 88,188.66 1.00 14.63 nan
LLOYDS BANKING GROUP PLC (FXD-FXD) Fixed Income 88,188.66 0.03 88,188.66 1.00 4.45 nan
ELI LILLY AND COMPANY Fixed Income 88,160.09 0.03 88,160.09 1.00 14.51 nan
ALEXANDRIA REAL ESTATE EQUITIES IN Fixed Income 88,131.51 0.03 88,131.51 1.00 6.56 nan
DEERE & CO Fixed Income 88,045.78 0.03 88,045.78 1.00 7.15 nan
SALESFORCE INC Fixed Income 88,045.78 0.03 88,045.78 1.00 5.27 nan
GLP CAPITAL LP Fixed Income 88,017.20 0.03 88,017.20 1.00 6.88 nan
WYETH LLC Fixed Income 88,017.20 0.03 88,017.20 1.00 6.40 nan
J M SMUCKER CO Fixed Income 87,988.62 0.03 87,988.62 1.00 13.21 nan
CUMMINS INC Fixed Income 87,960.05 0.03 87,960.05 1.00 7.29 nan
SMURFIT KAPPA TREASURY UNLIMITED C Fixed Income 87,931.47 0.03 87,931.47 1.00 6.71 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 87,902.89 0.03 87,902.89 1.00 4.05 nan
KRAFT HEINZ FOODS CO Fixed Income 87,817.16 0.03 87,817.16 1.00 10.70 nan
EQUITABLE HOLDINGS INC Fixed Income 87,788.59 0.03 87,788.59 1.00 13.00 nan
APPLE INC Fixed Income 87,731.43 0.03 87,731.43 1.00 15.24 nan
MICRON TECHNOLOGY INC Fixed Income 87,588.55 0.03 87,588.55 1.00 4.46 nan
UNITED PARCEL SERVICE INC Fixed Income 87,588.55 0.03 87,588.55 1.00 7.32 nan
EQUINIX INC Fixed Income 87,531.39 0.03 87,531.39 1.00 5.62 nan
HP INC Fixed Income 87,531.39 0.03 87,531.39 1.00 5.84 nan
ROYALTY PHARMA PLC Fixed Income 87,502.82 0.03 87,502.82 1.00 4.60 nan
CROWN CASTLE INC Fixed Income 87,445.66 0.03 87,445.66 1.00 4.21 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 87,417.08 0.03 87,417.08 1.00 4.29 nan
CANADIAN PACIFIC RAILWAY COMPANY Fixed Income 87,388.51 0.03 87,388.51 1.00 15.43 nan
HCA INC Fixed Income 87,388.51 0.03 87,388.51 1.00 6.06 nan
TAKEDA PHARMACEUTICAL CO LTD Fixed Income 87,359.93 0.03 87,359.93 1.00 11.36 nan
SOUTH BOW USA INFRASTRUCTURE HOLDI Fixed Income 87,302.78 0.03 87,302.78 1.00 6.93 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 87,274.20 0.03 87,274.20 1.00 11.88 nan
ELI LILLY AND COMPANY Fixed Income 87,245.62 0.03 87,245.62 1.00 14.63 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 87,217.05 0.03 87,217.05 1.00 5.24 nan
XILINX INC Fixed Income 87,159.89 0.03 87,159.89 1.00 4.23 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 87,102.74 0.03 87,102.74 1.00 12.39 nan
DELL INTERNATIONAL LLC Fixed Income 87,045.58 0.03 87,045.58 1.00 4.65 nan
UNITED PARCEL SERVICE INC Fixed Income 87,045.58 0.03 87,045.58 1.00 15.11 nan
VIRGINIA ELECTRIC AND POWER COMPAN Fixed Income 86,988.43 0.03 86,988.43 1.00 14.38 nan
HONEYWELL INTERNATIONAL INC Fixed Income 86,959.85 0.03 86,959.85 1.00 4.27 nan
MARATHON PETROLEUM CORP Fixed Income 86,874.12 0.03 86,874.12 1.00 9.77 nan
HCA INC Fixed Income 86,816.97 0.03 86,816.97 1.00 13.71 nan
MICRON TECHNOLOGY INC Fixed Income 86,788.39 0.03 86,788.39 1.00 5.79 nan
SANTANDER HOLDINGS USA INC Fixed Income 86,788.39 0.03 86,788.39 1.00 3.42 nan
NOMURA HOLDINGS INC Fixed Income 86,759.81 0.03 86,759.81 1.00 6.72 nan
TARGA RESOURCES PARTNERS LP Fixed Income 86,731.24 0.03 86,731.24 1.00 5.34 nan
DIAMONDBACK ENERGY INC Fixed Income 86,702.66 0.03 86,702.66 1.00 5.89 nan
CHUBB INA HOLDINGS LLC Fixed Income 86,645.50 0.03 86,645.50 1.00 12.50 nan
MERCK & CO INC Fixed Income 86,559.77 0.03 86,559.77 1.00 6.22 nan
TOTALENERGIES CAPITAL SA Fixed Income 86,559.77 0.03 86,559.77 1.00 7.14 nan
MERCK & CO INC Fixed Income 86,474.04 0.03 86,474.04 1.00 4.35 nan
COCA-COLA CO Fixed Income 86,445.47 0.03 86,445.47 1.00 4.31 nan
MPLX LP Fixed Income 86,445.47 0.03 86,445.47 1.00 13.56 nan
FORD MOTOR COMPANY Fixed Income 86,359.73 0.03 86,359.73 1.00 11.55 nan
GE CAPITAL INTERNATIONAL FUNDING C Fixed Income 86,359.73 0.03 86,359.73 1.00 7.85 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 86,359.73 0.03 86,359.73 1.00 11.30 nan
REGENERON PHARMACEUTICALS INC. Fixed Income 86,302.58 0.03 86,302.58 1.00 4.57 nan
META PLATFORMS INC Fixed Income 86,216.85 0.03 86,216.85 1.00 6.13 nan
LOCKHEED MARTIN CORPORATION Fixed Income 86,188.27 0.03 86,188.27 1.00 12.45 nan
EQUINIX INC Fixed Income 86,159.70 0.03 86,159.70 1.00 3.69 nan
JBS USA HOLDING LUX SARL Fixed Income 86,159.70 0.03 86,159.70 1.00 12.46 nan
UNITED PARCEL SERVICE INC Fixed Income 86,159.70 0.03 86,159.70 1.00 6.10 nan
HOME DEPOT INC Fixed Income 86,131.12 0.03 86,131.12 1.00 5.84 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 86,102.54 0.03 86,102.54 1.00 5.17 nan
AMERICAN HONDA FINANCE CORPORATION Fixed Income 86,045.39 0.03 86,045.39 1.00 5.55 nan
GLOBAL PAYMENTS INC Fixed Income 86,045.39 0.03 86,045.39 1.00 5.34 nan
HOME DEPOT INC Fixed Income 85,988.23 0.03 85,988.23 1.00 13.38 nan
RIO TINTO FINANCE (USA) LTD Fixed Income 85,931.08 0.03 85,931.08 1.00 10.09 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 85,902.50 0.03 85,902.50 1.00 11.69 nan
CSX CORP Fixed Income 85,902.50 0.03 85,902.50 1.00 5.93 nan
T-MOBILE USA INC Fixed Income 85,902.50 0.03 85,902.50 1.00 6.45 nan
ASTRAZENECA PLC Fixed Income 85,845.35 0.03 85,845.35 1.00 11.72 nan
DELL INTERNATIONAL LLC Fixed Income 85,845.35 0.03 85,845.35 1.00 7.37 nan
UNITED PARCEL SERVICE INC Fixed Income 85,845.35 0.03 85,845.35 1.00 14.00 nan
REALTY INCOME CORPORATION Fixed Income 85,816.77 0.03 85,816.77 1.00 4.67 nan
WESTERN MIDSTREAM OPERATING LP Fixed Income 85,816.77 0.03 85,816.77 1.00 3.82 nan
DIAGEO CAPITAL PLC Fixed Income 85,759.62 0.03 85,759.62 1.00 3.74 nan
EXTRA SPACE STORAGE LP Fixed Income 85,759.62 0.03 85,759.62 1.00 4.03 nan
ELI LILLY AND COMPANY Fixed Income 85,759.62 0.03 85,759.62 1.00 6.74 nan
WASTE MANAGEMENT INC Fixed Income 85,759.62 0.03 85,759.62 1.00 14.55 nan
CHENIERE ENERGY PARTNERS LP Fixed Income 85,673.89 0.03 85,673.89 1.00 6.81 nan
ELI LILLY AND COMPANY Fixed Income 85,673.89 0.03 85,673.89 1.00 16.22 nan
SIMON PROPERTY GROUP LP Fixed Income 85,645.31 0.03 85,645.31 1.00 4.32 nan
PAYCHEX INC Fixed Income 85,616.73 0.03 85,616.73 1.00 7.32 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 85,616.73 0.03 85,616.73 1.00 3.31 nan
WORKDAY INC Fixed Income 85,616.73 0.03 85,616.73 1.00 5.59 nan
GEORGIA POWER COMPANY Fixed Income 85,588.16 0.03 85,588.16 1.00 6.13 nan
ELEVANCE HEALTH INC Fixed Income 85,473.85 0.03 85,473.85 1.00 13.91 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 85,473.85 0.03 85,473.85 1.00 4.17 nan
KLA CORP Fixed Income 85,445.27 0.03 85,445.27 1.00 14.12 nan
ABBVIE INC Fixed Income 85,388.12 0.03 85,388.12 1.00 14.47 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 85,388.12 0.03 85,388.12 1.00 3.45 nan
TEXAS INSTRUMENTS INC Fixed Income 85,388.12 0.03 85,388.12 1.00 3.61 nan
MERCK & CO INC Fixed Income 85,330.96 0.03 85,330.96 1.00 11.65 nan
BANK OF AMERICA CORP MTN Fixed Income 85,302.39 0.03 85,302.39 1.00 10.04 nan
CHENIERE ENERGY PARTNERS LP Fixed Income 85,245.23 0.03 85,245.23 1.00 4.71 nan
CHEVRON USA INC Fixed Income 85,245.23 0.03 85,245.23 1.00 5.88 nan
TARGET CORPORATION Fixed Income 85,159.50 0.03 85,159.50 1.00 7.47 nan
BAT CAPITAL CORP Fixed Income 85,130.92 0.03 85,130.92 1.00 4.06 nan
TOTALENERGIES CAPITAL INTERNATIONA Fixed Income 85,130.92 0.03 85,130.92 1.00 3.07 nan
FISERV INC Fixed Income 85,102.35 0.03 85,102.35 1.00 4.19 nan
FORD MOTOR COMPANY Fixed Income 85,073.77 0.03 85,073.77 1.00 4.60 nan
COMCAST CORPORATION Fixed Income 85,016.61 0.03 85,016.61 1.00 7.27 nan
COOPERATIEVE RABOBANK UA Fixed Income 85,016.61 0.03 85,016.61 1.00 11.90 nan
DTE ENERGY COMPANY Fixed Income 85,016.61 0.03 85,016.61 1.00 3.91 nan
LOWES COMPANIES INC Fixed Income 84,988.04 0.03 84,988.04 1.00 12.98 nan
MARRIOTT INTERNATIONAL INC Fixed Income 84,959.46 0.03 84,959.46 1.00 8.45 nan
ABBOTT LABORATORIES Fixed Income 84,930.88 0.03 84,930.88 1.00 8.40 nan
CVS HEALTH CORP Fixed Income 84,902.31 0.03 84,902.31 1.00 5.72 nan
BANCO SANTANDER SA Fixed Income 84,873.73 0.03 84,873.73 1.00 6.48 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 84,873.73 0.03 84,873.73 1.00 6.96 nan
BOSTON PROPERTIES LP Fixed Income 84,845.15 0.03 84,845.15 1.00 4.70 nan
PACIFICORP Fixed Income 84,845.15 0.03 84,845.15 1.00 6.57 nan
ELEVANCE HEALTH INC Fixed Income 84,788.00 0.03 84,788.00 1.00 12.97 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 84,788.00 0.03 84,788.00 1.00 5.93 nan
AMPHENOL CORPORATION Fixed Income 84,759.42 0.03 84,759.42 1.00 5.38 nan
GE HEALTHCARE TECHNOLOGIES INC Fixed Income 84,645.11 0.03 84,645.11 1.00 3.83 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 84,587.96 0.03 84,587.96 1.00 3.10 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 84,559.38 0.03 84,559.38 1.00 8.78 nan
ING GROEP NV Fixed Income 84,559.38 0.03 84,559.38 1.00 4.93 nan
JOHNSON & JOHNSON Fixed Income 84,502.23 0.03 84,502.23 1.00 6.66 nan
BROWN & BROWN INC Fixed Income 84,416.50 0.03 84,416.50 1.00 7.31 nan
BROADCOM INC Fixed Income 84,387.92 0.03 84,387.92 1.00 5.37 nan
HCA INC Fixed Income 84,387.92 0.03 84,387.92 1.00 7.17 nan
KENVUE INC Fixed Income 84,387.92 0.03 84,387.92 1.00 5.46 nan
PROCTER & GAMBLE CO Fixed Income 84,387.92 0.03 84,387.92 1.00 4.06 nan
BLUE OWL CREDIT INCOME CORP Fixed Income 84,330.77 0.03 84,330.77 1.00 3.79 nan
ONEOK INC Fixed Income 84,330.77 0.03 84,330.77 1.00 7.55 nan
WALMART INC Fixed Income 84,330.77 0.03 84,330.77 1.00 8.40 nan
APPLE INC Fixed Income 84,302.19 0.03 84,302.19 1.00 15.03 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 84,245.04 0.03 84,245.04 1.00 13.18 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 84,216.46 0.03 84,216.46 1.00 5.54 nan
ATHENE HOLDING LTD Fixed Income 84,187.88 0.03 84,187.88 1.00 12.95 nan
WALMART INC Fixed Income 84,187.88 0.03 84,187.88 1.00 16.37 nan
NXP BV Fixed Income 84,159.30 0.03 84,159.30 1.00 5.92 nan
TEXAS INSTRUMENTS INC Fixed Income 84,159.30 0.03 84,159.30 1.00 4.22 nan
CATERPILLAR INC Fixed Income 84,130.73 0.03 84,130.73 1.00 11.74 nan
TELEDYNE TECHNOLOGIES INCORPORATED Fixed Income 84,130.73 0.03 84,130.73 1.00 4.93 nan
MPLX LP Fixed Income 84,073.57 0.03 84,073.57 1.00 4.58 nan
UNION PACIFIC CORPORATION Fixed Income 84,016.42 0.03 84,016.42 1.00 13.88 nan
CATERPILLAR INC Fixed Income 83,959.27 0.03 83,959.27 1.00 7.34 nan
NOMURA HOLDINGS INC Fixed Income 83,959.27 0.03 83,959.27 1.00 4.08 nan
MORGAN STANLEY MTN Fixed Income 83,844.96 0.03 83,844.96 1.00 3.77 nan
CVS HEALTH CORP Fixed Income 83,816.38 0.03 83,816.38 1.00 14.42 nan
CANADIAN IMPERIAL BANK OF COMMERCE Fixed Income 83,787.80 0.03 83,787.80 1.00 3.12 nan
BOEING CO Fixed Income 83,730.65 0.03 83,730.65 1.00 14.13 nan
HALEON US CAPITAL LLC Fixed Income 83,730.65 0.03 83,730.65 1.00 5.60 nan
HOME DEPOT INC Fixed Income 83,730.65 0.03 83,730.65 1.00 14.95 nan
COCA-COLA CO Fixed Income 83,702.07 0.03 83,702.07 1.00 4.02 nan
ENERGY TRANSFER LP Fixed Income 83,702.07 0.03 83,702.07 1.00 13.40 nan
LOCKHEED MARTIN CORPORATION Fixed Income 83,702.07 0.03 83,702.07 1.00 4.24 nan
ALTRIA GROUP INC Fixed Income 83,673.50 0.03 83,673.50 1.00 11.07 nan
ENERGY TRANSFER PARTNERS LP Fixed Income 83,673.50 0.03 83,673.50 1.00 11.62 nan
NORTHROP GRUMMAN CORP Fixed Income 83,673.50 0.03 83,673.50 1.00 14.21 nan
VIPER ENERGY PARTNERS LLC Fixed Income 83,673.50 0.03 83,673.50 1.00 7.33 nan
AES CORPORATION (THE) Fixed Income 83,644.92 0.03 83,644.92 1.00 5.25 nan
GENERAL MOTORS CO Fixed Income 83,644.92 0.03 83,644.92 1.00 3.92 nan
TELEFONICA EMISIONES SAU Fixed Income 83,644.92 0.03 83,644.92 1.00 12.61 nan
SHELL INTERNATIONAL FINANCE BV Fixed Income 83,616.34 0.03 83,616.34 1.00 14.76 nan
CVS HEALTH CORP Fixed Income 83,587.76 0.03 83,587.76 1.00 3.18 nan
DEVON ENERGY CORPORATION Fixed Income 83,587.76 0.03 83,587.76 1.00 6.98 nan
DOW CHEMICAL CO Fixed Income 83,559.19 0.03 83,559.19 1.00 12.37 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 83,530.61 0.03 83,530.61 1.00 14.09 nan
KENVUE INC Fixed Income 83,473.46 0.03 83,473.46 1.00 3.90 nan
LOWES COMPANIES INC Fixed Income 83,416.30 0.03 83,416.30 1.00 3.18 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 83,301.99 0.03 83,301.99 1.00 14.02 nan
HONEYWELL INTERNATIONAL INC Fixed Income 83,273.42 0.03 83,273.42 1.00 7.36 nan
PHILLIPS 66 Fixed Income 83,244.84 0.03 83,244.84 1.00 7.13 nan
INTUIT INC Fixed Income 83,187.69 0.03 83,187.69 1.00 6.41 nan
APTIV SWISS HOLDINGS LTD Fixed Income 83,187.69 0.03 83,187.69 1.00 5.59 nan
WOODSIDE FINANCE LTD Fixed Income 83,130.53 0.03 83,130.53 1.00 3.92 nan
GENERAL ELECTRIC CO Fixed Income 83,101.96 0.03 83,101.96 1.00 7.92 nan
COMCAST CORPORATION Fixed Income 83,073.38 0.03 83,073.38 1.00 6.05 nan
KINDER MORGAN INC Fixed Income 83,073.38 0.03 83,073.38 1.00 6.55 nan
CARDINAL HEALTH INC Fixed Income 83,016.22 0.03 83,016.22 1.00 6.97 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 83,016.22 0.03 83,016.22 1.00 7.20 nan
AMGEN INC Fixed Income 82,959.07 0.03 82,959.07 1.00 13.07 nan
INTEL CORPORATION Fixed Income 82,901.92 0.03 82,901.92 1.00 10.79 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 82,759.03 0.03 82,759.03 1.00 6.84 nan
CENCORA INC Fixed Income 82,701.88 0.03 82,701.88 1.00 4.90 nan
HOME DEPOT INC Fixed Income 82,701.88 0.03 82,701.88 1.00 10.97 nan
NATWEST GROUP PLC Fixed Income 82,701.88 0.03 82,701.88 1.00 2.93 nan
HESS CORP Fixed Income 82,673.30 0.03 82,673.30 1.00 10.22 nan
AUTODESK INC Fixed Income 82,587.57 0.03 82,587.57 1.00 5.52 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 82,587.57 0.03 82,587.57 1.00 5.94 nan
BARCLAYS PLC Fixed Income 82,558.99 0.03 82,558.99 1.00 11.94 nan
CROWN CASTLE INC Fixed Income 82,530.41 0.03 82,530.41 1.00 5.00 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 82,530.41 0.03 82,530.41 1.00 3.42 nan
KINDER MORGAN ENERGY PARTNERS LP Fixed Income 82,501.84 0.03 82,501.84 1.00 8.29 nan
SANTANDER HOLDINGS USA INC Fixed Income 82,501.84 0.03 82,501.84 1.00 2.83 nan
BANK OF NOVA SCOTIA MTN Fixed Income 82,473.26 0.03 82,473.26 1.00 3.77 nan
EXELON CORPORATION Fixed Income 82,387.53 0.03 82,387.53 1.00 4.03 nan
SOUTH BOW USA INFRASTRUCTURE HOLDI Fixed Income 82,387.53 0.03 82,387.53 1.00 3.51 nan
KINDER MORGAN INC Fixed Income 82,358.95 0.03 82,358.95 1.00 4.90 nan
CRH SMW FINANCE DAC Fixed Income 82,330.38 0.03 82,330.38 1.00 3.16 nan
JBS USA HOLDING LUX SARL 144A Fixed Income 82,330.38 0.03 82,330.38 1.00 14.38 nan
BROWN & BROWN INC Fixed Income 82,273.22 0.03 82,273.22 1.00 13.59 nan
REGAL REXNORD CORP Fixed Income 82,244.64 0.03 82,244.64 1.00 3.71 nan
VISA INC Fixed Income 82,244.64 0.03 82,244.64 1.00 16.95 nan
BROWN & BROWN INC Fixed Income 82,187.49 0.03 82,187.49 1.00 4.05 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 82,130.34 0.03 82,130.34 1.00 3.82 nan
ELI LILLY AND COMPANY Fixed Income 82,130.34 0.03 82,130.34 1.00 3.14 nan
PROLOGIS LP Fixed Income 82,130.34 0.03 82,130.34 1.00 4.28 nan
ARTHUR J GALLAGHER & CO Fixed Income 82,101.76 0.03 82,101.76 1.00 3.65 nan
DUKE ENERGY PROGRESS LLC Fixed Income 82,073.18 0.03 82,073.18 1.00 7.38 nan
WESTPAC BANKING CORP Fixed Income 82,073.18 0.03 82,073.18 1.00 3.90 nan
L3HARRIS TECHNOLOGIES INC Fixed Income 82,044.61 0.03 82,044.61 1.00 6.73 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 81,987.45 0.03 81,987.45 1.00 12.26 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 81,987.45 0.03 81,987.45 1.00 4.11 nan
ING GROEP NV Fixed Income 81,901.72 0.03 81,901.72 1.00 3.90 nan
ELI LILLY AND COMPANY Fixed Income 81,901.72 0.03 81,901.72 1.00 5.87 nan
UNITEDHEALTH GROUP INC Fixed Income 81,901.72 0.03 81,901.72 1.00 7.64 nan
LOWES COMPANIES INC Fixed Income 81,844.57 0.03 81,844.57 1.00 4.00 nan
GILEAD SCIENCES INC Fixed Income 81,815.99 0.03 81,815.99 1.00 15.72 nan
HP INC Fixed Income 81,815.99 0.03 81,815.99 1.00 3.19 nan
VICI PROPERTIES LP Fixed Income 81,815.99 0.03 81,815.99 1.00 3.79 nan
COMCAST CORPORATION Fixed Income 81,787.41 0.03 81,787.41 1.00 7.75 nan
ENBRIDGE INC Fixed Income 81,787.41 0.03 81,787.41 1.00 3.69 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 81,758.84 0.03 81,758.84 1.00 5.31 nan
DUKE ENERGY FLORIDA LLC Fixed Income 81,701.68 0.03 81,701.68 1.00 8.69 nan
NVIDIA CORPORATION Fixed Income 81,701.68 0.03 81,701.68 1.00 10.88 nan
PEPSICO INC Fixed Income 81,644.53 0.03 81,644.53 1.00 5.01 nan
NOVARTIS CAPITAL CORP Fixed Income 81,587.37 0.03 81,587.37 1.00 12.79 nan
PNC BANK NA Fixed Income 81,587.37 0.03 81,587.37 1.00 3.71 nan
UBS AG (LONDON BRANCH) Fixed Income 81,558.80 0.03 81,558.80 1.00 13.35 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 81,444.49 0.03 81,444.49 1.00 11.30 nan
PAYPAL HOLDINGS INC Fixed Income 81,444.49 0.03 81,444.49 1.00 5.57 nan
US BANCORP MTN Fixed Income 81,444.49 0.03 81,444.49 1.00 3.33 nan
ORACLE CORPORATION Fixed Income 81,415.91 0.03 81,415.91 1.00 8.61 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 81,358.76 0.03 81,358.76 1.00 6.38 nan
STRYKER CORPORATION Fixed Income 81,301.60 0.03 81,301.60 1.00 4.31 nan
HP INC Fixed Income 81,244.45 0.03 81,244.45 1.00 5.07 nan
SMURFIT KAPPA TREASURY UNLIMITED C Fixed Income 81,244.45 0.03 81,244.45 1.00 3.71 nan
GENERAL ELECTRIC CO Fixed Income 81,215.87 0.03 81,215.87 1.00 4.21 nan
KINDER MORGAN INC Fixed Income 81,215.87 0.03 81,215.87 1.00 7.02 nan
MERCK & CO INC Fixed Income 81,215.87 0.03 81,215.87 1.00 15.94 nan
METLIFE INC Fixed Income 81,215.87 0.03 81,215.87 1.00 7.30 nan
CATERPILLAR FINANCIAL SERVICES COR MTN Fixed Income 81,015.83 0.03 81,015.83 1.00 3.58 nan
JBS USA LUX SA Fixed Income 80,987.26 0.03 80,987.26 1.00 6.00 nan
AMGEN INC Fixed Income 80,958.68 0.03 80,958.68 1.00 3.46 nan
KENVUE INC Fixed Income 80,958.68 0.03 80,958.68 1.00 6.12 nan
CITIGROUP INC Fixed Income 80,930.10 0.03 80,930.10 1.00 12.29 nan
UNITEDHEALTH GROUP INC Fixed Income 80,930.10 0.03 80,930.10 1.00 11.13 nan
MASTERCARD INC Fixed Income 80,844.37 0.03 80,844.37 1.00 5.33 nan
VISA INC Fixed Income 80,815.79 0.03 80,815.79 1.00 4.19 nan
HA SUSTAINABLE INFRASTRUCTURE CAPI Fixed Income 80,758.64 0.03 80,758.64 1.00 6.47 nan
CANADIAN IMPERIAL BANK OF COMMERCE Fixed Income 80,730.06 0.03 80,730.06 1.00 5.64 nan
HCA INC Fixed Income 80,730.06 0.03 80,730.06 1.00 14.18 nan
ANALOG DEVICES INC Fixed Income 80,701.49 0.03 80,701.49 1.00 5.44 nan
MCDONALDS CORPORATION MTN Fixed Income 80,701.49 0.03 80,701.49 1.00 7.38 nan
SMURFIT WESTROCK FINANCING DAC Fixed Income 80,701.49 0.03 80,701.49 1.00 7.12 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 80,672.91 0.03 80,672.91 1.00 6.55 nan
TRANSCANADA PIPELINES LTD Fixed Income 80,672.91 0.03 80,672.91 1.00 8.59 nan
KRAFT HEINZ FOODS CO Fixed Income 80,644.33 0.03 80,644.33 1.00 12.83 nan
MERCK & CO INC Fixed Income 80,615.75 0.03 80,615.75 1.00 3.12 nan
ELEVANCE HEALTH INC Fixed Income 80,587.18 0.03 80,587.18 1.00 4.19 nan
FISERV INC Fixed Income 80,587.18 0.03 80,587.18 1.00 7.49 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 80,558.60 0.03 80,558.60 1.00 4.63 nan
PAYPAL HOLDINGS INC Fixed Income 80,558.60 0.03 80,558.60 1.00 13.87 nan
MIDAMERICAN ENERGY COMPANY Fixed Income 80,530.02 0.03 80,530.02 1.00 3.21 nan
CITIGROUP INC Fixed Income 80,501.45 0.03 80,501.45 1.00 13.24 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 80,501.45 0.03 80,501.45 1.00 3.41 nan
PEPSICO INC Fixed Income 80,472.87 0.03 80,472.87 1.00 5.68 nan
DELL INTERNATIONAL LLC Fixed Income 80,387.14 0.03 80,387.14 1.00 7.30 nan
ALPHABET INC Fixed Income 80,301.41 0.03 80,301.41 1.00 7.52 nan
MERCEDES-BENZ FINANCE NORTH AMERIC Fixed Income 80,301.41 0.03 80,301.41 1.00 4.23 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 80,244.25 0.03 80,244.25 1.00 4.75 nan
WASTE MANAGEMENT INC Fixed Income 80,101.37 0.03 80,101.37 1.00 3.83 nan
UNITEDHEALTH GROUP INC Fixed Income 80,072.79 0.03 80,072.79 1.00 15.59 nan
HUMANA INC Fixed Income 80,044.21 0.03 80,044.21 1.00 5.68 nan
KEURIG DR PEPPER INC Fixed Income 80,015.64 0.03 80,015.64 1.00 5.59 nan
DEERE & CO Fixed Income 79,958.48 0.03 79,958.48 1.00 11.53 nan
NOVARTIS CAPITAL CORP Fixed Income 79,958.48 0.03 79,958.48 1.00 7.29 nan
CVS HEALTH CORP Fixed Income 79,929.91 0.03 79,929.91 1.00 6.64 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 79,901.33 0.03 79,901.33 1.00 3.14 nan
KEURIG DR PEPPER INC Fixed Income 79,872.75 0.03 79,872.75 1.00 14.16 nan
SHERWIN-WILLIAMS COMPANY (THE) Fixed Income 79,872.75 0.03 79,872.75 1.00 3.51 nan
ORACLE CORPORATION Fixed Income 79,844.18 0.03 79,844.18 1.00 15.27 nan
WALT DISNEY CO Fixed Income 79,815.60 0.03 79,815.60 1.00 10.72 nan
BANK OF NOVA SCOTIA MTN Fixed Income 79,787.02 0.03 79,787.02 1.00 5.64 nan
NASDAQ INC Fixed Income 79,787.02 0.03 79,787.02 1.00 15.02 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 79,758.44 0.03 79,758.44 1.00 14.49 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 79,758.44 0.03 79,758.44 1.00 6.34 nan
TRANSCANADA PIPELINES LTD Fixed Income 79,758.44 0.03 79,758.44 1.00 8.51 nan
WILLIAMS COMPANIES INC Fixed Income 79,758.44 0.03 79,758.44 1.00 5.71 nan
CITIBANK NA Fixed Income 79,729.87 0.03 79,729.87 1.00 3.39 nan
SALESFORCE INC Fixed Income 79,701.29 0.03 79,701.29 1.00 11.90 nan
ORANGE SA Fixed Income 79,644.14 0.03 79,644.14 1.00 11.31 nan
HCA INC Fixed Income 79,615.56 0.03 79,615.56 1.00 13.25 nan
APTIV SWISS HOLDINGS LTD Fixed Income 79,586.98 0.03 79,586.98 1.00 15.15 nan
UNITEDHEALTH GROUP INC Fixed Income 79,586.98 0.03 79,586.98 1.00 8.48 nan
ORACLE CORPORATION Fixed Income 79,529.83 0.03 79,529.83 1.00 8.39 nan
HUMANA INC Fixed Income 79,501.25 0.03 79,501.25 1.00 13.65 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 79,472.67 0.03 79,472.67 1.00 4.73 nan
HEALTHPEAK OP LLC Fixed Income 79,444.10 0.03 79,444.10 1.00 3.86 nan
PACIFICORP Fixed Income 79,444.10 0.03 79,444.10 1.00 13.57 nan
META PLATFORMS INC Fixed Income 79,386.94 0.03 79,386.94 1.00 3.44 nan
HONEYWELL INTERNATIONAL INC Fixed Income 79,386.94 0.03 79,386.94 1.00 3.79 nan
LABORATORY CORPORATION OF AMERICA Fixed Income 79,329.79 0.03 79,329.79 1.00 7.15 nan
VICI PROPERTIES LP Fixed Income 79,329.79 0.03 79,329.79 1.00 5.38 nan
WALMART INC Fixed Income 79,329.79 0.03 79,329.79 1.00 6.36 nan
FOX CORP Fixed Income 79,301.21 0.03 79,301.21 1.00 6.25 nan
KRAFT HEINZ FOODS CO Fixed Income 79,301.21 0.03 79,301.21 1.00 8.78 nan
HOME DEPOT INC Fixed Income 79,272.64 0.03 79,272.64 1.00 14.26 nan
TIME WARNER CABLE ENTERPRISES LLC Fixed Income 79,244.06 0.03 79,244.06 1.00 5.70 nan
SOLVENTUM CORP Fixed Income 79,215.48 0.03 79,215.48 1.00 4.61 nan
KKR & CO INC Fixed Income 79,129.75 0.03 79,129.75 1.00 7.53 nan
PROLOGIS LP Fixed Income 79,129.75 0.03 79,129.75 1.00 6.24 nan
JOHNSON & JOHNSON Fixed Income 79,101.17 0.03 79,101.17 1.00 12.00 nan
AMGEN INC Fixed Income 79,072.60 0.03 79,072.60 1.00 14.79 nan
SOUTHERN COMPANY (THE) Fixed Income 79,072.60 0.03 79,072.60 1.00 7.41 nan
EQUINIX INC Fixed Income 78,986.87 0.03 78,986.87 1.00 4.36 nan
GILEAD SCIENCES INC Fixed Income 78,986.87 0.03 78,986.87 1.00 14.19 nan
VERIZON COMMUNICATIONS INC Fixed Income 78,986.87 0.03 78,986.87 1.00 14.35 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 78,958.29 0.03 78,958.29 1.00 7.10 nan
ELEVANCE HEALTH INC Fixed Income 78,929.71 0.03 78,929.71 1.00 6.75 nan
CHENIERE ENERGY PARTNERS LP 144A Fixed Income 78,901.13 0.03 78,901.13 1.00 7.53 nan
DIAGEO CAPITAL PLC Fixed Income 78,872.56 0.03 78,872.56 1.00 4.23 nan
VERIZON COMMUNICATIONS INC Fixed Income 78,872.56 0.03 78,872.56 1.00 7.15 nan
COMCAST CORPORATION Fixed Income 78,843.98 0.03 78,843.98 1.00 14.30 nan
HOME DEPOT INC Fixed Income 78,786.83 0.03 78,786.83 1.00 14.88 nan
VERIZON COMMUNICATIONS INC Fixed Income 78,786.83 0.03 78,786.83 1.00 14.12 nan
APPLE INC Fixed Income 78,758.25 0.03 78,758.25 1.00 5.93 nan
MCDONALDS CORPORATION MTN Fixed Income 78,729.67 0.03 78,729.67 1.00 12.94 nan
ELEVANCE HEALTH INC Fixed Income 78,672.52 0.03 78,672.52 1.00 6.05 nan
ELI LILLY AND COMPANY Fixed Income 78,643.94 0.03 78,643.94 1.00 16.01 nan
LOCKHEED MARTIN CORPORATION Fixed Income 78,586.79 0.03 78,586.79 1.00 5.69 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 78,558.21 0.03 78,558.21 1.00 4.16 nan
WILLIAMS COMPANIES INC Fixed Income 78,529.63 0.03 78,529.63 1.00 4.48 nan
CONOCOPHILLIPS CO Fixed Income 78,501.06 0.03 78,501.06 1.00 13.75 nan
ENERGY TRANSFER LP Fixed Income 78,501.06 0.03 78,501.06 1.00 10.00 nan
MASTERCARD INC Fixed Income 78,501.06 0.03 78,501.06 1.00 6.79 nan
DELL INTERNATIONAL LLC Fixed Income 78,472.48 0.03 78,472.48 1.00 4.02 nan
ELI LILLY AND COMPANY Fixed Income 78,472.48 0.03 78,472.48 1.00 16.06 nan
UNITEDHEALTH GROUP INC Fixed Income 78,472.48 0.03 78,472.48 1.00 13.95 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 78,443.90 0.03 78,443.90 1.00 15.49 nan
APPLOVIN CORP Fixed Income 78,415.32 0.03 78,415.32 1.00 3.59 nan
METLIFE INC Fixed Income 78,415.32 0.03 78,415.32 1.00 6.22 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 78,415.32 0.03 78,415.32 1.00 13.98 nan
T-MOBILE USA INC Fixed Income 78,358.17 0.03 78,358.17 1.00 7.81 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 78,301.02 0.03 78,301.02 1.00 6.03 nan
RELX CAPITAL INC Fixed Income 78,158.13 0.03 78,158.13 1.00 7.37 nan
SHERWIN-WILLIAMS COMPANY (THE) Fixed Income 78,158.13 0.03 78,158.13 1.00 12.81 nan
ABBVIE INC Fixed Income 78,100.98 0.03 78,100.98 1.00 4.67 nan
ABBVIE INC Fixed Income 78,043.82 0.03 78,043.82 1.00 11.74 nan
BUNGE FINANCE LTD CORP Fixed Income 78,015.25 0.03 78,015.25 1.00 4.98 nan
HOME DEPOT INC Fixed Income 78,015.25 0.03 78,015.25 1.00 16.42 nan
ELI LILLY AND COMPANY Fixed Income 77,958.09 0.03 77,958.09 1.00 15.94 nan
MEDTRONIC GLOBAL HOLDINGS SCA Fixed Income 77,958.09 0.03 77,958.09 1.00 6.23 nan
KINDER MORGAN INC Fixed Income 77,929.52 0.03 77,929.52 1.00 6.00 nan
UNION PACIFIC CORPORATION Fixed Income 77,929.52 0.03 77,929.52 1.00 7.31 nan
UBER TECHNOLOGIES INC Fixed Income 77,900.94 0.03 77,900.94 1.00 4.61 nan
PEPSICO INC Fixed Income 77,843.78 0.03 77,843.78 1.00 5.78 nan
TYSON FOODS INC Fixed Income 77,815.21 0.03 77,815.21 1.00 6.62 nan
COTERRA ENERGY INC Fixed Income 77,729.48 0.03 77,729.48 1.00 7.17 nan
LOWES COMPANIES INC Fixed Income 77,729.48 0.03 77,729.48 1.00 4.74 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 77,672.32 0.03 77,672.32 1.00 5.36 nan
CITIGROUP INC Fixed Income 77,643.75 0.03 77,643.75 1.00 11.76 nan
APPLE INC Fixed Income 77,615.17 0.03 77,615.17 1.00 18.08 nan
ATHENE HOLDING LTD Fixed Income 77,500.86 0.03 77,500.86 1.00 13.22 nan
XCEL ENERGY INC Fixed Income 77,500.86 0.03 77,500.86 1.00 6.26 nan
LYB INTERNATIONAL FINANCE BV Fixed Income 77,357.98 0.03 77,357.98 1.00 11.37 nan
M&T BANK CORPORATION MTN Fixed Income 77,272.24 0.03 77,272.24 1.00 4.54 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 77,243.67 0.03 77,243.67 1.00 6.83 nan
TRUIST FINANCIAL CORP MTN Fixed Income 77,215.09 0.03 77,215.09 1.00 2.70 nan
DOW CHEMICAL CO Fixed Income 77,186.51 0.03 77,186.51 1.00 12.11 nan
ARES CAPITAL CORPORATION Fixed Income 77,157.94 0.03 77,157.94 1.00 3.25 nan
CADENCE DESIGN SYSTEMS INC Fixed Income 77,157.94 0.03 77,157.94 1.00 7.14 nan
HUNTINGTON BANCSHARES INC Fixed Income 77,129.36 0.03 77,129.36 1.00 3.94 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 77,072.21 0.03 77,072.21 1.00 6.31 nan
BARRICK NA FINANCE LLC Fixed Income 77,043.63 0.03 77,043.63 1.00 10.79 nan
EASTMAN CHEMICAL COMPANY Fixed Income 77,043.63 0.03 77,043.63 1.00 3.36 nan
CANADIAN NATURAL RESOURCES LTD 144A Fixed Income 76,986.47 0.03 76,986.47 1.00 7.02 nan
ING GROEP NV Fixed Income 76,986.47 0.03 76,986.47 1.00 7.29 nan
LOCKHEED MARTIN CORPORATION Fixed Income 76,986.47 0.03 76,986.47 1.00 14.04 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 76,986.47 0.03 76,986.47 1.00 5.97 nan
UNITED PARCEL SERVICE INC Fixed Income 76,986.47 0.03 76,986.47 1.00 13.46 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 76,957.90 0.03 76,957.90 1.00 15.74 nan
LOCKHEED MARTIN CORP Fixed Income 76,957.90 0.03 76,957.90 1.00 12.77 nan
WESTERN MIDSTREAM OPERATING LP Fixed Income 76,957.90 0.03 76,957.90 1.00 6.89 nan
APOLLO GLOBAL MANAGEMENT INC Fixed Income 76,929.32 0.03 76,929.32 1.00 13.60 nan
TARGA RESOURCES CORP Fixed Income 76,843.59 0.03 76,843.59 1.00 7.68 nan
TELEFONICA EUROPE BV Fixed Income 76,786.44 0.03 76,786.44 1.00 4.04 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 76,700.70 0.03 76,700.70 1.00 2.94 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 76,700.70 0.03 76,700.70 1.00 5.41 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 76,643.55 0.03 76,643.55 1.00 13.90 nan
KINDER MORGAN INC Fixed Income 76,614.97 0.03 76,614.97 1.00 6.11 nan
AMERICAN INTERNATIONAL GROUP INC Fixed Income 76,557.82 0.03 76,557.82 1.00 13.16 nan
WALT DISNEY CO Fixed Income 76,557.82 0.03 76,557.82 1.00 15.35 nan
M&T BANK CORPORATION Fixed Income 76,557.82 0.03 76,557.82 1.00 4.07 nan
WILLIAMS COMPANIES INC Fixed Income 76,529.24 0.03 76,529.24 1.00 9.61 nan
HALLIBURTON COMPANY Fixed Income 76,500.66 0.03 76,500.66 1.00 9.03 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 76,472.09 0.03 76,472.09 1.00 14.01 nan
LLOYDS BANKING GROUP PLC Fixed Income 76,472.09 0.03 76,472.09 1.00 11.81 nan
BLACKSTONE PRIVATE CREDIT FUND Fixed Income 76,443.51 0.03 76,443.51 1.00 5.10 nan
INTEL CORPORATION Fixed Income 76,443.51 0.03 76,443.51 1.00 13.69 nan
M&T BANK CORPORATION MTN Fixed Income 76,443.51 0.03 76,443.51 1.00 7.10 nan
KEURIG DR PEPPER INC Fixed Income 76,414.93 0.03 76,414.93 1.00 3.19 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 76,386.36 0.03 76,386.36 1.00 3.24 nan
INTEL CORPORATION Fixed Income 76,386.36 0.03 76,386.36 1.00 12.50 nan
ELI LILLY AND COMPANY Fixed Income 76,386.36 0.03 76,386.36 1.00 14.65 nan
MOLSON COORS BREWING CO Fixed Income 76,386.36 0.03 76,386.36 1.00 10.64 nan
NASDAQ INC Fixed Income 76,386.36 0.03 76,386.36 1.00 6.57 nan
APPLE INC Fixed Income 76,329.20 0.03 76,329.20 1.00 13.82 nan
MORGAN STANLEY MTN Fixed Income 76,300.63 0.03 76,300.63 1.00 2.64 nan
TEXAS INSTRUMENTS INC Fixed Income 76,300.63 0.03 76,300.63 1.00 6.13 nan
HCA INC Fixed Income 76,214.89 0.03 76,214.89 1.00 6.67 nan
BERKSHIRE HATHAWAY INC Fixed Income 76,157.74 0.03 76,157.74 1.00 11.66 nan
APPLE INC Fixed Income 76,072.01 0.03 76,072.01 1.00 7.47 nan
ASCENSION HEALTH ALLIANCE Fixed Income 76,072.01 0.03 76,072.01 1.00 13.11 nan
CARRIER GLOBAL CORP Fixed Income 76,072.01 0.03 76,072.01 1.00 3.96 nan
AT&T INC Fixed Income 76,043.43 0.03 76,043.43 1.00 12.19 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 75,986.28 0.03 75,986.28 1.00 5.73 nan
WALMART INC Fixed Income 75,957.70 0.03 75,957.70 1.00 14.76 nan
GILEAD SCIENCES INC Fixed Income 75,900.55 0.03 75,900.55 1.00 7.44 nan
AMGEN INC Fixed Income 75,871.97 0.03 75,871.97 1.00 14.21 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 75,843.39 0.03 75,843.39 1.00 5.21 nan
UNION PACIFIC CORPORATION Fixed Income 75,843.39 0.03 75,843.39 1.00 6.04 nan
ALPHABET INC Fixed Income 75,786.24 0.03 75,786.24 1.00 4.04 nan
TRUIST FINANCIAL CORP MTN Fixed Income 75,786.24 0.03 75,786.24 1.00 2.91 nan
AT&T INC Fixed Income 75,757.66 0.03 75,757.66 1.00 15.78 nan
BANCO SANTANDER SA Fixed Income 75,729.09 0.03 75,729.09 1.00 3.69 nan
DIAMONDBACK ENERGY INC Fixed Income 75,729.09 0.03 75,729.09 1.00 14.76 nan
MPLX LP Fixed Income 75,700.51 0.03 75,700.51 1.00 12.18 nan
UNITED PARCEL SERVICE INC Fixed Income 75,700.51 0.03 75,700.51 1.00 3.97 nan
STARBUCKS CORPORATION Fixed Income 75,671.93 0.03 75,671.93 1.00 13.14 nan
MIDAMERICAN ENERGY COMPANY Fixed Income 75,643.35 0.03 75,643.35 1.00 14.18 nan
WELLS FARGO BANK NA Fixed Income 75,643.35 0.03 75,643.35 1.00 8.17 nan
BANCO SANTANDER SA Fixed Income 75,614.78 0.03 75,614.78 1.00 3.04 nan
MICROSOFT CORPORATION Fixed Income 75,614.78 0.03 75,614.78 1.00 16.22 nan
AMPHENOL CORPORATION Fixed Income 75,586.20 0.03 75,586.20 1.00 6.18 nan
HALEON US CAPITAL LLC Fixed Income 75,529.05 0.03 75,529.05 1.00 3.16 nan
M&T BANK CORPORATION Fixed Income 75,471.89 0.03 75,471.89 1.00 5.93 nan
STRYKER CORPORATION Fixed Income 75,414.74 0.03 75,414.74 1.00 3.80 nan
TARGET CORPORATION Fixed Income 75,386.16 0.03 75,386.16 1.00 14.32 nan
QUALCOMM INCORPORATED Fixed Income 75,357.58 0.03 75,357.58 1.00 13.58 nan
VMWARE LLC Fixed Income 75,357.58 0.03 75,357.58 1.00 3.97 nan
DIAGEO CAPITAL PLC Fixed Income 75,300.43 0.03 75,300.43 1.00 5.93 nan
ING GROEP NV Fixed Income 75,300.43 0.03 75,300.43 1.00 6.23 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 75,214.70 0.03 75,214.70 1.00 3.00 nan
ELEVANCE HEALTH INC Fixed Income 75,186.12 0.03 75,186.12 1.00 3.60 nan
AMGEN INC Fixed Income 75,157.55 0.03 75,157.55 1.00 4.00 nan
DEUTSCHE BANK AG (NEW YORK BRANCH) Fixed Income 75,157.55 0.03 75,157.55 1.00 4.39 nan
WELLS FARGO & COMPANY MTN Fixed Income 75,157.55 0.03 75,157.55 1.00 2.92 nan
BROOKFIELD FINANCE INC Fixed Income 75,128.97 0.03 75,128.97 1.00 13.71 nan
CANADIAN IMPERIAL BANK OF COMMERCE Fixed Income 75,100.39 0.03 75,100.39 1.00 6.30 nan
GENERAL ELECTRIC CO MTN Fixed Income 75,100.39 0.03 75,100.39 1.00 8.70 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 75,100.39 0.03 75,100.39 1.00 7.16 nan
UNITED PARCEL SERVICE INC Fixed Income 75,071.81 0.03 75,071.81 1.00 14.21 nan
CRH AMERICA FINANCE INC Fixed Income 75,014.66 0.03 75,014.66 1.00 6.68 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 75,014.66 0.03 75,014.66 1.00 4.05 nan
BAT CAPITAL CORP Fixed Income 74,957.51 0.03 74,957.51 1.00 6.49 nan
DEVON ENERGY CORP Fixed Income 74,957.51 0.03 74,957.51 1.00 10.08 nan
MERCK & CO INC Fixed Income 74,957.51 0.03 74,957.51 1.00 13.98 nan
CHARLES SCHWAB CORPORATION (THE) Fixed Income 74,957.51 0.03 74,957.51 1.00 5.02 nan
ARES STRATEGIC INCOME FUND Fixed Income 74,928.93 0.03 74,928.93 1.00 3.73 nan
HOME DEPOT INC Fixed Income 74,900.35 0.03 74,900.35 1.00 12.41 nan
UNILEVER CAPITAL CORP Fixed Income 74,900.35 0.03 74,900.35 1.00 7.10 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 74,814.62 0.03 74,814.62 1.00 6.04 nan
TOTALENERGIES CAPITAL SA Fixed Income 74,814.62 0.03 74,814.62 1.00 14.39 nan
JBS USA LUX SA Fixed Income 74,786.04 0.03 74,786.04 1.00 5.40 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 74,786.04 0.03 74,786.04 1.00 5.15 nan
CBRE SERVICES INC Fixed Income 74,757.47 0.03 74,757.47 1.00 6.80 nan
ELEVANCE HEALTH INC Fixed Income 74,757.47 0.03 74,757.47 1.00 11.88 nan
BANK OF AMERICA CORP MTN Fixed Income 74,728.89 0.03 74,728.89 1.00 15.72 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 74,728.89 0.03 74,728.89 1.00 4.56 nan
ELEVANCE HEALTH INC Fixed Income 74,700.31 0.03 74,700.31 1.00 7.25 nan
GILEAD SCIENCES INC Fixed Income 74,700.31 0.03 74,700.31 1.00 10.41 nan
T-MOBILE USA INC Fixed Income 74,700.31 0.03 74,700.31 1.00 4.79 nan
COMCAST CORPORATION Fixed Income 74,671.74 0.03 74,671.74 1.00 13.48 nan
IBM INTERNATIONAL CAPITAL PTE LTD Fixed Income 74,671.74 0.03 74,671.74 1.00 11.46 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 74,671.74 0.03 74,671.74 1.00 3.16 nan
CONAGRA BRANDS INC Fixed Income 74,643.16 0.03 74,643.16 1.00 12.26 nan
CENTENE CORPORATION Fixed Income 74,614.58 0.03 74,614.58 1.00 3.88 nan
CONSTELLATION ENERGY GENERATION LL Fixed Income 74,614.58 0.03 74,614.58 1.00 13.51 nan
WILLIAMS COMPANIES INC Fixed Income 74,614.58 0.03 74,614.58 1.00 5.99 nan
AMERICAN WATER CAPITAL CORP Fixed Income 74,586.01 0.03 74,586.01 1.00 14.27 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 74,528.85 0.03 74,528.85 1.00 11.32 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 74,471.70 0.03 74,471.70 1.00 14.40 nan
CONSTELLATION ENERGY GENERATION LL Fixed Income 74,471.70 0.03 74,471.70 1.00 13.94 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 74,471.70 0.03 74,471.70 1.00 3.28 nan
ELI LILLY AND COMPANY Fixed Income 74,443.12 0.03 74,443.12 1.00 3.00 nan
ENERGY TRANSFER LP Fixed Income 74,385.97 0.03 74,385.97 1.00 6.60 nan
NISOURCE INC Fixed Income 74,385.97 0.03 74,385.97 1.00 4.93 nan
AMERICAN EXPRESS COMPANY Fixed Income 74,357.39 0.03 74,357.39 1.00 11.60 nan
FISERV INC Fixed Income 74,357.39 0.03 74,357.39 1.00 6.63 nan
MPLX LP Fixed Income 74,357.39 0.03 74,357.39 1.00 4.39 nan
MICRON TECHNOLOGY INC Fixed Income 74,300.23 0.03 74,300.23 1.00 7.03 nan
AMAZON.COM INC Fixed Income 74,243.08 0.03 74,243.08 1.00 16.78 nan
HCA INC Fixed Income 74,243.08 0.03 74,243.08 1.00 5.19 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 74,243.08 0.03 74,243.08 1.00 3.12 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 74,214.50 0.03 74,214.50 1.00 2.91 nan
GILEAD SCIENCES INC Fixed Income 74,214.50 0.03 74,214.50 1.00 8.55 nan
BANCO BILBAO VIZCAYA ARGENTARIA SA Fixed Income 74,185.93 0.03 74,185.93 1.00 6.54 nan
BIOGEN INC Fixed Income 74,185.93 0.03 74,185.93 1.00 11.91 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 74,185.93 0.03 74,185.93 1.00 6.29 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 74,157.35 0.03 74,157.35 1.00 6.07 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 74,157.35 0.03 74,157.35 1.00 14.65 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 74,128.77 0.03 74,128.77 1.00 4.67 nan
UNION PACIFIC CORPORATION Fixed Income 74,128.77 0.03 74,128.77 1.00 15.43 nan
BLUE OWL CREDIT INCOME CORP Fixed Income 74,100.20 0.03 74,100.20 1.00 3.37 nan
EOG RESOURCES INC Fixed Income 74,100.20 0.03 74,100.20 1.00 13.91 nan
ALEXANDRIA REAL ESTATE EQUITIES IN Fixed Income 74,071.62 0.03 74,071.62 1.00 5.92 nan
BUNGE FINANCE LTD CORP Fixed Income 74,071.62 0.03 74,071.62 1.00 3.53 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 74,043.04 0.03 74,043.04 1.00 3.97 nan
ZOETIS INC Fixed Income 73,985.89 0.03 73,985.89 1.00 11.35 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 73,957.31 0.03 73,957.31 1.00 13.90 nan
MICROSOFT CORPORATION Fixed Income 73,957.31 0.03 73,957.31 1.00 15.85 nan
MOTOROLA SOLUTIONS INC Fixed Income 73,957.31 0.03 73,957.31 1.00 6.75 nan
EXELON CORPORATION Fixed Income 73,928.73 0.03 73,928.73 1.00 13.75 nan
HP INC Fixed Income 73,928.73 0.03 73,928.73 1.00 10.17 nan
XCEL ENERGY INC Fixed Income 73,900.16 0.03 73,900.16 1.00 6.65 nan
MASTERCARD INC Fixed Income 73,871.58 0.03 73,871.58 1.00 7.36 nan
SOUTHERN COMPANY (THE) Fixed Income 73,871.58 0.03 73,871.58 1.00 3.05 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 73,814.43 0.03 73,814.43 1.00 11.82 nan
IQVIA INC Fixed Income 73,814.43 0.03 73,814.43 1.00 2.90 nan
VERIZON COMMUNICATIONS INC Fixed Income 73,814.43 0.03 73,814.43 1.00 6.08 nan
JPMORGAN CHASE & CO Fixed Income 73,757.27 0.03 73,757.27 1.00 10.62 nan
BOSTON PROPERTIES LP Fixed Income 73,728.69 0.03 73,728.69 1.00 6.29 nan
ROPER TECHNOLOGIES INC Fixed Income 73,700.12 0.03 73,700.12 1.00 7.62 nan
GE HEALTHCARE TECHNOLOGIES INC Fixed Income 73,642.96 0.03 73,642.96 1.00 13.18 nan
UNITEDHEALTH GROUP INC Fixed Income 73,642.96 0.03 73,642.96 1.00 13.30 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 73,614.39 0.03 73,614.39 1.00 14.13 nan
SEMPRA Fixed Income 73,585.81 0.03 73,585.81 1.00 9.34 nan
BOEING CO Fixed Income 73,557.23 0.03 73,557.23 1.00 3.10 nan
BOEING CO Fixed Income 73,557.23 0.03 73,557.23 1.00 15.67 nan
COMCAST CORPORATION Fixed Income 73,557.23 0.03 73,557.23 1.00 4.42 nan
HORMEL FOODS CORPORATION Fixed Income 73,557.23 0.03 73,557.23 1.00 4.31 nan
HOME DEPOT INC Fixed Income 73,528.66 0.03 73,528.66 1.00 7.79 nan
LOCKHEED MARTIN CORPORATION Fixed Income 73,500.08 0.03 73,500.08 1.00 7.61 nan
PFIZER INC Fixed Income 73,500.08 0.03 73,500.08 1.00 14.01 nan
COCA-COLA CO Fixed Income 73,442.92 0.03 73,442.92 1.00 15.76 nan
LOWES COMPANIES INC Fixed Income 73,442.92 0.03 73,442.92 1.00 15.13 nan
NIKE INC Fixed Income 73,442.92 0.03 73,442.92 1.00 12.75 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 73,414.35 0.03 73,414.35 1.00 3.10 nan
WOODSIDE FINANCE LTD Fixed Income 73,414.35 0.03 73,414.35 1.00 7.00 nan
DOMINION ENERGY INC Fixed Income 73,385.77 0.03 73,385.77 1.00 5.29 nan
DUKE ENERGY CAROLINAS LLC Fixed Income 73,385.77 0.03 73,385.77 1.00 13.96 nan
NATWEST GROUP PLC Fixed Income 73,385.77 0.03 73,385.77 1.00 5.90 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 73,328.62 0.03 73,328.62 1.00 3.86 nan
CVS HEALTH CORP Fixed Income 73,300.04 0.03 73,300.04 1.00 6.09 nan
NUTRIEN LTD Fixed Income 73,300.04 0.03 73,300.04 1.00 3.14 nan
ROYALTY PHARMA PLC Fixed Income 73,300.04 0.03 73,300.04 1.00 7.63 nan
DELL INTERNATIONAL LLC Fixed Income 73,271.46 0.03 73,271.46 1.00 7.90 nan
GENERAL MOTORS FINANCIAL CO (FXD) Fixed Income 73,271.46 0.03 73,271.46 1.00 2.85 nan
KINDER MORGAN INC Fixed Income 73,271.46 0.03 73,271.46 1.00 13.62 nan
MARRIOTT INTERNATIONAL INC Fixed Income 73,271.46 0.03 73,271.46 1.00 6.68 nan
UNITEDHEALTH GROUP INC Fixed Income 73,242.89 0.03 73,242.89 1.00 13.71 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 73,185.73 0.03 73,185.73 1.00 6.67 nan
TELUS CORP Fixed Income 73,185.73 0.03 73,185.73 1.00 5.65 nan
BAT CAPITAL CORP Fixed Income 73,157.15 0.03 73,157.15 1.00 13.21 nan
BERRY GLOBAL INC Fixed Income 73,157.15 0.03 73,157.15 1.00 6.46 nan
ENERGY TRANSFER LP Fixed Income 73,157.15 0.03 73,157.15 1.00 3.14 nan
TARGA RESOURCES CORP Fixed Income 73,071.42 0.03 73,071.42 1.00 7.15 nan
AIR PRODUCTS AND CHEMICALS INC Fixed Income 73,014.27 0.03 73,014.27 1.00 6.70 nan
US BANCORP MTN Fixed Income 73,014.27 0.03 73,014.27 1.00 5.59 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 72,985.69 0.03 72,985.69 1.00 6.92 nan
LOCKHEED MARTIN CORPORATION Fixed Income 72,985.69 0.03 72,985.69 1.00 15.91 nan
AUTOMATIC DATA PROCESSING INC Fixed Income 72,899.96 0.03 72,899.96 1.00 7.21 nan
GLAXOSMITHKLINE CAPITAL INC Fixed Income 72,899.96 0.03 72,899.96 1.00 7.51 nan
CISCO SYSTEMS INC Fixed Income 72,871.38 0.03 72,871.38 1.00 14.43 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 72,871.38 0.03 72,871.38 1.00 5.15 nan
ROYAL BANK OF CANADA (FXD-FRN) MTN Fixed Income 72,871.38 0.03 72,871.38 1.00 4.46 nan
CF INDUSTRIES INC Fixed Income 72,842.81 0.03 72,842.81 1.00 6.71 nan
UNITEDHEALTH GROUP INC Fixed Income 72,842.81 0.03 72,842.81 1.00 15.09 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 72,757.08 0.03 72,757.08 1.00 4.69 nan
COMCAST CORPORATION Fixed Income 72,757.08 0.03 72,757.08 1.00 6.07 nan
JPMORGAN CHASE & CO Fixed Income 72,699.92 0.03 72,699.92 1.00 10.23 nan
AMPHENOL CORPORATION Fixed Income 72,642.77 0.03 72,642.77 1.00 3.96 nan
HUNTINGTON BANCSHARES INC Fixed Income 72,642.77 0.03 72,642.77 1.00 3.70 nan
LOCKHEED MARTIN CORPORATION Fixed Income 72,642.77 0.03 72,642.77 1.00 15.38 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 72,614.19 0.03 72,614.19 1.00 7.79 nan
CHEVRON USA INC Fixed Income 72,585.61 0.03 72,585.61 1.00 7.77 nan
DUKE ENERGY CORP Fixed Income 72,557.04 0.03 72,557.04 1.00 13.90 nan
STARBUCKS CORPORATION Fixed Income 72,528.46 0.03 72,528.46 1.00 4.07 nan
CIGNA GROUP Fixed Income 72,499.88 0.03 72,499.88 1.00 5.75 nan
VODAFONE GROUP PLC Fixed Income 72,499.88 0.03 72,499.88 1.00 14.88 nan
LOWES COMPANIES INC Fixed Income 72,471.31 0.03 72,471.31 1.00 13.19 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 72,471.31 0.03 72,471.31 1.00 3.49 nan
MCDONALDS CORPORATION MTN Fixed Income 72,442.73 0.03 72,442.73 1.00 4.20 nan
SIMON PROPERTY GROUP LP Fixed Income 72,414.15 0.03 72,414.15 1.00 14.75 nan
JOHNSON & JOHNSON Fixed Income 72,385.58 0.03 72,385.58 1.00 14.60 nan
PEPSICO INC Fixed Income 72,385.58 0.03 72,385.58 1.00 3.81 nan
LLOYDS BANKING GROUP PLC Fixed Income 72,299.84 0.03 72,299.84 1.00 7.81 nan
ELEVANCE HEALTH INC Fixed Income 72,271.27 0.03 72,271.27 1.00 13.75 nan
NIKE INC Fixed Income 72,242.69 0.03 72,242.69 1.00 14.92 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 72,214.11 0.03 72,214.11 1.00 3.83 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 72,214.11 0.03 72,214.11 1.00 11.60 nan
DIAMONDBACK ENERGY INC Fixed Income 72,185.54 0.03 72,185.54 1.00 3.75 nan
HESS CORP Fixed Income 72,185.54 0.03 72,185.54 1.00 9.57 nan
INGERSOLL RAND INC Fixed Income 72,185.54 0.03 72,185.54 1.00 6.74 nan
WASTE MANAGEMENT INC Fixed Income 72,185.54 0.03 72,185.54 1.00 2.99 nan
T-MOBILE USA INC Fixed Income 72,128.38 0.03 72,128.38 1.00 16.13 nan
UNITEDHEALTH GROUP INC Fixed Income 72,099.80 0.03 72,099.80 1.00 11.44 nan
ELEVANCE HEALTH INC Fixed Income 72,071.23 0.03 72,071.23 1.00 13.09 nan
MARRIOTT INTERNATIONAL INC Fixed Income 72,042.65 0.03 72,042.65 1.00 7.29 nan
DEVON ENERGY CORPORATION Fixed Income 72,014.07 0.03 72,014.07 1.00 13.38 nan
AMRIZE FINANCE US LLC 144A Fixed Income 72,014.07 0.03 72,014.07 1.00 3.95 nan
HEWLETT PACKARD ENTERPRISE CO Fixed Income 71,985.50 0.03 71,985.50 1.00 4.38 nan
VERIZON COMMUNICATIONS INC Fixed Income 71,985.50 0.03 71,985.50 1.00 3.02 nan
BANK OF NOVA SCOTIA (FXD-FRN) MTN Fixed Income 71,956.92 0.03 71,956.92 1.00 4.32 nan
PFIZER INC Fixed Income 71,956.92 0.03 71,956.92 1.00 10.04 nan
REYNOLDS AMERICAN INC Fixed Income 71,956.92 0.03 71,956.92 1.00 7.42 nan
DUKE ENERGY CAROLINAS LLC Fixed Income 71,899.77 0.03 71,899.77 1.00 14.20 nan
ORACLE CORPORATION Fixed Income 71,899.77 0.03 71,899.77 1.00 14.18 nan
SMURFIT KAPPA TREASURY UNLIMITED C Fixed Income 71,842.61 0.03 71,842.61 1.00 14.00 nan
VMWARE LLC Fixed Income 71,814.03 0.02 71,814.03 1.00 5.30 nan
TARGA RESOURCES CORP Fixed Income 71,728.30 0.02 71,728.30 1.00 13.11 nan
ROYAL BANK OF CANADA MTN Fixed Income 71,671.15 0.02 71,671.15 1.00 6.08 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 71,585.42 0.02 71,585.42 1.00 13.08 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 71,585.42 0.02 71,585.42 1.00 4.04 nan
PLAINS ALL AMERICAN PIPELINE LP Fixed Income 71,556.84 0.02 71,556.84 1.00 4.37 nan
UNIVERSAL HEALTH SERVICES INC Fixed Income 71,471.11 0.02 71,471.11 1.00 4.55 nan
CONSOLIDATED EDISON COMPANY OF NEW Fixed Income 71,356.80 0.02 71,356.80 1.00 11.95 nan
ENERGY TRANSFER PARTNERS LP Fixed Income 71,299.65 0.02 71,299.65 1.00 11.92 nan
FLORIDA POWER & LIGHT CO Fixed Income 71,299.65 0.02 71,299.65 1.00 14.13 nan
GLOBAL PAYMENTS INC Fixed Income 71,271.07 0.02 71,271.07 1.00 4.11 nan
LOCKHEED MARTIN CORPORATION Fixed Income 71,271.07 0.02 71,271.07 1.00 14.58 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 71,242.49 0.02 71,242.49 1.00 3.80 nan
BARCLAYS PLC Fixed Income 71,213.92 0.02 71,213.92 1.00 13.87 nan
ABBVIE INC Fixed Income 71,156.76 0.02 71,156.76 1.00 8.17 nan
HEWLETT PACKARD ENTERPRISE CO Fixed Income 71,156.76 0.02 71,156.76 1.00 5.12 nan
MERCK & CO INC Fixed Income 71,128.19 0.02 71,128.19 1.00 5.82 nan
ELI LILLY AND COMPANY Fixed Income 71,071.03 0.02 71,071.03 1.00 5.33 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 70,985.30 0.02 70,985.30 1.00 11.53 nan
METLIFE INC Fixed Income 70,985.30 0.02 70,985.30 1.00 14.03 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 70,956.72 0.02 70,956.72 1.00 15.44 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 70,956.72 0.02 70,956.72 1.00 10.86 nan
CITIZENS FINANCIAL GROUP INC Fixed Income 70,956.72 0.02 70,956.72 1.00 3.83 nan
CONOCOPHILLIPS CO Fixed Income 70,928.15 0.02 70,928.15 1.00 7.23 nan
CUMMINS INC Fixed Income 70,928.15 0.02 70,928.15 1.00 14.23 nan
SIMON PROPERTY GROUP LP Fixed Income 70,899.57 0.02 70,899.57 1.00 7.15 nan
UNITEDHEALTH GROUP INC Fixed Income 70,899.57 0.02 70,899.57 1.00 5.24 nan
PEPSICO INC Fixed Income 70,842.42 0.02 70,842.42 1.00 4.06 nan
SABINE PASS LIQUEFACTION LLC Fixed Income 70,842.42 0.02 70,842.42 1.00 3.99 nan
PUBLIC STORAGE OPERATING CO Fixed Income 70,813.84 0.02 70,813.84 1.00 14.14 nan
SANTANDER UK GROUP HOLDINGS PLC Fixed Income 70,813.84 0.02 70,813.84 1.00 3.47 nan
WALT DISNEY CO Fixed Income 70,785.26 0.02 70,785.26 1.00 16.42 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 70,756.69 0.02 70,756.69 1.00 12.13 nan
PLAINS ALL AMERICAN PIPELINE LP Fixed Income 70,756.69 0.02 70,756.69 1.00 7.17 nan
MASTERCARD INC Fixed Income 70,728.11 0.02 70,728.11 1.00 5.53 nan
DTE ENERGY COMPANY Fixed Income 70,699.53 0.02 70,699.53 1.00 3.02 nan
BIOGEN INC Fixed Income 70,670.95 0.02 70,670.95 1.00 14.57 nan
FLORIDA POWER & LIGHT CO Fixed Income 70,670.95 0.02 70,670.95 1.00 6.13 nan
QUEST DIAGNOSTICS INCORPORATED Fixed Income 70,670.95 0.02 70,670.95 1.00 7.15 nan
HOME DEPOT INC Fixed Income 70,585.22 0.02 70,585.22 1.00 3.28 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 70,556.65 0.02 70,556.65 1.00 11.32 nan
PFIZER INC Fixed Income 70,556.65 0.02 70,556.65 1.00 13.70 nan
UNITEDHEALTH GROUP INC Fixed Income 70,556.65 0.02 70,556.65 1.00 16.08 nan
ARES CAPITAL CORPORATION Fixed Income 70,528.07 0.02 70,528.07 1.00 5.22 nan
EOG RESOURCES INC Fixed Income 70,528.07 0.02 70,528.07 1.00 4.01 nan
INTEL CORPORATION Fixed Income 70,528.07 0.02 70,528.07 1.00 5.76 nan
NOVARTIS CAPITAL CORP Fixed Income 70,499.49 0.02 70,499.49 1.00 15.79 nan
CANADIAN NATURAL RESOURCES LIMITED Fixed Income 70,470.92 0.02 70,470.92 1.00 8.63 nan
JPMORGAN CHASE & CO Fixed Income 70,470.92 0.02 70,470.92 1.00 11.19 nan
ELEVANCE HEALTH INC Fixed Income 70,385.18 0.02 70,385.18 1.00 4.91 nan
COREBRIDGE FINANCIAL INC Fixed Income 70,385.18 0.02 70,385.18 1.00 6.44 nan
HEWLETT PACKARD ENTERPRISE CO Fixed Income 70,356.61 0.02 70,356.61 1.00 7.48 nan
CATERPILLAR INC Fixed Income 70,328.03 0.02 70,328.03 1.00 10.42 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 70,328.03 0.02 70,328.03 1.00 3.42 nan
REPUBLIC SERVICES INC Fixed Income 70,299.45 0.02 70,299.45 1.00 5.81 nan
WASTE CONNECTIONS INC Fixed Income 70,299.45 0.02 70,299.45 1.00 6.73 nan
ARCHER DANIELS MIDLAND CO Fixed Income 70,270.88 0.02 70,270.88 1.00 4.04 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 70,213.72 0.02 70,213.72 1.00 4.23 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 70,185.15 0.02 70,185.15 1.00 7.15 nan
UNITED PARCEL SERVICE INC Fixed Income 70,185.15 0.02 70,185.15 1.00 13.54 nan
INTEL CORPORATION Fixed Income 70,127.99 0.02 70,127.99 1.00 6.01 nan
CONOCOPHILLIPS CO Fixed Income 70,070.84 0.02 70,070.84 1.00 14.03 nan
ELEVANCE HEALTH INC Fixed Income 70,042.26 0.02 70,042.26 1.00 14.91 nan
CARRIER GLOBAL CORP Fixed Income 70,042.26 0.02 70,042.26 1.00 10.85 nan
CROWN CASTLE INC Fixed Income 69,985.11 0.02 69,985.11 1.00 5.17 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 69,927.95 0.02 69,927.95 1.00 13.42 nan
CONSOLIDATED EDISON COMPANY OF NEW Fixed Income 69,927.95 0.02 69,927.95 1.00 14.37 nan
TARGET CORPORATION Fixed Income 69,927.95 0.02 69,927.95 1.00 7.20 nan
EXPAND ENERGY CORP Fixed Income 69,899.37 0.02 69,899.37 1.00 7.02 nan
PRUDENTIAL FINANCIAL INC MTN Fixed Income 69,870.80 0.02 69,870.80 1.00 14.78 nan
ELEVANCE HEALTH INC Fixed Income 69,813.64 0.02 69,813.64 1.00 13.47 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 69,813.64 0.02 69,813.64 1.00 4.69 nan
BOEING CO Fixed Income 69,785.07 0.02 69,785.07 1.00 4.52 nan
AON NORTH AMERICA INC Fixed Income 69,756.49 0.02 69,756.49 1.00 3.02 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 69,727.91 0.02 69,727.91 1.00 6.41 nan
ELI LILLY AND COMPANY Fixed Income 69,727.91 0.02 69,727.91 1.00 16.12 nan
BAT CAPITAL CORP Fixed Income 69,727.91 0.02 69,727.91 1.00 3.93 nan
BAT CAPITAL CORP Fixed Income 69,699.34 0.02 69,699.34 1.00 10.37 nan
ROYAL BANK OF CANADA MTN Fixed Income 69,670.76 0.02 69,670.76 1.00 3.36 nan
AMERICAN HONDA FINANCE CORPORATION MTN Fixed Income 69,556.45 0.02 69,556.45 1.00 4.85 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 69,556.45 0.02 69,556.45 1.00 12.59 nan
DTE ENERGY COMPANY Fixed Income 69,556.45 0.02 69,556.45 1.00 6.62 nan
FLORIDA POWER & LIGHT CO Fixed Income 69,556.45 0.02 69,556.45 1.00 6.79 nan
COREBRIDGE FINANCIAL INC Fixed Income 69,499.30 0.02 69,499.30 1.00 14.35 nan
JOHNSON & JOHNSON Fixed Income 69,499.30 0.02 69,499.30 1.00 5.40 nan
LOCKHEED MARTIN CORPORATION Fixed Income 69,499.30 0.02 69,499.30 1.00 5.91 nan
LAM RESEARCH CORPORATION Fixed Income 69,470.72 0.02 69,470.72 1.00 3.11 nan
FLORIDA POWER & LIGHT CO Fixed Income 69,442.14 0.02 69,442.14 1.00 14.41 nan
L3HARRIS TECHNOLOGIES INC Fixed Income 69,442.14 0.02 69,442.14 1.00 4.73 nan
MERCK & CO INC Fixed Income 69,442.14 0.02 69,442.14 1.00 4.02 nan
VODAFONE GROUP PLC Fixed Income 69,413.57 0.02 69,413.57 1.00 13.06 nan
SANTANDER UK GROUP HOLDINGS PLC Fixed Income 69,384.99 0.02 69,384.99 1.00 3.91 nan
INTEL CORPORATION Fixed Income 69,356.41 0.02 69,356.41 1.00 10.69 nan
PUBLIC SERVICE COMPANY OF COLORADO Fixed Income 69,356.41 0.02 69,356.41 1.00 7.61 nan
SOUTHERN COMPANY (THE) Fixed Income 69,327.83 0.02 69,327.83 1.00 4.10 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 69,242.10 0.02 69,242.10 1.00 4.24 nan
CAMPBELLS CO Fixed Income 69,242.10 0.02 69,242.10 1.00 7.43 nan
ORANGE SA Fixed Income 69,242.10 0.02 69,242.10 1.00 10.56 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 69,242.10 0.02 69,242.10 1.00 3.16 nan
MCDONALDS CORPORATION MTN Fixed Income 69,213.53 0.02 69,213.53 1.00 8.55 nan
ASTRAZENECA FINANCE LLC Fixed Income 69,184.95 0.02 69,184.95 1.00 3.03 nan
UNITED PARCEL SERVICE INC Fixed Income 69,184.95 0.02 69,184.95 1.00 3.14 nan
INGERSOLL RAND INC Fixed Income 69,156.37 0.02 69,156.37 1.00 3.23 nan
T-MOBILE USA INC Fixed Income 69,156.37 0.02 69,156.37 1.00 6.81 nan
BROADCOM INC Fixed Income 69,127.80 0.02 69,127.80 1.00 4.42 nan
TARGA RESOURCES CORP Fixed Income 69,099.22 0.02 69,099.22 1.00 6.51 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 69,099.22 0.02 69,099.22 1.00 5.63 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 69,070.64 0.02 69,070.64 1.00 11.61 nan
CVS HEALTH CORP Fixed Income 69,070.64 0.02 69,070.64 1.00 4.69 nan
TARGET CORPORATION Fixed Income 69,070.64 0.02 69,070.64 1.00 5.83 nan
CIGNA GROUP Fixed Income 68,984.91 0.02 68,984.91 1.00 14.92 nan
GENERAL MILLS INC Fixed Income 68,984.91 0.02 68,984.91 1.00 7.20 nan
EXELON GENERATION CO LLC Fixed Income 68,927.76 0.02 68,927.76 1.00 9.42 nan
AMERICAN INTERNATIONAL GROUP INC Fixed Income 68,870.60 0.02 68,870.60 1.00 6.11 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 68,842.03 0.02 68,842.03 1.00 4.05 nan
WESTPAC BANKING CORP Fixed Income 68,842.03 0.02 68,842.03 1.00 9.92 nan
NVIDIA CORPORATION Fixed Income 68,784.87 0.02 68,784.87 1.00 4.09 nan
VERIZON COMMUNICATIONS INC Fixed Income 68,756.29 0.02 68,756.29 1.00 13.32 nan
ONEOK INC Fixed Income 68,699.14 0.02 68,699.14 1.00 5.77 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 68,699.14 0.02 68,699.14 1.00 11.39 nan
GEORGIA POWER COMPANY Fixed Income 68,641.99 0.02 68,641.99 1.00 13.83 nan
PAYPAL HOLDINGS INC Fixed Income 68,556.26 0.02 68,556.26 1.00 6.77 nan
FIDELITY NATIONAL INFORMATION SERV Fixed Income 68,499.10 0.02 68,499.10 1.00 4.90 nan
T-MOBILE USA INC Fixed Income 68,499.10 0.02 68,499.10 1.00 14.15 nan
METLIFE INC Fixed Income 68,470.52 0.02 68,470.52 1.00 10.06 nan
J M SMUCKER CO Fixed Income 68,441.95 0.02 68,441.95 1.00 10.61 nan
UNITEDHEALTH GROUP INC Fixed Income 68,441.95 0.02 68,441.95 1.00 7.79 nan
AETNA INC Fixed Income 68,413.37 0.02 68,413.37 1.00 7.56 nan
HUNTINGTON NATIONAL BANK (THE) Fixed Income 68,413.37 0.02 68,413.37 1.00 3.66 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 68,356.22 0.02 68,356.22 1.00 17.59 nan
MPLX LP Fixed Income 68,356.22 0.02 68,356.22 1.00 12.88 nan
CATERPILLAR INC Fixed Income 68,327.64 0.02 68,327.64 1.00 14.96 nan
CITIGROUP INC Fixed Income 68,327.64 0.02 68,327.64 1.00 5.29 nan
UNION PACIFIC CORPORATION Fixed Income 68,327.64 0.02 68,327.64 1.00 5.63 nan
CARRIER GLOBAL CORP Fixed Income 68,270.49 0.02 68,270.49 1.00 6.59 nan
STARBUCKS CORPORATION Fixed Income 68,156.18 0.02 68,156.18 1.00 4.59 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 68,127.60 0.02 68,127.60 1.00 14.04 nan
EXELON CORPORATION Fixed Income 67,984.71 0.02 67,984.71 1.00 6.05 nan
MPLX LP Fixed Income 67,984.71 0.02 67,984.71 1.00 13.62 nan
MICROCHIP TECHNOLOGY INCORPORATED Fixed Income 67,927.56 0.02 67,927.56 1.00 3.06 nan
BROADCOM INC Fixed Income 67,898.98 0.02 67,898.98 1.00 3.96 nan
EQUINIX INC Fixed Income 67,898.98 0.02 67,898.98 1.00 5.01 nan
BANCO SANTANDER SA Fixed Income 67,870.41 0.02 67,870.41 1.00 7.00 nan
DOMINION ENERGY INC Fixed Income 67,784.68 0.02 67,784.68 1.00 4.04 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 67,784.68 0.02 67,784.68 1.00 4.05 nan
PHILLIPS 66 CO Fixed Income 67,727.52 0.02 67,727.52 1.00 4.76 nan
COMCAST CORPORATION Fixed Income 67,670.37 0.02 67,670.37 1.00 7.29 nan
CORNING INC Fixed Income 67,670.37 0.02 67,670.37 1.00 16.12 nan
CIGNA GROUP Fixed Income 67,641.79 0.02 67,641.79 1.00 4.07 nan
CARRIER GLOBAL CORP Fixed Income 67,641.79 0.02 67,641.79 1.00 14.72 nan
COMMONWEALTH EDISON COMPANY Fixed Income 67,641.79 0.02 67,641.79 1.00 13.64 nan
TRANE TECHNOLOGIES FINANCING LTD Fixed Income 67,613.21 0.02 67,613.21 1.00 3.14 nan
COMCAST CORPORATION Fixed Income 67,584.64 0.02 67,584.64 1.00 13.37 nan
REPUBLIC SERVICES INC Fixed Income 67,584.64 0.02 67,584.64 1.00 3.12 nan
APPLIED MATERIALS INC Fixed Income 67,556.06 0.02 67,556.06 1.00 13.19 nan
PROLOGIS LP Fixed Income 67,441.75 0.02 67,441.75 1.00 14.06 nan
TARGA RESOURCES CORP Fixed Income 67,441.75 0.02 67,441.75 1.00 12.91 nan
AMGEN INC Fixed Income 67,384.60 0.02 67,384.60 1.00 15.89 nan
WEYERHAEUSER COMPANY Fixed Income 67,384.60 0.02 67,384.60 1.00 4.03 nan
MOTOROLA SOLUTIONS INC Fixed Income 67,270.29 0.02 67,270.29 1.00 5.00 nan
VIATRIS INC Fixed Income 67,270.29 0.02 67,270.29 1.00 4.23 nan
AMERIPRISE FINANCIAL INC Fixed Income 67,241.71 0.02 67,241.71 1.00 6.09 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 67,241.71 0.02 67,241.71 1.00 14.02 nan
HCA INC Fixed Income 67,213.14 0.02 67,213.14 1.00 2.91 nan
WALMART INC Fixed Income 67,213.14 0.02 67,213.14 1.00 8.88 nan
WILLIAMS COMPANIES INC Fixed Income 67,213.14 0.02 67,213.14 1.00 7.63 nan
ROGERS COMMUNICATIONS INC Fixed Income 67,184.56 0.02 67,184.56 1.00 2.98 nan
AMRIZE FINANCE US LLC 144A Fixed Income 67,155.98 0.02 67,155.98 1.00 7.35 nan
PFIZER INC Fixed Income 67,155.98 0.02 67,155.98 1.00 13.02 nan
ARES CAPITAL CORPORATION Fixed Income 67,127.40 0.02 67,127.40 1.00 4.17 nan
CONSOLIDATED EDISON COMPANY OF NEW Fixed Income 67,127.40 0.02 67,127.40 1.00 13.65 nan
CANADIAN PACIFIC RAILWAY COMPANY Fixed Income 67,098.83 0.02 67,098.83 1.00 15.57 nan
VICI PROPERTIES LP Fixed Income 67,098.83 0.02 67,098.83 1.00 5.04 nan
WILLIAMS COMPANIES INC Fixed Income 67,098.83 0.02 67,098.83 1.00 12.02 nan
EVERSOURCE ENERGY Fixed Income 67,070.25 0.02 67,070.25 1.00 6.07 nan
AUTOMATIC DATA PROCESSING INC Fixed Income 67,041.67 0.02 67,041.67 1.00 5.46 nan
VODAFONE GROUP PLC Fixed Income 67,041.67 0.02 67,041.67 1.00 13.95 nan
CDW LLC Fixed Income 66,955.94 0.02 66,955.94 1.00 5.29 nan
BARRICK PD AUSTRALIA FINANCE PTY L Fixed Income 66,927.37 0.02 66,927.37 1.00 9.55 nan
KIMBERLY-CLARK CORPORATION Fixed Income 66,927.37 0.02 66,927.37 1.00 4.05 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 66,870.21 0.02 66,870.21 1.00 12.93 nan
APPLE INC Fixed Income 66,784.48 0.02 66,784.48 1.00 16.25 nan
BAKER HUGHES HOLDINGS LLC Fixed Income 66,784.48 0.02 66,784.48 1.00 13.25 nan
WILLIAMS COMPANIES INC Fixed Income 66,784.48 0.02 66,784.48 1.00 13.66 nan
AMERICAN TOWER CORPORATION Fixed Income 66,670.17 0.02 66,670.17 1.00 4.29 nan
CHUBB INA HOLDINGS LLC Fixed Income 66,670.17 0.02 66,670.17 1.00 8.22 nan
UNITEDHEALTH GROUP INC Fixed Income 66,670.17 0.02 66,670.17 1.00 14.19 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 66,641.60 0.02 66,641.60 1.00 6.30 nan
APPLE INC Fixed Income 66,613.02 0.02 66,613.02 1.00 18.06 nan
CORNING INC Fixed Income 66,555.86 0.02 66,555.86 1.00 15.33 nan
WESTPAC BANKING CORP Fixed Income 66,555.86 0.02 66,555.86 1.00 6.11 nan
AMERICAN TOWER CORPORATION Fixed Income 66,498.71 0.02 66,498.71 1.00 4.64 nan
HALLIBURTON COMPANY Fixed Income 66,498.71 0.02 66,498.71 1.00 8.78 nan
HOME DEPOT INC Fixed Income 66,498.71 0.02 66,498.71 1.00 10.21 nan
TARGET CORPORATION Fixed Income 66,498.71 0.02 66,498.71 1.00 11.46 nan
MCDONALDS CORPORATION MTN Fixed Income 66,470.13 0.02 66,470.13 1.00 8.67 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 66,412.98 0.02 66,412.98 1.00 6.19 nan
LOCKHEED MARTIN CORPORATION Fixed Income 66,412.98 0.02 66,412.98 1.00 6.74 nan
3M CO MTN Fixed Income 66,384.40 0.02 66,384.40 1.00 13.83 nan
VIRGINIA ELECTRIC AND POWER COMPAN Fixed Income 66,384.40 0.02 66,384.40 1.00 7.70 nan
ADOBE INC Fixed Income 66,355.83 0.02 66,355.83 1.00 3.13 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 66,327.25 0.02 66,327.25 1.00 6.04 nan
MICRON TECHNOLOGY INC Fixed Income 66,298.67 0.02 66,298.67 1.00 6.27 nan
BOSTON PROPERTIES LP Fixed Income 66,212.94 0.02 66,212.94 1.00 5.76 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 66,212.94 0.02 66,212.94 1.00 3.71 nan
DIAGEO INVESTMENT CORPORATION Fixed Income 66,155.79 0.02 66,155.79 1.00 7.34 nan
ENERGY TRANSFER LP Fixed Income 66,155.79 0.02 66,155.79 1.00 11.23 nan
MOTOROLA SOLUTIONS INC Fixed Income 66,155.79 0.02 66,155.79 1.00 4.62 nan
UNILEVER CAPITAL CORP Fixed Income 66,155.79 0.02 66,155.79 1.00 6.53 nan
AUTOZONE INC Fixed Income 66,127.21 0.02 66,127.21 1.00 4.03 nan
INGERSOLL RAND INC Fixed Income 66,098.63 0.02 66,098.63 1.00 6.23 nan
CROWN CASTLE INC Fixed Income 66,070.06 0.02 66,070.06 1.00 4.78 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 66,070.06 0.02 66,070.06 1.00 5.66 nan
DOMINION ENERGY INC Fixed Income 65,984.32 0.02 65,984.32 1.00 5.71 nan
NATIONAL GRID PLC Fixed Income 65,955.75 0.02 65,955.75 1.00 6.50 nan
GEORGIA POWER COMPANY Fixed Income 65,898.59 0.02 65,898.59 1.00 6.71 nan
APPLE INC Fixed Income 65,870.02 0.02 65,870.02 1.00 14.58 nan
TARGET CORPORATION Fixed Income 65,812.86 0.02 65,812.86 1.00 3.22 nan
LYB INTERNATIONAL FINANCE III LLC Fixed Income 65,784.28 0.02 65,784.28 1.00 6.56 nan
DUKE ENERGY CAROLINAS LLC Fixed Income 65,755.71 0.02 65,755.71 1.00 5.95 nan
HALLIBURTON COMPANY Fixed Income 65,755.71 0.02 65,755.71 1.00 7.68 nan
NORTHROP GRUMMAN CORP Fixed Income 65,755.71 0.02 65,755.71 1.00 13.18 nan
HASBRO INC Fixed Income 65,727.13 0.02 65,727.13 1.00 3.64 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 65,727.13 0.02 65,727.13 1.00 5.58 nan
CROWN CASTLE INC Fixed Income 65,698.55 0.02 65,698.55 1.00 6.03 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 65,669.98 0.02 65,669.98 1.00 11.48 nan
GENERAL MOTORS CO Fixed Income 65,669.98 0.02 65,669.98 1.00 12.44 nan
CANADIAN IMPERIAL BANK OF COMMERCE Fixed Income 65,584.25 0.02 65,584.25 1.00 3.49 nan
CRH AMERICA FINANCE INC Fixed Income 65,555.67 0.02 65,555.67 1.00 7.94 nan
T-MOBILE USA INC Fixed Income 65,527.09 0.02 65,527.09 1.00 13.58 nan
UNION PACIFIC CORPORATION Fixed Income 65,498.51 0.02 65,498.51 1.00 3.09 nan
WASTE MANAGEMENT INC Fixed Income 65,498.51 0.02 65,498.51 1.00 5.60 nan
GENERAL MOTORS CO Fixed Income 65,469.94 0.02 65,469.94 1.00 7.39 nan
ENERGY TRANSFER LP Fixed Income 65,441.36 0.02 65,441.36 1.00 4.25 nan
AMAZON.COM INC Fixed Income 65,412.78 0.02 65,412.78 1.00 3.22 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 65,412.78 0.02 65,412.78 1.00 3.57 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 65,412.78 0.02 65,412.78 1.00 3.68 nan
AGILENT TECHNOLOGIES INC Fixed Income 65,384.21 0.02 65,384.21 1.00 4.93 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 65,384.21 0.02 65,384.21 1.00 6.38 nan
TARGA RESOURCES CORP Fixed Income 65,384.21 0.02 65,384.21 1.00 7.43 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 65,355.63 0.02 65,355.63 1.00 6.27 nan
KINDER MORGAN INC MTN Fixed Income 65,327.05 0.02 65,327.05 1.00 4.93 nan
HOME DEPOT INC Fixed Income 65,327.05 0.02 65,327.05 1.00 11.70 nan
PEPSICO INC Fixed Income 65,269.90 0.02 65,269.90 1.00 3.36 nan
CONOCOPHILLIPS CO Fixed Income 65,241.32 0.02 65,241.32 1.00 12.09 nan
INTEL CORPORATION Fixed Income 65,212.74 0.02 65,212.74 1.00 15.00 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 65,212.74 0.02 65,212.74 1.00 3.43 nan
PROCTER & GAMBLE CO Fixed Income 65,184.17 0.02 65,184.17 1.00 5.69 nan
CRH AMERICA FINANCE INC Fixed Income 65,155.59 0.02 65,155.59 1.00 4.65 nan
HUMANA INC Fixed Income 65,155.59 0.02 65,155.59 1.00 5.90 nan
ONEOK INC Fixed Income 65,155.59 0.02 65,155.59 1.00 4.01 nan
ROPER TECHNOLOGIES INC Fixed Income 65,155.59 0.02 65,155.59 1.00 7.17 nan
ENERGY TRANSFER LP Fixed Income 65,127.01 0.02 65,127.01 1.00 11.36 nan
COCA-COLA CO Fixed Income 65,098.44 0.02 65,098.44 1.00 14.30 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 65,069.86 0.02 65,069.86 1.00 14.18 nan
RIO TINTO FINANCE (USA) PLC Fixed Income 65,069.86 0.02 65,069.86 1.00 11.52 nan
GILEAD SCIENCES INC Fixed Income 65,041.28 0.02 65,041.28 1.00 15.61 nan
PRUDENTIAL FINANCIAL INC MTN Fixed Income 65,041.28 0.02 65,041.28 1.00 7.34 nan
CROWN CASTLE INC Fixed Income 65,012.71 0.02 65,012.71 1.00 6.55 nan
WEYERHAEUSER COMPANY Fixed Income 65,012.71 0.02 65,012.71 1.00 3.62 nan
CVS HEALTH CORP Fixed Income 64,955.55 0.02 64,955.55 1.00 10.93 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 64,898.40 0.02 64,898.40 1.00 5.93 nan
SALESFORCE INC Fixed Income 64,898.40 0.02 64,898.40 1.00 17.46 nan
BLACKSTONE PRIVATE CREDIT FUND Fixed Income 64,869.82 0.02 64,869.82 1.00 6.76 nan
JPMORGAN CHASE & CO Fixed Income 64,841.24 0.02 64,841.24 1.00 2.92 nan
ABBVIE INC Fixed Income 64,812.67 0.02 64,812.67 1.00 11.57 nan
AMERICAN HONDA FINANCE CORPORATION MTN Fixed Income 64,784.09 0.02 64,784.09 1.00 3.49 nan
ELI LILLY AND COMPANY Fixed Income 64,784.09 0.02 64,784.09 1.00 3.45 nan
METLIFE INC Fixed Income 64,784.09 0.02 64,784.09 1.00 12.55 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 64,755.51 0.02 64,755.51 1.00 13.64 nan
DEUTSCHE BANK AG (NEW YORK BRANCH) Fixed Income 64,726.94 0.02 64,726.94 1.00 6.95 nan
BOSTON PROPERTIES LP Fixed Income 64,698.36 0.02 64,698.36 1.00 7.00 nan
LOWES COMPANIES INC Fixed Income 64,584.05 0.02 64,584.05 1.00 11.92 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 64,555.47 0.02 64,555.47 1.00 3.95 nan
ELEVANCE HEALTH INC Fixed Income 64,555.47 0.02 64,555.47 1.00 10.92 nan
GENERAL MILLS INC Fixed Income 64,498.32 0.02 64,498.32 1.00 3.77 nan
RIO TINTO FINANCE (USA) PLC Fixed Income 64,441.17 0.02 64,441.17 1.00 14.23 nan
PARAMOUNT GLOBAL Fixed Income 64,441.17 0.02 64,441.17 1.00 7.50 nan
ALPHABET INC Fixed Income 64,412.59 0.02 64,412.59 1.00 4.57 nan
ONEOK INC Fixed Income 64,412.59 0.02 64,412.59 1.00 12.45 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 64,412.59 0.02 64,412.59 1.00 10.84 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 64,326.86 0.02 64,326.86 1.00 3.10 nan
ELEVANCE HEALTH INC Fixed Income 64,298.28 0.02 64,298.28 1.00 14.71 nan
FISERV INC Fixed Income 64,269.70 0.02 64,269.70 1.00 5.94 nan
SOUTHERN COMPANY (THE) Fixed Income 64,269.70 0.02 64,269.70 1.00 6.15 nan
SUNCOR ENERGY INC. Fixed Income 64,269.70 0.02 64,269.70 1.00 8.85 nan
COMCAST CORPORATION Fixed Income 64,212.55 0.02 64,212.55 1.00 13.19 nan
BAT INTERNATIONAL FINANCE PLC Fixed Income 64,183.97 0.02 64,183.97 1.00 2.91 nan
PEPSICO INC Fixed Income 64,155.40 0.02 64,155.40 1.00 6.13 nan
ELEVANCE HEALTH INC Fixed Income 64,098.24 0.02 64,098.24 1.00 3.82 nan
CSX CORP Fixed Income 64,098.24 0.02 64,098.24 1.00 13.39 nan
OTIS WORLDWIDE CORP Fixed Income 64,098.24 0.02 64,098.24 1.00 10.85 nan
BELL TELEPHONE COMPANY OF CANADA O Fixed Income 64,069.66 0.02 64,069.66 1.00 6.07 nan
TRAVELERS COMPANIES INC Fixed Income 64,069.66 0.02 64,069.66 1.00 13.94 nan
ORACLE CORPORATION Fixed Income 64,041.09 0.02 64,041.09 1.00 3.95 nan
JBS USA HOLDING LUX SARL 144A Fixed Income 64,012.51 0.02 64,012.51 1.00 13.33 nan
MASTERCARD INC Fixed Income 63,983.93 0.02 63,983.93 1.00 14.28 nan
PRUDENTIAL FINANCIAL INC Fixed Income 63,983.93 0.02 63,983.93 1.00 13.45 nan
SHELL FINANCE US INC Fixed Income 63,955.36 0.02 63,955.36 1.00 13.37 nan
HCA INC Fixed Income 63,926.78 0.02 63,926.78 1.00 6.97 nan
WESTPAC BANKING CORP Fixed Income 63,898.20 0.02 63,898.20 1.00 5.12 nan
LOWES COMPANIES INC Fixed Income 63,869.63 0.02 63,869.63 1.00 15.88 nan
LYONDELLBASELL INDUSTRIES NV Fixed Income 63,869.63 0.02 63,869.63 1.00 14.08 nan
NOVARTIS CAPITAL CORP Fixed Income 63,812.47 0.02 63,812.47 1.00 15.05 nan
JOHNSON & JOHNSON Fixed Income 63,783.89 0.02 63,783.89 1.00 9.02 nan
WILLIAMS COMPANIES INC Fixed Income 63,783.89 0.02 63,783.89 1.00 7.23 nan
DELL INTERNATIONAL LLC Fixed Income 63,755.32 0.02 63,755.32 1.00 6.75 nan
ONCOR ELECTRIC DELIVERY COMPANY LL Fixed Income 63,755.32 0.02 63,755.32 1.00 6.32 nan
LAM RESEARCH CORPORATION Fixed Income 63,726.74 0.02 63,726.74 1.00 13.44 nan
WESTPAC BANKING CORP Fixed Income 63,698.16 0.02 63,698.16 1.00 11.27 nan
GENERAL MOTORS CO Fixed Income 63,669.59 0.02 63,669.59 1.00 11.35 nan
MANULIFE FINANCIAL CORP Fixed Income 63,669.59 0.02 63,669.59 1.00 5.57 nan
EXPAND ENERGY CORP Fixed Income 63,669.59 0.02 63,669.59 1.00 3.84 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 63,612.43 0.02 63,612.43 1.00 6.12 nan
AMERICAN INTERNATIONAL GROUP INC Fixed Income 63,583.85 0.02 63,583.85 1.00 13.87 nan
APPLE INC Fixed Income 63,583.85 0.02 63,583.85 1.00 5.51 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 63,583.85 0.02 63,583.85 1.00 4.49 nan
JOHNSON & JOHNSON Fixed Income 63,583.85 0.02 63,583.85 1.00 13.68 nan
REPUBLIC SERVICES INC Fixed Income 63,583.85 0.02 63,583.85 1.00 6.82 nan
NORFOLK SOUTHERN CORPORATION Fixed Income 63,526.70 0.02 63,526.70 1.00 14.30 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 63,498.12 0.02 63,498.12 1.00 6.13 nan
ONCOR ELECTRIC DELIVERY COMPANY LL Fixed Income 63,498.12 0.02 63,498.12 1.00 13.99 nan
WESTERN MIDSTREAM OPERATING LP Fixed Income 63,498.12 0.02 63,498.12 1.00 5.93 nan
ARCELORMITTAL SA Fixed Income 63,469.55 0.02 63,469.55 1.00 5.54 nan
MICROSOFT CORPORATION Fixed Income 63,469.55 0.02 63,469.55 1.00 13.52 nan
AT&T INC Fixed Income 63,440.97 0.02 63,440.97 1.00 12.29 nan
MCDONALDS CORPORATION MTN Fixed Income 63,440.97 0.02 63,440.97 1.00 7.91 nan
RELX CAPITAL INC Fixed Income 63,440.97 0.02 63,440.97 1.00 3.12 nan
UBER TECHNOLOGIES INC Fixed Income 63,440.97 0.02 63,440.97 1.00 14.34 nan
ENBRIDGE INC Fixed Income 63,383.82 0.02 63,383.82 1.00 4.23 nan
WALT DISNEY CO Fixed Income 63,355.24 0.02 63,355.24 1.00 3.99 nan
HCA INC Fixed Income 63,269.51 0.02 63,269.51 1.00 5.95 nan
PEPSICO INC Fixed Income 63,269.51 0.02 63,269.51 1.00 12.88 nan
GILEAD SCIENCES INC Fixed Income 63,240.93 0.02 63,240.93 1.00 6.49 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 63,098.05 0.02 63,098.05 1.00 3.05 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 63,098.05 0.02 63,098.05 1.00 13.44 nan
NORTHERN TRUST CORPORATION Fixed Income 63,069.47 0.02 63,069.47 1.00 5.58 nan
BROADCOM INC Fixed Income 63,040.89 0.02 63,040.89 1.00 3.31 nan
ONEOK INC Fixed Income 63,040.89 0.02 63,040.89 1.00 5.59 nan
AMERICAN ELECTRIC POWER COMPANY IN Fixed Income 63,012.31 0.02 63,012.31 1.00 5.96 nan
BLUE OWL CREDIT INCOME CORP Fixed Income 63,012.31 0.02 63,012.31 1.00 4.46 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 62,983.74 0.02 62,983.74 1.00 5.10 nan
EASTMAN CHEMICAL CO Fixed Income 62,955.16 0.02 62,955.16 1.00 11.90 nan
TRAVELERS COMPANIES INC Fixed Income 62,955.16 0.02 62,955.16 1.00 14.36 nan
DOW CHEMICAL CO Fixed Income 62,926.58 0.02 62,926.58 1.00 13.92 nan
CVS HEALTH CORP Fixed Income 62,898.01 0.02 62,898.01 1.00 4.51 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 62,898.01 0.02 62,898.01 1.00 5.35 nan
UNITEDHEALTH GROUP INC Fixed Income 62,898.01 0.02 62,898.01 1.00 3.78 nan
CHEVRON USA INC Fixed Income 62,840.85 0.02 62,840.85 1.00 7.50 nan
CUMMINS INC Fixed Income 62,840.85 0.02 62,840.85 1.00 6.68 nan
DIAGEO CAPITAL PLC Fixed Income 62,755.12 0.02 62,755.12 1.00 6.39 nan
HONDA MOTOR CO LTD Fixed Income 62,755.12 0.02 62,755.12 1.00 5.66 nan
KEYCORP MTN Fixed Income 62,755.12 0.02 62,755.12 1.00 6.46 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 62,755.12 0.02 62,755.12 1.00 4.01 nan
BOEING CO Fixed Income 62,726.54 0.02 62,726.54 1.00 7.70 nan
DEERE & CO Fixed Income 62,669.39 0.02 62,669.39 1.00 14.36 nan
AMCOR FLEXIBLES NORTH AMERICA INC Fixed Income 62,640.81 0.02 62,640.81 1.00 7.26 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 62,555.08 0.02 62,555.08 1.00 13.66 nan
CONSOLIDATED EDISON COMPANY OF NEW Fixed Income 62,526.51 0.02 62,526.51 1.00 5.12 nan
NIKE INC Fixed Income 62,526.51 0.02 62,526.51 1.00 10.93 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 62,497.93 0.02 62,497.93 1.00 15.41 nan
WRKCO INC Fixed Income 62,497.93 0.02 62,497.93 1.00 3.07 nan
NISOURCE INC Fixed Income 62,469.35 0.02 62,469.35 1.00 13.68 nan
SIXTH STREET LENDING PARTNERS 144A Fixed Income 62,469.35 0.02 62,469.35 1.00 3.99 nan
AON CORP Fixed Income 62,440.77 0.02 62,440.77 1.00 5.99 nan
KLA CORP Fixed Income 62,412.20 0.02 62,412.20 1.00 15.67 nan
COMCAST CORPORATION Fixed Income 62,383.62 0.02 62,383.62 1.00 16.25 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 62,383.62 0.02 62,383.62 1.00 15.86 nan
AMCOR FLEXIBLES NORTH AMERICA INC Fixed Income 62,355.04 0.02 62,355.04 1.00 5.01 nan
EASTMAN CHEMICAL COMPANY Fixed Income 62,355.04 0.02 62,355.04 1.00 6.54 nan
SOLVENTUM CORP Fixed Income 62,355.04 0.02 62,355.04 1.00 3.01 nan
FLORIDA POWER & LIGHT CO Fixed Income 62,326.47 0.02 62,326.47 1.00 5.66 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 62,326.47 0.02 62,326.47 1.00 13.16 nan
HEALTHPEAK OP LLC Fixed Income 62,269.31 0.02 62,269.31 1.00 5.80 nan
DIAGEO CAPITAL PLC Fixed Income 62,212.16 0.02 62,212.16 1.00 5.89 nan
CSX CORP Fixed Income 62,183.58 0.02 62,183.58 1.00 12.20 nan
PROLOGIS LP Fixed Income 62,183.58 0.02 62,183.58 1.00 6.76 nan
KROGER CO Fixed Income 62,126.43 0.02 62,126.43 1.00 12.80 nan
BROADCOM INC Fixed Income 62,097.85 0.02 62,097.85 1.00 4.15 nan
KENVUE INC Fixed Income 62,097.85 0.02 62,097.85 1.00 11.24 nan
AMGEN INC Fixed Income 62,012.12 0.02 62,012.12 1.00 11.89 nan
TARGA RESOURCES CORP Fixed Income 62,012.12 0.02 62,012.12 1.00 5.90 nan
TRAVELERS COMPANIES INC MTN Fixed Income 62,012.12 0.02 62,012.12 1.00 8.25 nan
BECTON DICKINSON AND COMPANY Fixed Income 61,954.97 0.02 61,954.97 1.00 11.90 nan
REALTY INCOME CORPORATION Fixed Income 61,954.97 0.02 61,954.97 1.00 5.74 nan
LAM RESEARCH CORPORATION Fixed Income 61,926.39 0.02 61,926.39 1.00 4.31 nan
LOWES COMPANIES INC Fixed Income 61,897.81 0.02 61,897.81 1.00 6.18 nan
DUKE ENERGY CORP Fixed Income 61,869.23 0.02 61,869.23 1.00 5.74 nan
ENTERGY LOUISIANA LLC Fixed Income 61,869.23 0.02 61,869.23 1.00 13.57 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 61,840.66 0.02 61,840.66 1.00 3.95 nan
STATE STREET CORP Fixed Income 61,783.50 0.02 61,783.50 1.00 4.92 nan
KENVUE INC Fixed Income 61,754.93 0.02 61,754.93 1.00 15.52 nan
MCDONALDS CORPORATION MTN Fixed Income 61,754.93 0.02 61,754.93 1.00 5.81 nan
COCA-COLA CO Fixed Income 61,726.35 0.02 61,726.35 1.00 15.65 nan
KINDER MORGAN ENERGY PARTNERS LP Fixed Income 61,726.35 0.02 61,726.35 1.00 11.26 nan
MICROSOFT CORPORATION Fixed Income 61,726.35 0.02 61,726.35 1.00 12.62 nan
RAYMOND JAMES FINANCIAL INC. Fixed Income 61,726.35 0.02 61,726.35 1.00 14.67 nan
JBS USA HOLDING LUX SARL 144A Fixed Income 61,697.77 0.02 61,697.77 1.00 7.23 nan
WALT DISNEY CO Fixed Income 61,669.20 0.02 61,669.20 1.00 10.29 nan
UNITEDHEALTH GROUP INC Fixed Income 61,640.62 0.02 61,640.62 1.00 13.31 nan
GENERAL MILLS INC Fixed Income 61,583.46 0.02 61,583.46 1.00 6.14 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 61,554.89 0.02 61,554.89 1.00 13.57 nan
UNITEDHEALTH GROUP INC Fixed Income 61,554.89 0.02 61,554.89 1.00 15.34 nan
WASTE MANAGEMENT INC Fixed Income 61,526.31 0.02 61,526.31 1.00 5.43 nan
JOHNSON & JOHNSON Fixed Income 61,469.16 0.02 61,469.16 1.00 8.55 nan
MORGAN STANLEY Fixed Income 61,440.58 0.02 61,440.58 1.00 2.90 nan
MCDONALDS CORPORATION MTN Fixed Income 61,383.42 0.02 61,383.42 1.00 14.04 nan
CIGNA GROUP Fixed Income 61,354.85 0.02 61,354.85 1.00 4.70 nan
PROLOGIS LP Fixed Income 61,354.85 0.02 61,354.85 1.00 14.42 nan
HONEYWELL INTERNATIONAL INC Fixed Income 61,297.69 0.02 61,297.69 1.00 6.02 nan
FLORIDA POWER & LIGHT CO Fixed Income 61,240.54 0.02 61,240.54 1.00 14.24 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 61,240.54 0.02 61,240.54 1.00 5.41 nan
OREILLY AUTOMOTIVE INC Fixed Income 61,183.39 0.02 61,183.39 1.00 5.55 nan
COCA-COLA CO Fixed Income 61,154.81 0.02 61,154.81 1.00 5.62 nan
DH EUROPE FINANCE II SARL Fixed Income 61,097.65 0.02 61,097.65 1.00 10.59 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 61,097.65 0.02 61,097.65 1.00 13.17 nan
WESTERN MIDSTREAM OPERATING LP Fixed Income 61,097.65 0.02 61,097.65 1.00 12.63 nan
CIGNA GROUP Fixed Income 61,069.08 0.02 61,069.08 1.00 10.87 nan
WELLTOWER OP LLC Fixed Income 61,069.08 0.02 61,069.08 1.00 7.46 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 61,040.50 0.02 61,040.50 1.00 5.57 nan
INTEL CORPORATION Fixed Income 61,011.92 0.02 61,011.92 1.00 15.20 nan
APTIV SWISS HOLDINGS LTD Fixed Income 60,983.35 0.02 60,983.35 1.00 14.09 nan
ARCHER DANIELS MIDLAND CO Fixed Income 60,926.19 0.02 60,926.19 1.00 5.65 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 60,926.19 0.02 60,926.19 1.00 5.71 nan
ENERGY TRANSFER PARTNERS LP Fixed Income 60,926.19 0.02 60,926.19 1.00 12.20 nan
HUMANA INC Fixed Income 60,926.19 0.02 60,926.19 1.00 6.55 nan
MERCK & CO INC Fixed Income 60,897.62 0.02 60,897.62 1.00 11.69 nan
TAKEDA US FINANCING INC Fixed Income 60,869.04 0.02 60,869.04 1.00 13.98 nan
ENBRIDGE INC Fixed Income 60,840.46 0.02 60,840.46 1.00 3.11 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 60,840.46 0.02 60,840.46 1.00 15.02 nan
ELEVANCE HEALTH INC Fixed Income 60,783.31 0.02 60,783.31 1.00 7.87 nan
BELL TELEPHONE COMPANY OF CANADA O Fixed Income 60,754.73 0.02 60,754.73 1.00 13.18 nan
RTX CORP Fixed Income 60,726.15 0.02 60,726.15 1.00 4.57 nan
STARBUCKS CORPORATION Fixed Income 60,726.15 0.02 60,726.15 1.00 13.55 nan
BOEING CO Fixed Income 60,697.58 0.02 60,697.58 1.00 7.02 nan
KINDER MORGAN INC Fixed Income 60,640.42 0.02 60,640.42 1.00 12.61 nan
INTEL CORPORATION Fixed Income 60,611.85 0.02 60,611.85 1.00 12.78 nan
NORTHROP GRUMMAN CORP Fixed Income 60,611.85 0.02 60,611.85 1.00 14.32 nan
ELEVANCE HEALTH INC Fixed Income 60,611.85 0.02 60,611.85 1.00 11.25 nan
PAYPAL HOLDINGS INC Fixed Income 60,583.27 0.02 60,583.27 1.00 14.80 nan
MCDONALDS CORPORATION MTN Fixed Income 60,554.69 0.02 60,554.69 1.00 13.41 nan
PRUDENTIAL FINANCIAL INC MTN Fixed Income 60,554.69 0.02 60,554.69 1.00 13.92 nan
UNILEVER CAPITAL CORP Fixed Income 60,554.69 0.02 60,554.69 1.00 5.66 nan
AT&T INC Fixed Income 60,526.11 0.02 60,526.11 1.00 13.33 nan
JPMORGAN CHASE & CO Fixed Income 60,526.11 0.02 60,526.11 1.00 11.06 nan
INTEL CORPORATION Fixed Income 60,497.54 0.02 60,497.54 1.00 14.93 nan
PFIZER INC Fixed Income 60,468.96 0.02 60,468.96 1.00 4.29 nan
ALPHABET INC Fixed Income 60,440.38 0.02 60,440.38 1.00 12.11 nan
PRUDENTIAL FINANCIAL INC MTN Fixed Income 60,411.81 0.02 60,411.81 1.00 11.73 nan
STATE STREET CORP Fixed Income 60,411.81 0.02 60,411.81 1.00 4.00 nan
XCEL ENERGY INC Fixed Income 60,411.81 0.02 60,411.81 1.00 7.31 nan
PHILLIPS 66 CO Fixed Income 60,383.23 0.02 60,383.23 1.00 6.17 nan
BELL TELEPHONE COMPANY OF CANADA O Fixed Income 60,354.65 0.02 60,354.65 1.00 13.91 nan
AMERICAN ELECTRIC POWER COMPANY IN Fixed Income 60,326.08 0.02 60,326.08 1.00 2.90 nan
ROYAL BANK OF CANADA MTN Fixed Income 60,326.08 0.02 60,326.08 1.00 2.95 nan
BUNGE FINANCE LTD CORP Fixed Income 60,297.50 0.02 60,297.50 1.00 7.15 nan
EQT CORP Fixed Income 60,268.92 0.02 60,268.92 1.00 6.48 nan
EBAY INC Fixed Income 60,268.92 0.02 60,268.92 1.00 4.99 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 60,183.19 0.02 60,183.19 1.00 14.07 nan
CANADIAN NATURAL RESOURCES LTD 144A Fixed Income 60,154.61 0.02 60,154.61 1.00 3.63 nan
PRESIDENT AND FELLOWS OF HARVARD C Fixed Income 60,126.04 0.02 60,126.04 1.00 7.44 nan
AMGEN INC Fixed Income 60,068.88 0.02 60,068.88 1.00 3.09 nan
FLORIDA POWER & LIGHT CO Fixed Income 60,068.88 0.02 60,068.88 1.00 6.16 nan
COMCAST CORPORATION Fixed Income 60,011.73 0.02 60,011.73 1.00 14.98 nan
CONOCOPHILLIPS CO Fixed Income 59,983.15 0.02 59,983.15 1.00 14.82 nan
ENBRIDGE INC Fixed Income 59,983.15 0.02 59,983.15 1.00 14.87 nan
LAS VEGAS SANDS CORP Fixed Income 59,983.15 0.02 59,983.15 1.00 3.43 nan
ZIMMER BIOMET HOLDINGS INC Fixed Income 59,926.00 0.02 59,926.00 1.00 5.43 nan
DOLLAR TREE INC Fixed Income 59,897.42 0.02 59,897.42 1.00 5.44 nan
WESTINGHOUSE AIR BRAKE TECHNOLOGIE Fixed Income 59,897.42 0.02 59,897.42 1.00 7.28 nan
BOEING CO Fixed Income 59,868.84 0.02 59,868.84 1.00 13.57 nan
MORGAN STANLEY MTN Fixed Income 59,868.84 0.02 59,868.84 1.00 3.32 nan
NXP BV Fixed Income 59,868.84 0.02 59,868.84 1.00 4.04 nan
QUALCOMM INCORPORATED Fixed Income 59,868.84 0.02 59,868.84 1.00 14.23 nan
TOYOTA MOTOR CREDIT CORP Fixed Income 59,868.84 0.02 59,868.84 1.00 4.01 nan
AMEREN CORPORATION Fixed Income 59,811.69 0.02 59,811.69 1.00 7.29 nan
WOODSIDE FINANCE LTD Fixed Income 59,811.69 0.02 59,811.69 1.00 13.72 nan
DUKE ENERGY CORP Fixed Income 59,783.11 0.02 59,783.11 1.00 13.20 nan
ELI LILLY AND COMPANY Fixed Income 59,783.11 0.02 59,783.11 1.00 16.12 nan
MONDELEZ INTERNATIONAL INC Fixed Income 59,783.11 0.02 59,783.11 1.00 5.67 nan
WALMART INC Fixed Income 59,783.11 0.02 59,783.11 1.00 5.48 nan
ANHEUSER-BUSCH INBEV WORLDWIDE INC Fixed Income 59,754.54 0.02 59,754.54 1.00 4.54 nan
RAYMOND JAMES FINANCIAL INC. Fixed Income 59,754.54 0.02 59,754.54 1.00 12.34 nan
HOME DEPOT INC Fixed Income 59,668.80 0.02 59,668.80 1.00 11.79 nan
LYB INTERNATIONAL FINANCE III LLC Fixed Income 59,668.80 0.02 59,668.80 1.00 13.37 nan
AMEREN CORPORATION Fixed Income 59,611.65 0.02 59,611.65 1.00 4.64 nan
LOCKHEED MARTIN CORP Fixed Income 59,611.65 0.02 59,611.65 1.00 11.61 nan
CIGNA GROUP Fixed Income 59,583.07 0.02 59,583.07 1.00 6.03 nan
BANCO BILBAO VIZCAYA ARGENTARIA SA Fixed Income 59,525.92 0.02 59,525.92 1.00 3.05 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 59,525.92 0.02 59,525.92 1.00 4.48 nan
AMERICAN WATER CAPITAL CORP Fixed Income 59,497.34 0.02 59,497.34 1.00 7.29 nan
CME GROUP INC Fixed Income 59,497.34 0.02 59,497.34 1.00 11.50 nan
NORTHERN STATES POWER COMPANY (MIN Fixed Income 59,440.19 0.02 59,440.19 1.00 14.12 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 59,383.03 0.02 59,383.03 1.00 5.50 nan
DUKE ENERGY CORP Fixed Income 59,354.46 0.02 59,354.46 1.00 7.68 nan
HOME DEPOT INC Fixed Income 59,325.88 0.02 59,325.88 1.00 16.01 nan
PNC FINANCIAL SERVICES GROUP INC ( Fixed Income 59,325.88 0.02 59,325.88 1.00 6.20 nan
CRH AMERICA FINANCE INC Fixed Income 59,297.30 0.02 59,297.30 1.00 7.10 nan
KEURIG DR PEPPER INC Fixed Income 59,268.73 0.02 59,268.73 1.00 4.06 nan
FLORIDA POWER & LIGHT CO Fixed Income 59,182.99 0.02 59,182.99 1.00 15.75 nan
PROLOGIS LP Fixed Income 59,182.99 0.02 59,182.99 1.00 6.58 nan
WILLIS NORTH AMERICA INC Fixed Income 59,182.99 0.02 59,182.99 1.00 6.04 nan
NOVARTIS CAPITAL CORP Fixed Income 59,154.42 0.02 59,154.42 1.00 5.17 nan
PUBLIC SERVICE COMPANY OF OKLAHOMA Fixed Income 59,154.42 0.02 59,154.42 1.00 7.66 nan
VULCAN MATERIALS COMPANY Fixed Income 59,154.42 0.02 59,154.42 1.00 7.03 nan
ROYALTY PHARMA PLC Fixed Income 59,125.84 0.02 59,125.84 1.00 14.46 nan
CRH SMW FINANCE DAC Fixed Income 59,097.26 0.02 59,097.26 1.00 3.69 nan
EXPEDIA GROUP INC Fixed Income 59,097.26 0.02 59,097.26 1.00 7.20 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 59,068.69 0.02 59,068.69 1.00 13.14 nan
AMPHENOL CORPORATION Fixed Income 59,011.53 0.02 59,011.53 1.00 4.51 nan
AMERICAN WATER CAPITAL CORP Fixed Income 58,982.96 0.02 58,982.96 1.00 8.47 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 58,954.38 0.02 58,954.38 1.00 3.01 nan
GLP CAPITAL LP Fixed Income 58,954.38 0.02 58,954.38 1.00 5.44 nan
VIATRIS INC Fixed Income 58,954.38 0.02 58,954.38 1.00 13.14 nan
T-MOBILE USA INC Fixed Income 58,925.80 0.02 58,925.80 1.00 6.06 nan
WASTE CONNECTIONS INC Fixed Income 58,897.22 0.02 58,897.22 1.00 6.07 nan
UNITEDHEALTH GROUP INC Fixed Income 58,868.65 0.02 58,868.65 1.00 11.67 nan
HUMANA INC Fixed Income 58,840.07 0.02 58,840.07 1.00 7.10 nan
SAN DIEGO GAS & ELECTRIC CO Fixed Income 58,840.07 0.02 58,840.07 1.00 4.62 nan
WALMART INC Fixed Income 58,840.07 0.02 58,840.07 1.00 7.56 nan
MPLX LP Fixed Income 58,811.49 0.02 58,811.49 1.00 7.29 nan
DIAMONDBACK ENERGY INC Fixed Income 58,754.34 0.02 58,754.34 1.00 3.70 nan
PAYPAL HOLDINGS INC Fixed Income 58,725.76 0.02 58,725.76 1.00 3.65 nan
TRANSCANADA PIPELINES LTD Fixed Income 58,725.76 0.02 58,725.76 1.00 9.52 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 58,697.19 0.02 58,697.19 1.00 4.10 nan
DEVON ENERGY CORP Fixed Income 58,668.61 0.02 58,668.61 1.00 10.65 nan
EXELON CORPORATION Fixed Income 58,611.45 0.02 58,611.45 1.00 12.66 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 58,611.45 0.02 58,611.45 1.00 5.59 nan
T-MOBILE USA INC Fixed Income 58,611.45 0.02 58,611.45 1.00 14.02 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 58,582.88 0.02 58,582.88 1.00 14.60 nan
DEVON ENERGY CORPORATION Fixed Income 58,554.30 0.02 58,554.30 1.00 11.57 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 58,554.30 0.02 58,554.30 1.00 12.21 nan
NISOURCE INC Fixed Income 58,554.30 0.02 58,554.30 1.00 11.64 nan
SIMON PROPERTY GROUP LP Fixed Income 58,525.72 0.02 58,525.72 1.00 7.65 nan
VULCAN MATERIALS COMPANY Fixed Income 58,525.72 0.02 58,525.72 1.00 4.12 nan
CHENIERE ENERGY PARTNERS LP Fixed Income 58,497.15 0.02 58,497.15 1.00 3.55 nan
HALEON US CAPITAL LLC Fixed Income 58,439.99 0.02 58,439.99 1.00 14.88 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 58,411.42 0.02 58,411.42 1.00 10.88 nan
METLIFE INC Fixed Income 58,382.84 0.02 58,382.84 1.00 11.44 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 58,354.26 0.02 58,354.26 1.00 14.58 nan
STARBUCKS CORPORATION Fixed Income 58,297.11 0.02 58,297.11 1.00 14.49 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 58,297.11 0.02 58,297.11 1.00 6.63 nan
DOMINION ENERGY INC Fixed Income 58,268.53 0.02 58,268.53 1.00 3.98 nan
METLIFE INC Fixed Income 58,268.53 0.02 58,268.53 1.00 14.25 nan
PUBLIC SERVICE COMPANY OF COLORADO Fixed Income 58,211.38 0.02 58,211.38 1.00 14.11 nan
CONSOLIDATED EDISON COMPANY OF NEW Fixed Income 58,182.80 0.02 58,182.80 1.00 13.89 nan
BANK OF NOVA SCOTIA (FXD-FRN) MTN Fixed Income 58,125.65 0.02 58,125.65 1.00 3.79 nan
BARCLAYS PLC Fixed Income 58,068.49 0.02 58,068.49 1.00 5.37 nan
CIGNA GROUP Fixed Income 58,039.91 0.02 58,039.91 1.00 4.31 nan
CSX CORP Fixed Income 58,011.34 0.02 58,011.34 1.00 14.32 nan
VERIZON COMMUNICATIONS INC Fixed Income 58,011.34 0.02 58,011.34 1.00 10.79 nan
CANADIAN IMPERIAL (FX-FRN) Fixed Income 57,982.76 0.02 57,982.76 1.00 3.70 nan
REGIONS FINANCIAL CORPORATION Fixed Income 57,982.76 0.02 57,982.76 1.00 6.92 nan
CIGNA GROUP Fixed Income 57,925.61 0.02 57,925.61 1.00 13.54 nan
AMERICAN TOWER CORPORATION Fixed Income 57,868.45 0.02 57,868.45 1.00 6.27 nan
ING GROEP NV Fixed Income 57,811.30 0.02 57,811.30 1.00 3.17 nan
NORTHROP GRUMMAN CORP Fixed Income 57,811.30 0.02 57,811.30 1.00 11.36 nan
GEORGIA POWER COMPANY Fixed Income 57,782.72 0.02 57,782.72 1.00 15.27 nan
NORTHERN TRUST CORPORATION Fixed Income 57,782.72 0.02 57,782.72 1.00 4.19 nan
PUBLIC SERVICE COMPANY OF COLORADO Fixed Income 57,782.72 0.02 57,782.72 1.00 13.81 nan
EBAY INC Fixed Income 57,754.14 0.02 57,754.14 1.00 11.42 nan
INTEL CORPORATION Fixed Income 57,754.14 0.02 57,754.14 1.00 10.14 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 57,725.57 0.02 57,725.57 1.00 5.07 nan
REALTY INCOME CORPORATION Fixed Income 57,696.99 0.02 57,696.99 1.00 6.65 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 57,668.41 0.02 57,668.41 1.00 7.26 nan
CHARLES SCHWAB CORPORATION (THE) Fixed Income 57,582.68 0.02 57,582.68 1.00 5.66 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 57,582.68 0.02 57,582.68 1.00 7.10 nan
ELI LILLY AND COMPANY Fixed Income 57,554.11 0.02 57,554.11 1.00 3.82 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 57,496.95 0.02 57,496.95 1.00 14.22 nan
BERRY GLOBAL INC Fixed Income 57,496.95 0.02 57,496.95 1.00 4.70 nan
CIGNA GROUP Fixed Income 57,468.37 0.02 57,468.37 1.00 14.63 nan
RELX CAPITAL INC Fixed Income 57,439.80 0.02 57,439.80 1.00 3.93 nan
PLAINS ALL AMERICAN PIPELINE LP Fixed Income 57,411.22 0.02 57,411.22 1.00 3.73 nan
MARTIN MARIETTA MATERIALS INC Fixed Income 57,354.07 0.02 57,354.07 1.00 7.07 nan
ALTRIA GROUP INC Fixed Income 57,325.49 0.02 57,325.49 1.00 14.33 nan
BROOKFIELD FINANCE INC Fixed Income 57,325.49 0.02 57,325.49 1.00 12.89 nan
3M CO MTN Fixed Income 57,325.49 0.02 57,325.49 1.00 3.10 nan
PEPSICO INC Fixed Income 57,296.91 0.02 57,296.91 1.00 15.41 nan
SOUTHERN CALIFORNIA EDISON CO Fixed Income 57,296.91 0.02 57,296.91 1.00 11.47 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 57,239.76 0.02 57,239.76 1.00 5.65 nan
APPLE INC Fixed Income 57,211.18 0.02 57,211.18 1.00 13.19 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 57,211.18 0.02 57,211.18 1.00 12.80 nan
COCA-COLA CO Fixed Income 57,211.18 0.02 57,211.18 1.00 11.43 nan
BOEING CO Fixed Income 57,182.60 0.02 57,182.60 1.00 3.05 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 57,154.03 0.02 57,154.03 1.00 4.65 nan
VISA INC Fixed Income 57,125.45 0.02 57,125.45 1.00 13.90 nan
LYB INTERNATIONAL FINANCE III LLC Fixed Income 57,096.87 0.02 57,096.87 1.00 14.20 nan
WALT DISNEY CO Fixed Income 57,039.72 0.02 57,039.72 1.00 3.62 nan
GOLDMAN SACHS GROUP INC/THE Fixed Income 57,039.72 0.02 57,039.72 1.00 2.70 nan
KINDER MORGAN INC Fixed Income 57,011.14 0.02 57,011.14 1.00 12.07 nan
ASCENSION HEALTH Fixed Income 56,982.56 0.02 56,982.56 1.00 3.74 nan
DANAHER CORPORATION Fixed Income 56,982.56 0.02 56,982.56 1.00 15.92 nan
CITIZENS FINANCIAL GROUP INC Fixed Income 56,953.99 0.02 56,953.99 1.00 2.88 nan
MICRON TECHNOLOGY INC Fixed Income 56,925.41 0.02 56,925.41 1.00 5.85 nan
ONEOK INC Fixed Income 56,925.41 0.02 56,925.41 1.00 14.33 nan
BARCLAYS PLC Fixed Income 56,896.83 0.02 56,896.83 1.00 11.49 nan
STRYKER CORPORATION Fixed Income 56,896.83 0.02 56,896.83 1.00 3.51 nan
JBS USA LUX SA Fixed Income 56,868.26 0.02 56,868.26 1.00 13.88 nan
JOHNSON & JOHNSON Fixed Income 56,868.26 0.02 56,868.26 1.00 14.13 nan
AMERICAN TOWER CORPORATION Fixed Income 56,811.10 0.02 56,811.10 1.00 6.17 nan
NXP BV Fixed Income 56,811.10 0.02 56,811.10 1.00 3.28 nan
S&P GLOBAL INC Fixed Income 56,811.10 0.02 56,811.10 1.00 6.41 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 56,782.53 0.02 56,782.53 1.00 12.17 nan
T-MOBILE USA INC Fixed Income 56,782.53 0.02 56,782.53 1.00 7.28 nan
METLIFE INC Fixed Income 56,753.95 0.02 56,753.95 1.00 7.09 nan
BRIXMOR OPERATING PARTNERSHIP LP Fixed Income 56,725.37 0.02 56,725.37 1.00 4.15 nan
CARDINAL HEALTH INC Fixed Income 56,725.37 0.02 56,725.37 1.00 3.56 nan
QUEST DIAGNOSTICS INCORPORATED Fixed Income 56,725.37 0.02 56,725.37 1.00 6.24 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 56,696.79 0.02 56,696.79 1.00 13.46 nan
PFIZER INC Fixed Income 56,696.79 0.02 56,696.79 1.00 15.52 nan
HCA INC Fixed Income 56,668.22 0.02 56,668.22 1.00 5.29 nan
RIO TINTO ALCAN INC Fixed Income 56,639.64 0.02 56,639.64 1.00 6.33 nan
COMCAST CORPORATION Fixed Income 56,611.06 0.02 56,611.06 1.00 12.19 nan
UNITEDHEALTH GROUP INC Fixed Income 56,525.33 0.02 56,525.33 1.00 3.74 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 56,496.76 0.02 56,496.76 1.00 13.57 nan
DUKE ENERGY CAROLINAS LLC Fixed Income 56,496.76 0.02 56,496.76 1.00 9.89 nan
CHARLES SCHWAB CORPORATION (THE) Fixed Income 56,496.76 0.02 56,496.76 1.00 5.04 nan
GENERAL DYNAMICS CORPORATION Fixed Income 56,468.18 0.02 56,468.18 1.00 7.65 nan
PRUDENTIAL FINANCIAL INC MTN Fixed Income 56,468.18 0.02 56,468.18 1.00 8.12 nan
ALTRIA GROUP INC Fixed Income 56,411.02 0.02 56,411.02 1.00 11.24 nan
WILLIAMS COMPANIES INC Fixed Income 56,411.02 0.02 56,411.02 1.00 13.67 nan
APPLIED MATERIALS INC Fixed Income 56,353.87 0.02 56,353.87 1.00 4.29 nan
COMCAST CORPORATION Fixed Income 56,353.87 0.02 56,353.87 1.00 5.81 nan
VIRGINIA ELECTRIC AND POWER COMPAN Fixed Income 56,325.29 0.02 56,325.29 1.00 6.14 nan
AMERICAN WATER CAPITAL CORP Fixed Income 56,239.56 0.02 56,239.56 1.00 5.55 nan
UNION PACIFIC CORPORATION Fixed Income 56,182.41 0.02 56,182.41 1.00 17.73 nan
PEPSICO INC Fixed Income 56,153.83 0.02 56,153.83 1.00 14.52 nan
AEP TEXAS INC Fixed Income 56,125.25 0.02 56,125.25 1.00 14.03 nan
TRAVELERS COMPANIES INC Fixed Income 56,125.25 0.02 56,125.25 1.00 10.03 nan
VERIZON COMMUNICATIONS INC Fixed Income 56,125.25 0.02 56,125.25 1.00 12.87 nan
WILLIS NORTH AMERICA INC Fixed Income 56,125.25 0.02 56,125.25 1.00 13.71 nan
MASTERCARD INC Fixed Income 56,096.68 0.02 56,096.68 1.00 4.03 nan
BHP BILLITON FINANCE (USA) LTD Fixed Income 56,068.10 0.02 56,068.10 1.00 5.32 nan
WESTPAC BANKING CORP Fixed Income 56,068.10 0.02 56,068.10 1.00 3.16 nan
CANADIAN NATIONAL RAILWAY COMPANY Fixed Income 55,982.37 0.02 55,982.37 1.00 7.23 nan
AMERICAN WATER CAPITAL CORP Fixed Income 55,953.79 0.02 55,953.79 1.00 13.63 nan
KINDER MORGAN INC Fixed Income 55,953.79 0.02 55,953.79 1.00 14.47 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 55,896.64 0.02 55,896.64 1.00 7.81 nan
CANADIAN PACIFIC RAILWAY COMPANY Fixed Income 55,839.48 0.02 55,839.48 1.00 11.78 nan
ERP OPERATING LP Fixed Income 55,810.91 0.02 55,810.91 1.00 11.93 nan
MONDELEZ INTERNATIONAL INC Fixed Income 55,810.91 0.02 55,810.91 1.00 4.12 nan
ENERGY TRANSFER LP Fixed Income 55,753.75 0.02 55,753.75 1.00 3.26 nan
PFIZER INC Fixed Income 55,753.75 0.02 55,753.75 1.00 11.34 nan
RAYMOND JAMES FINANCIAL INC. Fixed Income 55,753.75 0.02 55,753.75 1.00 14.20 nan
BRIXMOR OPERATING PARTNERSHIP LP Fixed Income 55,696.60 0.02 55,696.60 1.00 3.20 nan
MERCK & CO INC Fixed Income 55,696.60 0.02 55,696.60 1.00 11.58 nan
COMCAST CORPORATION Fixed Income 55,668.02 0.02 55,668.02 1.00 13.29 nan
AMERIPRISE FINANCIAL INC Fixed Income 55,639.45 0.02 55,639.45 1.00 7.42 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 55,639.45 0.02 55,639.45 1.00 11.39 nan
BP CAPITAL MARKETS AMERICA INC Fixed Income 55,610.87 0.02 55,610.87 1.00 15.78 nan
PIONEER NATURAL RESOURCES COMPANY Fixed Income 55,610.87 0.02 55,610.87 1.00 4.48 nan
MOTOROLA SOLUTIONS INC Fixed Income 55,553.71 0.02 55,553.71 1.00 3.20 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 55,525.14 0.02 55,525.14 1.00 7.25 nan
KEYSIGHT TECHNOLOGIES INC Fixed Income 55,525.14 0.02 55,525.14 1.00 4.07 nan
ELI LILLY AND COMPANY Fixed Income 55,496.56 0.02 55,496.56 1.00 14.12 nan
PUBLIC SERVICE ENTERPRISE GROUP IN Fixed Income 55,496.56 0.02 55,496.56 1.00 5.43 nan
CONOCOPHILLIPS CO Fixed Income 55,467.98 0.02 55,467.98 1.00 11.53 nan
DUKE ENERGY CORP Fixed Income 55,439.41 0.02 55,439.41 1.00 13.73 nan
PFIZER INC Fixed Income 55,439.41 0.02 55,439.41 1.00 11.94 nan
TOTALENERGIES CAPITAL INTERNATIONA Fixed Income 55,410.83 0.02 55,410.83 1.00 11.62 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 55,382.25 0.02 55,382.25 1.00 4.59 nan
AMGEN INC Fixed Income 55,325.10 0.02 55,325.10 1.00 15.69 nan
WASTE MANAGEMENT INC Fixed Income 55,296.52 0.02 55,296.52 1.00 4.85 nan
HCA INC Fixed Income 55,267.94 0.02 55,267.94 1.00 7.84 nan
WALMART INC Fixed Income 55,153.64 0.02 55,153.64 1.00 12.29 nan
SHELL INTERNATIONAL FINANCE BV Fixed Income 55,125.06 0.02 55,125.06 1.00 15.56 nan
TYSON FOODS INC Fixed Income 55,125.06 0.02 55,125.06 1.00 3.05 nan
ELEVANCE HEALTH INC Fixed Income 55,096.48 0.02 55,096.48 1.00 5.80 nan
ZOETIS INC Fixed Income 55,096.48 0.02 55,096.48 1.00 4.22 nan
AON CORP Fixed Income 55,067.90 0.02 55,067.90 1.00 3.19 nan
CENTENE CORPORATION Fixed Income 55,010.75 0.02 55,010.75 1.00 5.16 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 55,010.75 0.02 55,010.75 1.00 3.27 nan
LYB INTERNATIONAL FINANCE III LLC Fixed Income 55,010.75 0.02 55,010.75 1.00 10.90 nan
CME GROUP INC Fixed Income 54,982.17 0.02 54,982.17 1.00 5.74 nan
INTEL CORPORATION Fixed Income 54,982.17 0.02 54,982.17 1.00 5.32 nan
GENERAL MILLS INC Fixed Income 54,896.44 0.02 54,896.44 1.00 4.11 nan
UNION PACIFIC CORPORATION Fixed Income 54,896.44 0.02 54,896.44 1.00 3.96 nan
CSX CORP Fixed Income 54,867.87 0.02 54,867.87 1.00 3.10 nan
STRYKER CORPORATION Fixed Income 54,724.98 0.02 54,724.98 1.00 7.26 nan
QUEST DIAGNOSTICS INCORPORATED Fixed Income 54,667.83 0.02 54,667.83 1.00 4.25 nan
KAISER FOUNDATION HOSPITALS Fixed Income 54,639.25 0.02 54,639.25 1.00 13.09 nan
NEWMONT CORPORATION Fixed Income 54,582.10 0.02 54,582.10 1.00 6.70 nan
NASDAQ INC Fixed Income 54,496.36 0.02 54,496.36 1.00 13.73 nan
SANTANDER HOLDINGS USA INC Fixed Income 54,496.36 0.02 54,496.36 1.00 3.83 nan
UNITEDHEALTH GROUP INC Fixed Income 54,496.36 0.02 54,496.36 1.00 16.82 nan
VULCAN MATERIALS COMPANY Fixed Income 54,467.79 0.02 54,467.79 1.00 14.03 nan
PEPSICO INC Fixed Income 54,439.21 0.02 54,439.21 1.00 14.70 nan
JOHNSON & JOHNSON Fixed Income 54,410.63 0.02 54,410.63 1.00 9.60 nan
ONCOR ELECTRIC DELIVERY COMPANY LL Fixed Income 54,410.63 0.02 54,410.63 1.00 14.15 nan
CSX CORP Fixed Income 54,353.48 0.02 54,353.48 1.00 13.14 nan
META PLATFORMS INC Fixed Income 54,296.33 0.02 54,296.33 1.00 3.97 nan
COMCAST CORPORATION Fixed Income 54,267.75 0.02 54,267.75 1.00 10.46 nan
LABORATORY CORPORATION OF AMERICA Fixed Income 54,267.75 0.02 54,267.75 1.00 12.03 nan
PROLOGIS LP Fixed Income 54,210.59 0.02 54,210.59 1.00 7.30 nan
QUALCOMM INCORPORATED Fixed Income 54,210.59 0.02 54,210.59 1.00 6.03 nan
SHELL FINANCE US INC Fixed Income 54,182.02 0.02 54,182.02 1.00 11.68 nan
NVIDIA CORPORATION Fixed Income 54,096.29 0.02 54,096.29 1.00 5.18 nan
GEORGIA POWER COMPANY Fixed Income 54,039.13 0.02 54,039.13 1.00 11.25 nan
NUTRIEN LTD Fixed Income 54,039.13 0.02 54,039.13 1.00 13.76 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 53,924.82 0.02 53,924.82 1.00 3.55 nan
NEWMONT CORPORATION Fixed Income 53,896.25 0.02 53,896.25 1.00 5.99 nan
ZOETIS INC Fixed Income 53,867.67 0.02 53,867.67 1.00 5.69 nan
BROOKFIELD FINANCE INC Fixed Income 53,839.09 0.02 53,839.09 1.00 4.01 nan
COMCAST CORPORATION Fixed Income 53,839.09 0.02 53,839.09 1.00 6.14 nan
MARSH & MCLENNAN COMPANIES INC Fixed Income 53,753.36 0.02 53,753.36 1.00 5.09 nan
BAT CAPITAL CORP Fixed Income 53,724.79 0.02 53,724.79 1.00 6.16 nan
PEPSICO INC Fixed Income 53,696.21 0.02 53,696.21 1.00 13.74 nan
PROCTER & GAMBLE CO Fixed Income 53,696.21 0.02 53,696.21 1.00 6.16 nan
MERCK & CO INC Fixed Income 53,667.63 0.02 53,667.63 1.00 17.65 nan
MARATHON PETROLEUM CORP Fixed Income 53,639.05 0.02 53,639.05 1.00 11.76 nan
VICI PROPERTIES LP Fixed Income 53,639.05 0.02 53,639.05 1.00 13.04 nan
HOST HOTELS & RESORTS LP Fixed Income 53,524.75 0.02 53,524.75 1.00 4.38 nan
DIAGEO INVESTMENT CORPORATION Fixed Income 53,467.59 0.02 53,467.59 1.00 4.13 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 53,467.59 0.02 53,467.59 1.00 11.71 nan
SANTANDER HOLDINGS USA INC Fixed Income 53,467.59 0.02 53,467.59 1.00 6.48 nan
VISA INC Fixed Income 53,467.59 0.02 53,467.59 1.00 11.36 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 53,439.02 0.02 53,439.02 1.00 5.68 nan
ILLINOIS TOOL WORKS INC Fixed Income 53,381.86 0.02 53,381.86 1.00 11.70 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 53,381.86 0.02 53,381.86 1.00 4.31 nan
M&T BANK CORPORATION MTN Fixed Income 53,324.71 0.02 53,324.71 1.00 2.69 nan
GENERAL MOTORS CO Fixed Income 53,296.13 0.02 53,296.13 1.00 8.98 nan
APPLOVIN CORP Fixed Income 53,267.55 0.02 53,267.55 1.00 5.06 nan
CANADIAN NATIONAL RAILWAY COMPANY Fixed Income 53,238.98 0.02 53,238.98 1.00 5.82 nan
SHELL INTERNATIONAL FINANCE BV Fixed Income 53,238.98 0.02 53,238.98 1.00 2.79 nan
BAT CAPITAL CORP Fixed Income 53,153.24 0.02 53,153.24 1.00 5.43 nan
ENTERGY LOUISIANA LLC Fixed Income 53,124.67 0.02 53,124.67 1.00 14.18 nan
COMCAST CORPORATION Fixed Income 53,096.09 0.02 53,096.09 1.00 5.70 nan
INTEL CORPORATION Fixed Income 53,067.51 0.02 53,067.51 1.00 3.78 nan
METLIFE INC Fixed Income 53,038.94 0.02 53,038.94 1.00 12.58 nan
BAT CAPITAL CORP Fixed Income 53,010.36 0.02 53,010.36 1.00 6.08 nan
HUMANA INC Fixed Income 53,010.36 0.02 53,010.36 1.00 13.51 nan
VIATRIS INC Fixed Income 53,010.36 0.02 53,010.36 1.00 10.24 nan
SAN DIEGO GAS & ELECTRIC CO Fixed Income 52,896.05 0.02 52,896.05 1.00 14.05 nan
BANK OF NOVA SCOTIA Fixed Income 52,838.90 0.02 52,838.90 1.00 6.53 nan
EMERSON ELECTRIC CO Fixed Income 52,810.32 0.02 52,810.32 1.00 2.98 nan
KROGER CO Fixed Income 52,781.74 0.02 52,781.74 1.00 14.00 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 52,753.17 0.02 52,753.17 1.00 9.67 nan
STATE STREET BANK AND TRUST COMPAN Fixed Income 52,724.59 0.02 52,724.59 1.00 3.60 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 52,696.01 0.02 52,696.01 1.00 4.52 nan
LYB INTERNATIONAL FINANCE BV Fixed Income 52,696.01 0.02 52,696.01 1.00 10.84 nan
AMERICAN HONDA FINANCE CORPORATION MTN Fixed Income 52,667.44 0.02 52,667.44 1.00 3.07 nan
NISOURCE INC Fixed Income 52,610.28 0.02 52,610.28 1.00 12.82 nan
ABBVIE INC Fixed Income 52,581.70 0.02 52,581.70 1.00 12.22 nan
BARRICK NORTH AMERICA FINANCE LLC Fixed Income 52,495.97 0.02 52,495.97 1.00 10.12 nan
PARAMOUNT GLOBAL Fixed Income 52,467.40 0.02 52,467.40 1.00 10.47 nan
TEXAS INSTRUMENTS INC Fixed Income 52,381.67 0.02 52,381.67 1.00 14.41 nan
FIDELITY NATIONAL INFORMATION SERV Fixed Income 52,353.09 0.02 52,353.09 1.00 5.57 nan
KLA CORP Fixed Income 52,324.51 0.02 52,324.51 1.00 14.87 nan
NORFOLK SOUTHERN CORPORATION Fixed Income 52,324.51 0.02 52,324.51 1.00 14.99 nan
ROGERS COMMUNICATIONS INC Fixed Income 52,324.51 0.02 52,324.51 1.00 11.00 nan
S&P GLOBAL INC Fixed Income 52,324.51 0.02 52,324.51 1.00 15.16 nan
METLIFE INC Fixed Income 52,238.78 0.02 52,238.78 1.00 6.59 nan
PACIFICORP Fixed Income 52,181.63 0.02 52,181.63 1.00 15.45 nan
DIAMONDBACK ENERGY INC Fixed Income 52,124.47 0.02 52,124.47 1.00 14.26 nan
COCA-COLA CO Fixed Income 52,067.32 0.02 52,067.32 1.00 16.34 nan
BROOKFIELD FINANCE INC Fixed Income 52,038.74 0.02 52,038.74 1.00 3.11 nan
KINDER MORGAN INC Fixed Income 52,038.74 0.02 52,038.74 1.00 7.15 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 52,010.16 0.02 52,010.16 1.00 10.00 nan
STATE STREET CORP Fixed Income 52,010.16 0.02 52,010.16 1.00 3.94 nan
MOTOROLA SOLUTIONS INC Fixed Income 51,981.59 0.02 51,981.59 1.00 7.41 nan
AUTOZONE INC Fixed Income 51,953.01 0.02 51,953.01 1.00 5.67 nan
GLOBAL PAYMENTS INC Fixed Income 51,895.86 0.02 51,895.86 1.00 12.99 nan
CROWN CASTLE INC Fixed Income 51,838.70 0.02 51,838.70 1.00 3.16 nan
DOW CHEMICAL CO Fixed Income 51,838.70 0.02 51,838.70 1.00 4.63 nan
KLA CORP Fixed Income 51,838.70 0.02 51,838.70 1.00 3.11 nan
ASTRAZENECA PLC Fixed Income 51,781.55 0.02 51,781.55 1.00 4.51 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 51,781.55 0.02 51,781.55 1.00 15.03 nan
ASTRAZENECA FINANCE LLC Fixed Income 51,724.39 0.02 51,724.39 1.00 6.73 nan
DUKE ENERGY CORP Fixed Income 51,724.39 0.02 51,724.39 1.00 4.22 nan
EOG RESOURCES INC Fixed Income 51,724.39 0.02 51,724.39 1.00 13.56 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 51,695.82 0.02 51,695.82 1.00 4.48 nan
APPLE INC Fixed Income 51,638.66 0.02 51,638.66 1.00 6.26 nan
JOHNSON & JOHNSON Fixed Income 51,610.09 0.02 51,610.09 1.00 3.22 nan
MANULIFE FINANCIAL CORP Fixed Income 51,610.09 0.02 51,610.09 1.00 12.21 nan
DUKE ENERGY PROGRESS LLC Fixed Income 51,581.51 0.02 51,581.51 1.00 14.42 nan
MPLX LP Fixed Income 51,552.93 0.02 51,552.93 1.00 2.99 nan
PPL ELECTRIC UTILITIES CORPORATION Fixed Income 51,495.78 0.02 51,495.78 1.00 14.03 nan
KINDER MORGAN INC Fixed Income 51,438.62 0.02 51,438.62 1.00 13.48 nan
PPL CAPITAL FUNDING INC Fixed Income 51,438.62 0.02 51,438.62 1.00 6.98 nan
ARES STRATEGIC INCOME FUND Fixed Income 51,410.05 0.02 51,410.05 1.00 5.20 nan
GENERAL MOTORS CO Fixed Income 51,410.05 0.02 51,410.05 1.00 12.45 nan
HALLIBURTON COMPANY Fixed Income 51,381.47 0.02 51,381.47 1.00 11.37 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 51,352.89 0.02 51,352.89 1.00 11.29 nan
ABBVIE INC Fixed Income 51,295.74 0.02 51,295.74 1.00 3.90 nan
CATERPILLAR INC Fixed Income 51,267.16 0.02 51,267.16 1.00 15.20 nan
HONEYWELL INTERNATIONAL INC Fixed Income 51,267.16 0.02 51,267.16 1.00 2.94 nan
NORFOLK SOUTHERN CORPORATION Fixed Income 51,238.59 0.02 51,238.59 1.00 14.41 nan
AERCAP IRELAND CAPITAL DAC Fixed Income 51,210.01 0.02 51,210.01 1.00 2.83 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 51,210.01 0.02 51,210.01 1.00 5.79 nan
STANLEY BLACK & DECKER INC Fixed Income 51,210.01 0.02 51,210.01 1.00 15.14 nan
OWENS CORNING Fixed Income 51,152.85 0.02 51,152.85 1.00 6.68 nan
HARTFORD INSURANCE GROUP INC Fixed Income 51,124.28 0.02 51,124.28 1.00 14.40 nan
DOW CHEMICAL CO Fixed Income 51,067.12 0.02 51,067.12 1.00 10.21 nan
RELX CAPITAL INC Fixed Income 51,067.12 0.02 51,067.12 1.00 4.14 nan
STARBUCKS CORPORATION Fixed Income 51,067.12 0.02 51,067.12 1.00 5.59 nan
EQT CORP Fixed Income 51,038.55 0.02 51,038.55 1.00 4.53 nan
CIGNA GROUP Fixed Income 50,952.81 0.02 50,952.81 1.00 3.16 nan
CROWN CASTLE INC Fixed Income 50,924.24 0.02 50,924.24 1.00 11.60 nan
CITIGROUP INC Fixed Income 50,895.66 0.02 50,895.66 1.00 11.33 nan
ENBRIDGE INC Fixed Income 50,895.66 0.02 50,895.66 1.00 6.82 nan
CARRIER GLOBAL CORP Fixed Income 50,867.08 0.02 50,867.08 1.00 4.82 nan
AMGEN INC Fixed Income 50,838.51 0.02 50,838.51 1.00 16.35 nan
NOMURA HOLDINGS INC Fixed Income 50,838.51 0.02 50,838.51 1.00 4.31 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 50,838.51 0.02 50,838.51 1.00 4.34 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 50,838.51 0.02 50,838.51 1.00 12.07 nan
TEXAS INSTRUMENTS INC Fixed Income 50,809.93 0.02 50,809.93 1.00 10.06 nan
DELL INTERNATIONAL LLC Fixed Income 50,752.78 0.02 50,752.78 1.00 7.28 nan
MCDONALDS CORPORATION MTN Fixed Income 50,695.62 0.02 50,695.62 1.00 14.08 nan
BOSTON PROPERTIES LP Fixed Income 50,667.04 0.02 50,667.04 1.00 2.80 nan
WELLTOWER OP LLC Fixed Income 50,667.04 0.02 50,667.04 1.00 4.12 nan
GLOBAL PAYMENTS INC Fixed Income 50,638.47 0.02 50,638.47 1.00 5.58 nan
OCCIDENTAL PETROLEUM CORPORATION Fixed Income 50,552.74 0.02 50,552.74 1.00 4.41 nan
MARTIN MARIETTA MATERIALS INC Fixed Income 50,495.58 0.02 50,495.58 1.00 14.14 nan
ARTHUR J GALLAGHER & CO Fixed Income 50,467.01 0.02 50,467.01 1.00 14.63 nan
ANALOG DEVICES INC Fixed Income 50,438.43 0.02 50,438.43 1.00 12.02 nan
EQUINOR ASA Fixed Income 50,409.85 0.02 50,409.85 1.00 7.41 nan
COMCAST CORPORATION Fixed Income 50,381.27 0.02 50,381.27 1.00 14.24 nan
EBAY INC Fixed Income 50,352.70 0.02 50,352.70 1.00 14.60 nan
OMNICOM GROUP INC Fixed Income 50,352.70 0.02 50,352.70 1.00 5.20 nan
AUTOMATIC DATA PROCESSING INC Fixed Income 50,324.12 0.02 50,324.12 1.00 4.59 nan
BAT CAPITAL CORP Fixed Income 50,324.12 0.02 50,324.12 1.00 4.51 nan
HSBC HOLDINGS PLC Fixed Income 50,324.12 0.02 50,324.12 1.00 10.35 nan
STANLEY BLACK & DECKER INC Fixed Income 50,266.97 0.02 50,266.97 1.00 4.07 nan
CF INDUSTRIES INC Fixed Income 50,209.81 0.02 50,209.81 1.00 11.39 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 50,181.24 0.02 50,181.24 1.00 9.73 nan
HUMANA INC Fixed Income 50,181.24 0.02 50,181.24 1.00 11.71 nan
WILLIAMS COMPANIES INC Fixed Income 50,124.08 0.02 50,124.08 1.00 12.87 nan
FLORIDA POWER & LIGHT CO Fixed Income 50,066.93 0.02 50,066.93 1.00 13.71 nan
TARGA RESOURCES CORP Fixed Income 50,038.35 0.02 50,038.35 1.00 2.98 nan
WILLIAMS COMPANIES INC Fixed Income 50,009.77 0.02 50,009.77 1.00 3.07 nan
ELEVANCE HEALTH INC Fixed Income 49,981.20 0.02 49,981.20 1.00 14.74 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 49,981.20 0.02 49,981.20 1.00 6.71 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 49,952.62 0.02 49,952.62 1.00 2.99 nan
SEMPRA Fixed Income 49,952.62 0.02 49,952.62 1.00 9.47 nan
AMGEN INC Fixed Income 49,895.47 0.02 49,895.47 1.00 14.43 nan
DELL INTERNATIONAL LLC Fixed Income 49,895.47 0.02 49,895.47 1.00 3.92 nan
EXELON CORPORATION Fixed Income 49,895.47 0.02 49,895.47 1.00 13.66 nan
ADOBE INC Fixed Income 49,866.89 0.02 49,866.89 1.00 6.85 nan
ANALOG DEVICES INC Fixed Income 49,866.89 0.02 49,866.89 1.00 15.83 nan
PUBLIC SERVICE COMPANY OF COLORADO Fixed Income 49,866.89 0.02 49,866.89 1.00 13.80 nan
CVS HEALTH CORP Fixed Income 49,838.31 0.02 49,838.31 1.00 11.10 nan
NISOURCE INC Fixed Income 49,809.73 0.02 49,809.73 1.00 7.40 nan
UNION PACIFIC CORPORATION Fixed Income 49,809.73 0.02 49,809.73 1.00 14.89 nan
AMERICAN TOWER CORPORATION Fixed Income 49,781.16 0.02 49,781.16 1.00 15.34 nan
GENERAL DYNAMICS CORPORATION Fixed Income 49,781.16 0.02 49,781.16 1.00 14.28 nan
LOCKHEED MARTIN CORPORATION Fixed Income 49,752.58 0.02 49,752.58 1.00 15.42 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 49,752.58 0.02 49,752.58 1.00 10.87 nan
PEPSICO INC Fixed Income 49,724.00 0.02 49,724.00 1.00 16.24 nan
ENBRIDGE INC Fixed Income 49,695.43 0.02 49,695.43 1.00 12.10 nan
EXXON MOBIL CORP Fixed Income 49,638.27 0.02 49,638.27 1.00 10.72 nan
REGIONS FINANCIAL CORP Fixed Income 49,581.12 0.02 49,581.12 1.00 3.17 nan
EVEREST REINSURANCE HOLDINGS INC Fixed Income 49,523.96 0.02 49,523.96 1.00 14.68 nan
RIO TINTO FINANCE (USA) LTD Fixed Income 49,495.39 0.02 49,495.39 1.00 15.80 nan
BERKSHIRE HATHAWAY ENERGY CO Fixed Income 49,381.08 0.02 49,381.08 1.00 13.72 nan
CHENIERE CORPUS CHRISTI HOLDINGS L Fixed Income 49,323.93 0.02 49,323.93 1.00 3.64 nan
DUKE ENERGY CORP Fixed Income 49,323.93 0.02 49,323.93 1.00 6.74 nan
MIDAMERICAN ENERGY COMPANY Fixed Income 49,266.77 0.02 49,266.77 1.00 13.74 nan
LLOYDS BANKING GROUP PLC Fixed Income 49,238.19 0.02 49,238.19 1.00 6.95 nan
DOLLAR GENERAL CORP Fixed Income 49,209.62 0.02 49,209.62 1.00 6.15 nan
GENERAL DYNAMICS CORPORATION Fixed Income 49,209.62 0.02 49,209.62 1.00 10.46 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 49,181.04 0.02 49,181.04 1.00 7.74 nan
TRUIST FINANCIAL CORP MTN Fixed Income 49,152.46 0.02 49,152.46 1.00 5.70 nan
EATON CORPORATION Fixed Income 49,095.31 0.02 49,095.31 1.00 11.47 nan
CVS HEALTH CORP Fixed Income 49,066.73 0.02 49,066.73 1.00 2.94 nan
T-MOBILE USA INC Fixed Income 49,009.58 0.02 49,009.58 1.00 2.91 nan
VERIZON COMMUNICATIONS INC Fixed Income 49,009.58 0.02 49,009.58 1.00 11.83 nan
ARCH CAPITAL GROUP LTD Fixed Income 48,981.00 0.02 48,981.00 1.00 14.50 nan
DUPONT DE NEMOURS INC 144A Fixed Income 48,981.00 0.02 48,981.00 1.00 2.75 nan
LPL HOLDINGS INC Fixed Income 48,923.85 0.02 48,923.85 1.00 3.86 nan
CONSOLIDATED EDISON COMPANY OF NEW Fixed Income 48,895.27 0.02 48,895.27 1.00 16.61 nan
FEDEX CORP Fixed Income 48,895.27 0.02 48,895.27 1.00 11.95 nan
3M CO Fixed Income 48,866.69 0.02 48,866.69 1.00 14.70 nan
LEIDOS INC Fixed Income 48,809.54 0.02 48,809.54 1.00 4.86 nan
PRUDENTIAL FINANCIAL INC Fixed Income 48,809.54 0.02 48,809.54 1.00 14.01 nan
ALTRIA GROUP INC Fixed Income 48,723.81 0.02 48,723.81 1.00 15.98 nan
KEURIG DR PEPPER INC Fixed Income 48,723.81 0.02 48,723.81 1.00 3.06 nan
UNILEVER CAPITAL CORP Fixed Income 48,695.23 0.02 48,695.23 1.00 3.63 nan
DUKE ENERGY CORP Fixed Income 48,638.08 0.02 48,638.08 1.00 11.31 nan
COCA-COLA CO Fixed Income 48,609.50 0.02 48,609.50 1.00 17.92 nan
INTEL CORPORATION Fixed Income 48,609.50 0.02 48,609.50 1.00 16.56 nan
COTERRA ENERGY INC Fixed Income 48,580.92 0.02 48,580.92 1.00 13.44 nan
TOTALENERGIES CAPITAL SA Fixed Income 48,580.92 0.02 48,580.92 1.00 6.80 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 48,552.35 0.02 48,552.35 1.00 15.35 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 48,552.35 0.02 48,552.35 1.00 4.48 nan
PAYPAL HOLDINGS INC Fixed Income 48,523.77 0.02 48,523.77 1.00 4.24 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 48,495.19 0.02 48,495.19 1.00 11.72 nan
AMERICAN TOWER CORPORATION Fixed Income 48,466.61 0.02 48,466.61 1.00 5.99 nan
EVEREST REINSURANCE HOLDINGS INC Fixed Income 48,466.61 0.02 48,466.61 1.00 15.58 nan
INTERNATIONAL BUSINESS MACHINES CO Fixed Income 48,409.46 0.02 48,409.46 1.00 5.72 nan
UNITED PARCEL SERVICE INC Fixed Income 48,352.31 0.02 48,352.31 1.00 13.76 nan
ELEVANCE HEALTH INC Fixed Income 48,323.73 0.02 48,323.73 1.00 14.20 nan
CAPITAL ONE FINANCIAL CORPORATION Fixed Income 48,323.73 0.02 48,323.73 1.00 5.55 nan
BOSTON PROPERTIES LP Fixed Income 48,266.58 0.02 48,266.58 1.00 3.33 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 48,238.00 0.02 48,238.00 1.00 5.98 nan
PHILIP MORRIS INTERNATIONAL INC Fixed Income 48,209.42 0.02 48,209.42 1.00 7.90 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 48,152.27 0.02 48,152.27 1.00 12.09 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 48,037.96 0.02 48,037.96 1.00 3.67 nan
ALEXANDRIA REAL ESTATE EQUITIES IN Fixed Income 48,009.38 0.02 48,009.38 1.00 14.89 nan
EASTERN ENERGY GAS HOLDINGS LLC Fixed Income 48,009.38 0.02 48,009.38 1.00 14.08 nan
EVERSOURCE ENERGY Fixed Income 48,009.38 0.02 48,009.38 1.00 2.91 nan
LYB INTERNATIONAL FINANCE III LLC Fixed Income 48,009.38 0.02 48,009.38 1.00 13.17 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 48,009.38 0.02 48,009.38 1.00 2.85 nan
NORTHROP GRUMMAN CORP Fixed Income 47,923.65 0.02 47,923.65 1.00 3.97 nan
CVS HEALTH CORP Fixed Income 47,895.07 0.02 47,895.07 1.00 4.50 nan
FLORIDA POWER & LIGHT CO Fixed Income 47,895.07 0.02 47,895.07 1.00 14.99 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 47,895.07 0.02 47,895.07 1.00 3.88 nan
TRANSCANADA PIPELINES LTD Fixed Income 47,895.07 0.02 47,895.07 1.00 13.16 nan
CF INDUSTRIES INC Fixed Income 47,866.50 0.02 47,866.50 1.00 11.13 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 47,837.92 0.02 47,837.92 1.00 3.66 nan
DUKE ENERGY CAROLINAS LLC Fixed Income 47,780.77 0.02 47,780.77 1.00 14.74 nan
INTEL CORPORATION Fixed Income 47,752.19 0.02 47,752.19 1.00 11.91 nan
BANK OF AMERICA CORP Fixed Income 47,723.61 0.02 47,723.61 1.00 15.06 nan
AMERICAN TOWER CORPORATION Fixed Income 47,695.04 0.02 47,695.04 1.00 14.93 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 47,695.04 0.02 47,695.04 1.00 14.55 nan
S&P GLOBAL INC Fixed Income 47,695.04 0.02 47,695.04 1.00 3.13 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 47,552.15 0.02 47,552.15 1.00 11.07 nan
MCDONALDS CORPORATION MTN Fixed Income 47,552.15 0.02 47,552.15 1.00 7.82 nan
JBS USA LUX SA Fixed Income 47,523.57 0.02 47,523.57 1.00 5.72 nan
JOHNSON & JOHNSON Fixed Income 47,523.57 0.02 47,523.57 1.00 18.94 nan
MCDONALDS CORPORATION MTN Fixed Income 47,523.57 0.02 47,523.57 1.00 14.03 nan
AIR PRODUCTS AND CHEMICALS INC Fixed Income 47,495.00 0.02 47,495.00 1.00 11.19 nan
VIRGINIA ELECTRIC AND POWER COMPAN Fixed Income 47,466.42 0.02 47,466.42 1.00 13.97 nan
TYSON FOODS INC Fixed Income 47,380.69 0.02 47,380.69 1.00 12.69 nan
COMCAST CORPORATION Fixed Income 47,323.53 0.02 47,323.53 1.00 17.54 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 47,323.53 0.02 47,323.53 1.00 14.04 nan
JOHNSON & JOHNSON Fixed Income 47,294.96 0.02 47,294.96 1.00 16.67 nan
DIGITAL REALTY TRUST LP Fixed Income 47,266.38 0.02 47,266.38 1.00 3.35 nan
TWDC ENTERPRISES 18 CORP MTN Fixed Income 47,237.80 0.02 47,237.80 1.00 12.11 nan
EQUIFAX INC Fixed Income 47,237.80 0.02 47,237.80 1.00 5.35 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 47,209.23 0.02 47,209.23 1.00 4.19 nan
DH EUROPE FINANCE II SARL Fixed Income 47,152.07 0.02 47,152.07 1.00 14.54 nan
EQUINIX EUROPE 2 FINANCING CORPORA Fixed Income 47,152.07 0.02 47,152.07 1.00 6.72 nan
THERMO FISHER SCIENTIFIC INC Fixed Income 47,037.76 0.02 47,037.76 1.00 5.89 nan
AIR PRODUCTS AND CHEMICALS INC Fixed Income 47,009.19 0.02 47,009.19 1.00 2.99 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 47,009.19 0.02 47,009.19 1.00 15.15 nan
TOYOTA MOTOR CREDIT CORP MTN Fixed Income 47,009.19 0.02 47,009.19 1.00 2.90 nan
ONEOK INC Fixed Income 46,980.61 0.02 46,980.61 1.00 13.75 nan
DUKE ENERGY CORP Fixed Income 46,952.03 0.02 46,952.03 1.00 14.68 nan
ABBVIE INC Fixed Income 46,923.46 0.02 46,923.46 1.00 3.08 nan
NATIONAL GRID PLC Fixed Income 46,923.46 0.02 46,923.46 1.00 6.04 nan
NEXTERA ENERGY CAPITAL HOLDINGS IN Fixed Income 46,923.46 0.02 46,923.46 1.00 3.07 nan
VERIZON COMMUNICATIONS INC Fixed Income 46,923.46 0.02 46,923.46 1.00 14.69 nan
VENTAS REALTY LP Fixed Income 46,751.99 0.02 46,751.99 1.00 2.93 nan
KEYCORP MTN Fixed Income 46,723.42 0.02 46,723.42 1.00 3.66 nan
METLIFE INC Fixed Income 46,694.84 0.02 46,694.84 1.00 11.46 nan
TOTALENERGIES CAPITAL INTERNATIONA Fixed Income 46,637.69 0.02 46,637.69 1.00 14.21 nan
TRAVELERS COMPANIES INC Fixed Income 46,580.53 0.02 46,580.53 1.00 15.39 nan
PUBLIC SERVICE ENTERPRISE GROUP IN Fixed Income 46,551.95 0.02 46,551.95 1.00 3.10 nan
BAXTER INTERNATIONAL INC Fixed Income 46,523.38 0.02 46,523.38 1.00 15.06 nan
DANAHER CORPORATION Fixed Income 46,466.22 0.02 46,466.22 1.00 16.03 nan
DUPONT DE NEMOURS INC Fixed Income 46,466.22 0.02 46,466.22 1.00 9.21 nan
GEORGIA POWER COMPANY Fixed Income 46,409.07 0.02 46,409.07 1.00 4.68 nan
ICON INVESTMENTS SIX DAC Fixed Income 46,380.49 0.02 46,380.49 1.00 3.09 nan
TARGET CORPORATION Fixed Income 46,351.92 0.02 46,351.92 1.00 15.73 nan
LPL HOLDINGS INC Fixed Income 46,323.34 0.02 46,323.34 1.00 2.68 nan
VIRGINIA ELECTRIC AND POWER COMPAN Fixed Income 46,266.18 0.02 46,266.18 1.00 15.94 nan
NUTRIEN LTD Fixed Income 46,209.03 0.02 46,209.03 1.00 13.22 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 46,180.45 0.02 46,180.45 1.00 15.77 nan
DH EUROPE FINANCE II SARL Fixed Income 46,151.88 0.02 46,151.88 1.00 3.73 nan
VERISK ANALYTICS INC Fixed Income 46,008.99 0.02 46,008.99 1.00 7.86 nan
STRYKER CORPORATION Fixed Income 45,980.41 0.02 45,980.41 1.00 12.63 nan
CROWN CASTLE INC Fixed Income 45,951.84 0.02 45,951.84 1.00 14.84 nan
INTEL CORPORATION Fixed Income 45,923.26 0.02 45,923.26 1.00 11.75 nan
MITSUBISHI UFJ FINANCIAL GROUP INC Fixed Income 45,923.26 0.02 45,923.26 1.00 5.68 nan
STARBUCKS CORPORATION Fixed Income 45,866.11 0.02 45,866.11 1.00 2.79 nan
BANK OF MONTREAL MTN Fixed Income 45,551.76 0.02 45,551.76 1.00 3.48 nan
GILEAD SCIENCES INC Fixed Income 45,551.76 0.02 45,551.76 1.00 3.58 nan
SEMPRA Fixed Income 45,466.03 0.02 45,466.03 1.00 13.29 nan
FAIRFAX FINANCIAL HOLDINGS LTD Fixed Income 45,380.30 0.02 45,380.30 1.00 13.44 nan
ROYALTY PHARMA PLC Fixed Income 45,380.30 0.02 45,380.30 1.00 10.99 nan
MASTERCARD INC Fixed Income 45,351.72 0.02 45,351.72 1.00 3.32 nan
DEERE & CO Fixed Income 45,323.14 0.02 45,323.14 1.00 14.74 nan
UNITEDHEALTH GROUP INC Fixed Income 45,294.57 0.02 45,294.57 1.00 2.94 nan
AON CORP Fixed Income 45,265.99 0.02 45,265.99 1.00 14.65 nan
ALEXANDRIA REAL ESTATE EQUITIES IN Fixed Income 45,237.41 0.02 45,237.41 1.00 14.74 nan
CME GROUP INC Fixed Income 45,208.84 0.02 45,208.84 1.00 3.93 nan
TARGA RESOURCES CORP Fixed Income 45,208.84 0.02 45,208.84 1.00 13.67 nan
APPLE INC Fixed Income 45,151.68 0.02 45,151.68 1.00 13.67 nan
PHILLIPS 66 Fixed Income 45,151.68 0.02 45,151.68 1.00 15.13 nan
PROGRESSIVE CORPORATION (THE) Fixed Income 45,151.68 0.02 45,151.68 1.00 13.40 nan
NXP BV / NXP FUNDING LLC / NXP USA Fixed Income 45,065.95 0.02 45,065.95 1.00 11.21 nan
AMERICAN TOWER CORPORATION Fixed Income 44,894.49 0.02 44,894.49 1.00 2.71 nan
FORD MOTOR CREDIT COMPANY LLC Fixed Income 44,894.49 0.02 44,894.49 1.00 2.63 nan
ASTRAZENECA PLC Fixed Income 44,865.91 0.02 44,865.91 1.00 15.61 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 44,865.91 0.02 44,865.91 1.00 6.01 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 44,837.33 0.02 44,837.33 1.00 16.08 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 44,837.33 0.02 44,837.33 1.00 13.17 nan
PROCTER & GAMBLE CO Fixed Income 44,808.76 0.02 44,808.76 1.00 6.76 nan
ASTRAZENECA PLC Fixed Income 44,751.60 0.02 44,751.60 1.00 13.63 nan
BANK OF NEW YORK MELLON CORP/THE MTN Fixed Income 44,637.29 0.02 44,637.29 1.00 3.52 nan
COCA-COLA CO Fixed Income 44,580.14 0.02 44,580.14 1.00 11.64 nan
EXELON GENERATION CO LLC Fixed Income 44,380.10 0.02 44,380.10 1.00 10.57 nan
ATMOS ENERGY CORPORATION Fixed Income 44,294.37 0.02 44,294.37 1.00 12.47 nan
TOTALENERGIES CAPITAL INTERNATIONA Fixed Income 44,237.22 0.02 44,237.22 1.00 16.72 nan
UNION PACIFIC CORPORATION Fixed Income 44,151.49 0.02 44,151.49 1.00 11.38 nan
UNITEDHEALTH GROUP INC Fixed Income 44,151.49 0.02 44,151.49 1.00 2.88 nan
KEYBANK NATIONAL ASSOCIATION Fixed Income 44,094.33 0.02 44,094.33 1.00 5.63 nan
KEYBANK NATIONAL ASSOCIATION Fixed Income 44,065.75 0.02 44,065.75 1.00 5.94 nan
PFIZER INC Fixed Income 43,951.45 0.02 43,951.45 1.00 11.65 nan
CISCO SYSTEMS INC Fixed Income 43,922.87 0.02 43,922.87 1.00 3.03 nan
ASTRAZENECA PLC Fixed Income 43,865.72 0.02 43,865.72 1.00 12.55 nan
WESTPAC BANKING CORP Fixed Income 43,865.72 0.02 43,865.72 1.00 11.62 nan
FISERV INC Fixed Income 43,837.14 0.02 43,837.14 1.00 4.61 nan
MASSACHUSETTS INSTITUTE OF TECHNOL Fixed Income 43,779.98 0.02 43,779.98 1.00 17.95 nan
AMPHENOL CORPORATION Fixed Income 43,694.25 0.02 43,694.25 1.00 7.24 nan
FIDELITY NATIONAL INFORMATION SERV Fixed Income 43,608.52 0.02 43,608.52 1.00 11.37 nan
HOME DEPOT INC Fixed Income 43,608.52 0.02 43,608.52 1.00 2.85 nan
BANCO SANTANDER SA Fixed Income 43,494.21 0.02 43,494.21 1.00 7.77 nan
BANCO SANTANDER SA (FXD) Fixed Income 43,465.64 0.02 43,465.64 1.00 4.44 nan
BROOKFIELD FINANCE INC Fixed Income 43,465.64 0.02 43,465.64 1.00 14.81 nan
UNION PACIFIC CORPORATION Fixed Income 43,465.64 0.02 43,465.64 1.00 17.50 nan
DOLLAR GENERAL CORP Fixed Income 43,408.48 0.02 43,408.48 1.00 4.03 nan
QUALCOMM INCORPORATED Fixed Income 43,408.48 0.02 43,408.48 1.00 14.82 nan
WORKDAY INC Fixed Income 43,379.91 0.02 43,379.91 1.00 3.17 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 43,322.75 0.02 43,322.75 1.00 5.64 nan
ASTRAZENECA PLC Fixed Income 43,294.18 0.02 43,294.18 1.00 2.96 nan
HOME DEPOT INC Fixed Income 43,294.18 0.02 43,294.18 1.00 4.84 nan
AIR PRODUCTS AND CHEMICALS INC Fixed Income 43,208.44 0.02 43,208.44 1.00 15.39 nan
DOW CHEMICAL CO Fixed Income 43,151.29 0.02 43,151.29 1.00 4.53 nan
WELLS FARGO & COMPANY MTN Fixed Income 43,065.56 0.01 43,065.56 1.00 2.97 nan
KEURIG DR PEPPER INC Fixed Income 42,979.83 0.01 42,979.83 1.00 13.89 nan
AIR LEASE CORPORATION Fixed Income 42,951.25 0.01 42,951.25 1.00 4.55 nan
BECTON DICKINSON AND COMPANY Fixed Income 42,922.67 0.01 42,922.67 1.00 4.15 nan
UNITEDHEALTH GROUP INC Fixed Income 42,636.90 0.01 42,636.90 1.00 12.96 nan
SIXTH STREET LENDING PARTNERS Fixed Income 42,522.60 0.01 42,522.60 1.00 2.98 nan
T-MOBILE USA INC Fixed Income 42,522.60 0.01 42,522.60 1.00 3.09 nan
UTAH ACQUISITION SUB INC Fixed Income 42,494.02 0.01 42,494.02 1.00 11.37 nan
GLOBAL PAYMENTS INC Fixed Income 42,465.44 0.01 42,465.44 1.00 13.44 nan
BANCO SANTANDER SA Fixed Income 42,408.29 0.01 42,408.29 1.00 3.36 nan
KINDER MORGAN INC Fixed Income 42,408.29 0.01 42,408.29 1.00 2.95 nan
MARRIOTT INTERNATIONAL INC Fixed Income 42,408.29 0.01 42,408.29 1.00 4.06 nan
NATIONAL BANK OF CANADA MTN Fixed Income 42,208.25 0.01 42,208.25 1.00 3.58 nan
PACIFIC GAS AND ELECTRIC COMPANY Fixed Income 42,122.52 0.01 42,122.52 1.00 4.94 nan
T-MOBILE USA INC Fixed Income 42,122.52 0.01 42,122.52 1.00 15.18 nan
PARAMOUNT GLOBAL Fixed Income 42,036.79 0.01 42,036.79 1.00 11.06 nan
BURLINGTON NORTHERN SANTA FE LLC Fixed Income 41,893.90 0.01 41,893.90 1.00 13.22 nan
FIRSTENERGY CORPORATION Fixed Income 41,865.32 0.01 41,865.32 1.00 14.57 nan
MONDELEZ INTERNATIONAL INC Fixed Income 41,636.71 0.01 41,636.71 1.00 15.71 nan
LOCKHEED MARTIN CORPORATION Fixed Income 41,522.40 0.01 41,522.40 1.00 14.82 nan
SOUTHERN CALIFORNIA EDISON COMPANY Fixed Income 41,493.82 0.01 41,493.82 1.00 15.08 nan
INTERCONTINENTAL EXCHANGE INC Fixed Income 41,465.25 0.01 41,465.25 1.00 11.55 nan
VALERO ENERGY CORPORATION Fixed Income 41,436.67 0.01 41,436.67 1.00 14.41 nan
CENOVUS ENERGY INC Fixed Income 41,408.09 0.01 41,408.09 1.00 14.49 nan
ROGERS COMMUNICATIONS INC Fixed Income 41,408.09 0.01 41,408.09 1.00 11.52 nan
ELI LILLY AND COMPANY Fixed Income 41,379.52 0.01 41,379.52 1.00 18.70 nan
DUKE ENERGY CORP Fixed Income 41,350.94 0.01 41,350.94 1.00 13.63 nan
EMERSON ELECTRIC CO Fixed Income 41,293.78 0.01 41,293.78 1.00 16.00 nan
APOLLO DEBT SOLUTIONS BDC Fixed Income 41,008.01 0.01 41,008.01 1.00 3.05 nan
PACIFIC GAS AND ELECTRIC CO Fixed Income 40,579.36 0.01 40,579.36 1.00 13.04 nan
AT&T INC Fixed Income 40,265.01 0.01 40,265.01 1.00 15.03 nan
COMCAST CORPORATION Fixed Income 40,179.28 0.01 40,179.28 1.00 8.67 nan
HOME DEPOT INC Fixed Income 40,007.82 0.01 40,007.82 1.00 16.35 nan
LEIDOS INC Fixed Income 39,979.24 0.01 39,979.24 1.00 4.00 nan
MARTIN MARIETTA MATERIALS INC Fixed Income 39,807.78 0.01 39,807.78 1.00 15.28 nan
HUMANA INC Fixed Income 39,750.63 0.01 39,750.63 1.00 3.14 nan
ONEOK INC Fixed Income 39,522.01 0.01 39,522.01 1.00 2.68 nan
BRISTOL-MYERS SQUIBB CO Fixed Income 39,407.70 0.01 39,407.70 1.00 16.50 nan
CHUBB INA HOLDINGS LLC Fixed Income 39,321.97 0.01 39,321.97 1.00 17.55 nan
AMERICAN EXPRESS COMPANY Fixed Income 39,264.82 0.01 39,264.82 1.00 3.18 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 39,264.82 0.01 39,264.82 1.00 15.51 nan
SUNCOR ENERGY INC Fixed Income 39,179.09 0.01 39,179.09 1.00 13.02 nan
CONSOLIDATED EDISON COMPANY OF NEW Fixed Income 38,979.05 0.01 38,979.05 1.00 14.59 nan
SIMON PROPERTY GROUP LP Fixed Income 38,921.89 0.01 38,921.89 1.00 14.33 nan
AIR LEASE CORPORATION MTN Fixed Income 38,864.74 0.01 38,864.74 1.00 5.51 nan
MIZUHO FINANCIAL GROUP INC Fixed Income 38,864.74 0.01 38,864.74 1.00 6.66 nan
APPLIED MATERIALS INC Fixed Income 38,836.16 0.01 38,836.16 1.00 15.54 nan
PEPSICO INC Fixed Income 38,664.70 0.01 38,664.70 1.00 12.25 nan
JOHN DEERE CAPITAL CORP MTN Fixed Income 38,578.97 0.01 38,578.97 1.00 2.93 nan
CANADIAN NATURAL RESOURCES LTD MTN Fixed Income 38,436.08 0.01 38,436.08 1.00 12.32 nan
MERCK & CO INC Fixed Income 38,407.51 0.01 38,407.51 1.00 2.95 nan
UNION PACIFIC CORPORATION Fixed Income 38,407.51 0.01 38,407.51 1.00 17.20 nan
TARGA RESOURCES PARTNERS LP Fixed Income 38,350.35 0.01 38,350.35 1.00 3.79 nan
BAXTER INTERNATIONAL INC Fixed Income 38,321.78 0.01 38,321.78 1.00 2.92 nan
GILEAD SCIENCES INC Fixed Income 38,036.00 0.01 38,036.00 1.00 11.64 nan
CHARTER COMMUNICATIONS OPERATING L Fixed Income 37,721.66 0.01 37,721.66 1.00 3.02 nan
SAN DIEGO GAS & ELECTRIC CO Fixed Income 37,664.50 0.01 37,664.50 1.00 15.62 nan
SYNCHRONY FINANCIAL Fixed Income 37,664.50 0.01 37,664.50 1.00 5.38 nan
VIRGINIA ELECTRIC AND POWER COMPAN Fixed Income 37,550.20 0.01 37,550.20 1.00 15.48 nan
DELL INTERNATIONAL LLC Fixed Income 37,493.04 0.01 37,493.04 1.00 11.47 nan
CONSTELLATION BRANDS INC Fixed Income 37,435.89 0.01 37,435.89 1.00 6.08 nan
FAIRFAX FINANCIAL HOLDINGS LTD Fixed Income 37,407.31 0.01 37,407.31 1.00 6.29 nan
GILEAD SCIENCES INC Fixed Income 37,378.73 0.01 37,378.73 1.00 4.63 nan
BERKSHIRE HATHAWAY FINANCE CORP Fixed Income 37,350.16 0.01 37,350.16 1.00 16.16 nan
INTEL CORPORATION Fixed Income 37,350.16 0.01 37,350.16 1.00 16.60 nan
BP CAPITAL MARKETS PLC Fixed Income 37,321.58 0.01 37,321.58 1.00 2.83 nan
SUNCOR ENERGY INC Fixed Income 37,207.27 0.01 37,207.27 1.00 14.34 nan
TAKEDA PHARMACEUTICAL CO LTD Fixed Income 37,150.12 0.01 37,150.12 1.00 2.77 nan
CHEVRON CORP Fixed Income 37,007.23 0.01 37,007.23 1.00 15.07 nan
ALEXANDRIA REAL ESTATE EQUITIES IN Fixed Income 36,892.92 0.01 36,892.92 1.00 7.18 nan
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Fixed Income 36,807.19 0.01 36,807.19 1.00 2.90 nan
CHEVRON USA INC Fixed Income 36,721.46 0.01 36,721.46 1.00 16.29 nan
FEDEX CORP Fixed Income 36,578.58 0.01 36,578.58 1.00 12.43 nan
PROCTER & GAMBLE CO Fixed Income 36,207.08 0.01 36,207.08 1.00 6.03 nan
UNION PACIFIC CORPORATION Fixed Income 36,207.08 0.01 36,207.08 1.00 15.86 nan
COOPERATIEVE RABOBANK UA (NEW YORK MTN Fixed Income 36,178.50 0.01 36,178.50 1.00 3.60 nan
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Fixed Income 36,149.92 0.01 36,149.92 1.00 4.07 nan
CITIZENS FINANCIAL GROUP INC Fixed Income 36,064.19 0.01 36,064.19 1.00 6.54 nan
PIONEER NATURAL RESOURCES COMPANY Fixed Income 35,921.31 0.01 35,921.31 1.00 4.80 nan
CONNECTICUT LIGHT AND POWER COMPAN Fixed Income 35,892.73 0.01 35,892.73 1.00 13.69 nan
PARAMOUNT GLOBAL Fixed Income 35,807.00 0.01 35,807.00 1.00 5.49 nan
ALTRIA GROUP INC Fixed Income 35,721.27 0.01 35,721.27 1.00 2.99 nan
TORONTO-DOMINION BANK/THE MTN Fixed Income 35,492.65 0.01 35,492.65 1.00 3.12 nan
ECOLAB INC Fixed Income 35,235.46 0.01 35,235.46 1.00 16.09 nan
PARKER HANNIFIN CORPORATION Fixed Income 35,235.46 0.01 35,235.46 1.00 13.96 nan
TAKEDA PHARMACEUTICAL CO LTD Fixed Income 35,149.73 0.01 35,149.73 1.00 16.61 nan
SYSCO CORPORATION Fixed Income 35,064.00 0.01 35,064.00 1.00 15.29 nan
LAM RESEARCH CORPORATION Fixed Income 34,835.38 0.01 34,835.38 1.00 15.38 nan
NORFOLK SOUTHERN CORPORATION Fixed Income 34,749.65 0.01 34,749.65 1.00 16.07 nan
SUMITOMO MITSUI FINANCIAL GROUP IN Fixed Income 34,663.92 0.01 34,663.92 1.00 11.83 nan
NATIONAL BANK OF CANADA MTN Fixed Income 34,292.42 0.01 34,292.42 1.00 2.81 nan
AES CORPORATION (THE) Fixed Income 33,920.91 0.01 33,920.91 1.00 4.76 nan
ALLSTATE CORPORATION (THE) Fixed Income 33,663.72 0.01 33,663.72 1.00 6.10 nan
HONEYWELL INTERNATIONAL INC Fixed Income 33,549.41 0.01 33,549.41 1.00 15.43 nan
FEDEX CORP Fixed Income 33,406.53 0.01 33,406.53 1.00 12.91 nan
AUSTRALIA AND NEW ZEALAND BANKING MTN Fixed Income 33,235.07 0.01 33,235.07 1.00 3.67 nan
WASTE CONNECTIONS INC Fixed Income 32,292.03 0.01 32,292.03 1.00 15.75 nan
WESTPAC BANKING CORP Fixed Income 32,292.03 0.01 32,292.03 1.00 2.89 nan
FIFTH THIRD BANCORP Fixed Income 32,063.41 0.01 32,063.41 1.00 8.12 nan
Kaiser Permanente Fixed Income 32,034.83 0.01 32,034.83 1.00 11.69 nan
GLP CAPITAL LP Fixed Income 31,777.64 0.01 31,777.64 1.00 2.88 nan
BANK OF MONTREAL MTN Fixed Income 31,120.37 0.01 31,120.37 1.00 4.71 nan
EQUINOR ASA Fixed Income 30,977.48 0.01 30,977.48 1.00 4.07 nan
APPLOVIN CORP Fixed Income 30,920.33 0.01 30,920.33 1.00 6.97 nan
TOTALENERGIES CAPITAL SA Fixed Income 30,720.29 0.01 30,720.29 1.00 2.75 nan
EXTRA SPACE STORAGE LP Fixed Income 29,548.63 0.01 29,548.63 1.00 5.94 nan
WESTPAC BANKING CORP Fixed Income 29,520.05 0.01 29,520.05 1.00 2.73 nan
GENERAL MOTORS CO Fixed Income 28,405.55 0.01 28,405.55 1.00 2.69 nan
REGENERON PHARMACEUTICALS INC. Fixed Income 28,319.82 0.01 28,319.82 1.00 15.51 nan
NATIONAL AUSTRALIA BANK LTD (NEW Y MTN Fixed Income 27,805.43 0.01 27,805.43 1.00 3.73 nan
CARLISLE COMPANIES INCORPORATED Fixed Income 27,662.55 0.01 27,662.55 1.00 4.00 nan
Kaiser Permanente Fixed Income 27,633.97 0.01 27,633.97 1.00 15.42 nan
MYLAN INC Fixed Income 27,519.66 0.01 27,519.66 1.00 12.09 nan
J M SMUCKER CO Fixed Income 27,233.89 0.01 27,233.89 1.00 2.71 nan
OTIS WORLDWIDE CORP Fixed Income 26,405.16 0.01 26,405.16 1.00 14.74 nan
CSX CORP Fixed Income 26,119.39 0.01 26,119.39 1.00 7.44 nan
ARCHER DANIELS MIDLAND CO Fixed Income 25,690.74 0.01 25,690.74 1.00 16.14 nan
AMERICAN TOWER CORPORATION Fixed Income 24,433.35 0.01 24,433.35 1.00 3.89 nan
COMMONSPIRIT HEALTH Fixed Income 22,347.22 0.01 22,347.22 1.00 3.61 nan
LEIDOS INC Fixed Income 22,290.07 0.01 22,290.07 1.00 5.97 nan
RAYTHEON TECHNOLOGIES CORPORATION Fixed Income 22,261.49 0.01 22,261.49 1.00 2.78 nan
KAISER FOUNDATION HOSPITALS Fixed Income 22,204.34 0.01 22,204.34 1.00 14.61 nan
PARAMOUNT GLOBAL Fixed Income 22,004.30 0.01 22,004.30 1.00 4.46 nan
PARAMOUNT GLOBAL Fixed Income 21,975.72 0.01 21,975.72 1.00 12.34 nan
PROVIDENCE ST. JOSEPH HEALTH Fixed Income 21,861.42 0.01 21,861.42 1.00 15.92 nan
VERISK ANALYTICS INC Fixed Income 21,404.18 0.01 21,404.18 1.00 4.24 nan
COMMONWEALTH BANK OF AUSTRALIA (NE MTN Fixed Income 20,918.37 0.01 20,918.37 1.00 4.40 nan
MASSACHUSETTS INSTITUTE OF TECHNOL Fixed Income 20,918.37 0.01 20,918.37 1.00 14.47 nan
FAIRFAX FINANCIAL HOLDINGS LTD Fixed Income 19,689.56 0.01 19,689.56 1.00 5.57 nan
PARAMOUNT GLOBAL Fixed Income 18,803.67 0.01 18,803.67 1.00 3.92 nan
FISERV INC Fixed Income 17,689.17 0.01 17,689.17 1.00 2.71 nan
KEYCORP MTN Fixed Income 16,231.74 0.01 16,231.74 1.00 5.48 nan
EQUINOR ASA Fixed Income 15,717.36 0.01 15,717.36 1.00 11.52 nan
DELTA AIR LINES INC Fixed Income 15,631.63 0.01 15,631.63 1.00 4.05 nan
ENTERPRISE PRODUCTS OPERATING LLC Fixed Income 15,545.90 0.01 15,545.90 1.00 2.76 nan
EQUINOR ASA Fixed Income 14,688.58 0.01 14,688.58 1.00 10.22 nan
FS KKR CAPITAL CORP Fixed Income 14,031.31 0.00 14,031.31 1.00 2.75 nan
BRIGHTHOUSE FINANCIAL INC Fixed Income 13,716.97 0.00 13,716.97 1.00 12.04 nan
COMMONSPIRIT HEALTH Fixed Income 13,088.27 0.00 13,088.27 1.00 13.82 nan
ABBVIE INC Fixed Income 12,945.39 0.00 12,945.39 1.00 2.77 nan
EQUINOR ASA Fixed Income 12,545.31 0.00 12,545.31 1.00 11.82 nan
NETFLIX INC Fixed Income 11,973.77 0.00 11,973.77 1.00 2.71 nan
EQUINOR ASA Fixed Income 11,830.88 0.00 11,830.88 1.00 4.21 nan
EQUINOR ASA Fixed Income 11,659.42 0.00 11,659.42 1.00 14.67 nan
EQUINOR ASA Fixed Income 11,573.69 0.00 11,573.69 1.00 14.70 nan
NOMURA HOLDINGS INC Fixed Income 11,145.04 0.00 11,145.04 1.00 5.76 nan
BANCO SANTANDER SA Fixed Income 10,344.88 0.00 10,344.88 1.00 2.66 nan
CIGNA GROUP Fixed Income 8,458.80 0.00 8,458.80 1.00 2.75 nan
HSBC HOLDINGS PLC Fixed Income 7,830.10 0.00 7,830.10 1.00 8.47 nan
HSBC HOLDINGS PLC Fixed Income 7,058.52 0.00 7,058.52 1.00 7.51 nan
CONAGRA BRANDS INC Fixed Income 5,172.44 0.00 5,172.44 1.00 2.71 nan
TAPESTRY INC Fixed Income 4,029.36 0.00 4,029.36 1.00 7.22 nan
GATX CORPORATION Fixed Income 3,657.86 0.00 3,657.86 1.00 13.45 nan
TAPESTRY INC Fixed Income 1,800.35 0.00 1,800.35 1.00 3.86 nan
SPRINT CAPITAL CORPORATION Fixed Income 1,343.12 0.00 1,343.12 1.00 2.67 nan
BLUE OWL CAPITAL CORP Fixed Income 914.46 0.00 914.46 1.00 3.01 nan
GENERAL MOTORS FINANCIAL COMPANY I Fixed Income 485.81 0.00 485.81 1.00 2.81 nan
NOV25 LQD US C @ 112 Other Derivatives -1,068,892.25 -0.37 -119,029,491.52 1.00 942.05 nan
USD CASH Cash -2,109,291.96 -0.73 -2,109,291.96 1.00 0.00 nan
The content contained herein is owned or licensed by BlackRock and/or its third-party information providers and is protected by applicable copyrights, trademarks, service marks, and/or other intellectual property rights. Such content is solely for your personal, non-commercial use. Accordingly, you may not copy, distribute, modify, post, frame or deep link this content. You may download material displayed on this Website for your personal use provided you also retain all copyright and other proprietary notices contained on the materials. Modification or use of the materials for any other purpose violates BlackRock's intellectual property rights. Holdings subject to change. See www.iShares.com for the most recent funds holdings. The values for “price” shown herein generally represent a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The values shown herein for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of the vendor price and may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent practicable date and may not necessarily be as of the date shown above. Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures. CAREFULLY CONSIDER THE FUNDS' INVESTMENT OBJECTIVES, RISK FACTORS, AND CHARGES AND EXPENSES BEFORE INVESTING. THIS AND OTHER INFORMATION CAN BE FOUND IN THE FUNDS' PROSPECTUSES OR, IF AVAILABLE, THE SUMMARY PROSPECTUSES WHICH MAY BE OBTAINED BY VISITING WWW.ISHARES.COM OR WWW.BLACKROCK.COM. READ THE PROSPECTUS CAREFULLY BEFORE INVESTING. INVESTING INVOLVES RISK, INCLUDING POSSIBLE LOSS OF PRINCIPAL. This information should not be relied upon as research, investment advice, or a recommendation regarding any products, strategies, or any security in particular. This material is strictly for illustrative, educational, or informational purposes and is subject to change. The Funds are distributed by BlackRock Investments, LLC (together with its affiliates, “BlackRock”). The iShares Funds are not sponsored, endorsed, issued, sold or promoted by Bloomberg, BlackRock Index Services, LLC, Cboe Global Indices, LLC, Cohen & Steers, European Public Real Estate Association (“EPRA® ”), FTSE International Limited (“FTSE”), ICE Data Indices, LLC, NSE Indices Ltd, JPMorgan, JPX Group, London Stock Exchange Group (“LSEG”), MSCI Inc., Markit Indices Limited, Morningstar, Inc., Nasdaq, Inc., National Association of Real Estate Investment Trusts (“NAREIT”), Nikkei, Inc., Russell, S&P Dow Jones Indices LLC or STOXX Ltd. None of these companies make any representation regarding the advisability of investing in the Funds. With the exception of BlackRock Index Services, LLC, who is an affiliate, BlackRock Investments, LLC is not affiliated with the companies listed above. Neither FTSE, LSEG, nor NAREIT makes any warranty regarding the FTSE Nareit Equity REITS Index, FTSE Nareit All Residential Capped Index or FTSE Nareit All Mortgage Capped Index. Neither FTSE, EPRA, LSEG, nor NAREIT makes any warranty regarding the FTSE EPRA Nareit Developed ex-U.S. Index, FTSE EPRA Nareit Developed Green Target Index or FTSE EPRA Nareit Global REITs Index. “FTSE®” is a trademark of London Stock Exchange Group companies and is used by FTSE under license. ©2023 BlackRock, Inc or its affiliates. All rights reserved. iSHARES, iBONDS and BLACKROCK are trademarks of BlackRock, Inc. or its affiliates. All other trademarks are those of their respective owners. nan nan nan nan nan nan nan