0001718745-18-000107.txt : 20180418
0001718745-18-000107.hdr.sgml : 20180418
20180418170832
ACCESSION NUMBER: 0001718745-18-000107
CONFORMED SUBMISSION TYPE: N-MFP2/A
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20180330
FILED AS OF DATE: 20180418
DATE AS OF CHANGE: 20180418
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: JPMorgan Trust I
CENTRAL INDEX KEY: 0001217286
IRS NUMBER: 331043149
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: N-MFP2/A
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-21295
FILM NUMBER: 18761784
BUSINESS ADDRESS:
STREET 1: C/O JPMORGAN DISTRIBUTION SERVICES, INC.
STREET 2: 270 PARK AVENUE
CITY: NEW YORK
STATE: NY
ZIP: 10017
BUSINESS PHONE: 800-480-4111
MAIL ADDRESS:
STREET 1: C/O JPMORGAN DISTRIBUTION SERVICES, INC.
STREET 2: 270 PARK AVENUE
CITY: NEW YORK
STATE: NY
ZIP: 10017
FORMER COMPANY:
FORMER CONFORMED NAME: JP MORGAN MUTUAL FUND SERIES
DATE OF NAME CHANGE: 20030204
0001217286
S000002969
JPMorgan Prime Money Market Fund
C000008130
Institutional Class
JINXX
C000008133
Class C
JXCXX
C000008134
Capital
CJPXX
C000008135
Morgan
VMVXX
C000008136
Premier
VPMXX
C000008137
Reserve
JRVXX
C000008138
Agency
VMIXX
C000115390
IM
JIMXX
N-MFP2/A
1
primary_doc.xml
N-MFP2/A
0001217286
XXXXXXXX
2018-03-30
0001217286
S000002969
8
N
N
333-103022
J.P. Morgan Investment Management Inc.
801-21011
PricewaterhouseCoopers, LLP
New York
NY
J.P. Morgan Investment Management Inc.
DST Asset Manager Solutions, Inc.
0000275143
084-00896
N
N
N
Prime
N
22
73
8491492455.89
9005229711.68
11078575673.75
11432025078.34
7787761746.98
15436420472.68
15090721625.43
16535036520.01
16398316996.34
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0.2224
0.2434
0.2924
0.2871
0.2038
0.4043
0.4079
0.4365
0.4118
0.4128
600000102.65
37591217566.18
225000000.00
19214680.96
105826627.05
38104605722.74
38107106935.59
0.0193
1.0001
1.0001
1.0001
1.0001
0.9999
C000008130
10000000.00
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9065278607.07
1.0001
1.0001
1.0001
1.0000
0.9999
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1256677022.52
838478916.18
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1472083270.42
1037865800.66
1155425367.95
1112325921.98
1355682035.38
1180154934.10
5067715769.51
4568610602.31
0.0172
Y
JPM Dist Svcs, Shareholder Servicing Contract, 352828.90;
C000008135
1000.00
825722307.65
825838792.85
1.0001
1.0001
1.0001
1.0000
0.9999
2329028554.39
2321376726.65
2418145268.01
2365555021.37
2468907309.53
2459316612.93
2630171066.04
2589512618.23
2282538077.02
2292898715.34
10733001301.15
10647156467.06
0.0141
Y
JPM Dist Svcs, Shareholder Servicing Contract, 24253.87;
C000008137
10000000.00
22326307.82
22329721.85
1.0000
1.0001
1.0001
0.9999
0.9998
36964928.31
36973560.55
36941019.30
36942229.86
38141104.33
37810538.48
48550943.92
46640795.61
55805701.76
51564935.93
194215045.84
187734467.88
0.0123
Y
JPM Dist Svcs, Shareholder Servicing Contract, 3085.73;
C000008136
1000000.00
1089258979.05
1089341929.78
1.0001
1.0001
1.0001
1.0000
0.9999
1090537173.36
1132392014.24
1088843305.94
1066055718.89
1032507628.87
987469093.94
1003456456.04
982136982.36
656876820.68
756082741.60
4221822943.11
4225570834.45
0.0148
Y
JPM Dist Svcs, Shareholder Servicing Contract, 13859.51;
C000008138
5000000.00
1511460486.50
1511616090.70
1.0001
1.0001
1.0001
1.0000
0.9999
3862991791.75
3840362871.49
3591891115.54
3629722711.88
3485391725.90
3490177501.03
3636715946.76
3599255387.25
3099632158.50
3065468691.32
15289722388.55
15272219140.58
0.0167
Y
JPM Dist Svcs, Shareholder Servicing Contract, 62088.56;
C000008133
1000.00
1994978.93
1995118.93
1.0001
1.0001
1.0001
1.0000
0.9999
1131.94
0.00
0.00
8911.11
0.00
3144.42
0.00
3690.20
6.21
732.17
0.00
16427.16
0.0096
Y
JPM Dist Svcs, Shareholder Servicing Contract, 2271.43;
C000008134
50000000.00
23694690069.95
23696192449.96
1.0001
1.0001
1.0001
1.0000
0.9999
3003111680.93
4340312011.52
3215725755.09
4842279013.39
2924098333.75
2437657191.65
4386044448.18
3047611950.83
3408727101.95
4458576454.93
15423718471.83
16378519426.25
0.0175
Y
JPM Dist Svcs, Shareholder Servicing Contract, 589345.34;
C000115390
50000000.00
1894409735.78
1894514224.45
1.0001
1.0001
1.0001
1.0000
0.9999
131488534.43
216962364.82
181931598.68
150694070.29
236348038.07
118689592.29
91872967.56
253712889.09
210409578.35
237084005.21
737866497.67
875159116.15
0.0176
N
Agricultural Bank of China Ltd
Agricultural Bank of China Ltd 1.880
00851BAJ4
549300E7TSGLCOVSY746
US00851BAJ44
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-17
2018-04-17
2018-04-17
N
N
N
0.0188
49996483.50
49996483.50
0.0013
N
N
N
N
Agricultural Bank of China Ltd
Agricultural Bank of China Ltd 2.620
00851BAT2
549300E7TSGLCOVSY746
US00851BAT26
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-06
2018-06-06
2018-06-06
N
N
N
0.0262
25004490.25
25004490.25
0.0007
N
N
N
N
Alpine Securitization Ltd
Alpine Securitization Ltd 2.091
02089XAE7
US02089XAE76
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-23
2018-05-03
2018-08-21
Y
ALPINE SECURITIZATION
1.0000
35
N
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
Y
CREDIT SUISSE AG
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0212
149947240.50
149947240.50
0.0039
N
N
N
N
Alpine Securitization Ltd
Alpine Securitization Ltd 2.007
02088XEX2
US02088XEX21
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-31
2018-05-31
2018-05-31
N
Y
CREDIT SUISSE AG
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0201
49813362.50
49813362.50
0.0013
N
N
N
N
Antalis SA
Antalis SA 1.751
03664BD45
549300G2LM2ZKZ0X4Y50
US03664BD457
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-04
2018-04-04
N
Y
SOCIETE GENERALE SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0175
64041411.71
64041411.71
0.0017
N
N
Y
N
Atlantic Asset Securitization LLC
Atlantic Asset Securitization LLC 1.846
04821PAD5
549300BUNY5BIX4CVW20
US04821PAD50
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-03
2018-05-03
2018-05-03
N
Y
CREDIT AGRICOLE CIB
1.0000
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0187
24999792.00
24999792.00
0.0007
N
N
N
N
AUSTRALIA & NEW ZEALAN TD
AUSTRALIA & NEW ZEALAN TD 1.730
0PY001X00
0000859994
Non-Negotiable Time Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-04
2018-04-04
2018-04-04
N
N
N
0.0173
1000000000.00
1000000000.00
0.0262
N
N
Y
N
Australia & New Zealand Banking Group Ltd
Australia & New Zealand Banking Group Ltd 2.502
05253MKK9
JHE42UYNWWTJB8YTTU19
US05253MKK98
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-30
2019-01-28
2019-01-28
N
N
N
0.0254
175000000.00
175000000.00
0.0046
N
N
N
N
Australia & New Zealand Banking Group Ltd
Australia & New Zealand Banking Group Ltd 1.798
05253MJD7
JHE42UYNWWTJB8YTTU19
US05253MJD74
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-29
2018-08-29
2018-08-29
N
N
N
0.0182
74941866.00
74941866.00
0.0020
N
N
N
N
Australia & New Zealand Banking Group Ltd
Australia & New Zealand Banking Group Ltd 1.808
05253MJM7
JHE42UYNWWTJB8YTTU19
US05253MJM73
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-02
2018-08-31
2018-08-31
N
N
N
0.0184
99923717.00
99923717.00
0.0026
N
N
N
N
Australia & New Zealand Banking Group Ltd
Australia & New Zealand Banking Group Ltd 1.816
05253MHD9
JHE42UYNWWTJB8YTTU19
US05253MHD92
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-03
2018-05-03
2018-05-03
N
N
N
0.0182
42206528.34
42206528.34
0.0011
N
N
N
N
Banco Del Estado De Chile/New York
Banco Del Estado De Chile/New York 1.790
05969Y7A5
5493004R4EJC0W0XVQ72
US05969Y7A52
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-05-07
2018-05-07
2018-05-07
N
N
N
0.0179
73989317.36
73989317.36
0.0019
N
N
N
N
Banco Del Estado De Chile/New York
Banco Del Estado De Chile/New York 1.750
05969Y6M0
5493004R4EJC0W0XVQ72
US05969Y6M00
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-20
2018-04-20
2018-04-20
N
N
N
0.0175
49997457.50
49997457.50
0.0013
N
N
N
N
Bank Nederlandse Gemeenten NV
Bank Nederlandse Gemeenten NV 2.002
62944HDJ7
529900GGYMNGRQTDOO93
US62944HDJ77
Financial Company Commercial Paper
Y
Fitch Long Rating
AA+
Fitch Short Rating
F1+
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AAA
Standard & Poor's Short Rating
A-1+
2018-04-18
2018-04-18
2018-04-18
N
N
N
0.0200
88908181.37
88908181.37
0.0023
N
N
N
N
Bank of China Ltd
Bank of China Ltd 1.901
06120BD61
54930053HGCFWVHYZX42
US06120BD614
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2018-04-06
N
N
N
0.0190
199923378.00
199923378.00
0.0052
N
N
Y
N
Bank of Montreal/Chicago IL
Bank of Montreal/Chicago IL 2.278
06371ENY9
NQQ6HPCNCCU6TUTQYE16
US06371ENY94
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-06-18
2018-06-18
2018-06-18
N
N
N
0.0231
25015013.00
25015013.00
0.0007
N
N
N
N
Bank of Montreal/Chicago IL
Bank of Montreal/Chicago IL 2.291
06366HFK8
NQQ6HPCNCCU6TUTQYE16
US06366HFK86
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-06-19
2018-06-19
2018-06-19
N
N
N
0.0229
99520983.00
99520983.00
0.0026
N
N
N
N
Bank of Nova Scotia/Houston
Bank of Nova Scotia/Houston 2.225
06417GYL6
L3I9ZG2KFGXZ61BMYR72
US06417GYL66
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-06-15
2018-06-15
2018-06-15
N
N
N
0.0225
84041095.32
84041095.32
0.0022
N
N
N
N
Bank of Nova Scotia/Houston
Bank of Nova Scotia/Houston 1.891
06417GVY1
L3I9ZG2KFGXZ61BMYR72
US06417GVY15
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-06
2018-07-06
2018-07-06
N
N
N
0.0192
54998246.60
54998246.60
0.0014
N
N
N
N
Bank of Nova Scotia/The
Bank of Nova Scotia/The 2.087
06417KEV7
L3I9ZG2KFGXZ61BMYR72
US06417KEV70
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-05-29
2018-05-29
2018-05-29
N
N
N
0.0209
79736886.40
79736886.40
0.0021
N
N
N
N
Barclays Bank PLC/NY
Barclays Bank PLC/NY 1.700
06743MD23
G5GSEF7VJP5I7OUK5573
US06743MD230
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0170
399924444.00
399924444.00
0.0105
N
Y
Y
N
Barclays Capital Inc
Barclays Capital Inc 2.014
0RI001AE9
AC28XWWI3WIBK2824319
0001197490
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
DT AUTO OWNER TR 2018
2025-03-17
5.420000
6000000.00
6011812.67
Asset-Backed Securities
GMACM MTG LN TR 2006-
2036-04-25
0.398782
202252091.00
119906.37
Private Label Collateralized Mortgage Obligations
AMER HOMES 4 RENT TR
2052-04-18
5.639000
5400000.00
5848932.60
Asset-Backed Securities
CWALT INC ALT LN TR 2
2036-07-25
3.628500
80000000.00
1613184.46
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2014-DN4
2024-10-25
6.421500
34796690.00
32568611.62
Agency Collateralized Mortgage Obligation
FHLMC STACR 2016-HQA2
2028-11-27
7.021500
21782932.00
25894485.83
Agency Collateralized Mortgage Obligation
NORTHWOODS CAP XIV LT
2025-11-12
0.000000
4000000.00
3060000.00
Asset-Backed Securities
Federal National Mort
2024-05-28
4.471500
36186305.00
38341772.41
Agency Collateralized Mortgage Obligation
GLS AUTO RECV TR 2015
2025-10-15
9.790000
7330000.00
7494999.93
Asset-Backed Securities
INDYMAC INDX MORTGAGE
2035-06-25
1.488777
1002727016.00
2979788.82
Private Label Collateralized Mortgage Obligations
HERTZ FLEET LEASE FD
2031-04-10
5.800000
6625000.00
6533516.11
Asset-Backed Securities
INVITATION HOMES TR 2
2032-06-17
5.508200
9900000.00
9928591.86
Asset-Backed Securities
NOMURA RESEC TR 2013-
2036-11-26
1.955190
6500000.00
5086886.56
Asset-Backed Securities
PRPM LLC 2017-1
2022-01-25
5.000000
10296000.00
9901215.90
Asset-Backed Securities
SHACKLETON 2016 IX CL
2028-10-20
0.000000
10000000.00
10095990.00
Asset-Backed Securities
CWMBS CHL MTG TR 2007
2037-09-25
5.228500
17203000.00
350561.43
Private Label Collateralized Mortgage Obligations
TRYON PK CLO LTD
2025-07-15
6.130000
7700000.00
7741430.27
Asset-Backed Securities
OWNIT MTG LN TR 2005-
2036-10-25
2.471500
15200000.00
6761233.28
Asset-Backed Securities
VENTURE XXIV CLO LTD
2028-10-20
0.000000
6100000.00
5337500.00
Asset-Backed Securities
VOLT LX LLC 2017-NPL7
2047-06-25
5.375000
1733760.00
1735084.98
Asset-Backed Securities
NATIONAL COLLEGIATE I
2043-06-01
3.724000
4802139.00
4541314.56
Asset-Backed Securities
WFRBS COML MTG TR 201
2057-09-17
1.011230
63223793.00
2908500.34
Private Label Collateralized Mortgage Obligations
BA ALTERNATIVE LN TR
2035-06-25
5.500000
50.00
1.02
Private Label Collateralized Mortgage Obligations
OZLM XII LTD 2015-12
2027-04-30
0.000000
7064048.00
5050794.32
Asset-Backed Securities
COLONY AMERICAN HOMES
2032-07-19
5.367940
5000000.00
5009096.57
Asset-Backed Securities
PRIME MTG TR 2007-1
2037-03-25
0.270109
370425102.00
336356.34
Private Label Collateralized Mortgage Obligations
STARWOOD WAYPOINT HOM
2035-01-22
4.376600
10199000.00
10368954.78
Asset-Backed Securities
COINSTAR FDG LLC 2017
2047-04-25
5.216000
4500000.00
4627503.46
Asset-Backed Securities
CWALT INC 2006-29T1
2036-10-25
60.820474
814764.00
629785.40
Private Label Collateralized Mortgage Obligations
CWALT INC 2006-29T1
2036-10-25
34.310248
1898124.00
862387.32
Private Label Collateralized Mortgage Obligations
LONGFELLOW PL CLO 200
2024-01-15
0.000000
2503155.00
1239061.73
Asset-Backed Securities
MARKETPLACE LN TR 201
2022-01-15
6.500000
6559000.00
5410387.78
Asset-Backed Securities
VOLT LVIII LLC 2017-N
2047-05-28
5.375000
3000000.00
3002673.67
Asset-Backed Securities
CWALT INC 2006-40T1
2036-12-25
4.728500
10099000.00
633976.90
Private Label Collateralized Mortgage Obligations
ARCADIA REC CR TR 201
2023-06-15
5.500000
3000000.00
3037061.67
Asset-Backed Securities
ATRIUM XII LLC 2015-1
2026-10-22
0.000000
8250000.00
7713750.00
Asset-Backed Securities
AVANT LOANS FDG TR 2
2022-08-15
8.830000
4567000.00
4782584.73
Asset-Backed Securities
BCAP LLC TR 2012-RR6
2036-11-26
0.000000
8545529.00
5465916.90
Private Label Collateralized Mortgage Obligations
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2029-04-25
6.121500
32332250.00
36501272.70
Agency Collateralized Mortgage Obligation
RBSSP RESEC TR 2011-3
2037-02-26
1.870700
11747400.00
7102277.05
Asset-Backed Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2028-10-25
7.771500
5544925.00
6512112.41
Agency Collateralized Mortgage Obligation
FHLMC STACR 2015-DNA1
2027-10-25
5.171500
28531486.00
31778272.42
Agency Collateralized Mortgage Obligation
CWALT INC 2007-18CB
2037-08-25
27.771000
16000000.00
6502256.15
Private Label Collateralized Mortgage Obligations
PRETIUM MTG CR PRTNR
2057-03-28
5.500000
5000000.00
4905457.78
Asset-Backed Securities
WAMU PTC WMALT 2006-A
2036-02-25
0.750000
259050705.00
298411.18
Private Label Collateralized Mortgage Obligations
VOLT LIX LLC 2017-NPL
2047-05-28
5.375000
7750000.00
7752280.22
Asset-Backed Securities
LB COMMERCIAL MTG TR
2036-06-15
0.230000
5570000.00
2.61
Private Label Collateralized Mortgage Obligations
PRIME MTG TR 2007-2
2037-04-25
0.303566
181036017.00
209944.14
Private Label Collateralized Mortgage Obligations
CARLYLE GLOBAL MKT ST
2025-10-16
0.000000
4475811.00
3379237.31
Asset-Backed Securities
INVITATION HOMES TR 2
2036-12-19
4.808200
6400000.00
6518641.49
Asset-Backed Securities
ONEMAIN FINL ISSUE TR
2028-03-20
5.670000
4757000.00
4811179.85
Asset-Backed Securities
WFRBS COML MTG TR 201
2047-08-16
1.073860
53349723.00
2973586.17
Private Label Collateralized Mortgage Obligations
CWMBS CHL MTG TR 2006
2036-05-25
6.000000
5000000.00
1604872.56
Private Label Collateralized Mortgage Obligations
MFRA TR 2015 2
2057-01-25
4.677200
16569140.00
10460872.54
Private Label Collateralized Mortgage Obligations
VOLT LV LLC 2017-NPL2
2047-03-25
5.875000
4570000.00
4572028.06
Asset-Backed Securities
FHLMC STACR 2014-DN3
2024-08-26
5.871500
41127000.00
39987785.30
Agency Collateralized Mortgage Obligation
GE CAP CMBS 2005-C4
2045-11-10
0.000000
55651606.00
33.20
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
2036-03-25
6.000000
1453846.00
890412.24
Private Label Collateralized Mortgage Obligations
GAHR COML MTG TR 2015
2034-12-15
0.000000
64898600.00
6489.86
Private Label Collateralized Mortgage Obligations
FOUNDATION FIN TR 201
2033-07-15
5.400000
5700000.00
5569333.20
Asset-Backed Securities
RESIDENTIAL ASSET SEC
2037-09-25
4.578500
76.00
7.79
Private Label Collateralized Mortgage Obligations
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-05-03
2018-08-01
Y
BARCLAYS CAPITAL INC
1.0000
35
N
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
N
N
0.0204
400000000.00
400000000.00
0.0105
N
N
N
Y
Bedford Row Funding Corp
Bedford Row Funding Corp 1.971
07646KCB4
US07646KCB44
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-09
2019-01-08
2019-01-08
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0200
99849496.00
99849496.00
0.0026
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 1.980
07645RBD7
US07645RBD70
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-12
2018-10-12
2018-10-12
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0201
19983578.80
19983578.80
0.0005
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 2.074
07645RBA3
US07645RBA32
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-28
2018-08-22
2018-08-22
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0210
49977642.00
49977642.00
0.0013
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 2.006
07645RAZ9
US07645RAZ91
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-21
2018-08-16
2018-08-16
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0204
24989402.50
24989402.50
0.0007
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 2.028
07646KBN9
US07646KBN90
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-22
2018-08-17
2018-08-17
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0206
19991489.60
19991489.60
0.0005
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 2.062
07646KBY5
US07646KBY55
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-20
2018-11-20
2018-11-20
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0209
99880325.00
99880325.00
0.0026
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 2.095
07646KBS8
US07646KBS87
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-27
2018-09-27
2018-09-27
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0213
24980010.75
24980010.75
0.0007
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 1.926
07645RBC9
US07645RBC97
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-04
2018-10-04
2018-10-04
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0195
84934319.65
84934319.65
0.0022
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 2.001
07644DEY0
US07644DEY04
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-09
2019-02-08
2019-02-08
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0203
19960351.20
19960351.20
0.0005
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 1.872
07646KBA7
US07646KBA79
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-13
2018-04-13
2018-04-13
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0190
25001169.75
25001169.75
0.0007
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 1.910
07646KBP4
US07646KBP49
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-11
2018-09-06
2018-09-06
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0194
19987673.20
19987673.20
0.0005
N
N
N
N
Bedford Row Funding Corp
Bedford Row Funding Corp 2.141
07646KCE8
US07646KCE82
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-30
2019-01-25
2019-01-25
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0218
68874040.50
68874040.50
0.0018
N
N
N
N
BNP PARIBAS GRAND CAYM TD
BNP PARIBAS GRAND CAYM TD 1.720
0BNP06B27
0001456945
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-04
2018-04-04
N
N
N
0.0172
200000000.00
200000000.00
0.0052
N
N
Y
N
BNP Paribas SA
BNP Paribas SA 1.880
0BNP02G39
R0MUWSFPU8MPRO8K5P83
0001456945
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AV HOMES INC
2022-05-15
6.625000
1.00
1.05
Corporate Debt Securities
GREENPOINT MTA TR 200
2045-06-25
2.411500
49900000.00
2872826.77
Private Label Collateralized Mortgage Obligations
PRUDENTIAL FINL INC M
5PRBRS5FEH7NREC8OR45
2048-03-27
4.418000
1000000.00
1017385.44
Corporate Debt Securities
WASHINGTON MUTUAL 200
2033-02-25
5.720267
2498990.00
554903.61
Private Label Collateralized Mortgage Obligations
GILEAD SCIENCES INC
549300WTZWR07K8MNV44
2024-04-01
3.700000
8000.00
8251.80
Corporate Debt Securities
LEHMAN XS TRUST 2007-
2047-09-25
2.721500
14529951.00
5022709.94
Private Label Collateralized Mortgage Obligations
DAIMLER FINANCE NORTH
2020-05-18
2.450000
2373000.00
2360649.20
Corporate Debt Securities
CPS AUTO RECV TR 2014
2020-05-15
2.320000
1.00
0.17
Asset-Backed Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2030-05-28
5.871500
3000000.00
3069691.17
Agency Collateralized Mortgage Obligation
HERTZ FIN II 2017-1
2021-10-25
3.560000
8.00
8.00
Asset-Backed Securities
CITIGROUP INC
6SHGI4ZSSLCXXQSBB395
2028-01-10
3.887000
1528000.00
1524485.30
Corporate Debt Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2025-05-27
5.871500
3120000.00
2577580.74
Agency Collateralized Mortgage Obligation
FHLMC STACR 2014-DN1
2024-02-26
6.371500
3956950.00
4600116.39
Agency Collateralized Mortgage Obligation
UNITEDHEALTH GROUP IN
549300GHBMY8T5GXDE41
2047-04-15
4.250000
951000.00
986188.06
Corporate Debt Securities
EDF S A
549300X3UK4GG3FNMO06
2025-10-13
3.625000
37000.00
37554.83
Corporate Debt Securities
NATIONAL COLL ST LN T
2033-10-25
2.000700
18332836.00
14608665.77
Asset-Backed Securities
AMERICAN HOME MTG 200
2045-02-25
2.696500
12350423.00
7658495.35
Private Label Collateralized Mortgage Obligations
Federal National Mort
2024-05-28
4.471500
9988914.00
10583911.99
Agency Collateralized Mortgage Obligation
LEHMAN MTG TR 2005-2
2035-12-25
2.621500
18764698.00
3079138.80
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2016-DNA2
2028-10-25
6.521500
4639668.00
5313526.94
Agency Collateralized Mortgage Obligation
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-08-15
2.859000
450.00
436.13
Corporate Debt Securities
BANK AMER CORP
9DJT3UXIJIZJI4WXO774
2024-03-05
2.814570
215359.00
214438.64
Corporate Debt Securities
CENOVUS ENERGY INC
549300DK79J32SE1QE52
2027-04-15
4.250000
200000.00
198098.22
Corporate Debt Securities
FHLMC STACR 2018-DNA1
2030-07-25
5.021500
3567810.00
3406783.83
Agency Collateralized Mortgage Obligation
SIRIUS XM RADIO INC
WP5O65E6BMU84LNO4227
2027-08-01
5.000000
25000.00
23795.14
Corporate Debt Securities
SUPERVALU INC
549300HSQOPPFG6OPF24
2021-06-01
6.750000
99000.00
99705.37
Corporate Debt Securities
WYNN LAS VEGAS LLC /
2025-03-01
5.500000
3000.00
3015.68
Corporate Debt Securities
COLT LLC 2018-1
2048-02-25
4.362000
5000000.00
5002108.33
Private Label Collateralized Mortgage Obligations
EXETER AUTO RECV TR 2
2022-05-16
5.790000
68.00
70.10
Asset-Backed Securities
CREDIT SUISSE GROUP
549300506SI9CRFV9Z86
2028-01-09
4.282000
32462000.00
32613777.89
Corporate Debt Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2028-04-25
7.571500
4679970.00
4887935.98
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2029-11-26
6.921500
3615319.00
3848771.19
Agency Collateralized Mortgage Obligation
GSAA HEQ TR 2006-1
2036-01-25
2.091500
3438475.00
918695.77
Private Label Collateralized Mortgage Obligations
NORTHERN OIL & GAS IN
2020-06-01
8.000000
908000.00
872789.78
Corporate Debt Securities
AT&T INC
549300Z40J86GGSTL398
2027-08-14
3.900000
1559702.00
1570814.88
Corporate Debt Securities
CWALT INC 2005-56
2035-11-25
2.601500
8758307.00
1993115.18
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2057-03-25
5.380926
3268750.00
2900325.71
Private Label Collateralized Mortgage Obligations
CWALT INC 2006-OA11
2046-09-25
2.121500
993795.00
729093.21
Private Label Collateralized Mortgage Obligations
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2028-10-25
7.771500
6688626.00
7855306.31
Agency Collateralized Mortgage Obligation
PROCTER AND GAMBLE CO
2019-11-01
2.043400
128000.00
128848.91
Corporate Debt Securities
MEDTRONIC INC
D56MRZY2INAN94ZONZ37
2022-03-15
3.150000
250000.00
250683.75
Corporate Debt Securities
STRUCTURED ASSET MTG
2036-08-25
2.101500
149900000.00
6166181.93
Private Label Collateralized Mortgage Obligations
UNION PAC CORP
549300LMMRSZZCZ8CL11
2027-04-15
3.000000
2818820.00
2749411.26
Corporate Debt Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2025-07-25
6.871500
5664000.00
5268479.44
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2028-08-25
8.621500
665680.00
803803.24
Agency Collateralized Mortgage Obligation
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2024-07-25
4.871500
11652479.00
11926061.21
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2025-02-25
6.171500
6000000.00
4795331.59
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2029-09-25
7.371500
150000.00
165060.31
Agency Collateralized Mortgage Obligation
Federal National Mort
2043-08-25
5.807000
2.00
1.49
Agency Collateralized Mortgage Obligation
BPCE SA
9695005MSX1OYEMGDF46
2024-04-15
4.000000
496000.00
511674.70
Corporate Debt Securities
FNMA CONN AVE SECS 20
2030-01-25
4.071500
7410352.00
7537338.67
Agency Collateralized Mortgage Obligation
FHLMC STACR 2015-HQA2
2028-05-25
6.671500
2947619.00
3447544.84
Agency Collateralized Mortgage Obligation
QEP RES INC
Q6JQDZPXKEDQKVK58165
2023-05-01
5.250000
1086000.00
1060569.50
Corporate Debt Securities
GILEAD SCIENCES INC
549300WTZWR07K8MNV44
2023-09-01
2.500000
596000.00
572526.21
Corporate Debt Securities
Federal National Mort
2045-03-25
7.000000
8.00
0.32
Agency Collateralized Mortgage Obligation
BOMBARDIER INC
2022-10-15
6.000000
8000.00
8142.27
Corporate Debt Securities
TRIUMPH GROUP INC NEW
5493007L6S47Q14SL582
2022-06-01
5.250000
5000.00
4937.54
Corporate Debt Securities
BANK AMERICA FDG CO 2
2032-11-25
6.000000
1576000.00
257700.26
Private Label Collateralized Mortgage Obligations
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2027-06-15
8.000000
36000.00
34762.00
Corporate Debt Securities
ELEVATION CLO 2014 2
2029-10-15
3.549890
3919940.00
3937028.54
Asset-Backed Securities
Federal Home Loan Mor
2023-07-25
5.271500
16993733.00
1323425.12
Agency Collateralized Mortgage Obligation
UNITED TECHNOLOGIES C
2021-03-01
8.750000
477000.00
552082.45
Corporate Debt Securities
FIRST HORIZON ALT 200
2037-02-25
2.371500
292400.00
35212.97
Private Label Collateralized Mortgage Obligations
CITIGROUP INC
6SHGI4ZSSLCXXQSBB395
2021-12-08
2.900000
19140000.00
18995716.31
Corporate Debt Securities
DISH DBS CORP
2021-06-01
6.750000
4395000.00
4523883.37
Corporate Debt Securities
FHLMC STACR 2017-HQA2
2029-12-26
6.621500
2000000.00
2094463.44
Agency Collateralized Mortgage Obligation
STRUCTURED ASSET MTG
2036-02-25
2.181500
77322984.00
3776027.51
Private Label Collateralized Mortgage Obligations
TORONTO DOMINION BK O
PT3QB789TSUIDF371261
2022-03-15
2.250000
493000.00
484355.25
Corporate Debt Securities
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-05
2018-04-05
2018-04-05
N
N
N
0.0188
200000000.00
200000000.00
0.0052
N
N
Y
N
BNP Paribas SA
BNP Paribas SA 1.880
0BNP02G21
R0MUWSFPU8MPRO8K5P83
0001456945
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2028-01-13
4.625000
1132351.00
1116796.90
Other Instrument
International Debt
COMM S&L / CSL CAPITA
2023-10-15
8.250000
245000.00
239507.92
Corporate Debt Securities
FELCOR LODGING LTD PA
2025-06-01
6.000000
17513000.00
18382812.32
Corporate Debt Securities
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2019-04-14
4.000000
200000.00
205266.67
Other Instrument
International Debt
GSR MTG TR 2005-9F
2035-12-25
6.000000
230484.00
34863.56
Private Label Collateralized Mortgage Obligations
PMT CR RISK TRANSFER
2025-12-25
6.871500
13771029.00
11938598.36
Private Label Collateralized Mortgage Obligations
BANK AMER CORP
9DJT3UXIJIZJI4WXO774
2020-10-19
2.625000
1810000.00
1815985.07
Corporate Debt Securities
CWALT INC 2005-1CB
2035-03-25
5.500000
2269311.00
518455.69
Private Label Collateralized Mortgage Obligations
BANCO NACIONAL DE DES
2018-06-16
6.369000
11690000.00
11990695.04
Other Instrument
International Debt
COLT LLC 2018-1
2048-02-25
3.661000
260149.00
260249.88
Private Label Collateralized Mortgage Obligations
CREDIT AGRICOLE SA LO
969500TJ5KRTCJQWXH05
2022-01-10
3.375000
666000.00
665105.06
Corporate Debt Securities
JMP CR ADVISORS CLO I
2028-01-17
3.016870
559000.00
560168.69
Asset-Backed Securities
VERISIGN INC
LMPL4N8ZOJRMF0KOF759
2027-07-15
4.750000
2052.00
1984.83
Corporate Debt Securities
CWALT INC 2006-OA11
2046-09-25
2.121500
646946.00
474629.01
Private Label Collateralized Mortgage Obligations
PDC ENERGY INC
5493008W8H2T511J5Y59
2026-05-15
5.750000
1500000.00
1510000.00
Corporate Debt Securities
ELETSON HLDGS INC / E
2022-01-15
9.625000
874000.00
484881.85
Corporate Debt Securities
PROVIDENT FING TR I
2038-03-15
7.405000
8000.00
9143.04
Corporate Debt Securities
ACIS CLO 2014-4 LTD
2026-05-01
6.573400
11250000.00
11161692.87
Asset-Backed Securities
CWALT INC 2004-8CB
2034-06-25
2.371500
31769.00
21562.73
Private Label Collateralized Mortgage Obligations
JAMESTOWN CLO VII LTD
2027-07-25
7.195200
4339913.00
4381539.13
Asset-Backed Securities
BEAR STEARNS ARM TR 2
2047-06-25
3.576603
1064495.00
162351.90
Private Label Collateralized Mortgage Obligations
BLUELINE RENT FIN COR
2024-03-15
9.250000
12304000.00
13209540.22
Corporate Debt Securities
SOCIETE GENERALE MTN
2021-04-15
5.200000
1945000.00
2096552.24
Corporate Debt Securities
TEVA PHARMACEUTICAL F
5493004T21MOAFINJP35
2028-03-01
6.750000
1548000.00
1524102.75
Corporate Debt Securities
ACIS CLO 2015 6 LTD
2027-05-01
7.263400
7500000.00
7566691.09
Asset-Backed Securities
CWALT INC 2005-32T1
2035-08-25
5.500000
5765227.00
1813844.53
Private Label Collateralized Mortgage Obligations
CAIXA ECONOMICA FEDER
2018-10-03
4.500000
12146000.00
12461796.00
Corporate Debt Securities
FIGUEROA CLO 2014-1 L
2027-01-15
7.421520
7500000.00
7595093.95
Asset-Backed Securities
NATIONAL COLL ST LN T
2033-10-25
1.925700
26668981.00
23141100.63
Asset-Backed Securities
DRYDEN 45 SR LN FD 20
2027-07-15
3.521520
1948557.00
1968472.93
Asset-Backed Securities
WYNN LAS VEGAS LLC /
2025-03-01
5.500000
87000.00
87454.82
Corporate Debt Securities
YPF SOCIEDAD ANONIMA
5493003N7447U18U5U53
2025-07-28
8.500000
2000.00
2229.61
Corporate Debt Securities
CWABS INC 2006-6
2035-09-25
2.191500
1.00
0.70
Asset-Backed Securities
LONG BEACH MTG LN TR
2035-11-25
2.576500
6746000.00
5033786.44
Asset-Backed Securities
LEHMAN XS TRUST 2006-
2036-10-25
2.041500
40156.00
8054.90
Private Label Collateralized Mortgage Obligations
ICBC LTD NEW YORK BRA
2020-11-08
2.540700
13343.00
13387.56
Corporate Debt Securities
PMT CR RISK TRANSFER
2025-08-25
6.871500
4904710.00
4286560.48
Private Label Collateralized Mortgage Obligations
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-04
2018-04-04
N
N
N
0.0188
135000000.00
135000000.00
0.0035
N
N
Y
N
BNP Paribas SA
BNP Paribas SA 1.470
09659CD21
R0MUWSFPU8MPRO8K5P83
US09659CD210
Financial Company Commercial Paper
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0147
99982189.00
99982189.00
0.0026
N
Y
Y
N
BNP Paribas SA/New York NY
BNP Paribas SA/New York NY 1.880
05582WP99
R0MUWSFPU8MPRO8K5P83
US05582WP996
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-06-06
2018-06-06
N
N
N
0.0191
65011117.60
65011117.60
0.0017
N
N
N
N
BNP Paribas SA/New York NY
BNP Paribas SA/New York NY 1.864
05582WU77
R0MUWSFPU8MPRO8K5P83
US05582WU772
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-08-01
2018-08-01
N
N
N
0.0189
213934742.84
213934742.84
0.0056
N
N
N
N
BNP Paribas SA/New York NY
BNP Paribas SA/New York NY 2.536
05582W2L7
R0MUWSFPU8MPRO8K5P83
US05582W2L75
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-26
2018-12-21
2018-12-21
N
N
N
0.0257
137009600.96
137009600.96
0.0036
N
N
N
N
BNP Paribas SA/New York NY
BNP Paribas SA/New York NY 2.080
05582W2A1
R0MUWSFPU8MPRO8K5P83
US05582W2A11
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-13
2018-09-17
2018-09-17
N
N
N
0.0211
109936893.00
109936893.00
0.0029
N
N
N
N
BNP Paribas SA/New York NY
BNP Paribas SA/New York NY 1.880
05582WM68
R0MUWSFPU8MPRO8K5P83
US05582WM688
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-08-06
2018-08-06
N
N
N
0.0191
99959053.00
99959053.00
0.0026
N
N
N
N
BNP Paribas SA/New York NY
BNP Paribas SA/New York NY 2.061
05582WL69
R0MUWSFPU8MPRO8K5P83
US05582WL698
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-27
2018-07-23
2018-07-23
N
N
N
0.0209
200197127.42
200197127.42
0.0053
N
N
N
N
BNP Paribas SA/New York NY
BNP Paribas SA/New York NY 2.542
05582W2S2
R0MUWSFPU8MPRO8K5P83
US05582W2S29
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-27
2018-12-27
2018-12-27
N
N
N
0.0258
99992538.00
99992538.00
0.0026
N
N
N
N
BPCE SA
BPCE SA 1.873
05571CE15
9695005MSX1OYEMGDF46
US05571CE151
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-01
2018-05-01
2018-05-01
N
N
N
0.0187
199663034.00
199663034.00
0.0052
N
N
N
N
Canadian Imperial Bank of Commerce
Canadian Imperial Bank of Commerce 1.856
13608CDL3
2IGI19DL77OX0HC3ZE78
US13608CDL37
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-03
2018-08-03
2018-08-03
N
N
N
0.0188
19991036.80
19991036.80
0.0005
N
N
N
N
Canadian Imperial Bank of Commerce
Canadian Imperial Bank of Commerce 2.062
13608CDR0
2IGI19DL77OX0HC3ZE78
US13608CDR07
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-27
2018-08-24
2018-08-24
N
N
N
0.0209
49963916.00
49963916.00
0.0013
N
N
N
N
Canadian Imperial Bank of Commerce
Canadian Imperial Bank of Commerce 1.874
13608BEA8
2IGI19DL77OX0HC3ZE78
US13608BEA89
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-05-10
2018-05-10
2018-05-10
N
N
N
0.0187
176640690.00
176640690.00
0.0046
N
N
N
N
Cedar Springs Capital Co LLC
Cedar Springs Capital Co LLC 1.750
15060YD23
US15060YD233
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
Y
UBS AG-LONDON
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0175
63102349.23
63102349.23
0.0017
N
Y
Y
N
Charta LLC
Charta LLC 1.935
16115WGP6
5493000FNFK79LCM6M65
US16115WGP68
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-07-23
2018-07-23
2018-07-23
N
N
Y
CITIBANK N.A - LONDON BRANCH
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
0.0194
58546964.96
58546964.96
0.0015
N
N
N
N
Chiba Bank Ltd/New York
Chiba Bank Ltd/New York 2.000
16706B3D8
FGJPAKKCTZVSKZXNBS63
US16706B3D88
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-19
2018-04-19
2018-04-19
N
N
N
0.0200
41752119.76
41752119.76
0.0011
N
N
N
N
Chiba Bank Ltd/New York
Chiba Bank Ltd/New York 1.750
16706B2P2
FGJPAKKCTZVSKZXNBS63
US16706B2P28
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-10
2018-04-10
2018-04-10
N
N
N
0.0175
63996792.96
63996792.96
0.0017
N
N
N
N
CHINA CONSTRUCTION BAN TD
CHINA CONSTRUCTION BAN TD 1.720
0RW002T43
0001445474
Non-Negotiable Time Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0172
700000000.00
700000000.00
0.0184
N
Y
Y
N
China Construction Bank Corp/New York
China Construction Bank Corp/New York 1.950
16891U5L1
5493001KQW6DM7KEDR62
US16891U5L11
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-23
2018-04-23
2018-04-23
N
N
N
0.0195
124985167.50
124985167.50
0.0033
N
N
N
N
China Construction Bank Corp/New York
China Construction Bank Corp/New York 1.950
16891U5K3
5493001KQW6DM7KEDR62
US16891U5K38
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-24
2018-04-24
2018-04-24
N
N
N
0.0195
49993396.50
49993396.50
0.0013
N
N
N
N
China Construction Bank Corp/New York
China Construction Bank Corp/New York 1.901
16891ND61
5493001KQW6DM7KEDR62
US16891ND613
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2018-04-06
N
N
N
0.0190
149936599.50
149936599.50
0.0039
N
N
Y
N
China Construction Bank Corp/New York
China Construction Bank Corp/New York 1.900
16891U4Z1
5493001KQW6DM7KEDR62
US16891U4Z16
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2018-04-06
N
N
N
0.0190
24999966.00
24999966.00
0.0007
N
N
Y
N
China Construction Bank Corp/New York
China Construction Bank Corp/New York 2.750
16891U5T4
5493001KQW6DM7KEDR62
US16891U5T47
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-19
2018-06-19
2018-06-19
N
N
N
0.0275
50005586.00
50005586.00
0.0013
N
N
N
N
China Construction Bank Corp/New York
China Construction Bank Corp/New York 2.620
16891U5S6
5493001KQW6DM7KEDR62
US16891U5S63
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-06
2018-06-06
2018-06-06
N
N
N
0.0262
75000156.75
75000156.75
0.0020
N
N
N
N
China Construction Bank Corp/New York
China Construction Bank Corp/New York 1.900
16891U5G2
5493001KQW6DM7KEDR62
US16891U5G26
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-17
2018-04-17
2018-04-17
N
N
N
0.0190
149988492.00
149988492.00
0.0039
N
N
N
N
CHINA CONSTRUCTION BK CERTIFICATE OF DEPOSIT FIXED
CHINA CONSTRUCTION BK CERTIFICATE OF DEPOSIT FIXED 2.130
16955A5W4
US16955A5W47
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-07
2018-05-07
2018-05-07
N
N
N
0.0213
169969372.80
169969372.80
0.0045
N
N
N
N
CITIBANK NA-PUERTO RIC TD
CITIBANK NA-PUERTO RIC TD 1.720
0CPR01KH7
0000036684
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-05
2018-04-05
2018-04-05
N
N
N
0.0172
800000000.00
800000000.00
0.0210
N
N
Y
N
Citigroup Global Markets Holdings Inc/United States
Citigroup Global Markets Holdings Inc/United States 2.483
0CGL03AD6
82VOJDD5PTRDMVVMGV31
0000091154
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
GCB144A ENERGY FUTURE
2019-10-15
9.750000
392000.00
0.39
Corporate Debt Securities
KENYA REP
549300VVURQQYU45PR87
2048-02-28
8.250000
125000.00
133700.52
Other Instrument
International Debt
UNITED MEXICAN STS MT
254900EGTWEU67VP6075
2046-01-23
4.600000
4653000.00
4433068.20
Other Instrument
International Debt
PARAGUAY (REPUBLIC OF
2044-08-11
6.100000
475000.00
514488.33
Other Instrument
International Debt
ITAU UNIBANCO HLDG SA
2099-01-01
6.500000
267000.00
265079.08
Corporate Debt Securities
BAHAMAS COMWLTH
549300W13SXC7EKNJC20
2028-11-21
6.000000
2890000.00
3060028.34
Other Instrument
International Debt
YPF SOCIEDAD ANONIMA
5493003N7447U18U5U53
2025-07-28
8.500000
170000.00
189516.47
Corporate Debt Securities
ARALCO FIN S A
2020-05-07
10.125000
2500000.00
150000.00
Corporate Debt Securities
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2023-09-26
5.750000
300000.00
319193.75
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
2041-01-07
5.625000
100000.00
98781.25
Other Instrument
International Debt
CAISSE D AMORTISSEMEN
969500P04DQJS4BPM574
2020-01-13
1.875000
1300000.00
1290572.83
Other Instrument
International Debt
CANADA GOVT
4BFD7AQU0A75QLAHK410
2022-11-15
2.000000
1000000.00
976774.44
Other Instrument
International Debt
GUATEMALA REP
2026-05-03
4.500000
290000.00
291673.30
Other Instrument
International Debt
INVERSIONES ALSACIA S
2018-12-31
8.000000
30631.00
823.49
Corporate Debt Securities
AKBANK TAS
789000TUMN63Z28TJ497
2028-04-27
6.797000
155.00
153.59
Corporate Debt Securities
INTESA SANPAOLO S P A
2W8N8UU78PMDQKZENC08
2099-12-31
7.700000
2798000.00
2924096.53
Corporate Debt Securities
ARGENTINA REP
549300KPBYGYF7HCHO27
2046-04-22
7.625000
4823000.00
4901390.51
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2026-04-07
6.000000
3800000.00
4268033.34
Other Instrument
International Debt
ARALCO FIN S A
2020-05-07
10.125000
15635000.00
938100.00
Corporate Debt Securities
BANCO NACIONAL DE DES
2018-06-16
6.369000
150000.00
153858.36
Other Instrument
International Debt
DOMINICAN REPUBLIC
2021-05-06
7.500000
1920000.00
2107760.00
Other Instrument
International Debt
CAIXA ECONOMICA FEDER
2018-10-03
4.500000
1650000.00
1692900.00
Corporate Debt Securities
COSTA RICA REP
2019-05-22
4.370000
4000.00
3991.02
Other Instrument
International Debt
DOMINICAN REP
2024-01-28
6.600000
5390000.00
5909074.97
Other Instrument
International Debt
DOMINICAN REP
2027-01-25
5.950000
141000.00
148836.47
Other Instrument
International Debt
PESQUERA EXALMAR S A
2025-01-25
8.000000
200000.00
194797.64
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2027-05-15
10.125000
4000.00
5750.75
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
2030-03-06
12.250000
244000.00
393529.64
Other Instrument
International Debt
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2021-01-14
2.625000
875000.00
868086.41
Corporate Debt Securities
COSTA RICA REP
2044-04-04
7.000000
1924000.00
2053019.16
Other Instrument
International Debt
CHILE REP
549300FLZTJM5YJF8D34
2022-10-30
2.250000
1793000.00
1734391.31
Other Instrument
International Debt
ITAU UNIBANCO HLDG SA
2021-12-21
6.200000
444000.00
473915.73
Corporate Debt Securities
IXION PLC 144A
2045-09-25
2.130700
10000000.00
438.66
Corporate Debt Securities
HONDURAS REP
2027-01-19
6.250000
2517000.00
2686929.66
Other Instrument
International Debt
BANCTEC INC
2021-05-02
9.625000
5760000.00
188735.52
Corporate Debt Securities
AKBANK TAS
2027-03-16
7.200000
6000000.00
6126660.00
Corporate Debt Securities
ARGENTINA REP
2028-07-06
6.625000
100000.00
100077.43
Other Instrument
International Debt
LUMBERMENS MUT CAS CO
2026-07-01
9.150000
376000.00
3.76
Corporate Debt Securities
METROPOLITAN LIFE GLO
635400MMSOCXNNNZDZ82
2018-12-19
1.750000
6055000.00
6052887.48
Corporate Debt Securities
MEXICO-UNITED MEXICAN
2019-12-30
8.125000
945000.00
1061317.03
Other Instrument
International Debt
PERU REP
2027-08-25
4.125000
4823000.00
5058824.60
Other Instrument
International Debt
SOUTH AFRICA REP
549300KEVMSOSY8T8R35
2028-10-12
4.300000
5500000.00
5238459.73
Other Instrument
International Debt
URUGUAY REP
549300RDR012H2V82H43
2022-11-18
8.000000
514214.00
610172.05
Other Instrument
International Debt
CLEAR CHANNEL COMMUNI
54930076J6KDZL504O62
2021-03-01
9.000000
1314000.00
1034775.00
Corporate Debt Securities
EL SALVADOR REP
2019-12-01
7.375000
100000.00
106356.36
Other Instrument
International Debt
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2026-01-14
3.375000
1725000.00
1696298.16
Corporate Debt Securities
PRINCIPAL LIFE GLOBAL
2026-04-18
3.000000
2000000.00
1931833.33
Corporate Debt Securities
BANCO MACRO SA
579100KKDKKIFEBKK040
2026-11-04
6.750000
2020000.00
2085018.75
Corporate Debt Securities
COSTA RICA REP
2025-04-30
4.375000
4662000.00
4459844.68
Other Instrument
International Debt
ITAU UNIBANCO HLDG SA
2099-12-31
6.125000
1000000.00
997494.86
Corporate Debt Securities
JAMAICA GOVT
2025-07-09
7.625000
1000000.00
1180364.44
Other Instrument
International Debt
JOHNSON CTLS INC MTNS
2064-07-02
4.950000
2510000.00
2530312.17
Corporate Debt Securities
KREDITANSTALT FUR WIE
549300GDPG70E3MBBU98
2021-03-15
1.625000
2000000.00
1943503.89
Other Instrument
International Debt
LANDWIRTSCHAFTLICHE R
529900Z3J0N6S0F7CT25
2025-06-10
2.375000
1300000.00
1265213.26
Other Instrument
International Debt
OESTERREICHISCHE KONT
5299000OVRLMF858L016
2020-01-24
1.750000
3300000.00
3268913.08
Other Instrument
International Debt
CAIXA ECONOMICA FEDER
2022-11-07
3.500000
3925000.00
3806486.80
Corporate Debt Securities
COMMONWEALTH BK AUSTR
MSFSBD3QN1GSN7Q6C537
2019-03-13
2.250000
41079000.00
40943028.51
Corporate Debt Securities
ITAU UNIBANCO HLDG SA
2022-03-19
5.650000
900000.00
923012.50
Corporate Debt Securities
ARGENTINE REPUBLIC
2046-04-22
7.625000
300000.00
304876.04
Other Instrument
International Debt
COSTA RICA REP
2045-03-12
7.158000
4199000.00
4403575.98
Other Instrument
International Debt
ARGENTINA REP
549300KPBYGYF7HCHO27
2027-01-26
6.875000
19000.00
19494.78
Other Instrument
International Debt
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2020-07-23
2.625000
1300000.00
1295609.25
Corporate Debt Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2019-01-14
2.000000
1086000.00
1086061.54
Corporate Debt Securities
NEW YORK LIFE GBL FDG
635400DPNHEAUHB7ZI15
2020-02-11
1.950000
1740000.00
1715500.80
Corporate Debt Securities
EL SALVADOR REP
2034-09-21
7.625000
70000.00
74318.61
Other Instrument
International Debt
CORPORACION GEO SA DE
2020-06-30
9.250000
746000.00
74.60
Corporate Debt Securities
GUATEMALA REP
2027-06-05
4.375000
2600000.00
2564520.83
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
2024-04-15
8.875000
641000.00
832934.99
Other Instrument
International Debt
MASSMUTUAL GLBL FDG I
2019-10-11
1.550000
1634000.00
1613694.83
Corporate Debt Securities
SEARS HLDGS CORP
2019-12-15
8.000000
45500.00
16066.56
Corporate Debt Securities
TRU TAJ LLC
2021-08-15
12.000000
3475000.00
2684437.50
Corporate Debt Securities
UNITED MEXICAN STS MT
254900EGTWEU67VP6075
2044-03-08
4.750000
5644000.00
5453632.58
Other Instrument
International Debt
VESSEL MGMT SVCS INC
2035-04-16
5.125000
662000.00
754636.88
Corporate Debt Securities
DOMINICAN REPUBLIC
2044-04-30
7.450000
1010000.00
1172443.07
Other Instrument
International Debt
ARGENTINA REP
549300KPBYGYF7HCHO27
2035-12-15
0.000000
423489.00
35640.83
Other Instrument
International Debt
CLEAR CHANNEL COMMUNI
2027-10-15
7.250000
1500000.00
273750.00
Corporate Debt Securities
CLEAR CHANNEL COMMUNI
54930076J6KDZL504O62
2019-12-15
9.000000
20000.00
15750.00
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2023-01-05
2.625000
1200000.00
1145550.00
Other Instrument
International Debt
DOMINICAN REP
2044-04-30
7.450000
820000.00
951884.47
Other Instrument
International Debt
METROPOLITAN LIFE GLO
635400MMSOCXNNNZDZ82
2018-09-14
1.350000
6000000.00
5970375.00
Corporate Debt Securities
PBF HLDG CO LLC / PBF
2025-06-15
7.250000
141000.00
149945.67
Corporate Debt Securities
PETROLEOS DE VENEZUEL
2026-11-15
6.000000
125000.00
33531.25
Other Instrument
International Debt
UNITED MEXICAN STS MT
254900EGTWEU67VP6075
2021-01-21
3.500000
2608000.00
2651321.78
Other Instrument
International Debt
WASH MUT BK FA CA GLB
2036-05-20
6.750000
2200000.00
2.20
Corporate Debt Securities
ODEBRECHT OFFSHORE DR
2026-12-01
7.720000
402083.00
121229.81
Corporate Debt Securities
BAHAMAS COMWLTH
2028-11-21
6.000000
800000.00
847066.67
Other Instrument
International Debt
BOLIVARIAN REPUBLIC V
2022-08-23
12.750000
600.00
204.57
Other Instrument
International Debt
JACKSON NATL LIFE GBL
2021-10-25
2.100000
150000.00
145785.50
Corporate Debt Securities
JACKSON NATL LIFE GBL
635400PQXLYXWJI5QD78
2018-12-27
2.541550
275000.00
275308.33
Corporate Debt Securities
MOLYCORP INC DEL
2020-06-01
10.000000
32000.00
158.69
Corporate Debt Securities
ROYAL BK CDA
2027-07-16
3.000000
350000.00
343473.67
Corporate Debt Securities
CAIXA ECONOMICA FEDER
2022-11-07
3.500000
550000.00
533393.06
Corporate Debt Securities
ITAU UNIBANCO HLDG SA
2023-05-13
5.125000
400000.00
408744.44
Corporate Debt Securities
PRICOA GLBL FDG I MTN
2018-06-27
2.791550
250000.00
250276.27
Corporate Debt Securities
VENEZUELA REP SR BD 9
2027-09-15
9.250000
15000.00
4864.46
Other Instrument
International Debt
ODEBRECHT OIL & GAS F
2099-12-31
0.000000
124444.00
2768.88
Corporate Debt Securities
PARAGUAY (REPUBLIC OF
2027-03-27
4.700000
700000.00
708932.78
Other Instrument
International Debt
RUSSIAN FEDN
2030-03-31
7.500000
20000.00
10411.15
Other Instrument
International Debt
ESC LEHMAN BRTH
549300FDK6ZP3YIHRJ47
2018-05-02
0.000000
25925000.00
1068110.00
Corporate Debt Securities
MACQUARIE GRP LTD SR
ACMHD8HWFMFUIQQ8Y590
2024-03-27
3.641550
203390.00
205058.27
Corporate Debt Securities
PERU LNG S.R.L.
254900F70J1LOALV5K70
2030-03-22
5.375000
1365000.00
1374753.11
Other Instrument
International Debt
PETROLEOS MEXICANOS
549300CAZKPF4HKMPX17
2022-03-11
5.721400
118000.00
129160.52
Corporate Debt Securities
ARGENTINA REP
549300KPBYGYF7HCHO27
2036-07-06
7.125000
373000.00
364207.30
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2021-01-22
4.875000
300000.00
314421.87
Other Instrument
International Debt
BUENOS AIRES CITY ARG
2021-02-19
8.950000
1843000.00
1994797.67
Corporate Debt Securities
REPUBLIC OF VENEZUELA
2038-03-31
7.000000
59500.00
20260.08
Other Instrument
International Debt
ARGENTINA REP
549300KPBYGYF7HCHO27
2019-04-22
6.250000
162000.00
170951.62
Other Instrument
International Debt
CHILE REP
549300FLZTJM5YJF8D34
2025-03-27
3.125000
3110000.00
3048339.93
Other Instrument
International Debt
COLOMBIA REP
549300MHDRBVRF6B9117
2019-03-18
7.375000
3041000.00
3169492.81
Other Instrument
International Debt
PARAGUAY (REPUBLIC OF
2027-03-27
4.700000
1040000.00
1053271.56
Other Instrument
International Debt
SOUTH AFRICA REP
549300KEVMSOSY8T8R35
2047-09-27
5.650000
95000.00
93241.92
Other Instrument
International Debt
BANCO NACIONAL DE DES
2019-06-10
6.500000
1524000.00
1604498.52
Other Instrument
International Debt
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2020-07-12
5.500000
4918000.00
5134214.40
Other Instrument
International Debt
LUMBERMENS MUT CAS CO
2037-12-01
8.300000
405000.00
4.05
Corporate Debt Securities
NEW YORK LIFE GBL FDG
635400DPNHEAUHB7ZI15
2019-10-24
1.500000
250000.00
246809.58
Corporate Debt Securities
PANAMA REP
549300SHS4T08CL0LP14
2026-01-29
7.125000
907000.00
1126380.62
Other Instrument
International Debt
TAXABLE NEWMAN CAPITA
2032-01-06
5.375000
272946.00
255675.46
Corporate Debt Securities
TRINIDAD & TOBAGO REP
2026-08-04
4.500000
44000.00
45072.50
Other Instrument
International Debt
ARGENTINE REPUBLIC
2036-07-06
7.125000
150000.00
146464.06
Other Instrument
International Debt
DOMINICAN REPUBLIC
2026-01-29
6.875000
856000.00
957828.33
Other Instrument
International Debt
REPUBLIC OF VENEZUELA
2018-12-01
7.000000
1086000.00
399322.20
Other Instrument
International Debt
REPUBLICA ORIENTAL DE
549300RDR012H2V82H43
2036-03-21
7.625000
1019321.00
1388003.74
Other Instrument
International Debt
PERU LNG S.R.L.
2030-03-22
5.375000
200000.00
201429.03
Other Instrument
International Debt
PETROLEOS DE VENEZUEL
549300YWR8TN1OFD4P06
2022-02-17
12.750000
378000.00
126630.00
Other Instrument
International Debt
REPUBLIC OF VENEZUELA
2019-10-13
7.750000
7356900.00
2170285.50
Other Instrument
International Debt
VENEZUELA REP SR GLBL
2018-08-15
13.625000
31000.00
12173.70
Other Instrument
International Debt
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2019-04-14
4.000000
920000.00
944226.67
Other Instrument
International Debt
SAMARCO MINERACAO SA
2024-09-26
5.375000
2500000.00
1850000.00
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2024-04-15
8.875000
211000.00
274179.85
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
2019-10-14
8.875000
5000.00
5653.39
Other Instrument
International Debt
INDONESIA REP
529900FWX0GRR7WG5W79
2028-01-11
3.500000
1089000.00
1053901.53
Other Instrument
International Debt
ARGENTINE REPUBLIC
549300KPBYGYF7HCHO27
2117-06-28
7.125000
4509000.00
4200180.47
Other Instrument
International Debt
COSTA RICA REP
2020-08-01
9.995000
545000.00
616859.92
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2025-01-07
4.250000
1908000.00
1914068.50
Other Instrument
International Debt
CANADA GOVT
2019-02-27
1.625000
1000000.00
995964.44
Other Instrument
International Debt
CONCORDIA INTL CORP
549300WZSXRSISJ4VI31
2023-04-15
7.000000
1218000.00
118010.67
Corporate Debt Securities
EUROPEAN INVT BK
2018-12-18
1.625000
2000000.00
2001058.05
Corporate Debt Securities
PERU REP
2050-11-18
5.625000
1819000.00
2215485.15
Other Instrument
International Debt
ARGENTINA REP
549300KPBYGYF7HCHO27
2033-12-31
8.280000
5001.00
7660.16
Other Instrument
International Debt
METROPOLITAN LIFE GLO
635400MMSOCXNNNZDZ82
2026-12-18
3.450000
175000.00
173386.35
Corporate Debt Securities
SLM CORP
54930067J0ZNOEBRW338
2033-08-01
5.625000
725000.00
640945.31
Corporate Debt Securities
UNITED MEXICAN STS MT
254900EGTWEU67VP6075
2034-09-27
6.750000
2067000.00
2555731.82
Other Instrument
International Debt
ODEBRECHT DRILLING NO
549300YNW6BY570L6488
2021-12-01
6.350000
1.00
0.77
Corporate Debt Securities
LEHMAN BROS INC
2026-08-01
7.500000
1071000.00
15353.55
Corporate Debt Securities
NATIONAL BK OF CANADA
2020-01-16
0.000000
25000.00
24681.78
Corporate Debt Securities
PETROLEOS MEXICANOS
2024-02-15
2.830000
135000.00
81378.99
Corporate Debt Securities
PETROLEOS DE VENEZUEL
549300YWR8TN1OFD4P06
2024-05-16
6.000000
95826.00
25530.92
Other Instrument
International Debt
ODEBRECHT DRILLING NO
2026-12-01
7.350000
134034.00
68189.35
Corporate Debt Securities
EL SALVADOR REP
529900AKDMUSFSDOM949
2023-01-24
7.750000
469000.00
516506.44
Other Instrument
International Debt
CORPORACION GEO SA DE
2022-03-27
8.875000
16116000.00
1611.60
Corporate Debt Securities
NEUQUEN PROV ARGENTIN
2028-05-12
8.625000
1596000.00
1691457.42
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2028-01-13
4.625000
608000.00
599648.44
Other Instrument
International Debt
COLOMBIA REP
2033-01-28
10.375000
1505000.00
2414140.19
Other Instrument
International Debt
MASSMUTUAL GLBL FDG I
549300K1IE3K7YU6VG29
2025-01-11
2.950000
3268000.00
3182416.53
Corporate Debt Securities
ARGENTINA REP
549300KPBYGYF7HCHO27
2028-01-11
5.875000
3605000.00
3412958.65
Other Instrument
International Debt
BANCO DEL ESTADO DE C
5493004R4EJC0W0XVQ72
2022-02-08
3.875000
909000.00
919816.72
Other Instrument
International Debt
IHEARTCOMMUNICATIONS
2022-09-15
9.000000
100000.00
78750.00
Corporate Debt Securities
UBS AG STAMFORD BRH
BFM8T61CT2L1QCEMIK50
2019-08-14
2.375000
691000.00
688483.90
Corporate Debt Securities
NOBLE GROUP LTD
2020-01-29
6.750000
2200000.00
1006500.00
Corporate Debt Securities
EL SALVADOR REP
529900AKDMUSFSDOM949
2041-02-01
7.625000
655000.00
694289.99
Other Instrument
International Debt
EL SALVADOR REP
2029-02-28
8.625000
658000.00
759942.02
Other Instrument
International Debt
BANCO CRUZEIRO DO SUL
2020-09-22
8.875000
425000.00
4.25
Corporate Debt Securities
CLEAR CHANNEL COMMUNI
2021-03-01
11.250000
328000.00
258300.00
Corporate Debt Securities
COLOMBIA REP
549300MHDRBVRF6B9117
2021-07-12
4.375000
2612000.00
2726556.15
Other Instrument
International Debt
ITAU UNIBANCO HLDG SA
2018-05-26
2.850000
260000.00
262531.75
Corporate Debt Securities
NIGERIA FED REP
549300GSBZD84TNEQ285
2038-02-23
7.696000
4700000.00
4924171.20
Other Instrument
International Debt
URUGUAY REP
549300RDR012H2V82H43
2033-01-15
7.875000
2645024.00
3653274.09
Other Instrument
International Debt
ARAB REP EGYPT
529900GFIVH4086NMH82
2047-01-31
8.500000
700000.00
791570.11
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2045-01-27
5.000000
3000000.00
2695833.34
Other Instrument
International Debt
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-05-18
2018-07-18
Y
CITIGROUP GLOBAL MARKETS INC.
1.0000
50
N
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
N
N
0.0252
237200000.00
237200000.00
0.0062
N
N
N
Y
Citigroup Global Markets Holdings Inc/United States
Citigroup Global Markets Holdings Inc/United States 2.912
0CGL03AF1
82VOJDD5PTRDMVVMGV31
0000831001
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
LEHMAN XS TRUST 2007-
2047-03-25
1.860700
8000000.00
4527116.65
Private Label Collateralized Mortgage Obligations
CITIGROUP COML MTG 20
2049-10-18
0.486070
221500000.00
4190.26
Private Label Collateralized Mortgage Obligations
CSFB COML MTG PTC 199
2040-05-17
1.887370
25500000.00
624.03
Private Label Collateralized Mortgage Obligations
COMM 2007-C9
2049-12-10
0.306098
2598990382.00
17982.31
Private Label Collateralized Mortgage Obligations
LB-UBS CMBS 2005-C1
2040-02-15
0.154880
266893000.00
5391.51
Private Label Collateralized Mortgage Obligations
FIRST UNION-LEHMAN BR
2035-11-18
1.089662
15000000.00
2584.68
Private Label Collateralized Mortgage Obligations
LB COMMERCIAL MTG TR
2035-10-15
1.509470
229500000.00
14169.78
Private Label Collateralized Mortgage Obligations
ISCHUS MEZZANINE CDO
2046-07-03
0.824890
396000000.00
103187587.13
Other Instrument
Collateralized Debt Obligation
PINE MTN II CDO 2007-
2046-11-30
1.421220
347059772.00
71542371.48
Other Instrument
Collateralized Debt Obligation
GREENWICH CAP CMBS 20
2042-08-12
0.784630
484390000.00
37681.30
Private Label Collateralized Mortgage Obligations
CWALT INC 2007-OA3
2047-04-25
2.000000
1.00
0.02
Private Label Collateralized Mortgage Obligations
CD 2007-CD4 MTG TRUST
5493006ZXL5DGZK5G872
2049-12-11
0.436490
214557002.00
10876.60
Private Label Collateralized Mortgage Obligations
BB-UBS TRUST 2012-SHO
2036-11-07
3.430200
61636516.00
61334484.76
Private Label Collateralized Mortgage Obligations
LEHMAN MTG TR 2006-7
2036-11-25
4.678500
90202000.00
7867848.54
Private Label Collateralized Mortgage Obligations
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-07-02
2019-03-27
Y
CITIGROUP GLOBAL MARKETS INC.
1.0000
95
N
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
N
N
0.0295
227200000.00
227200000.00
0.0060
N
N
N
Y
City & County of San Francisco CA
City & County of San Francisco CA 1.830
79765PDK6
549300RA28ZEFOB6M782
US79765PDK66
Variable Rate Demand Note
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
VMIG1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2056-11-01
Y
BANK OF CHINA-NEW YORK
1.0000
8
N
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
Y
BANK OF CHINA-NEW YORK
1.0000
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
N
0.0183
24190000.00
24190000.00
0.0006
N
N
Y
N
City & County of San Francisco CA
City & County of San Francisco CA 1.910
79765PDJ9
549300RA28ZEFOB6M782
US79765PDJ93
Variable Rate Demand Note
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
VMIG1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2056-11-01
Y
BANK OF CHINA-NEW YORK
1.0000
8
N
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
Y
BANK OF CHINA-NEW YORK
1.0000
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
N
0.0191
15190000.00
15190000.00
0.0004
N
N
Y
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 2.081
20272AZE9
MSFSBD3QN1GSN7Q6C537
US20272AZE99
0000008565
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-26
2018-11-26
2018-11-26
N
N
N
0.0211
124850971.25
124850971.25
0.0033
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.838
20272AYG5
MSFSBD3QN1GSN7Q6C537
US20272AYG56
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-30
2018-08-31
2018-08-31
N
N
N
0.0187
44972763.75
44972763.75
0.0012
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.940
20272AYV2
MSFSBD3QN1GSN7Q6C537
US20272AYV24
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-10
2018-10-10
2018-10-10
N
N
N
0.0197
82920337.43
82920337.43
0.0022
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.856
20272AXF8
MSFSBD3QN1GSN7Q6C537
US20272AXF82
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-05
2018-05-31
2018-05-31
N
N
N
0.0188
50008112.50
50008112.50
0.0013
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.940
20272AYU4
MSFSBD3QN1GSN7Q6C537
US20272AYU41
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-17
2018-10-12
2018-10-12
N
N
N
0.0197
164835757.35
164835757.35
0.0043
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 2.072
0D8170N
MSFSBD3QN1GSN7Q6C537
XS1602282029
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-18
2018-04-18
2018-04-18
N
N
N
0.0210
160004796.80
160004796.80
0.0042
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.932
20272AZJ8
MSFSBD3QN1GSN7Q6C537
US20272AZJ86
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-14
2018-12-07
2018-12-07
N
N
N
0.0196
49941673.50
49941673.50
0.0013
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.977
20272AYX8
MSFSBD3QN1GSN7Q6C537
US20272AYX89
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-20
2018-10-15
2018-10-15
N
N
N
0.0201
29969696.70
29969696.70
0.0008
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.991
0D6087N
MSFSBD3QN1GSN7Q6C537
XS1596700077
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-05
2018-04-05
2018-04-05
N
N
N
0.0202
59999800.80
59999800.80
0.0016
N
N
Y
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.864
20272AZB5
MSFSBD3QN1GSN7Q6C537
US20272AZB50
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-06
2018-11-01
2018-11-01
N
N
N
0.0189
86906893.47
86906893.47
0.0023
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 2.101
20272AZM1
MSFSBD3QN1GSN7Q6C537
0000008565
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-23
2018-12-21
2018-12-21
N
N
N
0.0213
124871741.25
124871741.25
0.0033
N
N
N
N
Commonwealth Bank of Australia
Commonwealth Bank of Australia 1.988
20272AYB6
MSFSBD3QN1GSN7Q6C537
US20272AYB69
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-23
2018-08-17
2018-08-17
N
N
N
0.0203
87322950.38
87322950.38
0.0023
N
N
N
N
Commonwealth Bank of Australia/New York NY
Commonwealth Bank of Australia/New York NY 2.558
20271ENJ4
MSFSBD3QN1GSN7Q6C537
US20271ENJ46
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-07-03
2019-04-03
2019-04-03
N
N
N
0.0256
50000000.00
50000000.00
0.0013
N
N
N
N
Commonwealth Bank of Australia/New York NY
Commonwealth Bank of Australia/New York NY 2.496
20271ENH8
MSFSBD3QN1GSN7Q6C537
US20271ENH89
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-30
2019-01-28
2019-01-28
N
N
N
0.0253
124980138.75
124980138.75
0.0033
N
N
N
N
Concord Minutemen Capital Co LLC
Concord Minutemen Capital Co LLC 2.057
2063C1EX4
549300B4YYZ4SNU1JB49
US2063C1EX45
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-31
2018-05-31
2018-05-31
N
Y
BNP PARIBAS SA
0.4070
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
CREDIT SUISSE INTERNATIONAL
0.0350
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
MUFG SECURITIES EMEA PLC(REPO)
0.1880
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
NATIXIS
0.0520
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
SOCIETE GENERALE SA
0.0170
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
SUMITOMO MITSUI BANKING CORPORATION
0.0490
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
STATE STREET BANK & TRUST CO. (BOSTON)
0.1440
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
UBS AG
0.1080
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0206
74727393.75
74727393.75
0.0020
N
N
N
N
Concord Minutemen Capital Co LLC
Concord Minutemen Capital Co LLC 1.955
2063C1EG1
549300B4YYZ4SNU1JB49
US2063C1EG12
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-16
2018-05-16
2018-05-16
N
Y
BNP PARIBAS SA
0.4070
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
CREDIT SUISSE INTERNATIONAL
0.0350
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
MUFG SECURITIES EMEA PLC(REPO)
0.1880
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
NATIXIS
0.0520
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
SOCIETE GENERALE SA
0.0170
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
SUMITOMO MITSUI BANKING CORPORATION
0.0490
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
STATE STREET BANK & TRUST CO. (BOSTON)
0.1440
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
UBS AG
0.1080
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0196
49866533.50
49866533.50
0.0013
N
N
N
N
COOPERATIEVE RABOBANK TD
COOPERATIEVE RABOBANK TD 1.700
0RAB01M42
0001098062
Non-Negotiable Time Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0170
375000000.00
375000000.00
0.0098
N
Y
Y
N
COOPERATIEVE RABOBANK TD
COOPERATIEVE RABOBANK TD 1.710
0RAB01M18
0001098062
Non-Negotiable Time Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-03
2018-04-03
2018-04-03
N
N
N
0.0171
500000000.00
500000000.00
0.0131
N
N
Y
N
COOPERATIEVE RABOBANK UA
COOPERATIEVE RABOBANK UA 1.918
7D4176N
DG3RU1DBUFHT4ZF9WN62
XS1772116726
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-08-09
2018-08-09
2018-08-09
N
N
N
0.0194
200016116.00
200016116.00
0.0052
N
N
N
N
Cooperatieve Rabobank UA/London
Cooperatieve Rabobank UA/London 2.032
3D5849N
DG3RU1DBUFHT4ZF9WN62
XS1673828866
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-25
2018-05-25
2018-05-25
N
N
N
0.0206
93997242.04
93997242.04
0.0025
N
N
N
N
Cooperatieve Rabobank UA/NY
Cooperatieve Rabobank UA/NY 1.920
21684B3Y8
DG3RU1DBUFHT4ZF9WN62
US21684B3Y85
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-10
2018-11-13
2018-11-13
N
N
N
0.0195
99857912.00
99857912.00
0.0026
N
N
N
N
Cooperatieve Rabobank UA/NY
Cooperatieve Rabobank UA/NY 1.866
21684B4L5
DG3RU1DBUFHT4ZF9WN62
US21684B4L55
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-03
2018-08-03
2018-08-03
N
N
N
0.0189
199915084.00
199915084.00
0.0052
N
N
N
N
Cooperatieve Rabobank UA/NY
Cooperatieve Rabobank UA/NY 1.962
21684B3D4
DG3RU1DBUFHT4ZF9WN62
US21684B3D49
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-19
2018-06-20
2018-06-20
N
N
N
0.0199
58998732.68
58998732.68
0.0015
N
N
N
N
CREDIT AGRICOLE CIB,NE TD
CREDIT AGRICOLE CIB,NE TD 1.690
0QV001Y42
0001330437
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0169
271142000.00
271142000.00
0.0071
N
Y
Y
N
Credit Agricole Corporate and Investment Bank/New York
Credit Agricole Corporate and Investment Bank/New York 1.690
22533UD26
1VUV7VQFKUOQSJ21A208
US22533UD261
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0169
45091927.10
45091927.10
0.0012
N
Y
Y
N
Credit Industriel et Commercial/New York
Credit Industriel et Commercial/New York 2.280
22536URM4
N4JDFKKH2FTD8RKFXO39
US22536URM44
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-22
2018-06-22
2018-06-22
N
N
N
0.0228
50005403.50
50005403.50
0.0013
N
N
N
N
Credit Industriel et Commercial/New York
Credit Industriel et Commercial/New York 2.057
22536UQN3
N4JDFKKH2FTD8RKFXO39
US22536UQN36
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-07-30
2018-07-30
N
N
N
0.0209
89968342.50
89968342.50
0.0024
N
N
N
N
Credit Industriel et Commercial/New York
Credit Industriel et Commercial/New York 1.976
22536UQF0
N4JDFKKH2FTD8RKFXO39
US22536UQF02
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-16
2018-07-16
2018-07-16
N
N
N
0.0200
399927452.00
399927452.00
0.0105
N
N
N
N
Credit Industriel et Commercial/New York
Credit Industriel et Commercial/New York 2.067
22536UPD6
N4JDFKKH2FTD8RKFXO39
US22536UPD62
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-28
2018-08-28
2018-08-28
N
N
N
0.0210
71958543.84
71958543.84
0.0019
N
N
N
N
Credit Suisse AG/New York NY
Credit Suisse AG/New York NY 2.012
22549LEP6
ANGGYXNX0JLX3X63JN86
US22549LEP67
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-20
2018-04-20
2018-04-20
N
N
N
0.0204
150021351.00
150021351.00
0.0039
N
N
N
N
Credit Suisse AG/New York NY
Credit Suisse AG/New York NY 2.085
22549LJW6
ANGGYXNX0JLX3X63JN86
US22549LJW63
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-27
2018-07-27
2018-07-27
N
N
N
0.0212
99973818.00
99973818.00
0.0026
N
N
N
N
Credit Suisse Securities USA LLC
Credit Suisse Securities USA LLC 2.102
0CSN01IC7
1V8Y6QCX6YMJ2OELII46
0001230485
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
TROPIC CDO V LTD/TROP
54930035IX0Y8SG8GI72
2036-07-15
1.649170
39500000.00
19060472.81
Asset-Backed Securities
PROSPER MARKETPLACE I
549300WV6NCA12RVBP15
2024-06-17
5.700000
22000000.00
21996287.05
Asset-Backed Securities
NATIONAL COLLEGIATE 2
2038-03-31
2.305990
19673000.00
6736465.08
Asset-Backed Securities
ABS ING 04/25/31 0.00
5493007ASGBOUR3XJY69
2031-04-25
0.000000
18750000.00
18750000.00
Asset-Backed Securities
NISOURCE INC
2018-04-02
0.000000
15562000.00
15559043.84
Money Market
OFSI FD V LTD
5493005KH0QN3KP2M560
2025-04-17
0.000000
15250000.00
3269371.07
Asset-Backed Securities
VOLT XXV LLC
2045-06-26
4.500000
14735000.00
14686241.43
Asset-Backed Securities
VOYA CLO 2015-2 LTD
2027-07-23
0.000000
13000000.00
9545106.77
Asset-Backed Securities
PINNACLE PK CLO LTD
2026-04-15
0.000000
12500000.00
5300249.90
Asset-Backed Securities
DEUTSCHE BK AG FRANKF
2020-07-01
4.825500
10954046.00
11174769.16
Asset-Backed Securities
ACA ABS 2006-1 LIMIT
549300KMKXQOD2P17F35
2041-06-10
2.511400
10100000.00
8616.61
Asset-Backed Securities
RMAT 2015-PR2 LLC
2035-11-25
8.850000
10000000.00
5949806.53
Asset-Backed Securities
NATIONAL COLLEGIATE I
2038-03-25
0.000000
10000000.00
3717117.31
Asset-Backed Securities
CONSUMER INSTALLMENT
2022-07-15
5.500000
9511000.00
9430059.41
Asset-Backed Securities
VENTURE XV CLO LTD
549300UYHZCJPN3LMT03
2028-07-15
0.000000
9000000.00
5991003.51
Asset-Backed Securities
VOYA CLO 2013-2 LTD
5493007ASGBOUR3XJY69
2031-04-25
0.000000
9000000.00
8459999.98
Asset-Backed Securities
KODIAK CDO 11 LTD/CO
2042-11-07
2.693450
9000000.00
6018668.67
Asset-Backed Securities
HELIOS ISSUER LLC
2049-09-20
4.940000
8650000.00
8370907.02
Asset-Backed Securities
ALPINE S LTD/ALPINE S
2018-08-21
1.845630
7900000.00
7897550.96
Money Market
NORTHWOODS CAP XVII L
549300VSNJNLNM3KF997
2031-04-22
0.000000
6550000.00
6550000.00
Asset-Backed Securities
PROSPER MARKETPLACE I
549300WV6NCA12RVBP15
2024-06-17
3.110000
6295000.00
6294513.31
Asset-Backed Securities
CSMC 2016-RPL1 TR
2046-12-26
0.000000
6275000.00
4586176.39
Asset-Backed Securities
MCCORMICK & COMPANY
2018-04-02
0.000000
6260000.00
6258810.85
Money Market
TES 2017-1 LLC
2047-10-20
7.740000
6000000.00
5967323.97
Asset-Backed Securities
VOLT LV LLC
2047-03-25
5.875000
6000000.00
5998743.37
Asset-Backed Securities
CBAM 2018-5 LTD / CBA
25490038OT2B8HTRW786
2031-04-17
0.000000
5700000.00
5700000.00
Asset-Backed Securities
ABS ING 04/25/31 0.00
5493007ASGBOUR3XJY69
2031-04-25
0.000000
5500000.00
5500000.00
Asset-Backed Securities
VOLT LIX LLC
2047-05-25
5.375000
5287000.00
5285400.49
Asset-Backed Securities
NISOURCE INC
2018-04-06
0.000000
5000000.00
4997453.99
Money Market
HELIOS ISSUER LLC
2049-09-20
8.000000
5000000.00
4722662.75
Asset-Backed Securities
NATIONAL COLLEGIATE V
2043-06-01
0.000000
5000000.00
1450387.24
Asset-Backed Securities
NATIONAL COLLEGIATE V
2038-03-26
1.296000
5000000.00
1726356.74
Asset-Backed Securities
KODIAK CDO 11 LTD/CO
2042-11-07
2.493450
5000000.00
4012500.15
Asset-Backed Securities
ALESCO PREFERRED FUND
2035-07-23
1.728300
5000000.00
1547532.45
Asset-Backed Securities
NATIONAL COLLEGIATE I
2045-06-01
0.000000
4950000.00
1455300.00
Asset-Backed Securities
NATIONAL COLLEGIATE I
2045-06-01
0.000000
4950000.00
1455300.00
Asset-Backed Securities
MP CLO IV LTD
549300X19NY1Q4WRDY28
2029-07-25
0.000000
4750000.00
2320237.26
Asset-Backed Securities
KVK CLO 2013-1 LTD
5493007VGL59COTLZY21
2028-01-15
0.000000
4250000.00
2139897.73
Asset-Backed Securities
OAKTOWN RE LTD
549300CG2B8QR5YHPJ68
2027-04-25
0.000000
4020000.00
4152752.46
Asset-Backed Securities
PURCHASING PWR FDG 20
549300DP4RU1UHI1IM42
2022-08-15
3.340000
4000000.00
4005156.10
Asset-Backed Securities
HELIOS ISSUER LLC
2049-09-20
6.000000
4000000.00
3800559.93
Asset-Backed Securities
CATAMARAN CLO 2015-1
549300KB6N80OR7B9109
2027-04-22
0.000000
3348000.00
2229105.10
Asset-Backed Securities
CIFC FDG 2015-III LTD
549300UDPJ30BQP2HX62
2029-04-19
0.000000
3108108.00
2515121.53
Asset-Backed Securities
VOLT XXXVIII LLC
2045-09-25
4.500000
2620000.00
2608932.66
Asset-Backed Securities
VOLT LIV LLC
2047-02-25
5.875000
2000000.00
2000384.11
Asset-Backed Securities
CUMBERLAND PK CLO LTD
549300FV0ALYM6MGQ903
2026-07-20
0.000000
2000000.00
1293616.06
Asset-Backed Securities
EI DUPONT
GLU7INWNWH88J9XBXD45
2018-04-02
0.000000
900000.00
899736.66
Money Market
EI DUPONT
2018-04-04
0.000000
825000.00
824669.50
Money Market
EI DUPONT
GLU7INWNWH88J9XBXD45
2018-04-06
0.000000
500000.00
499732.02
Money Market
UNIFIN FINANCIERA S A
5493007GRMPGDJG93Z17
2049-12-31
8.875000
420000.00
409499.99
Money Market
PROSPER MARKETPLACE I
549300WV6NCA12RVBP15
2024-06-17
3.900000
350000.00
349984.20
Asset-Backed Securities
PROSPER MARKETPLACE I
549300WV6NCA12RVBP15
2024-06-17
4.870000
350000.00
349953.56
Asset-Backed Securities
COINSTAR FDG LLC
2047-04-25
5.216000
325000.00
333720.28
Asset-Backed Securities
ENGS COML FIN TR 2015
2021-10-22
2.310000
320000.00
57442.25
Asset-Backed Securities
ABS ING 04/25/31 0.00
5493007ASGBOUR3XJY69
2031-04-25
0.000000
200000.00
200000.00
Asset-Backed Securities
VOLT LVI LLC
2047-03-25
5.875000
195000.00
195066.25
Asset-Backed Securities
CSMC 2017-1 TR
2021-03-25
4.500000
150000.00
97721.58
Asset-Backed Securities
ACADEMIC LN FDG TR 20
2044-12-27
0.000000
2500.00
1812500.15
Asset-Backed Securities
BANC OF AMERICA FUNDI
2036-08-25
2.181500
13161123.00
108133.60
Private Label Collateralized Mortgage Obligations
CSMC MORGAGE-BACKED T
2037-04-25
2.121500
6000000.00
197135.38
Private Label Collateralized Mortgage Obligations
DEUTSCHE ALT-A SECURI
2035-09-25
5.250000
2203000.00
465175.40
Private Label Collateralized Mortgage Obligations
FEDERAL HOME LN MTG C
2030-09-25
2.558320
4500000.00
4500000.25
Private Label Collateralized Mortgage Obligations
GREENPOINT MORTGAGE F
2046-12-25
1.700700
100000000.00
14389.20
Private Label Collateralized Mortgage Obligations
IMPERIAL CMB TRUST SE
2035-03-25
2.571500
20000000.00
528107.56
Private Label Collateralized Mortgage Obligations
SU CASITA TRUST
2035-08-26
1.791370
128931674.00
25660979.37
Private Label Collateralized Mortgage Obligations
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-05
2018-05-03
2018-05-07
Y
CREDIT SUISSE SECURITIES (USA) LLC
1.0000
35
N
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
N
N
0.0213
300000000.00
300000000.00
0.0079
N
N
N
Y
Credit Suisse Securities USA LLC
Credit Suisse Securities USA LLC 2.102
0CSF12OE0
1V8Y6QCX6YMJ2OELII46
0001230485
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
LEGACY MTG ASSET TR 2
2070-01-28
11.330210
52695000.00
47024139.41
Asset-Backed Securities
AVANT LNS FDG TR 2016
2021-01-15
9.790000
48435000.00
43746900.60
Asset-Backed Securities
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-05
2018-05-03
2018-05-07
Y
CREDIT SUISSE SECURITIES (USA) LLC
1.0000
35
N
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
N
N
0.0213
85000000.00
85000000.00
0.0022
N
N
N
Y
Credit Suisse Securities USA LLC
Credit Suisse Securities USA LLC 1.880
0CSN01IL7
1V8Y6QCX6YMJ2OELII46
0001230485
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
LOANDEPOT GMSR MASTER
2021-12-16
5.213500
40000000.00
40308593.90
Asset-Backed Securities
SOUNDVIEW HOME LOAN T
2037-02-25
3.871500
36324000.00
3490264.74
Asset-Backed Securities
CBAM 2018-5 LTD / CBA
25490038OT2B8HTRW786
2031-04-17
0.000000
30199800.00
30199800.00
Asset-Backed Securities
CSMC 2016-RPL1 TR
2046-12-26
0.000000
20542856.00
15014049.59
Asset-Backed Securities
AVANT LNS FDG TR 2016
2021-01-15
9.790000
2065000.00
1865125.42
Asset-Backed Securities
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-04
2018-04-04
N
N
N
0.0188
85000000.00
85000000.00
0.0022
N
N
Y
N
Crown Point Capital Co LLC
Crown Point Capital Co LLC 1.987
2284K1EX7
549300LXH4KLRKIKII81
US2284K1EX73
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-31
2018-05-31
2018-05-31
N
Y
CREDIT SUISSE AG
0.8460
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
STATE STREET BANK & TRUST CO. (BOSTON)
0.1540
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0199
49812575.00
49812575.00
0.0013
N
N
N
N
Danske Corp
Danske Corp 2.093
2363F7F11
US2363F7F112
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-01
2018-06-01
2018-06-01
N
N
N
0.0209
104597173.80
104597173.80
0.0027
N
N
N
N
DBS Bank Ltd
DBS Bank Ltd 2.029
23305EF73
ATUEL7OJR5057F2PV266
US23305EF734
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-06-07
2018-06-07
2018-06-07
N
N
N
0.0203
89622000.00
89622000.00
0.0024
N
N
N
N
DBS Bank Ltd
DBS Bank Ltd 2.210
23305EFD0
ATUEL7OJR5057F2PV266
US23305EFD04
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-06-13
2018-06-13
2018-06-13
N
N
N
0.0221
395144422.00
395144422.00
0.0104
N
N
N
N
DBS Bank Ltd
DBS Bank Ltd 1.732
23305EDJ9
ATUEL7OJR5057F2PV266
US23305EDJ91
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-18
2018-04-18
2018-04-18
N
N
N
0.0173
99894833.00
99894833.00
0.0026
N
N
N
N
Dexia Credit Local SA
Dexia Credit Local SA 1.838
3D6902N
F4G136OIPBYND1F41110
FR0124534415
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA
Standard & Poor's Short Rating
A-1+
2018-04-30
2018-05-30
2018-05-30
N
Y
DEXIA GROUP
1.0000
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA
Standard & Poor's Short Rating
A-1+
N
0.0186
205003845.80
205003845.80
0.0054
N
N
N
N
DNB Bank ASA
DNB Bank ASA 1.880
2332K4GJ7
549300GKFG0RYRRQ1414
US2332K4GJ73
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-13
2018-04-13
2018-04-13
N
N
N
0.0191
65003858.40
65003858.40
0.0017
N
N
N
N
DNB Bank ASA
DNB Bank ASA 1.972
2332K4GM0
549300GKFG0RYRRQ1414
US2332K4GM03
0001115828
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-20
2018-06-20
2018-06-20
N
N
N
0.0200
100000150.00
100000150.00
0.0026
N
N
N
N
DZ BANK AG 1.72 03APR2 TD
DZ BANK AG 1.72 03APR2 TD 1.720
0DZB02BW4
0001083675
Non-Negotiable Time Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-03
2018-04-03
2018-04-03
N
N
N
0.0172
500000000.00
500000000.00
0.0131
N
N
Y
N
ERSTE GROUP BANK AG 1. TD
ERSTE GROUP BANK AG 1. TD 1.710
0EBO01C68
0001115828
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A3
Moody's Short Rating
P-2
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-03
2018-04-03
2018-04-03
N
N
N
0.0171
100000000.00
100000000.00
0.0026
N
N
Y
N
First Abu Dhabi Bank PJSC
First Abu Dhabi Bank PJSC 2.311
31849MFF3
2138002Y3WMK6RZS8H90
US31849MFF32
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-06-15
2018-06-15
2018-06-15
N
N
N
0.0231
174145357.75
174145357.75
0.0046
N
N
N
N
First Abu Dhabi Bank PJSC
First Abu Dhabi Bank PJSC 1.955
31849MEE7
2138002Y3WMK6RZS8H90
US31849MEE75
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-05-14
2018-05-14
2018-05-14
N
N
N
0.0196
194685441.09
194685441.09
0.0051
N
N
N
N
HSBC Bank PLC
HSBC Bank PLC 1.946
40433FKG3
MP6I5ZYZBEU3UXPYFY54
US40433FKG36
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-16
2018-08-10
2018-08-10
N
N
N
0.0197
29984716.50
29984716.50
0.0008
N
N
N
N
HSBC Bank PLC
HSBC Bank PLC 1.896
40433FKS7
MP6I5ZYZBEU3UXPYFY54
US40433FKS73
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-08
2018-11-05
2018-11-05
N
N
N
0.0193
31965454.08
31965454.08
0.0008
N
N
N
N
HSBC Bank PLC
HSBC Bank PLC 1.862
40433FKD0
MP6I5ZYZBEU3UXPYFY54
US40433FKD05
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-06
2018-08-03
2018-08-03
N
N
N
0.0189
74965512.00
74965512.00
0.0020
N
N
N
N
HSBC Bank PLC
HSBC Bank PLC 2.081
40433FKK4
MP6I5ZYZBEU3UXPYFY54
US40433FKK48
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-26
2018-10-26
2018-10-26
N
N
N
0.0211
149852997.00
149852997.00
0.0039
N
N
N
N
HSBC Securities USA Inc
HSBC Securities USA Inc 1.930
0HSN20WI7
CYYGQCGNHMHPSMRL3R97
0001140465
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ALTICE S A
2221006ZDZREFLFIFQ42
2022-05-15
7.750000
8000000.00
7419999.83
Corporate Debt Securities
K. HOVNANIAN ENTERPRI
549300JJCQ0KAI7CJG32
2021-11-01
2.000000
4000000.00
3199999.81
Corporate Debt Securities
RITE AID CORP
2021-06-15
6.750000
3702000.00
3762157.18
Corporate Debt Securities
BOMBARDIER INC
W7L3VLU8EHQY34Z36697
2021-12-01
8.750000
3000000.00
3296250.00
Corporate Debt Securities
TRANSOCEAN SEDCO FORE
DOL4HJ22ADYSIWES4H94
2022-10-15
3.800000
28000.00
26880.00
Corporate Debt Securities
BOMBARDIER INC
W7L3VLU8EHQY34Z36697
2024-12-01
7.500000
6155000.00
6385812.31
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2025-09-15
11.000000
65000.00
49040.55
Corporate Debt Securities
BOMBARDIER INC
W7L3VLU8EHQY34Z36697
2022-10-15
6.000000
10000000.00
9904499.51
Corporate Debt Securities
BOMBARDIER INC
W7L3VLU8EHQY34Z36697
2023-01-15
6.125000
45000.00
44887.05
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2022-09-15
10.500000
662000.00
554425.00
Corporate Debt Securities
ALTICE US FIN II CORP
2025-07-15
7.750000
606000.00
639330.02
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2025-01-15
6.875000
5000000.00
2962499.95
Corporate Debt Securities
SBA COMMUNICATIONS CO
2024-09-01
4.875000
309000.00
302047.50
Corporate Debt Securities
INTELSAT JACKSON HOLD
8XJ8KF85PBKK1TLMFN29
2022-09-30
9.500000
7500000.00
8559374.92
Corporate Debt Securities
AMERICAN MIDSTREAM PA
2021-12-15
8.500000
2000000.00
2015000.12
Corporate Debt Securities
ALERIS INTERNATIONAL
5493002SZ3VN4IY2H022
2021-04-01
9.500000
3600000.00
3726000.07
Corporate Debt Securities
NOBLE HOLDING INTERNA
549300GNEZBJHMST9U32
2026-02-01
7.875000
6000000.00
5940000.43
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2023-01-15
7.125000
5000000.00
3350000.00
Corporate Debt Securities
TELESAT CANADA / TELE
2024-11-15
8.875000
4320000.00
4741200.20
Corporate Debt Securities
POST HLDGS INC
JM1I5YUAURL6DC8N1468
2026-08-15
5.000000
80000.00
75300.00
Corporate Debt Securities
POST HLDGS INC
JM1I5YUAURL6DC8N1468
2028-01-15
5.625000
4000000.00
3799999.97
Corporate Debt Securities
FIRST QUANTUM VENTURE
549300I7UVBGWRYMYZ18
2022-05-15
7.250000
1800000.00
1800000.02
Corporate Debt Securities
FIRST QUANTUM VENTURE
549300I7UVBGWRYMYZ18
2025-04-01
7.500000
1500000.00
1477500.10
Corporate Debt Securities
FIRST QUANTUM VENTURE
549300I7UVBGWRYMYZ18
2023-04-01
7.250000
2400000.00
2382000.08
Corporate Debt Securities
SPRINGLEAF FIN CORP
5493008I795YYBFWFU90
2025-03-15
6.875000
4050000.00
4065187.44
Corporate Debt Securities
DYNEGY INC NEW DEL
KBIQURE23BXCOWVJ9H03
2025-01-15
8.000000
5375000.00
5845312.37
Corporate Debt Securities
NAVIOS MARITIME ACQUI
2021-11-15
8.125000
600000.00
489750.01
Corporate Debt Securities
HUDBAY MINERALS INC.
549300WI524AL577IX21
2023-01-15
7.250000
650000.00
676812.52
Corporate Debt Securities
KINETIC CONCEPTS INC
2021-02-15
7.875000
4725000.00
4860843.85
Corporate Debt Securities
BLUELINE RENT FIN COR
2024-03-15
9.250000
4000000.00
4280000.36
Corporate Debt Securities
AI CHS/COMMUNITY HEAL
5493007X5NC5XI1BB106
2023-03-31
6.250000
391000.00
358742.48
Corporate Debt Securities
IAMGOL INTERNATIONAL
5493003RWIRGFJUNQG48
2025-04-15
7.000000
11217000.00
11469382.42
Corporate Debt Securities
ALBERTSONS COS LLC /
2025-03-15
5.750000
3420000.00
2911275.13
Corporate Debt Securities
NAVIOS MARITIME HOLDI
2022-01-15
7.375000
10000.00
7900.00
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2018-10-01
8.125000
3500000.00
3539375.20
Corporate Debt Securities
NEPTUNE FINCO CORP
3HG2WD2W22M120IUNG49
2023-01-15
10.125000
9600000.00
10656000.25
Corporate Debt Securities
ARDAGH PACKAGING FIN
2025-02-15
6.000000
2635000.00
2644881.02
Corporate Debt Securities
FIRST QUANTUM VENTURE
549300I7UVBGWRYMYZ18
2024-03-01
6.500000
2600000.00
2469999.97
Corporate Debt Securities
LEE ENTERPRISES INC
2022-03-15
9.500000
6239000.00
6496358.51
Corporate Debt Securities
ATHABASCA OIL CORP
549300STK2KBVO6WED71
2022-02-24
9.875000
13000000.00
12999999.29
Corporate Debt Securities
GLOBAL SHIP LEASE INC
254900GLZ0J5N8UZM071
2022-11-15
9.875000
4500000.00
4518000.18
Corporate Debt Securities
R R DONNELLEY & SONS
SU4X0P4WWRGOQDTSV032
2021-03-15
7.875000
269000.00
279087.51
Corporate Debt Securities
WILLIAMS SCOTSMAN INT
2022-12-15
7.875000
1860000.00
1920450.06
Corporate Debt Securities
HERC RENTALS INC
549300PT6NAGYIL3VL19
2024-06-01
7.750000
50000.00
54125.00
Corporate Debt Securities
QGOG CONSTELLATION S
2024-11-09
9.500000
5000000.00
2399999.82
Corporate Debt Securities
ALBERTSONS COS LLC /
2024-06-15
6.625000
4390000.00
3912587.44
Corporate Debt Securities
TARJETA NARANJA S A
529900O6L3KP8QC8D519
2022-04-11
22.437500
2000000.00
1679999.98
Corporate Debt Securities
GOGO INTER HLDGS LLC
2022-07-01
12.500000
19285000.00
21599201.06
Corporate Debt Securities
ORBCOMM INCP 03/31/20
2024-04-01
8.000000
1000000.00
1037500.02
Corporate Debt Securities
ARDAGH PACKAGING FIN
2024-05-15
7.250000
4000.00
4243.80
Corporate Debt Securities
QGOG CONSTELLATION S
2024-11-09
9.500000
13476240.00
6468594.71
Corporate Debt Securities
WARRIOR MET COAL INC
549300152B1S9YKBYV79
2024-11-01
8.000000
30000000.00
30712502.50
Corporate Debt Securities
SRC ENERGY INC.
549300RFZV39PJ73PH67
2025-12-01
6.250000
8000000.00
8040000.29
Corporate Debt Securities
RAIN CII CARBON LLC/C
2025-04-01
7.250000
4000000.00
4229999.88
Corporate Debt Securities
OCWEN LN SERVICING LL
549300MEMWF0Y8H4PL17
2022-11-15
8.375000
17256000.00
17795249.58
Corporate Debt Securities
TRU TAJ LLC
549300KUORLPHC2BU047
2021-08-15
12.000000
9900000.00
7647749.89
Corporate Debt Securities
BOMBARDIER INC
W7L3VLU8EHQY34Z36697
2034-05-01
7.450000
79000.00
79592.50
Corporate Debt Securities
PETSMART
2025-06-01
5.875000
4000000.00
2900000.11
Corporate Debt Securities
CITGO HLDG INC
2020-02-15
10.750000
1534000.00
1626039.96
Corporate Debt Securities
CITGO HLDG INC
2020-02-15
10.750000
1293000.00
1370579.96
Corporate Debt Securities
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0193
255000000.00
255000000.00
0.0067
N
Y
Y
N
INDUSTRIAL & COMMERCIA TD
INDUSTRIAL & COMMERCIA TD 1.720
0SF002DB1
0001289018
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0172
534000000.00
534000000.00
0.0140
N
Y
Y
N
INDUSTRIAL & COMMERCIA TD
INDUSTRIAL & COMMERCIA TD 1.720
0SF002DA3
0001289018
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0172
700000000.00
700000000.00
0.0184
N
Y
Y
N
INDUSTRIAL & COMMERCIAL BANK O
INDUSTRIAL & COMMERCIAL BANK O 2.215
7D6373N
XS1765440232
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-30
2018-04-30
2018-04-30
N
N
N
0.0222
21958834.48
21958834.48
0.0006
N
N
N
N
Industrial & Commercial Bank of China Ltd/New York
Industrial & Commercial Bank of China Ltd/New York 2.620
45580DQY3
5493002ERZU2K9PZDL40
US45580DQY30
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-06
2018-06-06
2018-06-06
N
N
N
0.0262
150013483.50
150013483.50
0.0039
N
N
N
N
Industrial & Commercial Bank of China Ltd/New York
Industrial & Commercial Bank of China Ltd/New York 1.900
45580DQR8
5493002ERZU2K9PZDL40
US45580DQR88
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-16
2018-04-16
2018-04-16
N
N
N
0.0190
129993862.70
129993862.70
0.0034
N
N
N
N
Industrial & Commercial Bank of China Ltd/New York
Industrial & Commercial Bank of China Ltd/New York 2.520
45580DRC0
5493002ERZU2K9PZDL40
US45580DRC01
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-16
2018-05-16
2018-05-16
N
N
N
0.0252
127021887.18
127021887.18
0.0033
N
N
N
N
ING BANK N V - AMSTERD TD
ING BANK N V - AMSTERD TD 1.730
0INB02NR4
0001017255
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-04
2018-04-04
N
N
N
0.0173
700000000.00
700000000.00
0.0184
N
N
Y
N
ING BANK N V - AMSTERD TD
ING BANK N V - AMSTERD TD 1.730
0INB02NS2
0001017255
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-05
2018-04-05
2018-04-05
N
N
N
0.0173
300000000.00
300000000.00
0.0079
N
N
Y
N
ING US Funding LLC
ING US Funding LLC 1.930
44988KDE6
US44988KDE64
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-15
2018-08-10
2018-08-10
N
N
N
0.0196
199909578.00
199909578.00
0.0052
N
N
N
N
ING US Funding LLC
ING US Funding LLC 2.273
4497W1FT8
US4497W1FT87
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-06-27
2018-06-27
2018-06-27
N
N
N
0.0227
127289600.00
127289600.00
0.0033
N
N
N
N
ING US Funding LLC
ING US Funding LLC 1.908
44988KCT4
US44988KCT43
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-13
2018-07-09
2018-07-09
N
N
N
0.0194
199980524.00
199980524.00
0.0052
N
N
N
N
ING US Funding LLC
ING US Funding LLC 1.940
44988KCV9
US44988KCV98
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-18
2018-07-13
2018-07-13
N
N
N
0.0197
124981996.25
124981996.25
0.0033
N
N
N
N
ING US Funding LLC
ING US Funding LLC 1.784
4497W1E77
US4497W1E773
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-07
2018-05-07
2018-05-07
N
N
N
0.0178
94546043.05
94546043.05
0.0025
N
N
N
N
ING US Funding LLC
ING US Funding LLC 1.838
44988KDM8
US44988KDM80
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-06
2018-08-31
2018-08-31
N
N
N
0.0187
49969778.00
49969778.00
0.0013
N
N
N
N
Landesbank Hessen-Thueringen/New York
Landesbank Hessen-Thueringen/New York 1.710
51489NY22
DIZES5CFO5K3I5R58746
US51489NY220
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-03
2018-04-03
2018-04-03
N
N
N
0.0171
200000218.00
200000218.00
0.0052
N
N
Y
N
Liberty Street Funding LLC
Liberty Street Funding LLC 1.907
53128PAH3
549300F33VRHM10B9391
US53128PAH38
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-15
2018-05-15
2018-05-15
N
Y
BANK OF NOVA SCOTIA - (SCOTIABANK)
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0193
50006389.00
50006389.00
0.0013
N
N
N
N
Lloyds Bank PLC
Lloyds Bank PLC 2.011
53946BAH4
H7FNTJ4851HG0EXQ1Z70
US53946BAH42
Financial Company Commercial Paper
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-08
2018-09-10
2018-09-10
N
N
N
0.0204
99960537.00
99960537.00
0.0026
N
N
N
N
LMA-Americas LLC
LMA-Americas LLC 1.955
53944REF1
US53944REF10
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-15
2018-05-15
2018-05-15
N
Y
CREDIT AGRICOLE CIB
1.0000
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0196
27926925.32
27926925.32
0.0007
N
N
N
N
LMA-Americas LLC
LMA-Americas LLC 1.674
53944REB0
US53944REB06
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-11
2018-05-11
2018-05-11
N
Y
CREDIT AGRICOLE CIB
1.0000
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0167
29928978.30
29928978.30
0.0008
N
N
N
N
Macquarie Bank Ltd
Macquarie Bank Ltd 2.025
55607LEG5
4ZHCHI4KYZG2WVRT8631
US55607LEG59
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-16
2018-05-16
2018-05-16
N
N
N
0.0203
74796500.25
74796500.25
0.0020
N
N
N
N
Macquarie Bank Ltd
Macquarie Bank Ltd 2.025
55607LEF7
4ZHCHI4KYZG2WVRT8631
US55607LEF76
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-15
2018-05-15
2018-05-15
N
N
N
0.0203
64827647.30
64827647.30
0.0017
N
N
N
N
Manhattan Asset Funding Co LLC
Manhattan Asset Funding Co LLC 1.896
56274TCQ8
549300S0NSJYSOB32S63
US56274TCQ85
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-05
2018-05-04
2018-05-04
N
Y
SUMITOMO MITSUI BANKING CORPORATION
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0192
25000918.75
25000918.75
0.0007
N
N
N
N
Manhattan Asset Funding Co LLC
Manhattan Asset Funding Co LLC 1.901
56274TCX3
549300S0NSJYSOB32S63
US56274TCX37
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-06
2018-06-06
2018-06-06
N
Y
SUMITOMO MITSUI BANKING CORPORATION
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0194
130027205.10
130027205.10
0.0034
N
N
N
N
Merrill Lynch Pierce Fenner & Smith Inc
Merrill Lynch Pierce Fenner & Smith Inc 2.160
0MLP02NQ8
8NAV47T0Y26Q87Y0QP81
0000728612
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
CUMMINS INC
2018-04-24
0.000000
5000000.00
4975000.00
Money Market
TECK RESOURCES LTD
T8KI5SQ2JRWHL7XY0E11
2024-06-01
8.500000
1857000.00
2113008.08
Corporate Debt Securities
BANKUNITED INC
2025-11-17
4.875000
5000000.00
5224625.00
Corporate Debt Securities
CANADIAN IMP BK COMM
2018-04-20
0.000000
3895858.00
3896403.42
Money Market
PFP LTD 2015-2
549300G4BOQWBQYXF618
2034-07-14
3.236380
550000.00
150730.16
Private Label Collateralized Mortgage Obligations
PENNEY J C INC
8TDNUQ07MEFMWW1VHP39
2037-04-01
7.400000
6651000.00
4732777.70
Corporate Debt Securities
CYDSA S A
2027-10-04
6.250000
4956000.00
5063207.91
Corporate Debt Securities
CENTRUS ENERGY CORP
2027-02-28
8.250000
6000253.00
4872830.46
Corporate Debt Securities
ERSTE ABWICKLUNGSANST
2018-06-01
0.000000
250000.00
250020.00
Money Market
GOLDMAN SACHS CAP I
2034-02-15
6.345000
6723000.00
8029648.67
Corporate Debt Securities
MURPHY OIL CORP
QBKYQD0ODE7DC7PDIN91
2022-06-01
4.000000
5308000.00
5218353.78
Corporate Debt Securities
ROSSLYN PORT TR 2017-
2033-06-15
2.538000
4000000.00
4012700.00
Private Label Collateralized Mortgage Obligations
TRANSDIGM INC
88Q84GB3X55CF5OC7582
2020-10-15
5.500000
4401000.00
4544277.00
Corporate Debt Securities
ING US FDG LLC IAM CP
2018-07-23
0.000000
700000.00
699853.00
Money Market
NEW RESI MTG TR 2017-
2057-06-25
0.729148
302594999.00
5745435.97
Private Label Collateralized Mortgage Obligations
PLY GEM INDS INC
549300SYOFUU1F633Q76
2022-02-01
6.500000
7323000.00
7642811.68
Corporate Debt Securities
TIMBERLAKE FINL L L C
2036-06-28
1.938000
10321000.00
7340625.45
Corporate Debt Securities
LEXN 2005-1X P6
2042-05-08
0.000000
250000.00
132059.85
Other Instrument
Collateralized Debt Obligation
ASB FINANCE LTD
2018-09-21
0.000000
299014.00
296704.71
Money Market
CGDB COML MTG TR 2017
2030-05-15
2.526600
125000.00
125319.07
Private Label Collateralized Mortgage Obligations
NEWFIELD EXPL CO
T8W3X1PFLPW2YE0UIP44
2022-01-30
5.750000
5318000.00
5607424.76
Corporate Debt Securities
NAVIOS MARITIME ACQUI
2021-11-15
8.125000
6000000.00
5078958.34
Corporate Debt Securities
PMT LOAN TRUST 2013-J
549300QFMQR379ND0354
2043-09-25
3.500000
13320947.00
7137375.58
Private Label Collateralized Mortgage Obligations
THUNDER BAY FUNDING L
2018-06-22
0.000000
250000.00
250010.00
Money Market
WINWATER MTG LN TR 20
2045-06-20
0.297283
75122000.00
578289.76
Private Label Collateralized Mortgage Obligations
OLD LINE FDG LLC
2018-06-05
0.000000
250000.00
249995.00
Money Market
MINSUR SA MINSUR
2024-02-07
6.250000
5973000.00
6445032.92
Corporate Debt Securities
NEUQUEN PROV ARGENTIN
2025-04-27
7.500000
6370000.00
6552288.16
Corporate Debt Securities
WFRBS COML MTG TR 201
2047-03-15
2.536380
410000.00
413267.85
Private Label Collateralized Mortgage Obligations
PROVINCIA DE CORDOBA
2027-08-01
7.125000
7138000.00
7130713.29
Corporate Debt Securities
MASTR ALTERNATIVE LN
2033-08-25
6.500000
48642029.00
222675.85
Private Label Collateralized Mortgage Obligations
TRUPS FINANCIALS NT
2039-09-20
3.771750
5000000.00
4917214.69
Other Instrument
Collateralized Debt Obligation
AUSTRALIA & NEW ZEALA
JHE42UYNWWTJB8YTTU19
2018-05-03
0.000000
1935000.00
1935309.60
Money Market
PARSLEY ENERGY LLC
2024-06-01
6.250000
5012000.00
5277566.39
Corporate Debt Securities
RESOURCE CAP CORP 201
2032-08-17
3.186380
830000.00
17792.18
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2016
2049-11-18
0.647960
26410000.00
1314346.06
Private Label Collateralized Mortgage Obligations
PARSLEY ENERGY LLC
2025-01-15
5.375000
5267000.00
5298858.04
Corporate Debt Securities
UNIFIN FINANCIERA SAB
2026-02-12
7.375000
4627000.00
4563186.60
Corporate Debt Securities
AGATE BAY MTG TR 2013
2043-07-25
0.104742
400743000.00
813085.32
Private Label Collateralized Mortgage Obligations
ANADARKO PETE CORP
2044-07-15
4.500000
4845000.00
4665250.50
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2026-02-15
5.750000
4918000.00
4921825.11
Corporate Debt Securities
MASHANTUCKET WESTERN
2026-07-01
7.350000
43227628.00
5943798.85
Corporate Debt Securities
AGATE BAY MTG TR 2014
2044-07-25
0.250000
267667275.00
1077047.60
Private Label Collateralized Mortgage Obligations
CNH CAP LLC
2018-04-15
3.625000
7560000.00
7686735.01
Corporate Debt Securities
CALUMET SPECIALTY PRO
2021-04-15
6.500000
6050000.00
6108147.22
Corporate Debt Securities
TRAPEZA CDO VI 2004-6
2034-11-16
2.772080
5550000.00
5171914.46
Other Instrument
Collateralized Debt Obligation
ANADARKO PETE CORP
B78FQ7XBQFLP4AYJ6F79
2036-09-15
6.450000
5000000.00
5978591.67
Corporate Debt Securities
BANCO DO BRASIL S A
2022-10-10
3.875000
6000000.00
5884145.84
Corporate Debt Securities
HOSPITALITY 2017-HIT
2030-05-10
2.561310
21099438.00
21170608.46
Private Label Collateralized Mortgage Obligations
PENNEY J C INC
8TDNUQ07MEFMWW1VHP39
2097-03-01
7.625000
9205000.00
5899765.77
Corporate Debt Securities
BRASKEM FINANCE LIMIT
2024-02-03
6.450000
4818000.00
5263825.60
Corporate Debt Securities
COMPRESSCO PARTNERS L
2025-04-01
7.500000
5775000.00
5855609.37
Corporate Debt Securities
VPII ESCROW CORP
B3BS7ACMDUWISF18KY76
2021-07-15
7.500000
5547000.00
5667185.01
Corporate Debt Securities
YPF SOCIEDAD ANONIMA
2027-07-21
6.950000
7017000.00
7091575.12
Corporate Debt Securities
CENTURY CMNTYS INC
2025-07-15
5.875000
5934000.00
5694126.29
Corporate Debt Securities
SAMARCO MINERACAO SA
2022-11-01
4.125000
6799000.00
5000664.50
Corporate Debt Securities
GSAA HEQ TR 2004-4
2034-05-25
2.971500
13000000.00
720755.65
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2015-G
549300WZ62L3Y22NOZ64
2048-11-13
0.820050
15200000.00
748421.00
Private Label Collateralized Mortgage Obligations
ING US FDG LLC IAM CP
2018-05-01
0.000000
2000000.00
2000340.00
Money Market
NATIONAL AUSTRALIA BK
2018-10-29
0.000000
250000.00
249752.50
Money Market
BYVW OPP MST FD IVB 2
2053-06-30
3.678115
18455000.00
2301932.19
Private Label Collateralized Mortgage Obligations
BEDFORD ROW FUNDING C
2018-04-13
0.000000
2200000.00
2200110.00
Money Market
COMM MTG TR 2014-CCRE
2047-07-17
1.211970
7894000.00
334156.58
Private Label Collateralized Mortgage Obligations
VERTIV INTER HLDG COR
2022-02-15
12.000000
5914000.00
6348186.17
Corporate Debt Securities
BEDFORD ROW FUNDING C
2018-08-17
0.000000
250000.00
249905.00
Money Market
FIRSTKEY MTG TR 2014-
2044-11-25
0.515260
95483000.00
810258.10
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2057-03-25
1.380926
30895500.00
1042531.52
Private Label Collateralized Mortgage Obligations
UNITED RENTALS NORTH
NGIZXNT70J2LYT3FBI09
2027-05-15
5.500000
5783000.00
5885198.46
Corporate Debt Securities
NCUA GUARN NTS TR 201
2020-11-05
2.181310
77000000.00
27830656.06
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2057-03-25
0.880926
598650.00
20933.57
Private Label Collateralized Mortgage Obligations
PFS FINANCING CORP 20
2020-04-15
2.396600
635000.00
635168.55
Asset-Backed Securities
POTASH CORP
2018-04-20
0.000000
3500000.00
3482500.00
Money Market
TRU TRUST 2016-TOYS
2030-11-15
4.026600
1885000.00
1686116.96
Private Label Collateralized Mortgage Obligations
WESTPAC BKG CORP
2018-08-13
0.000000
250000.00
249880.00
Money Market
BYVW OPP MST FD IVB 2
2053-06-30
0.000000
18455000.00
898112.57
Private Label Collateralized Mortgage Obligations
BIG RIV STL LLC/ BRS
2025-09-01
7.250000
5959000.00
6268205.89
Corporate Debt Securities
STANDARD INDS INC
54930064UHXCIUWVI755
2027-02-15
5.000000
5345000.00
5190588.89
Corporate Debt Securities
QGOG CONSTELLATION S
2024-11-09
9.500000
12357189.00
6387980.21
Corporate Debt Securities
BANCO DO BRASIL S A G
2023-01-19
5.875000
5055000.00
5243822.51
Corporate Debt Securities
ABE INVT HLDGS INC /
2020-10-16
10.500000
5647000.00
5980643.59
Corporate Debt Securities
PMT LOAN TRUST 2013-J
2043-09-25
3.500000
1500000.00
803953.03
Private Label Collateralized Mortgage Obligations
ROCKIES EXPRESS PIPEL
W2ZGZGZKY5GGNY6F3V51
2018-07-15
6.850000
6465000.00
6612599.54
Corporate Debt Securities
BX TRUST 2017-CQHP
2034-11-15
2.626600
6000000.00
6019274.73
Private Label Collateralized Mortgage Obligations
WPX ENERGY INC
ZXZE9GCS2BB547GJW219
2022-01-15
6.000000
5625000.00
5863125.00
Corporate Debt Securities
ANTERO MIDSTREAM PART
2024-09-15
5.375000
4847000.00
4881366.58
Corporate Debt Securities
ORBITAL ATK INC
FWKWX3B14WBY9DM0DR18
2021-10-01
5.250000
6722000.00
7030931.92
Corporate Debt Securities
BEDFORD ROW FUNDING C
2018-06-11
0.000000
500000.00
500100.00
Money Market
COMMONWEALTH BANK OF
MSFSBD3QN1GSN7Q6C537
2018-12-07
0.000000
480000.00
479476.80
Money Market
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-17
2018-04-17
Y
MERRILL LYNCH PFS INC
1.0000
19
N
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
N
N
0.0219
340500000.00
340500000.00
0.0089
N
N
N
Y
MetLife Short Term Funding LLC
MetLife Short Term Funding LLC 1.875
59157UEF3
US59157UEF30
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1+
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-05-15
2018-05-15
2018-05-15
N
N
N
0.0188
59347357.51
59347357.51
0.0016
N
N
N
N
MetLife Short Term Funding LLC
MetLife Short Term Funding LLC 1.855
59157UEH9
US59157UEH95
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1+
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-05-17
2018-05-17
2018-05-17
N
N
N
0.0186
76873213.63
76873213.63
0.0020
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp
Mitsubishi UFJ Trust & Banking Corp 2.362
60683CFL0
JBONEPAGQXF4QP29B387
US60683CFL00
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-20
2018-06-20
2018-06-20
N
N
N
0.0236
49744659.50
49744659.50
0.0013
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp/NY
Mitsubishi UFJ Trust & Banking Corp/NY 2.095
60683BCT8
JBONEPAGQXF4QP29B387
US60683BCT89
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-27
2018-06-27
2018-06-27
N
N
N
0.0212
69009872.52
69009872.52
0.0018
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp/NY
Mitsubishi UFJ Trust & Banking Corp/NY 1.950
60683BEV1
JBONEPAGQXF4QP29B387
US60683BEV18
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-21
2018-05-21
2018-05-21
N
N
N
0.0195
70001593.20
70001593.20
0.0018
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp/NY
Mitsubishi UFJ Trust & Banking Corp/NY 1.890
60683BCX9
JBONEPAGQXF4QP29B387
US60683BCX91
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-07-02
2018-07-02
N
N
N
0.0192
25002192.50
25002192.50
0.0007
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp/NY
Mitsubishi UFJ Trust & Banking Corp/NY 2.008
60683BBP7
JBONEPAGQXF4QP29B387
US60683BBP76
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-17
2018-04-17
N
N
N
0.0204
175022240.75
175022240.75
0.0046
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp/NY
Mitsubishi UFJ Trust & Banking Corp/NY 2.141
60683BEZ2
JBONEPAGQXF4QP29B387
US60683BEZ22
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-24
2018-08-24
2018-08-24
N
N
N
0.0179
74984313.00
74984313.00
0.0020
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp/NY
Mitsubishi UFJ Trust & Banking Corp/NY 2.038
60683BEB5
JBONEPAGQXF4QP29B387
US60683BEB53
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-17
2018-08-17
2018-08-17
N
N
N
0.0207
59979377.40
59979377.40
0.0016
N
N
N
N
Mitsubishi UFJ Trust & Banking Corp/NY
Mitsubishi UFJ Trust & Banking Corp/NY 1.975
60682XEJ1
JBONEPAGQXF4QP29B387
US60682XEJ19
Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-18
2018-05-18
2018-05-18
N
N
N
0.0198
12965459.78
12965459.78
0.0003
N
N
N
N
MITSUBISHI UFJ TRUST AND BANKI
MITSUBISHI UFJ TRUST AND BANKI 1.794
6D8561N
XS1758697350
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-23
2018-04-23
2018-04-23
N
N
N
0.0179
49933214.50
49933214.50
0.0013
N
N
N
N
MIZUHO BANK LIMITED-NE TD
MIZUHO BANK LIMITED-NE TD 1.720
0NC001C02
0001512734
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-04
2018-04-04
N
N
N
0.0172
600000000.00
600000000.00
0.0157
N
N
Y
N
Mizuho Bank Ltd/NY
Mizuho Bank Ltd/NY 2.031
60700AUD4
RB0PEZSDGCO3JS6CEU02
US60700AUD44
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-08
2018-09-10
2018-09-10
N
N
N
0.0206
224900959.50
224900959.50
0.0059
N
N
N
N
Mizuho Bank Ltd/NY
Mizuho Bank Ltd/NY 1.940
60700ALN2
RB0PEZSDGCO3JS6CEU02
US60700ALN27
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-10
2018-05-10
2018-05-10
N
N
N
0.0197
99992483.00
99992483.00
0.0026
N
N
N
N
Mizuho Bank Ltd/NY
Mizuho Bank Ltd/NY 1.970
60700ASR6
RB0PEZSDGCO3JS6CEU02
US60700ASR67
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-25
2018-05-25
2018-05-25
N
N
N
0.0197
59996059.20
59996059.20
0.0016
N
N
N
N
Mizuho Bank Ltd/NY
Mizuho Bank Ltd/NY 2.047
60700ASS4
RB0PEZSDGCO3JS6CEU02
US60700ASS41
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-15
2018-08-15
2018-08-15
N
N
N
0.0208
124959586.25
124959586.25
0.0033
N
N
N
N
Mizuho Bank Ltd/NY
Mizuho Bank Ltd/NY 2.006
60700AQR8
RB0PEZSDGCO3JS6CEU02
US60700AQR85
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-16
2018-07-16
2018-07-16
N
N
N
0.0204
129970932.00
129970932.00
0.0034
N
N
N
N
Mizuho Bank Ltd/NY
Mizuho Bank Ltd/NY 1.891
60700AHV9
RB0PEZSDGCO3JS6CEU02
US60700AHV98
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2018-04-06
N
N
N
0.0192
100001877.00
100001877.00
0.0026
N
N
Y
N
National Australia Bank Ltd
National Australia Bank Ltd 1.998
63254GFM2
F8SB4JFBSYQFRQEH3Z21
US63254GFM24
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-20
2018-10-19
2018-10-19
N
N
N
0.0203
124867093.75
124867093.75
0.0033
N
N
N
N
National Australia Bank Ltd
National Australia Bank Ltd 1.824
63254GGG4
F8SB4JFBSYQFRQEH3Z21
US63254GGG47
0000833029
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-02
2018-08-01
2018-08-01
N
N
N
0.0185
24988920.75
24988920.75
0.0007
N
N
N
N
National Australia Bank Ltd
National Australia Bank Ltd 2.002
2D8520N
F8SB4JFBSYQFRQEH3Z21
XS1651865161
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-20
2018-07-19
2018-07-19
N
N
N
0.0203
140008555.40
140008555.40
0.0037
N
N
N
N
Natixis SA
Natixis SA 1.680
0NGC01ZC1
KX1WK48MPD4Y2NCUIZ63
0001274981
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1+
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0168
100000000.00
100000000.00
0.0026
N
Y
Y
N
Natixis SA/New York NY
Natixis SA/New York NY 1.864
63873NMH1
KX1WK48MPD4Y2NCUIZ63
US63873NMH16
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-05-01
2018-05-01
N
N
N
0.0189
125028111.25
125028111.25
0.0033
N
N
N
N
Nederlandse Waterschapsbank NV
Nederlandse Waterschapsbank NV 1.774
63975VE22
JLP5FSPH9WPSHY3NIM24
US63975VE229
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AAA
Standard & Poor's Short Rating
A-1+
2018-05-02
2018-05-02
2018-05-02
N
N
N
0.0177
199596912.00
199596912.00
0.0052
N
N
N
N
Nederlandse Waterschapsbank NV
Nederlandse Waterschapsbank NV 1.690
63975VD31
JLP5FSPH9WPSHY3NIM24
US63975VD312
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AAA
Standard & Poor's Short Rating
A-1+
2018-04-03
2018-04-03
2018-04-03
N
N
N
0.0169
149961874.50
149961874.50
0.0039
N
N
Y
N
New York State Housing Finance Agency
New York State Housing Finance Agency 1.950
64987BPB8
5493000LS7KCDB02O506
US64987BPB89
Variable Rate Demand Note
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
VMIG1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2050-05-01
Y
BANK OF CHINA-NEW YORK
1.0000
4
N
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
Y
BANK OF CHINA-NEW YORK
1.0000
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
N
0.0195
29230000.00
29230000.00
0.0008
N
Y
Y
N
New York State Housing Finance Agency
New York State Housing Finance Agency 2.050
64987B6G8
5493000LS7KCDB02O506
US64987B6G89
Variable Rate Demand Note
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
VMIG1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2049-11-01
Y
BANK OF CHINA-NEW YORK
1.0000
4
N
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
Y
BANK OF CHINA-NEW YORK
1.0000
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
N
0.0205
18350000.00
18350000.00
0.0005
N
Y
Y
N
Nieuw Amsterdam Receivables Corp
Nieuw Amsterdam Receivables Corp 2.028
65409SEX2
54930052Z500U6IGFJ82
US65409SEX27
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-31
2018-05-31
2018-05-31
N
Y
COOPERATIEVE RABOBANK U.A
1.0000
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
N
0.0203
109584200.00
109584200.00
0.0029
N
N
N
N
Nieuw Amsterdam Receivables Corp
Nieuw Amsterdam Receivables Corp 1.954
65409SGK8
54930052Z500U6IGFJ82
US65409SGK87
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-07-19
2018-07-19
2018-07-19
N
Y
COOPERATIEVE RABOBANK U.A
1.0000
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
N
0.0195
59556853.20
59556853.20
0.0016
N
N
N
N
Nordea Bank AB
Nordea Bank AB 1.919
65558GGQ0
6SCPQ280AIY8EP3XFW53
US65558GGQ01
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-07-24
2018-07-24
2018-07-24
N
N
N
0.0192
99266800.00
99266800.00
0.0026
N
N
N
N
Norinchukin Bank/New York
Norinchukin Bank/New York 2.055
65602UXQ6
5493007VSMFZCPV1NB83
US65602UXQ65
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-27
2018-04-27
2018-04-27
N
N
N
0.0208
25005023.25
25005023.25
0.0007
N
N
N
N
Norinchukin Bank/New York
Norinchukin Bank/New York 1.851
65602UWR5
5493007VSMFZCPV1NB83
US65602UWR57
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2018-04-06
N
N
N
0.0188
100002765.00
100002765.00
0.0026
N
N
Y
N
Norinchukin Bank/New York
Norinchukin Bank/New York 1.750
65602UN87
5493007VSMFZCPV1NB83
US65602UN873
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-04-06
2018-04-06
N
N
N
0.0175
499999830.00
499999830.00
0.0131
N
N
Y
N
Norinchukin Bank/New York
Norinchukin Bank/New York 1.918
65602UG77
5493007VSMFZCPV1NB83
US65602UG778
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-09
2018-08-09
2018-08-09
N
N
N
0.0195
199912662.00
199912662.00
0.0052
N
N
N
N
NRW Bank
NRW Bank 1.700
62939MD38
52990002O5KK6XOGJ020
US62939MD383
Non-Financial Company Commercial Paper
Y
Fitch Long Rating
AAA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-03
2018-04-03
2018-04-03
N
Y
FEDERAL STATE OF NORTH RHINE WESTPHALIA
1.0000
Fitch Long Rating
AAA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
N
0.0170
154964177.95
154964177.95
0.0041
N
N
Y
N
Old Line Funding LLC
Old Line Funding LLC 2.084
67984YEA8
5493004QSN8OZAIU2J90
US67984YEA82
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1+
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-04-27
2018-10-22
2018-10-22
N
N
Y
ROYAL BANK OF CANADA
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0211
39968833.20
39968833.20
0.0010
N
N
N
N
Old Line Funding LLC
Old Line Funding LLC 2.028
67983UF73
5493004QSN8OZAIU2J90
US67983UF731
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1+
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
2018-06-07
2018-06-07
2018-06-07
N
N
Y
ROYAL BANK OF CANADA
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0203
49791264.00
49791264.00
0.0013
N
N
N
N
Oversea-Chinese Banking Corp Ltd/New York
Oversea-Chinese Banking Corp Ltd/New York 2.027
69033LR50
5493007O3QFXCPOGWK22
US69033LR505
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-28
2018-05-29
2018-05-29
N
N
N
0.0206
46993071.73
46993071.73
0.0012
N
N
N
N
Ridgefield Funding Co LLC
Ridgefield Funding Co LLC 1.955
76582KEF4
US76582KEF49
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-15
2018-05-15
2018-05-15
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0196
49864679.00
49864679.00
0.0013
N
N
N
N
Ridgefield Funding Co LLC
Ridgefield Funding Co LLC 1.996
76582EBH7
US76582EBH71
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-16
2018-05-16
2018-05-16
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0202
21004927.02
21004927.02
0.0006
N
N
N
N
ROYAL BANK OF CANADA 1 TD
ROYAL BANK OF CANADA 1 TD 1.690
0ROY01R42
0000352613
Non-Negotiable Time Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0169
150000000.00
150000000.00
0.0039
N
Y
Y
N
Royal Bank of Canada/New York NY
Royal Bank of Canada/New York NY 2.072
78009NX50
ES7IP3U3RHIGC71XBU11
US78009NX508
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-24
2018-07-24
2018-07-24
N
N
N
0.0210
74983594.50
74983594.50
0.0020
N
N
N
N
Royal Bank of Canada/New York NY
Royal Bank of Canada/New York NY 2.418
78012UBV6
ES7IP3U3RHIGC71XBU11
US78012UBV61
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-06-22
2018-09-21
2018-09-21
N
N
N
0.0245
74995523.25
74995523.25
0.0020
N
N
N
N
Shizuoka Bank Ltd/The
Shizuoka Bank Ltd/The 1.720
82487A5M5
549300TJ1GRR4PX8GJ82
US82487A5M59
0001668700
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-03
2018-04-03
2018-04-03
N
N
N
0.0172
40001143.60
40001143.60
0.0010
N
N
Y
N
Skandinaviska Enskilda Banken AB/New York NY
Skandinaviska Enskilda Banken AB/New York NY 1.910
83050FG88
F3JS33DEI6XQ4ZBPTN86
US83050FG886
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-07-25
2018-07-25
2018-07-25
N
N
N
0.0191
44949556.35
44949556.35
0.0012
N
N
N
N
Societe Generale SA
Societe Generale SA 1.950
0SOC02MT6
O2RNE8IBXP4R0TD8PU41
0000865845
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BRAZIL FEDERATIVE REP
2023-01-05
2.625000
119500000.00
114077687.54
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2021-01-22
4.875000
108075000.00
113270480.46
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2025-01-07
4.250000
238434000.00
239192352.50
Other Instrument
International Debt
CENTRAIS ELECTRICAS B
2021-10-27
5.750000
7590000.00
7935555.84
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2028-01-13
4.625000
78698972.00
77617954.19
Other Instrument
International Debt
REPUBLIC OF TURKEY
5493000PCHOG3B6S3Q85
2036-03-17
6.875000
122835000.00
127280603.39
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
2024-04-15
8.875000
90000000.00
116948750.13
Other Instrument
International Debt
REPUBLIC OF TURKEY
2040-05-30
6.750000
96476000.00
99950341.91
Other Instrument
International Debt
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2023-09-26
5.750000
35979000.00
38280906.44
Other Instrument
International Debt
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-04
2018-04-04
2018-04-04
N
N
N
0.0195
865000000.00
865000000.00
0.0227
N
N
Y
N
Societe Generale SA
Societe Generale SA 1.900
0SOC02MW9
O2RNE8IBXP4R0TD8PU41
0000865845
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
TEACHERS INS & ANNUIT
O06XD7BJ4EPXNABVFN69
2044-09-15
4.900000
5000000.00
5433477.78
Corporate Debt Securities
CENTRAIS ELECTRICAS B
2021-10-27
5.750000
26065000.00
27251681.54
Corporate Debt Securities
EMPRESA NACIONAL DE T
2026-08-01
4.750000
5829000.00
5896166.27
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2027-01-17
7.375000
5094000.00
5563157.40
Corporate Debt Securities
EVOLUTION ESCROW ISSU
549300LMZ1DX1PWSP524
2022-03-15
7.500000
21272000.00
22095580.94
Corporate Debt Securities
INTELSAT JACKSON HLDG
8XJ8KF85PBKK1TLMFN29
2020-10-15
7.250000
17698000.00
16888808.14
Corporate Debt Securities
NRG ENERGY INC
5E2UPK5SW04M13XY7I38
2027-01-15
6.625000
8644820.00
8957054.09
Corporate Debt Securities
QCP SNF WEST REIT LLC
2023-11-01
8.125000
18287000.00
19583599.11
Corporate Debt Securities
RITE AID CORP
2021-06-15
6.750000
9149000.00
9476076.75
Corporate Debt Securities
REPUBLIC OF TURKEY
2019-11-07
7.500000
24606000.00
26756154.29
Other Instrument
International Debt
E ON INTL FIN
2018-04-30
5.800000
5750000.00
5900969.45
Corporate Debt Securities
COOPERATIEVE CENTRALE
DG3RU1DBUFHT4ZF9WN62
2025-08-04
4.375000
6657000.00
6751556.21
Corporate Debt Securities
HOVNANIAN K ENTERPRIS
549300JJCQ0KAI7CJG32
2022-07-15
10.000000
5851000.00
6335202.76
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2020-12-15
8.250000
6875000.00
7672041.67
Corporate Debt Securities
WATERJET HOLDINGS INC
549300HHIRJ2GWDAN995
2020-02-01
7.625000
8011000.00
8269632.91
Corporate Debt Securities
SAMMONS FINANCIAL GRO
2027-05-12
4.450000
5805475.00
5848869.32
Corporate Debt Securities
BANK AMER CORP
9DJT3UXIJIZJI4WXO774
2023-04-24
2.741300
14999600.00
15181238.69
Corporate Debt Securities
CALUMET SPECIALTY PRO
2021-01-15
11.500000
5220000.00
5964575.00
Corporate Debt Securities
NXP B V / NXP FDG LLC
2021-06-01
4.125000
6423000.00
6574074.31
Corporate Debt Securities
SAFEWAY INC
2031-02-01
7.250000
11924000.00
9797718.94
Corporate Debt Securities
MCDERMOTT INTL INC
ZAKWBIG8QLOPMZ888610
2021-05-01
8.000000
9548000.00
10064918.12
Corporate Debt Securities
METLIFE INC
C4BXATY60WC6XEOZDX54
2099-12-29
5.250000
6196000.00
6413892.67
Corporate Debt Securities
SHELF DRILLING HLDGS
54930078ZJ3XP4MRYB68
2025-02-15
8.250000
13050500.00
13167410.73
Corporate Debt Securities
BP CAP MKTS P L C
549300CRVT18MXX0AG93
2027-01-16
3.017000
5315000.00
5105896.23
Corporate Debt Securities
BANCO DO BRASIL S A
2022-10-10
3.875000
16682000.00
16359886.80
Corporate Debt Securities
SRI LANKA REP
2020-10-04
6.250000
5000000.00
5332359.72
Other Instrument
International Debt
BOXER PARENT CO INC
5493006T045HLTF7YX04
2019-10-15
9.000000
13626000.00
14184665.96
Corporate Debt Securities
BROOKFIELD RESIDENTIA
549300C2SXDXVIUV3Q14
2020-12-15
6.500000
20855000.00
21507298.07
Corporate Debt Securities
ECOPETROL S A
254900IDGKCJICKBPA66
2023-09-18
5.875000
6081000.00
6496302.74
Corporate Debt Securities
JEFFERIES LN CORE LLC
2020-06-01
6.875000
12155000.00
12580847.03
Corporate Debt Securities
PETROLEOS MEXICANOS
549300CAZKPF4HKMPX17
2026-08-04
6.875000
6509000.00
7185307.70
Corporate Debt Securities
STATOIL ASA
OW6OFBNCKXC4US5C7523
2024-11-10
3.250000
5781000.00
5792264.92
Corporate Debt Securities
INDIGO NAT RES LLC
549300F7DOI6H6TA3C86
2026-02-15
6.875000
10968203.00
10444357.05
Corporate Debt Securities
OCWEN LN SERVICING LL
2022-11-15
8.375000
10413000.00
11063017.06
Corporate Debt Securities
STONEWAY CAP CORP
549300CV1RKODDF74O91
2027-03-01
10.000000
8404000.00
9198999.73
Corporate Debt Securities
GUITAR CTR MGMT INC
2019-04-15
6.500000
19289000.00
19875599.91
Corporate Debt Securities
SPRINT NEXTEL CORP
549300JKU50UT08ZWD77
2022-11-15
6.000000
7239000.00
7273988.50
Corporate Debt Securities
SEMICONDUCTOR MFG INT
300300522KCU7YI25841
2019-10-07
4.125000
6600000.00
6754957.00
Corporate Debt Securities
AES GENER S A
2073-12-18
8.375000
9600000.00
10209566.66
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2026-04-01
8.500000
20000000.00
19447222.22
Corporate Debt Securities
INTL PAPER CO
824LMFJDH41EY779Q875
2021-08-15
7.500000
5428000.00
6197346.63
Corporate Debt Securities
PERUSAHAAN PENERBIT S
2019-03-15
6.125000
6472000.00
6682870.35
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2047-02-21
5.625000
12697450.00
12303162.43
Other Instrument
International Debt
ITAU UNIBANCO HLDG SA
2021-12-21
6.200000
6000000.00
6404266.67
Corporate Debt Securities
PARK AEROSPACE HLDGS
2022-08-15
5.250000
9067000.00
8909838.66
Corporate Debt Securities
CHINA CINDA FIN 2014
2019-05-14
4.000000
5000000.00
5106950.00
Corporate Debt Securities
PT PELABUHAN INDONESI
2024-10-01
4.875000
7400000.00
7726370.83
Corporate Debt Securities
CRIMSON MERGER SUB /
2022-05-15
6.625000
5136000.00
5185612.33
Corporate Debt Securities
EXTRACTION OIL AND GA
5493002FL3WIE1JVUP20
2024-05-15
7.375000
7517270.00
8061906.65
Corporate Debt Securities
SIGNODE INDL GROUP US
2022-05-01
6.375000
16448000.00
17351954.67
Corporate Debt Securities
BPCE SA
9695005MSX1OYEMGDF46
2019-07-15
2.500000
13865000.00
13864845.95
Corporate Debt Securities
DAKOTA MERGER SUB INC
5493008MIJR7VMQP7U77
2024-09-01
10.750000
5926000.00
6486665.45
Corporate Debt Securities
ERAC USA FIN CO
LTKX5ODQW6Z7BQ2K1V47
2034-06-01
6.700000
2278000.00
2849461.61
Corporate Debt Securities
JEFFERIES FINANCE LLC
2021-04-15
7.500000
15115000.00
15801472.93
Corporate Debt Securities
IRIDIUM COMMUNICATION
2023-04-15
10.250000
19988200.00
20608389.43
Corporate Debt Securities
MOLSON COORS BREWING
54930073LBBH6ZCBE225
2042-05-01
5.000000
5700000.00
6158197.67
Corporate Debt Securities
NATIONSTAR MTG LLC /
2020-10-01
7.875000
12607000.00
13318507.54
Corporate Debt Securities
INVERSIONES CMPC
2023-05-15
4.375000
5000000.00
5179923.61
Corporate Debt Securities
DENBURY RES INC DEL
2022-03-31
9.250000
6166364.00
6565593.25
Corporate Debt Securities
SRI LANKA GOVT DEMOCR
2025-06-03
6.125000
5000000.00
5075330.56
Other Instrument
International Debt
CRH AMER INC
549300RN11MJ182CNF63
2021-01-15
5.750000
5000000.00
5385547.22
Corporate Debt Securities
GOGO INTER HLDGS LLC/
2022-07-01
12.500000
13200000.00
15187333.33
Corporate Debt Securities
NATIONSTAR MTG LLC /
2018-08-01
6.500000
6790000.00
6895056.39
Corporate Debt Securities
NUMERICABLE GROUP SA
5493001ZMCICV4N02J21
2022-05-15
6.000000
13397000.00
13193812.17
Corporate Debt Securities
REPUBLIC OF TURKEY
5493000PCHOG3B6S3Q85
2025-02-05
7.375000
6000000.00
6702375.00
Other Instrument
International Debt
BANCO NACIONAL DE DES
2019-06-10
6.500000
25450000.00
26794283.10
Other Instrument
International Debt
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2020-07-12
5.500000
30400000.00
31736502.21
Other Instrument
International Debt
NAVIENT CORPORATION
54930067J0ZNOEBRW338
2022-06-15
6.500000
5813000.00
6117181.38
Corporate Debt Securities
SAFEWAY INC
2027-09-15
7.450000
6600000.00
5513621.67
Corporate Debt Securities
REPUBLIC OF TURKEY
5493000PCHOG3B6S3Q85
2043-04-16
4.875000
18395000.00
15140426.31
Other Instrument
International Debt
REPUBLIC OF TURKEY
5493000PCHOG3B6S3Q85
2026-10-09
4.875000
32580000.00
31310058.70
Other Instrument
International Debt
VISTAJET MALTA FIN P
2020-06-01
7.750000
12138000.00
12051853.91
Corporate Debt Securities
FEDEX CORP
549300E707U7WNPZN687
2043-04-15
4.100000
6150000.00
5936458.33
Corporate Debt Securities
SS&C TECHNOLOGIES HLD
2023-07-15
5.875000
7231000.00
7688913.12
Corporate Debt Securities
ALLEGHENY ENERGY SUPP
2039-10-15
6.750000
4666000.00
6909179.50
Corporate Debt Securities
CHEVRON CORP NEW
2020-03-03
1.961000
5080000.00
5021002.29
Corporate Debt Securities
GULFPORT ENERGY CORP
549300FJX18IDUFPHD40
2023-05-01
6.625000
5748000.00
5962033.17
Corporate Debt Securities
SCHULMAN A INC
5493004OGK9A7CGV3B42
2023-06-01
6.875000
11962000.00
12859565.33
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2023-03-31
6.250000
33354000.00
31638816.86
Corporate Debt Securities
CIT GROUP INC
N8O96ZZJQRFYQUJY7K79
2028-03-09
6.125000
5835600.00
6081586.75
Corporate Debt Securities
KINDRED HEALTHCARE IN
549300OITC7AXM1AND14
2022-04-15
6.375000
18460000.00
19042259.16
Corporate Debt Securities
SUMITOMO MITSUI BANKI
2022-01-12
3.950000
6145000.00
6341385.67
Corporate Debt Securities
STATE GRID OVERSEAS I
2026-05-18
2.875000
6831700.00
6423791.53
Corporate Debt Securities
BP CAP MKTS P L C
549300CRVT18MXX0AG93
2022-05-06
3.245000
5022000.00
5091604.22
Corporate Debt Securities
BMC SOFTWARE FINANCE
54930025OU3MWYT6PZ66
2021-07-15
8.125000
32121000.00
32577162.82
Corporate Debt Securities
PLY GEM INDS INC
549300SYOFUU1F633Q76
2022-02-01
6.500000
13327000.00
13909019.71
Corporate Debt Securities
ITHACA ENERGY INC
2019-07-01
8.125000
14663000.00
14917565.98
Corporate Debt Securities
PERU REP
2025-07-21
7.350000
4600000.00
5786263.34
Other Instrument
International Debt
SPRINT CORP
549300ZTTY7CXOLJ6539
2026-03-01
7.625000
8000000.00
7871705.56
Corporate Debt Securities
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0190
925000000.00
925000000.00
0.0243
N
Y
Y
N
Standard Chartered Bank/New York
Standard Chartered Bank/New York 2.085
85325TYS8
RILFO74KP1CM8P6PCT96
US85325TYS85
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-27
2018-07-27
2018-07-27
N
N
N
0.0211
299931408.00
299931408.00
0.0079
N
N
N
N
Standard Chartered Bank/New York
Standard Chartered Bank/New York 2.442
85325TB20
RILFO74KP1CM8P6PCT96
US85325TB205
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-29
2018-10-03
2018-10-03
N
N
N
0.0248
249986967.50
249986967.50
0.0066
N
N
N
N
Standard Chartered Bank/New York
Standard Chartered Bank/New York 2.320
85325TZX6
RILFO74KP1CM8P6PCT96
US85325TZX61
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-20
2018-06-20
2018-06-20
N
N
N
0.0232
90017073.00
90017073.00
0.0024
N
N
N
N
Standard Chartered Bank/New York
Standard Chartered Bank/New York 1.975
85325TXP5
RILFO74KP1CM8P6PCT96
US85325TXP55
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-14
2018-06-14
2018-06-14
N
N
N
0.0200
200032496.00
200032496.00
0.0052
N
N
N
N
Standard Chartered Bank/New York
Standard Chartered Bank/New York 1.980
85325TZG3
RILFO74KP1CM8P6PCT96
US85325TZG39
Certificate of Deposit
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-29
2018-05-29
2018-05-29
N
N
N
0.0198
225001350.00
225001350.00
0.0059
N
N
N
N
Standard Chartered Bank/New York
Standard Chartered Bank/New York 2.322
85324UFL2
RILFO74KP1CM8P6PCT96
US85324UFL26
Financial Company Commercial Paper
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-20
2018-06-20
2018-06-20
N
N
N
0.0232
49742239.00
49742239.00
0.0013
N
N
N
N
Sumitomo Mitsui Banking Corp/New York
Sumitomo Mitsui Banking Corp/New York 1.910
86563YX32
5U0XI89JRFVHWIBS4F54
US86563YX329
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-06
2018-06-06
2018-06-06
N
N
N
0.0194
95999985.60
95999985.60
0.0025
N
N
N
N
Sumitomo Mitsui Banking Corp/New York
Sumitomo Mitsui Banking Corp/New York 2.084
86563Y5N9
5U0XI89JRFVHWIBS4F54
US86563Y5N94
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-22
2018-08-22
2018-08-22
N
N
N
0.0211
199918634.00
199918634.00
0.0052
N
N
N
N
Sumitomo Mitsui Banking Corp/New York
Sumitomo Mitsui Banking Corp/New York 2.028
86563YZ63
5U0XI89JRFVHWIBS4F54
US86563YZ639
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-16
2018-06-18
2018-06-18
N
N
N
0.0206
119980687.20
119980687.20
0.0031
N
N
N
N
Sumitomo Mitsui Banking Corp/New York
Sumitomo Mitsui Banking Corp/New York 2.074
86563Y2F9
5U0XI89JRFVHWIBS4F54
US86563Y2F97
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-22
2018-06-22
2018-06-22
N
N
N
0.0210
96486282.53
96486282.53
0.0025
N
N
N
N
Sumitomo Mitsui Banking Corp/New York
Sumitomo Mitsui Banking Corp/New York 1.997
86563YZ48
5U0XI89JRFVHWIBS4F54
US86563YZ480
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-16
2018-06-15
2018-06-15
N
N
N
0.0203
312151112.60
312151112.60
0.0082
N
N
N
N
Sumitomo Mitsui Banking Corp/New York
Sumitomo Mitsui Banking Corp/New York 2.141
86565BAJ0
5U0XI89JRFVHWIBS4F54
US86565BAJ08
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-21
2018-08-21
2018-08-21
N
N
N
0.0217
64989635.75
64989635.75
0.0017
N
N
N
N
Sumitomo Mitsui Banking Corp/New York
Sumitomo Mitsui Banking Corp/New York 2.072
86563YM75
5U0XI89JRFVHWIBS4F54
US86563YM751
Certificate of Deposit
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-20
2018-04-24
2018-04-24
N
N
N
0.0210
155009158.95
155009158.95
0.0041
N
N
N
N
SUMITOMO MITSUI TRST
SUMITOMO MITSUI TRST 2.127
7D1253N
XS1764708282
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-30
2018-07-30
2018-07-30
N
N
N
0.0216
74994804.00
74994804.00
0.0020
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIM
SUMITOMO MITSUI TRUST BANK LIM 2.409
8D5375N
XS1801136067
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-06-26
2018-06-26
2018-06-26
N
N
N
0.0241
124299060.00
124299060.00
0.0033
N
N
N
N
Sumitomo Mitsui Trust Bank Limited/ New York
Sumitomo Mitsui Trust Bank Limited/ New York 2.018
86564E4N3
5493006GGLR4BTEL8O61
US86564E4N38
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-18
2018-07-18
2018-07-18
N
N
N
0.0205
249933485.00
249933485.00
0.0066
N
N
N
N
Sumitomo Mitsui Trust Bank Limited/ New York
Sumitomo Mitsui Trust Bank Limited/ New York 1.886
86564E2B1
5493006GGLR4BTEL8O61
US86564E2B18
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-04
2018-06-01
2018-06-01
N
N
N
0.0191
54992038.75
54992038.75
0.0014
N
N
N
N
Sumitomo Mitsui Trust Bank Limited/ New York
Sumitomo Mitsui Trust Bank Limited/ New York 1.950
86564E6D3
5493006GGLR4BTEL8O61
US86564E6D38
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-05-14
2018-05-14
2018-05-14
N
N
N
0.0195
49999646.50
49999646.50
0.0013
N
N
N
N
Sumitomo Mitsui Trust Bank Limited/ New York
Sumitomo Mitsui Trust Bank Limited/ New York 2.018
86564E4M5
5493006GGLR4BTEL8O61
US86564E4M54
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-17
2018-07-17
2018-07-17
N
N
N
0.0205
199947600.00
199947600.00
0.0052
N
N
N
N
Sumitomo Mitsui Trust Bank Limited/ New York
Sumitomo Mitsui Trust Bank Limited/ New York 1.876
86564EM94
5493006GGLR4BTEL8O61
US86564EM942
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-03
2018-04-03
2018-04-03
N
N
N
0.0190
30000674.40
30000674.40
0.0008
N
N
Y
N
Sumitomo Mitsui Trust Bank Ltd/London
Sumitomo Mitsui Trust Bank Ltd/London 2.117
5D7476B
5493006GGLR4BTEL8O61
XS1730136394
Certificate of Deposit
Y
Fitch Long Rating
A-
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-29
2018-05-29
2018-05-29
N
N
N
0.0215
51997249.20
51997249.20
0.0014
N
N
N
N
Suncorp-Metway Ltd
Suncorp-Metway Ltd 1.752
8672E3DJ2
JEBU6C6ITPD2YZ9N7F22
US8672E3DJ24
Financial Company Commercial Paper
Y
Fitch Long Rating
A+
Fitch Short Rating
F1
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-18
2018-04-18
2018-04-18
N
N
N
0.0175
64927525.00
64927525.00
0.0017
N
N
N
N
Svenska Handelsbanken/New York NY
Svenska Handelsbanken/New York NY 2.047
86958JYY9
NHBDILHZTYCNBV5UYZ31
US86958JYY99
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-16
2019-02-15
2019-02-15
N
N
N
0.0208
324568552.75
324568552.75
0.0085
N
N
N
N
Svenska Handelsbanken/New York NY
Svenska Handelsbanken/New York NY 1.968
86958JTB5
NHBDILHZTYCNBV5UYZ31
US86958JTB51
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-17
2018-05-17
2018-05-17
N
N
N
0.0200
100017737.00
100017737.00
0.0026
N
N
N
N
Svenska Handelsbanken/New York NY
Svenska Handelsbanken/New York NY 2.025
86958JRV3
NHBDILHZTYCNBV5UYZ31
US86958JRV34
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-27
2018-04-27
2018-04-27
N
N
N
0.0205
200034690.00
200034690.00
0.0052
N
N
N
N
Svenska Handelsbanken/New York NY
Svenska Handelsbanken/New York NY 1.880
86958JUT4
NHBDILHZTYCNBV5UYZ31
US86958JUT41
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-11
2018-07-11
2018-07-11
N
N
N
0.0191
19994640.60
19994640.60
0.0005
N
N
N
N
Svenska Handelsbanken/New York NY
Svenska Handelsbanken/New York NY 1.890
86958JVT3
NHBDILHZTYCNBV5UYZ31
US86958JVT32
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-13
2018-08-13
2018-08-13
N
N
N
0.0192
119919723.60
119919723.60
0.0031
N
N
N
N
Svenska Handelsbanken/New York NY
Svenska Handelsbanken/New York NY 1.826
86958JUJ6
NHBDILHZTYCNBV5UYZ31
US86958JUJ68
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-03
2018-07-03
2018-07-03
N
N
N
0.0185
149979301.50
149979301.50
0.0039
N
N
N
N
Swedbank AB
Swedbank AB 1.924
87019SGT5
M312WZV08Y7LYUC71685
US87019SGT50
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-07-27
2018-07-27
2018-07-27
N
N
N
0.0192
21843066.74
21843066.74
0.0006
N
N
N
N
Swedbank AB
Swedbank AB 1.690
0SWB01I09
M312WZV08Y7LYUC71685
0001367624
Non-Negotiable Time Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0169
1000000000.00
1000000000.00
0.0262
N
Y
Y
N
Swedbank AB/New York
Swedbank AB/New York 2.032
87019VCH8
M312WZV08Y7LYUC71685
US87019VCH87
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-25
2018-07-25
2018-07-25
N
N
N
0.0206
99963564.00
99963564.00
0.0026
N
N
N
N
THE CHIBA BANK LTD-NEW TD
THE CHIBA BANK LTD-NEW TD 1.720
0GN001M61
0001442765
Non-Negotiable Time Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0172
100000000.00
100000000.00
0.0026
N
Y
Y
N
Thunder Bay Funding LLC
Thunder Bay Funding LLC 1.916
88603YDW8
0001047731
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-05
2018-10-05
2018-10-05
N
N
Y
ROYAL BANK OF CANADA
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0194
62009461.20
62009461.20
0.0016
N
N
N
N
Thunder Bay Funding LLC
Thunder Bay Funding LLC 1.868
88604GAP4
US88604GAP46
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-05
2018-05-31
2018-05-31
N
N
Y
ROYAL BANK OF CANADA
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0189
46500947.67
46500947.67
0.0012
N
N
N
N
Thunder Bay Funding LLC
Thunder Bay Funding LLC 2.001
88603ACR2
US88603ACR23
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-24
2018-05-24
2018-05-24
N
N
Y
ROYAL BANK OF CANADA
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0203
50007462.00
50007462.00
0.0013
N
N
N
N
Thunder Bay Funding LLC
Thunder Bay Funding LLC 1.876
88603KBF7
US88603KBF75
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-04
2018-09-04
2018-09-04
N
N
Y
ROYAL BANK OF CANADA
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0190
99933057.00
99933057.00
0.0026
N
N
N
N
Toronto Dominion Holdings UK Ltd
Toronto Dominion Holdings UK Ltd 2.068
0D7457N
21380094W2JJY3JDHJ35
XS1600562588
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-18
2018-04-18
2018-04-18
N
N
N
0.0210
100006535.00
100006535.00
0.0026
N
N
N
N
Toronto-Dominion Bank/London
Toronto-Dominion Bank/London 1.570
5D0309N
PT3QB789TSUIDF371261
XS1711386711
0000947263
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-30
2018-04-30
2018-04-30
N
N
N
0.0157
149748555.00
149748555.00
0.0039
N
N
N
N
Toronto-Dominion Bank/The
Toronto-Dominion Bank/The 2.054
89120DAM1
PT3QB789TSUIDF371261
US89120DAM11
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-22
2018-08-22
2018-08-22
N
N
N
0.0208
124939007.50
124939007.50
0.0033
N
N
N
N
Toronto-Dominion Bank/The
Toronto-Dominion Bank/The 1.981
89120DDG1
PT3QB789TSUIDF371261
US89120DDG16
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-08
2019-02-08
2019-02-08
N
N
N
0.0201
149796270.00
149796270.00
0.0039
N
N
N
N
Toronto-Dominion Bank/The
Toronto-Dominion Bank/The 2.035
89120DDK2
PT3QB789TSUIDF371261
US89120DDK28
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-14
2019-02-14
2019-02-14
N
N
N
0.0207
199725992.00
199725992.00
0.0052
N
N
N
N
Toronto-Dominion Bank/The
Toronto-Dominion Bank/The 2.556
89120DDZ9
PT3QB789TSUIDF371261
US89120DDZ96
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-06-21
2019-03-26
2019-03-26
N
N
N
0.0259
129974556.40
129974556.40
0.0034
N
N
N
N
Toronto-Dominion Bank/The
Toronto-Dominion Bank/The 2.104
89120DCU1
PT3QB789TSUIDF371261
US89120DCU19
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-23
2019-01-22
2019-01-22
N
N
N
0.0214
239648270.40
239648270.40
0.0063
N
N
N
N
Toronto-Dominion Bank/The
Toronto-Dominion Bank/The 1.930
89120DAV1
PT3QB789TSUIDF371261
US89120DAV10
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-12
2018-09-12
2018-09-12
N
N
N
0.0196
49962159.00
49962159.00
0.0013
N
N
N
N
Toyota Finance Australia Ltd
Toyota Finance Australia Ltd 2.018
89237BAK9
3UKPTDP5PGQRH8AUK042
US89237BAK98
Non-Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-19
2018-10-09
2018-10-09
N
N
N
0.0205
29978009.10
29978009.10
0.0008
N
N
N
N
Toyota Finance Australia Ltd
Toyota Finance Australia Ltd 2.018
89237BAL7
3UKPTDP5PGQRH8AUK042
US89237BAL71
Non-Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-19
2018-10-16
2018-10-16
N
N
N
0.0205
14987301.00
14987301.00
0.0004
N
N
N
N
Toyota Motor Finance Netherlands BV
Toyota Motor Finance Netherlands BV 1.848
89233LAN5
724500OPA8GZSQUNSR96
US89233LAN55
Non-Financial Company Commercial Paper
Y
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-30
2018-05-24
2018-05-24
N
N
N
0.0187
12003100.56
12003100.56
0.0003
N
N
N
N
UBS AG/London
UBS AG/London 2.112
90276JCK0
BFM8T61CT2L1QCEMIK50
US90276JCK07
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-28
2018-08-24
2018-08-24
N
N
N
0.0214
89970975.00
89970975.00
0.0024
N
N
N
N
UBS Securities LLC
UBS Securities LLC 1.800
0UBS02E77
T6FIZBDPKLYJKFCRVK44
0000230611
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
Federal Home Loan Ban
2018-04-25
0.000000
500000.00
499370.00
Agency Debentures and Agency Strips
PACIFIC GAS & ELEC CO
1HNPXZSMMB7HMBMVBS46
2044-02-15
4.750000
4000.00
4126.38
Corporate Debt Securities
UBS GROUP AG
506700Q800G1L95S7805
2020-09-24
2.950000
53690000.00
53308786.09
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2022-12-31
2.125000
100.00
98.49
U.S. Treasuries (including strips)
UBS GROUP AG
2022-02-01
3.303400
9460000.00
9799996.03
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2026-05-15
1.625000
1584500.00
1463246.44
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2021-07-31
1.125000
4000000.00
3835365.64
U.S. Treasuries (including strips)
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-05-23
3.139750
11341000.00
11542526.74
Corporate Debt Securities
United States Treasur
2018-10-31
1.750000
2526100.00
2540349.83
U.S. Treasuries (including strips)
RPM INTL INC
2048-01-15
4.250000
2329196.00
2214081.31
Corporate Debt Securities
UBS AG LONDON BRH
BFM8T61CT2L1QCEMIK50
2020-06-08
2.200000
5637100.00
5567669.72
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-06-28
0.000000
100.00
99.57
U.S. Treasuries (including strips)
ROYAL BK SCOTLAND GRO
2138005O9XJIJN4JPN90
2023-05-15
3.308750
14345000.00
14528530.32
Corporate Debt Securities
MOSAIC CO NEW
2YD5STGSJNMUB7H76907
2023-11-15
4.250000
6091000.00
6310089.89
Corporate Debt Securities
MOSAIC CO NEW
2YD5STGSJNMUB7H76907
2027-11-15
4.050000
4099940.00
4050863.72
Corporate Debt Securities
EASTMAN CHEM CO
FDPVHDGJ1IQZFK9KH630
2044-10-15
4.650000
420000.00
438704.00
Corporate Debt Securities
Federal Home Loan Ban
2018-04-20
0.000000
100000.00
99897.00
Agency Debentures and Agency Strips
United States Treasur
254900HROIFWPRGM1V77
2021-05-31
1.375000
999900.00
971548.03
U.S. Treasuries (including strips)
CAPITAL ONE BK USA NA
LKE37K2B8CFZUR7F9816
2023-02-15
3.375000
7970000.00
7797250.25
Corporate Debt Securities
ENERGY TRANSFER PRTNR
5493008K8W3OKZE54J59
2038-07-01
7.500000
7000.00
8546.88
Corporate Debt Securities
Federal Home Loan Ban
2018-05-02
0.000000
3400000.00
3394526.00
Agency Debentures and Agency Strips
PNC BK N A PITTSBURGH
AD6GFRVSDT01YPT1CS68
2023-07-25
3.800000
8530000.00
8686572.89
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-05-23
3.491000
19659000.00
19640884.22
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2026-08-15
1.500000
100.00
90.71
U.S. Treasuries (including strips)
UNITED TECHNOLOGIES C
I07WOS4YJ0N7YRFE7309
2045-05-15
4.150000
185000.00
180217.24
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2026-07-15
0.125000
721600.00
714878.92
U.S. Treasuries (including strips)
CHEVRON CORP NEW
2024-03-03
2.895000
3000.00
2941.02
Corporate Debt Securities
SANTANDER UK PLC
PTCQB104N23FMNK2RZ28
2021-01-05
2.500000
61801.00
61126.34
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-08-15
2.859000
370100.00
358691.42
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-09-20
0.000000
100.00
99.08
U.S. Treasuries (including strips)
DEUTSCHE BK AG N Y BR
7LTWFZYICNSX8D621K86
2022-11-16
3.040000
69256.00
69419.52
Corporate Debt Securities
Federal Home Loan Ban
2018-04-13
0.000000
2351000.00
2349354.30
Agency Debentures and Agency Strips
Federal Home Loan Ban
2018-07-06
0.000000
400000.00
398008.00
Agency Debentures and Agency Strips
PUBLIC STORAGE
2022-09-15
2.370000
1185229.00
1140381.91
Corporate Debt Securities
United States Treasur
2018-04-15
0.750000
100.00
100.30
U.S. Treasuries (including strips)
United States Treasur
2047-08-15
0.000000
164.92
67.45
U.S. Treasuries (including strips)
BANK AMER CORP
9DJT3UXIJIZJI4WXO774
2026-01-23
3.366000
3492.00
3417.34
Corporate Debt Securities
ENTERPRISE PRODS OPER
5493004LGN656HWLDA30
2027-02-15
3.950000
69000.00
69697.44
Corporate Debt Securities
Federal Home Loan Ban
2018-04-30
0.000000
2600000.00
2596126.00
Agency Debentures and Agency Strips
FEDEX CORP
549300E707U7WNPZN687
2044-01-15
5.100000
4454000.00
4905739.52
Corporate Debt Securities
LLOYDS BKG GROUP PLC
549300PPXHEU2JF0AM85
2048-01-09
4.344000
379915.00
352524.39
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2019-04-30
1.250000
700.00
696.71
U.S. Treasuries (including strips)
LYB INTL FIN II BV
549300ZSNDBYN4Z4VZ93
2027-03-02
3.500000
10346000.00
9930970.21
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-06-07
0.000000
100.00
99.68
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2018-05-31
0.000000
100.00
99.71
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2021-03-15
2.375000
100.00
100.00
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2019-01-31
1.250000
10000000.00
9947782.32
U.S. Treasuries (including strips)
Federal Home Loan Ban
2018-04-02
0.000000
12960000.00
12957537.60
Agency Debentures and Agency Strips
MPLX LP
5493000CZJ19CK4P3G36
2058-04-15
4.900000
8399590.00
8078049.03
Corporate Debt Securities
SIMON PPTY GROUP LP
MR92GTD0MJTTTTQDVG45
2046-11-30
4.250000
2689000.00
2681467.06
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-05-31
2.375000
500100.00
504452.08
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2023-07-31
1.250000
3019000.00
2820102.94
U.S. Treasuries (including strips)
DUKE ENERGY PROGRESS
0NIFZ782LS46WOC9QK20
2046-10-15
3.700000
425000.00
416413.11
Corporate Debt Securities
UBS AG STAMFORD BRH
2020-06-01
2.856250
12348000.00
12496318.34
Corporate Debt Securities
SIMON PPTY GROUP LP
MR92GTD0MJTTTTQDVG45
2023-02-01
2.750000
4370000.00
4277139.93
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-05-03
0.000000
100.00
99.84
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2018-06-30
0.625000
4998700.00
4990998.69
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2018-04-12
0.000000
600.00
599.60
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2045-02-15
0.750000
100.00
100.48
U.S. Treasuries (including strips)
Federal Home Loan Ban
2021-03-22
2.650000
35000.00
34991.43
Agency Debentures and Agency Strips
BANK AMER CORP
9DJT3UXIJIZJI4WXO774
2044-01-21
5.000000
1151000.00
1294903.14
Corporate Debt Securities
UBS AG LONDON BRH
BFM8T61CT2L1QCEMIK50
2020-12-01
2.450000
21467000.00
21259384.29
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-07-05
0.000000
100.00
99.53
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2019-04-15
0.125000
100.00
105.73
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2025-01-15
0.250000
100.00
102.11
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2026-11-15
2.000000
100.00
94.81
U.S. Treasuries (including strips)
BARCLAYS BK PLC
G5GSEF7VJP5I7OUK5573
2021-01-11
2.650000
537.00
531.36
Corporate Debt Securities
UBS GROUP AG
506700Q800G1L95S7805
2021-04-15
3.000000
18067000.00
18086271.47
Corporate Debt Securities
HSBC HLDGS PLC
MLU0ZO3ML4LN2LL2TL39
2023-03-13
3.262000
6550000.00
6460001.54
Corporate Debt Securities
METLIFE INC
2068-04-08
9.250000
4370000.00
6135206.86
Corporate Debt Securities
QUALCOMM INC
H1J8DDZKZP6H7RWC0H53
2047-05-20
4.300000
3400660.00
3292649.37
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-08-15
2.788750
31589000.00
31869462.06
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-12-31
1.500000
100.00
99.91
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2018-08-02
0.000000
100.00
99.37
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2018-12-31
1.375000
21879600.00
21833073.94
U.S. Treasuries (including strips)
UBS AG STAMFORD BRH
BFM8T61CT2L1QCEMIK50
2020-08-04
4.875000
9750000.00
10217297.19
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2023-02-28
2.625000
100.00
100.40
U.S. Treasuries (including strips)
United States Treasur
254900HROIFWPRGM1V77
2018-11-30
1.375000
416000.00
415985.10
U.S. Treasuries (including strips)
APPLE INC
HWUPKR0MPOU8FGXBT394
2023-01-13
2.400000
278.00
271.87
Corporate Debt Securities
Federal Home Loan Ban
2018-05-09
0.000000
5000000.00
4990250.00
Agency Debentures and Agency Strips
SABINE PASS LIQUEFACT
549300KJYBG7C6WJYZ11
2028-03-15
4.200000
700.00
688.40
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2018-04-19
0.000000
100.00
99.90
U.S. Treasuries (including strips)
APPLE INC
HWUPKR0MPOU8FGXBT394
2024-05-11
2.850000
50.00
49.23
Corporate Debt Securities
UBS GROUP AG
506700Q800G1L95S7805
2021-04-14
3.500190
310000.00
323419.16
Corporate Debt Securities
United States Treasur
254900HROIFWPRGM1V77
2021-09-30
1.125000
300.00
287.99
U.S. Treasuries (including strips)
United States Treasur
2018-08-15
4.000000
100.00
101.25
U.S. Treasuries (including strips)
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0180
350000000.00
350000000.00
0.0092
N
Y
Y
N
United Overseas Bank Ltd
United Overseas Bank Ltd 2.029
91127QFB0
IO66REGK3RCBAMA8HR66
US91127QFB05
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-06-11
2018-06-11
2018-06-11
N
N
N
0.0203
22399406.33
22399406.33
0.0006
N
N
N
N
United States of America
United States of America 1.736
912796PL7
254900HROIFWPRGM1V77
US912796PL77
U.S. Treasury Debt
Y
Fitch Long Rating
AAA
Fitch Short Rating
F1+
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
2018-06-14
2018-06-14
2018-06-14
N
N
N
0.0174
847151735.00
847151735.00
0.0222
N
Y
Y
N
United States of America
United States of America 1.707
912796LX5
254900HROIFWPRGM1V77
US912796LX51
U.S. Treasury Debt
Y
Fitch Long Rating
AAA
Fitch Short Rating
F1+
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
2018-04-26
2018-04-26
2018-04-26
N
N
N
0.0171
199787000.00
199787000.00
0.0052
N
Y
Y
N
Versailles Commercial Paper LLC
Versailles Commercial Paper LLC 1.751
92512MDA4
US92512MDA45
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-04-10
2018-04-10
2018-04-10
N
N
Y
NATIXIS FINANCIAL PRODUCTS LLC
Liquidity/Partial C/E
1.0000
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
0.0175
49970333.50
49970333.50
0.0013
N
N
N
N
Versailles Commercial Paper LLC
Versailles Commercial Paper LLC 2.395
92512MG29
US92512MG294
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-07-02
2018-07-02
2018-07-02
N
N
Y
NATIXIS FINANCIAL PRODUCTS LLC
Liquidity/Partial C/E
1.0000
Fitch Long Rating
A
Fitch Short Rating
F1
Moody's Long Rating
A2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
0.0240
223575594.75
223575594.75
0.0059
N
N
N
N
Victory Receivables Corp
Victory Receivables Corp 1.995
92646LEE6
549300D0F37QF0LP7F94
US92646LEE65
Asset Backed Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2018-05-14
2018-05-14
2018-05-14
N
Y
THE BANK OF TOKYO-MITSUBISHI UFJ LTD.
1.0000
Fitch Long Rating
NR
Fitch Short Rating
F1
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0200
99745211.00
99745211.00
0.0026
N
N
N
N
Wells Fargo Bank NA
Wells Fargo Bank NA 2.147
94989RYE2
KB1H1DSPRFMYMCUFXT09
US94989RYE25
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2019-01-30
2019-01-30
N
N
N
0.0218
194773751.25
194773751.25
0.0051
N
N
N
N
Wells Fargo Bank NA
Wells Fargo Bank NA 2.104
94989RXN3
KB1H1DSPRFMYMCUFXT09
US94989RXN33
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-22
2019-01-22
2019-01-22
N
N
N
0.0214
249674680.00
249674680.00
0.0066
N
N
N
N
Wells Fargo Bank NA
Wells Fargo Bank NA 2.058
94989RJZ2
KB1H1DSPRFMYMCUFXT09
US94989RJZ29
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-19
2018-04-19
2018-04-19
N
N
N
0.0209
100016502.00
100016502.00
0.0026
N
N
N
N
Wells Fargo Bank NA
Wells Fargo Bank NA 2.087
94989RRY6
KB1H1DSPRFMYMCUFXT09
US94989RRY61
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-11-01
2018-11-01
N
N
N
0.0212
129868267.10
129868267.10
0.0034
N
N
N
N
Wells Fargo Bank NA
Wells Fargo Bank NA 2.105
94989RTH1
KB1H1DSPRFMYMCUFXT09
US94989RTH11
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-27
2018-11-27
2018-11-27
N
N
N
0.0214
99893676.00
99893676.00
0.0026
N
N
N
N
Wells Fargo Bank NA
Wells Fargo Bank NA 1.970
94989RRH3
KB1H1DSPRFMYMCUFXT09
US94989RRH39
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-12
2018-10-16
2018-10-16
N
N
N
0.0200
199799264.00
199799264.00
0.0052
N
N
N
N
Wells Fargo Bank NA
Wells Fargo Bank NA 2.077
94989RYG7
KB1H1DSPRFMYMCUFXT09
US94989RYG72
Certificate of Deposit
Y
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-07-30
2018-07-30
N
N
N
0.0211
74976679.50
74976679.50
0.0020
N
N
N
N
WELLS FARGO SECURITIES, LLC 1.78 02 APR2018
WELLS FARGO SECURITIES, LLC 1.78 02 APR2018 1.780
0QY001KD4
0000740906
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2026-08-12
3.250000
1207000.00
1165132.86
Other Instrument
International Debt
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2022-01-25
2.750000
250000.00
245409.72
Other Instrument
International Debt
KOREA NATIONAL OIL CO
2022-03-27
2.875000
1525000.00
1483397.58
Other Instrument
International Debt
NEDERLANDSE WATERSCHA
2022-03-02
2.250000
23033000.00
22630325.58
Other Instrument
International Debt
KOREA NATIONAL OIL CO
2024-07-10
3.250000
200000.00
195340.39
Other Instrument
International Debt
KOREA DEV BK
2025-09-16
3.375000
548000.00
535795.36
Other Instrument
International Debt
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-02
2018-04-02
2018-04-02
N
N
N
0.0178
25000000.00
25000000.00
0.0007
N
Y
Y
N
WELLS FARGO SECURITIES, LLC 1.83 05 APR2018
WELLS FARGO SECURITIES, LLC 1.83 05 APR2018 1.830
0QY001KC6
0000740906
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
KANSAS CITY SOUTHERN
2018-04-23
0.000000
30000000.00
29947380.00
Money Market
N V BK NEDERLANDSE GE
2019-02-15
1.500000
4000000.00
3979373.33
Other Instrument
International Debt
NEDERLANDSE WATERSCHA
2018-07-13
0.875000
3960000.00
3954326.20
Other Instrument
International Debt
N V BK NEDERLANDSE GE
2018-09-20
1.000000
4000000.00
3979520.00
Other Instrument
International Debt
KOREA NATIONAL OIL CO
2024-01-23
4.000000
11250000.00
11459737.50
Other Instrument
International Debt
TEMASEK FINL LTD
2023-01-23
2.375000
16002000.00
15556410.98
Other Instrument
International Debt
ENABLE MIDSTREAM PART
2018-04-23
0.000000
10000000.00
9982460.00
Money Market
AB SVENSK EXPORTKREDI
1FOLRR5RWTWWI397R131
2019-06-17
1.875000
9561000.00
9549072.65
Other Instrument
International Debt
NEDERLANDSE WATERSCHA
2019-01-23
1.500000
22070000.00
21994079.20
Other Instrument
International Debt
NEDERLANDSE WATERSCHA
2022-03-02
2.250000
18404000.00
18082252.07
Other Instrument
International Debt
KOREA FINANCE CORP
549300ML2LNRZUCS7149
2021-11-16
4.625000
2304000.00
2444928.32
Other Instrument
International Debt
NEDERLANDSE WATERSCHA
2019-09-05
1.750000
625000.00
619935.42
Other Instrument
International Debt
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2021-09-15
4.375000
324000.00
335265.93
Other Instrument
International Debt
N V BK NEDERLANDSE GE
2022-02-01
2.375000
6800000.00
6722591.45
Other Instrument
International Debt
PTT PUB CO LTD
2042-10-25
4.500000
490000.00
497075.60
Other Instrument
International Debt
EXPORT IMPORT BK KORE
2022-01-25
2.620200
425000.00
427345.21
Other Instrument
International Debt
ENBRIDGE ENERGY PARTN
CZ6VG2MNE1J6YDI02G48
2018-04-16
0.000000
44631621.00
44581633.58
Money Market
FMS WERTMANAGEMENT MU
HZFDOR6TCRSIQLKQTX32
2019-08-16
1.000000
2700000.00
2655165.00
Other Instrument
International Debt
BANCO NACL DE COMERCI
4469000001BL6VG3DH44
2026-08-11
3.800000
210000.00
206864.00
Other Instrument
International Debt
KOREA REP
549300O0QCVSQGPGDT58
2023-09-11
3.875000
385000.00
398566.44
Other Instrument
International Debt
NEDERLANDSE WATERSCHA
2019-03-13
1.875000
700000.00
697608.33
Other Instrument
International Debt
INDUSTRIAL & COML BK
5493002ERZU2K9PZDL40
2025-09-21
4.875000
8200000.00
8354023.33
Other Instrument
International Debt
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-04-05
2018-04-05
2018-04-05
N
N
N
0.0183
187000000.00
187000000.00
0.0049
N
N
Y
N
Westpac Banking Corp
Westpac Banking Corp 1.980
9612C4VX6
EN5TNI6CI43VEPAMHL14
US9612C4VX63
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-13
2018-04-13
2018-04-13
N
N
N
0.0201
35003319.40
35003319.40
0.0009
N
N
N
N
Westpac Banking Corp
Westpac Banking Corp 1.966
9612C4WN7
EN5TNI6CI43VEPAMHL14
US9612C4WN72
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-21
2018-08-16
2018-08-16
N
N
N
0.0200
108541360.34
108541360.34
0.0029
N
N
N
N
Westpac Banking Corp
Westpac Banking Corp 2.065
9612C4XD8
EN5TNI6CI43VEPAMHL14
US9612C4XD81
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-27
2018-09-27
2018-09-27
N
N
N
0.0210
49962026.00
49962026.00
0.0013
N
N
N
N
Westpac Banking Corp
Westpac Banking Corp 1.876
9612C4WW7
EN5TNI6CI43VEPAMHL14
US9612C4WW71
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-05
2018-09-05
2018-09-05
N
N
N
0.0190
89942076.00
89942076.00
0.0024
N
N
N
N
Westpac Banking Corp
Westpac Banking Corp 1.995
9612C4YB1
EN5TNI6CI43VEPAMHL14
US9612C4YB17
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-19
2019-01-14
2019-01-14
N
N
N
0.0203
99856345.00
99856345.00
0.0026
N
N
N
N
Westpac Banking Corp
Westpac Banking Corp 2.041
9612C4WA5
EN5TNI6CI43VEPAMHL14
US9612C4WA51
Financial Company Commercial Paper
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-26
2018-05-25
2018-05-25
N
N
N
0.0207
60012645.00
60012645.00
0.0016
N
N
N
N
Westpac Banking Corp/NY
Westpac Banking Corp/NY 2.038
96121T6D5
EN5TNI6CI43VEPAMHL14
US96121T6D58
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-19
2019-01-18
2019-01-18
N
N
N
0.0207
99854746.00
99854746.00
0.0026
N
N
N
N
Westpac Banking Corp/NY
Westpac Banking Corp/NY 2.002
96121T4G0
EN5TNI6CI43VEPAMHL14
US96121T4G08
Certificate of Deposit
Y
Fitch Long Rating
AA-
Fitch Short Rating
F1+
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-04-18
2018-08-20
2018-08-20
N
N
N
0.0203
74948112.75
74948112.75
0.0020
N
N
N
N
JPMorgan Prime Money Market Fund
2018-04-06
Matthew Plastina
Matthew Plastina
Assistant Treasurer