0001718745-18-000310.txt : 20181107
0001718745-18-000310.hdr.sgml : 20181107
20181107125829
ACCESSION NUMBER: 0001718745-18-000310
CONFORMED SUBMISSION TYPE: N-MFP2
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20181031
FILED AS OF DATE: 20181107
DATE AS OF CHANGE: 20181107
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
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-21295
FILM NUMBER: 181165459
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
1
primary_doc.xml
N-MFP2
0001217286
XXXXXXXX
2018-10-31
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
75
14615130207.02
12629753238.28
14060593123.72
12902710966.03
17816701060.96
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1154507732.57
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JPM Dist Svcs, Shareholder Servicing Contract, 448423.25;
C000008135
1000.00
1817341371.97
1817184017.24
1.0002
1.0002
1.0002
1.0001
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6951602930.06
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7525960653.47
32435378208.04
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0.0193
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JPM Dist Svcs, Shareholder Servicing Contract, 7990.23;
C000008137
10000000.00
26096044.41
26093776.82
1.0002
1.0002
1.0002
1.0001
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98587555.71
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81428915.28
99061554.32
99188892.29
98204023.97
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441862806.41
442527128.41
0.0175
Y
JPM Dist Svcs, Shareholder Servicing Contract, 2448.29;
C000008136
1000000.00
1518299713.53
1518087474.92
1.0002
1.0002
1.0002
1.0001
567010301.31
567023448.06
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442976300.29
650419251.26
617154272.91
678308231.74
638923233.25
2789608849.10
2675793576.40
0.0200
Y
JPM Dist Svcs, Shareholder Servicing Contract, 14339.54;
C000008138
5000000.00
2022253673.33
2021928204.84
1.0002
1.0002
1.0002
1.0002
3635653365.39
3704567398.36
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3823120954.63
3768006175.53
3840511788.55
3861507486.97
16605049552.80
16558962064.05
0.0219
Y
JPM Dist Svcs, Shareholder Servicing Contract, 86737.37;
C000008133
1000.00
1428270.98
1428038.13
1.0002
1.0002
1.0002
1.0002
1688.76
21882.21
0.00
75.66
0.93
0.00
0.00
56345.67
0.00
163363.49
0.0148
Y
JPM Dist Svcs, Shareholder Servicing Contract, 2844.60;
C000008134
50000000.00
25025492096.25
25021564990.95
1.0002
1.0002
1.0002
1.0002
4476439949.45
3617951244.04
5747108560.56
5952800828.12
3099326028.76
3375037158.06
3263127307.94
3535101115.42
19044203488.01
18988954350.09
0.0227
Y
JPM Dist Svcs, Shareholder Servicing Contract, 615747.10;
C000115390
50000000.00
1645254138.08
1644956834.55
1.0003
1.0002
1.0002
1.0002
127274978.27
231144796.51
180313055.85
350739809.78
288633537.71
293683397.42
432788263.81
432436997.40
1132238241.77
1582144659.29
0.0229
N
ABN AMRO FUNDING USA LLC
ABN AMRO FUNDING USA LLC 2.361
00084CN73
US00084CN730
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
NR
Standard & Poor's Short Rating
A-1
2019-01-07
2019-01-07
2019-01-07
N
N
N
0.0236
48276560.50
48276560.50
0.0011
N
N
N
N
ALASKA HOUSING FINANCE CORP
ALASKA HOUSING FINANCE CORP 2.200
011839RX7
549300HJ8NOJNYW6ER36
US011839RX71
Variable Rate Demand Note
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
VMIG1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
2018-11-07
2018-11-07
2043-12-01
Y
ALASKA ST HSG FIN CORP - GOVTL PURPOSE GEN HSG PURPOSE GEN MTG II OR STATE CAP PROJ (GENERAL OBLI
1.0000
7
N
Fitch Long Rating
AA+
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
VMIG1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
N
N
0.0220
90000000.00
90000000.00
0.0021
N
N
Y
N
ALPINE SECURITIZATION
ALPINE SECURITIZATION 2.570
02088XPF9
US02088XPF95
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
2019-02-15
2019-02-15
2019-02-15
N
Y
CREDIT SUISSE AG
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
0.0257
125325858.20
125325858.20
0.0030
N
N
N
N
ALPINE SECURITIZATION
ALPINE SECURITIZATION 2.500
02089XBR7
US02089XBR70
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
2019-01-22
2019-01-22
2019-01-22
N
Y
CREDIT SUISSE AG
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
0.0250
102000000.00
102000000.00
0.0024
N
N
N
N
ALPINE SECURITIZATION
ALPINE SECURITIZATION 2.494
02089XBW6
US02089XBW65
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
2018-11-10
2019-03-11
2019-03-11
N
Y
CREDIT SUISSE AG
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
0.0253
25008131.00
25008131.00
0.0006
N
N
N
N
ANTALIS SA
ANTALIS SA 2.230
03664BL20
549300G2LM2ZKZ0X4Y50
US03664BL203
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
2018-11-02
2018-11-02
2018-11-02
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
0.0223
57992759.86
57992759.86
0.0014
N
N
Y
N
ANTALIS SA
ANTALIS SA 2.493
03664BNH5
549300G2LM2ZKZ0X4Y50
US03664BNH59
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
2019-01-17
2019-01-17
2019-01-17
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
0.0249
35777032.82
35777032.82
0.0008
N
N
N
N
ATLANTIC ASSET SECURITIZATION LLC
ATLANTIC ASSET SECURITIZATION LLC 2.457
04821PAU7
549300BUNY5BIX4CVW20
US04821PAU75
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
2018-11-06
2019-02-06
2019-02-06
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
0.0249
20000000.00
20000000.00
0.0005
N
N
N
N
AUSTRALIA & NEW ZEALAND BANKING GR LTD-GD CAY
AUSTRALIA & NEW ZEALAND BANKING GR LTD-GD CAY 2.190
0QQ001LI1
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+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0219
500000000.00
500000000.00
0.0118
N
Y
Y
N
AUSTRALIA & NEW ZEALAND BANKING GR LTD-LONDON
AUSTRALIA & NEW ZEALAND BANKING GR LTD-LONDON 2.230
0PY002H97
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+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0223
250000000.00
250000000.00
0.0059
N
Y
Y
N
AUSTRALIA & NEW ZEALAND BANKING GR LTD-LONDON
AUSTRALIA & NEW ZEALAND BANKING GR LTD-LONDON 2.230
0PY002HA4
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+
2018-11-05
2018-11-05
2018-11-05
N
N
N
0.0223
300000000.00
300000000.00
0.0071
N
N
Y
N
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED 2.719
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+
2019-01-28
2019-01-28
2019-01-28
N
N
N
0.0276
175075316.50
175075316.50
0.0041
N
N
N
N
BANCO DEL ESTADO DE CHILE NEW YORK BRANCH
BANCO DEL ESTADO DE CHILE NEW YORK BRANCH 2.400
05971XGZ8
5493004R4EJC0W0XVQ72
US05971XGZ87
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
2018-12-28
2018-12-28
2018-12-28
N
N
N
0.0240
74995547.25
74995547.25
0.0018
N
N
N
N
BANCO DEL ESTADO DE CHILE NEW YORK BRANCH
BANCO DEL ESTADO DE CHILE NEW YORK BRANCH 2.290
05971XFR7
5493004R4EJC0W0XVQ72
US05971XFR70
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
2018-11-05
2018-11-05
2018-11-05
N
N
N
0.0229
30000251.10
30000251.10
0.0007
N
N
Y
N
BANK NEDERLANDSE GEMEENTEN (BNG)
BANK NEDERLANDSE GEMEENTEN (BNG) 2.211
09657SL52
529900GGYMNGRQTDOO93
US09657SL528
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+
2018-11-05
2018-11-05
2018-11-05
N
N
N
0.0221
399876944.00
399876944.00
0.0095
N
N
Y
N
BANK NEDERLANDSE GEMEENTEN (BNG)
BANK NEDERLANDSE GEMEENTEN (BNG) 2.211
09657SL78
529900GGYMNGRQTDOO93
US09657SL783
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+
2018-11-07
2018-11-07
2018-11-07
N
N
N
0.0221
199913666.00
199913666.00
0.0047
N
N
Y
N
BANK OF CHINA (HONG KONG) LIMITED
BANK OF CHINA (HONG KONG) LIMITED 2.696
06119RNN1
549300OGSFI8KL1WUU09
0001127449
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
2019-01-22
2019-01-22
2019-01-22
N
N
N
0.0270
248481215.00
248481215.00
0.0059
N
N
N
N
BANK OF CHINA (HONG KONG) LIMITED
BANK OF CHINA (HONG KONG) LIMITED 2.697
06119RNR2
549300OGSFI8KL1WUU09
US06119RNR20
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
2019-01-25
2019-01-25
2019-01-25
N
N
N
0.0270
24840959.75
24840959.75
0.0006
N
N
N
N
BANK OF CHINA (HONG KONG) LIMITED
BANK OF CHINA (HONG KONG) LIMITED 2.706
06120BNN3
54930053HGCFWVHYZX42
US06120BNN37
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
2019-01-22
2019-01-22
2019-01-22
N
N
N
0.0271
44726618.70
44726618.70
0.0011
N
N
N
N
BANK OF CHINA HONG KONG BRANCH
BANK OF CHINA HONG KONG BRANCH 2.501
06119RL52
549300OGSFI8KL1WUU09
US06119RL524
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
2018-11-05
2018-11-05
2018-11-05
N
N
N
0.0250
499849720.00
499849720.00
0.0118
N
N
Y
N
BANK OF MONTREAL (LONDON)
BANK OF MONTREAL (LONDON) 2.295
2E6158N
NQQ6HPCNCCU6TUTQYE16
XS1885556917
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
A+
Standard & Poor's Short Rating
A-1
2018-11-26
2018-11-26
2018-11-26
N
N
N
0.0230
89849452.50
89849452.50
0.0021
N
N
N
N
BANK OF MONTREAL-CHICAGO
BANK OF MONTREAL-CHICAGO 2.380
06370RKG3
NQQ6HPCNCCU6TUTQYE16
US06370RKG38
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
A+
Standard & Poor's Short Rating
A-1
2018-12-26
2018-12-26
2018-12-26
N
N
N
0.0238
80004125.60
80004125.60
0.0019
N
N
N
N
BANK OF MONTREAL-CHICAGO
BANK OF MONTREAL-CHICAGO 2.280
06370RFQ7
NQQ6HPCNCCU6TUTQYE16
US06370RFQ74
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
A+
Standard & Poor's Short Rating
A-1
2018-11-07
2018-11-07
2018-11-07
N
N
N
0.0228
50000553.50
50000553.50
0.0012
N
N
Y
N
BANK OF MONTREAL-CHICAGO
BANK OF MONTREAL-CHICAGO 2.300
06370RGZ6
NQQ6HPCNCCU6TUTQYE16
US06370RGZ64
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
A+
Standard & Poor's Short Rating
A-1
2018-11-26
2018-11-26
2018-11-26
N
N
N
0.0230
150002458.50
150002458.50
0.0035
N
N
N
N
BANK OF MONTREAL-CHICAGO
BANK OF MONTREAL-CHICAGO 2.407
06370RHU6
NQQ6HPCNCCU6TUTQYE16
US06370RHU68
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
A+
Standard & Poor's Short Rating
A-1
2018-12-07
2019-06-07
2019-06-07
N
N
N
0.0244
149972700.00
149972700.00
0.0035
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.423
06417LHX8
L3I9ZG2KFGXZ61BMYR72
US06417LHX82
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
A+
Standard & Poor's Short Rating
A-1
2018-11-08
2019-08-08
2019-08-08
N
N
N
0.0246
64970411.35
64970411.35
0.0015
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.409
06417LJF5
L3I9ZG2KFGXZ61BMYR72
US06417LJF58
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
A+
Standard & Poor's Short Rating
A-1
2018-12-14
2019-06-14
2019-06-14
N
N
N
0.0244
60000000.00
60000000.00
0.0014
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.586
06417LKC0
L3I9ZG2KFGXZ61BMYR72
US06417LKC09
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
A+
Standard & Poor's Short Rating
A-1
2018-11-19
2019-07-19
2019-07-19
N
N
N
0.0262
165003890.70
165003890.70
0.0039
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.501
06417LJV0
L3I9ZG2KFGXZ61BMYR72
US06417LJV09
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
A+
Standard & Poor's Short Rating
A-1
2018-11-09
2019-10-09
2019-10-09
N
N
N
0.0254
89934830.10
89934830.10
0.0021
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.496
06417LJN8
L3I9ZG2KFGXZ61BMYR72
US06417LJN82
0001041839
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
A+
Standard & Poor's Short Rating
A-1
2018-12-27
2019-09-27
2019-09-27
N
N
N
0.0253
149972535.00
149972535.00
0.0035
N
N
N
N
BANK OF NOVA SCOTIA-HOUSTON
BANK OF NOVA SCOTIA-HOUSTON 2.486
06417GX52
L3I9ZG2KFGXZ61BMYR72
US06417GX520
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
A+
Standard & Poor's Short Rating
A-1
2018-11-04
2019-08-01
2019-08-01
N
N
N
0.0252
74955294.75
74955294.75
0.0018
N
N
N
N
BANK OF NOVA SCOTIA-HOUSTON
BANK OF NOVA SCOTIA-HOUSTON 2.602
06417GV47
L3I9ZG2KFGXZ61BMYR72
US06417GV474
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
A+
Standard & Poor's Short Rating
A-1
2018-11-19
2019-06-19
2019-06-19
N
N
N
0.0264
97041710.00
97041710.00
0.0023
N
N
N
N
BANK OF NOVA SCOTIA-LONDON
BANK OF NOVA SCOTIA-LONDON 2.535
1E5604N
XS1864156473
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
A+
Standard & Poor's Short Rating
A-1
2018-11-04
2019-08-02
2019-08-02
N
N
N
0.0257
75000000.00
75000000.00
0.0018
N
N
N
N
BARCLAYS BANK PLC-NEW YORK
BARCLAYS BANK PLC-NEW YORK 2.312
06743MLD0
G5GSEF7VJP5I7OUK5573
US06743MLD01
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
2018-11-13
2018-11-13
2018-11-13
N
N
N
0.0231
99920231.00
99920231.00
0.0024
N
N
N
N
BARCLAYS CAPITAL INC
BARCLAYS CAPITAL INC 2.606
0RI001AG4
AC28XWWI3WIBK2824319
0001197490
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
FNMA CONN AVE SECS 20
2029-07-25
8.031400
12500000.00
14970318.37
Agency Collateralized Mortgage Obligation
CONSUMER LN BD CLUB T
2043-09-15
25.220000
21478712.00
20373317.99
Asset-Backed Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-01-27
4.631400
6000000.00
6033361.48
Agency Collateralized Mortgage Obligation
FHLMC STACR 2018-DNA3
2048-09-25
4.234400
6530000.00
6478505.18
Agency Collateralized Mortgage Obligation
FHLMC STACR 2017-HRP1
2042-12-26
6.881400
8300000.00
8864323.20
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-05-28
6.731400
7313000.00
7627641.20
Agency Collateralized Mortgage Obligation
CWALT INC 2005-76 2-A
2036-02-25
3.646400
1.00
0.02
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2017-HQA3
2030-04-25
6.731400
11093000.00
12179025.93
Agency Collateralized Mortgage Obligation
FHLMC STACR 2017-HQA2
2029-12-26
7.031400
6632000.00
7338212.37
Agency Collateralized Mortgage Obligation
COMM MTG TR 2015-CCRE
2048-05-12
4.252200
19999999.00
12672008.85
Private Label Collateralized Mortgage Obligations
CSFB MTG SECS CORP 20
2033-12-28
3.468100
45307042.00
1244925.60
Private Label Collateralized Mortgage Obligations
JPMBB COML MTG SEC TR
2048-11-18
4.167000
20000000.00
17389160.14
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
2036-03-25
6.000000
1453846.00
838716.72
Private Label Collateralized Mortgage Obligations
CSMC MTG TRUST 2006-8
2021-10-25
5.500000
20500000.00
340660.20
Private Label Collateralized Mortgage Obligations
MOTEL 6 TR 2017-MTL6
2034-08-15
8.029500
1575000.00
1535289.30
Private Label Collateralized Mortgage Obligations
GAHR COML MTG TR 2015
2034-12-15
0.000000
64898600.00
6489.86
Private Label Collateralized Mortgage Obligations
BANK 2018-BNK12 X-G 2
2061-05-17
1.500000
9842371.00
776284.21
Private Label Collateralized Mortgage Obligations
FNMA CONN AVE SECS 20
2029-09-25
7.781400
6171000.00
7163906.17
Agency Collateralized Mortgage Obligation
FHLMC STACR 2018-DNA3
2048-09-25
6.034400
2250000.00
2243180.51
Agency Collateralized Mortgage Obligation
BANK 2018-BNK12 G 206
2061-05-17
2.921900
9845000.00
4265943.09
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2018-HRP1
2043-05-25
14.036500
41500000.00
48617173.07
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-01-27
3.001400
5345000.00
5221093.50
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-03-25
6.031400
6867000.00
6785809.34
Agency Collateralized Mortgage Obligation
FHLMC STACR 2018-HRP1
2043-05-25
6.036500
43223000.00
45330700.56
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2029-10-25
7.131400
5329000.00
6053917.03
Agency Collateralized Mortgage Obligation
MS BOFAML TRUST 2014-
2047-08-16
4.702800
2004881.00
1811690.91
Private Label Collateralized Mortgage Obligations
TOCU HLDGS TR 2018 1
2047-10-25
0.000000
86016875.00
68870777.98
Private Label Collateralized Mortgage Obligations
BELLEMEADE RE LTD 201
2027-10-25
5.631400
14028868.00
14367442.61
Asset-Backed Securities
BCAP LLC TR 2012-RR6
2036-11-26
0.000000
8545529.00
5567446.33
Private Label Collateralized Mortgage Obligations
FHLMC SCRTT SERIES 20
2056-01-25
4.000000
27392000.00
23518679.89
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2030-07-25
5.831400
1441750.00
1462790.78
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-02-25
6.731400
4598642.00
4957331.08
Agency Collateralized Mortgage Obligation
Federal Home Loan Mor
2023-07-25
9.431400
14200000.00
16881157.58
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2029-11-26
7.331400
11561000.00
13115668.33
Agency Collateralized Mortgage Obligation
FHLMC STACR 2018-DNA3
2048-09-25
9.884400
2000000.00
1961741.68
Agency Collateralized Mortgage Obligation
CWALT INC 2006-40T1 2
2036-12-25
4.318600
10098985.00
542756.06
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2017-DNA2
2029-10-25
7.431400
7033000.00
8121132.65
Agency Collateralized Mortgage Obligation
INDYMAC INDX MORTGAGE
2035-06-25
1.064400
1002727016.00
1648929.87
Private Label Collateralized Mortgage Obligations
FNMA CONN AVE SECS 20
2030-02-25
6.431400
3842000.00
4159484.62
Agency Collateralized Mortgage Obligation
FHLMC STACR 2018-DNA3
2048-09-25
2.884400
350060.00
350060.57
Agency Collateralized Mortgage Obligation
INDYMAC INDX 2006-AR9
2036-06-25
3.624600
15000000.00
1124542.08
Private Label Collateralized Mortgage Obligations
FHLMC SCRTT SERIES 20
2056-08-25
4.000000
22300000.00
19820054.17
Agency Collateralized Mortgage Obligation
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
2018-11-01
2018-12-05
2019-02-01
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
0.0264
400000000.00
400000000.00
0.0095
N
N
N
Y
BARCLAYS CAPITAL INC
BARCLAYS CAPITAL INC 2.336
0RI001AF6
AC28XWWI3WIBK2824319
0001197490
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
HERTZ FLEET LEASE FD
2031-04-10
5.800000
3930000.00
3948047.87
Asset-Backed Securities
AMER CR ACCEPT RECV T
2025-06-12
6.440000
4000000.00
4007287.56
Asset-Backed Securities
EXETER AUTO RECV TR 2
2024-08-15
5.430000
5000000.00
5038866.67
Asset-Backed Securities
VOLT LXVII 2018-NPL3
2048-06-25
5.875000
3643223.00
3634039.04
Asset-Backed Securities
NEW RESI MTG LLC 2018
2024-07-25
5.950000
3982000.00
3644065.42
Asset-Backed Securities
SKOPOS AUTO RECV TR 2
2024-12-16
7.250000
3870000.00
3849242.18
Asset-Backed Securities
MFRA TR 2015 2
2057-01-25
4.677200
95000000.00
36862572.54
Private Label Collateralized Mortgage Obligations
OCTAGON INV PTNS 2018
2030-07-25
0.000000
4500000.00
4094590.50
Asset-Backed Securities
PRETIUM MTG CR PRTNR
2032-12-29
5.000000
4775000.00
4722945.60
Asset-Backed Securities
FHLMC STACR 2018-DNA3
2048-09-25
2.884400
1954940.00
1954943.16
Agency Collateralized Mortgage Obligation
WELLS FARGO COM MTG 2
2061-09-16
4.442000
2000000.00
2066195.33
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2018-HQA2
5493005RUXPCBST1N217
2048-10-26
6.537100
6000000.00
5861478.65
Agency Collateralized Mortgage Obligation
CARLYLE GLOBAL MKT ST
2025-10-16
0.000000
5500000.00
3932500.00
Asset-Backed Securities
KABBAGE ASSET SEC 201
2022-03-15
8.000000
4000000.00
4092134.22
Asset-Backed Securities
CUTWATER 2015 I LTD
2029-01-15
0.000000
4000000.00
4042188.00
Asset-Backed Securities
OZLM XII LTD 2015-12
2027-04-30
0.000000
7064048.00
4203108.56
Asset-Backed Securities
FHLMC STACR 2018-DNA3
2048-09-25
6.034400
10750000.00
10717418.00
Agency Collateralized Mortgage Obligation
OPORTUN FDG IX 2018-B
549300GGHBCT645S8T42
2024-07-08
4.500000
4500000.00
4505481.00
Asset-Backed Securities
FNMA CONN AVE SECS 20
2030-02-25
6.431400
11419000.00
12362611.89
Agency Collateralized Mortgage Obligation
INVITATION HOMES TR 2
2037-07-17
4.289500
5000000.00
5025530.69
Asset-Backed Securities
TOCU HLDGS TR 2018 1
2047-10-25
0.000000
65037326.00
52073168.66
Private Label Collateralized Mortgage Obligations
VENTURE 32 CLO 2018-3
2031-07-18
0.000000
4000000.00
3670696.00
Asset-Backed Securities
CASCADE FDG MTG TR 20
2048-06-25
4.580000
2227243.00
1956281.95
Asset-Backed Securities
COLLEGE AVE ST LN 201
2046-11-26
5.000000
4000000.00
3870813.33
Asset-Backed Securities
MS BOFA ML TRUST 2015
2048-03-17
3.012000
8985000.00
4016283.02
Private Label Collateralized Mortgage Obligations
ATRIUM XII LLC 2015-1
2026-10-22
0.000000
4312500.00
3600937.50
Asset-Backed Securities
SKOPOS AUTO RECV TR 2
2024-12-16
4.000000
4250000.00
4174387.31
Asset-Backed Securities
MS BOFAML TRUST 2014-
2047-08-16
4.702800
14.00
12.65
Private Label Collateralized Mortgage Obligations
PRETIUM MTG CR PRTNR
2057-03-28
5.500000
4750000.00
4740419.78
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
2018-11-07
2018-11-07
2018-12-05
Y
BARCLAYS CAPITAL INC
1.0000
7
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
0.0237
190000000.00
190000000.00
0.0045
N
N
Y
N
BARTON CAPITAL S.A.
BARTON CAPITAL S.A. 2.535
06945MNQ5
549300KOFKIMD0C37W24
US06945MNQ59
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
2019-01-24
2019-01-24
2019-01-24
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
0.0254
28028747.60
28028747.60
0.0007
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.567
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+
2018-11-08
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
0.0260
20011863.80
20011863.80
0.0005
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.551
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+
2018-11-26
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
0.0259
69035099.61
69035099.61
0.0016
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.734
07645RBM7
US07645RBM79
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+
2018-11-04
2019-04-04
2019-04-04
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
0.0277
50065182.00
50065182.00
0.0012
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.541
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+
2018-11-08
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
0.0258
100043828.00
100043828.00
0.0024
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.423
07644DGL6
US07644DGL64
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+
2018-11-26
2019-08-26
2019-08-26
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
0.0246
34997043.55
34997043.55
0.0008
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.520
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+
2018-11-20
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
0.0255
100005537.00
100005537.00
0.0024
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.624
07646KCW8
US07646KCW80
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+
2018-11-10
2019-06-10
2019-06-10
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
0.0266
103089202.12
103089202.12
0.0024
N
N
N
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.290
0RH001L57
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
QUEBEC PROV CDA SR GL
549300WN65YFEQH74Y36
2026-04-20
2.500000
10273000.00
9653886.24
Corporate Debt Securities
HALCON RES CORP 6.75%
3XHTN2NNIMMPORDAMJ28
2025-02-15
6.750000
808000.00
740734.00
Corporate Debt Securities
AAMES MTG TR 2005-2 B
2035-07-25
0.000000
1500000.00
15.00
Asset-Backed Securities
CDN IMPERIAL BK COMM
2022-06-27
3.150000
6851000.00
6900258.69
Corporate Debt Securities
SUPERVALU INC SR GLBL
549300HSQOPPFG6OPF24
2022-11-15
7.750000
6997000.00
7531823.46
Corporate Debt Securities
AAMES MTG TR 2005-4 M
2035-10-25
0.000000
1000000.00
10.00
Asset-Backed Securities
RESOLUTE ENERGY CORP
JWU5FD104OSLSO6IZG78
2020-05-01
8.500000
1337000.00
1390480.00
Corporate Debt Securities
SEC TERM AUTO RECV TR
2021-04-26
2.040000
890000.00
880808.08
Asset-Backed Securities
AVNET INC SR GLBL NT
XJI53DCPL7QABOWK4Z75
2026-04-15
4.625000
4646000.00
4538238.61
Corporate Debt Securities
ONTARIO PROV CDA SR G
C7PVKCRGLG18EBQGZV36
2023-10-17
3.400000
1235370.00
1241907.85
Corporate Debt Securities
GENERAL MTRS CO SR GL
54930070NSV60J38I987
2049-04-01
5.950000
5365749.00
4950864.82
Corporate Debt Securities
GREAT AMER LEASE RECV
2020-05-15
2.350000
745000.00
743434.34
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-05-25
2.661400
5499980.00
2087.99
Asset-Backed Securities
TORONTO DOMINION BK N
PT3QB789TSUIDF371261
2022-10-22
3.350000
583334.00
583949.09
Corporate Debt Securities
SANTANDER DRIVE AUTO
2022-03-15
2.190000
1352790.00
1343790.34
Asset-Backed Securities
COMCAST CORP NEW 4.6%
51M0QTTNCGUN7KFCFZ59
2038-10-15
4.600000
1020.00
1003.09
Corporate Debt Securities
WESTPAC BKG CORP REG
2018-11-26
1.850000
5852000.00
5895511.25
Corporate Debt Securities
SM ENERGY CO SR GLBL
84BUTVXV5ODI6BXNMH43
2026-09-15
6.750000
481000.00
485148.63
Corporate Debt Securities
MONTEFIORE MED CTR NE
2048-11-01
5.246000
3999901.00
3807105.77
Corporate Debt Securities
PFS FINANCING CORP 20
2021-03-15
2.859500
2927330.00
2934630.44
Asset-Backed Securities
CONAGRA BRANDS INC SR
54930035UDEIH090K650
2048-11-01
5.400000
1404674.00
1357687.65
Corporate Debt Securities
WESTLAKE AUTO RECV TR
2021-06-15
4.100000
780000.00
786396.95
Asset-Backed Securities
FORD CREDIT FLRPLN TR
5493001DTG5N7T8BG747
2021-07-15
1.750000
2674990.00
2652431.21
Asset-Backed Securities
DELTA AIR LINES INC D
Q2CCMS6R0AS67HJMBN42
2022-03-15
3.625000
1224000.00
1210538.38
Corporate Debt Securities
PULTE GROUP INC GTD S
2035-02-15
6.000000
5992000.00
5483678.67
Corporate Debt Securities
CENTEX HM EQ LN TR 20
2034-06-25
4.006400
12650000.00
3804091.06
Asset-Backed Securities
ACCREDITED MTG LN TR
2036-04-25
2.731400
8000000.00
3114.87
Asset-Backed Securities
ACADIA HEALTHCARE COM
5493005CW985Y9D0NC11
2022-07-01
5.125000
3000000.00
3028750.00
Corporate Debt Securities
MITSUBISHI UFJ FINL G
353800V2V8PUY9TK3E06
2028-03-02
3.961000
6123000.00
6057493.94
Corporate Debt Securities
INDIGO NAT RES LLC SR
549300F7DOI6H6TA3C86
2026-02-15
6.875000
430000.00
410440.97
Corporate Debt Securities
FORD CREDIT FLRPLN TR
2021-07-15
1.550000
2036900.00
2018651.19
Asset-Backed Securities
BARCLAYS PLC ALT TIER
213800LBQA1Y9L22JB70
2099-12-31
8.250000
200000.00
203208.33
Corporate Debt Securities
ROWAN COS INC SR GLBL
5493006IFM30PWSM2474
2025-06-15
7.375000
788000.00
771539.56
Corporate Debt Securities
BARCLAYS PLC ALT TIER
213800LBQA1Y9L22JB70
2099-01-01
7.750000
3075650.00
3104227.91
Corporate Debt Securities
TORONTO DOMINION BK O
2019-09-25
2.250000
5883000.00
5858997.36
Corporate Debt Securities
HIGH RIDGE BRANDS CO
549300ZIF8QP562GOD97
2025-03-15
8.875000
1577000.00
711763.62
Corporate Debt Securities
ROYAL BK CDA FR 1.5%0
ES7IP3U3RHIGC71XBU11
2019-07-29
1.500000
3674000.00
3650351.69
Corporate Debt Securities
MANITOBA PROV CDA SR
2019-05-30
1.750000
5703000.00
5711499.05
Corporate Debt Securities
CSFB ABS TRUST 2002-H
2032-10-25
5.081400
30.00
0.44
Asset-Backed Securities
COVEY PARK ENERGY LLC
2025-05-15
7.500000
690000.00
701787.50
Corporate Debt Securities
SANTANDER DRIVE AUTO
2021-11-15
2.660000
1459235.00
1455972.48
Asset-Backed Securities
CANADA GOVT SR BD 1.6
2019-02-27
1.625000
385000.00
384880.22
Other Instrument
International Debt
EXPORT DEV CDA SR GLB
2019-08-19
1.750000
70000.00
69696.90
Other Instrument
International Debt
FIELDSTONE MTG INV 20
2037-04-25
0.000000
37126.00
0.37
Asset-Backed Securities
ALBERTA PROV CDA SR G
LQPXMHHNJKIPJYE53543
2019-12-06
1.900000
2188000.00
2180982.60
Corporate Debt Securities
ASCENTIUM EQUIP RECV
2020-12-10
2.920000
2713100.00
2714039.34
Asset-Backed Securities
WATCO COS LLC / WATCO
2023-04-01
6.375000
2177000.00
2210335.31
Corporate Debt Securities
LIFEPOINT HEALTH INC
2024-05-01
5.375000
5577000.00
5991789.38
Corporate Debt Securities
CNH EQUIPMENT TR 2015
2022-04-15
1.890000
1095000.00
1092073.07
Asset-Backed Securities
ANTERO MIDSTREAM PART
2024-09-15
5.375000
592655.00
584872.29
Corporate Debt Securities
CITIGROUP INC -N 5.8%
6SHGI4ZSSLCXXQSBB395
2049-01-01
5.800000
3000000.00
3121483.33
Corporate Debt Securities
FIELDSTONE MTG INV 20
2036-05-25
2.641400
4500000.00
1695.86
Asset-Backed Securities
ENTERPRISE PRODS OPER
5493004LGN656HWLDA30
2049-02-01
4.800000
1024.00
988.61
Corporate Debt Securities
TENET HEALTHCARE CORP
0W9AIBT6U6ADJ2I8HK17
2020-10-01
6.000000
2198000.00
2258445.00
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2024-10-01
7.000000
1681016.00
1633293.82
Corporate Debt Securities
KEHE DISTRS LLC/ KEHE
2021-08-15
7.625000
3932000.00
3838014.28
Corporate Debt Securities
ONTARIO PROV CDA SR B
C7PVKCRGLG18EBQGZV36
2019-01-30
2.000000
114000.00
114420.15
Corporate Debt Securities
ING GROEP N V SR GLBL
549300NYKK9MWM7GGW15
2023-10-02
4.100000
2500000.00
2496356.94
Corporate Debt Securities
HERTZ FIN II 2018-1 A
549300FPK70TCB78NG05
2024-02-25
3.290000
3019713.00
2927911.71
Asset-Backed Securities
UNIVERSAL HOSPITAL SR
2020-08-15
7.625000
1993000.00
2020856.61
Corporate Debt Securities
JPW INDS HLDG CORP SR
2024-10-01
9.000000
700000.00
717430.00
Corporate Debt Securities
CNH EQUIPMENT TR 2014
2022-03-15
1.950000
999999.00
1000497.67
Asset-Backed Securities
BEAR STEARNS ABS TR 2
2036-11-25
2.571400
4999656.00
2716049.24
Asset-Backed Securities
COMMONWEALTH BK AUSTR
2019-06-18
2.000000
250000.00
250362.22
Corporate Debt Securities
ROYAL BANK OF CANADA
2021-10-22
3.350000
16562660.00
16575371.84
Corporate Debt Securities
ML MTG TRUST 2005-CIP
2038-07-12
0.010000
184662000.00
111.21
Private Label Collateralized Mortgage Obligations
ML MTG INVESTORS 2005
2035-06-25
4.004000
16999000.00
1560091.35
Private Label Collateralized Mortgage Obligations
WESTPAC BKG CORP 144A
EN5TNI6CI43VEPAMHL14
2021-03-03
2.000000
6216000.00
6141981.25
Corporate Debt Securities
NATIONAL AUSTRALIA BK
2019-09-09
2.125000
4563000.00
4546296.89
Corporate Debt Securities
PFS FING CORP 2018-C
2022-04-15
2.759500
1000000.00
1002829.44
Asset-Backed Securities
CDN IMPERIAL BK COMM
2022-07-27
2.350000
200000.00
194043.22
Corporate Debt Securities
ASCENTIUM EQUIP RECV
2022-08-10
2.870000
65000.00
63679.54
Asset-Backed Securities
COMSTOCK RES INC SR 1
5493002T9WS7HVNHHL49
2026-08-15
9.750000
785000.00
772521.77
Corporate Debt Securities
ABBVIE INC 4.875%48
FR5LCKFTG8054YNNRU85
2048-11-14
4.875000
442.00
409.32
Corporate Debt Securities
GOLDEN CC TRUST 2014-
2021-03-15
2.729500
1000000.00
1002198.11
Asset-Backed Securities
US FOODS INC SR 144A
5493000JOOFAOUY1JZ87
2024-06-15
5.875000
1457000.00
1471124.81
Corporate Debt Securities
GM FINL AUTO LEASE TR
2020-03-20
3.240000
181169.00
181447.46
Asset-Backed Securities
TORONTO DOMINION BANK
2019-01-22
3.309000
10817000.00
10845418.96
Corporate Debt Securities
NATIONAL AUSTRALIA BK
2019-02-22
2.000000
2006000.00
2008253.41
Corporate Debt Securities
GREAT AMER LEASE RECV
2024-06-17
2.990000
1174990.00
1156895.02
Asset-Backed Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2026-10-01
7.500000
1093020.00
1061828.85
Corporate Debt Securities
EXPORT DEV CDA SR GLB
Z6MHCSLXHKYG4B6PHW02
2020-01-17
1.625000
219257.00
216909.73
Other Instrument
International Debt
UNITED MEXICAN STS MT
254900EGTWEU67VP6075
2040-01-11
6.050000
5000000.00
5299980.55
Other Instrument
International Debt
PNC FINL SVCS GROUP I
CFGNEKW0P8842LEUIA51
2049-01-01
5.000000
87000.00
86130.00
Corporate Debt Securities
SYNCHRONY CC MSTR NT
2024-05-15
2.210000
3179000.00
3097990.25
Asset-Backed Securities
EXPORT DEV CDA SR GLB
2019-02-04
1.250000
4840000.00
4837971.23
Other Instrument
International Debt
ASCENT RES - UTICA LL
2026-11-01
7.000000
1050000.00
1014708.33
Corporate Debt Securities
CANADIAN IMPERIAL BK
2IGI19DL77OX0HC3ZE78
2023-09-13
3.500000
7576000.00
7524760.99
Corporate Debt Securities
ECLIPSE RES CORP SR G
54930070862I62NN3X72
2023-07-15
8.875000
4499000.00
4594072.62
Corporate Debt Securities
SERVICE CORP INTL SR
549300RKVM2ME20JHZ15
2022-01-15
5.375000
594000.00
608972.60
Corporate Debt Securities
FORD CREDIT AUTO OWN
2022-02-15
1.400000
7345060.00
7151813.10
Asset-Backed Securities
TAMPA ELEC CO SR GLBL
WS423EPRKJIIJUITXD73
2049-06-15
4.450000
2280563.00
2198981.56
Corporate Debt Securities
SEAGATE HDD CAYMAN SR
2027-06-01
4.875000
5830000.00
5286075.57
Corporate Debt Securities
STADSHYPOTEK AB REGS
2019-10-02
1.875000
1850000.00
1833942.77
Corporate Debt Securities
DRIVE AUTO RECV TR 20
2021-06-15
2.250000
170205.00
87807.48
Asset-Backed Securities
COOKE OMEGA INVESTMEN
2022-12-15
8.500000
1675000.00
1703661.11
Corporate Debt Securities
CANADIAN PAC RY CO NE
54930036474DURYNB481
2019-05-15
7.250000
2234000.00
2360244.58
Corporate Debt Securities
CAPITAL AUTO RECV ABN
2021-03-22
2.110000
388797.00
385330.38
Asset-Backed Securities
MASTR ADJ MTG 2004-7
2034-07-25
4.236200
15500000.00
1080698.49
Private Label Collateralized Mortgage Obligations
STRUCTURED ASSET INV
2034-08-25
6.031400
1605580.00
117380.24
Asset-Backed Securities
CSFB COML MTG PTC 200
2039-06-17
0.000000
804790000.00
160.65
Private Label Collateralized Mortgage Obligations
GOLDEN CC TRUST 2016-
2021-09-15
1.600000
1803000.00
1781905.10
Asset-Backed Securities
ACCO BRANDS CORP SR 1
JCT8P4Y190IH4I1NX328
2024-12-15
5.250000
1480000.00
1405753.33
Corporate Debt Securities
VOYA FINL INC -A 6.12
549300T065Z4KJ686G75
2099-01-01
6.125000
3000000.00
3025010.42
Corporate Debt Securities
FBR SEC TRUST 2005-5
2035-11-25
5.656400
1500000.00
1193.41
Asset-Backed Securities
GM FINL AUTO LEASE TR
2020-05-20
2.380000
7767940.00
7743480.48
Asset-Backed Securities
CITIGROUP MLT C-BASS
2036-03-25
2.601400
999827.00
4013.59
Asset-Backed Securities
GM FINL AUTO LEASE TR
2019-09-20
1.620000
275158.00
28733.56
Asset-Backed Securities
HCA INC 5.375%26
L3CJ6J7LJ2DX62FTXD46
2026-09-01
5.375000
990.00
986.59
Corporate Debt Securities
DISCOVER CARD EXE TR
549300CKCX1QE4RUW216
2022-01-18
1.670000
144340.00
143255.32
Asset-Backed Securities
FORD CREDIT AUTO OWN
2020-09-15
1.800000
170000.00
82426.67
Asset-Backed Securities
CITIBANK CCIT 2018-A6
2024-12-09
3.210000
1005940.00
1007446.40
Asset-Backed Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2027-01-17
7.375000
1235000.00
1307624.86
Corporate Debt Securities
PHEAA STUDENT LN TR 2
2065-11-25
3.231400
2149959.00
1427784.78
Asset-Backed Securities
BANK NOVA SCOTIA CVRD
2019-09-11
2.125000
259000.00
258034.29
Corporate Debt Securities
HCA INC SR GLBL NT 28
L3CJ6J7LJ2DX62FTXD46
2028-09-01
5.625000
20.00
19.82
Corporate Debt Securities
JP MORGAN ACCEPT 2005
2035-08-25
4.256500
8607000.00
1610783.27
Private Label Collateralized Mortgage Obligations
FIELDSTONE MTG INV 20
2035-12-25
3.241400
8000000.00
3681.53
Asset-Backed Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2019-07-01
2.250000
256000.00
256762.88
Corporate Debt Securities
SASOL FING INTL PLC S
2022-11-14
4.500000
665000.00
661073.18
Corporate Debt Securities
HEARTLAND DENTAL LLC
2026-05-01
8.500000
250000.00
247736.11
Corporate Debt Securities
ML MTG TRUST 2006-C2
2043-08-12
0.039100
4527989.00
23.30
Private Label Collateralized Mortgage Obligations
ROWAN COS INC SR GLBL
5493006IFM30PWSM2474
2022-06-01
4.875000
3500000.00
3382968.75
Corporate Debt Securities
DRIVE AUTO RECV TR 20
2020-09-15
2.640000
2956197.00
1980656.36
Asset-Backed Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2025-01-27
5.299000
540.00
521.82
Corporate Debt Securities
MOSS CREEK RES HLDGS
2026-01-15
7.500000
4787000.00
4719184.16
Corporate Debt Securities
CREDIT ACCEP CORP MIC
2021-02-15
6.125000
758000.00
769696.36
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
NR
Standard & Poor's Short Rating
A-1
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0229
255000000.00
255000000.00
0.0060
N
Y
Y
N
BNP PARIBAS (REPO)
BNP PARIBAS (REPO) 2.220
0QK003PY4
R0MUWSFPU8MPRO8K5P83
0000310732
U.S. Government Agency Repurchase Agreement, collateralized only by U.S. Government Agency securities, U.S. Treasuries, and cash
Y
N
Government National M
2044-11-20
3.000000
392161.84
67551.35
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2040-05-01
6.000000
52956.20
4035.89
Agency Mortgage-Backed Securities
Federal National Mort
2019-09-01
6.500000
227657.43
159.39
Agency Mortgage-Backed Securities
Federal National Mort
2020-01-01
5.000000
9415.42
38.79
Agency Mortgage-Backed Securities
Federal National Mort
2019-08-01
4.500000
294.15
2.34
Agency Mortgage-Backed Securities
Federal National Mort
2023-06-01
5.500000
53.99
2.80
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2019-03-01
4.500000
114273.60
202.76
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
109196.38
104853.35
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2031-06-01
3.000000
60201.91
45942.45
Agency Mortgage-Backed Securities
Federal National Mort
2020-04-01
4.000000
221793.70
4132.13
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2028-04-01
5.500000
1962.17
34.05
Agency Mortgage-Backed Securities
Government National M
2042-07-20
2.750000
182687.25
28234.75
Agency Mortgage-Backed Securities
Federal National Mort
2021-06-01
5.000000
730.75
8.15
Agency Mortgage-Backed Securities
Federal National Mort
2039-01-01
6.500000
88.93
3.18
Agency Mortgage-Backed Securities
Government National M
2023-10-15
5.500000
44969.17
3609.47
Agency Mortgage-Backed Securities
Government National M
2044-05-20
3.000000
83145.52
9443.48
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2032-07-01
3.000000
11227.51
9259.11
Agency Mortgage-Backed Securities
Government National M
2047-06-20
2.500000
1405.32
613.33
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2044-04-20
4.000000
22747.20
6625.10
Agency Mortgage-Backed Securities
Federal National Mort
2035-07-01
5.000000
6576.74
155.96
Agency Mortgage-Backed Securities
Federal National Mort
2047-12-01
3.000000
142690.12
133705.66
Agency Mortgage-Backed Securities
Federal National Mort
2026-06-01
6.000000
705.48
23.33
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-11-01
4.500000
100575.99
100783.02
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-02-20
3.500000
505704.55
296351.41
Agency Mortgage-Backed Securities
Government National M
2044-04-20
3.625000
126086.24
21584.62
Agency Mortgage-Backed Securities
Federal National Mort
2019-07-01
5.000000
114736.02
446.30
Agency Mortgage-Backed Securities
Federal National Mort
2037-07-01
6.500000
134.29
2.66
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2031-09-01
3.500000
55060.73
47388.31
Agency Mortgage-Backed Securities
Government National M
2038-07-20
5.000000
29.20
1.78
Agency Mortgage-Backed Securities
Government National M
2045-08-20
2.500000
33726.88
20431.17
Agency Mortgage-Backed Securities
Federal National Mort
2040-09-01
4.500000
265384.65
53534.38
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2026-09-01
6.000000
63940.56
2132.98
Agency Mortgage-Backed Securities
Government National M
2044-09-20
3.000000
14053.20
1884.87
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2041-03-20
4.500000
17714667.66
3065242.06
Agency Mortgage-Backed Securities
Federal National Mort
2043-01-01
3.430000
42242.91
4827.12
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.000000
111901.64
111444.56
Agency Mortgage-Backed Securities
Federal National Mort
2018-12-01
5.000000
4766.79
1.12
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2038-10-01
4.000000
42241.42
42594.84
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2041-10-01
4.500000
7026.43
1235.04
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-04-20
5.000000
220341.39
224184.31
Agency Mortgage-Backed Securities
Federal National Mort
2036-05-01
6.500000
212.93
2.73
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-12-01
2.527000
70264.33
54197.35
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-01-01
4.000000
41068.82
37102.25
Agency Mortgage-Backed Securities
Government National M
2046-06-20
3.500000
22608.39
12707.68
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
4.000000
30467.43
28176.62
Agency Mortgage-Backed Securities
Federal National Mort
2044-10-01
3.000000
123946.27
104277.74
Agency Mortgage-Backed Securities
Government National M
2048-01-20
4.000000
138004.00
137963.31
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
4.500000
116203.87
118412.65
Agency Mortgage-Backed Securities
Government National M
2043-03-20
3.500000
337549.82
65770.98
Agency Mortgage-Backed Securities
Federal National Mort
2027-06-01
3.500000
1242498.13
346478.83
Agency Mortgage-Backed Securities
Federal National Mort
2034-05-01
5.000000
752.33
36.85
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
4.000000
35775.33
35972.93
Agency Mortgage-Backed Securities
Federal National Mort
2021-05-01
6.000000
16965.94
240.54
Agency Mortgage-Backed Securities
Federal National Mort
2035-12-01
5.000000
8462.13
402.16
Agency Mortgage-Backed Securities
Federal National Mort
2018-12-01
6.000000
4538.12
6.24
Agency Mortgage-Backed Securities
Federal National Mort
2033-09-01
5.000000
10399.12
347.69
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2025-07-01
4.000000
30818.07
3293.69
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.000000
90912.17
91196.03
Agency Mortgage-Backed Securities
Federal National Mort
2024-05-01
6.000000
8366.80
13.05
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
4.043000
156588.69
8752.62
Agency Mortgage-Backed Securities
Federal National Mort
2043-07-01
3.000000
224845.84
127382.98
Agency Mortgage-Backed Securities
Federal National Mort
2037-01-01
6.000000
30.38
0.56
Agency Mortgage-Backed Securities
Federal National Mort
2021-04-01
5.000000
8431.75
277.22
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
97783.83
90629.25
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2035-11-01
5.000000
2136.04
106.65
Agency Mortgage-Backed Securities
Government National M
2043-07-15
3.500000
2770291.11
1113495.28
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-08-01
4.000000
2015484.41
1996137.81
Agency Mortgage-Backed Securities
Federal National Mort
2025-11-01
6.500000
5022.16
254.65
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
4.500000
190263.71
196033.96
Agency Mortgage-Backed Securities
Federal National Mort
2032-02-01
6.000000
6042.73
48.60
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2041-06-20
4.500000
7327777.39
1263740.65
Agency Mortgage-Backed Securities
Federal National Mort
2033-07-01
5.000000
7307.49
301.78
Agency Mortgage-Backed Securities
Government National M
2046-02-15
4.500000
4266.34
2133.54
Agency Mortgage-Backed Securities
Government National M
2043-05-20
3.156000
418994.61
407251.79
Agency Mortgage-Backed Securities
Federal National Mort
2042-02-01
5.500000
56.21
25.81
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-09-01
3.000000
11495.78
9731.68
Agency Mortgage-Backed Securities
Federal National Mort
2044-01-01
4.500000
20638.12
12798.54
Agency Mortgage-Backed Securities
Government National M
2048-05-20
3.500000
239089.69
240291.26
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-06-01
4.000000
136472.15
135547.91
Agency Mortgage-Backed Securities
Government National M
2042-10-20
3.125000
28105.73
4816.99
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-04-20
5.000000
2921.53
2937.40
Agency Mortgage-Backed Securities
Federal National Mort
2040-12-01
4.500000
112.42
24.69
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-06-01
4.500000
203083.91
201241.70
Agency Mortgage-Backed Securities
Government National M
2034-06-15
5.500000
182687.25
8557.90
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2046-02-01
4.500000
171025.17
125481.54
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2036-01-01
3.697000
87.27
0.95
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-03-01
3.500000
140536.27
135703.17
Agency Mortgage-Backed Securities
Federal National Mort
2036-02-01
3.780000
27599.83
1311.95
Agency Mortgage-Backed Securities
Government National M
2043-05-15
3.000000
264480.88
116394.77
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2040-11-01
4.500000
532405.95
142564.37
Agency Mortgage-Backed Securities
Federal National Mort
2019-03-01
4.500000
2328.00
5.41
Agency Mortgage-Backed Securities
Government National M
2024-09-15
4.000000
83916.63
9244.87
Agency Mortgage-Backed Securities
Federal National Mort
2021-06-01
6.000000
9612.67
192.55
Agency Mortgage-Backed Securities
Government National M
2043-05-20
3.750000
111357.71
23709.77
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.500000
7641.13
7940.63
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-10-01
4.500000
127343.41
132452.44
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
3.000000
123161.25
112907.30
Agency Mortgage-Backed Securities
Government National M
2041-07-20
5.500000
9584.05
2441.01
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-03-01
2.000000
14435.64
12996.54
Agency Mortgage-Backed Securities
Government National M
2042-12-20
3.125000
84317.19
15703.47
Agency Mortgage-Backed Securities
Federal National Mort
2048-03-01
3.500000
94842.34
91766.84
Agency Mortgage-Backed Securities
Federal National Mort
2021-06-01
5.000000
3775.92
20.61
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-02-01
4.000000
99862.70
94575.79
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-05-01
3.500000
52553.25
49856.86
Agency Mortgage-Backed Securities
Government National M
2041-09-20
3.000000
28933.81
4004.69
Agency Mortgage-Backed Securities
Government National M
2044-07-20
2.750000
83370.08
8567.75
Agency Mortgage-Backed Securities
Government National M
2045-11-20
3.000000
10565.11
2225.38
Agency Mortgage-Backed Securities
Federal National Mort
2021-05-01
5.000000
5199.56
18.65
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2035-02-01
5.500000
2136.04
78.12
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2028-10-01
4.000000
47688.68
17047.81
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2046-04-01
3.500000
42158.60
27208.51
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.500000
3080756.40
3086220.18
Agency Mortgage-Backed Securities
Government National M
2035-07-20
6.000000
28.81
1.80
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-11-01
4.000000
134384.94
124206.47
Agency Mortgage-Backed Securities
Government National M
2043-09-20
2.750000
17191.21
4137.90
Agency Mortgage-Backed Securities
Federal National Mort
2020-10-01
4.000000
30044.91
331.35
Agency Mortgage-Backed Securities
Federal National Mort
2026-07-01
5.500000
14052.87
254.77
Agency Mortgage-Backed Securities
Federal National Mort
2019-01-01
4.500000
236255.64
136.89
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-11-01
4.500000
117211.04
112840.46
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-10-01
3.500000
1284607.26
1257147.06
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-02-01
4.000000
113876.24
111216.84
Agency Mortgage-Backed Securities
Federal National Mort
2035-07-01
5.000000
13497.83
566.85
Agency Mortgage-Backed Securities
Government National M
2047-02-20
3.500000
13062.76
10194.91
Agency Mortgage-Backed Securities
Government National M
2042-09-20
2.750000
28806.13
3852.38
Agency Mortgage-Backed Securities
Federal National Mort
2020-03-01
4.500000
41.15
0.82
Agency Mortgage-Backed Securities
Federal National Mort
2044-05-01
4.500000
12731.90
4473.64
Agency Mortgage-Backed Securities
Government National M
2048-09-20
5.500000
56608.76
59598.80
Agency Mortgage-Backed Securities
Federal National Mort
2042-11-01
3.000000
307078.80
129613.66
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2045-01-01
3.500000
156126.91
127516.22
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2020-03-01
4.000000
64568.84
1090.06
Agency Mortgage-Backed Securities
Government National M
2044-09-20
3.500000
6181.07
960.12
Agency Mortgage-Backed Securities
Federal National Mort
2048-09-25
2.515000
1248934.25
1232105.84
Agency Collateralized Mortgage Obligation
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2041-06-01
4.500000
86775.29
34685.15
Agency Mortgage-Backed Securities
Federal National Mort
2036-04-01
5.000000
7598.27
301.95
Agency Mortgage-Backed Securities
Government National M
2047-10-20
3.500000
2763.86
2430.15
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2042-05-01
3.000000
33954.98
18063.91
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2043-02-01
3.500000
173229.33
84078.07
Agency Mortgage-Backed Securities
Federal National Mort
2020-05-01
5.000000
8431.72
155.02
Agency Mortgage-Backed Securities
Government National M
2048-06-20
3.000000
11242.29
10786.44
Agency Mortgage-Backed Securities
Federal National Mort
2026-04-01
5.500000
15177.09
469.95
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2045-07-01
3.500000
449.69
270.33
Agency Mortgage-Backed Securities
Government National M
2043-11-20
3.125000
156622.08
31730.44
Agency Mortgage-Backed Securities
Federal National Mort
2025-04-01
5.500000
2630.92
559.73
Agency Mortgage-Backed Securities
Federal National Mort
2041-03-01
5.000000
443508.03
132684.77
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
378989.36
357163.26
Agency Mortgage-Backed Securities
Government National M
2045-07-20
3.000000
12656.07
2645.16
Agency Mortgage-Backed Securities
Government National M
2047-01-20
3.000000
11083.83
10775.29
Agency Mortgage-Backed Securities
Federal National Mort
2025-12-01
5.500000
9079.70
411.33
Agency Mortgage-Backed Securities
Government National M
2043-05-20
3.625000
196740.11
38635.69
Agency Mortgage-Backed Securities
Government National M
2033-05-15
5.500000
5227.67
180.94
Agency Mortgage-Backed Securities
Federal National Mort
2033-03-01
5.500000
41169.55
854.95
Agency Mortgage-Backed Securities
Federal National Mort
2021-03-01
5.000000
14151.60
417.49
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2034-03-01
5.000000
14362.03
577.59
Agency Mortgage-Backed Securities
Government National M
2044-07-20
3.500000
41362.05
9011.02
Agency Mortgage-Backed Securities
Federal National Mort
2025-09-01
4.500000
185.13
16.65
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2044-05-01
4.500000
3653.75
1694.68
Agency Mortgage-Backed Securities
Federal National Mort
2023-06-01
5.500000
21804.71
398.29
Agency Mortgage-Backed Securities
Government National M
2044-09-20
2.750000
30823.50
5797.94
Agency Mortgage-Backed Securities
Federal National Mort
2046-10-01
4.500000
3057.54
1426.88
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-07-01
4.000000
131506.71
107122.33
Agency Mortgage-Backed Securities
Government National M
2043-05-20
3.000000
14193.39
3429.69
Agency Mortgage-Backed Securities
Federal National Mort
2048-03-01
3.500000
125902.77
121985.56
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-04-20
4.500000
843803.02
849170.47
Agency Mortgage-Backed Securities
Federal National Mort
2045-11-01
3.500000
4215.86
2940.34
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
3.784000
1002918.11
55457.34
Agency Mortgage-Backed Securities
Government National M
2044-10-20
3.125000
74122.79
22683.77
Agency Mortgage-Backed Securities
Federal National Mort
2021-08-01
6.000000
3372.69
61.77
Agency Mortgage-Backed Securities
Federal National Mort
2021-02-01
6.500000
31733.11
3.58
Agency Mortgage-Backed Securities
Government National M
2038-03-15
5.500000
21930.31
1002.44
Agency Mortgage-Backed Securities
Government National M
2047-09-20
3.500000
45561.81
44141.97
Agency Mortgage-Backed Securities
Government National M
2043-02-20
3.500000
14052.87
2293.29
Agency Mortgage-Backed Securities
Federal National Mort
2038-02-01
6.000000
13350.22
98.94
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2044-10-01
4.000000
20103.52
9719.39
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
3.500000
94041.55
88868.04
Agency Mortgage-Backed Securities
Government National M
2046-03-20
3.000000
7461.71
7160.52
Agency Mortgage-Backed Securities
Government National M
2046-01-15
3.500000
172544.20
124905.54
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
3.500000
111321.09
107385.82
Agency Mortgage-Backed Securities
Government National M
2033-07-15
5.500000
14182.60
460.33
Agency Mortgage-Backed Securities
Government National M
2045-05-20
3.000000
33727.27
10097.22
Agency Mortgage-Backed Securities
Federal National Mort
2019-05-01
3.500000
771.08
1.38
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-09-01
5.000000
62030.08
65965.64
Agency Mortgage-Backed Securities
Government National M
2043-05-20
3.500000
30852.33
5565.58
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-07-01
4.500000
121922.66
126084.28
Agency Mortgage-Backed Securities
Government National M
2043-12-20
3.375000
50241.97
9303.88
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-09-01
4.000000
145362.84
116981.15
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-10-01
3.500000
285571.36
259119.62
Agency Mortgage-Backed Securities
Government National M
2047-10-15
4.000000
45820.46
45719.81
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2021-05-01
5.500000
0.59
0.01
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.000000
104426.05
100235.08
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2021-07-01
6.000000
4798.10
36.44
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2045-02-01
4.500000
365.37
123.92
Agency Mortgage-Backed Securities
Federal National Mort
2035-08-01
5.000000
3413.53
94.41
Agency Mortgage-Backed Securities
Government National M
2047-11-20
3.000000
174255.53
161609.86
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2043-08-01
4.500000
42710.76
14624.64
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.500000
94554.56
97763.78
Agency Mortgage-Backed Securities
Government National M
2043-06-20
3.625000
8431.72
1623.93
Agency Mortgage-Backed Securities
Government National M
2044-03-20
3.500000
3027770.52
1045208.57
Agency Mortgage-Backed Securities
Government National M
2048-09-20
6.000000
35904.71
39024.58
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2029-11-01
3.000000
1075044.19
585379.09
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.500000
92589.41
95774.46
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2035-03-01
5.000000
2417.09
100.44
Agency Mortgage-Backed Securities
Government National M
2043-12-20
3.125000
40265.45
4855.05
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2033-11-01
5.000000
1320.97
51.17
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2045-04-01
4.000000
170569.01
136427.83
Agency Mortgage-Backed Securities
Government National M
2046-11-20
3.000000
70160.98
36618.65
Agency Mortgage-Backed Securities
Federal National Mort
2036-08-01
6.000000
2107.93
66.08
Agency Mortgage-Backed Securities
Federal National Mort
2030-08-01
3.500000
477.80
268.98
Agency Mortgage-Backed Securities
Government National M
2048-09-20
5.500000
47476.34
51352.50
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.000000
338927.23
333925.16
Agency Mortgage-Backed Securities
Government National M
2044-11-20
3.125000
25278.21
2680.71
Agency Mortgage-Backed Securities
Government National M
2044-02-20
3.000000
40136.95
18463.58
Agency Mortgage-Backed Securities
Federal National Mort
2036-03-01
6.000000
41.96
0.34
Agency Mortgage-Backed Securities
Federal National Mort
2035-08-01
6.000000
6440.18
143.57
Agency Mortgage-Backed Securities
Federal National Mort
2020-12-01
5.000000
8138.83
74.11
Agency Mortgage-Backed Securities
Federal National Mort
2031-07-01
2.500000
6523.34
4961.64
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
4.000000
100048.73
91819.89
Agency Mortgage-Backed Securities
Government National M
2043-10-20
3.500000
407054.45
36025.59
Agency Mortgage-Backed Securities
Government National M
2044-06-20
3.000000
482277.24
80776.91
Agency Mortgage-Backed Securities
Federal National Mort
2022-08-01
4.000000
82183.74
425.18
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-12-01
4.500000
64880.45
63612.25
Agency Mortgage-Backed Securities
Government National M
2043-01-20
2.500000
74130.24
12617.20
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
4.000000
27543.62
25228.53
Agency Mortgage-Backed Securities
Federal National Mort
2019-08-01
4.000000
6688.46
21.12
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
96854.57
93540.88
Agency Mortgage-Backed Securities
Government National M
2045-01-20
3.500000
3562.46
483.35
Agency Mortgage-Backed Securities
Federal National Mort
2022-05-01
6.000000
149209.92
664.52
Agency Mortgage-Backed Securities
Government National M
2041-09-20
2.750000
340079.34
47694.39
Agency Mortgage-Backed Securities
Government National M
2046-09-15
4.000000
96591.08
79177.54
Agency Mortgage-Backed Securities
Federal National Mort
2038-03-01
3.000000
222744.63
207229.15
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2038-09-01
3.500000
6335.12
6172.85
Agency Mortgage-Backed Securities
Federal National Mort
2019-05-01
4.000000
28108.54
103.19
Agency Mortgage-Backed Securities
Federal National Mort
2020-02-01
5.000000
57335.69
474.93
Agency Mortgage-Backed Securities
Government National M
2044-05-20
3.625000
27743.48
4350.65
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-02-01
3.500000
1180.44
1026.47
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2044-03-15
2.708000
143901.34
83949.69
Agency Collateralized Mortgage Obligation
Federal Home Loan Mor
2042-09-01
4.000000
99393.30
40116.71
Agency Mortgage-Backed Securities
Federal National Mort
2025-04-01
5.000000
11030.63
315.71
Agency Mortgage-Backed Securities
Federal National Mort
2031-07-01
2.500000
114559.32
91200.05
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2040-11-20
4.000000
64232.39
14306.44
Agency Mortgage-Backed Securities
Federal National Mort
2032-10-01
4.650000
56211.46
2765.47
Agency Mortgage-Backed Securities
Government National M
2042-06-20
3.000000
44279.82
3117.95
Agency Mortgage-Backed Securities
Federal National Mort
2042-10-01
3.000000
197597.59
90701.24
Agency Mortgage-Backed Securities
Federal National Mort
2033-08-01
6.000000
42158.60
444.81
Agency Mortgage-Backed Securities
Federal National Mort
2035-03-01
5.500000
20938.77
1160.85
Agency Mortgage-Backed Securities
Government National M
2041-10-20
3.129000
75885.47
71205.93
Agency Mortgage-Backed Securities
Government National M
2045-02-20
2.500000
29148.28
18467.08
Agency Mortgage-Backed Securities
Government National M
2041-10-20
4.000000
270015.32
57047.50
Agency Mortgage-Backed Securities
Federal National Mort
2021-03-01
4.500000
287551.16
220.12
Agency Mortgage-Backed Securities
Federal National Mort
2043-09-01
5.000000
17113.72
4310.03
Agency Mortgage-Backed Securities
Federal National Mort
2027-01-01
4.500000
25014.10
5042.01
Agency Mortgage-Backed Securities
Federal National Mort
2044-12-01
4.500000
3715.16
675.14
Agency Mortgage-Backed Securities
Government National M
2045-04-20
3.500000
10264.72
1003.85
Agency Mortgage-Backed Securities
Government National M
2045-11-20
3.000000
32518.33
13387.55
Agency Mortgage-Backed Securities
Federal National Mort
2026-10-01
6.000000
416077.23
10267.59
Agency Mortgage-Backed Securities
Government National M
2044-04-20
3.625000
55405.08
9573.06
Agency Mortgage-Backed Securities
Government National M
2036-01-15
5.500000
1264.76
249.57
Agency Mortgage-Backed Securities
Government National M
2044-06-20
3.000000
65279.38
11544.13
Agency Mortgage-Backed Securities
Government National M
2045-07-20
2.500000
125865.55
43484.69
Agency Mortgage-Backed Securities
Government National M
2045-10-20
3.500000
23281.18
8705.18
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-10-01
4.000000
570258.52
530928.21
Agency Mortgage-Backed Securities
Government National M
2046-08-20
2.500000
25419.19
12379.43
Agency Mortgage-Backed Securities
Federal National Mort
2027-12-01
5.500000
25720.34
513.38
Agency Mortgage-Backed Securities
Government National M
2045-02-20
3.000000
8473.54
1414.51
Agency Mortgage-Backed Securities
Government National M
2044-02-20
3.375000
68530.37
14002.29
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2019-03-01
4.500000
940.90
1.55
Agency Mortgage-Backed Securities
Federal National Mort
2045-01-01
4.000000
41425.04
26380.89
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-08-01
4.500000
105227.85
107359.72
Agency Mortgage-Backed Securities
Federal National Mort
2046-08-01
2.500000
35240.68
28599.47
Agency Mortgage-Backed Securities
Government National M
2048-09-20
6.000000
41288.02
43949.56
Agency Mortgage-Backed Securities
Federal National Mort
2026-09-01
6.000000
56211.46
632.15
Agency Mortgage-Backed Securities
Government National M
2046-06-15
4.000000
10684.06
5596.59
Agency Mortgage-Backed Securities
Government National M
2044-06-20
3.625000
52019.97
16178.67
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-09-01
3.245000
56211.46
53975.42
Agency Mortgage-Backed Securities
Government National M
2045-09-20
3.500000
11968.07
2706.53
Agency Mortgage-Backed Securities
Government National M
2047-05-20
3.000000
77023.00
60545.49
Agency Mortgage-Backed Securities
Federal National Mort
2045-08-01
3.500000
56.21
37.82
Agency Mortgage-Backed Securities
Federal National Mort
2041-11-01
2.916000
282930.83
27834.79
Agency Mortgage-Backed Securities
Federal National Mort
2046-12-01
4.500000
3822.38
2556.99
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2038-08-01
3.000000
95529.80
91562.28
Agency Mortgage-Backed Securities
Government National M
2048-06-20
4.500000
1467.60
1503.79
Agency Mortgage-Backed Securities
Federal National Mort
2031-09-01
2.000000
466.98
330.95
Agency Mortgage-Backed Securities
Federal National Mort
2021-01-01
5.000000
3745.23
34.65
Agency Mortgage-Backed Securities
Federal National Mort
2021-07-01
6.000000
1916.42
36.19
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2042-07-01
3.500000
338422.17
160402.71
Agency Mortgage-Backed Securities
Federal National Mort
2048-10-01
3.318000
96911.34
94175.80
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
3.500000
135524.12
129817.09
Agency Mortgage-Backed Securities
Federal National Mort
2035-08-01
5.000000
4075.33
119.26
Agency Mortgage-Backed Securities
Government National M
2043-08-20
2.750000
130929.79
42908.36
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2020-01-01
4.500000
87064.81
1319.57
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-03-01
3.000000
119887.66
112259.62
Agency Mortgage-Backed Securities
Federal National Mort
2020-11-01
5.000000
769.42
11.17
Agency Mortgage-Backed Securities
Federal National Mort
2046-08-01
4.000000
6876.94
5390.09
Agency Mortgage-Backed Securities
Federal National Mort
2019-01-01
5.000000
88882.04
117.22
Agency Mortgage-Backed Securities
Federal National Mort
2033-04-01
5.500000
25210.84
551.64
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-05-20
4.500000
458432.96
466977.05
Agency Mortgage-Backed Securities
Federal National Mort
2043-05-01
3.000000
191118.97
118890.17
Agency Mortgage-Backed Securities
Government National M
2042-09-20
2.750000
21079.30
3593.92
Agency Mortgage-Backed Securities
Government National M
2041-02-15
4.000000
1065675.59
280309.63
Agency Mortgage-Backed Securities
Federal National Mort
2045-10-01
3.500000
140.53
75.14
Agency Mortgage-Backed Securities
Federal National Mort
2019-04-01
4.500000
56211.46
78.01
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
3951500.56
3798637.31
Agency Mortgage-Backed Securities
Government National M
2046-10-15
4.000000
6644.22
3643.06
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2040-12-01
4.000000
82911.90
14060.10
Agency Mortgage-Backed Securities
Government National M
2045-06-15
4.000000
3616.28
1366.34
Agency Mortgage-Backed Securities
Federal National Mort
2020-05-01
6.000000
5653.44
52.29
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-11-01
5.500000
29911.64
416.03
Agency Mortgage-Backed Securities
Government National M
2043-01-20
3.239000
195654.36
185435.20
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-11-01
5.000000
84317.19
439.92
Agency Mortgage-Backed Securities
Government National M
2047-12-20
2.500000
147533.05
135673.08
Agency Mortgage-Backed Securities
Federal National Mort
2053-04-01
3.500000
134254.10
73659.25
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-10-01
4.500000
121083.65
113569.74
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-09-01
3.500000
24469.30
22148.19
Agency Mortgage-Backed Securities
Federal National Mort
2046-11-01
4.000000
142108.78
96528.66
Agency Mortgage-Backed Securities
Federal National Mort
2042-07-01
3.500000
49628.26
29316.99
Agency Mortgage-Backed Securities
Federal National Mort
2035-10-01
5.000000
11157.97
529.44
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-12-01
3.000000
646.43
534.19
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
3.500000
126201.62
122469.23
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2043-10-01
3.500000
1793.60
1028.14
Agency Mortgage-Backed Securities
Federal National Mort
2034-11-01
6.000000
14052.87
539.81
Agency Mortgage-Backed Securities
Federal National Mort
2043-11-01
4.000000
28105.73
14366.82
Agency Mortgage-Backed Securities
Government National M
2047-01-20
2.500000
17122.21
3189.40
Agency Mortgage-Backed Securities
Federal National Mort
2033-01-01
3.590000
84543.16
1212.84
Agency Mortgage-Backed Securities
Federal National Mort
2020-07-01
5.000000
983.70
4.73
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2045-02-01
4.000000
135470.91
103775.43
Agency Mortgage-Backed Securities
Federal National Mort
2028-08-01
3.000000
28773.97
11991.91
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-02-01
4.500000
134345.39
109232.17
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2044-04-01
4.000000
104900.48
95998.09
Agency Mortgage-Backed Securities
Federal National Mort
2030-12-01
7.500000
15036.57
214.10
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.500000
97549.12
98398.49
Agency Mortgage-Backed Securities
Federal National Mort
2038-01-25
5.000000
259554.17
64165.23
Agency Collateralized Mortgage Obligation
Government National M
2046-01-20
2.500000
38219.35
5250.57
Agency Mortgage-Backed Securities
Federal National Mort
2038-07-01
6.000000
140.53
3.29
Agency Mortgage-Backed Securities
Federal National Mort
2046-03-01
3.500000
496.01
314.28
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2037-11-01
6.000000
114.70
2.51
Agency Mortgage-Backed Securities
Government National M
2044-08-20
2.750000
35146.10
3597.67
Agency Mortgage-Backed Securities
Government National M
2043-04-20
3.625000
68296.92
13143.45
Agency Mortgage-Backed Securities
Federal National Mort
2022-11-01
5.500000
44969.17
482.67
Agency Mortgage-Backed Securities
Federal National Mort
2018-12-01
4.500000
281057.30
94.83
Agency Mortgage-Backed Securities
Federal National Mort
2033-08-01
5.000000
11123.83
294.32
Agency Mortgage-Backed Securities
Government National M
2046-03-20
3.000000
20793.69
8856.24
Agency Mortgage-Backed Securities
Federal National Mort
2033-08-01
3.000000
25433.18
24796.96
Agency Mortgage-Backed Securities
Federal National Mort
2029-08-01
2.500000
289830.34
136345.36
Agency Mortgage-Backed Securities
Federal National Mort
2019-05-01
4.000000
10358.99
21.57
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2042-09-01
3.000000
219586.02
109630.42
Agency Mortgage-Backed Securities
Federal National Mort
2047-12-01
4.000000
60789.55
55375.22
Agency Mortgage-Backed Securities
Federal National Mort
2047-06-01
4.500000
101997.75
95360.62
Agency Mortgage-Backed Securities
Federal National Mort
2027-04-01
6.000000
79530.70
3095.64
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2018-11-15
4.500000
89.63
0.02
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2028-04-01
7.500000
44.29
0.10
Agency Mortgage-Backed Securities
Federal National Mort
2021-11-01
6.000000
3590.17
211.68
Agency Mortgage-Backed Securities
Government National M
2043-10-20
3.000000
174184.00
25887.61
Agency Mortgage-Backed Securities
Government National M
2046-04-20
3.000000
782782.14
379747.46
Agency Mortgage-Backed Securities
Federal National Mort
2041-04-01
4.157000
102443.14
10490.03
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2025-05-01
4.000000
29511.02
2174.64
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2034-10-15
5.000000
19069.96
1229.78
Agency Mortgage-Backed Securities
Government National M
2044-12-20
3.500000
246253.50
8956.54
Agency Mortgage-Backed Securities
Federal National Mort
2021-03-01
5.000000
8201.79
96.92
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-12-01
4.500000
93060.15
91227.47
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
3.500000
150005.99
141341.13
Agency Mortgage-Backed Securities
Federal National Mort
2034-05-01
5.000000
1405.29
60.74
Agency Mortgage-Backed Securities
Federal National Mort
2035-04-01
6.000000
11242.29
414.45
Agency Mortgage-Backed Securities
Government National M
2048-06-20
3.500000
2810.57
2744.82
Agency Mortgage-Backed Securities
Federal National Mort
2027-07-01
3.000000
33115.35
25613.46
Agency Mortgage-Backed Securities
Federal National Mort
2019-01-01
5.000000
10923.60
9.34
Agency Mortgage-Backed Securities
Government National M
2044-05-20
3.625000
165534.71
30872.94
Agency Mortgage-Backed Securities
Federal National Mort
2022-02-01
6.000000
28251.35
488.52
Agency Mortgage-Backed Securities
Government National M
2048-10-20
3.500000
1038.84
1026.30
Agency Mortgage-Backed Securities
Federal National Mort
2045-04-01
3.000000
4607.65
3554.30
Agency Mortgage-Backed Securities
Federal National Mort
2044-03-01
4.500000
786.96
106.00
Agency Mortgage-Backed Securities
Government National M
2047-08-20
4.000000
32055.51
31855.31
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-09-01
3.500000
1146647.24
1032546.34
Agency Mortgage-Backed Securities
Government National M
2044-06-20
3.625000
111412.86
16971.51
Agency Mortgage-Backed Securities
Government National M
2024-10-15
5.500000
28105.73
523.88
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.000000
93779.77
94120.75
Agency Mortgage-Backed Securities
Federal National Mort
2040-07-01
5.000000
4356.39
452.45
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2019-06-01
4.000000
207373.41
630.22
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-02-01
4.000000
130302.10
113033.14
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
3.000000
101006.29
90320.18
Agency Mortgage-Backed Securities
Federal National Mort
2035-01-01
5.000000
13541.03
600.52
Agency Mortgage-Backed Securities
Government National M
2041-09-20
5.500000
12556.52
2210.00
Agency Mortgage-Backed Securities
Government National M
2045-05-15
4.000000
2890.96
1488.30
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
4.000000
139442.25
131900.31
Agency Mortgage-Backed Securities
Government National M
2033-02-15
5.500000
14052.87
351.31
Agency Mortgage-Backed Securities
Government National M
2048-04-20
5.000000
61261.84
63600.10
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2042-09-01
3.000000
177406.29
103354.36
Agency Mortgage-Backed Securities
Government National M
2047-05-20
3.000000
235859.07
169204.37
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
4.000000
117889.43
114534.59
Agency Mortgage-Backed Securities
Federal National Mort
2029-05-01
6.000000
154868.79
949.50
Agency Mortgage-Backed Securities
Government National M
2044-05-20
3.500000
140528.93
16826.48
Agency Mortgage-Backed Securities
Government National M
2044-07-20
2.750000
60178.64
9955.00
Agency Mortgage-Backed Securities
Federal National Mort
2036-04-01
5.000000
702.64
18.46
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-06-01
4.500000
110824.04
112982.86
Agency Mortgage-Backed Securities
Government National M
2047-01-20
5.500000
281.06
143.37
Agency Mortgage-Backed Securities
Government National M
2046-09-15
4.000000
13935.02
9746.22
Agency Mortgage-Backed Securities
Federal National Mort
2019-08-01
4.500000
173420.90
1637.70
Agency Mortgage-Backed Securities
Federal National Mort
2037-10-01
7.000000
211.58
2.44
Agency Mortgage-Backed Securities
Government National M
2044-03-20
3.000000
11672.51
1762.52
Agency Mortgage-Backed Securities
Federal National Mort
2033-05-01
4.500000
2810.57
33.81
Agency Mortgage-Backed Securities
Federal National Mort
2036-04-01
5.500000
1951.04
78.75
Agency Mortgage-Backed Securities
Federal National Mort
2044-03-01
4.500000
29160.17
14628.98
Agency Mortgage-Backed Securities
Government National M
2040-03-15
5.500000
21372.13
2554.98
Agency Mortgage-Backed Securities
Government National M
2045-10-20
3.500000
9476.21
3824.49
Agency Mortgage-Backed Securities
Government National M
2044-12-20
3.000000
61644.75
14713.17
Agency Mortgage-Backed Securities
Government National M
2045-01-20
3.500000
23455.38
1635.75
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-09-01
4.000000
803.46
800.32
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-06-01
5.500000
30176.79
32456.91
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2042-08-01
4.500000
6636.78
3384.90
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-01-01
3.000000
735.19
689.29
Agency Mortgage-Backed Securities
Government National M
2048-09-20
3.500000
8431.72
8509.15
Agency Mortgage-Backed Securities
Government National M
2023-08-15
5.500000
5761.68
274.36
Agency Mortgage-Backed Securities
Federal National Mort
2021-04-01
6.000000
76624.93
295.86
Agency Mortgage-Backed Securities
Federal National Mort
2047-05-01
4.000000
780828.45
689651.18
Agency Mortgage-Backed Securities
Federal National Mort
2040-06-01
6.500000
136721.79
83622.82
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2022-05-01
6.500000
88338.00
502.57
Agency Mortgage-Backed Securities
Federal National Mort
2035-06-01
5.000000
1967.40
88.26
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
3.270000
28550.78
27668.74
Agency Mortgage-Backed Securities
Federal National Mort
2043-11-01
5.000000
3128.03
340.42
Agency Mortgage-Backed Securities
Federal National Mort
2042-07-01
2.722000
4407.91
2381.58
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2042-08-01
3.500000
299996.91
130106.06
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2033-02-01
3.000000
5535.23
5008.51
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2046-08-01
3.500000
2107.93
1653.48
Agency Mortgage-Backed Securities
Federal National Mort
2022-02-01
6.500000
5480.62
261.06
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-12-20
3.000000
2651096.79
2425001.70
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2036-08-01
7.000000
169412.35
38586.62
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
3.500000
114744.34
105004.50
Agency Mortgage-Backed Securities
Government National M
2038-02-16
2.678000
285854.87
40207.43
Agency Collateralized Mortgage Obligation
Federal National Mort
2037-10-01
3.626000
149513.69
153498.49
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-07-01
4.000000
170156.03
167269.32
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
3.191000
154400.52
148435.02
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-11-01
4.500000
94665.41
95185.57
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-10-01
3.500000
1577310.45
1536100.08
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-04-01
4.000000
167109.31
164888.64
Agency Mortgage-Backed Securities
Federal National Mort
2019-08-01
5.000000
77741.63
354.89
Agency Mortgage-Backed Securities
Federal National Mort
2020-12-01
5.000000
11000.81
150.85
Agency Mortgage-Backed Securities
Federal National Mort
2019-04-01
4.000000
12241.65
39.60
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2043-12-01
4.500000
2122.69
591.06
Agency Mortgage-Backed Securities
Federal National Mort
2029-03-01
3.500000
393.48
173.03
Agency Mortgage-Backed Securities
Federal National Mort
2023-04-01
4.000000
16761.67
224.78
Agency Mortgage-Backed Securities
Federal National Mort
2038-09-01
4.000000
14084.71
14109.12
Agency Mortgage-Backed Securities
Government National M
2045-06-15
3.500000
134135.27
102965.80
Agency Mortgage-Backed Securities
Government National M
2044-08-20
2.750000
367277.39
52255.48
Agency Mortgage-Backed Securities
Government National M
2047-12-20
3.500000
3349.61
2793.45
Agency Mortgage-Backed Securities
Federal National Mort
2022-07-01
6.000000
84308.76
526.46
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-07-01
4.000000
117036.48
116721.31
Agency Mortgage-Backed Securities
Federal National Mort
2043-05-01
3.000000
26925.29
14897.34
Agency Mortgage-Backed Securities
Government National M
2048-06-20
4.500000
140548.55
146095.94
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
3.500000
29110.54
26331.00
Agency Mortgage-Backed Securities
Government National M
2041-10-20
3.125000
58.21
6.82
Agency Mortgage-Backed Securities
Federal National Mort
2020-01-01
4.500000
227.68
0.34
Agency Mortgage-Backed Securities
Federal National Mort
2026-03-01
3.000000
2916.22
1427.61
Agency Mortgage-Backed Securities
Federal National Mort
2022-06-01
5.000000
15811.95
282.31
Agency Mortgage-Backed Securities
Federal National Mort
2020-07-01
6.500000
21482.45
0.23
Agency Mortgage-Backed Securities
Federal National Mort
2022-12-01
5.500000
29103.60
294.07
Agency Mortgage-Backed Securities
Government National M
2046-04-20
3.000000
176148.93
127114.70
Agency Mortgage-Backed Securities
Government National M
2044-11-20
3.125000
10052.04
2735.59
Agency Mortgage-Backed Securities
Government National M
2045-03-20
3.000000
100584.03
39906.15
Agency Mortgage-Backed Securities
Federal National Mort
2045-05-01
3.000000
6419.88
4272.94
Agency Mortgage-Backed Securities
Federal National Mort
2056-04-01
4.000000
6301.84
4842.91
Agency Mortgage-Backed Securities
Government National M
2038-12-20
5.500000
110.93
0.90
Agency Mortgage-Backed Securities
Government National M
2040-10-20
3.125000
168978.17
29484.95
Agency Mortgage-Backed Securities
Federal National Mort
2021-04-01
6.000000
5674.44
87.97
Agency Mortgage-Backed Securities
Federal National Mort
2021-01-01
5.000000
4206.36
27.12
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2035-01-01
5.500000
8712.78
621.89
Agency Mortgage-Backed Securities
Government National M
2047-10-20
4.000000
8306.90
7750.99
Agency Mortgage-Backed Securities
Federal National Mort
2032-12-01
3.480000
85265.59
2170.83
Agency Mortgage-Backed Securities
Federal National Mort
2036-05-01
6.000000
56211.46
547.25
Agency Mortgage-Backed Securities
Federal National Mort
2043-05-01
3.000000
55677.45
29511.38
Agency Mortgage-Backed Securities
Federal National Mort
2021-07-01
6.000000
14980.35
81.86
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2036-07-01
5.500000
1152.34
157.39
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-10-01
2.000000
1726.96
1514.81
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-05-01
3.500000
534.01
385.88
Agency Mortgage-Backed Securities
Federal National Mort
2045-06-01
4.000000
56.21
33.18
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
5.000000
436586.52
448325.04
Agency Mortgage-Backed Securities
Federal National Mort
2044-10-01
4.000000
56.21
23.72
Agency Mortgage-Backed Securities
Federal National Mort
2020-11-01
5.000000
1692.53
43.95
Agency Mortgage-Backed Securities
Government National M
2045-01-20
4.000000
18732.98
13505.99
Agency Mortgage-Backed Securities
Government National M
2031-12-15
5.500000
5739.25
170.37
Agency Mortgage-Backed Securities
Federal National Mort
2019-09-01
4.000000
490164.02
2.45
Agency Mortgage-Backed Securities
Government National M
2043-09-20
3.500000
25224.50
731.03
Agency Mortgage-Backed Securities
Government National M
2046-02-20
2.500000
97639.42
37227.04
Agency Mortgage-Backed Securities
Federal National Mort
2036-03-01
5.000000
43766.52
1720.89
Agency Mortgage-Backed Securities
Federal National Mort
2036-08-01
6.000000
74.37
1.54
Agency Mortgage-Backed Securities
Government National M
2048-05-20
4.000000
35446.86
35997.39
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2033-08-01
3.500000
281.51
272.84
Agency Mortgage-Backed Securities
Government National M
2048-08-20
5.000000
29742.86
31091.45
Agency Mortgage-Backed Securities
Federal National Mort
2034-06-01
6.000000
5621.15
452.05
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2023-02-01
6.000000
5183.62
136.70
Agency Mortgage-Backed Securities
Federal National Mort
2034-03-01
5.500000
14637.52
426.45
Agency Mortgage-Backed Securities
Federal National Mort
2022-02-01
6.000000
42158.60
200.35
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2045-12-01
4.000000
4148.94
2403.86
Agency Mortgage-Backed Securities
Federal National Mort
2034-04-01
3.950000
59022.03
6139.69
Agency Mortgage-Backed Securities
Government National M
2043-11-20
3.125000
47169.85
8099.45
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2031-06-15
6.500000
3.79
0.24
Agency Collateralized Mortgage Obligation
Federal National Mort
2020-01-01
4.500000
2670.04
13.66
Agency Mortgage-Backed Securities
Federal National Mort
2048-09-01
4.500000
106390.76
110514.40
Agency Mortgage-Backed Securities
Government National M
2043-02-20
3.375000
26514.69
2715.21
Agency Mortgage-Backed Securities
Government National M
2048-07-20
4.000000
71953.65
72504.20
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-10-01
5.000000
10056.79
10559.70
Agency Mortgage-Backed Securities
Government National M
2046-10-20
2.500000
7263.25
7012.93
Agency Mortgage-Backed Securities
Government National M
2047-12-15
4.000000
237.61
214.26
Agency Mortgage-Backed Securities
Government National M
2047-08-20
3.000000
64638.94
55751.57
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.000000
124425.25
123143.35
Agency Mortgage-Backed Securities
Federal National Mort
2021-09-01
6.000000
5675.33
110.69
Agency Mortgage-Backed Securities
Government National M
2045-03-15
4.000000
3981.04
1383.61
Agency Mortgage-Backed Securities
Federal National Mort
2043-08-01
3.000000
127881.07
96858.26
Agency Mortgage-Backed Securities
Government National M
2047-01-20
3.500000
22548.55
21943.56
Agency Mortgage-Backed Securities
Federal National Mort
2034-03-01
5.000000
2951.10
113.46
Agency Mortgage-Backed Securities
Government National M
2046-07-20
3.500000
11067.25
6896.73
Agency Mortgage-Backed Securities
Government National M
2047-08-20
3.500000
78493.32
68070.52
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2046-10-01
3.000000
21857.38
17394.91
Agency Mortgage-Backed Securities
Government National M
2045-12-15
3.500000
144524.19
107568.97
Agency Mortgage-Backed Securities
Federal National Mort
2044-02-01
4.500000
505344.63
285955.10
Agency Mortgage-Backed Securities
Government National M
2033-02-20
5.500000
12197.89
338.91
Agency Mortgage-Backed Securities
Government National M
2044-04-20
3.625000
1405.32
287.00
Agency Mortgage-Backed Securities
Federal National Mort
2035-08-01
5.000000
6914.01
210.94
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-10-01
2.500000
692031.63
591730.57
Agency Mortgage-Backed Securities
Government National M
2033-07-20
5.500000
11941.11
529.20
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
3.976000
67032.17
68406.04
Agency Mortgage-Backed Securities
Federal National Mort
2041-04-01
5.000000
6611.59
484.56
Agency Mortgage-Backed Securities
Federal National Mort
2033-09-01
4.140000
449325.75
7593.79
Agency Mortgage-Backed Securities
Government National M
2048-08-20
3.500000
7717.81
7767.32
Agency Mortgage-Backed Securities
Government National M
2048-06-20
3.000000
61920.49
55926.98
Agency Mortgage-Backed Securities
Federal National Mort
2019-01-01
4.500000
362563.92
160.96
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
80836.13
78673.64
Agency Mortgage-Backed Securities
Federal National Mort
2035-05-01
4.090000
56211.46
2891.73
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
4.000000
3046718.70
2685235.22
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-09-01
4.000000
245594.67
230499.60
Agency Mortgage-Backed Securities
Government National M
2045-07-15
4.000000
3796.69
2542.73
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-08-01
4.000000
1315927.38
1306521.99
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-02-01
3.500000
118971.75
115020.13
Agency Mortgage-Backed Securities
Federal National Mort
2047-10-01
3.500000
1456313.96
1339455.97
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-09-01
4.500000
3536.77
3588.06
Agency Mortgage-Backed Securities
Federal National Mort
2035-01-01
4.500000
7533.80
295.28
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2025-09-01
4.000000
193321.44
30545.05
Agency Mortgage-Backed Securities
Federal National Mort
2020-08-01
4.000000
17425.55
531.74
Agency Mortgage-Backed Securities
Federal National Mort
2042-09-01
3.000000
171305.66
90435.13
Agency Mortgage-Backed Securities
Federal National Mort
2020-06-01
5.000000
14614.98
225.96
Agency Mortgage-Backed Securities
Government National M
2043-12-20
3.375000
48214.96
12739.60
Agency Mortgage-Backed Securities
Federal National Mort
2020-07-01
5.000000
28172.12
260.74
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-09-01
3.500000
195237.02
182115.67
Agency Mortgage-Backed Securities
Government National M
2044-03-20
3.375000
89797.92
15660.94
Agency Mortgage-Backed Securities
Federal National Mort
2047-05-01
4.000000
343.82
325.30
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-07-01
4.000000
95278.43
95370.32
Agency Mortgage-Backed Securities
Government National M
2045-05-20
3.000000
21391.83
2731.10
Agency Mortgage-Backed Securities
Government National M
2046-06-20
2.500000
28761.04
9578.79
Agency Mortgage-Backed Securities
Federal National Mort
2027-11-01
3.000000
198920.84
68195.51
Agency Mortgage-Backed Securities
Federal National Mort
2037-02-01
6.500000
70.83
2.58
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2040-02-01
5.000000
557183.91
111459.43
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
162377.99
149503.52
Agency Mortgage-Backed Securities
Government National M
2043-07-20
3.500000
3665.52
3330.00
Agency Mortgage-Backed Securities
Government National M
2045-01-20
3.000000
4448.58
4059.62
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
4.500000
365.37
291.91
Agency Mortgage-Backed Securities
Federal National Mort
2048-09-01
4.000000
2934358.26
2920183.99
Agency Mortgage-Backed Securities
Government National M
2045-07-20
3.000000
81737.31
28606.72
Agency Mortgage-Backed Securities
Federal National Mort
2046-07-01
3.500000
6366.12
5101.77
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-06-01
4.000000
112422.92
110175.31
Agency Mortgage-Backed Securities
Federal National Mort
2019-06-01
4.500000
161186.36
421.90
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2038-06-01
5.500000
983.70
31.67
Agency Mortgage-Backed Securities
Government National M
2048-05-20
3.000000
18116.67
17953.61
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
56.24
53.72
Agency Mortgage-Backed Securities
Government National M
2044-02-20
3.000000
61129.96
9720.25
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-12-01
3.500000
104279.48
100564.14
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
3.500000
1518927.34
1481818.42
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-05-01
4.000000
203126.72
202977.43
Agency Mortgage-Backed Securities
Government National M
2047-04-20
4.000000
5574.46
5550.08
Agency Mortgage-Backed Securities
Government National M
2043-02-20
3.375000
64643.18
11758.96
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
4.000000
182174.01
177067.62
Agency Mortgage-Backed Securities
Government National M
2047-03-20
3.000000
12202.58
8584.44
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
3.000000
96261.56
90757.28
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2045-09-01
4.000000
178872.91
112970.14
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-11-15
4.500000
821411.33
837933.20
Agency Collateralized Mortgage Obligation
Federal National Mort
2045-08-01
3.500000
534.01
244.17
Agency Mortgage-Backed Securities
Federal National Mort
2026-04-01
3.500000
421.59
170.46
Agency Mortgage-Backed Securities
Federal National Mort
2036-02-01
6.000000
2220.10
58.08
Agency Mortgage-Backed Securities
Government National M
2046-11-20
2.500000
5285.90
569.85
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-06-01
4.500000
109361.59
90769.50
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
4.000000
99276.52
91442.03
Agency Mortgage-Backed Securities
Federal National Mort
2021-03-01
5.000000
932.07
14.31
Agency Mortgage-Backed Securities
Government National M
2043-01-20
3.500000
40753.31
7780.97
Agency Mortgage-Backed Securities
Government National M
2047-10-20
4.000000
86135.07
84966.13
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-02-20
4.500000
1193.88
1124.92
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2043-05-01
2.199000
550965.85
218512.78
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-01-01
3.500000
1520620.18
1411101.08
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-03-01
3.500000
365389.14
300297.15
Agency Mortgage-Backed Securities
Federal National Mort
2043-08-01
3.000000
220310.08
130830.89
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-09-01
5.500000
28235.10
1660.34
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-07-01
4.500000
128822.53
132255.60
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-10-20
3.500000
561289.48
518451.55
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.500000
103587.80
107619.47
Agency Mortgage-Backed Securities
Government National M
2046-05-20
3.500000
11497.35
4350.59
Agency Mortgage-Backed Securities
Government National M
2045-04-20
3.500000
5171.45
2923.67
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2041-05-20
4.500000
5529131.00
933766.14
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-12-20
4.000000
1145957.84
1057913.66
Agency Mortgage-Backed Securities
Federal National Mort
2029-07-01
7.500000
72.57
0.78
Agency Mortgage-Backed Securities
Federal National Mort
2041-02-01
4.000000
449.69
148.27
Agency Mortgage-Backed Securities
Government National M
2046-06-20
3.000000
4552.71
135.69
Agency Mortgage-Backed Securities
Federal National Mort
2026-04-01
4.000000
1337.61
257.85
Agency Mortgage-Backed Securities
Government National M
2047-11-20
4.000000
29307.31
27545.83
Agency Mortgage-Backed Securities
Government National M
2045-12-20
5.500000
393.48
164.44
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
6.000000
12619.47
90.52
Agency Mortgage-Backed Securities
Government National M
2042-04-20
3.000000
118044.07
29803.85
Agency Mortgage-Backed Securities
Federal National Mort
2044-06-01
4.000000
421.59
227.53
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-08-01
3.000000
16728.95
15881.34
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
4.000000
109621.09
107290.87
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2045-09-20
3.500000
51505.89
27381.88
Agency Mortgage-Backed Securities
Government National M
2046-03-20
2.500000
71707.95
16442.09
Agency Mortgage-Backed Securities
Government National M
2044-04-20
3.000000
3000.43
478.43
Agency Mortgage-Backed Securities
Federal National Mort
2035-07-01
4.032000
2654.70
1134.93
Agency Mortgage-Backed Securities
Federal National Mort
2046-12-01
3.500000
32009.59
30406.04
Agency Mortgage-Backed Securities
Federal National Mort
2047-06-01
4.000000
11580.97
11387.94
Agency Mortgage-Backed Securities
Federal National Mort
2042-01-01
4.500000
5111.70
1526.40
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
104306.58
101247.80
Agency Mortgage-Backed Securities
Federal National Mort
2041-06-01
5.500000
6522.47
2303.85
Agency Mortgage-Backed Securities
Federal National Mort
2036-11-01
3.693000
591673.54
29545.03
Agency Mortgage-Backed Securities
Government National M
2048-08-20
5.000000
29079.82
30859.18
Agency Mortgage-Backed Securities
Government National M
2046-03-20
3.500000
2810.57
1216.52
Agency Mortgage-Backed Securities
Government National M
2044-08-15
4.000000
4701.50
2430.08
Agency Mortgage-Backed Securities
Government National M
2046-05-15
4.500000
5266.42
2318.19
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-04-20
4.000000
302293.09
225986.32
Agency Mortgage-Backed Securities
Federal National Mort
2021-10-01
6.000000
57613.40
473.30
Agency Mortgage-Backed Securities
Government National M
2041-08-20
2.750000
2042132.63
285310.38
Agency Mortgage-Backed Securities
Federal National Mort
2046-08-01
3.500000
6970.22
5252.56
Agency Mortgage-Backed Securities
Federal National Mort
2034-04-01
5.500000
9520.70
367.95
Agency Mortgage-Backed Securities
Government National M
2043-02-20
3.500000
14333.92
1604.63
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2038-08-01
6.000000
17299.98
358.75
Agency Mortgage-Backed Securities
Federal National Mort
2045-08-01
4.000000
56.21
28.15
Agency Mortgage-Backed Securities
Federal National Mort
2023-04-01
6.000000
14052.87
197.47
Agency Mortgage-Backed Securities
Federal National Mort
2021-12-01
6.000000
56212.56
191.20
Agency Mortgage-Backed Securities
Federal National Mort
2034-01-01
5.500000
35.33
1.08
Agency Mortgage-Backed Securities
Federal National Mort
2047-10-01
3.500000
791417.79
715083.72
Agency Mortgage-Backed Securities
Government National M
2043-02-20
3.000000
14052.87
3101.86
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-11-01
5.500000
56556.60
710.62
Agency Mortgage-Backed Securities
Federal National Mort
2033-08-01
5.000000
1770.30
28.43
Agency Mortgage-Backed Securities
Government National M
2040-05-20
3.625000
99775.34
12113.28
Agency Mortgage-Backed Securities
Federal National Mort
2020-01-01
4.500000
11293.53
67.18
Agency Mortgage-Backed Securities
Federal National Mort
2033-05-01
5.500000
30544.63
616.92
Agency Mortgage-Backed Securities
Federal National Mort
2046-03-01
2.615000
5845.99
3207.77
Agency Mortgage-Backed Securities
Government National M
2047-11-20
5.000000
73018.49
58759.53
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2038-06-01
6.000000
91.57
2.59
Agency Mortgage-Backed Securities
Federal National Mort
2045-02-01
4.000000
36870.78
23359.66
Agency Mortgage-Backed Securities
Government National M
2045-11-20
3.500000
11460.98
3413.12
Agency Mortgage-Backed Securities
Government National M
2048-06-20
4.000000
53435.40
54364.53
Agency Mortgage-Backed Securities
Federal National Mort
2035-09-01
5.000000
1405.29
84.02
Agency Mortgage-Backed Securities
Government National M
2045-09-20
2.500000
61582.02
11163.73
Agency Mortgage-Backed Securities
Federal National Mort
2042-02-01
3.500000
19034.75
8216.32
Agency Mortgage-Backed Securities
Federal National Mort
2044-04-01
5.000000
10469.92
2666.30
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2040-12-01
4.000000
278724.53
102744.29
Agency Mortgage-Backed Securities
Federal National Mort
2036-01-01
5.000000
1039.04
138.29
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2044-01-01
3.500000
148932.27
98043.75
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-06-01
5.500000
32538.93
585.58
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-03-20
3.500000
1749122.72
1678091.07
Agency Mortgage-Backed Securities
Federal National Mort
2031-12-01
2.500000
304.24
234.09
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.500000
91553.40
90426.03
Agency Mortgage-Backed Securities
Federal National Mort
2022-08-01
6.500000
112422.92
734.87
Agency Mortgage-Backed Securities
Government National M
2048-07-20
3.000000
5521.40
5489.80
Agency Mortgage-Backed Securities
Federal National Mort
2048-09-01
4.500000
124842.23
129594.69
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-02-01
3.500000
14745.17
13752.09
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-07-01
3.000000
4347.84
4095.30
Agency Mortgage-Backed Securities
Federal National Mort
2028-12-01
6.000000
23364.60
645.56
Agency Mortgage-Backed Securities
Federal National Mort
2021-05-01
6.000000
105397.73
198.70
Agency Mortgage-Backed Securities
Federal National Mort
2036-08-01
4.545000
1242132.98
90683.98
Agency Mortgage-Backed Securities
Federal National Mort
2026-04-01
4.000000
11264.33
1184.61
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2019-09-01
6.000000
935073.63
423.06
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-09-01
4.000000
130006.57
130937.05
Agency Mortgage-Backed Securities
Government National M
2045-05-20
2.500000
28105.73
15549.16
Agency Mortgage-Backed Securities
Federal National Mort
2025-12-01
4.000000
3260.57
691.40
Agency Mortgage-Backed Securities
Government National M
2043-12-20
3.375000
6550.77
883.34
Agency Mortgage-Backed Securities
Government National M
2043-08-20
2.500000
47808.27
16316.09
Agency Mortgage-Backed Securities
Federal National Mort
2019-02-01
4.500000
152789.21
195.62
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2028-11-01
6.500000
165823.81
713.54
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-03-01
3.500000
116068.43
112305.74
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
6.000000
112422.92
828.09
Agency Mortgage-Backed Securities
Federal National Mort
2035-05-01
4.500000
8431.72
424.42
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-02-20
3.000000
466857.96
435587.15
Agency Mortgage-Backed Securities
Government National M
2038-07-20
2.750000
2119.09
21.50
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-11-01
4.000000
159303.28
127215.74
Agency Mortgage-Backed Securities
Federal National Mort
2019-12-01
6.500000
22790.85
0.24
Agency Mortgage-Backed Securities
Government National M
2024-09-15
5.500000
6155.16
354.55
Agency Mortgage-Backed Securities
Federal National Mort
2019-05-01
4.500000
184486.55
819.36
Agency Mortgage-Backed Securities
Federal National Mort
2020-01-01
4.000000
86.43
1.02
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-09-01
4.000000
97599.31
91723.40
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2020-05-01
4.000000
49.86
1.15
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2044-01-01
3.500000
64953.64
38121.05
Agency Mortgage-Backed Securities
Government National M
2048-08-20
3.500000
38691.89
38876.21
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-06-01
4.500000
1281684.26
1130445.16
Agency Mortgage-Backed Securities
Federal National Mort
2028-06-01
5.500000
14274.70
566.82
Agency Mortgage-Backed Securities
Government National M
2045-11-20
2.500000
81866.62
5130.24
Agency Mortgage-Backed Securities
Government National M
2047-09-20
4.500000
49046.19
43154.91
Agency Mortgage-Backed Securities
Federal National Mort
2043-03-01
3.000000
179679.93
98781.99
Agency Mortgage-Backed Securities
Federal National Mort
2043-06-01
3.000000
207897.08
117872.40
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2045-08-01
3.500000
955.59
577.30
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-01-01
3.000000
2337.78
1964.32
Agency Mortgage-Backed Securities
Federal National Mort
2048-03-01
4.000000
110166.06
104543.45
Agency Mortgage-Backed Securities
Federal National Mort
2018-12-01
4.500000
32.60
0.00
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2041-12-01
4.000000
45081.59
17249.76
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2045-07-01
4.000000
212493.82
133529.22
Agency Mortgage-Backed Securities
Federal National Mort
2035-03-01
5.000000
1405.29
86.54
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2041-06-15
5.500000
168634.38
92090.44
Agency Collateralized Mortgage Obligation
Federal National Mort
2021-09-01
6.500000
108911.50
286.38
Agency Mortgage-Backed Securities
Government National M
2048-06-20
3.500000
15893.93
15941.62
Agency Mortgage-Backed Securities
Federal National Mort
2020-10-01
4.500000
12658.20
68.13
Agency Mortgage-Backed Securities
Federal National Mort
2045-03-25
7.000000
646385.79
23311.33
Agency Collateralized Mortgage Obligation
Federal National Mort
2044-12-01
4.500000
365.37
196.95
Agency Mortgage-Backed Securities
Federal National Mort
2045-05-01
3.000000
11619.05
8509.60
Agency Mortgage-Backed Securities
Federal National Mort
2027-03-01
3.500000
505.90
360.75
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-12-01
2.500000
737.58
613.17
Agency Mortgage-Backed Securities
Federal National Mort
2033-06-01
5.500000
29.90
0.22
Agency Mortgage-Backed Securities
Government National M
2048-01-20
4.000000
120142.44
120160.23
Agency Mortgage-Backed Securities
Federal National Mort
2028-06-01
6.500000
10970.85
433.59
Agency Mortgage-Backed Securities
Federal National Mort
2024-08-01
6.000000
206195.36
7018.43
Agency Mortgage-Backed Securities
Government National M
2045-01-20
3.000000
16558.43
3329.02
Agency Mortgage-Backed Securities
Government National M
2047-06-20
3.000000
2810.57
2377.53
Agency Mortgage-Backed Securities
Federal National Mort
2019-07-01
4.000000
164.62
1.09
Agency Mortgage-Backed Securities
Government National M
2046-03-15
3.500000
143671.15
117407.94
Agency Mortgage-Backed Securities
Federal National Mort
2045-01-01
3.000000
449.69
253.33
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-07-01
3.000000
1551.77
1463.71
Agency Mortgage-Backed Securities
Federal National Mort
2022-11-01
5.500000
72954.41
689.84
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-08-01
5.000000
56211.46
1004.66
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2044-12-01
3.500000
393.48
192.31
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
5.000000
3091.63
94.15
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-05-01
4.000000
99204.54
99295.30
Agency Mortgage-Backed Securities
Government National M
2048-09-20
5.500000
40529.53
43587.91
Agency Mortgage-Backed Securities
Federal National Mort
2037-10-01
5.000000
1441.49
95.67
Agency Mortgage-Backed Securities
Federal National Mort
2022-01-01
6.000000
74957.73
371.91
Agency Mortgage-Backed Securities
Federal National Mort
2041-11-01
4.500000
140.53
41.04
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2036-08-01
5.000000
421.59
23.99
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-04-01
3.500000
132910.90
128378.41
Agency Mortgage-Backed Securities
Government National M
2043-11-20
3.125000
96778.88
8889.29
Agency Mortgage-Backed Securities
Government National M
2043-11-20
4.000000
30006.75
2574.99
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.500000
120774.88
120595.19
Agency Mortgage-Backed Securities
Federal National Mort
2020-03-01
5.000000
141485.74
0.49
Agency Mortgage-Backed Securities
Federal National Mort
2020-06-01
4.000000
13222.23
371.02
Agency Mortgage-Backed Securities
Federal National Mort
2042-11-01
2.848000
41595.47
24212.16
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2018-12-01
4.500000
513209.76
28.28
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-02-01
3.000000
36537.45
29354.66
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.000000
11351.03
11303.96
Agency Mortgage-Backed Securities
Government National M
2047-05-20
2.500000
19637.28
10447.86
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2043-08-01
2.484000
6947.51
1763.35
Agency Mortgage-Backed Securities
Federal National Mort
2022-10-01
6.000000
6885.90
113.95
Agency Mortgage-Backed Securities
Federal National Mort
2042-02-01
5.500000
168.63
73.47
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
3.000000
112598.30
105137.80
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.000000
50535.51
50655.77
Agency Mortgage-Backed Securities
Federal National Mort
2021-12-01
6.000000
7026.43
159.15
Agency Mortgage-Backed Securities
Government National M
2047-03-20
2.500000
7451.08
4229.95
Agency Mortgage-Backed Securities
Federal National Mort
2043-11-01
4.000000
30635.25
10871.30
Agency Mortgage-Backed Securities
Government National M
2046-01-20
3.500000
14497.33
6431.71
Agency Mortgage-Backed Securities
Federal National Mort
2045-06-01
2.432000
21728.01
11903.16
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2044-07-01
4.500000
172824.10
96267.76
Agency Mortgage-Backed Securities
Federal National Mort
2035-01-01
6.000000
1816.31
16.95
Agency Mortgage-Backed Securities
Federal National Mort
2020-12-01
6.000000
2536.23
37.97
Agency Mortgage-Backed Securities
Government National M
2046-10-15
4.000000
4301.72
2611.52
Agency Mortgage-Backed Securities
Federal National Mort
2020-02-01
4.000000
31.06
0.44
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2021-03-01
6.000000
21192.65
218.07
Agency Mortgage-Backed Securities
Government National M
2045-12-20
3.000000
38042.20
17637.48
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-07-20
3.000000
145634.00
109909.25
Agency Mortgage-Backed Securities
Federal National Mort
2041-06-01
5.000000
30975.35
9104.18
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2037-04-01
5.500000
89.32
2.07
Agency Mortgage-Backed Securities
Federal National Mort
2033-10-01
4.500000
41089.00
42359.02
Agency Mortgage-Backed Securities
Federal National Mort
2027-01-01
6.000000
12356.91
465.26
Agency Mortgage-Backed Securities
Federal National Mort
2036-09-01
6.000000
126441.61
3641.25
Agency Mortgage-Backed Securities
Federal National Mort
2019-06-01
5.000000
6280.68
43.08
Agency Mortgage-Backed Securities
Federal National Mort
2039-04-01
6.000000
32.91
1.71
Agency Mortgage-Backed Securities
Federal National Mort
2036-07-01
6.000000
6098.94
38.77
Agency Mortgage-Backed Securities
Government National M
2043-06-20
3.500000
1044742.16
572789.43
Agency Mortgage-Backed Securities
Federal National Mort
2048-05-01
4.500000
121418.72
125351.85
Agency Mortgage-Backed Securities
Government National M
2048-03-20
3.000000
140471.01
136761.69
Agency Mortgage-Backed Securities
Federal National Mort
2038-09-01
6.000000
18746.52
301.18
Agency Mortgage-Backed Securities
Federal National Mort
2026-09-01
3.500000
49185.03
7668.80
Agency Mortgage-Backed Securities
Government National M
2047-08-20
4.000000
202274.05
192323.28
Agency Mortgage-Backed Securities
Government National M
2046-09-20
3.000000
29342.80
19268.68
Agency Mortgage-Backed Securities
Government National M
2044-04-20
2.500000
42158.60
8778.94
Agency Mortgage-Backed Securities
Federal National Mort
2028-03-01
6.000000
16596.97
979.01
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2041-02-01
3.500000
256432.78
71913.01
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2035-04-01
5.000000
2866.78
100.51
Agency Mortgage-Backed Securities
Federal National Mort
2048-06-01
4.500000
2278358.54
2287143.63
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-01-01
4.000000
115839.14
109901.02
Agency Mortgage-Backed Securities
Federal National Mort
2018-12-01
5.000000
914.25
0.32
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-04-20
4.000000
275142.40
271766.49
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2036-03-20
5.500000
8572.25
422.49
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2046-08-01
3.000000
26507.13
21106.91
Agency Mortgage-Backed Securities
Government National M
2041-11-20
2.500000
34352.62
4478.48
Agency Mortgage-Backed Securities
Federal National Mort
2024-04-01
6.000000
6464.32
274.67
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2044-07-01
4.000000
385832.99
246219.09
Agency Mortgage-Backed Securities
Government National M
2043-12-20
3.000000
18860.94
6442.36
Agency Mortgage-Backed Securities
Federal National Mort
2046-02-01
4.000000
10221.04
7733.27
Agency Mortgage-Backed Securities
Government National M
2042-11-20
3.125000
879797.05
154695.36
Agency Mortgage-Backed Securities
Government National M
2046-07-20
3.000000
23359.52
15284.30
Agency Mortgage-Backed Securities
Government National M
2048-08-20
4.000000
32702.03
33062.09
Agency Mortgage-Backed Securities
Federal National Mort
2020-10-01
4.500000
119.56
0.22
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.000000
143050.27
132839.04
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-09-01
5.000000
423761.45
439217.30
Agency Mortgage-Backed Securities
Government National M
2046-04-20
3.000000
9612.44
7580.85
Agency Mortgage-Backed Securities
Federal National Mort
2043-06-01
2.296000
133704.61
50718.26
Agency Mortgage-Backed Securities
Federal National Mort
2029-01-01
5.000000
6041.19
155.16
Agency Mortgage-Backed Securities
Government National M
2042-11-20
3.125000
2212.65
364.06
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-04-01
4.000000
93745.54
91117.94
Agency Mortgage-Backed Securities
Federal National Mort
2046-01-01
3.500000
393.48
251.54
Agency Mortgage-Backed Securities
Federal National Mort
2042-11-01
3.500000
196.74
71.45
Agency Mortgage-Backed Securities
Government National M
2046-06-20
3.000000
9837.01
5898.52
Agency Mortgage-Backed Securities
Government National M
2048-07-20
4.000000
219246.39
223548.87
Agency Mortgage-Backed Securities
Government National M
2048-07-20
3.000000
31187.86
29862.05
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
4.000000
129707.95
122283.57
Agency Mortgage-Backed Securities
Government National M
2047-07-20
2.500000
7481.16
4505.15
Agency Mortgage-Backed Securities
Federal National Mort
2035-06-01
5.000000
4918.50
164.09
Agency Mortgage-Backed Securities
Federal National Mort
2024-08-01
4.500000
2082.89
116.02
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2033-07-01
5.000000
5443.63
143.67
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2036-05-01
5.000000
9555.95
372.33
Agency Mortgage-Backed Securities
Federal National Mort
2024-11-01
4.500000
42158.60
668.78
Agency Mortgage-Backed Securities
Government National M
2042-03-20
3.375000
99072.70
12894.86
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-11-01
4.500000
123010.49
120293.32
Agency Mortgage-Backed Securities
Federal National Mort
2021-04-01
6.000000
9977.53
25.43
Agency Mortgage-Backed Securities
Government National M
2048-09-20
4.000000
51706.67
52219.73
Agency Mortgage-Backed Securities
Government National M
2048-07-20
5.000000
43512.39
46266.19
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2044-11-01
4.000000
903768.93
478825.26
Agency Mortgage-Backed 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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0222
75885471.91
75885471.91
0.0018
N
Y
Y
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.360
05582W6Y5
R0MUWSFPU8MPRO8K5P83
US05582W6Y50
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
2018-11-06
2019-02-06
2019-02-06
N
N
N
0.0239
108985762.42
108985762.42
0.0026
N
N
N
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.631
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
2018-12-27
2018-12-27
2018-12-27
N
N
N
0.0267
100046057.00
100046057.00
0.0024
N
N
N
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.567
05582W4C5
R0MUWSFPU8MPRO8K5P83
US05582W4C58
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
2018-11-11
2018-11-13
2018-11-13
N
N
N
0.0260
100011363.00
100011363.00
0.0024
N
N
N
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.457
05586FDE4
R0MUWSFPU8MPRO8K5P83
US05586FDE43
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
2019-04-09
2019-04-09
2019-04-09
N
N
N
0.0249
39998250.00
39998250.00
0.0009
N
N
N
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.624
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
2018-12-21
2018-12-21
2018-12-21
N
N
N
0.0266
137056201.51
137056201.51
0.0032
N
N
N
N
BNP PARIBAS SA
BNP PARIBAS SA 2.350
0BNP04BS5
R0MUWSFPU8MPRO8K5P83
0000310732
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2019-04-15
5.686300
4680000.00
4703527.52
Corporate Debt Securities
GOODYEAR TIRE & RUBR
5493002BI0S2ZQUY3437
2023-11-15
5.125000
250000.00
249032.99
Corporate Debt Securities
ANHEUSER BUSCH INBEV
5493000EYEKDT0FBSQ91
2021-02-01
2.650000
916000.00
904316.42
Corporate Debt Securities
EDF S A SR REGS NT4.6
2020-01-27
4.600000
11962000.00
12297308.15
Corporate Debt Securities
U.S. TREASURY
2019-08-15
8.125000
342200.00
362561.13
U.S. Treasuries (including strips)
GOLUB CAP PARTNERS CL
2031-01-25
0.000000
10000000.00
10046370.00
Asset-Backed Securities
TEVA PHARMACEUTICAL F
2020-03-18
2.250000
15000.00
14626.61
Corporate Debt Securities
ORACLE CORP SR GLBL N
1Z4GXXU7ZHVWFCD8TV52
2037-11-15
3.800000
102000.00
95029.55
Corporate Debt Securities
NOKIA CORP SR NT 5.37
549300A0JPRWG1KI7U06
2019-05-15
5.375000
18000.00
18556.82
Corporate Debt Securities
HARBORVIEW MTG LN TR
2035-05-19
2.722000
5472282.00
455181.46
Private Label Collateralized Mortgage Obligations
UBS AG LONDON BRH 20
BFM8T61CT2L1QCEMIK50
2020-06-08
2.907100
3793029.00
3821470.40
Corporate Debt Securities
LIMITED BRANDS INC SR
GR3KVMWVCR54YWQNXU90
2021-04-01
6.625000
12000.00
12516.25
Corporate Debt Securities
SUZANO TRADING LTD. S
2021-01-23
5.875000
250000.00
262313.26
Corporate Debt Securities
THE ADT CORPORATION S
5493009JEEDYLVRA0J13
2021-10-15
6.250000
78000.00
80264.17
Corporate Debt Securities
CNH EQUIPMENT TR 2016
549300L4XW5V70LRF855
2021-08-16
1.630000
145000.00
111246.02
Asset-Backed Securities
MALLINCKRODT INTL FIN
2023-10-15
5.625000
29000.00
24903.75
Corporate Debt Securities
SIEMENS FIN NV SR 144
2021-09-15
1.700000
750000.00
717954.17
Corporate Debt Securities
SEAGATE HDD CAYMAN SR
2023-06-01
4.750000
250000.00
243360.42
Corporate Debt Securities
CNH EQUIPMENT TR 2015
2020-07-15
1.370000
60000.00
4544.16
Asset-Backed Securities
DELL INC SR GLBL NT 1
3E70L4WYANTIWWIPHC81
2019-06-15
5.875000
500000.00
515472.22
Corporate Debt Securities
WYNDHAM DESTINATIONS
T4VNTWMFQ7JQB65L7T35
2022-03-01
4.250000
10000.00
9720.83
Corporate Debt Securities
ICG US CLO 2014 3 LTD
2031-04-25
0.000000
16375379.00
16229326.99
Asset-Backed Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2021-03-30
2.700000
50000.00
49152.75
Corporate Debt Securities
VERIZON COMMUNICATION
2S72QS2UO2OESLG6Y829
2037-03-16
5.250000
374000.00
386963.77
Corporate Debt Securities
NXP B V / NXP FDG LLC
2022-09-01
3.875000
299000.00
288971.04
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2029-05-01
4.223000
14696715.00
14564817.29
Corporate Debt Securities
HCA INC SR SEC GLBL N
L3CJ6J7LJ2DX62FTXD46
2047-06-15
5.500000
500000.00
502888.89
Corporate Debt Securities
BP CAP MKTS P L C SR
549300CRVT18MXX0AG93
2024-11-04
3.535000
45000.00
45196.22
Corporate Debt Securities
MICROSOFT CORP SR GLB
INR2EJN1ERAN0W5ZP974
2026-08-08
2.400000
141000.00
129655.61
Corporate Debt Securities
RENT A CTR INC NEW SR
2021-05-01
4.750000
3510000.00
3540712.50
Corporate Debt Securities
CHEMOURS CO SR GLBL N
549300M1BOLNXL8DOV14
2023-05-15
6.625000
287000.00
301507.45
Corporate Debt Securities
MGM RESORTS INTERNATI
54930066VBP7DZEGGJ87
2021-12-15
6.625000
28000.00
29955.18
Corporate Debt Securities
LOUISIANA PAC CORP SR
549300C7E2UAO5BVRR75
2024-09-15
4.875000
22000.00
21422.04
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2026-10-01
7.500000
1000000.00
971463.33
Corporate Debt Securities
LIFEPOINT HEALTH INC
2023-12-01
5.875000
220000.00
235424.02
Corporate Debt Securities
DEAN FOODS CO SR REGS
2023-03-15
6.500000
315000.00
292416.25
Corporate Debt Securities
BELLEMEADE RE LTD 201
2028-10-25
4.129600
2362778.00
2365210.26
Asset-Backed Securities
FHLMC STACR 2018-DNA1
2030-07-25
2.731400
6347340.00
5966409.44
Agency Collateralized Mortgage Obligation
VPII ESCROW CORP SR N
B3BS7ACMDUWISF18KY76
2021-07-15
7.500000
1280000.00
1325866.67
Corporate Debt Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2019-12-31
1.625000
997400.00
990038.58
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-01-15
1.375000
800.00
790.23
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-06-15
1.500000
100.00
98.48
U.S. Treasuries (including strips)
BED BATH & BEYOND INC
2024-08-01
3.749000
100000.00
88440.25
Corporate Debt Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2019-08-31
1.250000
1100.00
1089.60
U.S. Treasuries (including strips)
ICG US CLO 2014 3 LTD
2031-04-25
0.000000
2500000.00
2456737.50
Asset-Backed Securities
L BRANDS INC SR GLBL
GR3KVMWVCR54YWQNXU90
2023-10-15
5.625000
116000.00
114695.00
Corporate Debt Securities
GS CALTEX CORP 3%22
2022-06-12
3.000000
4863000.00
4754036.38
Corporate Debt Securities
MICROSOFT CORP SR NT
INR2EJN1ERAN0W5ZP974
2025-11-03
3.125000
150000.00
147523.71
Corporate Debt Securities
LIFEPOINT HEALTH INC
2024-05-01
5.375000
1497000.00
1608339.38
Corporate Debt Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2020-01-31
1.250000
114700.00
112938.78
U.S. Treasuries (including strips)
CONSTELLATION BRANDS
5493005GKEG8QCVY7037
2048-11-15
5.250000
3846000.00
3848429.39
Corporate Debt Securities
PHILIP MORRIS INTL IN
HL3H1H2BGXWVG3BSWR90
2022-08-17
2.375000
15537000.00
14976144.51
Corporate Debt Securities
DISH DBS CORP SR NT 5
2023-03-15
5.000000
1219000.00
1054604.31
Corporate Debt Securities
COCA COLA FEMSA S A B
5493008KEVFYPMGTXO33
2020-02-15
4.625000
2872000.00
2939445.73
Corporate Debt Securities
MICROSOFT CORP SR GLB
INR2EJN1ERAN0W5ZP974
2037-02-06
4.100000
125000.00
126701.32
Corporate Debt Securities
CDN IMPERIAL BK COMM
2022-07-27
2.350000
217000.00
210536.90
Corporate Debt Securities
WORLD OMNI AUTO LEASE
2019-08-15
1.450000
187000.00
88362.36
Asset-Backed Securities
GENERAL MTRS CO SR GL
54930070NSV60J38I987
2049-04-01
5.950000
18618931.00
17179299.74
Corporate Debt Securities
PROVIDENT FING TR I C
2038-03-15
7.405000
3712000.00
4006962.74
Corporate Debt Securities
YUM BRANDS INC SR NT
2020-11-01
3.875000
22000.00
22244.75
Corporate Debt Securities
ZAYO GROUP LLC/ZAYO C
2027-01-15
5.750000
1200000.00
1195956.67
Corporate Debt Securities
UNITYMEDIA KABELBW GM
549300E4GDBRPI3RN960
2025-01-15
6.125000
405000.00
422429.06
Corporate Debt Securities
HARBORVIEW MTG LN TR
2046-07-19
2.462000
22424032.00
4690258.04
Private Label Collateralized Mortgage Obligations
ROYAL BANK OF CANADA
2021-10-14
2.100000
17257000.00
16910163.06
Corporate Debt Securities
ALTRIA GROUP INC GTD
XSGZFLO9YTNO9VCQV219
2023-05-02
2.950000
16932000.00
16667489.24
Corporate Debt Securities
OCEANEERING INTL INC
549300L6PH74701W0R30
2024-11-15
4.650000
12000.00
11426.54
Corporate Debt Securities
SOUTH AFRICA REP SR G
2028-10-12
4.300000
200000.00
172281.89
Other Instrument
International Debt
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2023-05-20
4.375000
1071000.00
1055808.91
Corporate Debt Securities
RIO OIL FIN TR SR SEC
549300V5D1W52HY8NO65
2024-07-06
9.250000
1150000.00
802256.61
Corporate Debt Securities
STARBUCKS CORP SR GLB
OQSJ1DU9TAOC51A47K68
2022-06-15
2.700000
16316000.00
15997837.99
Corporate Debt Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2019-02-28
0.000000
380700.00
377756.81
U.S. Treasuries (including strips)
SCHLUMBERGER HLDGS CO
529900IKZG65COT1D505
2020-12-21
3.000000
17193000.00
17212657.31
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0235
200000000.00
200000000.00
0.0047
N
Y
Y
N
BNP PARIBAS SA
BNP PARIBAS SA 2.360
0BNP04BT3
R0MUWSFPU8MPRO8K5P83
0000310732
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
FHLMC STACR 2018-HRP1
2043-05-25
6.036500
887.00
930.25
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2029-09-25
7.781400
4563665.00
5297952.98
Agency Collateralized Mortgage Obligation
CAIXA ECONOMICA FEDER
2019-05-13
4.250000
23328000.00
23859489.61
Corporate Debt Securities
PROVIDENT FING TR I C
2038-03-15
7.405000
125000.00
134932.74
Corporate Debt Securities
CB SWUARE INC
2022-03-01
0.000000
4162682.00
13777495.03
Corporate Debt Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-01-27
4.631400
208996.00
210158.07
Agency Collateralized Mortgage Obligation
UNITYMEDIA HESSEN GMB
2025-01-15
5.000000
2406000.00
2459466.67
Corporate Debt Securities
GPN CAPITAL S A FR 6%
2023-11-27
6.000000
4192000.00
4424055.14
Corporate Debt Securities
FHLMC STACR 2017-HQA1
2029-08-27
5.831400
5842000.00
6379107.13
Agency Collateralized Mortgage Obligation
FIRSTENERGY SOLUTIONS
2021-08-15
6.050000
5210000.00
3752618.28
Corporate Debt Securities
UNIVERSAL HOSPITAL SR
2020-08-15
7.625000
8727000.00
8848979.23
Corporate Debt Securities
GENWORTH FINL INC SR
PXDECZED7L8SRUP41R09
2021-09-24
7.625000
120000.00
122140.42
Corporate Debt Securities
OCTAGON LN FDG LTD
2026-11-18
7.522300
2272344.00
2300190.44
Asset-Backed Securities
CARVANA CO SR GLBL 14
5493003WEAK2PJ5WS063
2023-10-01
8.875000
12499800.00
11763700.67
Corporate Debt Securities
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2030-02-25
5.081400
168072.00
174474.66
Agency Collateralized Mortgage Obligation
OAKTOWN RE II LTD 201
254900KOPN6EP9T3LD85
2028-07-25
3.831400
3862807.00
3869532.67
Asset-Backed Securities
CB CITRIX SYS INC
2019-04-15
0.000000
6447744.00
9117735.45
Corporate Debt Securities
VIBRANT CLO V LTD VIB
2029-01-20
6.469000
1734732.00
1750391.86
Asset-Backed Securities
FHLMC STACR 2017-DNA2
2029-10-25
5.731400
11000000.00
12017907.28
Agency Collateralized Mortgage Obligation
BELLEMEADE RE LTD 201
2027-10-25
3.981400
1168861.00
857322.59
Asset-Backed Securities
RENAISSANCE HEQ 2006-
2036-11-25
5.812000
208202.00
108080.54
Asset-Backed Securities
VOYA CLO LTD 2014-2R
2030-04-17
5.998800
2124420.00
2126380.56
Asset-Backed Securities
ENTERPRISE MERGER SUB
2026-10-15
8.750000
4573291.00
4418307.25
Corporate Debt Securities
KKR CLO 15 LTD 2016-1
2028-10-18
8.894600
1359147.00
1358497.22
Asset-Backed Securities
AMERICAN ENERGY SR FL
2019-08-01
8.848300
2000000.00
1844241.25
Corporate Debt Securities
NATIONAL COLL ST LN T
2033-01-25
2.571400
3565349.00
3142998.24
Asset-Backed Securities
MPH ACQUISITION HLDGS
5493002WXOPRPTXWTU06
2024-06-01
7.125000
2159000.00
2262108.44
Corporate Debt Securities
CTP TRANSN PRODS LLC
2019-12-15
8.250000
4500000.00
4606500.00
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2025-01-27
5.299000
151741.00
146632.83
Corporate Debt Securities
W & T OFFSHORE INC SR
549300Q7EOY2YIO3YK85
2023-11-01
9.750000
9440710.00
9169958.30
Corporate Debt Securities
JBS USA LLC / JBS USA
2021-06-01
7.250000
649000.00
674283.96
Corporate Debt Securities
AMERICAN ENERGY SR SE
2020-06-15
8.000000
5079000.00
4902363.67
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
2018-11-06
2018-11-06
2018-11-06
N
N
N
0.0236
135000000.00
135000000.00
0.0032
N
N
Y
N
CAISSE DES DEPOTS ET CONSIGNATIONS
CAISSE DES DEPOTS ET CONSIGNATIONS 2.609
12800BR38
969500Q2PFTTP0Y5QL44
US12800BR381
Non-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+
2019-04-03
2019-04-03
2019-04-03
N
N
N
0.0261
494368305.00
494368305.00
0.0117
N
N
N
N
CANADIAN IMPERIAL BANK OF COMMERCE NY BRANCH
CANADIAN IMPERIAL BANK OF COMMERCE NY BRANCH 2.456
13606BA22
2IGI19DL77OX0HC3ZE78
US13606BA221
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
A+
Standard & Poor's Short Rating
A-1
2018-11-04
2019-05-01
2019-05-01
N
N
N
0.0249
150010755.00
150010755.00
0.0035
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.530
16955AEN4
US16955AEN46
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
2018-12-21
2018-12-21
2018-12-21
N
N
N
0.0253
125015471.25
125015471.25
0.0030
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955AEJ3
5493001KQW6DM7KEDR62
US16955AEJ34
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
2018-12-19
2018-12-19
2018-12-19
N
N
N
0.0250
100008399.00
100008399.00
0.0024
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.530
16955AET1
US16955AET16
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
2018-12-27
2018-12-27
2018-12-27
N
N
N
0.0253
45005120.10
45005120.10
0.0011
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955ADF2
US16955ADF21
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
2018-11-19
2018-11-19
2018-11-19
N
N
N
0.0250
21001636.32
21001636.32
0.0005
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955ADQ8
5493001KQW6DM7KEDR62
US16955ADQ85
0001445474
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
2018-12-03
2018-12-03
2018-12-03
N
N
N
0.0250
70006566.00
70006566.00
0.0017
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.190
0RW002XD8
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0219
570000000.00
570000000.00
0.0135
N
Y
Y
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.520
16955ACY2
US16955ACY29
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
2018-11-09
2018-11-09
2018-11-09
N
N
N
0.0252
105005346.60
105005346.60
0.0025
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.520
16955ACS5
5493001KQW6DM7KEDR62
US16955ACS50
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
2018-11-02
2018-11-02
2018-11-02
N
N
N
0.0252
25000317.75
25000317.75
0.0006
N
N
Y
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.573
16891NNA1
5493001KQW6DM7KEDR62
US16891NNA18
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
2019-01-10
2019-01-10
2019-01-10
N
N
N
0.0257
124371847.50
124371847.50
0.0029
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955AEH7
5493001KQW6DM7KEDR62
US16955AEH77
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
2018-12-18
2018-12-18
2018-12-18
N
N
N
0.0250
100008628.00
100008628.00
0.0024
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955ADW5
5493001KQW6DM7KEDR62
US16955ADW53
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
2018-12-11
2018-12-11
2018-12-11
N
N
N
0.0250
110010241.00
110010241.00
0.0026
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955ADY1
5493001KQW6DM7KEDR62
US16955ADY10
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
2018-12-14
2018-12-14
2018-12-14
N
N
N
0.0250
40003628.40
40003628.40
0.0009
N
N
N
N
CITIBANK NA-PUERTO RICO
CITIBANK NA-PUERTO RICO 2.200
0CPR01LD5
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0220
350000000.00
350000000.00
0.0083
N
Y
Y
N
CITIGROUP GLOBAL MARKETS INC.
CITIGROUP GLOBAL MARKETS INC. 3.158
0CGL03AF1
82VOJDD5PTRDMVVMGV31
0000831001
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BX COML MTG TR 2018 I
2035-11-15
0.000000
2000000.00
2003738.00
Private Label Collateralized Mortgage Obligations
WALMART INC SR NT 3.6
Y87794H0US1R65VBXU25
2020-07-08
3.625000
100000.00
102683.85
Corporate Debt Securities
WALMART INC SR GLBL N
Y87794H0US1R65VBXU25
2022-12-15
2.350000
1042000.00
1013655.28
Corporate Debt Securities
BX COML MTG TR 2018 I
2035-11-15
0.000000
231000.00
231280.90
Private Label Collateralized Mortgage Obligations
SHELL INTERNATIONAL F
213800ITMMKU4Z7I4F78
2020-11-10
2.250000
917000.00
911385.67
Corporate Debt Securities
NESTLE HLDGS INC SR G
2038-09-24
3.900000
1882689.00
1791469.58
Corporate Debt Securities
BX COML MTG TR 2018 I
2035-11-15
0.000000
11000000.00
10384352.00
Private Label Collateralized Mortgage Obligations
TORONTO DOMINION BANK
2021-04-02
1.950000
500000.00
492695.42
Corporate Debt Securities
WALMART INC SR GLBL N
Y87794H0US1R65VBXU25
2020-12-15
1.900000
47995.00
47220.73
Corporate Debt Securities
WALMART INC SR GLBL F
Y87794H0US1R65VBXU25
2020-06-23
2.406400
5000.00
5014.37
Corporate Debt Securities
BX COML MTG TR 2018-I
2035-11-15
0.000000
69000000.00
66799314.00
Private Label Collateralized Mortgage Obligations
BX COML MTG TR 2018 I
2035-11-15
0.000000
51040000.00
51103493.76
Private Label Collateralized Mortgage Obligations
SHELL INTERNATIONAL F
213800ITMMKU4Z7I4F78
2019-05-10
1.375000
3323000.00
3316690.45
Corporate Debt Securities
SCHWAB CHARLES CORP N
2029-02-01
4.000000
6900000.00
6827412.00
Corporate Debt Securities
QTEL INTL FIN LTD FR
2021-02-16
4.750000
1500000.00
1544843.75
Corporate Debt Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2023-02-23
2.850000
7651000.00
7509099.45
Corporate Debt Securities
BX COML MTG TR 2018 I
2035-11-15
0.000000
2100000.00
2046985.50
Private Label Collateralized Mortgage Obligations
NEW RESI MTG TR 2017-
2057-05-25
1.318400
433826967.00
12787332.34
Private Label Collateralized Mortgage Obligations
APPLE INC SR NT 2.15%
HWUPKR0MPOU8FGXBT394
2022-02-09
2.150000
3500000.00
3396915.28
Corporate Debt Securities
CHEVRON CORP NEW SR G
2021-05-16
2.100000
3057000.00
2999451.97
Corporate Debt Securities
TORONTO DOMINION BK O
PT3QB789TSUIDF371261
2022-03-15
2.250000
4850000.00
4752636.25
Corporate Debt Securities
BX COML MTG TR 2018-I
2035-11-15
0.000000
14580000.00
14594128.02
Private Label Collateralized Mortgage Obligations
WALMART INC 3.95%38
Y87794H0US1R65VBXU25
2038-06-28
3.950000
5515293.00
5365580.37
Corporate Debt Securities
AMERICAN HONDA FIN CO
B6Q2VFHD1797Q7NZ3E43
2020-02-21
2.460300
2984553.00
2999999.49
Corporate Debt Securities
SCHWAB CHARLES CORP N
549300VSGCJ7E698NM85
2024-02-01
3.550000
1650000.00
1641585.00
Corporate Debt Securities
SHELL INTERNATIONAL F
213800ITMMKU4Z7I4F78
2021-09-12
1.750000
71000.00
68227.59
Corporate Debt Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2024-05-11
2.850000
2484000.00
2422268.46
Corporate Debt Securities
NEW RESI MTG LN TR 20
2057-03-25
1.384500
587014267.00
19327482.55
Private Label Collateralized Mortgage Obligations
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2024-02-09
3.000000
3725000.00
3650810.42
Corporate Debt Securities
WALMART INC SR NT 2.5
Y87794H0US1R65VBXU25
2023-04-11
2.550000
5182000.00
4991906.97
Corporate Debt Securities
FFMLT TRUST 2007-FFB-
2035-07-25
2.501400
26525000.00
1122004.10
Asset-Backed Securities
EXETER AUTO RECV TR 2
2025-07-15
5.380000
7050000.00
7059651.45
Asset-Backed Securities
TOYOTA MOTOR CREDIT C
2022-11-29
2.125000
89000.00
89592.72
Corporate Debt Securities
NEW RESI MTG LN TR 20
2035-11-25
1.938300
13734593.00
524400.13
Private Label Collateralized Mortgage Obligations
ANTHRACITE 2005-HY2 L
2045-07-26
6.000000
2000000.00
1952.37
Other Instrument
Collateralized Debt Obligation
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
2018-11-01
2019-02-04
2019-03-27
Y
CITIGROUP GLOBAL MARKETS INC.
1.0000
96
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
0.0320
227200000.00
227200000.00
0.0054
N
N
N
Y
CITIGROUP GLOBAL MARKETS INC.
CITIGROUP GLOBAL MARKETS INC. 2.707
0CGL03AH7
82VOJDD5PTRDMVVMGV31
0000315030
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
CORPORACION GEO SA DE
2020-06-30
9.250000
843000.00
26293.40
Corporate Debt Securities
ATD FIN CORP SR SB GL
2022-03-01
10.250000
2100000.00
392875.00
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2023-03-31
6.250000
26000.00
23832.43
Corporate Debt Securities
HORNBECK OFFSHORE SVC
2020-04-01
5.875000
3162000.00
2418600.62
Corporate Debt Securities
VRX ESCROW CORP SR 14
B3BS7ACMDUWISF18KY76
2025-04-15
6.125000
1131000.00
1033702.58
Corporate Debt Securities
GOGO INTER HLDGS LLC/
2022-07-01
12.500000
2510000.00
2834208.35
Corporate Debt Securities
EVEREST ACQ LLC/FINAN
2024-05-01
9.375000
2400000.00
1876500.00
Corporate Debt Securities
NOBLE HOLD INT LTD CR
549300GNEZBJHMST9U32
2025-04-01
7.950000
200000.00
182825.00
Corporate Debt Securities
PENNEY J C INC SR SEC
2025-03-15
8.625000
50000.00
32676.04
Corporate Debt Securities
BANCO CRUZEIRO DO SUL
2020-09-22
8.875000
425000.00
4.25
Corporate Debt Securities
VALEANT PHARMACEUTICA
KOO0397YRO83WY5MGD97
2026-04-01
9.250000
4260000.00
4465921.30
Corporate Debt Securities
ENDO FIN LLC / ENDO F
2022-01-15
5.750000
25000.00
22923.26
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2020-09-15
5.125000
10000.00
8665.49
Corporate Debt Securities
INTELSAT LUXEMBOURG S
54930027UF5LR7S2XC75
2021-06-01
7.750000
2660000.00
2572995.83
Corporate Debt Securities
INVERSIONES ALSACIA S
2018-12-31
8.000000
30631.00
1720.61
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2021-06-15
7.750000
3310000.00
2720084.44
Corporate Debt Securities
PETROLEOS DE VENEZUEL
549300YWR8TN1OFD4P06
2035-05-17
9.750000
80395.00
21048.75
Other Instrument
International Debt
VPII ESCROW CORP SR N
2021-07-15
7.500000
108000.00
111870.00
Corporate Debt Securities
PARKER DRILLING CO SR
2020-08-01
7.500000
101000.00
82188.75
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2022-04-15
4.500000
420000.00
309540.00
Corporate Debt Securities
PYXUS INTERNATIONAL I
8YFRT44YTZ40IQKXOL79
2021-07-15
9.875000
2196000.00
2161031.75
Corporate Debt Securities
OLYMPUS MERGER SUB IN
5493005Z5DB0O5S30R71
2025-10-15
8.500000
790000.00
710034.44
Corporate Debt Securities
MARIPOSA BORROWER INC
549300VXED5TMJSBCI17
2021-10-15
8.750000
10654000.00
6447149.72
Corporate Debt Securities
PETROLEOS DE VENEZUEL
549300YWR8TN1OFD4P06
2024-05-16
6.000000
328184.00
68557.64
Other Instrument
International Debt
BOLIVARIAN REPUBLIC V
2031-08-05
11.950000
5700.00
1587.72
Other Instrument
International Debt
NOBLE HOLD INT LTD SR
549300GNEZBJHMST9U32
2042-03-15
5.250000
5000000.00
3508541.67
Corporate Debt Securities
AMC ENTMT HLDGS INC S
549300ZO77UNR6NRBR11
2026-11-15
5.875000
347000.00
325961.49
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2025-12-15
9.000000
3444000.00
3685941.01
Corporate Debt Securities
TRANSOCEAN INC SR GLB
DOL4HJ22ADYSIWES4H94
2031-04-15
7.500000
391000.00
362000.83
Corporate Debt Securities
SAMARCO MINERACAO SA
2024-09-26
5.375000
211000.00
163574.73
Corporate Debt Securities
SOLERA LLC / SOLERA F
2024-03-01
10.500000
4373000.00
4815766.25
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2025-01-15
8.000000
4876259.00
4991121.98
Corporate Debt Securities
DIGICEL GROUP LTD SR
2020-09-30
8.250000
2061000.00
1493409.19
Corporate Debt Securities
ULTRA RESOURCES INC S
VZ4O3I6KP00FINKB5W86
2025-04-15
7.125000
1269000.00
556033.50
Corporate Debt Securities
GOLDEN NUGGET INC SR
2024-10-15
6.750000
200000.00
198350.00
Corporate Debt Securities
ALTICE FINANCING S.A.
2024-01-15
8.125000
2550000.00
2566380.21
Corporate Debt Securities
JONES ENERGY HLDGS LL
2022-04-01
6.750000
78000.00
39048.75
Corporate Debt Securities
PLATFORM SPECIALTY PR
549300FLGN6P5CU20J91
2025-12-01
5.875000
2658000.00
2570230.62
Corporate Debt Securities
WASH MUT BK FA CA GLB
2036-05-20
6.750000
2200000.00
440.00
Corporate Debt Securities
RITE AID CORP SR 144A
2023-04-01
6.125000
1374000.00
1175199.38
Corporate Debt Securities
CORTES NP ACQUISITION
549300ZT8RQ5VK10E643
2024-10-15
9.250000
1601000.00
1603579.39
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2024-06-30
8.125000
10641000.00
8694399.01
Corporate Debt Securities
VALEANT PHARMACEUTICA
2025-12-15
9.000000
29999.00
32106.43
Corporate Debt Securities
California Res Corp
2024-11-15
6.000000
202000.00
169208.67
Corporate Debt Securities
PETSMART INC 1LIEN SR
2025-06-01
8.875000
145000.00
104868.23
Corporate Debt Securities
BOLIVARIAN REPUBLIC V
2028-05-07
9.250000
669400.00
196407.54
Other Instrument
International Debt
RITE AID CORP SR GLBL
2027-02-15
7.700000
98000.00
70560.54
Corporate Debt Securities
DIGICEL GROUP LTD SR
2020-09-30
8.250000
2000000.00
1449208.33
Corporate Debt Securities
LEGACY RESERVES LP/ L
2020-12-01
8.000000
2000.00
1826.67
Corporate Debt Securities
CALIFORNIA RES CORP S
2020-01-15
5.000000
400000.00
381888.89
Corporate Debt Securities
PRESTIGE BRANDS IN SR
2024-03-01
6.375000
234000.00
231806.25
Corporate Debt Securities
BOLIVARIAN REPUBLIC V
2026-10-21
11.750000
5259200.00
1335646.88
Other Instrument
International Debt
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2023-03-01
5.500000
25000.00
23697.92
Corporate Debt Securities
PROJECT HOMESTAKE MER
XWT9B0BASIY6FJ5R7M02
2023-03-01
8.875000
980000.00
911195.83
Corporate Debt Securities
PPL ENERGY SUPPLY LLC
2036-12-15
6.000000
2000000.00
1025333.33
Corporate Debt Securities
VENEZUELA REP SR GLBL
2034-01-13
9.375000
69000.00
21308.92
Other Instrument
International Debt
WEATHERFORD INTL LLC
549300UILIFDDRUUGG93
2025-03-01
9.875000
3572000.00
2892265.76
Corporate Debt Securities
SAMARCO MINERACAO SA
2023-10-24
5.750000
489000.00
377076.73
Corporate Debt Securities
INTELSAT LUXEMBOURG S
54930027UF5LR7S2XC75
2023-06-01
8.125000
1728000.00
1492740.00
Corporate Debt Securities
WINDSTREAM SVCS LLC /
2025-10-31
8.625000
1121000.00
1045601.07
Corporate Debt Securities
NOBLE HOLD INT LTD SR
2041-03-01
6.050000
10590000.00
7837482.51
Corporate Debt Securities
NOBLE HOLD INT LTD CR
549300GNEZBJHMST9U32
2045-04-01
8.950000
91000.00
86673.71
Corporate Debt Securities
INTELSAT CONNECT FIN
549300T8SOCBO2H77X11
2023-02-15
9.500000
5378000.00
5230403.78
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2023-06-15
8.250000
10407000.00
7973496.50
Corporate Debt Securities
HEXION U S FIN CORP /
2020-11-15
9.000000
361000.00
224361.50
Corporate Debt Securities
LUMBERMENS MUT CAS CO
2037-12-01
8.300000
405000.00
14046.75
Corporate Debt Securities
DIGICEL LIMITED SR RE
2023-03-01
6.750000
2978000.00
2468017.50
Corporate Debt Securities
REPUBLIC OF VENEZUELA
2018-12-01
7.000000
164000.00
43323.33
Other Instrument
International Debt
NOBLE HOLD INT LTD SR
549300GNEZBJHMST9U32
2024-01-15
7.750000
1415000.00
1334089.51
Corporate Debt Securities
BOMBARDIER INC SR GLB
2022-03-15
5.750000
20000.00
19746.94
Corporate Debt Securities
PHI INC SR GLBL NT 19
2019-03-15
5.250000
1127000.00
990867.79
Corporate Debt Securities
NOBLE HOLD INT LTD SR
549300GNEZBJHMST9U32
2040-08-01
6.200000
2000000.00
1491000.00
Corporate Debt Securities
PENNEY J C INC 8.625%
8TDNUQ07MEFMWW1VHP39
2025-03-15
8.625000
860000.00
562027.92
Corporate Debt Securities
WEATHERFORD INTL LLC
2025-03-01
9.875000
15000.00
11878.13
Corporate Debt Securities
PETROLEOS DE VENEZUEL
549300YWR8TN1OFD4P06
2021-11-17
9.000000
353000.00
87720.50
Other Instrument
International Debt
CHS / CMNTY HEALTH SY
2024-06-30
8.125000
1858000.00
1513915.17
Corporate Debt Securities
VALEANT PHARMACEUTICA
KOO0397YRO83WY5MGD97
2027-01-31
8.500000
780000.00
814818.33
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2036-08-01
6.500000
583000.00
388423.75
Corporate Debt Securities
WEST CORP SR GLBL 144
2022-07-15
5.375000
58000.00
58627.93
Corporate Debt Securities
PENNEY J C CORP INC S
8TDNUQ07MEFMWW1VHP39
2036-10-15
6.375000
1000000.00
382833.33
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2024-02-15
9.875000
14006000.00
10761471.22
Corporate Debt Securities
REPUBLIC OF VENEZUELA
2024-10-13
8.250000
629800.00
155450.38
Other Instrument
International Debt
VENEZUELA REP SR BD 9
2027-09-15
9.250000
402000.00
104246.42
Other Instrument
International Debt
OPAL ACQUISITION INC
549300WUCCV86ZQHG041
2024-10-01
10.000000
200000.00
159666.67
Corporate Debt Securities
U.S. CAPITAL FUNDING
2034-08-01
3.993100
2750000.00
2529952.77
Corporate Debt Securities
BRISTOW GROUP INC SR
5OR64DV4VUQ8NW3R8C06
2022-10-15
6.250000
2190000.00
1604783.33
Corporate Debt Securities
STERIGENICS-NORDION H
2023-05-15
6.500000
60000.00
60598.33
Corporate Debt Securities
PENNEY J C CORP INC S
2020-06-01
5.650000
65000.00
58080.21
Corporate Debt Securities
ARALCO FIN S A SR 144
2020-05-07
10.125000
2500000.00
197343.74
Corporate Debt Securities
MOHEGAN TRIBAL GAMING
549300UB083Z2NRDHC48
2024-10-15
7.875000
3052000.00
2925342.00
Corporate Debt Securities
MATTEL INC SR GLBL NT
2021-08-15
2.350000
2000.00
1794.92
Corporate Debt Securities
BANCO DO BRASIL S A G
2049-01-01
9.000000
10180000.00
10869694.97
Corporate Debt Securities
NAVISTAR INTL CORP NE
2025-11-01
6.625000
21.00
22.00
Corporate Debt Securities
SEARS HLDGS CORP SR N
2019-12-15
8.000000
42000.00
5994.33
Corporate Debt Securities
MONITRONICS INTL INC
SCAKOG18M6QWWML8YF46
2020-04-01
9.125000
4585000.00
3393377.61
Corporate Debt Securities
ROWAN COS INC SR GLBL
5493006IFM30PWSM2474
2025-06-15
7.375000
2000.00
1958.22
Corporate Debt Securities
REVLON CONSUMER PRODU
2MKZBE7NMX7EJWQLHS95
2024-08-01
6.250000
1269000.00
717778.13
Corporate Debt Securities
PETROLEOS DE VENEZUEL
549300YWR8TN1OFD4P06
2026-11-15
6.000000
4575109.00
934084.75
Other Instrument
International Debt
DIGICEL LIMITED SR GL
2021-04-15
6.000000
8107000.00
7439523.67
Corporate Debt Securities
VALEANT PHARMACEUTICA
2021-12-01
5.625000
95000.00
95326.56
Corporate Debt Securities
MARIPOSA BORROWER INC
549300VXED5TMJSBCI17
2021-10-15
8.000000
20112000.00
12289549.33
Corporate Debt Securities
BOLIVARIAN REPUBLIC V
2023-05-07
9.000000
310500.00
90728.10
Other Instrument
International Debt
REVLON CONSUMER PRODU
2MKZBE7NMX7EJWQLHS95
2021-02-15
5.750000
184000.00
146213.56
Corporate Debt Securities
SUNGARD AVAILABILITY
2022-04-01
8.750000
50000.00
22864.58
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2038-03-15
7.000000
215000.00
142748.06
Corporate Debt Securities
MPH ACQUISITION HLDGS
5493002WXOPRPTXWTU06
2024-06-01
7.125000
1050000.00
1100145.37
Corporate Debt Securities
CITGO HOLDING INC SR
2020-02-15
10.750000
20629000.00
21696694.02
Corporate Debt Securities
CORPORACION GEO SA DE
2022-03-27
8.875000
16116000.00
136695.03
Corporate Debt Securities
WEST STREET MERGER SR
2025-09-01
6.375000
535000.00
503929.88
Corporate Debt Securities
VESSEL MGMT SVCS INC
2035-04-16
5.125000
600000.00
645855.25
Corporate Debt Securities
BOMBARDIER INC SR GLB
2021-12-01
8.750000
100000.00
111785.83
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2027-06-15
8.000000
5977000.00
6008213.22
Corporate Debt Securities
VALEANT PHARMACEUTICA
2023-03-01
5.500000
169000.00
160197.92
Corporate Debt Securities
ALTICE FINANCING S.A.
2025-02-15
7.625000
250000.00
223463.54
Corporate Debt Securities
ENDO FIN LLC / ENDO F
2023-01-15
5.375000
1095000.00
953554.90
Corporate Debt Securities
LEHMAN BROS INC SR SU
2026-08-01
7.500000
1071000.00
27917.14
Corporate Debt Securities
ENDO FIN LLC / ENDO F
2022-01-15
7.250000
1715000.00
1657285.49
Corporate Debt Securities
LSB INDS INC 9.625%23
5493001H215A0HG0MI71
2023-05-01
9.625000
1844000.00
1994804.63
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2024-01-15
8.625000
2556000.00
2646817.88
Corporate Debt Securities
EVEREST ACQ LLC/FINAN
2025-02-15
8.000000
8225000.00
5526286.11
Corporate Debt Securities
HORNBECK OFFSHORE SVC
2021-03-01
5.000000
3000000.00
2117500.00
Corporate Debt Securities
JUPITER RESOURCES INC
549300PF13EPBEE4SI41
2022-10-01
8.500000
300000.00
104125.00
Corporate Debt Securities
PETSMART INC 1LIEN SR
2025-06-01
8.875000
16939000.00
12250778.82
Corporate Debt Securities
WINDSTREAM SVCS LLC /
2024-06-30
10.500000
250000.00
204062.50
Corporate Debt Securities
REPUBLIC OF VENEZUELA
2019-10-13
7.750000
74200.00
18221.67
Other Instrument
International Debt
ARALCO FIN S A SR GLB
2020-05-07
10.125000
15635000.00
1234187.75
Corporate Debt Securities
VALEANT PHARMACEUTICA
KOO0397YRO83WY5MGD97
2026-04-01
9.250000
2000.00
2096.68
Corporate Debt Securities
JONES ENERGY HLDGS LL
2023-03-15
9.250000
29347000.00
29620497.74
Corporate Debt Securities
BOLIVARIAN REPUBLIC V
2022-08-23
12.750000
96800.00
26792.63
Other Instrument
International Debt
APX GROUP INC SR NT 8
549300OMQVKPRU98OE64
2020-12-01
8.750000
3777000.00
3829720.62
Corporate Debt Securities
IXION PLC 144A VR 042
2045-09-25
2.728200
10000000.00
409.28
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2026-10-01
7.500000
1000000.00
971463.33
Corporate Debt Securities
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
2018-11-01
2018-12-20
2019-01-18
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
0.0274
237700000.00
237700000.00
0.0056
N
N
N
Y
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.490
20272AE36
MSFSBD3QN1GSN7Q6C537
US20272AE367
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+
2018-11-16
2019-09-16
2019-09-16
N
N
N
0.0253
28994748.39
28994748.39
0.0007
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.540
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+
2018-11-22
2018-12-21
2018-12-21
N
N
N
0.0257
125043803.75
125043803.75
0.0030
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.562
20272AF43
MSFSBD3QN1GSN7Q6C537
US20272AF430
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+
2018-11-19
2019-10-17
2019-10-17
N
N
N
0.0260
160014747.20
160014747.20
0.0038
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.511
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+
2018-11-08
2018-12-07
2018-12-07
N
N
N
0.0255
50012574.50
50012574.50
0.0012
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.504
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+
2018-11-26
2018-11-26
2018-11-26
N
N
N
0.0254
125021208.75
125021208.75
0.0030
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.456
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+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0249
87000525.48
87000525.48
0.0021
N
Y
Y
N
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH 2.501
1E5938N
MSFSBD3QN1GSN7Q6C537
XS1864532632
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+
2018-11-06
2019-08-05
2019-08-05
N
N
N
0.0254
50000000.00
50000000.00
0.0012
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA-NEW YORK
COMMONWEALTH BANK OF AUSTRALIA-NEW YORK 2.719
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+
2019-01-28
2019-01-28
2019-01-28
N
N
N
0.0276
125044906.25
125044906.25
0.0030
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA-NEW YORK
COMMONWEALTH BANK OF AUSTRALIA-NEW YORK 2.648
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+
2019-04-03
2019-04-03
2019-04-03
N
N
N
0.0268
50031101.50
50031101.50
0.0012
N
N
N
N
COOPERATIEVE RABOBANK U.A
COOPERATIEVE RABOBANK U.A 2.699
9D0338N
DG3RU1DBUFHT4ZF9WN62
XS1810083425
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
2018-11-17
2018-11-19
2018-11-19
N
N
N
0.0274
250048635.00
250048635.00
0.0059
N
N
N
N
CRC FUNDING LLC
CRC FUNDING LLC 2.200
12619UL17
549300HKCCNTZDBBEN75
US12619UL172
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
2018-11-01
2018-11-01
2018-11-01
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
0.0220
24800000.00
24800000.00
0.0006
N
Y
Y
N
CREDIT AGRICOLE CIB NEW YORK
CREDIT AGRICOLE CIB NEW YORK 2.450
22534H6F3
1VUV7VQFKUOQSJ21A208
US22534H6F39
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
2019-01-25
2019-01-25
2019-01-25
N
N
N
0.0245
64994214.35
64994214.35
0.0015
N
N
N
N
CREDIT AGRICOLE CIB NEW YORK
CREDIT AGRICOLE CIB NEW YORK 2.180
0QV002LM4
0000033738
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
400000000.00
400000000.00
0.0095
N
Y
Y
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.546
22536USC5
N4JDFKKH2FTD8RKFXO39
US22536USC52
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
2018-11-02
2019-03-01
2019-03-01
N
N
N
0.0258
46028463.88
46028463.88
0.0011
N
N
N
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.577
22536URX0
N4JDFKKH2FTD8RKFXO39
US22536URX09
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
2018-11-08
2019-01-08
2019-01-08
N
N
N
0.0261
200102940.00
200102940.00
0.0047
N
N
N
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.580
22536USG6
N4JDFKKH2FTD8RKFXO39
US22536USG66
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
2018-11-16
2019-03-15
2019-03-15
N
N
N
0.0261
450291195.00
450291195.00
0.0106
N
N
N
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.622
22536UTG5
N4JDFKKH2FTD8RKFXO39
US22536UTG57
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
2018-11-30
2019-07-31
2019-07-31
N
N
N
0.0266
99992635.00
99992635.00
0.0024
N
N
N
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.380
22536USZ4
N4JDFKKH2FTD8RKFXO39
US22536USZ48
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
2018-11-23
2019-05-23
2019-05-23
N
N
N
0.0241
50005323.00
50005323.00
0.0012
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.522
1E3826N
XS1861285754
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
2019-01-28
2019-01-28
2019-01-28
N
N
N
0.0252
298208511.00
298208511.00
0.0071
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.510
1E6754N
N4JDFKKH2FTD8RKFXO39
XS1865293168
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
2019-02-11
2019-02-11
2019-02-11
N
N
N
0.0251
119152839.60
119152839.60
0.0028
N
N
N
N
CREDIT SUISSE SECURITIES (USA) LLC
CREDIT SUISSE SECURITIES (USA) LLC 2.380
0CSN01JV4
1V8Y6QCX6YMJ2OELII46
0001230485
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
CSMC TRUST 2017-LSTK
2033-04-07
0.000000
139020000.00
1390.20
Private Label Collateralized Mortgage Obligations
CAYMAN ABSC NIMS 2005
2035-07-27
5.050000
21260000.00
883.92
Asset-Backed Securities
GSMSC NIM 2007-NIM1 N
2046-08-25
8.000000
2000000.00
1800.63
Asset-Backed Securities
CSFB COML MTG PTC 200
2040-09-17
0.098900
16400000.00
57.68
Private Label Collateralized Mortgage Obligations
CSMC SERIES 2014-10R
2036-04-30
2.484800
11854960.00
6487517.15
Asset-Backed Securities
CSFB NIM TR HEAT 2005
2036-05-27
6.500000
3000000.00
2196.67
Asset-Backed Securities
CSMC TRUST 2015-PR2 A
2055-07-26
0.300000
357504000.00
1583079.53
Private Label Collateralized Mortgage Obligations
ADJUSTABLE RATE MTG 2
2035-01-25
0.628500
41695000.00
91756.36
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2013-7 A-I
2043-08-25
0.000000
391820800.00
2589864.78
Private Label Collateralized Mortgage Obligations
CSFB COML MTG PTC 200
2039-09-16
0.000000
2081264493.00
880.07
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2017-RPL3
2057-08-25
0.308900
31954200.00
871163.24
Asset-Backed Securities
CWABS INC NIM 2006-14
2037-04-25
7.000000
12000000.00
3237.70
Asset-Backed Securities
CSMC TR 2018-RPL2 A-1
2062-08-25
4.030000
298350.00
284091.64
Asset-Backed Securities
AVANT LOANS FDG TR 20
2022-07-15
4.110000
10000000.00
10030776.67
Asset-Backed Securities
AVANT LOANS FDG TR 20
2021-01-15
9.790000
50500000.00
13932037.16
Asset-Backed Securities
CSMC TRUST 2014-IVR3
2044-07-25
0.232000
251015424.00
649715.69
Private Label Collateralized Mortgage Obligations
CHS / CMNTY HEALTH SY
2019-11-15
8.000000
2000.00
1998.78
Corporate Debt Securities
CSMC TRUST 2016-MFF X
2033-11-15
0.005600
21060000.00
178.96
Private Label Collateralized Mortgage Obligations
LONG BEACH ASSET NIM
2046-04-25
5.780000
6300000.00
1511.30
Asset-Backed Securities
CWALT INC. 2006-9T1
2020-07-20
0.000000
8065000.00
7990382.41
Private Label Collateralized Mortgage Obligations
GSAMP TRUST NIM 2005-
2035-11-25
5.500000
7999999.00
2501.88
Asset-Backed Securities
DLJ MTG ACCEPTANCE CO
2021-01-20
1.255600
8044.00
278.68
Private Label Collateralized Mortgage Obligations
JONES ENERGY HLDGS LL
2023-03-15
9.250000
3000.00
1565.46
Corporate Debt Securities
CSMC TR 2018-J1 A-IO-
2048-02-25
0.010000
1597215648.00
4146.50
Private Label Collateralized Mortgage Obligations
FHLT 2004-3 M6
2034-11-25
4.381400
3034000.00
829.50
Asset-Backed Securities
BA ALTERNATIVE LN TR
2035-05-25
2.818600
7589999.00
35970.42
Private Label Collateralized Mortgage Obligations
ARES XXXVII CLO LTD
2026-10-15
0.000000
8800000.00
6732000.00
Asset-Backed Securities
CSMC SERIES 2015-5R 5
2046-11-28
2.996400
56063552.00
5065813.87
Asset-Backed Securities
CSMC TRUST 2013-IVR3
2043-05-25
0.232000
274476032.00
2051549.60
Private Label Collateralized Mortgage Obligations
GE-WMC MTG SECS CI-NI
2036-01-25
5.500000
6100000.00
1463.32
Asset-Backed Securities
CSMC TRUST 2017-RPL3
2057-08-25
5.058900
13668600.00
13423605.75
Asset-Backed Securities
CSFB COML MTG PTC 200
2041-02-15
0.000000
887206600.00
1158.47
Private Label Collateralized Mortgage Obligations
EQUIFIRST CI-4 2005-1
2035-04-25
6.414000
2900000.00
1386.49
Asset-Backed Securities
DSLA NIM CI-4 CORP 20
2037-03-19
8.350000
1225000.00
3421.83
Asset-Backed Securities
HASCO NIM TRUST 2005
2035-11-25
6.250000
556000.00
98.64
Asset-Backed Securities
CSAIL COML MTG TR 201
2057-06-15
4.204900
6723000.00
5616265.39
Private Label Collateralized Mortgage Obligations
MLMI CAYMAN NIM 2004-
2035-01-25
4.500000
349998.00
5.46
Asset-Backed Securities
BELLEMEADE RE LTD 201
549300O2GEH6GH9NO762
2028-04-25
3.881400
500000.00
502882.04
Asset-Backed Securities
CSFB NIM TR HEAT 2005
2036-05-27
6.500000
5500000.00
1292.71
Asset-Backed Securities
BA ALTERNATIVE LN TR
2037-01-25
4.318600
37576720.00
903670.19
Private Label Collateralized Mortgage Obligations
CSMC SERIES 2010-20R
2037-03-27
0.010000
8065050.00
871211.90
Private Label Collateralized Mortgage Obligations
GSAA HEQ TR NIM 2006-
2035-12-25
6.000000
200000.00
14.55
Asset-Backed Securities
CWALT INC 2007-24 A-5
2037-10-25
4.018600
40000000.00
1753030.68
Private Label Collateralized Mortgage Obligations
CSMC MTG TRUST 2007-5
2037-08-25
0.000000
326635000.00
740.05
Private Label Collateralized Mortgage Obligations
HASCO NIM CO 2006-WMC
2036-07-26
7.000000
3850000.00
2105.00
Asset-Backed Securities
COMM MTG TR 2014-UBS6
2047-12-12
0.713300
68562688.00
571337.32
Private Label Collateralized Mortgage Obligations
LONG BEACH MTG LN TR
2035-06-25
3.481400
4999999.00
4621.06
Asset-Backed Securities
DEUTSCHE MTG RE-REMIC
2035-06-26
0.000000
39395504.00
2856.93
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0238
75000000.00
75000000.00
0.0018
N
Y
Y
N
DBS BANK LIMITED SINGAPORE
DBS BANK LIMITED SINGAPORE 2.454
23305ENP4
ATUEL7OJR5057F2PV266
US23305ENP42
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+
2019-01-23
2019-01-23
2019-01-23
N
N
N
0.0245
84507340.00
84507340.00
0.0020
N
N
N
N
DEXIA CREDIT LOCAL NY BRANCH (SOVEREIGN GUARANTEE)
DEXIA CREDIT LOCAL NY BRANCH (SOVEREIGN GUARANTEE) 2.464
25215FDW1
F4G136OIPBYND1F41110
US25215FDW14
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+
2018-11-10
2019-04-10
2019-04-10
N
N
N
0.0250
30002697.00
30002697.00
0.0007
N
N
N
N
DNB BANK ASA-NEW YORK
DNB BANK ASA-NEW YORK 2.456
23341VLU3
549300GKFG0RYRRQ1414
US23341VLU34
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
A+
Standard & Poor's Short Rating
A-1
2018-12-31
2019-06-28
2019-06-28
N
N
N
0.0249
243918857.80
243918857.80
0.0058
N
N
N
N
DZ BANK AG - NEW YORK
DZ BANK AG - NEW YORK 2.180
26820QL11
529900HNOAA1KXQJUQ27
0001694217
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+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
200000000.00
200000000.00
0.0047
N
Y
Y
N
ERSTE ABWICKLUNGSANSTALT
ERSTE ABWICKLUNGSANSTALT 2.607
29604DNX4
7TG4VWERK338227TR435
0001560283
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+
2019-01-31
2019-01-31
2019-01-31
N
N
N
0.0261
149025183.00
149025183.00
0.0035
N
N
N
N
ERSTE GROUP BANK AG
ERSTE GROUP BANK AG 2.180
0EBO01G64
0001115828
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
348100000.00
348100000.00
0.0082
N
Y
Y
N
FAIRWAY FINANCE CORPORATION
FAIRWAY FINANCE CORPORATION 2.452
30601YYC3
549300GKD6SUOVFV4H89
US30601YYC38
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
2018-11-09
2019-05-09
2019-05-09
N
Y
BANK OF MONTREAL
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
0.0249
19996570.40
19996570.40
0.0005
N
N
N
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.297
31849MLD1
2138002Y3WMK6RZS8H90
US31849MLD10
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+
2018-11-13
2018-11-13
2018-11-13
N
N
N
0.0230
49958923.50
49958923.50
0.0012
N
N
N
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.211
31849ML66
2138002Y3WMK6RZS8H90
US31849ML666
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+
2018-11-06
2018-11-06
2018-11-06
N
N
N
0.0221
49981183.50
49981183.50
0.0012
N
N
Y
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.565
31849MNJ6
2138002Y3WMK6RZS8H90
US31849MNJ61
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+
2019-01-18
2019-01-18
2019-01-18
N
N
N
0.0257
178979320.80
178979320.80
0.0042
N
N
N
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.211
31849ML58
2138002Y3WMK6RZS8H90
US31849ML583
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+
2018-11-05
2018-11-05
2018-11-05
N
N
N
0.0221
239125084.95
239125084.95
0.0057
N
N
Y
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.458
31849MN72
2138002Y3WMK6RZS8H90
US31849MN720
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+
2019-01-07
2019-01-07
2019-01-07
N
N
N
0.0246
121410292.26
121410292.26
0.0029
N
N
N
N
FIRST ABU DHABI BANK USA NV WASHINGTON DC BRANCH
FIRST ABU DHABI BANK USA NV WASHINGTON DC BRANCH 2.180
ORN001F02
Non-Negotiable Time Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
500000000.00
500000000.00
0.0118
N
Y
Y
N
FIXED INCOME CLEARING CORPORATION (REPO)
FIXED INCOME CLEARING CORPORATION (REPO) 2.200
ORS001BY7
0001232861
U.S. Treasury Repurchase Agreement, if collateralized only by U.S. Treasuries (including Strips) and cash
Y
N
U.S. TREASURY
254900HROIFWPRGM1V77
2044-11-15
3.000000
400000000.00
380948469.57
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2043-05-15
2.875000
253178200.00
236187695.82
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2019-04-04
0.000000
401000000.00
396864487.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-10-31
1.250000
400000000.00
381080000.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2044-08-15
3.125000
400000000.00
386803089.13
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-01-31
2.375000
380000000.00
373854450.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2019-10-31
1.500000
399000000.00
394261875.00
U.S. Treasuries (including strips)
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
AA
Standard & Poor's Short Rating
A-1+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0220
2500000000.00
2500000000.00
0.0591
N
Y
Y
N
GOTHAM FUNDING CORPORATION
GOTHAM FUNDING CORPORATION 2.306
38346MMA9
549300Z2ZR7VTUMRPR17
US38346MMA98
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
2018-12-10
2018-12-10
2018-12-10
N
Y
MUFG BANK 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
0.0231
49870389.00
49870389.00
0.0012
N
N
N
N
GOTHAM FUNDING CORPORATION
GOTHAM FUNDING CORPORATION 2.305
38346MM68
549300Z2ZR7VTUMRPR17
US38346MM680
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
2018-12-06
2018-12-06
2018-12-06
N
Y
MUFG BANK 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
0.0231
39105906.17
39105906.17
0.0009
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.586
40433FMR7
MP6I5ZYZBEU3UXPYFY54
US40433FMR72
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+
2018-11-19
2019-07-19
2019-07-19
N
N
N
0.0262
100008816.00
100008816.00
0.0024
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.490
40433FML0
MP6I5ZYZBEU3UXPYFY54
US40433FML03
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+
2018-11-13
2019-07-12
2019-07-12
N
N
N
0.0253
112947855.02
112947855.02
0.0027
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.471
40433FMJ5
MP6I5ZYZBEU3UXPYFY54
US40433FMJ56
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+
2018-11-09
2019-07-09
2019-07-09
N
N
N
0.0251
99953506.00
99953506.00
0.0024
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.568
40433FLS6
MP6I5ZYZBEU3UXPYFY54
US40433FLS64
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+
2019-01-03
2019-01-03
2019-01-03
N
N
N
0.0260
210048289.50
210048289.50
0.0050
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.489
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+
2018-11-05
2018-11-05
2018-11-05
N
N
N
0.0252
32001103.04
32001103.04
0.0008
N
N
Y
N
HSBC SECURITIES (USA) INC
HSBC SECURITIES (USA) INC 2.450
0HSN21JW9
CYYGQCGNHMHPSMRL3R97
0000853784
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ROWAN COS INC SR GLBL
5493006IFM30PWSM2474
2022-06-01
4.875000
1300000.00
1256531.25
Corporate Debt Securities
CITIZENS FINL GROUP I
2138004JDDA4ZQUPFW65
2099-01-01
6.375000
8094980.00
8103580.92
Corporate Debt Securities
TRANSOCEAN INC 7.25%2
DOL4HJ22ADYSIWES4H94
2025-11-01
7.250000
2436710.00
2360461.28
Corporate Debt Securities
SPRINT CORP SR GLBL N
549300ZTTY7CXOLJ6539
2026-03-01
7.625000
952000.00
987603.21
Corporate Debt Securities
TERVITA ESCROW CORPOR
2021-12-01
7.625000
1105000.00
1156681.77
Corporate Debt Securities
ARD FIN S A SR SEC GL
2023-09-15
7.125000
10.00
9.80
Corporate Debt Securities
RBS GLOBAL INC SR 144
2025-12-15
4.875000
17000000.00
16247353.35
Corporate Debt Securities
CONUMA COAL RES LTD S
2023-05-01
10.000000
4948000.00
5354835.56
Corporate Debt Securities
BANCO BRADESCO SA GRA
2021-01-16
5.900000
100000.00
103970.83
Corporate Debt Securities
MCDERMOTT ESCROW 1 IN
2024-05-01
10.625000
30528000.00
32446600.00
Corporate Debt Securities
INTELSAT CONNECT FIN
549300T8SOCBO2H77X11
2023-02-15
9.500000
30.00
29.18
Corporate Debt Securities
TRANSOCEAN INC CR SEN
DOL4HJ22ADYSIWES4H94
2022-10-15
5.800000
928000.00
904872.18
Corporate Debt Securities
MARIPOSA BORROWER INC
549300VXED5TMJSBCI17
2021-10-15
8.750000
157000.00
95006.81
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2027-05-01
5.125000
6357000.00
6106693.12
Corporate Debt Securities
GOLDMAN SACHS CAP II
2043-06-01
4.000000
23200000.00
18709511.12
Corporate Debt Securities
SCHAHIN II FINANCE CO
2023-09-25
5.875000
35150000.00
2164071.25
Corporate Debt Securities
NAVIOS MARITIME HLDGS
2022-08-15
11.250000
1334000.00
1192262.50
Corporate Debt Securities
LANCASTER CALIF REDEV
2037-02-01
3.000000
1.00
0.88
Other Instrument
Municipal debt
BECTON DICKINSON & CO
ICE2EP6D98PQUILVRZ91
2024-06-06
3.363000
599603.00
583608.84
Corporate Debt Securities
INTESA SANPAOLO S P A
2099-12-31
7.700000
246000.00
222332.61
Corporate Debt Securities
SAMARCO MINERACAO SA
2023-10-24
5.750000
1000000.00
771118.06
Corporate Debt Securities
NEPTUNE FINCO CORP SR
3HG2WD2W22M120IUNG49
2023-01-15
10.125000
6749000.00
7532305.81
Corporate Debt Securities
PBF LOGISTICS LP SR G
2023-05-15
6.875000
13561000.00
14194317.55
Corporate Debt Securities
BOOZ ALLEN & HAMILTON
549300D7XCH2480XU542
2025-05-01
5.125000
1520000.00
1517150.00
Corporate Debt Securities
PUERTO RICO PUB FIN C
2031-08-01
5.350000
75000.00
4271.88
Other Instrument
Municipal debt
CABLE ONE INC SR GLBL
2022-06-15
5.750000
5500000.00
5681347.23
Corporate Debt Securities
IHEARTCOMMUNICATIONS
2021-03-01
11.250000
2865000.00
2016243.75
Corporate Debt Securities
PACIFIC DRILLING FIRS
2023-10-01
8.375000
200.00
203.13
Corporate Debt Securities
CINCINNATI BELL INC N
549300JYVZOCUJOHL272
2024-07-15
7.000000
7000000.00
6391777.76
Corporate Debt Securities
BOMBARDIER INC SR GLB
W7L3VLU8EHQY34Z36697
2022-10-15
6.000000
8402000.00
8277370.34
Corporate Debt Securities
KFC HLDG CO/PIZZA HUT
2027-06-01
4.750000
4391820.00
4201178.41
Corporate Debt Securities
NAVIENT CORPORATION S
54930067J0ZNOEBRW338
2022-06-15
6.500000
1765000.00
1834815.56
Corporate Debt Securities
HUNT COS INC SR GLBL
549300ODPWDNCH5TKM49
2026-02-15
6.250000
5805000.00
5446218.75
Corporate Debt Securities
NINE ENERGY SVC INC S
549300KRLJCZBPZMKT65
2023-11-01
8.750000
1.00
1.01
Corporate Debt Securities
RESOLUTE ENERGY CORP
JWU5FD104OSLSO6IZG78
2020-05-01
8.500000
250000.00
260000.00
Corporate Debt Securities
SERVICEMASTER CO SR G
HZPA4EQ289DXC7NQGK91
2024-11-15
5.125000
12827000.00
12617046.96
Corporate Debt Securities
SUNCOKE ENERGY INC SR
2025-06-15
7.500000
12662000.00
13242341.68
Corporate Debt Securities
HOVNANIAN K ENTERPRIS
549300JJCQ0KAI7CJG32
2022-07-15
10.000000
8000000.00
7955555.56
Corporate Debt Securities
MATTEL INC SR 144A NT
549300VELLG24KHTJ564
2025-12-31
6.750000
228000.00
222342.75
Corporate Debt Securities
ENERGY TRANSFER LP SR
MTLVN9N7JE8MIBIJ1H73
2023-03-15
4.250000
1.00
0.99
Corporate Debt Securities
LIMITED BRANDS INC SR
2037-07-15
7.600000
15004000.00
12301446.18
Corporate Debt Securities
GLOBAL SHIP LEASE INC
2022-11-15
9.875000
12650000.00
12973014.19
Corporate Debt Securities
ROYAL BK SCOTLAND GRO
2049-01-01
4.706100
500000.00
470826.25
Corporate Debt Securities
ATHABASCA OIL CORP SR
549300STK2KBVO6WED71
2022-02-24
9.875000
3402000.00
3456018.56
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+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0245
203100000.00
203100000.00
0.0048
N
Y
Y
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.500
45580DTX2
5493002ERZU2K9PZDL40
US45580DTX20
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
2018-11-21
2018-11-21
2018-11-21
N
N
N
0.0250
100011058.00
100011058.00
0.0024
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.500
45580DTV6
5493002ERZU2K9PZDL40
US45580DTV63
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
2018-11-20
2018-11-20
2018-11-20
N
N
N
0.0250
25002705.75
25002705.75
0.0006
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.190
0SF002LQ9
0001445468
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0219
250000000.00
250000000.00
0.0059
N
Y
Y
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.190
0SF002LR7
0001445468
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0219
485000000.00
485000000.00
0.0115
N
Y
Y
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.500
45580DUD4
5493002ERZU2K9PZDL40
US45580DUD47
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
2018-12-07
2018-12-07
2018-12-07
N
N
N
0.0250
233024057.25
233024057.25
0.0055
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.500
45580DUB8
5493002ERZU2K9PZDL40
US45580DUB80
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
2018-11-30
2018-11-30
2018-11-30
N
N
N
0.0250
120013944.00
120013944.00
0.0028
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.500
45580DTS3
5493002ERZU2K9PZDL40
US45580DTS35
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
2018-11-16
2018-11-16
2018-11-16
N
N
N
0.0250
336032303.04
336032303.04
0.0079
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.500
45580DTU8
5493002ERZU2K9PZDL40
US45580DTU80
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
2018-11-19
2018-11-19
2018-11-19
N
N
N
0.0250
25002636.75
25002636.75
0.0006
N
N
N
N
ING (US) FUNDING LLC
ING (US) FUNDING LLC 2.580
44988KFG9
US44988KFG94
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
2018-11-16
2019-03-15
2019-03-15
N
N
N
0.0261
90058239.00
90058239.00
0.0021
N
N
N
N
ING (US) FUNDING LLC
ING (US) FUNDING LLC 2.403
44988KGF0
US44988KGF03
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
2018-12-03
2019-06-03
2019-06-03
N
N
N
0.0244
49996872.50
49996872.50
0.0012
N
N
N
N
ING Bank N
ING Bank N 2.510
1E3825N
0001017255
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
2019-01-31
2019-01-31
2019-01-31
N
N
N
0.0251
270000000.00
270000000.00
0.0064
N
N
N
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.669
PP072A140
3TK20IVIUJ8J3ZU0QE75
0001017255
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
2018-11-01
2019-05-09
2019-05-09
N
N
N
0.0271
200000000.00
200000000.00
0.0047
N
N
N
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.500
PP081COP3
0001017255
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
2018-12-27
2018-12-27
2018-12-27
N
N
N
0.0250
155000000.00
155000000.00
0.0037
N
N
N
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.423
PP9F75QM2
3TK20IVIUJ8J3ZU0QE75
0001017255
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
2018-11-21
2019-05-17
2019-05-17
N
N
N
0.0246
150000000.00
150000000.00
0.0035
N
N
N
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.360
PPEP4T6H8
0001017255
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0236
165000000.00
165000000.00
0.0039
N
Y
Y
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.608
8D7769N
0001017255
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
2019-01-04
2019-01-04
2019-01-04
N
N
N
0.0264
200000000.00
200000000.00
0.0047
N
N
N
N
ING FINANCIAL MARKETS LLC
ING FINANCIAL MARKETS LLC 2.350
0IFX01OB1
0000877559
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
KOREA DEV BK SR GLBL
549300ML2LNRZUCS7149
2023-03-12
3.375000
5000000.00
4949468.75
Other Instrument
International Debt
KOREA HOUSING FINANCE
2020-11-15
2.500000
4000000.00
3959951.11
Other Instrument
International Debt
VOLKSWAGEN GROUP AMER
5493002SQ1AVQBY41K40
2019-05-23
2.125000
201000.00
201654.53
Corporate Debt Securities
FORD MOTOR CREDIT CO
UDSQCVRUX5BONN0VY111
2021-04-05
3.470000
1358000.00
1326937.26
Corporate Debt Securities
CSX CORP SR GLBL NT3.
549300JVQR4N1MMP3Q88
2023-11-01
3.700000
1827000.00
1860671.61
Corporate Debt Securities
DIAMOND 1 FIN CORP/DI
2026-06-15
6.020000
1021000.00
1083507.89
Corporate Debt Securities
EXPORT IMPORT BK KORE
2022-11-01
3.451600
8000000.00
8146816.60
Other Instrument
International Debt
EXPORT IMPORT BK KORE
2022-01-25
3.364900
5000000.00
5014254.07
Other Instrument
International Debt
MINEJESA CAPITAL BV S
549300KS7ERCP10BKC35
2030-08-10
4.625000
4529000.00
4054026.79
Corporate Debt Securities
ENEL FIN INTL N.V. 4.
0YQH6LCEF474UTUV4B96
2029-06-14
4.875000
44293.00
41672.39
Corporate Debt Securities
ANHEUSER BUSCH INBEV
5493000EYEKDT0FBSQ91
2023-02-01
3.300000
1367000.00
1344608.54
Corporate Debt Securities
KEB HANA BANK VR 0405
2020-04-05
3.132500
2070990.00
2078317.85
Corporate Debt Securities
TYSON FOODS INC SR NT
WD6L6041MNRW1JE49D58
2019-08-15
2.650000
354000.00
355031.71
Corporate Debt Securities
INDONESIA REP FR 4.75
529900FWX0GRR7WG5W79
2026-01-08
4.750000
7000000.00
7015818.05
Other Instrument
International Debt
AT&T INC SR GLBL NT2.
549300Z40J86GGSTL398
2019-03-11
2.300000
34000.00
34041.63
Corporate Debt Securities
TRANSCANADA TRUST SR
2077-03-15
5.300000
50000.00
46026.11
Corporate Debt Securities
COMCAST CORP NEW SR N
2039-07-01
6.550000
4535000.00
5475528.77
Corporate Debt Securities
ACTIVISION BLIZZARD I
549300TPQQDBP9GNOF40
2047-06-15
4.500000
1173.00
1104.24
Corporate Debt Securities
CELGENE CORP 3.9%28
4SIHMF0MOSTTL8CD0X64
2028-02-20
3.900000
236000.00
222317.11
Corporate Debt Securities
CHINA CINDA FIN 2015
2025-04-23
4.250000
226000.00
217503.40
Corporate Debt Securities
AT&T INC SR GLBL NT3.
549300Z40J86GGSTL398
2024-03-11
3.900000
3000.00
2979.86
Corporate Debt Securities
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2022-04-11
5.000000
1610000.00
1684684.32
Other Instrument
International Debt
BUCKEYE PARTNERS L P
549300C1PQJLVEIUBK50
2027-12-01
4.125000
3872000.00
3601027.76
Corporate Debt Securities
CSX CORP SR GLBL NT3.
549300JVQR4N1MMP3Q88
2028-03-01
3.800000
1426000.00
1383723.85
Corporate Debt Securities
AMGEN INC SR GLBL NT3
62QBXGPJ34PQ72Z12S66
2027-11-02
3.200000
1294000.00
1211004.28
Corporate Debt Securities
DUKE ENERGY CORP NEW
I1BZKREC126H0VB1BL91
2024-04-15
3.750000
3022000.00
3003555.73
Corporate Debt Securities
WESTINGHOUSE AIR BRAK
06BTX5UWZD0GQ5N5Y745
2028-09-15
4.700000
1.00
0.98
Corporate Debt Securities
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2026-05-26
2.625000
5000000.00
4589010.42
Other Instrument
International Debt
KOREA NATIONAL OIL CO
2019-01-23
2.750000
6000000.00
6041136.67
Other Instrument
International Debt
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2022-11-01
3.000000
4000000.00
3955200.00
Other Instrument
International Debt
ABBOTT LABS SR NT 4.7
2043-04-15
4.750000
1500000.00
1515031.67
Corporate Debt Securities
SIEMENS FIN NV SR GLB
2024-03-16
3.125000
10.00
9.75
Corporate Debt Securities
AT&T INC SR GLBL NT 2
549300Z40J86GGSTL398
2024-04-01
4.450000
601000.00
610969.59
Corporate Debt Securities
PERUSAHAAN PENERBIT S
2022-03-29
3.400000
100155.00
97903.74
Corporate Debt Securities
AMERICAN HONDA FIN CO
B6Q2VFHD1797Q7NZ3E43
2028-02-15
3.500000
971000.00
946160.74
Corporate Debt Securities
CLOROX CO DEL SR GLBL
54930044KVSC06Z79I06
2028-05-15
3.900000
2655000.00
2683483.72
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
A+
Standard & Poor's Short Rating
A-1
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0235
75000000.00
75000000.00
0.0018
N
Y
Y
N
ING FINANCIAL MARKETS LLC
ING FINANCIAL MARKETS LLC 2.390
0IFX01OJ4
0000877559
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
XEROX CORP SR NT 4.5%
4KF48RN45X1OO8UBLY20
2021-05-15
4.500000
713000.00
723752.04
Corporate Debt Securities
BED BATH & BEYOND INC
2044-08-01
5.165000
121000.00
84812.83
Corporate Debt Securities
ENTERPRISE DEV AUTH 1
2024-07-15
12.000000
1999426.00
1969101.37
Corporate Debt Securities
BM&FBOVESPA S A - BOL
2020-07-16
5.500000
31596000.00
32693697.69
Corporate Debt Securities
ENBRIDGE INC SUB GLBL
98TPTUM4IVMFCZBCUR27
2078-03-01
6.250000
2691000.00
2545381.02
Corporate Debt Securities
CENTRAIS ELECTRICAS B
2021-10-27
5.750000
33610000.00
33680207.56
Corporate Debt Securities
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2023-09-26
5.750000
28232000.00
29272357.04
Other Instrument
International Debt
WESTINGHOUSE AIR BRAK
06BTX5UWZD0GQ5N5Y745
2028-09-15
4.700000
2.00
1.96
Corporate Debt Securities
ENSCO PLC SR GLBL NT4
7N0UJMJLXD0MDT5D5086
2024-10-01
4.500000
2000000.00
1637500.00
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
A+
Standard & Poor's Short Rating
A-1
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0239
95000000.00
95000000.00
0.0022
N
Y
Y
N
ING FINANCIAL MARKETS LLC
ING FINANCIAL MARKETS LLC 2.390
0IFX01OK1
0000877559
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
XEROX CORP SR NT 4.5%
4KF48RN45X1OO8UBLY20
2021-05-15
4.500000
75000.00
76131.00
Corporate Debt Securities
ENBRIDGE INC SUB GLBL
98TPTUM4IVMFCZBCUR27
2078-03-01
6.250000
34000.00
32160.15
Corporate Debt Securities
CITIGROUP INC PERP SU
6SHGI4ZSSLCXXQSBB395
2049-01-01
6.250000
140000.00
144822.22
Corporate Debt Securities
BED BATH & BEYOND INC
2044-08-01
5.165000
538000.00
377101.68
Corporate Debt Securities
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2023-09-26
5.750000
15648000.00
16224633.15
Other Instrument
International Debt
LIFEPOINT HEALTH INC
2024-05-01
5.375000
2000.00
2148.75
Corporate Debt Securities
SPRINT NEXTEL CORP SR
549300JKU50UT08ZWD77
2022-11-15
6.000000
465000.00
480482.95
Corporate Debt Securities
BANCO NACIONAL DE DES
2020-07-12
5.500000
63000000.00
65827615.00
Other Instrument
International Debt
PERUSAHAAN PENERBIT S
2022-03-29
3.400000
424.00
414.47
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
A+
Standard & Poor's Short Rating
A-1
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0239
77000000.00
77000000.00
0.0018
N
Y
Y
N
ING FINANCIAL MARKETS LLC
ING FINANCIAL MARKETS LLC 2.350
0IFX01OG0
0000877559
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AT&T INC SR GLBL NT2.
549300Z40J86GGSTL398
2019-03-11
2.300000
34000.00
34041.63
Corporate Debt Securities
AT&T INC SR GLBL NT3.
549300Z40J86GGSTL398
2024-03-11
3.900000
3000.00
2979.86
Corporate Debt Securities
AT&T INC SR GLBL NT 2
549300Z40J86GGSTL398
2024-04-01
4.450000
601000.00
610969.59
Corporate Debt Securities
ABBOTT LABS SR NT 4.7
2043-04-15
4.750000
1500000.00
1515031.67
Corporate Debt Securities
ACTIVISION BLIZZARD I
549300TPQQDBP9GNOF40
2047-06-15
4.500000
1173.00
1104.24
Corporate Debt Securities
AMERICAN HONDA FIN CO
B6Q2VFHD1797Q7NZ3E43
2028-02-15
3.500000
971000.00
946160.74
Corporate Debt Securities
AMGEN INC SR GLBL NT3
62QBXGPJ34PQ72Z12S66
2027-11-02
3.200000
1294000.00
1211004.28
Corporate Debt Securities
ANHEUSER BUSCH INBEV
5493000EYEKDT0FBSQ91
2023-02-01
3.300000
1367000.00
1344608.54
Corporate Debt Securities
BUCKEYE PARTNERS L P
549300C1PQJLVEIUBK50
2027-12-01
4.125000
3872000.00
3601027.76
Corporate Debt Securities
CSX CORP SR GLBL NT3.
549300JVQR4N1MMP3Q88
2023-11-01
3.700000
1827000.00
1860671.61
Corporate Debt Securities
CSX CORP SR GLBL NT3.
549300JVQR4N1MMP3Q88
2028-03-01
3.800000
1426000.00
1383723.85
Corporate Debt Securities
CELGENE CORP 3.9%28
4SIHMF0MOSTTL8CD0X64
2028-02-20
3.900000
236000.00
222317.11
Corporate Debt Securities
CLOROX CO DEL SR GLBL
54930044KVSC06Z79I06
2028-05-15
3.900000
2655000.00
2683483.73
Corporate Debt Securities
COMCAST CORP NEW SR N
2039-07-01
6.550000
4535000.00
5475528.77
Corporate Debt Securities
DIAMOND 1 FIN CORP/DI
2026-06-15
6.020000
1021000.00
1083507.89
Corporate Debt Securities
DUKE ENERGY CORP NEW
I1BZKREC126H0VB1BL91
2024-04-15
3.750000
3022000.00
3003555.73
Corporate Debt Securities
ENEL FIN INTL N.V. 4.
0YQH6LCEF474UTUV4B96
2029-06-14
4.875000
44293.00
41672.39
Corporate Debt Securities
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2022-04-11
5.000000
1610000.00
1684684.32
Other Instrument
International Debt
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2026-05-26
2.625000
5000000.00
4589010.42
Other Instrument
International Debt
EXPORT IMPORT BK KORE
2022-01-25
3.364900
5000000.00
5014254.07
Other Instrument
International Debt
EXPORT IMPORT BK KORE
2022-11-01
3.451600
8000000.00
8146816.60
Other Instrument
International Debt
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2022-11-01
3.000000
4000000.00
3955200.00
Other Instrument
International Debt
FORD MOTOR CREDIT CO
UDSQCVRUX5BONN0VY111
2021-04-05
3.470000
1358000.00
1326937.26
Corporate Debt Securities
KOREA DEV BK SR GLBL
549300ML2LNRZUCS7149
2023-03-12
3.375000
5000000.00
4949468.75
Other Instrument
International Debt
KOREA NATIONAL OIL CO
2019-01-23
2.750000
6000000.00
6041136.67
Other Instrument
International Debt
PERUSAHAAN PENERBIT S
2022-03-29
3.400000
100155.00
97903.74
Corporate Debt Securities
TRANSCANADA TRUST SR
2077-03-15
5.300000
50000.00
46026.11
Corporate Debt Securities
TYSON FOODS INC SR NT
WD6L6041MNRW1JE49D58
2019-08-15
2.650000
354000.00
355031.71
Corporate Debt Securities
VOLKSWAGEN GROUP AMER
5493002SQ1AVQBY41K40
2019-05-23
2.125000
201000.00
201654.53
Corporate Debt Securities
WESTINGHOUSE AIR BRAK
06BTX5UWZD0GQ5N5Y745
2028-09-15
4.700000
1.00
0.98
Corporate Debt Securities
CHINA CINDA FIN 2015
2025-04-23
4.250000
226000.00
217503.40
Corporate Debt Securities
MINEJESA CAPITAL BV S
549300KS7ERCP10BKC35
2030-08-10
4.625000
4529000.00
4054026.79
Corporate Debt Securities
SIEMENS FIN NV SR GLB
2024-03-16
3.125000
10.00
9.75
Corporate Debt Securities
INDONESIA REP FR 4.75
529900FWX0GRR7WG5W79
2026-01-08
4.750000
7000000.00
7015818.05
Other Instrument
International Debt
KOREA HOUSING FINANCE
2020-11-15
2.500000
4000000.00
3959951.11
Other Instrument
International Debt
KEB HANA BANK VR 0405
2020-04-05
3.132500
2070990.00
2078317.85
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
A+
Standard & Poor's Short Rating
A-1
2018-11-02
2018-11-02
2018-11-02
N
N
N
0.0235
75000000.00
75000000.00
0.0018
N
N
Y
N
ING FINANCIAL MARKETS LLC
ING FINANCIAL MARKETS LLC 2.340
0IFX01OI6
0000877559
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
U.S. TREASURY
254900HROIFWPRGM1V77
2023-01-31
1.750000
12419800.00
11886680.09
U.S. Treasuries (including strips)
SIEMENS FIN NV SR REG
2023-09-15
2.000000
6336.00
5891.12
Corporate Debt Securities
DEERE JOHN CAP CORP M
E0KSF7PFQ210NWI8Z391
2024-06-24
2.650000
14.00
13.45
Corporate Debt Securities
CHINA CINDA FIN 2015
2020-04-23
3.125000
6363000.00
6279545.72
Corporate Debt Securities
CELGENE CORP 3.9%28
4SIHMF0MOSTTL8CD0X64
2028-02-20
3.900000
3538000.00
3332872.66
Corporate Debt Securities
SINOPEC GROUP OVERSEA
2019-09-29
1.750000
3.00
2.96
Corporate Debt Securities
EUROPEAN INVT BK FR 1
5493006YXS1U5GIHE750
2020-06-15
1.375000
60000.00
58835.07
Corporate Debt Securities
CONAGRA BRANDS INC SR
54930035UDEIH090K650
2038-11-01
5.300000
890.00
865.07
Corporate Debt Securities
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2024-01-14
4.000000
14007000.00
14255188.47
Other Instrument
International Debt
SIEMENS FIN NV SR REG
2021-09-15
1.700000
38.00
36.38
Corporate Debt Securities
NIKE INC SR GLBL NT 4
787RXPR0UX0O0XUXPZ81
2046-11-01
3.375000
477000.00
411515.06
Corporate Debt Securities
Federal National Mort
2036-09-01
4.475000
2000.00
58.80
Agency Mortgage-Backed Securities
AT&T INC SR GLBL NT2.
549300Z40J86GGSTL398
2019-03-11
2.300000
3078000.00
3081768.84
Corporate Debt Securities
WPP FIN 2010 SR GLBL
549300OJB3S151W7KN44
2024-09-19
3.750000
7515000.00
7207523.78
Corporate Debt Securities
EXPORT IMPORT BK KORE
549300APVP4R32PI3Y06
2022-04-11
5.000000
6390000.00
6686417.90
Other Instrument
International Debt
Federal Home Loan Mor
2038-01-01
3.498000
1289.00
29.93
Agency Mortgage-Backed Securities
PERUSAHAAN PENERBIT S
2022-03-29
3.400000
2.00
1.96
Corporate Debt Securities
INDONESIA REP SR REGS
2045-01-15
5.125000
15000000.00
14310154.16
Other Instrument
International Debt
HOLLYFRONTIER CORP SR
549300J3U2WK73C9ZK26
2026-04-01
5.875000
6148000.00
6558107.46
Corporate Debt Securities
ANHEUSER BUSCH INBEV
5493000EYEKDT0FBSQ91
2023-02-01
3.300000
3631000.00
3571524.22
Corporate Debt Securities
VERIZON COMMUNICATION
2S72QS2UO2OESLG6Y829
2027-03-16
4.125000
6029000.00
6008840.53
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
A+
Standard & Poor's Short Rating
A-1
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0234
80000000.00
80000000.00
0.0019
N
Y
Y
N
KELLS FUNDING LLC
KELLS FUNDING LLC 2.620
48802W6C7
US48802W6C73
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+
2019-04-01
2019-04-01
2019-04-01
N
Y
GERMANY (FEDERAL REPUBLIC OF)
1.0000
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+
N
0.0262
148303933.50
148303933.50
0.0035
N
N
N
N
LIBERTY STREET FUNDING LLC
LIBERTY STREET FUNDING LLC 2.200
53127UL16
549300F33VRHM10B9391
US53127UL168
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
2018-11-01
2018-11-01
2018-11-01
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
0.0220
70542000.00
70542000.00
0.0017
N
Y
Y
N
LMA AMERICAS LLC
LMA AMERICAS LLC 2.560
53944RPF9
US53944RPF90
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
2019-02-15
2019-02-15
2019-02-15
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
0.0256
24805319.50
24805319.50
0.0006
N
N
N
N
MERRILL LYNCH PFS INC
MERRILL LYNCH PFS INC 2.650
0MLP02T90
8NAV47T0Y26Q87Y0QP81
0000065100
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
SIRIUS XM RADIO INC S
WP5O65E6BMU84LNO4227
2023-05-15
4.625000
6696000.00
6637921.50
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2024-03-15
7.000000
7145000.00
7512570.55
Corporate Debt Securities
MAXCOM TELECOMUNICACI
2020-06-15
8.000000
8452270.00
6636910.23
Corporate Debt Securities
DISCOVER FINL SVCS SR
Z1YLO2USPORE63VVUL20
2024-11-06
3.950000
5893000.00
5886761.61
Corporate Debt Securities
NOBLE HOLD INT LTD SR
2022-03-15
3.950000
7444000.00
6755781.53
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2025-12-15
9.000000
5800000.00
6207450.01
Corporate Debt Securities
BANK NOVA SCOTIA HOUS
2019-11-18
2.572300
3035053.00
3053823.29
Money Market
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2027-06-15
8.000000
6905000.00
6941059.44
Corporate Debt Securities
OVERSEA-CHINESE BKG C
2019-05-22
0.000000
16000000.00
15999520.00
Money Market
GSAA HEQ TR 2006-12 A
2036-08-25
2.561400
15000000.00
2134826.21
Private Label Collateralized Mortgage Obligations
ING US FDG LLC IAM CP
2019-03-08
0.000000
250000.00
250130.00
Money Market
FIRST QUANTUM MINERAL
549300I7UVBGWRYMYZ18
2024-03-01
6.500000
6394000.00
5616063.34
Corporate Debt Securities
ABE INVT HLDGS INC /
2020-10-16
10.500000
6500000.00
6920333.34
Corporate Debt Securities
SANTANDER UK PLC FR 4
549300F5XIFGNNW4CF72
2025-09-15
4.750000
6250000.00
6054746.53
Corporate Debt Securities
CRYSTAL RIVER RESEC 2
2047-09-22
1.036800
2500000.00
250.00
Private Label Collateralized Mortgage Obligations
ROCKIES EXPRESS PIPEL
W2ZGZGZKY5GGNY6F3V51
2019-01-15
6.000000
7484000.00
7639642.25
Corporate Debt Securities
NEWFIELD EXPL CO SR N
T8W3X1PFLPW2YE0UIP44
2022-01-30
5.750000
5530000.00
5776277.02
Corporate Debt Securities
GSAA HEQ TR 2005-14 2
2035-12-25
2.681400
10000000.00
1968534.14
Private Label Collateralized Mortgage Obligations
HCA INC SR SEC GLBL N
L3CJ6J7LJ2DX62FTXD46
2047-06-15
5.500000
7073000.00
7113866.23
Corporate Debt Securities
PENNEY J C INC SR GLB
2037-04-01
7.400000
14773000.00
6000300.17
Corporate Debt Securities
CRYSTAL RIVER RESEC 2
2047-09-22
0.000000
4170846.00
223247.57
Private Label Collateralized Mortgage Obligations
FIRSTENERGY SOLUTIONS
2021-08-15
6.050000
10777000.00
7762373.75
Corporate Debt Securities
RANGE RES CORP SR NT
H3Y3WLYCX0BTO1TRW162
2021-06-01
5.750000
6083000.00
6319983.54
Corporate Debt Securities
ASB FINANCE LTD COML
2019-01-04
0.000000
15000000.00
15006150.00
Money Market
GSAA HEQ TR 2007-1 2A
2037-02-25
2.341400
5000000.00
515794.43
Private Label Collateralized Mortgage Obligations
RAMP SERIES TRUST 200
2037-05-25
2.651400
200000.00
150546.00
Private Label Collateralized Mortgage Obligations
BRASKEM FINANCE LIMIT
254900HEUOOGBXNXZM03
2024-02-03
6.450000
7000000.00
7469116.66
Corporate Debt Securities
IHS MARKIT LTD SR GLB
2028-08-01
4.750000
2424000.00
2420762.61
Corporate Debt Securities
GSAA HEQ TR 2006-19 A
2036-12-25
2.461400
9500000.00
2202786.72
Private Label Collateralized Mortgage Obligations
BEDFORD ROW FUNDING C
2019-02-05
0.000000
2500000.00
2500475.00
Money Market
HESS CORP SR NT 5.6%4
UASVRYNXNK17ULIGK870
2041-02-15
5.600000
5998000.00
5856520.51
Corporate Debt Securities
CITIZENS FINL GROUP I
2138004JDDA4ZQUPFW65
2099-01-01
6.375000
6000000.00
6006375.00
Corporate Debt Securities
DENBURY RES INC SR SE
549300KCWA5W52MS5559
2024-02-15
7.500000
5907000.00
5846699.38
Corporate Debt Securities
LLOYDS BANK PLC COML
2018-11-14
0.000000
467000.00
467056.04
Money Market
CSFB COML MTG PTC 200
2040-02-17
2.479500
105000.00
33589.10
Private Label Collateralized Mortgage Obligations
SEADRILL NEW FIN LTD
2025-07-15
12.000000
6202473.00
6917824.89
Corporate Debt Securities
WAMU PTC WMALT 2007-H
2037-02-25
2.541400
8613115.00
3505223.97
Private Label Collateralized Mortgage Obligations
TRANSPORTADORA DE GAS
2025-05-02
6.750000
6924000.00
6749670.99
Corporate Debt Securities
ING US FDG LLC IAM CP
2019-06-03
0.000000
2000000.00
1999880.00
Money Market
GSAA HEQ TR 2007-1 1A
2037-02-25
2.451400
9918737.00
2568729.95
Private Label Collateralized Mortgage Obligations
MS MTG LN TR 2007-2AX
2036-12-25
2.521400
31250000.00
2887905.82
Private Label Collateralized Mortgage Obligations
BACARDI LTD SR GLBL 1
549300R32WTQNHNN5055
2028-05-15
4.700000
6000000.00
5960833.33
Corporate Debt Securities
CRYSTAL RIVER RESEC 2
2047-09-22
0.000000
5000000.00
500.00
Private Label Collateralized Mortgage Obligations
SVENSKA HANDELSBANKEN
2018-12-28
2.494900
41565004.00
41585699.70
Money Market
NAVIOS MARITIME HLDGS
2022-01-15
7.375000
8550000.00
6598165.63
Corporate Debt Securities
GSAA HEQ TR 2007-4 A-
2037-03-25
2.381400
11520276.00
1173219.10
Private Label Collateralized Mortgage Obligations
BX COML MTG TR 2018 I
2035-11-15
0.000000
2000000.00
1846946.00
Private Label Collateralized Mortgage Obligations
ARD FIN S A SR SEC GL
6354006P6QPGGPVJW880
2023-09-15
7.125000
6090000.00
5970356.88
Corporate Debt Securities
CALLON PETE CO DEL SR
549300EFOWPEB0WLZW21
2024-10-01
6.125000
6599000.00
6550194.90
Corporate Debt Securities
BOMBARDIER INC SR GLB
W7L3VLU8EHQY34Z36697
2020-03-15
7.750000
5938000.00
6174942.70
Corporate Debt Securities
THUNDER BAY FUNDING L
2018-12-17
0.000000
306000.00
306085.68
Money Market
SENSATA TECH BV SR 14
PUCKW5P5O3XMOZVH7T53
2024-11-01
5.625000
5835000.00
5962640.62
Corporate Debt Securities
WHITING PETE CORP NEW
2021-03-15
5.750000
6322000.00
6423766.64
Corporate Debt Securities
OVERSEA-CHINESE BKG C
2019-03-25
0.000000
359781.00
359781.00
Money Market
Y
Fitch Long Rating
AA-
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
2018-11-01
2018-12-05
2019-01-03
Y
MERRILL LYNCH PFS INC
1.0000
35
N
Fitch Long Rating
AA-
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
0.0269
272000000.00
272000000.00
0.0064
N
N
N
Y
MERRILL LYNCH PFS INC
MERRILL LYNCH PFS INC 2.440
0MLP02TF6
8NAV47T0Y26Q87Y0QP81
0000065100
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AVIANCA HLDGS SA/ AVI
2020-05-10
8.375000
400000.00
414916.50
Corporate Debt Securities
VIRGOLINO DE OLIVEIRA
2022-02-09
11.750000
1580000.00
79000.00
Corporate Debt Securities
NOBLE HOLD INT LTD SR
2041-03-01
6.050000
876000.00
648313.00
Corporate Debt Securities
NEW GOLD INC SR GLBL
5493005G0GNCHP0H6L96
2025-05-15
6.375000
285000.00
236377.81
Corporate Debt Securities
ISTAR INC SR GLBL NT6
2021-07-01
6.500000
215000.00
221335.33
Corporate Debt Securities
IRON MTN US HLDGS INC
2026-06-01
5.375000
84000.00
79161.25
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2026-03-15
7.125000
639000.00
610075.13
Corporate Debt Securities
ALCOA INC SR GLBL NT
549300HO5WFZUT5N2T22
2024-10-01
5.125000
1600000.00
1577345.33
Corporate Debt Securities
NOVA CHEMICALS CORP M
2024-06-01
4.875000
200000.00
188062.50
Corporate Debt Securities
YPF SOCIEDAD ANONIMA
5493003N7447U18U5U53
2047-12-15
7.000000
553000.00
433272.43
Corporate Debt Securities
LA RIOJA PROV SR GLBL
2025-02-24
9.750000
681000.00
560017.51
Corporate Debt Securities
SONIC AUTOMOTIVE INC
549300NTLRGJ2JCBZU03
2027-03-15
6.125000
1000000.00
915326.39
Corporate Debt Securities
PREFERRED TERM SECS L
2030-09-15
9.740000
300000.00
176211.42
Corporate Debt Securities
GRUPO IDESA S A DE C
549300SPX2Q01JRIC729
2020-12-18
7.875000
958000.00
839776.81
Corporate Debt Securities
BERRY PLASTICS CORP 2
549300AP2Q7ERHX6RI89
2022-10-15
6.000000
230000.00
235213.33
Corporate Debt Securities
GRUPO KALTEX SA DE CV
2022-04-11
8.875000
1885000.00
1493279.20
Corporate Debt Securities
DUKE ENERGY FIELD SVC
549300Y6CTBSE0QIPL28
2036-11-03
6.450000
700000.00
745074.17
Corporate Debt Securities
NMG FINCO PLC (MCLARE
213800BKPDWMWX3GSG36
2022-08-01
5.750000
715000.00
687311.63
Corporate Debt Securities
BOMBARDIER INC SR GLB
2023-01-15
6.125000
250000.00
251541.18
Corporate Debt Securities
AV HOMES INC SR GLBL
2022-05-15
6.625000
200000.00
207109.72
Corporate Debt Securities
SOLERA LLC / SOLERA F
2024-03-01
10.500000
450000.00
495562.50
Corporate Debt Securities
RESOLUTE ENERGY CORP
JWU5FD104OSLSO6IZG78
2020-05-01
8.500000
318000.00
330720.00
Corporate Debt Securities
TELEFLEX INC SR GLBL
UUL85LWXB4NGSWWXIQ25
2027-11-15
4.625000
316000.00
299829.14
Corporate Debt Securities
TMS INTL CORP SR GLBL
5493006KWV587ZQB8S80
2025-08-15
7.250000
185000.00
186906.53
Corporate Debt Securities
CALPINE CORP SR NT 5.
43R4VPJBXTU2O15HEF41
2025-01-15
5.750000
1000000.00
893805.56
Corporate Debt Securities
POST HLDGS INC SR GLB
JM1I5YUAURL6DC8N1468
2026-08-15
5.000000
91000.00
84225.56
Corporate Debt Securities
QUICKEN LNS INC SR 14
549300FGXN1K3HLB1R50
2028-01-15
5.250000
115000.00
103408.96
Corporate Debt Securities
CENTURYLINK INC SR -P
8M3THTGWLTYZVE6BBY25
2039-09-15
7.600000
259000.00
222665.18
Corporate Debt Securities
CITGO PETE CORP SR SE
YX52P86PXMLYDOTUQ225
2022-08-15
6.250000
166000.00
166115.28
Corporate Debt Securities
MARRIOTT OWNERSHIP RE
BW4532OH033VURR0IT68
2023-04-15
5.625000
722000.00
725610.00
Corporate Debt Securities
NUSTAR LOGISTICS L P
N62BF2PKP51FIIOIUN20
2022-02-01
4.750000
130000.00
129593.75
Corporate Debt Securities
CYRUSONE LP/CYRUSONE
2027-03-15
5.375000
1100000.00
1099304.86
Corporate Debt Securities
SEMGROUP CORP 7.25%26
549300GC80VO7T85ZM78
2026-03-15
7.250000
980000.00
957228.61
Corporate Debt Securities
SABRE GLBL INC SR SEC
F2TJC7HPPHLHU1AQMP98
2023-04-15
5.375000
569000.00
566262.48
Corporate Debt Securities
GILEX HLDG S A R L SR
2023-05-02
8.500000
1300000.00
1374443.05
Corporate Debt Securities
SUMMIT MIDSTREAM PART
2099-01-01
9.500000
594000.00
603438.00
Corporate Debt Securities
TRANSOCEAN INC CR SEN
DOL4HJ22ADYSIWES4H94
2022-10-15
5.800000
430000.00
419283.44
Corporate Debt Securities
KIRS MIDCO 3 PLC SR S
549300C8F38DVT8CAO43
2023-07-15
8.625000
930000.00
897818.12
Corporate Debt Securities
SPRINT NEXTEL CORP SR
549300JKU50UT08ZWD77
2020-03-01
7.000000
115000.00
120222.92
Corporate Debt Securities
TXU CORP SR NT-Q 6.5%
2024-11-15
6.500000
6072000.00
6.07
Corporate Debt Securities
CHARTER COMMUNICATION
2024-02-01
4.500000
495000.00
503657.55
Corporate Debt Securities
ENEL FIN INTL N.V. SR
0YQH6LCEF474UTUV4B96
2025-09-14
4.625000
17970000.00
17219001.26
Corporate Debt Securities
CALPINE CORP SR SEC G
43R4VPJBXTU2O15HEF41
2022-01-15
6.000000
275000.00
281577.08
Corporate Debt Securities
AMERICAN EXPRESS CO 4
R4PP93JZOLY261QX3811
2099-12-31
4.900000
1000000.00
1002511.11
Corporate Debt Securities
DYNEGY INC SR NT 5.87
549300KP43CPCUJOOG15
2023-06-01
5.875000
100000.00
103697.92
Corporate Debt Securities
MEDIACOM BROADBAND LL
2021-04-15
5.500000
205000.00
206372.36
Corporate Debt Securities
ULTRA RESOURCES INC S
VZ4O3I6KP00FINKB5W86
2022-04-15
6.875000
1941000.00
1112300.83
Corporate Debt Securities
LYON WILLIAM HOMES IN
2022-08-15
7.000000
115000.00
116555.69
Corporate Debt Securities
TRANSOCEAN INC SR 144
DOL4HJ22ADYSIWES4H94
2023-07-15
9.000000
115000.00
123832.00
Corporate Debt Securities
VOC ESCROW LTD SR SEC
2028-02-15
5.000000
699000.00
658706.53
Corporate Debt Securities
PAR PETROLEUM LLC / P
2025-12-15
7.750000
190000.00
193662.78
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2024-03-17
6.250000
629000.00
640094.86
Corporate Debt Securities
UNITED RENTALS NORTH
NGIZXNT70J2LYT3FBI09
2028-01-15
4.875000
600000.00
544112.50
Corporate Debt Securities
ODEBRECHT OIL & GAS F
2099-12-31
0.000000
19615429.00
355235.42
Corporate Debt Securities
POLYONE CORP SR NT 5.
SM8L9RZYIB34LNTWO040
2023-03-15
5.250000
193000.00
193329.71
Corporate Debt Securities
NIELSEN FIN LLC/ NIEL
2022-04-15
5.000000
584000.00
566317.78
Corporate Debt Securities
COMM S&L / CSL CAPITA
2024-12-15
7.125000
1230000.00
1120120.00
Corporate Debt Securities
OAS FINANCE LIMITED P
2049-01-01
8.875000
2242000.00
67260.00
Corporate Debt Securities
T MOBILE USA INC SR G
549300V2JRLO5DIFGE82
2024-04-15
6.000000
55000.00
56315.42
Corporate Debt Securities
PINNACLE OPERATING CO
5493003TRZY542551L24
2023-05-15
9.000000
100000.00
76650.00
Corporate Debt Securities
PENNEY J C INC SR GLB
2019-10-01
8.125000
814000.00
770671.46
Corporate Debt Securities
EVEREST ACQ LLC/FINAN
2020-05-01
9.375000
1000000.00
1016875.00
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2049-01-01
5.700000
524000.00
539497.30
Corporate Debt Securities
VIRGIN MEDIA SECD FIN
213800X3RLP4NOTPY579
2026-01-15
5.250000
478000.00
452526.58
Corporate Debt Securities
CAPEX S A MTN BE 144A
2024-05-15
6.875000
392000.00
339256.94
Corporate Debt Securities
DOLPHIN SUBSIDIARY II
2021-10-15
7.250000
1400000.00
1493761.11
Corporate Debt Securities
FLEXI-VAN LEASING INC
2023-02-15
10.000000
500000.00
425555.56
Corporate Debt Securities
TEREX CORP NEW SR GLB
YAWJZJYEQ7M1SYMOS462
2025-02-01
5.625000
624000.00
595335.00
Corporate Debt Securities
ATS AUTOMATION TOOLIN
5493005KP4RP3IU7HQ41
2023-06-15
6.500000
280000.00
295275.56
Corporate Debt Securities
POST HLDGS INC SR GLB
JM1I5YUAURL6DC8N1468
2025-03-01
5.500000
11000.00
10688.33
Corporate Debt Securities
SIRIUS XM RADIO INC S
WP5O65E6BMU84LNO4227
2025-04-15
5.375000
405000.00
399386.25
Corporate Debt Securities
INTELSAT LUXEMBOURG S
54930027UF5LR7S2XC75
2021-06-01
7.750000
447000.00
432379.37
Corporate Debt Securities
FIRST DATA CORP NEW 1
H9AD9QN07EKOX2GRN450
2024-01-15
5.000000
194000.00
193340.83
Corporate Debt Securities
NXP B V / NXP FDG LLC
2022-09-01
3.875000
1190000.00
1150085.42
Corporate Debt Securities
BANCO DO BRASIL S A G
2023-04-19
4.875000
597000.00
584955.53
Corporate Debt Securities
OAS INVTS GMBH SR GLB
2019-10-19
8.250000
12271000.00
368130.00
Corporate Debt Securities
SIRIUS XM RADIO INC S
WP5O65E6BMU84LNO4227
2022-08-01
3.875000
514000.00
498419.38
Corporate Debt Securities
QUESTAR MKT RES INC S
Q6JQDZPXKEDQKVK58165
2020-03-01
6.800000
180000.00
187440.00
Corporate Debt Securities
NOKIA CORP SR GLBL NT
549300A0JPRWG1KI7U06
2027-06-12
4.375000
150000.00
143548.85
Corporate Debt Securities
NGPL PIPECO LLC SR GL
549300K3NT1HSQFEM073
2037-12-15
7.768000
550000.00
659640.18
Corporate Debt Securities
ALTICE FRANCE S A SR
5493001ZMCICV4N02J21
2027-02-01
8.125000
350000.00
352892.36
Corporate Debt Securities
RADIAN GROUP INC 4.5%
54930005OUP720S5U385
2024-10-01
4.500000
371000.00
355696.25
Corporate Debt Securities
TITAN INTL INC ILL SR
54930043H7SFLNS88586
2023-11-30
6.500000
325000.00
311923.26
Corporate Debt Securities
INDUSTRIAS UNIDAS S A
2023-10-31
9.000000
1725104.00
1097979.49
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2024-04-15
7.625000
120000.00
72106.67
Corporate Debt Securities
BECTON DICKINSON & CO
ICE2EP6D98PQUILVRZ91
2024-06-06
3.363000
1890000.00
1839585.04
Corporate Debt Securities
APX GROUP INC SR SEC
549300OMQVKPRU98OE64
2022-12-01
7.875000
115000.00
119348.44
Corporate Debt Securities
JABIL INC 3.95%28
5493000CGCQY2OQU7669
2028-01-12
3.950000
750000.00
695812.29
Corporate Debt Securities
CLEAR CHANNEL INTL B
2020-12-15
8.750000
530000.00
558119.44
Corporate Debt Securities
FREEPORT-MCMORAN INC
549300IRDTHJQ1PVET45
2023-02-15
6.875000
1542000.00
1629915.42
Corporate Debt Securities
GATES GLOBAL LLC 6%22
2022-07-15
6.000000
243000.00
246078.00
Corporate Debt Securities
KAISER ALUMINUM CORP
2024-05-15
5.875000
700000.00
718963.19
Corporate Debt Securities
UNIFIN FINANCIERA SAB
2025-01-15
7.000000
730000.00
692121.11
Corporate Debt Securities
TELECOM ITALIA CAPITA
2033-11-15
6.375000
146000.00
157286.51
Corporate Debt Securities
HEALTHSOUTH CORP SR G
549300FVRPM9DRQZRG64
2025-09-15
5.750000
216000.00
216237.00
Corporate Debt Securities
AVIS BUDGET CAR RENT
2023-04-01
5.500000
972000.00
943650.00
Corporate Debt Securities
AES CORP SR NT 4.875%
2NUNNB7D43COUIRE5295
2023-05-15
4.875000
798000.00
803473.62
Corporate Debt Securities
VIDEOTRON LTEE SR 144
549300BBCGA0CYX8IL74
2027-04-15
5.125000
865000.00
817232.78
Corporate Debt Securities
CPG MERGER SUB LLC SR
2021-10-01
8.000000
680000.00
684533.33
Corporate Debt Securities
CARLSON TRAVEL INC SR
5493002YB4LSO97BF704
2023-12-15
6.750000
790000.00
804220.00
Corporate Debt Securities
TEXAS COHLD TCEH F D1
IZQQS5HJQJVNUDLLD671
2020-10-01
0.000000
6500000.00
26000.00
Corporate Debt Securities
CF INDS INC SR NT 7.1
5FVKT86LAD2F40NPC183
2020-05-01
7.125000
153000.00
164616.52
Corporate Debt Securities
INDUSTRIAL SR TR SR R
2022-11-01
5.500000
388000.00
388485.00
Corporate Debt Securities
AMBAC LSNI LLC SR SEC
2023-02-12
7.396000
3000391.00
2790015.28
Corporate Debt Securities
AMERICAN AXLE & MFG I
RY5TAKFOBLDUGX31MS24
2022-10-15
6.625000
707000.00
717919.22
Corporate Debt Securities
WINDSTREAM SVCS LLC /
2025-10-31
8.625000
875000.00
816147.14
Corporate Debt Securities
TIME WARNER CABLE INC
549300U5NFR7S6E3GM41
2040-11-15
5.875000
70000.00
68882.12
Corporate Debt Securities
ADECOAGRO S A 6%27
2027-09-21
6.000000
194000.00
171043.33
Corporate Debt Securities
PARAMOUNT RES LTD SR
549300XZHTA2VXQWAL67
2023-06-30
6.875000
210000.00
221152.60
Corporate Debt Securities
MATADOR RES CO SR GLB
2026-09-15
5.875000
100000.00
98750.69
Corporate Debt Securities
B & G FOODS INC NEW S
549300TRW1LZMDJZAQ78
2025-04-01
5.250000
135000.00
128517.98
Corporate Debt Securities
SEALED AIR CORP NEW S
Q0M0CZB4YN6JZ65WXI09
2025-09-15
5.500000
343000.00
340265.53
Corporate Debt Securities
QUAD / GRAPHICS INC S
W2D68G5NJH4X0NW8PT65
2022-05-01
7.000000
420000.00
432600.00
Corporate Debt Securities
OAS FINANCE LIMITED S
2021-07-02
8.000000
4740000.00
142200.00
Corporate Debt Securities
TOWNSQUARE MEDIA INC
2023-04-01
6.500000
730000.00
675554.17
Corporate Debt Securities
C&W SENIOR FINANCING
5493009O8OIWZPZRY516
2027-09-15
6.875000
900000.00
882218.75
Corporate Debt Securities
CLEAR CHANNEL COMMUNI
54930076J6KDZL504O62
2021-03-01
9.000000
4384000.00
3200320.00
Corporate Debt Securities
BOISE CASCADE CO DEL
549300Z8B8LSRHC7XA55
2024-09-01
5.625000
365000.00
360209.38
Corporate Debt Securities
FIRST DATA CORP SR 14
H9AD9QN07EKOX2GRN450
2023-12-01
7.000000
130000.00
138601.67
Corporate Debt Securities
HORNBECK OFFSHORE SVC
2020-04-01
5.875000
1750000.00
1338567.71
Corporate Debt Securities
CENOVUS ENERGY INC SR
549300EIRQ0Z2B9C1W06
2027-04-15
4.250000
200000.00
187819.78
Corporate Debt Securities
ANTHEM INC SR GLBL NT
8MYN82XMYQH89CTMTH67
2048-03-01
4.550000
11108000.00
10414564.59
Corporate Debt Securities
LEVEL 3 FING INC SR G
2023-05-01
5.125000
215000.00
214955.21
Corporate Debt Securities
LENNAR CORP SR NT 4.1
2018-12-01
4.125000
300000.00
304781.25
Corporate Debt Securities
GENERAL SHOPPING INVT
2049-01-01
0.000000
3324000.00
2046254.40
Corporate Debt Securities
TELEFONICA MOVILES SR
2022-12-13
6.750000
702000.00
730694.25
Corporate Debt Securities
TRANSOCEAN INC CR SEN
DOL4HJ22ADYSIWES4H94
2041-12-15
9.350000
7000.00
7124.76
Corporate Debt Securities
WILLIAMS SCOTSMAN INT
549300V3TCHCBOBTGH07
2023-08-15
6.875000
147000.00
147944.27
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2021-10-01
7.750000
150000.00
159031.25
Corporate Debt Securities
STARWOOD PPTY TR INC
BUGSFQZERKRBFWIG5267
2021-12-15
5.000000
190000.00
192163.89
Corporate Debt Securities
SCIENTIFIC GAMES INTL
2021-05-15
6.625000
110000.00
110335.35
Corporate Debt Securities
VOTORANTIM CIMENTOS S
LXVM6T3LO7QIZ8LUZ688
2041-04-05
7.250000
755000.00
777299.76
Corporate Debt Securities
SPRINT CAP CORP SR GL
549300L17W0GQBR1PO80
2019-05-01
6.900000
819000.00
855601.11
Corporate Debt Securities
ACRISURE LLC / ACRISU
2025-11-15
7.000000
160000.00
147964.44
Corporate Debt Securities
CENTURY CMNTYS INC SR
2022-05-15
6.875000
390000.00
400901.04
Corporate Debt Securities
HERTZ CORP SR 144A NT
549300PD0C69OJ0NLB27
2024-10-15
5.500000
331000.00
254851.61
Corporate Debt Securities
JAGUAR HLDG CO II / J
2023-08-01
6.375000
230000.00
231940.62
Corporate Debt Securities
PETROBRAS GLBL FIN B
2043-05-20
5.625000
12000.00
10156.88
Corporate Debt Securities
ALTICE FINANCING S.A.
549300IGQP5SEZB5Z419
2025-02-15
7.625000
500000.00
446927.08
Corporate Debt Securities
GRUPO KUO SAB DE CV S
549300WIYIAVCFZI6Z04
2027-07-07
5.750000
1335000.00
1284040.82
Corporate Debt Securities
ATHABASCA OIL CORP SR
549300STK2KBVO6WED71
2022-02-24
9.875000
760000.00
772067.64
Corporate Debt Securities
CNO FINL GROUP INC SR
11XPYHB76MPM4Y4P2897
2025-05-30
5.250000
140000.00
144132.92
Corporate Debt Securities
UNIVAR USA INC SR GLB
5493008FTB9VZW6CVA82
2023-07-15
6.750000
150000.00
157106.25
Corporate Debt Securities
GANNETT CO INC SR NT
549300YC5EDBGX85AO10
2020-07-15
5.125000
137000.00
138896.12
Corporate Debt Securities
TIME WARNER CABLE INC
549300U5NFR7S6E3GM41
2037-05-01
6.550000
801000.00
855988.65
Corporate Debt Securities
TELECOM ITALIA CAP GT
549300777DJZOR5C4L39
2034-09-30
6.000000
644000.00
579707.33
Corporate Debt Securities
EQUINIX INC SR NT 5.3
549300EVUN2BTLJ3GT74
2023-04-01
5.375000
395000.00
401213.02
Corporate Debt Securities
BOYD GAMING CORP SR G
254900787YGRYS2A1Z35
2026-04-01
6.375000
880000.00
871475.00
Corporate Debt Securities
ENERGIZER SPINCO INC
5493000D6NN0V57UME20
2025-06-15
5.500000
80000.00
79062.22
Corporate Debt Securities
MATTEL INC SR GLBL NT
2021-08-15
2.350000
105000.00
94233.42
Corporate Debt Securities
PLAINS ALL AMERN PIPE
2023-10-15
3.850000
881000.00
859627.92
Corporate Debt Securities
PARK AEROSPACE HLDGS
2021-03-15
3.625000
520000.00
500308.61
Corporate Debt Securities
REYNOLDS GROUP ISSUER
2020-10-15
5.750000
1000000.00
971342.04
Corporate Debt Securities
KOPPERS INC PA SR 144
LTO4ZL5EBDR1NE6FGJ36
2025-02-15
6.000000
772000.00
749200.27
Corporate Debt Securities
ANADARKO PETE CORP SR
B78FQ7XBQFLP4AYJ6F79
2044-07-15
4.500000
255000.00
227434.50
Corporate Debt Securities
GENON ESCROW CORP SR
2020-10-15
9.875000
2495000.00
1713787.78
Corporate Debt Securities
STARBUCKS CORP SR GLB
OQSJ1DU9TAOC51A47K68
2023-03-01
3.100000
15425000.00
15147915.58
Corporate Debt Securities
SEVEN GENERATIONS ENE
549300XZHTA2VXQWAL67
2025-09-30
5.375000
422000.00
396523.22
Corporate Debt Securities
BANCO MERCANTILE DEL
549300QTVYRPFHS0J362
2099-01-01
7.625000
368000.00
364524.29
Corporate Debt Securities
QGOG CONSTELLATION S
2019-11-09
6.250000
1884000.00
489597.17
Corporate Debt Securities
MONITRONICS INTL INC
SCAKOG18M6QWWML8YF46
2020-04-01
9.125000
433000.00
320465.10
Corporate Debt Securities
CENTRAIS ELECTRICAS B
2021-10-27
5.750000
230000.00
230480.44
Corporate Debt Securities
SANCHEZ ENERGY CORP S
549300SB0HTIM17TVR61
2021-06-15
7.750000
1206000.00
674489.00
Corporate Debt Securities
CB ESCROW CORP SR GLB
549300JYVZOCUJOHL272
2025-10-15
8.000000
165000.00
150324.17
Corporate Debt Securities
WALTER ENERGY INC SR
2019-10-15
9.500000
975000.00
5522.21
Corporate Debt Securities
THE ADT CORPORATION S
2020-03-15
5.250000
155000.00
156427.29
Corporate Debt Securities
FORUM ENERGY TECHNOLO
549300SF93HLCR1REE27
2021-10-01
6.250000
220000.00
216745.83
Corporate Debt Securities
DIGICEL LIMITED SR RE
2023-03-01
6.750000
1586000.00
1314397.50
Corporate Debt Securities
DISH DBS CORP SR NT 6
2021-06-01
6.750000
400000.00
413750.00
Corporate Debt Securities
BOMBARDIER INC SR GLB
2022-03-15
5.750000
248000.00
244862.11
Corporate Debt Securities
MASTEC INC SR NT 4.87
549300TMDIT8WREDOF45
2023-03-15
4.875000
759000.00
745701.69
Corporate Debt Securities
LAMB WESTON HLDGS INC
5493005SMYID1D2OY946
2024-11-01
4.625000
300000.00
298312.50
Corporate Debt Securities
CB SANDRIDGE ENERGY I
2022-10-16
8.125000
360000.00
22851.00
Corporate Debt Securities
MATTERHORN MERGER SUB
2026-06-01
8.500000
125000.00
121001.74
Corporate Debt Securities
AEROPUERTOS ARGENT SR
2027-02-01
6.875000
174000.00
166550.63
Corporate Debt Securities
DIEBOLD NXDF INC SR G
549300XZK6EWDBAZSY16
2024-04-15
8.500000
800000.00
487022.22
Corporate Debt Securities
FLY LEASING LTD SR GL
2021-10-15
6.375000
200000.00
204816.67
Corporate Debt Securities
CONTINENTAL RESOURCES
XXRTID9RYWOZ0UPIVR53
2023-04-15
4.500000
1235000.00
1242990.45
Corporate Debt Securities
IRON MTN INC NEW SR 1
SQL3F6CKNNBM3SQGHX24
2021-06-01
4.375000
228000.00
229876.25
Corporate Debt Securities
MOLINA HEALTHCARE INC
549300NQQCEQ46YHZ591
2022-11-15
5.375000
280000.00
285539.72
Corporate Debt Securities
FOREST LABS INC SR GL
254900TUPGX2F5Y3AU71
2021-12-15
5.000000
14788000.00
15544094.01
Corporate Debt Securities
TONON LUXEMBOURG SA S
2020-01-24
9.250000
2598000.00
125622.22
Corporate Debt Securities
LEHMAN BROS INC SR SU
2026-08-01
7.500000
61570000.00
1604909.58
Corporate Debt Securities
IHS MARKIT LTD SR REG
2022-11-01
5.000000
20000.00
20954.00
Corporate Debt Securities
EXTERRAN ENERGY SOLUT
2025-05-01
8.125000
570000.00
600110.25
Corporate Debt Securities
HCA INC SR SEC NT4.25
L3CJ6J7LJ2DX62FTXD46
2019-10-15
4.250000
601000.00
604839.72
Corporate Debt Securities
JBS INVESTMENTS GMBH
529900RVHZ2M1RC3JM20
2024-04-03
7.250000
820000.00
832167.89
Corporate Debt Securities
CHUKCHANSI ECONOMIC D
2020-05-30
10.250000
3556000.00
2226948.36
Corporate Debt Securities
JELD-WEN INC SR 144A
549300XWE6NM0N1HFW16
2027-12-15
4.875000
28000.00
24735.67
Corporate Debt Securities
QGOG CONSTELLATION S
2024-11-09
9.500000
4011719.00
2097683.29
Corporate Debt Securities
LINCOLN NATL CORP IND
2066-05-17
4.669300
500000.00
462169.25
Corporate Debt Securities
FIVE POINT OPERATING
2025-11-15
7.875000
950000.00
974996.87
Corporate Debt Securities
NEXSTAR ESCROW CORP S
2024-08-01
5.625000
407000.00
396443.44
Corporate Debt Securities
USJ ACUCAR E ALCOOL S
2019-11-09
9.875000
200000.00
171436.11
Corporate Debt Securities
INFOR US INC 1LIEN SR
CIOT8TLNSHRE7MIBDR09
2020-08-15
5.750000
215000.00
218684.86
Corporate Debt Securities
LEVEL 3 COMMUNICATION
2022-12-01
5.750000
884000.00
892471.67
Corporate Debt Securities
HERTZ CORP SR NT 7.37
549300PD0C69OJ0NLB27
2021-01-15
7.375000
210000.00
209180.01
Corporate Debt Securities
GRAPHIC PACKAGING INT
SO75N4VY5NXGQSK8YQ65
2022-11-15
4.875000
255000.00
259457.19
Corporate Debt Securities
CHS / CMNTY HEALTH SY
2023-06-30
11.000000
316000.00
276508.78
Corporate Debt Securities
TIMBERLAKE FINL L L C
2036-06-28
2.361600
1200000.00
828707.90
Corporate Debt Securities
AUTOPISTAS DEL SOL S
2030-12-30
7.375000
1197000.00
1160768.16
Corporate Debt Securities
EQM MIDSTREAM PARTNER
549300NELT611CL6XM83
2048-07-15
6.500000
55000.00
57929.36
Corporate Debt Securities
VINE OIL & GAS LP / V
2023-04-15
8.750000
915000.00
856795.83
Corporate Debt Securities
UNITED STATES STL COR
JNLUVFYJT1OZSIQ24U47
2025-08-15
6.875000
781000.00
768905.35
Corporate Debt Securities
ASTON MARTIN CAP HLDG
2022-04-15
6.500000
100000.00
98538.89
Corporate Debt Securities
PROVINCE OF SANTA FE
2027-11-01
6.900000
690000.00
544893.00
Corporate Debt Securities
SPRINGLEAF FINANCE CO
2020-06-01
6.000000
700000.00
731500.00
Corporate Debt Securities
HERTZ CORP SR NT 5.87
549300PD0C69OJ0NLB27
2020-10-15
5.875000
145000.00
141391.11
Corporate Debt Securities
MOLYCORP INC DEL SR N
2020-06-01
10.000000
29672000.00
1226507.24
Corporate Debt Securities
NOVA CHEMICALS CORP S
5493007M1XGU5E55ZJ25
2023-08-01
5.250000
505000.00
492690.62
Corporate Debt Securities
JAMES HARDIE INTL FIN
635400G32A4Q1LVQ8M88
2028-01-15
5.000000
370000.00
340297.22
Corporate Debt Securities
BLACKSTONE CQP HOLDCO
2021-08-17
6.000000
92000.00
93818.53
Corporate Debt Securities
US WEST COMMUNICATION
2033-09-15
6.875000
1640000.00
1600647.74
Corporate Debt Securities
TELECOM ITALIA CAP SR
549300777DJZOR5C4L39
2033-11-15
6.375000
234000.00
222158.63
Corporate Debt Securities
AMSTED INDS INC SR 14
N2VLGYMEEBIU3PFSUY86
2024-09-15
5.375000
770000.00
746413.40
Corporate Debt Securities
PARK OHIO INDS INC-OH
5493006LQUO5SLMNYM18
2027-04-15
6.625000
180000.00
180080.00
Corporate Debt Securities
VRX ESCROW CORP SR GL
2023-05-15
5.875000
120000.00
116800.83
Corporate Debt Securities
SIXSIGMA NETWORKS MEX
2025-05-02
7.500000
225000.00
222140.62
Corporate Debt Securities
EXELA INTERMEDIATE LL
2023-07-15
10.000000
260000.00
277080.56
Corporate Debt Securities
GOODYEAR TIRE & RUBR
5493002BI0S2ZQUY3437
2023-11-15
5.125000
10000.00
9961.32
Corporate Debt Securities
EXIDE TECHNOLOGIES SR
2020-04-30
11.000000
62721.00
57755.59
Corporate Debt Securities
WYNN LAS VEGAS LLC /
2023-05-30
4.250000
83000.00
79914.59
Corporate Debt Securities
VIDEOTRON LTEE SR 144
549300BBCGA0CYX8IL74
2024-06-15
5.375000
668000.00
679693.71
Corporate Debt Securities
ALLY FINL INC SR GLBL
549300JBN1OSM8YNAI90
2021-04-15
4.250000
345000.00
344357.92
Corporate Debt Securities
ESH HOSPITALITY INC S
54930042FMK7X7SQ2896
2025-05-01
5.250000
10000.00
9725.00
Corporate Debt Securities
GMAC LLC SR NT 8%31
549300JBN1OSM8YNAI90
2031-11-01
8.000000
184000.00
227240.00
Corporate Debt Securities
MARATHON OIL CORP SR
1FRVQX2CRLGC1XLP5727
2027-07-15
4.400000
250000.00
247106.39
Corporate Debt Securities
TENNECO INC NEW SR NT
549300U0EXXFAQFAD785
2024-12-15
5.375000
700000.00
633713.89
Corporate Debt Securities
MINERVA LUXEMBOURG S
222100NM3G3RCPGZ2Z17
2026-09-20
6.500000
541000.00
503082.81
Corporate Debt Securities
PERSTORP HOLDING AB S
2021-09-30
11.000000
400000.00
451288.89
Corporate Debt Securities
CDK GLOBAL INC SR GLB
5493000L10CYRTHIJ385
2027-06-01
4.875000
710000.00
681821.87
Corporate Debt Securities
MERCER INTL INC SR NT
549300Z5IAG39VRTY874
2024-02-01
6.500000
179000.00
183698.75
Corporate Debt Securities
REALOGY GRP LLC/REALO
2021-12-01
5.250000
290000.00
291993.75
Corporate Debt Securities
TUPY OVERSEAS S A SR
2024-07-17
6.625000
381000.00
392105.73
Corporate Debt Securities
CF INDS INC SR NT 5.1
5FVKT86LAD2F40NPC183
2034-03-15
5.150000
170000.00
156243.69
Corporate Debt Securities
SABLE INTL FIN LTD SR
2022-08-01
6.875000
17000.00
18035.94
Corporate Debt Securities
AMERIGAS PARTNERS L P
2025-05-20
5.500000
1131000.00
1085304.46
Corporate Debt Securities
YPF SOCIEDAD ANONIMA
5493003N7447U18U5U53
2025-07-28
8.500000
1664000.00
1602229.55
Corporate Debt Securities
AGROMERCANTIL SENIOR
2019-04-10
6.250000
335000.00
337172.75
Corporate Debt Securities
KINETIC CONCEPTS INC
2021-11-01
12.500000
155000.00
177780.35
Corporate Debt Securities
AES GENER S A JR SB G
2073-12-18
8.375000
500000.00
521060.49
Corporate Debt Securities
BOSTON SCIENTIFIC COR
Y6ZDD9FP4P8JSSJMW954
2028-03-01
4.000000
14300000.00
14120487.34
Corporate Debt Securities
CEQUEL COMMUNICATIONS
2021-12-15
5.125000
900000.00
914050.00
Corporate Debt Securities
SCHAHIN II FINANCE CO
2023-09-25
5.875000
1050000.00
64645.09
Corporate Debt Securities
ODEBRECHT FINANCE LTD
2023-04-05
6.000000
200000.00
70616.67
Corporate Debt Securities
UNITED RENTALS NORTH
NGIZXNT70J2LYT3FBI09
2025-10-15
4.625000
130000.00
119542.22
Corporate Debt Securities
GANNETT CO INC SR NT
549300YC5EDBGX85AO10
2023-10-15
6.375000
150000.00
153987.50
Corporate Debt Securities
GRAN TIERRA ENERGY IN
549300RQNK5SS6I0T293
2025-02-15
6.250000
417000.00
408949.58
Corporate Debt Securities
PETROBRAS INTL FIN CO
2021-01-27
5.375000
525000.00
540243.23
Corporate Debt Securities
JSL EUROPE LLC SR GLB
54930068BSUST41D5C30
2024-07-26
7.750000
253000.00
240147.95
Corporate Debt Securities
DAE FDG LLC SR 144A N
2020-08-01
4.000000
160000.00
159600.00
Corporate Debt Securities
ACI WORLDWIDE INC SR
5493003BPVMZUJ6F5C02
2026-08-15
5.750000
490000.00
494331.74
Corporate Debt Securities
FIRST QUANTUM MINERAL
549300I7UVBGWRYMYZ18
2026-03-01
6.875000
1585000.00
1367392.71
Corporate Debt Securities
GRAPHIC PACKAGING INT
SO75N4VY5NXGQSK8YQ65
2021-04-15
4.750000
135000.00
135285.00
Corporate Debt Securities
CROWN AMERS LLC / CRO
2026-02-01
4.750000
624000.00
595530.00
Corporate Debt Securities
BED BATH & BEYOND INC
2044-08-01
5.165000
175000.00
122663.19
Corporate Debt Securities
VIZIENT INC SR 144A N
5493007V6T3HZ7777P70
2024-03-01
10.375000
235000.00
260213.54
Corporate Debt Securities
CLEAR CHANNEL COMMUNI
54930076J6KDZL504O62
2021-02-01
14.000000
60400.00
9480.32
Corporate Debt Securities
PEABODY SECS FIN CORP
EJCO258LNNVSKAR2JX59
2025-03-31
6.375000
760000.00
764172.08
Corporate Debt Securities
SHEA HOMES LP/ SHEA H
2023-04-01
5.875000
260000.00
246322.92
Corporate Debt Securities
AMERICAN AXLE & MFG I
RY5TAKFOBLDUGX31MS24
2027-04-01
6.500000
768000.00
728000.00
Corporate Debt Securities
BARRETT BILL CORP SR
XE2KCQGOGYZ847CKN141
2025-06-15
8.750000
100000.00
105305.56
Corporate Debt Securities
CREDIVALORES - CREDIS
2022-07-27
9.750000
1778000.00
1769924.92
Corporate Debt Securities
ZAYO GROUP LLC/ZAYO C
2027-01-15
5.750000
584000.00
582032.24
Corporate Debt Securities
ROYAL BK SCOTLAND GRO
2138005O9XJIJN4JPN90
2023-06-10
6.100000
950000.00
1000332.59
Corporate Debt Securities
MALLINCKRODT INTL FIN
2025-04-15
5.500000
200000.00
161988.89
Corporate Debt Securities
BANCO DO BRASIL S A S
2022-10-10
3.875000
550000.00
524018.23
Corporate Debt Securities
BOEING CO 3.45%28
RVHJWBXLJ1RFUBSY1F30
2028-11-01
3.450000
2000000.00
1947180.00
Corporate Debt Securities
CASCADES INC SR 144A
FPD41G4F3GH7OJ38TS94
2023-07-15
5.750000
601000.00
597652.76
Corporate Debt Securities
AMERICAN AIRLS GROUP
2020-03-01
4.625000
764000.00
768934.17
Corporate Debt Securities
BUILDING MATLS CORP A
54930064UHXCIUWVI755
2024-11-15
5.375000
210000.00
206804.79
Corporate Debt Securities
SPECTRUM BRANDS INC S
549300VU3EH2E73C1Q04
2024-12-15
6.125000
42000.00
42866.83
Corporate Debt Securities
OFFSHORE GROUP INVT L
2020-12-31
10.000000
764000.00
766758.89
Corporate Debt Securities
LATAM AIRLINES GROUP
2020-06-09
7.250000
350000.00
365959.03
Corporate Debt Securities
AMKOR TECHNOLOGY INC
2022-10-01
6.375000
140000.00
141793.75
Corporate Debt Securities
ROWAN COS INC SR NT 4
5493006IFM30PWSM2474
2024-01-15
4.750000
732000.00
647077.83
Corporate Debt Securities
QUEBECOR MEDIA INC SR
5493006O1E1TBNKPQW25
2023-01-15
5.750000
408000.00
417882.67
Corporate Debt Securities
LEHMAN BRTH HLD RICI
2038-05-11
7.500000
218862000.00
4338501.43
Corporate Debt Securities
MINERVA LUXEMBOURG S
222100NM3G3RCPGZ2Z17
2028-01-19
5.875000
600000.00
531993.50
Corporate Debt Securities
AMERIGAS PARTNERS L P
2027-05-20
5.750000
1078000.00
1030261.07
Corporate Debt Securities
NEUQUEN PROV ARGENTIN
2025-04-27
7.500000
18000.00
14238.60
Corporate Debt Securities
DCP MIDSTREAM OPERATI
549300Y6CTBSE0QIPL28
2044-04-01
5.600000
260000.00
235213.33
Corporate Debt Securities
ACADIA HEALTHCARE COM
5493005CW985Y9D0NC11
2022-07-01
5.125000
215000.00
217060.42
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2023-10-01
8.250000
616000.00
661815.00
Corporate Debt Securities
INGEVITY CORP SR GLBL
5493009UTFC4B5IMGF87
2026-02-01
4.500000
644000.00
609385.00
Corporate Debt Securities
PLAINS ALL AMERN PIPE
2026-12-15
4.500000
252000.00
248645.88
Corporate Debt Securities
DIGICEL GROUP LTD SR
2020-09-30
8.250000
923000.00
668809.65
Corporate Debt Securities
SEADRILL NEW FIN LTD
2025-07-15
12.000000
121.00
134.35
Corporate Debt Securities
UNISYS CORP SR SEC GL
549300T21W22FIJJOW08
2022-04-15
10.750000
720000.00
809840.00
Corporate Debt Securities
VIACOM INC NEW JR SB
X0ST5BPF0CZG9FE5OV61
2057-02-28
6.250000
150000.00
145610.62
Corporate Debt Securities
ROWAN COS INC SR NT 5
5493006IFM30PWSM2474
2044-01-15
5.850000
85000.00
66701.62
Corporate Debt Securities
BERRY PLASTICS CORP S
549300AP2Q7ERHX6RI89
2022-05-15
5.500000
645000.00
661357.92
Corporate Debt Securities
ROSE ROCK MIDSTR/ROSE
2023-11-15
5.625000
900000.00
878343.75
Corporate Debt Securities
OWENS CORNING NEW SR
JO5M6676RDJIZ2U8X907
2047-07-15
4.300000
230000.00
180161.56
Corporate Debt Securities
ALLY FINL INC SR NT 4
549300JBN1OSM8YNAI90
2022-02-13
4.125000
750000.00
743593.13
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2025-09-29
3.272000
16542000.00
15767312.41
Corporate Debt Securities
GEO GROUP INC SR NT 5
5493003VOR6NTY465495
2022-01-15
5.875000
125000.00
125912.33
Corporate Debt Securities
JONES ENERGY HLDGS LL
2022-04-01
6.750000
278000.00
139173.75
Corporate Debt Securities
LENNAR CORP SR GLBL N
2024-11-15
5.875000
536000.00
551860.39
Corporate Debt Securities
AI CANDELARIA SPAIN S
2028-12-15
7.500000
1000000.00
984275.00
Corporate Debt Securities
AUTOMOTORES GILDEMEIS
2021-05-24
8.250000
100000.00
66597.92
Corporate Debt Securities
DENBURY RES INC SR SE
549300KCWA5W52MS5559
2022-03-31
9.250000
314000.00
328668.60
Corporate Debt Securities
CLEAR CHANNEL COMMUNI
54930076J6KDZL504O62
2019-12-15
9.000000
1187000.00
894998.00
Corporate Debt Securities
CARDTRONICS INC SR 14
2025-05-01
5.500000
150000.00
143625.00
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2021-03-15
5.250000
125000.00
126463.54
Corporate Debt Securities
GARTNER INC SR GLBL 1
PP55B5R38BFB8O8HH686
2025-04-01
5.125000
155000.00
153739.98
Corporate Debt Securities
IHS MARKIT LTD SR GLB
549300HLPTRASHS0E726
2025-02-15
4.750000
584000.00
585943.42
Corporate Debt Securities
MOBILE MINI INC SR GL
2024-07-01
5.875000
116000.00
118851.67
Corporate Debt Securities
VERMILION ENERGY INC
WT03B8BB1IX8WI9ZGV02
2025-03-15
5.625000
800000.00
781750.00
Corporate Debt Securities
FTS INTERNATIONAL INC
549300LIZ1UTOOLOZV47
2022-05-01
6.250000
635000.00
623887.50
Corporate Debt Securities
OWENS CORNING NEW SR
2036-12-01
7.000000
114000.00
131036.92
Corporate Debt Securities
MUELLER WTR PRODS INC
549300F7ZU4P1F8V8L60
2026-06-15
5.500000
310000.00
313577.92
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2020-08-15
6.625000
701000.00
733586.76
Corporate Debt Securities
M/I HOMES INC SR GLBL
2021-01-15
6.750000
170000.00
174653.75
Corporate Debt Securities
VIRGIN MEDIA SECD FIN
2021-01-15
5.250000
670000.00
690407.08
Corporate Debt Securities
GREENEDEN US HOLDINGS
2024-11-30
10.000000
505000.00
570056.35
Corporate Debt Securities
KEYCORP NEW PERP JR G
RKPI3RZGV1V1FJTH5T61
2099-12-31
5.000000
960000.00
918133.33
Corporate Debt Securities
CREDIT ACCEP CORP MIC
2021-02-15
6.125000
200000.00
203086.11
Corporate Debt Securities
TELEFLEX INC SR GLBL
UUL85LWXB4NGSWWXIQ25
2024-06-15
5.250000
500000.00
511166.67
Corporate Debt Securities
LEVEL 3 FING INC SR N
2022-08-15
5.375000
820000.00
838273.47
Corporate Debt Securities
BOART LONGYEAR MGMT P
2022-12-31
10.000000
563712.00
548836.26
Corporate Debt Securities
BOYD GAMING CORP SR G
254900787YGRYS2A1Z35
2026-08-15
6.000000
250000.00
246895.83
Corporate Debt Securities
AVIS BUDGET CAR RENT
2025-03-15
5.250000
244000.00
220016.83
Corporate Debt Securities
CDK GLOBAL INC CR SEN
5493000L10CYRTHIJ385
2024-10-15
5.000000
200000.00
197694.44
Corporate Debt Securities
COMPASS GROUP DIVERSI
549300I6PTUQPX21TE93
2026-05-01
8.000000
145000.00
154215.56
Corporate Debt Securities
LIVE NATION ENTERTAIN
5493007B9BM9ZXJINO78
2024-11-01
4.875000
30000.00
29456.25
Corporate Debt Securities
WESTERN GAS PARTNERS
L6D8A6MLSY454J2JXJ60
2048-03-01
5.300000
225000.00
202046.25
Corporate Debt Securities
TALLGRASS ENERGY PART
2023-10-01
4.750000
920000.00
912748.61
Corporate Debt Securities
ALTICE US FINANCE I C
549300ZWOIEAYGDZVY09
2026-05-15
5.500000
9000.00
8916.85
Corporate Debt Securities
DAVITA INC SR GLBL NT
M2XHYMU3TZNEZURC6H66
2022-08-15
5.750000
135000.00
138157.50
Corporate Debt Securities
ABENGOA YIELD PLC SR
2019-11-15
7.000000
750000.00
796708.33
Corporate Debt Securities
INGLES MKTS INC SR NT
549300XH5RYBMYP8TF26
2023-06-15
5.750000
264000.00
268744.67
Corporate Debt Securities
UNIVERSAL HLTH SVCS I
2019-08-01
3.750000
500000.00
504687.50
Corporate Debt Securities
FERRELLGAS L P / FERR
2022-01-15
6.750000
208000.00
184574.00
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2022-05-15
6.125000
123000.00
126627.65
Corporate Debt Securities
VECTOR GROUP LTD SR S
549300TUIF4WWN6NDN50
2025-02-01
6.125000
108000.00
99393.75
Corporate Debt Securities
SUNOCO LP/SUNOCO FIN
2028-03-15
5.875000
91000.00
85540.63
Corporate Debt Securities
COBALT INTL ENERGY IN
549300LQHH5G4WPME241
2024-05-15
3.125000
1000000.00
17002.72
Corporate Debt Securities
MIDCONTINENT EXPRESS
2019-09-15
6.700000
190000.00
195426.61
Corporate Debt Securities
GEOPARK LTD SR GLBL R
2024-09-21
6.500000
180000.00
180850.00
Corporate Debt Securities
MASHANTUCKET WESTERN
2036-07-01
6.500000
30052427.00
318472.26
Corporate Debt Securities
RAYONIER A.M. PRODS I
549300ZGRDDK1QM6MM16
2024-06-01
5.500000
695000.00
664014.58
Corporate Debt Securities
CNX MIDSTREAM PARTNER
2026-03-15
6.500000
795000.00
789677.92
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2099-12-31
5.300000
20000.00
19903.50
Corporate Debt Securities
MORGAN STANLEY -J 5.5
IGJSJL3JD5P30I6NJZ34
2049-01-01
5.550000
915000.00
946422.63
Corporate Debt Securities
INTELSAT LUXEMBOURG S
54930027UF5LR7S2XC75
2023-06-01
8.125000
2040000.00
1762262.49
Corporate Debt Securities
ODEBRECHT FINANCE LTD
2020-04-21
7.000000
330000.00
185441.67
Corporate Debt Securities
SUBURBAN PROPANE PART
2025-03-01
5.750000
996000.00
963215.00
Corporate Debt Securities
USJ ACUCAR E ALCOOL S
2021-11-09
9.875000
1039958.00
844633.67
Corporate Debt Securities
FIRSTENERGY SOLUTIONS
2039-08-15
6.800000
1934000.00
1400903.65
Corporate Debt Securities
JACK OHIO FIN LLC/JAC
2021-11-15
6.750000
500000.00
528062.50
Corporate Debt Securities
ODEBRECHT FIN LTD PER
2049-01-01
7.500000
1000000.00
211791.67
Corporate Debt Securities
SHELF DRILLING HLDGS
54930078ZJ3XP4MRYB68
2025-02-15
8.250000
120000.00
122390.00
Corporate Debt Securities
EVEREST ACQ LLC/FINAN
2022-09-01
7.750000
64000.00
45626.67
Corporate Debt Securities
HUDBAY MINERALS INC S
549300WI524AL577IX21
2023-01-15
7.250000
225000.00
229803.13
Corporate Debt Securities
PRIME SEC SVCS BORROW
2023-05-15
9.250000
389000.00
427473.18
Corporate Debt Securities
NUSTAR LOGISTICS L P
N62BF2PKP51FIIOIUN20
2020-09-01
4.800000
127000.00
128016.00
Corporate Debt Securities
EL PASO PIPELINE PART
549300PDHUGWPWGOT525
2021-10-01
5.000000
16000000.00
16576426.67
Corporate Debt Securities
IRON MTN INC NEW SR G
2021-06-01
4.375000
250000.00
252057.29
Corporate Debt Securities
CENTRUS ENERGY CORP E
2024-09-30
8.000000
8881.00
7565.63
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2023-03-15
5.750000
916000.00
876930.06
Corporate Debt Securities
MGM RESORTS INTERNATI
54930066VBP7DZEGGJ87
2020-03-31
5.250000
218000.00
220620.54
Corporate Debt Securities
TECPETROL S A SR GLBL
529900C0GOV3UC7ZMZ16
2022-12-12
4.875000
450000.00
416287.31
Corporate Debt Securities
UNITED RENTALS NORTH
NGIZXNT70J2LYT3FBI09
2027-05-15
5.500000
963000.00
918809.00
Corporate Debt Securities
ELDORADO GOLD CORP NE
5493004PWQ01YDD1IH62
2020-12-15
6.125000
162000.00
154813.50
Corporate Debt Securities
SOUTHWESTERN ELEC PWR
R64UBJHEC74EB3HGQ410
2028-09-15
4.100000
14755000.00
14697111.22
Corporate Debt Securities
CSVC ACQUISITION CORP
2025-06-15
7.750000
100000.00
86927.78
Corporate Debt Securities
U S G CORP SR 144A NT
FP4Y9QGZ4D2KY6M7GL79
2025-03-01
5.500000
165000.00
168162.50
Corporate Debt Securities
INCEPTION MERGER SUB
549300QTYCKLMFSE8I97
2024-11-15
8.625000
435000.00
425112.81
Corporate Debt Securities
SHEA HOMES LP/ SHEA H
2025-04-01
6.125000
500000.00
472552.08
Corporate Debt Securities
ULTRA RESOURCES INC S
VZ4O3I6KP00FINKB5W86
2025-04-15
7.125000
350000.00
153358.33
Corporate Debt Securities
PARKLAND FUEL CORP SR
549300Q72GWZCL8MQC95
2026-04-01
6.000000
13000.00
12740.00
Corporate Debt Securities
LIVE NATION ENTERTAIN
2022-06-15
5.375000
711000.00
728992.25
Corporate Debt Securities
COGENT COMM HOLDINGS
2022-03-01
5.375000
260000.00
263954.17
Corporate Debt Securities
SLM CORP SR NT 8% 20
54930067J0ZNOEBRW338
2020-03-25
8.000000
715000.00
750213.75
Corporate Debt Securities
GULFPORT ENERGY CORP
549300FJX18IDUFPHD40
2023-05-01
6.625000
910000.00
940143.75
Corporate Debt Securities
CITIGROUP INC PERP SU
6SHGI4ZSSLCXXQSBB395
2049-01-01
5.950000
275000.00
279479.83
Corporate Debt Securities
LIN TELEVISION CORP S
2022-11-15
5.875000
200000.00
208418.06
Corporate Debt Securities
CENTURYLINK INC SR GL
8M3THTGWLTYZVE6BBY25
2025-04-01
5.625000
460000.00
440306.25
Corporate Debt Securities
TESORO LOGISTICS LP /
2019-10-15
5.500000
100000.00
101894.44
Corporate Debt Securities
LYON WILLIAM HOMES IN
5493001MTHCP4IWKJU06
2023-09-01
6.000000
588000.00
540960.00
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2023-02-15
5.125000
240000.00
241396.67
Corporate Debt Securities
AK STL CORP SR NT 7.6
O05HJM8THRTZG4688Q91
2021-10-01
7.625000
598000.00
594324.79
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2020-04-15
8.500000
160000.00
161404.44
Corporate Debt Securities
CLOUD PEAK ENERGY RES
2021-11-01
12.000000
962000.00
909571.00
Corporate Debt Securities
MATCH GROUP INC SR GL
549300BIJKT86CPCKK96
2027-12-15
5.000000
740000.00
716755.78
Corporate Debt Securities
CANACOL ENERGY LTD SR
549300X5MNRWPMSM9N14
2025-05-03
7.250000
128000.00
127469.72
Corporate Debt Securities
CENTURYLINK INC SR NT
8M3THTGWLTYZVE6BBY25
2022-03-15
5.800000
110000.00
110402.72
Corporate Debt Securities
LAMB WESTON HLDGS INC
5493005SMYID1D2OY946
2026-11-01
4.875000
115000.00
113490.62
Corporate Debt Securities
MGM RESORTS INTERNATI
54930066VBP7DZEGGJ87
2023-03-15
6.000000
168000.00
170699.20
Corporate Debt Securities
CARMIKE CINEMAS INC S
2023-06-15
6.000000
230000.00
237513.33
Corporate Debt Securities
PENNEY J C INC SR GLB
2097-03-01
7.625000
2403000.00
895618.12
Corporate Debt Securities
JONES APPAREL GROUP I
2019-03-15
6.875000
218000.00
32435.07
Corporate Debt Securities
MURPHY OIL CORP SR NT
QBKYQD0ODE7DC7PDIN91
2022-06-01
4.000000
489000.00
480201.26
Corporate Debt Securities
PBF HLDG CO LLC / PBF
2023-11-15
7.000000
180000.00
190310.00
Corporate Debt Securities
ENERGY FUTURE HLDGS C
2020-01-15
10.000000
100000.00
2944.54
Corporate Debt Securities
REYNOLDS GROUP ISSUER
2021-07-15
5.936300
186000.00
187885.73
Corporate Debt Securities
MCDONALDS CORP MED TE
UE2136O97NLB5BYP9H04
2026-01-30
3.700000
16800000.00
16580806.67
Corporate Debt Securities
CAPITAL ONE BK USA NA
LKE37K2B8CFZUR7F9816
2019-02-13
2.250000
15250000.00
15293538.75
Corporate Debt Securities
1011778 B.C. UNLIMITE
2022-01-15
4.625000
40000.00
39944.72
Corporate Debt Securities
VIRGIN MEDIA FIN PLC
2138001LVYC87DDHT482
2022-02-15
4.875000
500000.00
480145.83
Corporate Debt Securities
TRANSDIGM INC SR SB N
88Q84GB3X55CF5OC7582
2020-10-15
5.500000
954000.00
953947.00
Corporate Debt Securities
ODEBRECHT OFFSHORE DR
2026-12-01
7.720000
7719763.00
2453855.33
Corporate Debt Securities
SYNGENTA FIN N V 5.18
54930042S3BYCEGOCN86
2028-04-24
5.182000
500000.00
472423.81
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2022-01-17
6.125000
703000.00
739692.70
Corporate Debt Securities
SYNGENTA FIN N V SR 1
2025-04-24
4.892000
2000000.00
1922122.44
Corporate Debt Securities
HOVNANIAN K ENTERPRIS
2021-11-01
2.000000
1240000.00
954800.00
Corporate Debt Securities
ISTAR INC SR GLBL NT
QFFLKWYYS3UPWD86E794
2022-04-01
6.000000
180000.00
179550.00
Corporate Debt Securities
CONSOLIDATED COMMUNIC
549300WW675Y48HDVX34
2022-10-01
6.500000
591000.00
545443.75
Corporate Debt Securities
NEW GOLD INC CDA SR G
5493005G0GNCHP0H6L96
2022-11-15
6.250000
670000.00
601371.53
Corporate Debt Securities
TONON BIOENERGIA S A
2020-01-24
9.250000
255000.00
12330.13
Corporate Debt Securities
TRIMAS CORP SR GLBL 1
75G1WUQ8QK4P5MZOYD78
2025-10-15
4.875000
25000.00
23616.67
Corporate Debt Securities
LAND O LAKES INC 7%
2099-01-01
7.000000
500000.00
503555.56
Corporate Debt Securities
POLARIS INTERMEDIATE
2022-12-01
8.500000
110000.00
115820.83
Corporate Debt Securities
CNH INDUSTRIAL CAPITA
549300PNSJ5B81UMVO28
2019-07-15
3.375000
100000.00
100903.75
Corporate Debt Securities
LENNAR CORP SR GLBL N
2027-06-15
5.000000
1000000.00
958888.89
Corporate Debt Securities
CHESAPEAKE ENERGY COR
2020-11-15
6.875000
151000.00
161071.91
Corporate Debt Securities
ALLEGHENY TECHNOLOGIE
ZW1LRE7C3H17O2ZN9B45
2021-01-15
5.950000
270000.00
275742.75
Corporate Debt Securities
SONIC AUTOMOTIVE INC
549300NTLRGJ2JCBZU03
2023-05-15
5.000000
400000.00
378222.22
Corporate Debt Securities
KOSMOS ENERGY LTD SR
2021-08-01
7.875000
290000.00
297159.37
Corporate Debt Securities
CORPORACION GEO SA DE
2020-06-30
9.250000
350000.00
10916.60
Corporate Debt Securities
NINE WEST HOLDINGS IN
2019-03-15
8.250000
886000.00
140024.92
Corporate Debt Securities
INDUSTRIAS UNIDAS S A
2023-10-31
9.000000
4603525.00
3008925.58
Corporate Debt Securities
CENOVUS ENERGY INC SR
549300EIRQ0Z2B9C1W06
2039-11-15
6.750000
760000.00
838694.20
Corporate Debt Securities
ROSE ROCK MIDSTREAM L
2022-07-15
5.625000
694000.00
677734.37
Corporate Debt Securities
GPO CEM CHIHUAHUA SR
2024-06-23
5.250000
400000.00
400466.67
Corporate Debt Securities
DIGICEL LTD SR GLBL 1
2021-04-15
6.000000
840000.00
770840.00
Corporate Debt Securities
HEXION U S FIN CORP /
2020-11-15
9.000000
1500000.00
932250.00
Corporate Debt Securities
GENERACION MEDITERRAN
2023-07-27
9.625000
1660000.00
1436119.02
Corporate Debt Securities
TOPS HLD LLC/TOPS MKT
2022-06-15
8.000000
153000.00
99484.00
Corporate Debt Securities
UNIVERSAL HLTH SVCS I
549300YGMGQDO0NMJD09
2026-06-01
5.000000
1790000.00
1809391.66
Corporate Debt Securities
TELECOM ITALIA S P A
549300W384M3RI3VXU42
2024-05-30
5.303000
339000.00
326725.87
Corporate Debt Securities
ARUBA INVESTMENTS INC
2023-02-15
8.750000
425000.00
441350.69
Corporate Debt Securities
FREEPORT-MCMORAN INC
549300IRDTHJQ1PVET45
2034-11-14
5.400000
549000.00
495499.95
Corporate Debt Securities
INVERSIONES ALSACIA S
2018-12-31
8.000000
5999800.00
337021.97
Corporate Debt Securities
COMSTOCK RES INC SR 1
5493002T9WS7HVNHHL49
2026-08-15
9.750000
485000.00
477290.52
Corporate Debt Securities
PETROBRAS ENERGIA S A
254900QNIK0CVURGML24
2023-07-21
7.375000
891000.00
837973.12
Corporate Debt Securities
GPO CEM CHIHUAHUA SR
2024-06-23
5.250000
1262000.00
1263472.33
Corporate Debt Securities
HOLLY ENERGY PARTNERS
2024-08-01
6.000000
227000.00
230972.50
Corporate Debt Securities
PACIFIC GAS & ELEC CO
1HNPXZSMMB7HMBMVBS46
2027-03-15
3.300000
17638000.00
15955628.78
Corporate Debt Securities
LKQ CORP SR NT 4.75%2
DS830JTTZQN6GK0I2E41
2023-05-15
4.750000
471000.00
464251.88
Corporate Debt Securities
CB SANDRIDGE ENERGY I
2022-10-15
8.125000
27599000.00
1411967.91
Corporate Debt Securities
BAYER US FIN II LLC S
529900XWNEXYNJ3X6T40
2025-12-15
4.250000
14100000.00
14089158.67
Corporate Debt Securities
KLABIN FIN S A SR REG
222100T4G34Y3B3OF390
2024-07-16
5.250000
300000.00
297993.75
Corporate Debt Securities
TWIN REEFS PASS-THROU
2049-01-01
0.000000
4300000.00
626045.60
Corporate Debt Securities
PRESTIGE BRANDS IN SR
2024-03-01
6.375000
224000.00
221900.00
Corporate Debt Securities
DAE FDG LLC SR 144A N
2022-08-01
4.500000
135000.00
133143.75
Corporate Debt Securities
GREAT WESTN PETE LLC/
2021-09-30
9.000000
26000.00
24901.50
Corporate Debt Securities
BOMBARDIER INC SR 144
W7L3VLU8EHQY34Z36697
2024-12-01
7.500000
756000.00
790020.00
Corporate Debt Securities
TOYS R US INC DEB 8.7
2021-09-01
8.750000
7428000.00
256885.00
Corporate Debt Securities
TXU CORP SR NT-R 6.55
2034-11-15
6.550000
3471000.00
104837.31
Corporate Debt Securities
UNIFIN FINANCIERA SAB
5493007GRMPGDJG93Z17
2026-02-12
7.375000
1828000.00
1734194.40
Corporate Debt Securities
IHEARTCOMMUNICATIONS
2021-03-01
11.250000
502000.00
353282.50
Corporate Debt Securities
TENET HEALTHCARE CORP
0W9AIBT6U6ADJ2I8HK17
2020-10-01
6.000000
125000.00
128437.50
Corporate Debt Securities
CHARTER COMMUNICATION
2025-07-23
4.908000
200000.00
203760.13
Corporate Debt Securities
MASONITE INTL CORP NE
549300H0H07ZFT4JYM32
2026-09-15
5.750000
972000.00
933491.25
Corporate Debt Securities
AMERICAN AIRLS GROUP
2019-10-01
5.500000
229000.00
232339.58
Corporate Debt Securities
VOYA FINL INC JR SB G
2048-01-23
4.700000
800000.00
698235.55
Corporate Debt Securities
CIMPOR FINL OPERATION
213800IVMAMWIHPCZJ07
2024-07-17
5.750000
600000.00
501966.67
Corporate Debt Securities
CARDTRONICS INC SR NT
YMFI60WPVOWROKG67Y03
2022-08-01
5.125000
113000.00
109927.81
Corporate Debt Securities
GCI INC SR GLBL NT 25
2025-04-15
6.875000
225000.00
234125.00
Corporate Debt Securities
MURPHY OIL CORP CR SE
QBKYQD0ODE7DC7PDIN91
2022-12-01
4.450000
550000.00
546046.42
Corporate Debt Securities
PRECISION DRILLING CO
549300WF2OE8T5BP4B84
2021-12-15
6.500000
333000.00
274559.47
Corporate Debt Securities
VIRGIN MEDIA FIN PLC
2138001LVYC87DDHT482
2025-01-15
5.750000
351000.00
345096.38
Corporate Debt Securities
BALL CORP SR GLBL NT
0BGI85ALH27ZJP15DY16
2026-03-15
4.875000
200000.00
197495.83
Corporate Debt Securities
RIVERS PITTSBURGH BOR
2021-08-15
6.125000
125000.00
126147.57
Corporate Debt Securities
AEGEA FIN S A R L S A
2024-10-10
5.750000
660000.00
637470.35
Corporate Debt Securities
PENSKE AUTOMOTIVE GRP
549300W7UTQ0M4C7LB15
2024-12-01
5.375000
845000.00
836461.98
Corporate Debt Securities
CYDSA S A SR GLBL REG
4469000001BNTACN9916
2027-10-04
6.250000
1307000.00
1222303.13
Corporate Debt Securities
MANITOWOC CO INC SR S
2021-08-15
12.750000
110000.00
122035.83
Corporate Debt Securities
CSN ISLANDS XI CORP.
2019-09-21
6.875000
690000.00
693683.83
Corporate Debt Securities
ARALCO FIN S A SR GLB
2020-05-07
10.125000
3425000.00
270360.92
Corporate Debt Securities
KOSMOS ENERGY LTD SR
2021-08-01
7.875000
1720000.00
1779194.66
Corporate Debt Securities
ROCKIES EXPRESS PIPEL
W2ZGZGZKY5GGNY6F3V51
2038-07-15
7.500000
1089000.00
1270953.75
Corporate Debt Securities
BANCO MERCANTILE DEL
549300QTVYRPFHS0J362
2031-10-04
5.750000
220000.00
204448.75
Corporate Debt Securities
TECK RESOURCES LTD SR
T8KI5SQ2JRWHL7XY0E11
2043-02-01
5.400000
600000.00
554100.00
Corporate Debt Securities
GFL ENVIRONMENTAL INC
2022-05-01
5.625000
185000.00
180490.62
Corporate Debt Securities
MSCI INC SR GLBL 144A
549300HTIN2PD78UB763
2027-05-15
5.375000
750000.00
761088.54
Corporate Debt Securities
ARAMARK SVCS INC SR G
42YMHYH0XMHJEXDUB065
2024-01-15
5.125000
839000.00
846416.99
Corporate Debt Securities
AMBAC ASSURN CORP SR
549300RYYRVPPB8NC636
2020-06-07
5.100000
147353.00
151227.16
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2036-08-01
6.500000
89000.00
59296.25
Corporate Debt Securities
PBF HLDG CO LLC / PBF
2025-06-15
7.250000
395000.00
415693.61
Corporate Debt Securities
TIME WARNER CABLE INC
549300U5NFR7S6E3GM41
2039-06-15
6.750000
145000.00
155886.60
Corporate Debt Securities
DENBURY RES INC SR SB
2021-08-15
6.375000
504000.00
474243.00
Corporate Debt Securities
NGPL PIPECO LLC SR GL
549300K3NT1HSQFEM073
2022-08-15
4.375000
355000.00
353841.32
Corporate Debt Securities
ODEBRECHT FINANCE LTD
2029-06-27
5.250000
1735000.00
378391.93
Corporate Debt Securities
CLEAVER BROOKS INC SR
549300TRZDD68CZBS255
2023-03-01
7.875000
335000.00
343584.37
Corporate Debt Securities
ARDAGH PACKAGING SR G
2024-05-15
7.250000
664000.00
687652.05
Corporate Debt Securities
CEMEX SAB DE CV SR SE
2025-01-11
5.700000
243000.00
241643.25
Corporate Debt Securities
ITAU UNIBANCO HLDG SA
2021-01-22
5.750000
1200000.00
1244487.00
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2022-03-15
6.500000
917000.00
954877.19
Corporate Debt Securities
MGM RESORTS INTERNATI
54930066VBP7DZEGGJ87
2020-10-01
6.750000
130000.00
135281.25
Corporate Debt Securities
SPRINT NEXTEL CORP SR
549300JKU50UT08ZWD77
2022-11-15
6.000000
400000.00
413318.67
Corporate Debt Securities
ICAHN ENTERPRISES LP/
2020-08-01
6.000000
155000.00
158487.50
Corporate Debt Securities
SUNTRUST BKS INC PERP
7E1PDLW1JL6TS0BS1G03
2099-01-01
5.125000
990000.00
933680.00
Corporate Debt Securities
Y
Fitch Long Rating
AA-
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0244
400000000.00
400000000.00
0.0095
N
Y
Y
N
MERRILL LYNCH PFS INC
MERRILL LYNCH PFS INC 2.600
0MLP02TE9
8NAV47T0Y26Q87Y0QP81
0000065100
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BYVW OPP MST FD IVB 2
2057-10-28
2.200000
14382000.00
1419695.16
Asset-Backed Securities
JFIN CLO 2014 LTD
2025-04-20
3.419000
2000000.00
1570754.09
Asset-Backed Securities
HPS LN MGMT LTD 2015-
2031-02-05
3.340500
1050000.00
1052152.59
Asset-Backed Securities
CARMAX AUTO OWNER TR
2021-08-16
1.400000
1665000.00
1442702.30
Asset-Backed Securities
ALLY AUTO RECV TR 201
2022-03-15
2.010000
1675000.00
1642602.71
Asset-Backed Securities
CITIBANK CCIT 2017-A7
R8AG6FXVDQAMDKCSJJ64
2024-08-08
2.646700
1500000.00
1503941.91
Asset-Backed Securities
SOFI CONSUMER LN PRGR
549300O6TO32N91PEI50
2026-09-25
2.140000
6310000.00
2134950.69
Asset-Backed Securities
OBP DEP LLC TR 2010-O
2045-07-17
4.646200
2956000.00
3012226.01
Private Label Collateralized Mortgage Obligations
BAMLL COML MTG SECS T
2032-11-15
3.179500
1980000.00
1978778.56
Private Label Collateralized Mortgage Obligations
RECETTE CLO LTD RECET
2027-10-20
3.769000
3000000.00
2972286.75
Asset-Backed Securities
BARINGS CLO LTD 2013-
2028-01-20
3.269000
1600000.00
1600763.60
Asset-Backed Securities
DRYDEN 58 CLO LTD/DRY
2031-07-17
3.321200
3370000.00
3355817.58
Asset-Backed Securities
BANCORP COML MTG TR 2
5493009R0KRDEB1KXF82
2035-03-16
3.129500
2597000.00
2600118.71
Private Label Collateralized Mortgage Obligations
NAVIENT STUDENT LN TR
2066-07-26
3.331400
1200000.00
1228835.63
Asset-Backed Securities
SHACKLETON CLO LTD 20
2031-04-14
4.036300
1250000.00
1245406.25
Asset-Backed Securities
CIFC FDG 2015 V LTD
549300H3BLEZ8XSDXO87
2027-10-25
0.000000
1935000.00
1929433.00
Asset-Backed Securities
JP MORGAN MTG TR 2017
2048-12-25
0.350600
100000000.00
1849165.68
Private Label Collateralized Mortgage Obligations
VERIZON OWNER TR 2016
2021-01-20
1.420000
5100000.00
3486653.06
Asset-Backed Securities
MS BOFA ML TRUST 2016
2049-11-18
2.840000
2500000.00
2334618.06
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2057-03-25
4.000000
1663000.00
1112761.83
Private Label Collateralized Mortgage Obligations
CITGRP COML MTG TR 20
2048-11-13
3.063000
2250000.00
2242594.69
Private Label Collateralized Mortgage Obligations
NAVIENT PRIV ED LN TR
2058-12-16
2.880000
1030000.00
998704.48
Asset-Backed Securities
NELNET ST LN TR 2012-
2033-12-26
3.081400
10339000.00
4025468.65
Asset-Backed Securities
CPS AUTO RECV TR 2017
2020-09-15
1.780000
10800000.00
2339841.80
Asset-Backed Securities
CIFC FUNDING LTD 2016
54930076OPDXR0U68E20
2028-10-23
3.949000
3500000.00
3511995.38
Asset-Backed Securities
GS MTG SECS TR 2013-G
2046-06-12
2.860000
2000000.00
1950566.67
Private Label Collateralized Mortgage Obligations
FORD CREDIT AUTO OWN
2022-02-15
1.400000
2950000.00
2872386.16
Asset-Backed Securities
LAUREL RD PRIME SL TR
2043-05-26
3.540000
2000000.00
1992526.00
Asset-Backed Securities
DRIVE AUTO RECV TR 20
2022-09-15
3.370000
1245000.00
1246934.45
Asset-Backed Securities
FIRST INVESTORS AUTO
2021-10-15
1.860000
6629000.00
2217761.01
Asset-Backed Securities
MMAF EQUIP FIN LLC 20
2020-10-15
1.930000
4500000.00
2886541.05
Asset-Backed Securities
KKR CLO 16 LTD 2016-1
2029-01-22
3.959000
1500000.00
1505084.63
Asset-Backed Securities
ICG US CLO 2014 2 LTD
2031-01-15
0.000000
4000000.00
3963528.00
Asset-Backed Securities
OCTAGON INV PTNS 2018
2031-04-15
3.636300
1500000.00
1495344.21
Asset-Backed Securities
NISSAN AUTO RECV 2016
2021-01-15
1.180000
2000000.00
1408139.88
Asset-Backed Securities
CITGRP COML MTG TR 20
2047-07-12
3.356000
1500000.00
1483405.00
Private Label Collateralized Mortgage Obligations
CSFB COML MTG PTC 200
2034-02-25
4.007600
50929000.00
3408832.88
Private Label Collateralized Mortgage Obligations
NELNET ST LN TR 2014-
2030-03-25
2.881400
3025000.00
2104834.67
Asset-Backed Securities
CAPITAL AUTO RECV ABN
2020-07-20
2.010000
1640000.00
1638212.67
Asset-Backed Securities
SLM STUDENT LOAN TR 2
2040-10-25
3.239900
1798000.00
1801540.23
Asset-Backed Securities
ASCENTIUM EQUIP RECV
2022-05-10
1.650000
1358000.00
1069893.48
Asset-Backed Securities
SEQUOIA MTG TR 2016-1
2046-06-25
0.324400
163822500.00
2086170.89
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2016
2049-11-18
0.646200
26410000.00
1204564.81
Private Label Collateralized Mortgage Obligations
OCTAGON INV PTNS 2017
2030-07-22
4.169000
1596830.00
1600857.60
Asset-Backed Securities
NAVIENT PRIV ED LN TR
2058-12-16
3.179500
1000000.00
1006910.11
Asset-Backed Securities
IMT TR 2017-APTS A-FX
2034-06-15
3.478000
3715000.00
3670356.02
Private Label Collateralized Mortgage Obligations
SEQUOIA MTG TR 2018-5
2048-05-25
3.500000
1750000.00
1636381.36
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2015-GLPA
5493005Z6BYJ6OJYQI14
2037-11-18
3.881000
3000000.00
2913781.08
Private Label Collateralized Mortgage Obligations
JPMBB COML MTG SEC TR
2048-01-17
3.799600
1000000.00
991418.71
Private Label Collateralized Mortgage Obligations
JPMBB COML MTG SEC TR
2048-01-17
3.494300
2175384.00
2151034.98
Private Label Collateralized Mortgage Obligations
TOWD POINT MTG TR 201
2055-04-25
2.750000
2140000.00
1088780.27
Asset-Backed Securities
SYMPHONY CLO XVII 201
2028-04-17
3.316300
2610000.00
2585168.46
Asset-Backed Securities
COMM MTG TR 2016-787S
2036-02-12
3.545000
3894700.00
3823769.40
Private Label Collateralized Mortgage Obligations
TOWD PT MTG TR 2017-3
2057-07-25
2.750000
2896000.00
2180402.12
Asset-Backed Securities
NEW RESI MTG LN TR 20
2057-03-25
1.384500
30895500.00
1017236.33
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2048-02-18
1.237300
26001920.00
1394804.90
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
2042-09-25
1.500000
203415000.00
2205008.05
Asset-Backed Securities
GS MTG SECS CORP TR 2
2035-07-16
3.229500
2052000.00
2052374.15
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD IVB 2
2053-06-30
3.647200
18455000.00
1983579.04
Private Label Collateralized Mortgage Obligations
FLAGSHIP CR AUTO TR 2
2022-10-17
2.660000
1330000.00
1311070.41
Asset-Backed Securities
GALAXY CLO XXIX 2018-
549300BSLQRD3CFUV847
2026-11-16
3.103800
1600000.00
1592534.98
Asset-Backed Securities
SMB PRIVATE ED LN TR
2034-09-15
3.379500
4000000.00
4044616.00
Asset-Backed Securities
HOSPITALITY 2017-HIT
2030-05-10
3.460600
1470000.00
1472800.29
Private Label Collateralized Mortgage Obligations
CARLYLE US CLO 2017-2
2031-07-21
4.169000
1000000.00
1002452.25
Asset-Backed Securities
CSMC TRUST 2017-CALI
2032-11-12
3.431300
2040000.00
2008007.93
Private Label Collateralized Mortgage Obligations
BABSON CLO LTD 2015-I
2031-01-20
3.459000
4250000.00
4228047.69
Asset-Backed Securities
AGATE BAY MTG TR 2014
2044-07-25
0.250000
267667271.00
1103916.16
Private Label Collateralized Mortgage Obligations
CPS AUTO RECV TR 2017
5493000DWM31LZSZTM21
2021-05-17
2.330000
2608000.00
2597811.99
Asset-Backed Securities
CGGS COML MTG TR 2018
2037-02-17
3.179500
3600000.00
3599428.00
Private Label Collateralized Mortgage Obligations
SIERRA TIMESHARE REC
2035-09-20
3.690000
3000000.00
3010512.00
Asset-Backed Securities
OAKS MTG TR SER 2015-
2046-04-25
0.320500
244610000.00
1294936.99
Private Label Collateralized Mortgage Obligations
OHA LOAN FUND LTD 201
2027-01-25
4.327200
2500000.00
2507278.99
Asset-Backed Securities
DELL EQUIP FIN TR 201
2023-06-22
3.340000
2750000.00
2746631.25
Asset-Backed Securities
NAVIENT STUDENT LN TR
2067-03-25
2.661400
1480000.00
1480384.26
Asset-Backed Securities
NELNET ST LN 2010-1 N
2043-11-25
3.111400
8650000.00
2166697.77
Asset-Backed Securities
COMM MTG TR 2013-CCRE
2046-06-12
3.964000
1300000.00
1304412.65
Private Label Collateralized Mortgage Obligations
SEQUOIA MTG TR 2013-2
2043-02-25
1.142500
45700000.00
1271896.17
Private Label Collateralized Mortgage Obligations
LAUREL RD PRIME SL TR
2042-11-25
2.831400
3266000.00
2220573.28
Asset-Backed Securities
TIAA BK MTG LN TR 201
2048-07-25
3.858300
4551000.00
4320763.35
Private Label Collateralized Mortgage Obligations
ARES XLVII CLO LTD 20
2030-04-15
3.586300
1000000.00
993893.92
Asset-Backed Securities
SOUND PT CLO XIV LTD
549300TT7IR66ASPWY89
2029-01-23
4.007200
1500000.00
1505115.73
Asset-Backed Securities
JP MORGAN MTG TR 2017
2047-08-25
3.000000
2840000.00
2082926.76
Private Label Collateralized Mortgage Obligations
SEQUOIA MTG TR 2013-7
2043-06-25
0.546900
18756296.00
303312.33
Private Label Collateralized Mortgage Obligations
CITGRP COML MTG TR 20
2048-02-12
3.772000
3000000.00
2922349.00
Private Label Collateralized Mortgage Obligations
PANHANDLE-PLAIN HGHR
2037-10-01
3.346000
2250000.00
2275497.87
Asset-Backed Securities
COMM MTG TR 2013-WWP
2031-03-12
3.544200
2900000.00
2931312.60
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2018
2048-12-25
0.576200
125000000.00
3725034.41
Private Label Collateralized Mortgage Obligations
CATAMARAN CLO 2014 1
2030-04-22
4.289000
3000000.00
3000156.75
Asset-Backed Securities
MS BOFA ML TRUST 2015
2048-03-17
0.940400
68750000.00
2950419.43
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2015-CCRE
2048-08-12
3.696000
3000000.00
2990082.00
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2018
2048-09-25
0.282500
114109000.00
1722707.78
Private Label Collateralized Mortgage Obligations
LCM XIV LTD PARTNERSH
2031-07-20
3.509000
3220000.00
3210942.94
Asset-Backed Securities
OCTAGON INV PTN XXIII
2027-07-15
3.636300
1085000.00
1068029.51
Asset-Backed Securities
HOSPITALITY 2017-HIT
2030-05-10
3.130600
3000000.00
3006018.37
Private Label Collateralized Mortgage Obligations
VNDO MTG TR 2012-6AVE
2030-11-15
3.297700
1250000.00
1231948.31
Private Label Collateralized Mortgage Obligations
EDSOUTH INDENT NO 9 2
2056-10-25
3.081400
2800000.00
1335521.07
Asset-Backed Securities
BA CREDIT CARD TR 201
2021-10-15
2.669500
3675000.00
3685159.33
Asset-Backed Securities
OCTAGON INV PTN XXIII
549300EY2ULL20U3RR38
2027-07-15
3.286300
1315000.00
1300899.25
Asset-Backed Securities
KOITERE FD TR 2017-RT
2057-07-28
2.700000
79074000.00
3696519.19
Asset-Backed Securities
WFRBS COML MTG TR 201
2045-12-15
2.453000
1350000.00
1129610.08
Private Label Collateralized Mortgage Obligations
BLUEMOUNTAIN CLO 2015
549300261OAC6YQ54P29
2027-07-19
3.374600
1130000.00
1118956.51
Asset-Backed Securities
OCTAGON INV PTNRS 34
2030-01-22
3.609000
1700000.00
1701499.82
Asset-Backed Securities
TOWD PT MTG TR 2017-5
2057-02-26
3.186500
1104000.00
1104487.49
Asset-Backed Securities
BYVW OPP MST FD IVB 2
2057-10-28
3.500000
5603850.00
4268953.11
Asset-Backed Securities
ALLY AUTO RECV TR 201
2022-03-15
2.100000
1150000.00
1130573.43
Asset-Backed Securities
BANK 2018-BNK12 X-A 2
2061-05-17
0.350400
43475370.00
1061000.76
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2015
2048-04-17
3.306000
2680000.00
2614750.93
Private Label Collateralized Mortgage Obligations
NEW RESI MTG TR 2018-
2057-12-25
3.500000
1510000.00
1212450.47
Asset-Backed Securities
CSAIL COML MTG TR 201
2049-11-18
3.314300
3000000.00
2967543.07
Private Label Collateralized Mortgage Obligations
BA CREDIT CARD TR 201
5493006DQ60M1CRKHH19
2022-08-15
1.950000
3254000.00
3209012.37
Asset-Backed Securities
ALLEGRO CLO III LTD 2
2027-07-26
3.329900
1430000.00
1416848.29
Asset-Backed Securities
CARLYLE GBL MKT STRTG
549300R4G5ROMXQ5CG20
2029-01-22
4.369000
1500000.00
1504548.37
Asset-Backed Securities
BLUE MOUNTAIN CLO 201
2027-04-13
3.766300
1000000.00
1002188.54
Asset-Backed Securities
MS BOFA ML TRUST 2015
2048-10-19
3.211000
2370000.00
2335554.68
Private Label Collateralized Mortgage Obligations
DRYDEN 37 SR LN FD 20
2031-01-15
3.536300
1700000.00
1701787.88
Asset-Backed Securities
BURNHAM PARK CLO LTD
549300BOEG5O4MSO7220
2029-10-20
3.899000
1500000.00
1518577.12
Asset-Backed Securities
JP MORGAN MTG TR 2015
2045-01-25
2.766700
1676000.00
1527775.72
Private Label Collateralized Mortgage Obligations
GALLATIN CLO VIII LTD
2027-07-15
3.486300
2000000.00
2003318.94
Asset-Backed Securities
CITIGROUP COML MTGTR
2032-07-15
3.129500
1000000.00
1001000.89
Private Label Collateralized Mortgage Obligations
ATRIUM HOTEL PORT TR
2036-12-15
3.209500
2125000.00
2126029.44
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2058-09-17
4.400000
2100000.00
2123105.37
Private Label Collateralized Mortgage Obligations
CFCRE COML MTG TR 201
2054-12-11
0.755100
27200000.00
1305326.14
Private Label Collateralized Mortgage Obligations
NORTHWOODS CAP XI B L
5493005SOJ8F7B634862
2031-04-19
3.544600
2000000.00
1990572.28
Asset-Backed Securities
NELNET ST LN TR 2014-
2047-11-25
2.931400
4875000.00
2600423.19
Asset-Backed Securities
BYVW OPP MST FD TR 20
2069-05-28
1.700000
26713000.00
1747608.98
Asset-Backed Securities
CWABS INC 2004-3 3-A-
2034-08-25
2.781400
68209000.00
1249254.79
Asset-Backed Securities
NEUBERGER BERMAN CLO
2027-11-14
4.169300
2500000.00
2524811.41
Asset-Backed Securities
SYNCHRONY CC MSTR NT
549300G1V1M796QIYC04
2025-10-15
2.620000
2749000.00
2661915.65
Asset-Backed Securities
COMM MTG TR 2015-CCRE
2048-08-12
3.759000
2963000.00
2959079.21
Private Label Collateralized Mortgage Obligations
TOWD PT MTG TR 2016-2
2055-08-25
3.000000
2690000.00
2551981.48
Asset-Backed Securities
CERBERUS LN FDG XVI L
2027-11-17
4.786300
1000000.00
1002947.25
Asset-Backed Securities
KOITERE FD TR 2017-RT
2057-07-28
3.500000
3953700.00
3133555.90
Asset-Backed Securities
BX TRUST 2017-CQHP A
2034-11-15
3.129500
2750000.00
2755136.69
Private Label Collateralized Mortgage Obligations
MERC-BENZ AUTO RECV T
2021-12-15
1.750000
4341299.00
4321996.62
Asset-Backed Securities
CITIGROUP MTG LN TR 2
2035-01-25
1.481000
347401000.00
1792720.84
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2015
2050-07-15
3.719000
2145000.00
2140205.69
Private Label Collateralized Mortgage Obligations
TOWD PT MTG TR 2017-6
2057-10-25
2.750000
2520000.00
2111175.26
Asset-Backed Securities
CARLYLE GLBL MKT STRT
2031-07-28
3.137800
3370000.00
3360198.29
Asset-Backed Securities
CITIGRP COML MTG TR 2
2046-11-13
5.095000
975000.00
1017321.91
Private Label Collateralized Mortgage Obligations
EVERBANK MTG LN TR 20
2048-02-25
3.649900
4578000.00
4235670.30
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD TR 20
2069-05-28
4.000000
1336000.00
1332037.87
Asset-Backed Securities
Y
Fitch Long Rating
AA-
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
2018-11-01
2018-12-05
2019-01-03
Y
MERRILL LYNCH PFS INC
1.0000
35
N
Fitch Long Rating
AA-
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
0.0264
280000000.00
280000000.00
0.0066
N
N
N
Y
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON 2.493
2E5889N
JBONEPAGQXF4QP29B387
XS1884795292
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
2019-01-22
2019-01-22
2019-01-22
N
N
N
0.0249
139186832.40
139186832.40
0.0033
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON 2.293
1E6771N
XS1865319732
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
2018-11-09
2018-11-09
2018-11-09
N
N
N
0.0229
29982565.20
29982565.20
0.0007
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.580
60683BHN6
JBONEPAGQXF4QP29B387
US60683BHN64
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
2018-11-16
2019-01-16
2019-01-16
N
N
N
0.0262
150000000.00
150000000.00
0.0035
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.587
60683BGC1
JBONEPAGQXF4QP29B387
US60683BGC19
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
2018-11-06
2018-11-06
2018-11-06
N
N
N
0.0262
120006969.60
120006969.60
0.0028
N
N
Y
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.467
60683BKW2
JBONEPAGQXF4QP29B387
US60683BKW27
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
2018-11-09
2019-03-08
2019-03-08
N
N
N
0.0250
195020334.60
195020334.60
0.0046
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.510
60683BJT1
JBONEPAGQXF4QP29B387
US60683BJT17
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
2018-11-22
2019-01-22
2019-01-22
N
N
N
0.0254
50019210.00
50019210.00
0.0012
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.581
60683BHD8
JBONEPAGQXF4QP29B387
US60683BHD82
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
2018-11-09
2018-12-07
2018-12-07
N
N
N
0.0262
140045257.80
140045257.80
0.0033
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.580
60683BHQ9
JBONEPAGQXF4QP29B387
US60683BHQ95
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
2018-11-16
2019-01-15
2019-01-15
N
N
N
0.0261
75039706.50
75039706.50
0.0018
N
N
N
N
MIZUHO BANK LIMITED-LONDON
MIZUHO BANK LIMITED-LONDON 2.338
1E8045N
XS1867123744
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
2018-11-15
2018-11-15
2018-11-15
N
N
N
0.0234
99904258.00
99904258.00
0.0024
N
N
N
N
MIZUHO BANK LIMITED-LONDON
MIZUHO BANK LIMITED-LONDON 2.329
1E9218N
RB0PEZSDGCO3JS6CEU02
XS1869464302
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
2018-11-21
2018-11-21
2018-11-21
N
N
N
0.0233
24966503.25
24966503.25
0.0006
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.480
60700AN91
RB0PEZSDGCO3JS6CEU02
US60700AN914
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
2018-11-13
2019-02-13
2019-02-13
N
N
N
0.0251
50015986.50
50015986.50
0.0012
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.477
60700AT38
RB0PEZSDGCO3JS6CEU02
US60700AT382
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
2018-11-09
2019-03-06
2019-03-06
N
N
N
0.0251
190057049.40
190057049.40
0.0045
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.180
0NC001GR9
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
485000000.00
485000000.00
0.0115
N
Y
Y
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.495
60700AJ39
RB0PEZSDGCO3JS6CEU02
US60700AJ391
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
2018-11-28
2019-01-28
2019-01-28
N
N
N
0.0253
385123215.40
385123215.40
0.0091
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.471
60700AV50
RB0PEZSDGCO3JS6CEU02
US60700AV503
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
2018-11-25
2019-03-25
2019-03-25
N
N
N
0.0251
200039472.00
200039472.00
0.0047
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.485
60700AV43
RB0PEZSDGCO3JS6CEU02
US60700AV438
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
2018-11-28
2019-03-28
2019-03-28
N
N
N
0.0252
49509611.42
49509611.42
0.0012
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.472
60700AV27
RB0PEZSDGCO3JS6CEU02
US60700AV271
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
2018-11-19
2019-03-19
2019-03-19
N
N
N
0.0251
40008815.20
40008815.20
0.0009
N
N
N
N
MUFG SECURITIES AMERICAS INC. (REPO)
MUFG SECURITIES AMERICAS INC. (REPO) 2.210
0QL001TZ0
0000867626
U.S. Government Agency Repurchase Agreement, collateralized only by U.S. Government Agency securities, U.S. Treasuries, and cash
Y
N
Federal National Mort
2044-04-01
3.628000
312117.09
213980.97
Agency Mortgage-Backed Securities
Government National M
2063-08-20
4.559000
87225.54
63069.20
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-08-01
3.500000
759.19
734.67
Agency Mortgage-Backed Securities
Government National M
2034-11-20
3.625000
46979.80
989.80
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
3.849000
458267.36
70366.00
Agency Mortgage-Backed Securities
Federal National Mort
2037-09-01
4.060000
393446.10
5934.94
Agency Mortgage-Backed Securities
Federal National Mort
2040-01-01
3.575000
89938.34
4287.33
Agency Mortgage-Backed Securities
Government National M
2034-01-20
6.000000
140528.65
88812.08
Agency Mortgage-Backed Securities
Federal National Mort
2046-02-01
3.531000
25215.17
20953.81
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2045-08-01
2.475000
47842.02
29198.22
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2046-04-01
3.500000
337.27
234.68
Agency Mortgage-Backed Securities
Federal National Mort
2040-07-01
4.500000
1405286.52
93234.17
Agency Mortgage-Backed Securities
Federal National Mort
2045-11-01
2.425000
137617.35
70923.04
Agency Mortgage-Backed Securities
Federal National Mort
2040-08-01
4.575000
1414910.73
84536.41
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-10-01
4.000000
1991152.63
2002156.40
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
3.893000
65697.54
3107.65
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2037-11-01
4.000000
3465.30
3238.07
Agency Mortgage-Backed Securities
Federal National Mort
2043-02-01
4.000000
3810.91
1751.41
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
3.485000
290.53
280.43
Agency Mortgage-Backed Securities
Government National M
2046-06-20
4.000000
304448.21
234565.00
Agency Mortgage-Backed Securities
Federal National Mort
2036-07-01
4.197000
56211.46
2375.75
Agency Mortgage-Backed Securities
Federal National Mort
2040-06-01
4.428000
359821.25
72349.13
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-01-01
2.803000
523.61
479.89
Agency Mortgage-Backed Securities
Federal National Mort
2047-12-01
4.000000
262361.76
251032.57
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
69219.64
69318.45
Agency Mortgage-Backed Securities
Federal National Mort
2048-03-01
4.000000
48502.23
47079.22
Agency Mortgage-Backed Securities
Government National M
2045-11-15
4.000000
302.81
125.20
Agency Mortgage-Backed Securities
Federal National Mort
2047-06-01
2.779000
715327.63
507216.14
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
4.000000
759038.08
750961.18
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2041-02-01
4.500000
1489616.30
408035.37
Agency Mortgage-Backed Securities
Government National M
2024-08-15
5.000000
31197.36
2108.49
Agency Mortgage-Backed Securities
Government National M
2048-04-20
3.500000
34148.18
34000.33
Agency Mortgage-Backed Securities
Federal National Mort
2042-01-01
3.000000
132734.93
120690.29
Agency Mortgage-Backed Securities
Federal National Mort
2039-10-01
3.670000
622486.67
43148.93
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
3.747000
329061.64
23723.37
Agency Mortgage-Backed Securities
Government National M
2047-02-15
4.500000
12953.26
10633.87
Agency Mortgage-Backed Securities
Federal National Mort
2040-12-01
3.794000
335867.47
21994.73
Agency Mortgage-Backed Securities
Federal National Mort
2046-10-01
4.000000
44988.95
28644.21
Agency Mortgage-Backed Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2023-10-31
2.875000
4514123.18
4500716.23
U.S. Treasuries (including strips)
Federal National Mort
2047-08-01
2.913000
284467.37
255337.01
Agency Mortgage-Backed Securities
Federal National Mort
2037-02-01
3.660000
74761.24
2569.87
Agency Mortgage-Backed Securities
Federal National Mort
2045-12-01
3.500000
94716.31
68528.33
Agency Mortgage-Backed Securities
Federal National Mort
2023-06-01
5.500000
173980.71
9009.91
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2037-04-01
3.000000
57138.13
48965.53
Agency Mortgage-Backed Securities
Federal National Mort
2038-01-01
3.468000
89576.70
12580.44
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2037-04-01
4.500000
13897.08
10209.53
Agency Mortgage-Backed Securities
Federal National Mort
2040-07-01
4.631000
1562004.63
68023.70
Agency Mortgage-Backed Securities
Federal National Mort
2039-12-01
3.601000
295110.17
35032.89
Agency Mortgage-Backed Securities
Government National M
2047-09-15
4.500000
27147.13
24305.94
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-10-01
0.000000
308754.57
307497.02
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2045-02-01
4.000000
257.67
204.47
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2044-11-01
4.000000
81744.87
44898.90
Agency Mortgage-Backed Securities
Federal National Mort
2038-01-01
3.581000
624890.22
46856.03
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.500000
42395.47
43477.27
Agency Mortgage-Backed Securities
Government National M
2047-09-20
4.000000
8269.91
7803.11
Agency Mortgage-Backed Securities
Federal National Mort
2031-09-01
2.500000
602537.62
444000.29
Agency Mortgage-Backed Securities
Government National M
2066-10-20
4.523000
25295.16
28656.88
Agency Mortgage-Backed Securities
Federal National Mort
2036-09-01
4.573000
224779.93
4822.84
Agency Mortgage-Backed Securities
Government National M
2063-02-20
4.549000
42065.00
23351.80
Agency Mortgage-Backed Securities
Government National M
2047-05-20
3.500000
43596.48
38217.19
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
112770.20
113004.31
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
4.000000
719.31
723.28
Agency Mortgage-Backed Securities
Federal National Mort
2020-07-01
3.780000
134.85
0.01
Agency Mortgage-Backed Securities
Federal National Mort
2047-02-01
4.000000
522580.89
476414.97
Agency Mortgage-Backed Securities
Federal National Mort
2046-11-01
4.000000
145133.30
135277.23
Agency Mortgage-Backed Securities
Federal National Mort
2040-04-01
4.135000
433680.64
27033.77
Agency Mortgage-Backed Securities
Federal National Mort
2040-03-01
3.900000
23524.38
12474.99
Agency Mortgage-Backed Securities
Federal National Mort
2037-03-01
3.746000
702046.38
17787.37
Agency Mortgage-Backed Securities
Federal National Mort
2048-09-01
4.000000
13381.81
13317.17
Agency Mortgage-Backed Securities
Federal National Mort
2034-01-01
4.500000
7308.05
2692.83
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-12-01
3.500000
234156.26
217681.47
Agency Mortgage-Backed Securities
Government National M
2047-08-15
4.500000
32698.63
33315.18
Agency Mortgage-Backed Securities
Federal National Mort
2040-03-01
3.849000
66.55
3.78
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
3.798000
28105.73
1096.15
Agency Mortgage-Backed Securities
Federal National Mort
2042-02-01
3.738000
640315.79
58591.38
Agency Mortgage-Backed Securities
Federal National Mort
2041-11-01
4.063000
844867.75
535020.87
Agency Mortgage-Backed Securities
Federal National Mort
2040-09-01
3.948000
880047.56
54479.11
Agency Mortgage-Backed Securities
Federal National Mort
2038-03-01
3.681000
512119.52
12615.53
Agency Mortgage-Backed Securities
Federal National Mort
2034-09-01
4.459000
58206.97
5423.39
Agency Mortgage-Backed Securities
Government National M
2046-06-20
4.000000
92460.07
75661.74
Agency Mortgage-Backed Securities
Government National M
2041-03-20
4.000000
58083.30
12232.35
Agency Mortgage-Backed Securities
Federal National Mort
2026-09-01
2.500000
748574.01
481116.43
Agency Mortgage-Backed Securities
Federal National Mort
2033-10-01
3.745000
80010.69
4379.90
Agency Mortgage-Backed Securities
Federal National Mort
2047-09-01
3.500000
7098.38
6464.05
Agency Mortgage-Backed Securities
Federal National Mort
2039-10-01
4.570000
1054917.25
44588.12
Agency Mortgage-Backed Securities
Government National M
2048-03-20
4.500000
60578.70
60152.86
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-03-01
4.500000
217039.73
222381.51
Agency Mortgage-Backed Securities
Federal National Mort
2025-11-01
4.000000
66638.69
12296.37
Agency Mortgage-Backed Securities
Government National M
2067-04-20
4.523000
70745.44
74704.88
Agency Mortgage-Backed Securities
Government National M
2043-06-20
4.250000
8186.05
7392.62
Agency Mortgage-Backed Securities
Government National M
2068-04-20
4.249000
55327.45
57786.04
Agency Mortgage-Backed Securities
Federal National Mort
2046-10-01
2.379000
564866.38
367611.35
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
3.000000
61456.95
56737.88
Agency Mortgage-Backed Securities
Government National M
2047-09-15
4.500000
22797.91
10255.41
Agency Mortgage-Backed Securities
Government National M
2046-04-15
4.500000
26440.16
19347.92
Agency Mortgage-Backed Securities
Government National M
2047-05-20
3.000000
170699.11
134181.50
Agency Mortgage-Backed Securities
Federal National Mort
2024-03-01
3.600000
46617.23
43894.68
Agency Mortgage-Backed Securities
Federal National Mort
2038-02-01
3.695000
1272447.54
250836.33
Agency Mortgage-Backed Securities
Government National M
2048-08-20
4.500000
41539.09
43368.85
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-09-01
3.000000
14052.87
13306.82
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
4.000000
547638.47
518100.67
Agency Mortgage-Backed Securities
Federal National Mort
2046-07-01
3.500000
535168.43
428880.84
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-04-01
3.500000
2529.52
1950.56
Agency Mortgage-Backed Securities
Federal National Mort
2048-11-01
3.500000
18457.15
18172.64
Agency Mortgage-Backed Securities
Federal National Mort
2040-03-01
3.713000
1630132.64
227702.46
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2019-08-01
4.055000
58.94
0.03
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
3.500000
105840.03
95919.09
Agency Mortgage-Backed Securities
Federal National Mort
2039-12-01
4.740000
89.12
2.37
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
4.500000
112925.23
117054.81
Agency Mortgage-Backed Securities
Federal National Mort
2041-05-01
4.029000
327527.32
59951.93
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
4.675000
78768.42
13890.33
Agency Mortgage-Backed Securities
Government National M
2047-09-15
4.500000
280829.45
284121.52
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2045-07-01
3.500000
3260.27
1959.91
Agency Mortgage-Backed Securities
Government National M
2043-08-20
2.500000
3201.19
2839.72
Agency Mortgage-Backed Securities
Federal National Mort
2042-05-01
4.000000
268128.67
121857.75
Agency Mortgage-Backed Securities
Government National M
2040-05-15
5.050000
46546.94
38242.27
Agency Mortgage-Backed Securities
Government National M
2041-09-20
3.000000
28.13
4.18
Agency Mortgage-Backed Securities
Government National M
2047-04-15
4.000000
56.30
56.19
Agency Mortgage-Backed Securities
Federal National Mort
2037-01-01
3.539000
5178.37
273.85
Agency Mortgage-Backed Securities
Federal National Mort
2047-09-01
2.875000
708833.94
590939.33
Agency Mortgage-Backed Securities
Government National M
2047-05-15
4.000000
58392.32
54247.99
Agency Mortgage-Backed Securities
Federal National Mort
2036-10-01
4.528000
1677964.18
77772.03
Agency Mortgage-Backed Securities
Government National M
2042-04-20
3.625000
11240.44
9428.44
Agency Mortgage-Backed Securities
Federal National Mort
2037-03-01
7.000000
886342.56
29498.42
Agency Mortgage-Backed Securities
Federal National Mort
2030-10-01
3.760000
149697.75
148231.81
Agency Mortgage-Backed Securities
Federal National Mort
2038-07-01
3.845000
737942.40
55975.81
Agency Mortgage-Backed Securities
Government National M
2047-05-15
4.500000
156433.43
134846.34
Agency Mortgage-Backed Securities
Federal National Mort
2047-09-01
2.716000
1113.52
903.15
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2046-04-01
3.000000
5621.15
4143.33
Agency Mortgage-Backed Securities
Government National M
2060-01-15
3.950000
58268.29
57652.20
Agency Mortgage-Backed Securities
Federal National Mort
2036-07-01
4.425000
1405286.52
27105.67
Agency Mortgage-Backed Securities
Federal National Mort
2027-07-01
3.000000
216213.56
72771.63
Agency Mortgage-Backed Securities
Federal National Mort
2036-12-01
3.560000
97839.81
5160.66
Agency Mortgage-Backed Securities
Federal National Mort
2037-07-01
4.285000
588778.01
21987.56
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2032-08-01
3.000000
70264.33
58395.50
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
3.364000
2539.38
2457.22
Agency Mortgage-Backed Securities
Federal National Mort
2047-02-01
4.000000
65995.09
58931.01
Agency Mortgage-Backed Securities
Federal National Mort
2026-09-01
3.500000
70264.33
16746.26
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2046-06-01
4.000000
3400.79
2778.52
Agency Mortgage-Backed Securities
Federal National Mort
2044-03-01
4.000000
671857.37
401303.55
Agency Mortgage-Backed Securities
Federal National Mort
2027-08-01
3.000000
140528.65
49680.30
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
2.857000
244584.89
213560.36
Agency Mortgage-Backed Securities
Federal National Mort
2037-11-01
3.459000
355620.06
25853.62
Agency Mortgage-Backed Securities
Federal National Mort
2037-07-01
3.644000
630492.67
29430.51
Agency Mortgage-Backed Securities
Federal National Mort
2027-08-01
2.500000
93034.75
39473.74
Agency Mortgage-Backed Securities
Government National M
2046-07-15
4.500000
6307.29
3340.53
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-10-01
4.000000
299573.50
300137.75
Agency Mortgage-Backed Securities
Federal National Mort
2046-05-01
2.597000
49307.79
41184.05
Agency Mortgage-Backed Securities
Government National M
2067-03-20
4.652000
15739.21
17216.52
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2043-09-01
2.404000
132096.93
82973.06
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
2.711000
164455.40
140955.12
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
5.000000
19674.01
18756.23
Agency Mortgage-Backed Securities
Federal National Mort
2028-07-01
3.000000
2220.35
960.43
Agency Mortgage-Backed Securities
Federal National Mort
2045-11-01
3.825000
395466.91
58094.69
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
4.000000
17986.63
17102.13
Agency Mortgage-Backed Securities
Federal National Mort
2023-04-01
5.500000
315116.53
13584.03
Agency Mortgage-Backed Securities
Government National M
2047-04-15
4.500000
187216.32
154982.88
Agency Mortgage-Backed Securities
Government National M
2048-02-20
5.000000
117594.85
121766.60
Agency Mortgage-Backed Securities
Federal National Mort
2027-04-01
3.000000
264193.87
83512.26
Agency Mortgage-Backed Securities
Federal National Mort
2025-11-01
3.000000
245978.18
32738.71
Agency Mortgage-Backed Securities
Federal National Mort
2040-04-01
3.967000
997577.29
31969.59
Agency Mortgage-Backed Securities
Federal National Mort
2047-12-01
2.950000
103991.20
89230.13
Agency Mortgage-Backed Securities
Government National M
2059-02-15
3.650000
185336.21
184838.34
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
4.000000
15128.53
15196.27
Agency Mortgage-Backed Securities
Federal National Mort
2045-05-01
2.609000
293410.81
189167.50
Agency Mortgage-Backed Securities
Federal National Mort
2040-08-01
4.750000
200.45
4.73
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
4.043000
255762.15
14295.98
Agency Mortgage-Backed Securities
Government National M
2047-01-15
4.000000
20459.96
15542.53
Agency Mortgage-Backed Securities
Federal National Mort
2038-11-01
3.445000
56211.46
6188.95
Agency Mortgage-Backed Securities
Federal National Mort
2046-05-01
4.000000
497756.87
347693.07
Agency Mortgage-Backed Securities
Federal National Mort
2040-08-01
4.500000
1310321.24
81168.85
Agency Mortgage-Backed Securities
Federal National Mort
2039-11-01
3.840000
273538.26
281100.27
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
4.133000
1395631.78
24008.34
Agency Mortgage-Backed Securities
Federal National Mort
2042-06-01
4.000000
656938.14
218701.69
Agency Mortgage-Backed Securities
Federal National Mort
2043-05-01
3.500000
3097419.22
1563934.22
Agency Mortgage-Backed Securities
Federal National Mort
2034-12-01
3.500000
738725.09
354181.66
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2045-07-01
1.852000
17621.11
10157.62
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-11-01
3.000000
6208.56
2687.51
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
4.055000
99966.46
69176.31
Agency Mortgage-Backed Securities
Government National M
2065-06-20
4.484000
87750.47
89571.74
Agency Mortgage-Backed Securities
Federal National Mort
2044-03-01
4.500000
175396.17
75214.94
Agency Mortgage-Backed Securities
Federal National Mort
2047-05-01
4.000000
211388.79
187944.39
Agency Mortgage-Backed Securities
Federal National Mort
2023-02-01
5.000000
97532.84
1972.92
Agency Mortgage-Backed Securities
Government National M
2068-09-20
4.366000
21292.14
22122.08
Agency Mortgage-Backed Securities
Federal National Mort
2036-09-01
3.918000
28105.73
4493.25
Agency Mortgage-Backed Securities
Government National M
2046-05-15
4.000000
27627.57
23360.51
Agency Mortgage-Backed Securities
Federal National Mort
2047-09-01
3.500000
278676.33
255282.94
Agency Mortgage-Backed Securities
Federal National Mort
2046-06-01
4.000000
546469.83
397290.62
Agency Mortgage-Backed Securities
Federal National Mort
2023-11-01
3.570000
10928.86
10202.87
Agency Mortgage-Backed Securities
Government National M
2047-09-15
4.500000
35035.73
32522.09
Agency Mortgage-Backed Securities
Government National M
2059-05-15
3.500000
64259.90
63115.80
Agency Mortgage-Backed Securities
Federal National Mort
2047-09-01
4.000000
262278.99
224876.68
Agency Mortgage-Backed Securities
Federal National Mort
2040-01-01
4.000000
37942.74
6921.22
Agency Mortgage-Backed Securities
Government National M
2048-03-20
5.500000
65679.58
68686.47
Agency Mortgage-Backed Securities
Federal National Mort
2038-03-01
3.552000
464046.12
23407.95
Agency Mortgage-Backed Securities
Government National M
2047-10-20
4.500000
73633.56
71026.20
Agency Mortgage-Backed Securities
Government National M
2043-07-20
3.500000
11624.19
10473.91
Agency Mortgage-Backed Securities
Government National M
2047-12-20
4.000000
31334.88
31272.83
Agency Mortgage-Backed Securities
Government National M
2068-01-20
4.278000
67090.54
66995.01
Agency Mortgage-Backed Securities
Government National M
2059-10-15
4.200000
37090.15
36917.35
Agency Mortgage-Backed Securities
Federal National Mort
2031-03-01
4.000000
290270.36
178413.48
Agency Mortgage-Backed Securities
Federal National Mort
2035-07-01
5.000000
333083.15
55849.16
Agency Mortgage-Backed Securities
Federal National Mort
2048-07-01
4.000000
61323.39
61618.80
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
3.500000
233412.10
211692.51
Agency Mortgage-Backed Securities
Federal National Mort
2024-08-01
3.090000
290.56
275.83
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-10-01
4.000000
314931.68
301789.76
Agency Mortgage-Backed Securities
Federal National Mort
2030-12-01
4.000000
1416843.73
306833.17
Agency Mortgage-Backed Securities
Federal National Mort
2041-04-01
4.039000
1238.96
106.86
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
3.000000
96909.12
91976.70
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
3.634000
28961.97
29011.27
Agency Mortgage-Backed Securities
Federal National Mort
2034-01-01
3.477000
29089.43
1768.94
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2045-08-01
3.000000
2951.10
2084.35
Agency Mortgage-Backed Securities
Federal National Mort
2044-06-01
2.885000
809417.27
245388.47
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
4.500000
40186.78
41086.53
Agency Mortgage-Backed Securities
Government National M
2047-04-20
3.000000
193843.90
149627.60
Agency Mortgage-Backed Securities
Federal National Mort
2048-06-01
4.000000
58020.32
58482.06
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
2.331000
456954.88
373703.55
Agency Mortgage-Backed Securities
Federal National Mort
2027-06-01
3.000000
244519.85
74602.72
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2036-08-01
4.000000
8794.51
5533.63
Agency Mortgage-Backed Securities
Federal National Mort
2038-03-01
3.685000
342098.73
14472.48
Agency Mortgage-Backed Securities
Government National M
2047-01-15
4.000000
19944.28
16806.88
Agency Mortgage-Backed Securities
Federal National Mort
2038-02-01
3.984000
467.79
7.47
Agency Mortgage-Backed Securities
Federal National Mort
2037-03-01
4.030000
53561.93
3288.14
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
4.000000
7158.11
6095.38
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2027-07-01
2.500000
2810.57
962.24
Agency Mortgage-Backed Securities
Federal National Mort
2044-04-01
2.896000
19096.92
7722.34
Agency Mortgage-Backed Securities
Federal National Mort
2044-10-01
2.873000
101304.10
34630.75
Agency Mortgage-Backed Securities
Federal National Mort
2040-05-01
4.288000
372485.78
52204.14
Agency Mortgage-Backed Securities
Federal National Mort
2041-12-01
3.911000
5188.52
2419.58
Agency Mortgage-Backed Securities
Federal National Mort
2036-11-01
3.385000
354546.45
4659.61
Agency Mortgage-Backed Securities
Federal National Mort
2026-04-01
4.000000
9710.28
760.70
Agency Mortgage-Backed Securities
Federal National Mort
2033-09-01
4.491000
421628.93
5039.93
Agency Mortgage-Backed Securities
Government National M
2046-04-15
4.000000
222013.49
162855.44
Agency Mortgage-Backed Securities
Federal National Mort
2037-11-01
4.425000
28105.73
1447.91
Agency Mortgage-Backed Securities
Federal National Mort
2037-10-01
4.662000
472866.15
18283.56
Agency Mortgage-Backed Securities
Federal National Mort
2030-07-01
3.000000
200234.55
174616.66
Agency Mortgage-Backed Securities
Federal National Mort
2048-06-01
3.154000
311028.47
292469.81
Agency Mortgage-Backed Securities
Federal National Mort
2047-06-01
2.817000
65764.40
54284.76
Agency Mortgage-Backed Securities
Federal National Mort
2036-06-01
3.977000
336135.54
76060.85
Agency Mortgage-Backed Securities
Federal National Mort
2028-09-01
3.620000
28.11
27.90
Agency Mortgage-Backed Securities
Government National M
2059-07-15
3.780000
96720.64
95753.53
Agency Mortgage-Backed Securities
Government National M
2047-09-15
4.500000
539599.02
515655.51
Agency Mortgage-Backed Securities
Federal National Mort
2039-03-01
4.200000
493431.51
368309.38
Agency Mortgage-Backed Securities
Federal National Mort
2031-07-01
3.000000
141298.75
104952.90
Agency Mortgage-Backed Securities
Federal National Mort
2033-12-01
3.302000
53400.89
1585.25
Agency Mortgage-Backed Securities
Government National M
2067-06-20
4.645000
33726.88
35347.12
Agency Mortgage-Backed Securities
Government National M
2039-03-15
4.500000
10004.57
1005.61
Agency Mortgage-Backed Securities
Federal National Mort
2034-10-01
5.000000
226145.40
102794.43
Agency Mortgage-Backed Securities
Federal National Mort
2038-11-01
6.500000
2011535.72
99949.17
Agency Mortgage-Backed Securities
Government National M
2047-03-15
4.500000
86671.24
64695.81
Agency Mortgage-Backed Securities
Federal National Mort
2035-12-01
3.970000
652767.70
135224.16
Agency Mortgage-Backed Securities
Federal National Mort
2038-05-01
3.753000
203465.08
12947.80
Agency Mortgage-Backed Securities
Federal National Mort
2028-03-01
2.500000
39279.16
13532.01
Agency Mortgage-Backed Securities
Federal National Mort
2037-04-01
4.000000
196679.07
164892.69
Agency Mortgage-Backed Securities
Federal National Mort
2036-07-01
4.070000
127792.71
2405.12
Agency Mortgage-Backed Securities
Government National M
2046-05-15
4.500000
45749.05
37943.60
Agency Mortgage-Backed Securities
Federal National Mort
2046-08-01
2.388000
566401.38
336250.46
Agency Mortgage-Backed Securities
Government National M
2047-02-15
4.500000
30147.86
18316.82
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2031-08-01
2.500000
37459.60
29140.30
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
4.000000
72607.67
68714.85
Agency Mortgage-Backed Securities
Federal National Mort
2047-07-01
2.975000
376613.22
288266.36
Agency Mortgage-Backed Securities
Federal National Mort
2034-01-01
4.104000
311973.61
84202.33
Agency Mortgage-Backed Securities
Federal National Mort
2021-02-01
4.500000
349.33
319.19
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
3.985000
1085965.14
24365.09
Agency Mortgage-Backed Securities
Federal National Mort
2046-10-01
4.000000
17120.41
12533.24
Agency Mortgage-Backed Securities
Federal National Mort
2025-01-01
4.500000
88165.29
5774.54
Agency Mortgage-Backed Securities
Federal National Mort
2037-08-01
4.429000
345026.76
11641.55
Agency Mortgage-Backed Securities
Federal National Mort
2025-11-01
4.000000
163132.63
11627.33
Agency Mortgage-Backed Securities
Federal National Mort
2038-05-01
3.942000
494429.57
33535.60
Agency Mortgage-Backed Securities
Federal National Mort
2039-11-01
3.570000
844085.15
41123.29
Agency Mortgage-Backed Securities
Federal National Mort
2037-07-01
4.386000
16055.34
1317.21
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
4.000000
1031987.22
40470.34
Agency Mortgage-Backed Securities
Federal National Mort
2022-05-01
5.000000
154165.41
4684.60
Agency Mortgage-Backed Securities
Federal National Mort
2037-04-01
4.054000
761815.01
27419.75
Agency Mortgage-Backed Securities
Government National M
2047-11-15
4.500000
31738.03
32446.25
Agency Mortgage-Backed Securities
Government National M
2066-11-20
4.457000
16722.91
15578.24
Agency Mortgage-Backed Securities
Government National M
2047-10-15
4.500000
226517.52
229568.98
Agency Mortgage-Backed Securities
Federal National Mort
2047-10-01
3.500000
57212.70
55131.98
Agency Mortgage-Backed Securities
Federal National Mort
2047-05-01
3.270000
704510.01
582563.91
Agency Mortgage-Backed Securities
Federal National Mort
2042-06-01
3.500000
72826.98
35471.77
Agency Mortgage-Backed Securities
Government National M
2047-07-15
4.500000
7745.77
6754.41
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
44141.40
43926.70
Agency Mortgage-Backed Securities
Federal National Mort
2033-10-01
3.961000
56211.46
1488.81
Agency Mortgage-Backed Securities
Federal National Mort
2047-07-01
4.500000
31796.74
32408.94
Agency Mortgage-Backed Securities
Federal National Mort
2037-08-01
4.510000
355103.17
6768.69
Agency Mortgage-Backed Securities
Federal National Mort
2043-07-01
2.717000
73074.90
41557.96
Agency Mortgage-Backed Securities
Federal National Mort
2046-02-01
4.000000
798154.46
430115.14
Agency Mortgage-Backed Securities
Government National M
2030-09-20
3.500000
29823.41
14508.88
Agency Mortgage-Backed Securities
Federal National Mort
2040-02-01
3.738000
1405286.52
142535.38
Agency Mortgage-Backed Securities
Government National M
2048-04-15
4.500000
11258.06
11571.34
Agency Mortgage-Backed Securities
Federal National Mort
2033-08-01
3.883000
55368.29
8600.89
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
35052.96
35380.97
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
4.000000
77271.90
73722.83
Agency Mortgage-Backed Securities
Government National M
2059-10-15
3.500000
13966.78
13631.53
Agency Mortgage-Backed Securities
Federal National Mort
2036-11-01
3.873000
786265.56
20603.71
Agency Mortgage-Backed Securities
Federal National Mort
2038-03-01
3.750000
219224.70
12325.59
Agency Mortgage-Backed Securities
Federal National Mort
2027-01-01
3.000000
15448.65
4670.56
Agency Mortgage-Backed Securities
Federal National Mort
2041-02-01
4.098000
235665.42
215634.40
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2043-05-01
3.500000
562781.11
338564.59
Agency Mortgage-Backed Securities
Federal National Mort
2047-07-01
3.178000
26913.09
24091.96
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-01-01
3.500000
97651.22
90618.12
Agency Mortgage-Backed Securities
Federal National Mort
2040-01-01
3.537000
112422.92
9158.63
Agency Mortgage-Backed Securities
Government National M
2065-11-20
4.591000
132096.93
121878.89
Agency Mortgage-Backed Securities
Federal National Mort
2037-09-01
4.250000
343793.99
1998.40
Agency Mortgage-Backed Securities
Federal National Mort
2036-07-01
4.632000
22484.58
769.84
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2045-12-01
3.500000
5902.20
3833.77
Agency Mortgage-Backed Securities
Government National M
2043-05-20
3.500000
66343.46
7104.32
Agency Mortgage-Backed Securities
Government National M
2045-02-15
4.000000
2027.55
1349.00
Agency Mortgage-Backed Securities
Federal National Mort
2047-09-01
3.500000
43080.77
37477.51
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2027-01-01
4.500000
1030075.02
122831.23
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-07-01
3.500000
7154.57
6877.20
Agency Mortgage-Backed Securities
Federal National Mort
2038-05-01
4.020000
38837.20
849.05
Agency Mortgage-Backed Securities
Federal National Mort
2044-01-01
2.601000
563461.63
97426.80
Agency Mortgage-Backed Securities
Government National M
2059-03-15
3.540000
23853.98
22329.38
Agency Mortgage-Backed Securities
Federal National Mort
2026-06-01
4.000000
176087.35
40471.52
Agency Mortgage-Backed Securities
Government National M
2048-05-20
6.000000
12787.88
13978.08
Agency Mortgage-Backed Securities
Federal National Mort
2047-09-01
2.958000
97353.53
87135.85
Agency Mortgage-Backed Securities
Federal National Mort
2046-11-01
2.295000
104840.39
74070.46
Agency Mortgage-Backed Securities
Federal National Mort
2040-12-01
3.256000
20951.98
2950.03
Agency Mortgage-Backed Securities
Federal National Mort
2047-02-01
3.000000
156435.51
140764.83
Agency Mortgage-Backed Securities
Government National M
2048-08-20
5.000000
50095.77
53225.75
Agency Mortgage-Backed Securities
Federal National Mort
2038-05-01
4.147000
330196.52
11945.62
Agency Mortgage-Backed Securities
Federal National Mort
2039-12-01
3.500000
32602.65
5806.97
Agency Mortgage-Backed Securities
Federal National Mort
2047-06-01
2.794000
133721.05
109597.42
Agency Mortgage-Backed Securities
Government National M
2048-03-20
4.000000
134771.14
134995.51
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-09-01
3.500000
1405.29
1231.67
Agency Mortgage-Backed Securities
Government National M
2068-07-20
4.590000
62325.92
66079.79
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-09-01
3.000000
8431.72
3666.51
Agency Mortgage-Backed Securities
Federal National Mort
2039-08-01
4.531000
36.54
0.01
Agency Mortgage-Backed Securities
Government National M
2065-07-20
4.514000
120011.47
106092.23
Agency Mortgage-Backed Securities
Federal National Mort
2046-03-01
2.214000
531746.73
330179.27
Agency Mortgage-Backed Securities
Federal National Mort
2037-10-01
4.480000
164196.49
7511.63
Agency Mortgage-Backed Securities
Federal National Mort
2033-04-01
3.000000
47468.61
45797.70
Agency Mortgage-Backed Securities
Federal National Mort
2036-08-01
4.499000
1405286.52
46389.52
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-10-01
4.000000
28.78
28.94
Agency Mortgage-Backed Securities
Federal National Mort
2036-12-01
3.617000
522940.00
21239.83
Agency Mortgage-Backed Securities
Government National M
2041-03-20
4.000000
43538.45
9616.75
Agency Mortgage-Backed Securities
Government National M
2048-06-20
5.000000
70923.01
73792.05
Agency Mortgage-Backed Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2044-05-15
3.375000
716867.57
730666.78
U.S. Treasuries (including strips)
Federal National Mort
2027-05-01
3.000000
1405286.52
397412.45
Agency Mortgage-Backed Securities
Federal National Mort
2047-08-01
4.000000
9936.05
9232.67
Agency Mortgage-Backed Securities
Federal National Mort
2041-01-01
3.960000
364220.30
338430.18
Agency Mortgage-Backed Securities
Federal National Mort
2048-11-01
4.000000
142170.70
143339.25
Agency Mortgage-Backed Securities
Government National M
2058-10-15
3.250000
219992.07
214907.24
Agency Mortgage-Backed Securities
Federal National Mort
2041-02-01
3.779000
4091.52
270.11
Agency Mortgage-Backed Securities
Government National M
2059-11-15
3.590000
379499.51
374012.58
Agency Mortgage-Backed Securities
Federal National Mort
2024-07-01
3.420000
112422.92
104612.04
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-01-01
3.000000
2726.26
2283.38
Agency Mortgage-Backed Securities
Federal National Mort
2037-01-01
3.887000
119027.77
4389.62
Agency Mortgage-Backed Securities
Federal National Mort
2042-01-01
4.000000
792636.46
287231.97
Agency Mortgage-Backed Securities
Government National M
2060-05-15
3.500000
8285.68
8075.72
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
4.000000
27354.89
27413.93
Agency Mortgage-Backed Securities
Government National M
2043-11-20
3.375000
20971.40
3077.21
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
3.015000
141262.77
123068.70
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
3.500000
843.17
822.57
Agency Mortgage-Backed Securities
Federal National Mort
2033-03-01
4.000000
152440.09
150502.29
Agency Mortgage-Backed Securities
Federal National Mort
2047-05-01
3.262000
3060.60
2702.02
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
4.000000
49549.76
49541.54
Agency Mortgage-Backed Securities
Federal National Mort
2040-05-01
4.435000
98370.06
10143.72
Agency Mortgage-Backed Securities
Government National M
2058-11-15
3.680000
40610.34
40607.64
Agency Mortgage-Backed Securities
Government National M
2045-06-20
3.000000
73.19
22.93
Agency Mortgage-Backed Securities
Government National M
2046-11-15
4.000000
100407.19
95030.15
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
3.997000
244216.12
129474.43
Agency Mortgage-Backed Securities
Federal National Mort
2047-07-01
3.026000
87678.07
63473.77
Agency Mortgage-Backed Securities
Government National M
2047-10-15
4.500000
22004.76
17639.11
Agency Mortgage-Backed Securities
Federal National Mort
2047-02-01
4.000000
220993.11
190996.79
Agency Mortgage-Backed Securities
Federal National Mort
2036-04-01
4.050000
59022.03
4080.93
Agency Mortgage-Backed Securities
Federal National Mort
2037-08-01
4.625000
600683.00
17996.90
Agency Mortgage-Backed Securities
Government National M
2067-07-20
4.559000
32380.33
32022.90
Agency Mortgage-Backed Securities
Federal National Mort
2037-09-01
3.464000
1401857.67
38243.17
Agency Mortgage-Backed Securities
Government National M
2046-12-15
4.500000
18832.50
8874.70
Agency Mortgage-Backed Securities
Federal National Mort
2037-08-01
2.780000
255762.15
40487.67
Agency Mortgage-Backed Securities
Government National M
2041-03-20
4.000000
62.34
1.66
Agency Mortgage-Backed Securities
Federal National Mort
2047-10-01
2.931000
54828.21
47291.18
Agency Mortgage-Backed Securities
Federal National Mort
2043-01-01
3.863000
452623.56
291900.28
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2029-07-01
3.500000
2107.93
946.51
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
2.432000
456850.13
331415.49
Agency Mortgage-Backed Securities
Federal National Mort
2042-10-01
3.828000
319.31
45.40
Agency Mortgage-Backed Securities
Federal National Mort
2038-04-01
3.972000
51443.83
50557.04
Agency Mortgage-Backed Securities
Federal National Mort
2044-04-01
4.500000
1844.50
647.27
Agency Mortgage-Backed Securities
Government National M
2047-02-15
4.500000
13541.87
6860.79
Agency Mortgage-Backed Securities
Federal National Mort
2040-07-01
4.459000
64308.64
3960.05
Agency Mortgage-Backed Securities
Federal National Mort
2025-11-01
4.000000
1092762.71
194418.21
Agency Mortgage-Backed Securities
Federal National Mort
2045-09-01
4.000000
231150.46
150866.15
Agency Mortgage-Backed Securities
Federal National Mort
2033-06-01
4.000000
40568.15
40388.82
Agency Mortgage-Backed Securities
Federal National Mort
2042-03-01
3.500000
884082.98
381176.04
Agency Mortgage-Backed Securities
Federal National Mort
2040-05-01
4.208000
241709.28
8334.63
Agency Mortgage-Backed Securities
Federal National Mort
2040-09-01
5.000000
535378.22
107160.78
Agency Mortgage-Backed Securities
Federal National Mort
2046-06-01
3.500000
1522698.23
1200380.71
Agency Mortgage-Backed Securities
Federal National Mort
2044-07-01
4.000000
216962.21
131854.91
Agency Mortgage-Backed Securities
Government National M
2047-07-20
2.500000
104598.29
62989.01
Agency Mortgage-Backed Securities
Federal National Mort
2033-08-01
4.322000
45671.81
1437.63
Agency Mortgage-Backed Securities
Government National M
2054-08-15
4.580000
3046.41
3106.97
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-08-01
4.000000
4935183.47
4302357.37
Agency Mortgage-Backed Securities
Federal National Mort
2037-10-01
4.615000
1358920.80
24782.17
Agency Mortgage-Backed Securities
Federal National Mort
2047-02-01
2.921000
283686.12
227685.55
Agency Mortgage-Backed Securities
Federal National Mort
2039-01-01
4.062000
1247827.03
283665.95
Agency Mortgage-Backed Securities
Federal National Mort
2031-10-01
4.070000
10212949.80
236916.22
Agency Mortgage-Backed Securities
Federal National Mort
2047-04-01
2.429000
2810.57
1861.77
Agency Mortgage-Backed Securities
Government National M
2047-08-15
4.500000
121030.41
97642.02
Agency Mortgage-Backed Securities
Government National M
2047-05-15
4.500000
27758.29
23604.13
Agency Mortgage-Backed Securities
Federal National Mort
2043-04-01
3.500000
756212.22
333682.59
Agency Mortgage-Backed Securities
Government National M
2048-03-20
5.000000
52206.98
54101.51
Agency Mortgage-Backed Securities
Government National M
2046-10-15
4.000000
16796.55
14851.86
Agency Mortgage-Backed Securities
Federal National Mort
2045-02-01
3.500000
268288.87
215009.83
Agency Mortgage-Backed Securities
Government National M
2044-04-20
2.500000
154424.71
32156.79
Agency Mortgage-Backed Securities
Government National M
2068-06-20
4.150000
116315.90
119867.41
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2040-05-01
4.500000
14052.87
2864.35
Agency Mortgage-Backed Securities
Federal National Mort
2048-06-01
4.000000
34301.13
33668.37
Agency Mortgage-Backed Securities
Federal National Mort
2046-04-01
2.564000
183955.46
104040.31
Agency Mortgage-Backed Securities
Federal National Mort
2038-05-01
4.204000
10174.27
901.57
Agency Mortgage-Backed Securities
Federal National Mort
2047-06-01
4.000000
176828.97
158027.01
Agency Mortgage-Backed Securities
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0221
47779741.56
47779741.56
0.0011
N
Y
Y
N
NATIONAL AUSTRALIA BANK LIMITED
NATIONAL AUSTRALIA BANK LIMITED 2.524
63254GHQ1
F8SB4JFBSYQFRQEH3Z21
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+
2018-11-28
2019-07-26
2019-07-26
N
N
N
0.0256
75009153.75
75009153.75
0.0018
N
N
N
N
NATIONAL AUSTRALIA BANK LIMITED
NATIONAL AUSTRALIA BANK LIMITED 2.594
63254GHD0
F8SB4JFBSYQFRQEH3Z21
US63254GHD07
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+
2018-11-11
2019-05-10
2019-05-10
N
N
N
0.0263
80052454.40
80052454.40
0.0019
N
N
N
N
NATIONAL AUSTRALIA BANK LIMITED
NATIONAL AUSTRALIA BANK LIMITED 2.180
0NAB01MW9
0000833029
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+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
150000000.00
150000000.00
0.0035
N
Y
Y
N
NATIONAL AUSTRALIA BANK LIMITED
NATIONAL AUSTRALIA BANK LIMITED 2.450
63254GJG1
F8SB4JFBSYQFRQEH3Z21
US63254GJG10
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+
2018-11-15
2019-06-13
2019-06-13
N
N
N
0.0248
99978384.00
99978384.00
0.0024
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.534
63873NVL2
KX1WK48MPD4Y2NCUIZ63
US63873NVL27
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
2018-11-10
2018-12-10
2018-12-10
N
N
N
0.0257
200057730.00
200057730.00
0.0047
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.639
63873LBL8
KX1WK48MPD4Y2NCUIZ63
US63873LBL80
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
2018-11-15
2019-02-15
2019-02-15
N
N
N
0.0267
73058673.02
73058673.02
0.0017
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.500
63873NWC1
KX1WK48MPD4Y2NCUIZ63
US63873NWC19
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
2018-11-21
2018-12-21
2018-12-21
N
N
N
0.0253
250073480.00
250073480.00
0.0059
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.410
63873NXP1
KX1WK48MPD4Y2NCUIZ63
US63873NXP13
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
2018-11-19
2019-05-17
2019-05-17
N
N
N
0.0244
99994417.00
99994417.00
0.0024
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.500
63873NWS6
KX1WK48MPD4Y2NCUIZ63
US63873NWS60
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
2019-02-07
2019-02-07
2019-02-07
N
N
N
0.0250
119991866.40
119991866.40
0.0028
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.580
63873LBK0
KX1WK48MPD4Y2NCUIZ63
US63873LBK08
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
2018-11-21
2018-12-21
2018-12-21
N
N
N
0.0261
125050867.50
125050867.50
0.0030
N
N
N
N
NATIXIS S.A. - GRAND CAYMAN
NATIXIS S.A. - GRAND CAYMAN 2.180
0NGC02EM0
KX1WK48MPD4Y2NCUIZ63
0001456764
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
800000000.00
800000000.00
0.0189
N
Y
Y
N
NESTLE CAPITAL CORP.
NESTLE CAPITAL CORP. 2.408
64105HMK5
549300VIRTXBZ81J0S95
US64105HMK58
Non-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
NR
Standard & Poor's Short Rating
A-1+
2018-12-19
2018-12-19
2018-12-19
N
N
N
0.0241
124603236.25
124603236.25
0.0029
N
N
N
N
NEW YORK ST HSG FIN AGY
NEW YORK ST HSG FIN AGY 2.400
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
2018-11-01
2018-11-01
2049-11-01
Y
BANK OF CHINA-NEW YORK
1.0000
1
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
0.0240
18350000.00
18350000.00
0.0004
N
Y
Y
N
NORDEA BANK ABP NEW YORK BRANCH
NORDEA BANK ABP NEW YORK BRANCH 2.180
ORP001H99
0001002614
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+
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
1000000000.00
1000000000.00
0.0236
N
Y
Y
N
NORDEA BANK ABP NEW YORK BRANCH
NORDEA BANK ABP NEW YORK BRANCH 2.450
65590AJ23
529900ODI3047E2LIV03
US65590AJ235
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+
2018-11-15
2019-06-13
2019-06-13
N
N
N
0.0248
99981481.00
99981481.00
0.0024
N
N
N
N
OLD LINE FUNDING LLC
OLD LINE FUNDING LLC 2.450
67984YFF6
5493004QSN8OZAIU2J90
US67984YFF60
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+
2018-11-16
2019-04-16
2019-04-16
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0248
155000000.00
155000000.00
0.0037
N
N
N
N
OLD LINE FUNDING LLC
OLD LINE FUNDING LLC 2.437
67985FBK9
5493004QSN8OZAIU2J90
US67985FBK93
0000230428
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+
2018-11-11
2019-03-11
2019-03-11
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0247
100010835.00
100010835.00
0.0024
N
N
N
N
OLD LINE FUNDING LLC
OLD LINE FUNDING LLC 2.595
67984VDS6
5493004QSN8OZAIU2J90
US67984VDS60
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+
2018-12-05
2019-06-05
2019-06-05
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0263
149991063.00
149991063.00
0.0035
N
N
N
N
OVERSEA-CHINESE BANKING CORPORATION LIMITED
OVERSEA-CHINESE BANKING CORPORATION LIMITED 2.531
69034CFR4
5493007O3QFXCPOGWK22
US69034CFR43
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+
2018-11-09
2019-01-07
2019-01-07
N
N
N
0.0257
150043989.00
150043989.00
0.0035
N
N
N
N
OVERSEA-CHINESE BANKING CORPORATION LIMITED
OVERSEA-CHINESE BANKING CORPORATION LIMITED 2.444
69034BNP1
5493007O3QFXCPOGWK22
US69034BNP12
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+
2019-01-23
2019-01-23
2019-01-23
N
N
N
0.0244
64624776.45
64624776.45
0.0015
N
N
N
N
OVERSEA-CHINESE BANKING CORPORATION NY AGENCY
OVERSEA-CHINESE BANKING CORPORATION NY AGENCY 2.496
69033MAD9
5493007O3QFXCPOGWK22
US69033MAD92
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+
2018-11-24
2019-04-24
2019-04-24
N
N
N
0.0253
100006710.00
100006710.00
0.0024
N
N
N
N
OVERSEA-CHINESE BANKING CORPORATION NY AGENCY
OVERSEA-CHINESE BANKING CORPORATION NY AGENCY 2.549
69034CFP8
5493007O3QFXCPOGWK22
US69034CFP86
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+
2018-11-13
2018-11-13
2018-11-13
N
N
N
0.0259
20002147.80
20002147.80
0.0005
N
N
N
N
RABOBANK LONDON
RABOBANK LONDON 2.420
1E5919N
DG3RU1DBUFHT4ZF9WN62
XS1864503880
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
2018-11-06
2019-08-05
2019-08-05
N
N
N
0.0246
199962084.00
199962084.00
0.0047
N
N
N
N
RABOBANK LONDON
RABOBANK LONDON 2.514
1E3599N
XS1861130471
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
2018-11-27
2019-04-26
2019-04-26
N
N
N
0.0255
199999924.00
199999924.00
0.0047
N
N
N
N
RABOBANK-NEW YORK
RABOBANK-NEW YORK 2.300
21687CBB4
US21687CBB46
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa3
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2018-11-26
2019-05-24
2019-05-24
N
N
N
0.0233
34992151.25
34992151.25
0.0008
N
N
N
N
RABOBANK-NEW YORK
RABOBANK-NEW YORK 2.423
21684B7B4
DG3RU1DBUFHT4ZF9WN62
US21684B7B47
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
2018-12-21
2019-06-21
2019-06-21
N
N
N
0.0246
218957454.87
218957454.87
0.0052
N
N
N
N
RABOBANK-NEW YORK
RABOBANK-NEW YORK 2.464
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
2018-11-11
2018-11-13
2018-11-13
N
N
N
0.0250
100007759.00
100007759.00
0.0024
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.410
78013WN48
US78013WN486
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+
2019-01-04
2019-01-04
2019-01-04
N
N
N
0.0241
99564500.00
99564500.00
0.0024
N
N
N
N
ROYAL BANK OF CANADA NY BRANCH
ROYAL BANK OF CANADA NY BRANCH 2.512
78012UFH3
ES7IP3U3RHIGC71XBU11
US78012UFH32
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+
2018-11-23
2019-04-23
2019-04-23
N
N
N
0.0255
75018492.75
75018492.75
0.0018
N
N
N
N
ROYAL BANK OF CANADA NY BRANCH
ROYAL BANK OF CANADA NY BRANCH 2.536
78012UFJ9
ES7IP3U3RHIGC71XBU11
US78012UFJ97
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+
2018-11-24
2019-07-24
2019-07-24
N
N
N
0.0257
30007878.90
30007878.90
0.0007
N
N
N
N
ROYAL BANK OF CANADA NY BRANCH
ROYAL BANK OF CANADA NY BRANCH 2.524
78012UFL4
ES7IP3U3RHIGC71XBU11
US78012UFL44
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+
2018-11-28
2019-07-26
2019-07-26
N
N
N
0.0256
10001220.50
10001220.50
0.0002
N
N
N
N
ROYAL BANK OF CANADA NY BRANCH
ROYAL BANK OF CANADA NY BRANCH 2.429
78012UFU4
ES7IP3U3RHIGC71XBU11
US78012UFU43
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+
2018-11-02
2019-08-02
2019-08-02
N
N
N
0.0246
144935076.25
144935076.25
0.0034
N
N
N
N
SAN FRANCISCO CITY & CNTY CA MF HSG REVENUE
SAN FRANCISCO CITY & CNTY CA MF HSG REVENUE 2.280
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
2018-11-07
2018-11-07
2056-11-01
Y
BANK OF CHINA-NEW YORK
1.0000
7
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
0.0228
24190000.00
24190000.00
0.0006
N
N
Y
N
SAN FRANCISCO CITY & CNTY CA MF HSG REVENUE
SAN FRANCISCO CITY & CNTY CA MF HSG REVENUE 2.290
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
2018-11-07
2018-11-07
2056-11-01
Y
BANK OF CHINA-NEW YORK
1.0000
7
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
0.0229
15190000.00
15190000.00
0.0004
N
N
Y
N
SHEFFIELD RECEIVABLES COMPANY LLC
SHEFFIELD RECEIVABLES COMPANY LLC 2.530
82124QAL5
549300MYF6MOTU9T3G29
US82124QAL59
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
2018-11-01
2018-11-28
2018-11-28
N
Y
BARCLAYS BANK PLC
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
0.0257
25001131.50
25001131.50
0.0006
N
N
N
N
SINOPEC CENTURY BRIGHT CAPITAL INVESTMENT LIMITED
SINOPEC CENTURY BRIGHT CAPITAL INVESTMENT LIMITED 2.321
82937RL53
US82937RL534
Non-Financial Company Commercial Paper
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
2018-11-05
2018-11-05
2018-11-05
N
N
N
0.0232
99169482.11
99169482.11
0.0023
N
N
Y
N
SKANDINAVISKA ENSKILDA BANKEN AB/GRAND CAYMAN
SKANDINAVISKA ENSKILDA BANKEN AB/GRAND CAYMAN 2.180
ORK001QJ2
0000917311
Non-Negotiable Time Deposit
Y
Fitch Long Rating
A+
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
192886000.00
192886000.00
0.0046
N
Y
Y
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.424
83050F2D2
F3JS33DEI6XQ4ZBPTN86
US83050F2D24
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
A+
Standard & Poor's Short Rating
A-1
2018-11-10
2019-04-10
2019-04-10
N
N
N
0.0246
74993414.25
74993414.25
0.0018
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.557
83050FT68
F3JS33DEI6XQ4ZBPTN86
US83050FT681
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
A+
Standard & Poor's Short Rating
A-1
2018-11-07
2018-12-07
2018-12-07
N
N
N
0.0259
70021193.20
70021193.20
0.0017
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.480
83050F3D1
F3JS33DEI6XQ4ZBPTN86
US83050F3D15
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
A+
Standard & Poor's Short Rating
A-1
2018-11-19
2019-04-17
2019-04-17
N
N
N
0.0251
79988952.00
79988952.00
0.0019
N
N
N
N
SOCIETE GENERALE NY BRANCH
SOCIETE GENERALE NY BRANCH 2.637
83369YV78
O2RNE8IBXP4R0TD8PU41
US83369YV781
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
2019-01-23
2019-04-23
2019-04-23
N
N
N
0.0267
29998496.70
29998496.70
0.0007
N
N
N
N
SOCIETE GENERALE NY BRANCH
SOCIETE GENERALE NY BRANCH 2.460
83369YP83
O2RNE8IBXP4R0TD8PU41
US83369YP833
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
2019-01-31
2019-01-31
2019-01-31
N
N
N
0.0246
99979757.00
99979757.00
0.0024
N
N
N
N
SOCIETE GENERALE SA
SOCIETE GENERALE SA 2.420
0SOC02XK3
O2RNE8IBXP4R0TD8PU41
0000865845
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
REPUBLIC OF TURKEY GL
5493000PCHOG3B6S3Q85
2047-05-11
5.750000
14179000.00
11292903.92
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2024-03-22
5.750000
25422000.00
23953858.32
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2026-10-09
4.875000
27881000.00
23820945.55
Other Instrument
International Debt
SINOPEC GROUP OVERSEA
2025-09-12
4.125000
110720.00
109499.27
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2040-05-30
6.750000
58305000.00
52588923.49
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2025-01-07
4.250000
65931000.00
64799514.13
Other Instrument
International Debt
PT PELABUHAN INDONESI
2023-05-02
4.500000
400.00
401.30
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2034-02-14
8.000000
13953000.00
14226633.84
Other Instrument
International Debt
ACI WORLDWIDE INC SR
5493003BPVMZUJ6F5C02
2026-08-15
5.750000
1.00
1.01
Corporate Debt Securities
GMR HYDERABAD INTL AR
2027-10-27
4.250000
3578570.00
2969290.62
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2036-03-17
6.875000
37549000.00
34015743.40
Other Instrument
International Debt
CALPINE CORP SR SEC G
43R4VPJBXTU2O15HEF41
2026-06-01
5.250000
100000.00
93812.50
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2019-11-07
7.500000
3091000.00
3243231.75
Other Instrument
International Debt
TESLA INC 5.3%25
54930043XZGB27CTOV49
2025-08-15
5.300000
3950000.00
3535008.61
Corporate Debt Securities
SPRINT CAP CORP SR NT
549300L17W0GQBR1PO80
2028-11-15
6.875000
1199000.00
1196543.72
Corporate Debt Securities
MATTEL INC SR 144A NT
549300VELLG24KHTJ564
2025-12-31
6.750000
3000.00
2925.56
Corporate Debt Securities
BANCO NACIONAL DE DES
254900DCL95WTK6VYD35
2023-09-26
5.750000
51100000.00
52983049.19
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
2020-06-05
7.000000
70174000.00
72696677.37
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2021-01-22
4.875000
3692000.00
3796875.88
Other Instrument
International Debt
DIAMOND 1 FIN CORP/DI
2024-06-15
7.125000
949988.00
1029897.82
Corporate Debt Securities
CURO GROUP HLDGS CORP
54930007KH8KCGJ4YE72
2025-09-01
8.250000
993.00
905.31
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2023-03-31
6.250000
58489000.00
53612885.81
Corporate Debt Securities
FIRST QUANTUM MINERAL
549300I7UVBGWRYMYZ18
2023-04-01
7.250000
900000.00
826129.50
Corporate Debt Securities
AI CANDELARIA SPAIN S
2028-12-15
7.500000
1020.00
1007.16
Corporate Debt Securities
BANCO NACIONAL DE COS
2023-11-01
6.250000
20670000.00
20179087.50
Other Instrument
International Debt
CENTRAIS ELECTRICAS B
2021-10-27
5.750000
200000.00
200417.78
Corporate Debt Securities
MORGAN STANLEY FR 5.5
IGJSJL3JD5P30I6NJZ34
2020-07-24
5.500000
2345000.00
2460044.40
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2025-02-05
7.375000
11887000.00
12082399.15
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2045-02-17
6.625000
19524000.00
16958898.92
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2027-03-25
6.000000
90515000.00
82696314.30
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
2030-01-15
11.875000
50102000.00
67177025.97
Other Instrument
International Debt
BOC AVIATION PTE LTD
2020-03-30
3.000000
30464000.00
30228919.47
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2038-03-05
7.250000
36735000.00
34541104.18
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2041-01-14
6.000000
79434000.00
65032086.25
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
2027-05-15
10.125000
24045000.00
32741775.91
Other Instrument
International Debt
BRAZIL FEDERATIVE REP
2019-10-14
8.875000
1016000.00
1071058.03
Other Instrument
International Debt
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0242
728750000.00
728750000.00
0.0172
N
Y
Y
N
SOCIETE GENERALE SA
SOCIETE GENERALE SA 2.470
0SOC02XH0
O2RNE8IBXP4R0TD8PU41
0000865845
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
RITE AID CORP SR 144A
2023-04-01
6.125000
1289000.00
1102497.81
Corporate Debt Securities
AI CANDELARIA SPAIN S
2028-12-15
7.500000
10.00
9.87
Corporate Debt Securities
NUMERICABLE GROUP SA
5493001ZMCICV4N02J21
2026-05-01
7.375000
4183000.00
4098692.80
Corporate Debt Securities
MCDONALDS CORP MED TE
UE2136O97NLB5BYP9H04
2022-01-15
2.625000
1112000.00
1092728.11
Corporate Debt Securities
CALFRAC HLDGS LP SR G
2026-06-15
8.500000
2399000.00
2234335.31
Corporate Debt Securities
BROOKFIELD RESIDENTIA
549300C2SXDXVIUV3Q14
2020-12-15
6.500000
6631000.00
6793827.89
Corporate Debt Securities
LIFEPOINT HEALTH INC
2024-05-01
5.375000
7249000.00
7788144.38
Corporate Debt Securities
JBS USA LUX S A / JBS
2028-02-15
6.750000
8655000.00
8497046.26
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2020-06-05
7.000000
11322000.00
11729013.33
Other Instrument
International Debt
NETFLIX INC SR GLBL 1
549300Y7VHGU0I7CE873
2028-04-15
4.875000
986614.00
902422.94
Corporate Debt Securities
UNITED STATES STL COR
2020-04-01
7.375000
150000.00
156359.38
Corporate Debt Securities
ENEL SOCIETA PER AZIO
WOCMU6HCI0OJWNPRZS33
2073-09-24
8.750000
1200000.00
1306791.67
Corporate Debt Securities
REPUBLIC OF TURKEY GL
5493000PCHOG3B6S3Q85
2047-05-11
5.750000
9810000.00
7813201.74
Other Instrument
International Debt
ESAL GMBH SR NT REG S
2023-02-05
6.250000
2441000.00
2416420.49
Corporate Debt Securities
ENERGEN CORP SR NT 4.
5493002ES6YDYGYRKG86
2021-09-01
4.625000
4048000.00
4038723.34
Corporate Debt Securities
BHP BILLITON FIN USA
5493003NUVITP3TMY274
2022-02-24
2.875000
639000.00
631837.25
Corporate Debt Securities
VALEANT PHARMACEUTICA
KOO0397YRO83WY5MGD97
2027-01-31
8.500000
3365000.00
3515209.86
Corporate Debt Securities
GENWORTH FINL INC SR
PXDECZED7L8SRUP41R09
2021-09-24
7.625000
1700000.00
1730322.57
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2045-02-17
6.625000
23936000.00
20791241.78
Other Instrument
International Debt
CNOOC NEXEN FINANCE U
2024-04-30
4.250000
5345000.00
5360115.96
Corporate Debt Securities
EXPORT-IMPORT BK INDI
2028-02-01
3.875000
1.00
0.93
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2028-10-24
6.125000
1830226.00
1652787.37
Other Instrument
International Debt
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2028-01-27
5.999000
1573000.00
1515057.06
Corporate Debt Securities
VISA INC SR GLBL NT2.
549300JZ4OKEHW3DPJ59
2020-12-14
2.200000
191000.00
188612.92
Corporate Debt Securities
QATAR ST SR GLBL 144A
52990074F6OJOAXK4P65
2048-04-23
5.103000
700.00
716.60
Other Instrument
International Debt
ALBERTSONS COS LLC/SA
2025-03-15
5.750000
4498000.00
3968797.81
Corporate Debt Securities
ENERGY TRANSFER LP SR
MTLVN9N7JE8MIBIJ1H73
2024-01-15
5.875000
6494000.00
6931037.18
Corporate Debt Securities
SBA COMMUNICATIONS CO
2024-09-01
4.875000
4770000.00
4617956.25
Corporate Debt Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2020-07-23
2.625000
645000.00
642017.41
Corporate Debt Securities
CNOOC FIN 2003 LTD SR
2033-05-21
5.500000
11000000.00
12239198.89
Corporate Debt Securities
SLM CORP FR 7.25%0125
54930067J0ZNOEBRW338
2022-01-25
7.250000
82000.00
86762.83
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2038-03-05
7.250000
188000.00
176772.22
Other Instrument
International Debt
SIAM COML BK PUB CO L
2019-04-07
3.500000
821000.00
822505.17
Corporate Debt Securities
CARDINAL HEALTH INC S
CCU46N3GJMF4OK4N7U60
2023-03-15
3.200000
4781000.00
4650090.91
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2022-03-25
5.125000
8000000.00
7584920.00
Other Instrument
International Debt
PENNEY J C INC SR SEC
8TDNUQ07MEFMWW1VHP39
2023-07-01
5.875000
1978000.00
1739815.83
Corporate Debt Securities
STEEL DYNAMICS INC SR
549300HGGKEL4FYTTQ83
2024-10-01
5.500000
355000.00
358845.83
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2020-04-15
8.500000
103000.00
103904.11
Corporate Debt Securities
MPH ACQUISITION HLDGS
5493002WXOPRPTXWTU06
2024-06-01
7.125000
1700000.00
1781187.75
Corporate Debt Securities
SINCLAIR TELEVISION G
2021-04-01
5.375000
7659000.00
7674158.44
Corporate Debt Securities
ODEBRECHT OFFSHORE DR
549300L7LF2PIRAWID66
2022-12-01
6.720000
1900000.00
1569342.91
Corporate Debt Securities
AVON PRODS INC CR SEN
5493007RY69UEB1F1B45
2020-03-15
6.600000
5318000.00
5336258.47
Corporate Debt Securities
BANK AMER CORP JR SB
2027-06-15
8.050000
4999216.00
6196183.85
Corporate Debt Securities
INTERCORP PERU LTD SR
2025-02-12
5.875000
9690000.00
9962699.48
Corporate Debt Securities
FARMERS EXCHANGE CAPI
2054-10-15
5.454000
10000.00
9727.56
Corporate Debt Securities
HYUNDAI CAP SVCS INC
2019-08-30
1.625000
3892.00
3849.44
Corporate Debt Securities
EHI CAR SERVICES LTD
2018-12-08
7.500000
2987704.00
3066255.72
Corporate Debt Securities
TEVA PHARMACEUTICAL F
5493004T21MOAFINJP35
2019-07-19
1.700000
3526000.00
3480925.97
Corporate Debt Securities
AEROPUERTOS DOMINICAN
2029-03-30
6.750000
6509000.00
6579378.56
Corporate Debt Securities
DIAMOND OFFSHORE DRIL
F14FQJ2EEHW5VPYUHL14
2025-08-15
7.875000
9.00
9.08
Corporate Debt Securities
ENEL FIN INTL N.V. 4.
0YQH6LCEF474UTUV4B96
2023-09-14
4.250000
10.00
9.82
Corporate Debt Securities
SINOPEC GROUP OVERSEA
2025-09-12
4.125000
7310530.00
7229928.36
Corporate Debt Securities
ODEBRECHT DRILLING NO
549300YNW6BY570L6488
2021-12-01
6.350000
931.00
624.08
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2026-10-09
4.875000
3733000.00
3189397.43
Other Instrument
International Debt
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2026-04-01
8.500000
4861990.00
4525702.36
Corporate Debt Securities
AIA GROUP LTD HONG KO
2025-03-11
3.200000
200000.00
189988.89
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2020-08-15
6.625000
2089000.00
2186109.49
Corporate Debt Securities
ALPHA 2 B.V. SR GLBL
2023-06-01
8.750000
4500000.00
4657187.50
Corporate Debt Securities
APX GROUP INC SR NT 8
549300OMQVKPRU98OE64
2020-12-01
8.750000
7887000.00
7997089.37
Corporate Debt Securities
MGM RESORTS INTERNATI
54930066VBP7DZEGGJ87
2021-12-15
6.625000
942000.00
1007777.77
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2034-02-14
8.000000
1672000.00
1704789.78
Other Instrument
International Debt
JD COM INC SR NT 3.12
549300HVTWB0GJZ16V92
2021-04-29
3.125000
471000.00
455180.81
Corporate Debt Securities
SAFEWAY INC SR DEB 7.
2027-09-15
7.450000
5038000.00
4783678.96
Corporate Debt Securities
XEROX CORP SR GLBL NT
4KF48RN45X1OO8UBLY20
2024-05-15
3.800000
19000.00
17179.46
Corporate Debt Securities
ENOVA INTL INC 8.5%25
2025-09-15
8.500000
1364760.00
1296408.27
Corporate Debt Securities
MASTEC INC SR NT 4.87
549300TMDIT8WREDOF45
2023-03-15
4.875000
3280000.00
3222531.67
Corporate Debt Securities
AUSTRALIA & NEW ZEALA
JHE42UYNWWTJB8YTTU19
2022-11-09
2.625000
137282.00
133728.00
Corporate Debt Securities
OMNICOM GROUP INC SR
2024-11-01
3.650000
6000.00
5917.74
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2025-01-27
5.299000
8085580.00
7813389.28
Corporate Debt Securities
PERU REP SR GLBL BD 2
254900STKLK2DBJJZ530
2027-08-25
4.125000
458000.00
466043.63
Other Instrument
International Debt
AK STL CORP SR SEC NT
O05HJM8THRTZG4688Q91
2023-07-15
7.500000
4507000.00
4662867.08
Corporate Debt Securities
KOREA HYDRO & NUCLEAR
2025-06-15
3.250000
350000.00
336265.22
Corporate Debt Securities
QTEL INTL FIN LTD FR
2023-02-21
3.250000
249000.00
239938.75
Corporate Debt Securities
APOLLO MGMT HLDGS LP
5493006XQW0V5K38YM64
2048-03-15
5.000000
78.00
74.40
Corporate Debt Securities
TRANSOCEAN INC SR 144
DOL4HJ22ADYSIWES4H94
2023-07-15
9.000000
10000000.00
10768000.02
Corporate Debt Securities
DANSKE BK AS 144A FR
MAES062Z21O4RZ2U7M96
2022-03-02
2.700000
200000.00
192303.00
Corporate Debt Securities
CHEMOURS CO SR GLBL N
549300M1BOLNXL8DOV14
2025-05-15
7.000000
12292000.00
13026788.44
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2024-03-17
6.250000
1000000.00
1017638.89
Corporate Debt Securities
RIO OIL FIN TR SR SEC
549300V5D1W52HY8NO65
2024-07-06
9.250000
14994000.00
10460030.93
Corporate Debt Securities
BPCE SA FR 4%041524
9695005MSX1OYEMGDF46
2024-04-15
4.000000
6241000.00
6250784.50
Corporate Debt Securities
TMX FIN LLC/TITLEMAX
2023-04-01
11.125000
8966000.00
8466332.30
Corporate Debt Securities
AXA SA PERP JR SB GLB
2049-01-01
6.463000
382000.00
384710.41
Corporate Debt Securities
ZACHRY HOLDINGS INC S
2020-02-01
7.500000
5000000.00
5062500.00
Corporate Debt Securities
SPRINT CORP SR GLBL N
549300ZTTY7CXOLJ6539
2021-09-15
7.250000
4232000.00
4445774.78
Corporate Debt Securities
TULLOW OIL PLC 7%25
2138003EYHWO75RKS857
2025-03-01
7.000000
464000.00
460179.73
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2021-03-15
5.250000
2000.00
2023.42
Corporate Debt Securities
BANCO NACIONAL DE COS
549300BH267R4KQVKV59
2021-04-25
5.875000
500000.00
479239.58
Other Instrument
International Debt
MATTEL INC SR 144A NT
549300VELLG24KHTJ564
2025-12-31
6.750000
5690000.00
5548816.88
Corporate Debt Securities
PERUSAHAAN PENERBIT S
2026-03-29
4.550000
1142000.00
1115213.76
Corporate Debt Securities
ENDO FIN LLC / ENDO F
2023-01-15
5.375000
300000.00
261247.92
Corporate Debt Securities
CRIMSON MERGER SUB /
2022-05-15
6.625000
7637000.00
7545727.23
Corporate Debt Securities
L BRANDS INC SR GLBL
GR3KVMWVCR54YWQNXU90
2028-02-01
5.250000
247002.00
213811.11
Corporate Debt Securities
KREDITANSTALT FUR WIE
549300GDPG70E3MBBU98
2020-01-27
4.000000
191000.00
195600.13
Other Instrument
International Debt
CENTENNIAL RESOURCE P
5493004CTVUMQLRPOE23
2026-01-15
5.375000
4097000.00
4059415.72
Corporate Debt Securities
APPALACHIAN PWR CO SR
3SCHO1ABYYIG382BEI70
2027-06-01
3.300000
168.00
160.68
Corporate Debt Securities
AES CORP SR GLBL NT5.
2NUNNB7D43COUIRE5295
2025-04-15
5.500000
468000.00
469729.00
Corporate Debt Securities
AUTOPISTAS DEL NORDES
2026-01-15
9.390000
4382000.00
3601548.57
Corporate Debt Securities
SPRINT CORP SR GLBL N
549300ZTTY7CXOLJ6539
2026-03-01
7.625000
4002000.00
4151668.13
Corporate Debt Securities
AGRICULTURAL BK CHINA
549300E7TSGLCOVSY746
2020-05-21
2.750000
709000.00
708547.82
Corporate Debt Securities
EXTRACTION OIL AND GA
5493002FL3WIE1JVUP20
2024-05-15
7.375000
8500000.00
8236559.01
Corporate Debt Securities
FERROGLOBE PLC/ GLOBE
2022-03-01
9.375000
4750000.00
5043906.25
Corporate Debt Securities
ACI WORLDWIDE INC SR
5493003BPVMZUJ6F5C02
2026-08-15
5.750000
1858.00
1874.43
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2019-11-07
7.500000
682000.00
715588.50
Other Instrument
International Debt
BOC AVIATION PTE LTD
2020-03-30
3.000000
10620000.00
10538049.00
Corporate Debt Securities
BROOKFIELD RESIDENTIA
2022-07-01
6.125000
5849000.00
5836814.59
Corporate Debt Securities
SURGERY CTR HLDGS INC
54930054EVI5HWPPW113
2021-04-15
8.875000
6338000.00
6545217.39
Corporate Debt Securities
NAVIENT CORPORATION S
54930067J0ZNOEBRW338
2021-07-26
6.625000
4130000.00
4324823.00
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2027-05-01
5.125000
400000.00
384250.00
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2019-10-14
8.875000
24575000.00
25906743.15
Other Instrument
International Debt
DYNEGY INC SR NT 7.62
549300KP43CPCUJOOG15
2024-11-01
7.625000
4718000.00
5145568.75
Corporate Debt Securities
CANACOL ENERGY LTD SR
549300X5MNRWPMSM9N14
2025-05-03
7.250000
158157.00
157501.79
Corporate Debt Securities
CURO GROUP HLDGS CORP
54930007KH8KCGJ4YE72
2025-09-01
8.250000
6909218.00
6299105.26
Corporate Debt Securities
CITIGROUP INC PERP SU
6SHGI4ZSSLCXXQSBB395
2049-01-01
6.250000
4839000.00
5005676.67
Corporate Debt Securities
ENSCO PLC SR GLBL NT5
7N0UJMJLXD0MDT5D5086
2025-03-15
5.200000
201000.00
169673.03
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2025-02-05
7.375000
1325000.00
1346780.42
Other Instrument
International Debt
TRANSOCEAN INC 7.25%2
DOL4HJ22ADYSIWES4H94
2025-11-01
7.250000
7504920.00
7270078.54
Corporate Debt Securities
KRONOS ACQUISITION HL
2023-08-15
9.000000
4898000.00
4391057.00
Corporate Debt Securities
RIO OIL FIN TR SR SEC
2028-04-06
8.200000
144020.00
150602.35
Corporate Debt Securities
MCDERMOTT ESCROW 1 IN
2024-05-01
10.625000
188000.00
199815.28
Corporate Debt Securities
ARAB REP EGYPT FR 6.1
529900GFIVH4086NMH82
2022-01-31
6.125000
4000000.00
4027890.00
Other Instrument
International Debt
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2020-09-15
3.534100
50000.00
50933.47
Corporate Debt Securities
ODEBRECHT OFFSHORE DR
549300L7LF2PIRAWID66
2022-12-01
6.720000
12984112.00
10724486.36
Corporate Debt Securities
IAMGOLD CORP SR GLBL
2025-04-15
7.000000
10309000.00
10237982.45
Corporate Debt Securities
TRANSOCEAN GUARDIAN L
2024-01-15
5.875000
2950000.00
2966081.60
Corporate Debt Securities
CEMEX SAB DE CV SR SE
2025-01-11
5.700000
5000000.00
4972083.33
Corporate Debt Securities
CNG HOLDINGS INC SR S
5493007UWN8DW8ZWF476
2020-05-15
9.375000
6115000.00
6180608.85
Corporate Debt Securities
INDIGO NAT RES LLC SR
549300F7DOI6H6TA3C86
2026-02-15
6.875000
7272000.00
6941225.00
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2021-02-15
6.125000
170000.00
172623.19
Corporate Debt Securities
METINVEST B V SR GLBL
635400TMCKVEU87EJ582
2026-04-23
8.500000
8200000.00
7836648.89
Corporate Debt Securities
BLUELINE RENT FIN COR
2024-03-15
9.250000
2572000.00
2720968.81
Corporate Debt Securities
CARRIZO OIL & GAS INC
6X88M1NLGKDIRGWMPT94
2023-04-15
6.250000
200000.00
197555.56
Corporate Debt Securities
IRON MTN INC NEW SR G
SQL3F6CKNNBM3SQGHX24
2027-09-15
4.875000
13659000.00
12207446.69
Corporate Debt Securities
MACQUARIE GRP LTD SR
2024-03-27
3.731000
1615000.00
1639796.26
Corporate Debt Securities
VISTAJET MALTA FIN P
2020-06-01
7.750000
545000.00
566686.46
Corporate Debt Securities
CONSTELLIUM NV SR GLB
724500KRJEMC79KAAU28
2025-03-01
6.625000
914000.00
908097.08
Corporate Debt Securities
TENET HEALTHCARE CORP
0W9AIBT6U6ADJ2I8HK17
2020-10-01
6.000000
150000.00
154125.00
Corporate Debt Securities
BOMBARDIER INC SR 144
W7L3VLU8EHQY34Z36697
2025-03-15
7.500000
4000000.00
4038333.33
Corporate Debt Securities
PETROLEOS MEXICANOS F
549300CAZKPF4HKMPX17
2026-01-23
4.500000
100000.00
90415.00
Other Instrument
International Debt
SRI LANKA GOVT DEMOCR
2025-06-03
6.125000
2467000.00
2201700.19
Other Instrument
International Debt
SPRINT CORP SR GLBL N
549300ZTTY7CXOLJ6539
2023-09-15
7.875000
587000.00
626659.19
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2021-01-22
4.875000
24496000.00
25191839.52
Other Instrument
International Debt
RESOLUTE ENERGY CORP
JWU5FD104OSLSO6IZG78
2020-05-01
8.500000
3450000.00
3588000.00
Corporate Debt Securities
INTELSAT JACKSON HLDG
8XJ8KF85PBKK1TLMFN29
2024-10-15
8.500000
10704330.00
10623155.50
Corporate Debt Securities
RIO OIL FIN TR SR SEC
549300V5D1W52HY8NO65
2024-07-06
9.250000
18328000.00
12785877.48
Corporate Debt Securities
EVEREST ACQ LLC/FINAN
2024-05-01
9.375000
1876000.00
1466797.50
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2024-04-01
5.875000
1500000.00
1514843.75
Corporate Debt Securities
MORGAN STANLEY FR 5.6
IGJSJL3JD5P30I6NJZ34
2019-09-23
5.625000
1000000.00
1027187.50
Corporate Debt Securities
PITNEY BOWES INC SR N
549300N2O26NW4ST6W55
2024-03-15
4.625000
5000.00
4417.05
Corporate Debt Securities
ESKOM HLDGS LTD SR NT
2021-01-26
5.750000
3350000.00
3265592.10
Corporate Debt Securities
MILLICOM INTL CELLULA
549300CTHC1CP86P2G96
2028-01-15
5.125000
39601.00
36575.10
Corporate Debt Securities
JEFFERIES LN CORE LLC
2020-06-01
6.875000
6668000.00
6925690.41
Corporate Debt Securities
CEMEX SAB DE CV SR SE
2026-04-16
7.750000
3000000.00
3174207.50
Corporate Debt Securities
TRANSOCEAN INC CR SEN
DOL4HJ22ADYSIWES4H94
2041-12-15
9.350000
1000.00
1017.82
Corporate Debt Securities
WINDSTREAM SVCS LLC /
2024-06-30
10.500000
7449989.00
6081053.52
Corporate Debt Securities
ALBERTSONS INC SR DEB
2030-05-01
8.700000
10491000.00
9793348.49
Corporate Debt Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2023-10-25
3.875000
1111000.00
1111917.50
Corporate Debt Securities
SLM CORP SR NT 8% 20
54930067J0ZNOEBRW338
2020-03-25
8.000000
9747000.00
10227039.75
Corporate Debt Securities
MOSS CREEK RES HLDGS
2026-01-15
7.500000
13769000.00
13573939.16
Corporate Debt Securities
GENERAL MTRS CO SR GL
54930070NSV60J38I987
2043-10-02
6.250000
21000.00
19724.77
Corporate Debt Securities
ANADARKO PETROLEUM CO
B78FQ7XBQFLP4AYJ6F79
2040-03-15
6.200000
885000.00
945500.57
Corporate Debt Securities
SAFEWAY INC SR NT 4.7
2021-12-01
4.750000
1553000.00
1529381.46
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2025-01-07
4.250000
5555000.00
5459666.94
Other Instrument
International Debt
ALTICE FINANCING S.A.
549300DIYGW8HVDF7Q17
2023-02-15
6.625000
4845000.00
4811185.94
Corporate Debt Securities
GENERAL ELEC CAP CORP
3C7474T6CDKPR9K6YT90
2020-09-16
4.375000
51000.00
51993.93
Corporate Debt Securities
KROGER CO SR GLBL NT3
6CPEOKI6OYJ13Q6O7870
2027-08-01
3.700000
4977000.00
4738153.77
Corporate Debt Securities
MAGNACHIP SEMICONDUCT
2021-07-15
6.625000
102000.00
98889.71
Corporate Debt Securities
TEEKAY CORPORATION SR
YHKQM2RIPKZYOZ6RVZ46
2020-01-15
8.500000
3240000.00
3369690.00
Corporate Debt Securities
FREEDOM MORTGAGE CORP
549300LYRWPSYPK6S325
2025-04-15
8.250000
12544655.00
11618441.31
Corporate Debt Securities
MATTEL INC SR GLBL NT
549300VELLG24KHTJ564
2020-10-01
4.350000
633000.00
625799.63
Corporate Debt Securities
MERITOR INC SR NT 6.2
5LTG829X630QFHTFBO82
2024-02-15
6.250000
4510000.00
4490581.95
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2025-12-15
9.000000
9223000.00
9870915.77
Corporate Debt Securities
T MOBILE USA INC SR G
549300V2JRLO5DIFGE82
2026-02-01
4.500000
1967000.00
1846186.86
Corporate Debt Securities
INTESA SANPAOLO S P A
2W8N8UU78PMDQKZENC08
2027-07-14
3.875000
12190000.00
10227012.14
Corporate Debt Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2044-05-06
4.450000
1705000.00
1747543.07
Corporate Debt Securities
SANCHEZ ENERGY CORP S
549300SB0HTIM17TVR61
2023-01-15
6.125000
42000.00
17137.46
Corporate Debt Securities
BIOSTIME INTNL HLDGS
2021-06-21
7.250000
4631000.00
4804340.91
Corporate Debt Securities
JEFFERIES FINANCE LLC
2020-04-01
7.375000
10125000.00
10250507.81
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2025-01-15
8.000000
42529.00
43530.79
Corporate Debt Securities
WESTPAC BKG CORP SR G
EN5TNI6CI43VEPAMHL14
2026-08-19
2.700000
428000.00
391727.00
Corporate Debt Securities
CARRIZO OIL & GAS INC
6X88M1NLGKDIRGWMPT94
2020-09-15
7.500000
3477000.00
3516232.15
Corporate Debt Securities
HEXION INC SR SEC NT
54930030FZF8HYAEHM46
2020-04-15
10.000000
2000000.00
1878888.89
Corporate Debt Securities
BROOKFIELD RESIDENTIA
549300C2SXDXVIUV3Q14
2025-05-15
6.375000
10639000.00
10366597.27
Corporate Debt Securities
TTM TECHNOLOGIES INC
549300SC4BDOIS008048
2025-10-01
5.625000
2127035.00
2089147.19
Corporate Debt Securities
SABINE PASS LIQUEFACT
549300KJYBG7C6WJYZ11
2027-03-15
5.000000
2215000.00
2245387.34
Corporate Debt Securities
FIRST QUANTUM MINERAL
549300I7UVBGWRYMYZ18
2024-03-01
6.500000
6500000.00
5709166.67
Corporate Debt Securities
CENTRAIS ELECTRICAS B
2021-10-27
5.750000
17986000.00
18023570.76
Corporate Debt Securities
AUSTRALIA & NEW ZEALA
2026-05-19
4.400000
562453.00
559224.52
Corporate Debt Securities
CIT GROUP INC SR GLBL
N8O96ZZJQRFYQUJY7K79
2024-02-16
4.750000
500000.00
497617.92
Corporate Debt Securities
AES ANDRES DOMINICANA
2026-05-11
7.950000
9000000.00
9562874.99
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2021-08-01
5.125000
979000.00
935250.94
Corporate Debt Securities
CHENIERE CORPUS CHRIS
549300I7CIEWU1BBLQ53
2025-03-31
5.875000
2057064.00
2154253.13
Corporate Debt Securities
YUM BRANDS INC SR NT
2020-11-01
3.875000
18000.00
18200.25
Corporate Debt Securities
VERIZON COMMUNICATION
2S72QS2UO2OESLG6Y829
2022-03-16
3.334100
170000.00
173457.40
Corporate Debt Securities
HEWLETT PACKARD ENTER
549300BX44RGX6ANDV88
2021-10-05
3.058800
13.00
13.05
Corporate Debt Securities
ENJOY SA SR SEC GLBL
2022-05-16
10.500000
681.00
789.70
Corporate Debt Securities
BANCO BTG PACTUAL SA
ZXLTQRYIK6IJH3R0IK66
2023-01-31
5.500000
1145091.00
1120757.82
Corporate Debt Securities
CORP GROUP BANKING SA
2023-03-15
6.750000
3350000.00
3295177.25
Corporate Debt Securities
MACQUARIE BK LTD SR G
2020-07-29
2.850000
52000.00
51783.33
Corporate Debt Securities
COSAN LUXEMBOURG S A
222100ZY943WERK7RZ38
2027-01-20
7.000000
4990000.00
5095532.95
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2030-01-15
11.875000
6285000.00
8426961.16
Other Instrument
International Debt
AT&T INC SR GLBL NT 6
549300Z40J86GGSTL398
2040-08-15
6.000000
54000.00
56149.02
Corporate Debt Securities
SPRINT NEXTEL CORP SR
549300JKU50UT08ZWD77
2022-11-15
6.000000
5652000.00
5840192.75
Corporate Debt Securities
STEEL DYNAMICS INC SR
549300HGGKEL4FYTTQ83
2023-04-15
5.250000
996000.00
998324.00
Corporate Debt Securities
SEMICONDUCTOR MFG INT
2019-10-07
4.125000
2407000.00
2408733.04
Corporate Debt Securities
RESIDEO FDG INC SR GL
5493000IFJ6XJKH66598
2026-11-01
6.125000
999265.00
1008799.65
Corporate Debt Securities
ELDORADO GOLD CORP NE
5493004PWQ01YDD1IH62
2020-12-15
6.125000
6492000.00
6204007.67
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2021-10-01
7.750000
3534000.00
3746776.25
Corporate Debt Securities
AMERICAN EXPRESS CR C
9ET6B8VCXWW51H8Z3M54
2019-08-15
2.803800
50000.00
50411.45
Corporate Debt Securities
MORGAN STANLEY FR 4%0
IGJSJL3JD5P30I6NJZ34
2025-07-23
4.000000
2184000.00
2170980.93
Corporate Debt Securities
IBM CREDIT LLC 2.65%2
549300ZNLJL43AQTG067
2021-02-05
2.650000
3544820.00
3515010.03
Corporate Debt Securities
YUM BRANDS INC SR NT
549300JE8XHZZ7OHN517
2043-11-01
5.350000
100000.00
89175.00
Corporate Debt Securities
BRISTOW GROUP INC SR
5OR64DV4VUQ8NW3R8C06
2022-10-15
6.250000
14411000.00
10560060.56
Corporate Debt Securities
APERGY CORP SR GLBL 1
549300EP2909K6DYYP38
2026-05-01
6.375000
3999000.00
4177163.78
Corporate Debt Securities
PT PELABUHAN INDONESI
2023-05-02
4.500000
94.00
94.31
Corporate Debt Securities
FREEPORT-MCMORAN INC
549300IRDTHJQ1PVET45
2022-03-01
3.550000
31000.00
29555.92
Corporate Debt Securities
SRI LANKA GOVT DEMOCR
2022-07-25
5.875000
400000.00
377198.67
Other Instrument
International Debt
TIME WARNER INC SR NT
5493004RSX004WU3UT62
2021-01-15
4.700000
1311000.00
1360921.42
Corporate Debt Securities
UKRAINE CABINET OF MI
6354001WLTJXOMEXPY07
2022-09-01
7.750000
4650000.00
4589813.50
Other Instrument
International Debt
MURRAY ENERGY CORP SR
549300WM5IIFYHZYTT63
2021-04-15
11.250000
13051000.00
8581032.50
Corporate Debt Securities
NRG ENERGY INC SR NT
5E2UPK5SW04M13XY7I38
2024-05-01
6.250000
3504000.00
3679200.00
Corporate Debt Securities
NIGERIA FED REP BD 5.
549300GSBZD84TNEQ285
2022-06-27
5.625000
2700000.00
2712244.50
Other Instrument
International Debt
MAGNOLIA OIL & GAS OP
2026-08-01
6.000000
4500000.00
4512750.00
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2041-01-14
6.000000
38566000.00
31573727.10
Other Instrument
International Debt
NXP B V / NXP FDG LLC
2020-06-15
4.125000
3345000.00
3388763.75
Corporate Debt Securities
HYUNDAI CAP AMER INC
549300RIPPWJB5Z0FK07
2020-09-18
2.750000
639989.00
629547.40
Corporate Debt Securities
ENSCO PLC 7.75%26
7N0UJMJLXD0MDT5D5086
2026-02-01
7.750000
1266000.00
1190831.25
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2027-05-15
10.125000
3505000.00
4772714.68
Other Instrument
International Debt
PBF HLDG CO LLC / PBF
2025-06-15
7.250000
954000.00
1003979.00
Corporate Debt Securities
VERITAS US INC/VERITA
2024-02-01
10.500000
1563000.00
1381301.25
Corporate Debt Securities
DIAMOND OFFSHORE DRIL
F14FQJ2EEHW5VPYUHL14
2043-11-01
4.875000
9981000.00
6980461.87
Corporate Debt Securities
MONGOLIA GOVT BD 144A
2022-12-05
5.125000
1400000.00
1354044.61
Other Instrument
International Debt
BLACKSTONE HLDGS FIN
549300D2L6J4NC1QVZ22
2047-10-02
4.000000
8.00
6.79
Corporate Debt Securities
ALTICE FRANCE S A SR
5493001ZMCICV4N02J21
2027-02-01
8.125000
2198993.00
2217165.23
Corporate Debt Securities
ITAU UNIBANCO HLDG SA
2021-12-21
6.200000
2771000.00
2933488.35
Corporate Debt Securities
SUMITOMO MITSUI FINL
35380028MYWPB6AUO129
2023-01-17
3.188800
4481500.00
4486788.59
Corporate Debt Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2024-05-17
3.411800
3148122.00
3189719.71
Corporate Debt Securities
COMSTOCK RES INC SR 1
5493002T9WS7HVNHHL49
2026-08-15
9.750000
8475026.00
8340308.40
Corporate Debt Securities
NAVIENT CORPORATION S
54930067J0ZNOEBRW338
2022-06-15
6.500000
596000.00
619575.11
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2022-04-15
8.750000
3000000.00
2314166.67
Corporate Debt Securities
TENCENT HLDGS LTD FR
2028-01-19
3.595000
10.00
9.30
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2024-04-15
8.875000
2999000.00
3606880.64
Other Instrument
International Debt
CNX MIDSTREAM PARTNER
2026-03-15
6.500000
4825942.00
4793635.00
Corporate Debt Securities
ENDO LTD / ENDO FIN L
2023-07-15
6.000000
8021000.00
7019711.83
Corporate Debt Securities
ICAHN ENTERPRISES LP/
2022-02-01
6.250000
4000000.00
4102500.00
Corporate Debt Securities
ICICI BK LTD GLBL MTN
R7RX8ER1V4666J8D1I38
2026-03-18
4.000000
950000.00
885635.39
Corporate Debt Securities
OI SA SR PIK NT 10%25
254900YEMWCRRAGD4978
2025-07-27
10.000000
40.00
42.86
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2036-03-17
6.875000
6446000.00
5839449.31
Other Instrument
International Debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2027-03-25
6.000000
7669000.00
7006551.78
Other Instrument
International Debt
OMNICARE INC SR GLBL
2022-12-01
4.750000
748000.00
787375.97
Corporate Debt Securities
NOKIA CORP SR GLBL NT
549300A0JPRWG1KI7U06
2027-06-12
4.375000
65000.00
62204.50
Corporate Debt Securities
DAVITA INC SR GLBL NT
M2XHYMU3TZNEZURC6H66
2024-07-15
5.125000
6413000.00
6189123.95
Corporate Debt Securities
TRIUMPH GROUP INC NEW
5493007L6S47Q14SL582
2022-06-01
5.250000
5000.00
4684.38
Corporate Debt Securities
TENET HEALTHCARE CORP
0W9AIBT6U6ADJ2I8HK17
2024-07-15
4.625000
3600000.00
3505025.00
Corporate Debt Securities
CHESAPEAKE ENERGY COR
X2MT1W32SPAZ9WSKLE78
2026-10-01
7.500000
750.00
728.60
Corporate Debt Securities
SLM CORP FR 5.625%080
54930067J0ZNOEBRW338
2033-08-01
5.625000
5924000.00
4822506.25
Corporate Debt Securities
MULTIBANK INC FR 4.37
2022-11-09
4.375000
1799007.00
1773646.00
Corporate Debt Securities
QVC INC SR SEC NT5.95
2043-03-15
5.950000
6800000.00
6146130.89
Corporate Debt Securities
CHARTER COMMUNICATION
2048-04-01
5.750000
1140.00
1076.87
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2040-05-30
6.750000
22169000.00
19995606.63
Other Instrument
International Debt
BEAZER HOMES USA INC
549300DUPYT2T0F60I45
2022-03-15
8.750000
2000.00
2022.36
Corporate Debt Securities
CREDITO REAL S A DE C
2023-07-20
7.250000
4198768.00
4284172.11
Corporate Debt Securities
AVON PRODS INC CR SEN
5493007RY69UEB1F1B45
2023-03-15
7.000000
140000.00
123052.22
Corporate Debt Securities
OMEGA HEALTHCARE INVS
2026-01-15
5.250000
4335000.00
4430622.87
Corporate Debt Securities
QEP RES INC SR GLBL N
Q6JQDZPXKEDQKVK58165
2026-03-01
5.625000
6000.00
5658.75
Corporate Debt Securities
PARK AEROSPACE HLDGS
2022-08-15
5.250000
4416000.00
4409744.00
Corporate Debt Securities
PRIME SECURITIES ONE
5493009JEEDYLVRA0J13
2032-07-15
4.875000
6000000.00
4811125.00
Corporate Debt Securities
W & T OFFSHORE INC SR
549300Q7EOY2YIO3YK85
2023-11-01
9.750000
4000000.00
3885283.33
Corporate Debt Securities
EAGLE INTER GLOBAL HL
2025-05-01
7.500000
5275710.00
5302088.55
Corporate Debt Securities
VEDANTA RESOURCES PLC
2021-06-07
8.250000
494000.00
519194.00
Corporate Debt Securities
ARGENTINA REP GLBL AM
549300KPBYGYF7HCHO27
2033-12-31
8.280000
1894.00
2331.04
Other Instrument
International Debt
KFC HLDG CO/PIZZA HUT
2026-06-01
5.250000
3900000.00
3902437.50
Corporate Debt Securities
COMCAST CORP NEW SR G
51M0QTTNCGUN7KFCFZ59
2028-10-15
4.150000
1164844.00
1158282.69
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2043-04-16
4.875000
8045000.00
5808741.41
Other Instrument
International Debt
PHILIPPINES REP SR GL
529900RAHBALMYIJ3T08
2041-03-01
3.700000
160.00
143.37
Other Instrument
International Debt
TRADE & DEV BK MONGOL
2020-05-19
9.375000
1157000.00
1260791.58
Corporate Debt Securities
WERNER FINCO LP/ WERN
2025-07-15
8.750000
6689000.00
6409827.15
Corporate Debt Securities
EVEREST ACQ LLC/FINAN
2026-05-15
7.750000
3635000.00
3733725.59
Corporate Debt Securities
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
2018-11-06
2018-11-06
2018-11-06
N
N
N
0.0247
965000000.00
965000000.00
0.0228
N
N
Y
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.486
85325TP58
RILFO74KP1CM8P6PCT96
US85325TP585
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
2018-11-24
2019-03-25
2019-03-25
N
N
N
0.0252
124530058.04
124530058.04
0.0029
N
N
N
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.220
0QF001GY4
0001281941
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
2018-11-07
2018-11-07
2018-11-07
N
N
N
0.0222
200000000.00
200000000.00
0.0047
N
N
Y
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.360
85325TN27
RILFO74KP1CM8P6PCT96
US85325TN275
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
2018-11-26
2019-02-25
2019-02-25
N
N
N
0.0239
14999479.05
14999479.05
0.0004
N
N
N
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.480
85325TK53
RILFO74KP1CM8P6PCT96
US85325TK537
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
2019-01-25
2019-01-25
2019-01-25
N
N
N
0.0248
200002090.00
200002090.00
0.0047
N
N
N
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.397
85325TN43
RILFO74KP1CM8P6PCT96
US85325TN432
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
2018-11-29
2019-02-28
2019-02-28
N
N
N
0.0243
134999379.00
134999379.00
0.0032
N
N
N
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.464
85324UNR0
RILFO74KP1CM8P6PCT96
US85324UNR04
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
2019-01-25
2019-01-25
2019-01-25
N
N
N
0.0246
14911885.80
14911885.80
0.0004
N
N
N
N
STATE STREET BANK & TRUST CO. (BOSTON)
STATE STREET BANK & TRUST CO. (BOSTON) 2.532
8574P1LT1
571474TGEMMWANRLN572
US8574P1LT10
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+
2019-04-23
2019-04-23
2019-04-23
N
N
N
0.0257
119994270.00
119994270.00
0.0028
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.465
86565BLY5
5U0XI89JRFVHWIBS4F54
US86565BLY55
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
2018-11-03
2019-04-03
2019-04-03
N
N
N
0.0250
170023825.50
170023825.50
0.0040
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.619
86565BPJ4
5U0XI89JRFVHWIBS4F54
US86565BPJ43
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
2019-01-23
2019-04-23
2019-04-23
N
N
N
0.0266
49997498.00
49997498.00
0.0012
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.557
86565BFL0
5U0XI89JRFVHWIBS4F54
US86565BFL09
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
2018-11-29
2018-11-30
2018-11-30
N
N
N
0.0259
80018067.20
80018067.20
0.0019
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.540
86565BHH7
5U0XI89JRFVHWIBS4F54
US86565BHH78
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
2018-11-16
2019-01-16
2019-01-16
N
N
N
0.0257
50015953.50
50015953.50
0.0012
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.504
86565BJF9
5U0XI89JRFVHWIBS4F54
US86565BJF94
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
2018-11-04
2019-02-04
2019-02-04
N
N
N
0.0254
100022652.00
100022652.00
0.0024
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.505
86565BJQ5
5U0XI89JRFVHWIBS4F54
US86565BJQ59
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
2018-11-28
2019-02-27
2019-02-27
N
N
N
0.0254
150022170.00
150022170.00
0.0035
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.514
86565BJM4
5U0XI89JRFVHWIBS4F54
US86565BJM46
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
2018-11-28
2019-02-26
2019-02-26
N
N
N
0.0255
200036432.00
200036432.00
0.0047
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.457
86565BKT7
5U0XI89JRFVHWIBS4F54
US86565BKT79
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
2018-11-10
2019-02-08
2019-02-08
N
N
N
0.0249
100008524.00
100008524.00
0.0024
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.502
86565BJJ1
5U0XI89JRFVHWIBS4F54
US86565BJJ17
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
2018-11-23
2019-02-25
2019-02-25
N
N
N
0.0254
100017358.00
100017358.00
0.0024
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.495
86565BLP4
5U0XI89JRFVHWIBS4F54
US86565BLP49
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
2018-11-28
2019-03-28
2019-03-28
N
N
N
0.0253
150021154.50
150021154.50
0.0035
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.587
86565BED9
5U0XI89JRFVHWIBS4F54
US86565BED91
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
2018-11-07
2018-12-07
2018-12-07
N
N
N
0.0262
150047104.50
150047104.50
0.0035
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.648
3E3709N
XS1900748978
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
2019-02-01
2019-02-01
2019-02-01
N
N
N
0.0265
49668701.50
49668701.50
0.0012
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.674
9D6754N
XS1821525448
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
2018-11-13
2018-11-13
2018-11-13
N
N
N
0.0271
195000000.00
195000000.00
0.0046
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.537
1E4225N
5493006GGLR4BTEL8O61
XS1861624127
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
2018-11-30
2019-01-30
2019-01-30
N
N
N
0.0257
99995021.00
99995021.00
0.0024
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.474
1E3553N
XS1861131958
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
2019-01-28
2019-01-28
2019-01-28
N
N
N
0.0247
19873632.40
19873632.40
0.0005
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.524
86564FCN1
5493006GGLR4BTEL8O61
US86564FCN15
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
2018-11-05
2018-12-04
2018-12-04
N
N
N
0.0256
100024150.00
100024150.00
0.0024
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.446
86564FHK2
5493006GGLR4BTEL8O61
US86564FHK21
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
2018-11-24
2018-12-24
2018-12-24
N
N
N
0.0248
92014338.20
92014338.20
0.0022
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.552
86564FLN1
5493006GGLR4BTEL8O61
US86564FLN14
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
2018-11-23
2019-04-23
2019-04-23
N
N
N
0.0259
64996868.30
64996868.30
0.0015
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED SINGAPORE BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED SINGAPORE BRANCH 2.305
86564XM43
5493006GGLR4BTEL8O61
US86564XM439
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
2018-12-04
2018-12-04
2018-12-04
N
N
N
0.0231
24946284.75
24946284.75
0.0006
N
N
N
N
SVENSKA HANDELSBANKEN AB
SVENSKA HANDELSBANKEN AB 2.456
86958JU72
NHBDILHZTYCNBV5UYZ31
US86958JU724
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+
2018-12-28
2019-06-28
2019-06-28
N
N
N
0.0249
99954641.00
99954641.00
0.0024
N
N
N
N
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK 2.437
86958JQ85
NHBDILHZTYCNBV5UYZ31
US86958JQ854
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+
2018-11-08
2019-03-08
2019-03-08
N
N
N
0.0247
100015560.00
100015560.00
0.0024
N
N
N
N
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK 2.450
86958JU23
NHBDILHZTYCNBV5UYZ31
US86958JU237
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+
2018-11-15
2019-06-13
2019-06-13
N
N
N
0.0248
74981348.25
74981348.25
0.0018
N
N
N
N
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK 2.549
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+
2018-11-15
2019-02-15
2019-02-15
N
N
N
0.0258
325174681.00
325174681.00
0.0077
N
N
N
N
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK 2.507
86958JJ75
NHBDILHZTYCNBV5UYZ31
US86958JJ750
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+
2018-11-18
2019-01-18
2019-01-18
N
N
N
0.0254
200076052.00
200076052.00
0.0047
N
N
N
N
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK
SVENSKA HANDELSBANKEN AB (PUBL) - NEW YORK 2.492
86958JN54
NHBDILHZTYCNBV5UYZ31
US86958JN547
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+
2018-11-23
2019-04-23
2019-04-23
N
N
N
0.0253
135009960.30
135009960.30
0.0032
N
N
N
N
SWEDBANK AB
SWEDBANK AB 2.476
87019SP57
M312WZV08Y7LYUC71685
US87019SP576
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+
2019-02-05
2019-02-05
2019-02-05
N
N
N
0.0248
39738962.40
39738962.40
0.0009
N
N
N
N
SWEDBANK AB
SWEDBANK AB 2.476
87019SP40
M312WZV08Y7LYUC71685
US87019SP402
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+
2019-02-04
2019-02-04
2019-02-04
N
N
N
0.0248
84452373.05
84452373.05
0.0020
N
N
N
N
SWEDBANK AB
SWEDBANK AB 2.477
87019SP73
M312WZV08Y7LYUC71685
US87019SP733
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+
2019-02-07
2019-02-07
2019-02-07
N
N
N
0.0248
49665325.00
49665325.00
0.0012
N
N
N
N
SWEDBANK AB
SWEDBANK AB 2.477
87019SP81
M312WZV08Y7LYUC71685
US87019SP816
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+
2019-02-08
2019-02-08
2019-02-08
N
N
N
0.0248
49661111.00
49661111.00
0.0012
N
N
N
N
THE CHIBA BANK LTD-NEW YORK
THE CHIBA BANK LTD-NEW YORK 2.180
0GN001QC4
0001446391
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0218
100000000.00
100000000.00
0.0024
N
Y
Y
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.549
89120DDK2
PT3QB789TSUIDF371261
US89120DDK28
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+
2018-11-14
2019-02-14
2019-02-14
N
N
N
0.0258
200107798.00
200107798.00
0.0047
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.547
89120DDG1
PT3QB789TSUIDF371261
US89120DDG16
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+
2018-11-08
2019-02-08
2019-02-08
N
N
N
0.0258
150080682.00
150080682.00
0.0035
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.381
89120DJX8
PT3QB789TSUIDF371261
US89120DJX84
0000947263
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+
2018-11-26
2019-05-24
2019-05-24
N
N
N
0.0242
129963749.50
129963749.50
0.0031
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.644
89120DDZ9
PT3QB789TSUIDF371261
US89120DDZ96
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+
2018-12-26
2019-03-26
2019-03-26
N
N
N
0.0268
130112681.40
130112681.40
0.0031
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.490
89120DKE8
PT3QB789TSUIDF371261
US89120DKE84
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+
2018-11-15
2019-09-13
2019-09-13
N
N
N
0.0253
59989788.60
59989788.60
0.0014
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.419
89120DJK6
PT3QB789TSUIDF371261
US89120DJK63
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+
2018-11-02
2019-08-02
2019-08-02
N
N
N
0.0245
174895558.25
174895558.25
0.0041
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.654
89120DES4
PT3QB789TSUIDF371261
US89120DES45
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+
2018-11-11
2019-05-10
2019-05-10
N
N
N
0.0269
200191104.00
200191104.00
0.0047
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.530
89120DCU1
PT3QB789TSUIDF371261
US89120DCU19
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+
2018-11-22
2019-01-22
2019-01-22
N
N
N
0.0256
240097164.00
240097164.00
0.0057
N
N
N
N
THUNDER BAY FUNDING LLC
THUNDER BAY FUNDING LLC 2.465
88603YEV9
US88603YEV92
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
2018-11-03
2019-06-03
2019-06-03
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0250
249994412.50
249994412.50
0.0059
N
N
N
N
THUNDER BAY FUNDING LLC
THUNDER BAY FUNDING LLC 2.450
88604GAY5
US88604GAY52
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
2018-11-22
2019-04-22
2019-04-22
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0248
70000000.00
70000000.00
0.0017
N
N
N
N
THUNDER BAY FUNDING LLC
THUNDER BAY FUNDING LLC 2.597
88602UQN3
US88602UQN36
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
2019-03-22
2019-03-22
2019-03-22
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0260
39090387.37
39090387.37
0.0009
N
N
N
N
THUNDER BAY FUNDING LLC
THUNDER BAY FUNDING LLC 2.534
88603KBL4
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
2018-11-27
2019-07-26
2019-07-26
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0257
150000000.00
150000000.00
0.0035
N
N
N
N
THUNDER BAY FUNDING LLC
THUNDER BAY FUNDING LLC 2.580
88603KBJ9
US88603KBJ97
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
2018-11-16
2019-04-15
2019-04-15
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
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0261
90054825.30
90054825.30
0.0021
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 2.506
89114MFZ5
PT3QB789TSUIDF371261
US89114MFZ59
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+
2018-12-27
2019-09-26
2019-09-26
N
N
N
0.0254
99954861.00
99954861.00
0.0024
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 2.433
89114MDS3
PT3QB789TSUIDF371261
US89114MDS35
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+
2018-12-06
2019-09-06
2019-09-06
N
N
N
0.0247
124968112.50
124968112.50
0.0030
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 2.511
89114MGY7
PT3QB789TSUIDF371261
US89114MGY75
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+
2018-11-09
2019-10-09
2019-10-09
N
N
N
0.0255
59994429.60
59994429.60
0.0014
N
N
N
N
TOYOTA CREDIT CANADA INC
TOYOTA CREDIT CANADA INC 2.530
89232BAJ7
US89232BAJ70
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+
2018-11-16
2019-01-08
2019-01-08
N
N
N
0.0256
50020638.00
50020638.00
0.0012
N
N
N
N
TOYOTA MOTOR CREDIT CORPORATION
TOYOTA MOTOR CREDIT CORPORATION 2.524
89233AG78
5493006W3QUS5LMH6R84
US89233AG784
0000834071
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+
2018-11-28
2019-04-17
2019-04-17
N
N
N
0.0256
135008002.80
135008002.80
0.0032
N
N
N
N
TOYOTA MOTOR CREDIT CORPORATION
TOYOTA MOTOR CREDIT CORPORATION 2.429
89233AH85
5493006W3QUS5LMH6R84
US89233AH857
0000834071
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+
2018-11-02
2019-04-25
2019-04-25
N
N
N
0.0246
35000057.05
35000057.05
0.0008
N
N
N
N
TOYOTA MOTOR CREDIT CORPORATION
TOYOTA MOTOR CREDIT CORPORATION 2.524
89233AH28
5493006W3QUS5LMH6R84
US89233AH287
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+
2018-11-28
2019-04-18
2019-04-18
N
N
N
0.0256
70002872.80
70002872.80
0.0017
N
N
N
N
UBS AG-LONDON
UBS AG-LONDON 2.580
90276JEE2
BFM8T61CT2L1QCEMIK50
US90276JEE29
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
A+
Standard & Poor's Short Rating
A-1
2018-11-23
2018-12-21
2018-12-21
N
N
N
0.0261
90036624.60
90036624.60
0.0021
N
N
N
N
UBS AG-LONDON
UBS AG-LONDON 2.405
90276JEZ5
BFM8T61CT2L1QCEMIK50
US90276JEZ57
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
A+
Standard & Poor's Short Rating
A-1
2018-11-16
2019-05-16
2019-05-16
N
N
N
0.0244
134999592.30
134999592.30
0.0032
N
N
N
N
UBS AG-LONDON
UBS AG-LONDON 2.580
90276JEB8
BFM8T61CT2L1QCEMIK50
US90276JEB89
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
A+
Standard & Poor's Short Rating
A-1
2018-11-16
2018-12-17
2018-12-17
N
N
N
0.0261
100038913.00
100038913.00
0.0024
N
N
N
N
UBS Securities LLC
UBS Securities LLC 2.400
AAR9999I3
T6FIZBDPKLYJKFCRVK44
0001070766
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
UNITED AIRLINES PT CE
2023-10-11
4.750000
149309.00
102506.49
Asset-Backed Securities
CAMPBELL SOUP CO GLBL
5493007JDSMX8Z5Z1902
2021-03-15
2.964100
10.00
10.00
Corporate Debt Securities
NORDEA BK AB MTN 144A
529900ODI3047E2LIV03
2023-08-30
3.750000
3199990.00
3164976.78
Corporate Debt Securities
UBS GROUP AG SR GLBL
506700Q800G1L95S7805
2025-09-24
4.125000
5220000.00
5170825.43
Corporate Debt Securities
VIRGINIA ELEC & PWR C
CQKUMNNZVDJLRYV2PT43
2044-02-15
4.450000
125000.00
124818.06
Corporate Debt Securities
LIBERTY MUT GROUP INC
QUR0DG15Z6FFGYCHH861
2044-08-01
4.850000
8395000.00
8239650.52
Corporate Debt Securities
DEUTSCHE BK AG N Y BR
7LTWFZYICNSX8D621K86
2022-11-16
3.505200
1024000.00
1014028.78
Corporate Debt Securities
KREDITANSTALT FUR WIE
2037-06-29
0.000000
74000.00
38400.82
Other Instrument
International Debt
PNC BK N A PITTSBURGH
AD6GFRVSDT01YPT1CS68
2027-10-25
3.100000
2792000.00
2611739.17
Corporate Debt Securities
EDF S A SR GLBL 144A
2044-01-22
4.875000
125000.00
118374.53
Corporate Debt Securities
ANHEUSER-BUSCH INBEV
549300CRGMZK3K53BF92
2042-01-15
4.950000
228000.00
222882.54
Corporate Debt Securities
ING GROEP N V SR GLBL
549300NYKK9MWM7GGW15
2028-10-02
4.550000
8285490.00
8179562.31
Corporate Debt Securities
UBS AG STAMFORD BRH S
BFM8T61CT2L1QCEMIK50
2020-08-04
4.875000
1134000.00
1175494.48
Corporate Debt Securities
REALTY INCOME CORP SR
549300CUWDAUZSH43859
2023-08-01
4.650000
1989000.00
2082930.53
Corporate Debt Securities
BANK AMER CORP VR 042
9DJT3UXIJIZJI4WXO774
2023-04-24
3.487400
2277.00
2301.06
Corporate Debt Securities
HEINEKEN N V SR GLBL
2047-03-29
4.350000
125000.00
117170.83
Corporate Debt Securities
BAT CAP CORP SR GLBL
2138005GYEXN7XRHFA84
2022-08-15
3.193800
941.00
951.63
Corporate Debt Securities
SWISS BK CORP N Y BRH
2026-09-01
7.750000
300000.00
355523.00
Corporate Debt Securities
AERCAP IRELAND CAPITA
2025-10-01
4.450000
893919.00
882706.03
Corporate Debt Securities
ORACLE CORP SR GLBL N
1Z4GXXU7ZHVWFCD8TV52
2023-09-15
2.400000
3986000.00
3789516.78
Corporate Debt Securities
CSX CORP SR GLBL NT 6
2068-03-01
4.650000
1730700.00
1598595.67
Corporate Debt Securities
HALFMOON PARENT INC S
2021-09-17
2.984100
5799990.00
5821144.13
Corporate Debt Securities
ENERGY TRANSFER PRTNR
5493008K8W3OKZE54J59
2045-03-15
5.150000
3000.00
2661.81
Corporate Debt Securities
BEST BUY INC SR GLBL
HL5XPTVRV0O8TUN5LL90
2028-10-01
4.450000
14867000.00
14454333.38
Corporate Debt Securities
INDIANA MICH PWR CO S
JHR9V15J0ZRG02MIRD06
2046-03-15
4.550000
260000.00
261386.81
Corporate Debt Securities
ENTERPRISE PRODS OPER
5493004LGN656HWLDA30
2077-08-16
5.250000
1300000.00
1176054.75
Corporate Debt Securities
FEDEX CORP SR NT 5.1%
549300E707U7WNPZN687
2044-01-15
5.100000
1553000.00
1564223.01
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-05-23
3.491000
4722000.00
4690653.52
Corporate Debt Securities
ARCHER DANIELS MIDLAN
549300LO13MQ9HYSTR83
2043-04-16
4.016000
200000.00
187550.67
Corporate Debt Securities
CAPITAL ONE FINL CORP
ZUE8T73ROZOF6FLBAR73
2023-01-30
3.200000
275000.00
268256.69
Corporate Debt Securities
CENTERPOINT ENERGY RE
2JADVB0458J06WCD4N56
2037-11-01
6.625000
25000.00
30434.62
Corporate Debt Securities
DIGITAL RLTY TR LP SR
CD4SPTZ3YBTHY0C1AH38
2027-08-15
3.700000
3410000.00
3224840.79
Corporate Debt Securities
UBS AG LONDON BRH VR
BFM8T61CT2L1QCEMIK50
2019-05-28
2.631400
6889000.00
6927543.37
Corporate Debt Securities
PNC CAP TR C SUB PFD
2028-06-01
2.891300
1500000.00
1411828.13
Corporate Debt Securities
UBS GROUP AG SR FL 14
506700Q800G1L95S7805
2021-04-14
4.216300
1950000.00
2011232.02
Corporate Debt Securities
MAGELLAN MIDSTREAM PR
MZF5TI8NFVZZNUSKDL39
2042-12-01
4.200000
75000.00
65184.75
Corporate Debt Securities
MICROSOFT CORP SR GLB
INR2EJN1ERAN0W5ZP974
2027-02-06
3.300000
9000000.00
8808675.00
Corporate Debt Securities
NEW YORK LIFE GBL FDG
635400DPNHEAUHB7ZI15
2019-10-24
1.500000
950000.00
936388.08
Corporate Debt Securities
UNION PAC CORP SR GLB
549300LMMRSZZCZ8CL11
2025-08-15
3.250000
1770000.00
1703910.17
Corporate Debt Securities
NOBLE ENERGY INC SR G
02VFQXG2D1LR5ZH3K186
2044-11-15
5.050000
945000.00
895412.18
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-08-15
2.859000
6520000.00
6298487.35
Corporate Debt Securities
LIBERTY MUT GROUP INC
QUR0DG15Z6FFGYCHH861
2042-05-01
6.500000
125000.00
150388.75
Corporate Debt Securities
BP CAP MKTS AMER INC
5493009NTB34VXE1T760
2028-09-21
3.937000
750000.00
745788.33
Corporate Debt Securities
UNICREDIT SPA FR 4.62
549300TRUWO2CD2G5692
2027-04-12
4.625000
1000000.00
892190.97
Corporate Debt Securities
PRESIDENT&FELLOW HARV
2040-10-15
4.875000
125000.00
141804.58
Corporate Debt Securities
SIMON PPTY GROUP LP S
MR92GTD0MJTTTTQDVG45
2026-01-15
3.300000
89000.00
85760.10
Corporate Debt Securities
WESTJET AIRLINES LTD
2021-06-16
3.500000
51000.00
50890.09
Corporate Debt Securities
SOUTHWEST GAS HOLDING
2043-10-01
4.875000
15000.00
15346.54
Corporate Debt Securities
AIRCASTLE LTD SR GLBL
549300PNK8AKY3OIKP58
2024-05-01
4.125000
1945000.00
1936626.78
Corporate Debt Securities
AMERICAN EXPRESS CO S
R4PP93JZOLY261QX3811
2023-08-03
3.700000
1031.00
1032.89
Corporate Debt Securities
BLACKSTONE HLDGS FIN
549300D2L6J4NC1QVZ22
2045-07-15
4.450000
822000.00
761092.08
Corporate Debt Securities
PEPSICO INC SR GLBL N
FJSUNZKFNQ5YPJ5OT455
2046-10-06
3.450000
95000.00
81876.30
Corporate Debt Securities
DTE ELEC CO SR SEC GL
9N0FWODEJVKHC2DYLO03
2045-03-15
3.700000
100000.00
90523.78
Corporate Debt Securities
WESTLAKE CHEM CORP 5%
GOXNEVUM0LL78B1OS344
2046-08-15
5.000000
2219000.00
2115762.26
Corporate Debt Securities
ASCENSION HEALTH ALLI
2046-11-15
3.945000
150000.00
142983.12
Corporate Debt Securities
E ON INTL FIN SR GLBL
2038-04-30
6.650000
1000.00
1162.04
Corporate Debt Securities
GRAINGER W W INC SR G
549300TWZSP6O1IH2V34
2046-05-15
3.750000
200000.00
176748.33
Corporate Debt Securities
ABN AMRO BK NV MTN SR
BFXS5XCH7N0Y05NIXW11
2021-01-19
2.859600
8677000.00
8674613.02
Corporate Debt Securities
SABINE PASS LIQUEFACT
549300KJYBG7C6WJYZ11
2028-03-15
4.200000
745000.00
713014.67
Corporate Debt Securities
NESTLE HLDGS INC SR G
549300EAEU8YV8MQXP30
2028-09-24
3.625000
9326000.00
9157532.29
Corporate Debt Securities
METLIFE INC SR NT 4.1
C4BXATY60WC6XEOZDX54
2042-08-13
4.125000
100000.00
91953.75
Corporate Debt Securities
DEUTSCHE BK AG N Y BR
7LTWFZYICNSX8D621K86
2023-02-27
3.950000
71000.00
68799.16
Corporate Debt Securities
CHEVRON PHILLIPS CHEM
2028-06-01
3.700000
151063.00
151485.72
Corporate Debt Securities
WESTLAKE CHEM CORP 3.
GOXNEVUM0LL78B1OS344
2026-08-15
3.600000
2529917.00
2369899.75
Corporate Debt Securities
ALLSTATE CORP SR NT 5
OBT0W1ED8G0NWVOLOJ77
2035-05-09
5.550000
125000.00
143627.08
Corporate Debt Securities
AIR LEASE CORP SR GLB
5493004NW4M4P8TMMK63
2027-12-01
3.625000
1663651.00
1535473.62
Corporate Debt Securities
FORD MOTOR CREDIT CO
UDSQCVRUX5BONN0VY111
2021-10-12
3.305200
3698500.00
3624902.75
Corporate Debt Securities
LLOYDS BANKING GROUP
549300PPXHEU2JF0AM85
2028-11-07
3.574000
1164.00
1071.28
Corporate Debt Securities
UBS AG LONDON BRH SR
BFM8T61CT2L1QCEMIK50
2020-06-08
2.200000
8875000.00
8791387.64
Corporate Debt Securities
COMCAST CORP NEW SR N
51M0QTTNCGUN7KFCFZ59
2044-03-01
4.750000
20000.00
19739.73
Corporate Debt Securities
LLOYDS TSB BK PLC GTD
H7FNTJ4851HG0EXQ1Z70
2021-01-21
6.375000
1717000.00
1850167.66
Corporate Debt Securities
HALFMOON PARENT INC S
2038-08-15
4.800000
975.00
948.52
Corporate Debt Securities
GULFSTREAM NAT GAS SY
2045-10-15
5.950000
2000.00
2265.07
Corporate Debt Securities
WESTPAC BKG CORP SR G
2023-01-11
2.990400
4936.00
4925.89
Corporate Debt Securities
INTESA SANPAOLO S P A
2W8N8UU78PMDQKZENC08
2027-07-14
3.875000
3787000.00
3177169.40
Corporate Debt Securities
WELLS FARGO BANK NATL
KB1H1DSPRFMYMCUFXT09
2021-07-23
2.977200
4.00
4.00
Corporate Debt Securities
PACIFIC LIFECORP SR G
2020-02-10
6.000000
434000.00
453725.30
Corporate Debt Securities
MARVELL TECHNOLOGY GR
8DF36O58U3QIHUCGZB18
2028-06-22
4.875000
950000.00
954777.31
Corporate Debt Securities
BLACKSTONE HLDGS FIN
2044-06-15
5.000000
500000.00
499759.44
Corporate Debt Securities
DOMINION ENERGY INC S
ILUL7B6Z54MRYCF6H308
2035-06-15
5.950000
150000.00
168851.67
Corporate Debt Securities
DEUTSCHE BK AG VR 100
7LTWFZYICNSX8D621K86
2021-02-04
3.766200
905863.00
906157.09
Corporate Debt Securities
GE CAPITAL INTERNATIO
549300G6UZOB126GBY72
2025-11-15
3.373000
1654000.00
1555013.52
Corporate Debt Securities
SAN DIEGO GAS & ELEC
KNIRVXKVNJJ4P8OTMS63
2041-11-15
3.950000
48000.00
44619.07
Corporate Debt Securities
MOSAIC CO NEW SR GLBL
2YD5STGSJNMUB7H76907
2022-11-15
3.250000
2000.00
1973.99
Corporate Debt Securities
AIRCASTLE LTD SR GLBL
549300PNK8AKY3OIKP58
2023-09-25
4.400000
12185.00
12141.87
Corporate Debt Securities
FEDEX CORP SR NT 3.9%
549300E707U7WNPZN687
2035-02-01
3.900000
280000.00
257975.20
Corporate Debt Securities
SL GREEN OPER PARTNER
2K1OXW4LY7IS2U150Y32
2022-10-15
3.250000
487994.00
471999.73
Corporate Debt Securities
PACIFIC GAS & ELEC CO
1HNPXZSMMB7HMBMVBS46
2044-02-15
4.750000
8000.00
7391.26
Corporate Debt Securities
UBS GROUP AG SR GLBL
2021-04-14
4.216300
349913.00
360900.63
Corporate Debt Securities
BAYER US FIN II LLC S
2044-07-15
4.400000
254898.00
221612.57
Corporate Debt Securities
ENTERPRISE PRODS OPER
5493004LGN656HWLDA30
2028-10-16
4.150000
10.00
9.86
Corporate Debt Securities
CRH AMERICA FINANCE I
2047-05-09
4.400000
2207.00
1981.56
Corporate Debt Securities
TOYOTA MOTOR CREDIT C
2019-07-25
2.589900
1348024.00
1348686.75
Corporate Debt Securities
UBS AG SR REGS 20
2020-12-01
2.450000
200000.00
197787.67
Corporate Debt Securities
MARATHON PETE CORP SR
3BNYRYQHD39K4LCKQF12
2045-12-15
5.850000
60000.00
63097.20
Corporate Debt Securities
MORGAN STANLEY FXD/FL
IGJSJL3JD5P30I6NJZ34
2029-01-24
3.772000
1.00
0.96
Corporate Debt Securities
NESTLE HLDGS INC SR G
549300EAEU8YV8MQXP30
2048-09-24
4.000000
324961.00
305580.69
Corporate Debt Securities
WEYERHAEUSER CO SR GL
2033-12-15
6.875000
25000.00
30700.06
Corporate Debt Securities
AIR LEASE CORP SR GLB
5493004NW4M4P8TMMK63
2028-10-01
4.625000
2920.00
2850.57
Corporate Debt Securities
UBS AG SR GLBL REGS 1
2018-12-07
2.636800
2920000.00
2931782.83
Corporate Debt Securities
APPALACHIAN PWR CO SR
3SCHO1ABYYIG382BEI70
2037-08-15
6.700000
50000.00
61133.22
Corporate Debt Securities
CANADIAN NAT RES LTD
549300T15RIMIKZC5Q38
2024-04-15
3.800000
6001000.00
5926940.99
Corporate Debt Securities
SHERWIN WILLIAMS CO S
Z15BMIOX8DDH0X2OBP21
2024-06-01
3.125000
713658.00
687966.91
Corporate Debt Securities
SIMON PPTY GROUP LP 3
MR92GTD0MJTTTTQDVG45
2027-12-01
3.375000
920446.00
883704.10
Corporate Debt Securities
INTERNATIONAL FLAVORS
BZLRL03D3GPGMOGFO832
2047-06-01
4.375000
655413.00
592132.33
Corporate Debt Securities
ENBRIDGE INC SR NT 2.
98TPTUM4IVMFCZBCUR27
2022-07-15
2.900000
404000.00
393766.23
Corporate Debt Securities
SOUTHERN CO SR GLBL 1
2020-09-30
3.096000
94.00
94.47
Corporate Debt Securities
BROADCOM CORP/BROADCO
2028-01-15
3.500000
1986820.00
1776804.29
Corporate Debt Securities
ABBVIE INC 4.875%48
FR5LCKFTG8054YNNRU85
2048-11-14
4.875000
434.00
401.91
Corporate Debt Securities
CANADIAN NATL RY CO S
2037-11-15
6.375000
20000.00
25180.12
Corporate Debt Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2026-07-01
3.646000
2850000.00
2871338.11
Corporate Debt Securities
ENBRIDGE INC SR NT 3.
98TPTUM4IVMFCZBCUR27
2027-07-15
3.700000
1033.00
985.03
Corporate Debt Securities
UBS AG LONDON BRH 20
BFM8T61CT2L1QCEMIK50
2020-06-08
2.907100
17289200.00
17418840.21
Corporate Debt Securities
CF INDS INC SR SEC GL
2026-12-01
4.500000
1.00
1.00
Corporate Debt Securities
APPALACHIAN PWR CO SR
3SCHO1ABYYIG382BEI70
2035-10-01
5.800000
1000.00
1127.08
Corporate Debt Securities
SUNOCO LOGISTICS PART
5493006LL0CKP8WQW329
2047-10-01
5.400000
4915000.00
4521701.70
Corporate Debt Securities
ROYAL BANK OF CANADA
2021-10-22
3.350000
998747.00
999513.54
Corporate Debt Securities
ROCHE HLDGS INC SR 14
2044-11-28
4.000000
200000.00
198156.00
Corporate Debt Securities
TRANSCANADA PIPELINES
5BV01I6231JPDAPMGH09
2026-01-15
4.875000
430000.00
448844.39
Corporate Debt Securities
UNILEVER CAP CORP SR
MYF1DAS6G5WY7PRWCU78
2024-03-07
3.250000
168825.00
166426.84
Corporate Debt Securities
GENERAL ELEC CAP CORP
3C7474T6CDKPR9K6YT90
2026-05-05
2.720500
358000.00
324229.49
Corporate Debt Securities
UBS GROUP AG SR GLBL
2020-09-24
3.806400
614000.00
627785.60
Corporate Debt Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2029-04-23
4.075000
1000.00
965.25
Corporate Debt Securities
ROGERS COMMUNICATIONS
2043-03-15
4.500000
25000.00
24115.25
Corporate Debt Securities
COX COMMUNICATIONS IN
5493001NEDZNIFRP2R92
2043-06-30
4.500000
125000.00
105873.12
Corporate Debt Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2026-02-23
3.250000
5270000.00
5122328.75
Corporate Debt Securities
EDF S A SR 144A NT 39
2039-01-26
6.950000
100000.00
120145.03
Corporate Debt Securities
COMCAST CORP NEW SR G
51M0QTTNCGUN7KFCFZ59
2048-10-15
4.700000
1500000.00
1463976.67
Corporate Debt Securities
CAPITAL ONE BK USA NA
LKE37K2B8CFZUR7F9816
2023-02-15
3.375000
1746000.00
1702987.29
Corporate Debt Securities
SIMON PPTY GROUP LP S
MR92GTD0MJTTTTQDVG45
2022-06-15
2.625000
18798000.00
18382125.58
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2036-05-01
6.450000
10389000.00
12075342.46
Corporate Debt Securities
BARCLAYS PLC SR GLBL
213800LBQA1Y9L22JB70
2047-01-10
4.950000
3419000.00
3109760.00
Corporate Debt Securities
MPLX LP SR GLBL NT 4%
5493000CZJ19CK4P3G36
2028-03-15
4.000000
500000.00
473770.56
Corporate Debt Securities
METROPOLITAN LIFE GLO
635400MMSOCXNNNZDZ82
2018-12-19
2.768800
2500000.00
2508900.52
Corporate Debt Securities
PRINCIPAL FINL GROUP
CUMYEZJOAF02RYZ1JJ85
2042-09-15
4.625000
125000.00
121819.97
Corporate Debt Securities
NORDEA BK AB MTN 144A
6SCPQ280AIY8EP3XFW53
2023-08-30
3.254800
2108438.00
2118168.43
Corporate Debt Securities
PROTECTIVE LIFE CORP
549300ZWIT8J8Y2EXL07
2028-09-30
4.300000
487.00
479.01
Corporate Debt Securities
DUKE ENERGY PROGRESS
0NIFZ782LS46WOC9QK20
2046-10-15
3.700000
425000.00
375782.64
Corporate Debt Securities
NATIONWIDE BLDG SOC G
549300XFX12G42QIKN82
2024-08-01
4.363000
5000000.00
5022637.50
Corporate Debt Securities
CITIBANK NA N Y SR GL
E57ODZWZ7FF32TWEFA76
2020-05-01
2.663100
4401890.00
4436743.40
Corporate Debt Securities
TRANSCANADA PIPELINES
5BV01I6231JPDAPMGH09
2028-05-15
4.250000
389996.00
390349.27
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-08-15
3.263800
12094000.00
12203815.20
Corporate Debt Securities
COMMONWEALTH EDISON C
D8YOXB8L2ZDC8P7Q0771
2046-06-15
3.650000
150000.00
134911.33
Corporate Debt Securities
RPM INTL INC SR GLBL
2048-01-15
4.250000
1339000.00
1139507.60
Corporate Debt Securities
AON PLC SR GLBL BD4.6
VVT2B79I2Z4U3R6BY589
2044-06-14
4.600000
561000.00
541087.62
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-05-23
3.530300
9952000.00
10129625.79
Corporate Debt Securities
PNC BK N A PITTSBURGH
AD6GFRVSDT01YPT1CS68
2024-10-30
3.300000
6665000.00
6489455.01
Corporate Debt Securities
NBCUNIVERSAL MEDIA LL
VTBDOQJ6KOGQ6K786R46
2020-04-30
5.150000
7911000.00
8131266.41
Corporate Debt Securities
NORDEA BK AB EURO MTN
2023-08-30
3.254800
6997064.00
7029355.41
Corporate Debt Securities
INTL PAPER CO SR NT 5
824LMFJDH41EY779Q875
2035-09-15
5.000000
11000.00
10884.49
Corporate Debt Securities
EXXON MOBIL CORP SR N
J3WHBG0MTS7O8ZVMDC91
2024-03-15
3.176000
5000000.00
4965141.11
Corporate Debt Securities
KKR GROUP FINANCE LLC
2043-02-01
5.500000
375000.00
384217.50
Corporate Debt Securities
CIGNA CORPORATION SR
45RS2W538ZOGNWLVIX82
2020-12-15
4.375000
4350000.00
4490016.83
Corporate Debt Securities
NOBLE ENERGY INC SR G
02VFQXG2D1LR5ZH3K186
2024-11-15
3.900000
5309000.00
5269147.10
Corporate Debt Securities
GUARDIAN LIFE INS CO
N1YIDVMMKBHFYCCAIX69
2077-01-24
4.850000
159000.00
154604.93
Corporate Debt Securities
WILLIAMS COS INC DEL
D71FAKCBLFS2O0RBPG08
2023-01-15
3.700000
64000.00
63623.96
Corporate Debt Securities
SOUTHERN CALIF EDISON
9R1Z5I36FERIBVKW4P77
2043-03-15
3.900000
86000.00
77760.63
Corporate Debt Securities
NEW YORK LIFE INS CO
TAE73CY392TBWJ3O3305
2039-11-15
6.750000
2000.00
2650.47
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
A+
Standard & Poor's Short Rating
A-1
2018-11-01
2018-11-07
2049-12-31
N
N
N
0.0243
300000000.00
300000000.00
0.0071
N
N
Y
N
VERSAILLES COMMERCIAL PAPER LLC
VERSAILLES COMMERCIAL PAPER LLC 2.421
92512MN70
US92512MN704
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
2019-01-07
2019-01-07
2019-01-07
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
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
0.0242
39810204.40
39810204.40
0.0009
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.530
94989RXN3
KB1H1DSPRFMYMCUFXT09
US94989RXN33
0000276523
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
2018-11-22
2019-01-22
2019-01-22
N
N
N
0.0256
250111555.00
250111555.00
0.0059
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.530
94989RW79
KB1H1DSPRFMYMCUFXT09
US94989RW793
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
2018-11-01
2019-09-20
2019-09-20
N
N
N
0.0257
84257275.83
84257275.83
0.0020
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.525
94989RTH1
KB1H1DSPRFMYMCUFXT09
US94989RTH11
0000276523
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
2018-11-27
2018-11-27
2018-11-27
N
N
N
0.0256
100019040.00
100019040.00
0.0024
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.567
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
2018-11-28
2019-01-30
2019-01-30
N
N
N
0.0260
195101158.20
195101158.20
0.0046
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.637
94989RK23
KB1H1DSPRFMYMCUFXT09
US94989RK236
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
2018-11-11
2019-05-10
2019-05-10
N
N
N
0.0267
100085048.00
100085048.00
0.0024
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.507
94989RRY6
KB1H1DSPRFMYMCUFXT09
US94989RRY61
0000276523
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0254
130000832.00
130000832.00
0.0031
N
Y
Y
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.574
94989RT57
KB1H1DSPRFMYMCUFXT09
US94989RT575
0000276523
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
2018-11-28
2019-07-26
2019-07-26
N
N
N
0.0261
375183907.50
375183907.50
0.0089
N
N
N
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.330
0QY001PC1
0000276523
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BANK AMER CORP FR 3.8
9DJT3UXIJIZJI4WXO774
2025-08-01
3.875000
507000.00
504428.24
Corporate Debt Securities
ING US FDG LLC IAM CP
2019-01-07
0.000000
1500000.00
1500300.00
Money Market
ENERGY TRANSFER PRTNR
2018-11-02
0.000000
25000000.00
24994350.00
Money Market
ENERGY TRANSFER PRTNR
2018-11-05
0.000000
20000000.00
19990920.00
Money Market
HYUNDAI CAP AMER INC
2020-03-19
2.600000
451000.00
444782.21
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2037-10-01
6.750000
248000.00
291817.88
Corporate Debt Securities
ANZ NATL INTL LTD COM
2018-11-09
0.000000
25000000.00
25002000.00
Money Market
AMERICAN EXPRESS CR C
9ET6B8VCXWW51H8Z3M54
2019-03-18
2.125000
1054000.00
1054198.36
Corporate Debt Securities
PARKER-HANNIFIN CORP
5493002CONDB4N2HKI23
2024-11-21
3.300000
15401000.00
15333030.28
Corporate Debt Securities
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2044-06-01
4.125000
606000.00
590321.27
Corporate Debt Securities
AIG GLOBAL FUNDING FR
54930057MDZ7KOVOTV71
2021-12-15
2.700000
360000.00
353448.00
Corporate Debt Securities
BANK AMER CORP FR 2.7
9DJT3UXIJIZJI4WXO774
2022-01-23
2.738000
962000.00
950670.95
Corporate Debt Securities
PRUDENTIAL FINL INC M
5PRBRS5FEH7NREC8OR45
2036-12-14
5.700000
2758000.00
3115275.91
Corporate Debt Securities
TOYOTA MTR CRD CORP M
Z2VZBHUMB7PWWJ63I008
2022-01-12
3.300000
6429000.00
6473177.94
Corporate Debt Securities
HYUNDAI CAP AMER INC
549300RIPPWJB5Z0FK07
2019-03-18
2.500000
150000.00
149958.92
Corporate Debt Securities
TORONTO DOMINION BANK
PT3QB789TSUIDF371261
2019-07-02
2.125000
168000.00
168330.00
Corporate Debt Securities
UNITEDHEALTH GROUP IN
549300GHBMY8T5GXDE41
2041-11-15
4.625000
9551000.00
9899768.03
Corporate Debt Securities
HSBC USA INC NEW FR 2
549300LBOHZ4QSIWU288
2020-03-05
2.350000
955000.00
947518.11
Corporate Debt Securities
NATIONAL AUSTRALIA BK
2020-12-10
4.375000
3630000.00
3758957.26
Corporate Debt Securities
NEW YORK LIFE GBL FDG
635400DPNHEAUHB7ZI15
2019-06-18
2.150000
33965000.00
34076169.33
Corporate Debt Securities
BANK OF MONTREAL FR 3
NQQ6HPCNCCU6TUTQYE16
2020-07-13
3.100000
2000.00
2015.56
Corporate Debt Securities
BANK OF MONTREAL FR 2
NQQ6HPCNCCU6TUTQYE16
2019-01-25
2.375000
7638000.00
7681027.40
Corporate Debt Securities
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2026-07-30
1.850000
1698000.00
1488596.51
Corporate Debt Securities
ARROW ELECTRS INC
2018-11-20
0.000000
7797000.00
7784345.47
Money Market
BANK AMER CORP FR 5%0
9DJT3UXIJIZJI4WXO774
2044-01-21
5.000000
17000.00
17710.58
Corporate Debt Securities
TOYOTA MOTOR CREDIT C
Z2VZBHUMB7PWWJ63I008
2022-07-13
2.800000
1940000.00
1913014.60
Corporate Debt Securities
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2020-06-05
1.800000
73000.00
72109.40
Corporate Debt Securities
ARROW ELECTRS INC
2018-11-07
0.000000
12500000.00
12492400.00
Money Market
TOYOTA MTR CRD CORP M
Z2VZBHUMB7PWWJ63I008
2023-01-10
2.625000
199000.00
193723.27
Corporate Debt Securities
BANK AMER CORP FR 3.9
9DJT3UXIJIZJI4WXO774
2025-04-21
3.950000
4000.00
3895.59
Corporate Debt Securities
BANK OF MONTREAL FR 2
NQQ6HPCNCCU6TUTQYE16
2020-06-15
2.100000
675000.00
669075.75
Corporate Debt Securities
ATHENE GLOBAL FUNDING
549300LM1QSI4MSIL320
2022-01-25
4.000000
113000.00
114823.44
Corporate Debt Securities
LIBERTY PPTY LTD PART
549300N6GNCW2Y4RH795
2022-06-15
4.125000
146000.00
150170.25
Corporate Debt Securities
PRUDENTIAL FINL INC M
2040-11-15
6.200000
2028000.00
2413196.06
Corporate Debt Securities
AUTONATION INC
2018-11-01
0.000000
49000000.00
48992650.00
Money Market
BANK AMER CORP FR 2.1
9DJT3UXIJIZJI4WXO774
2020-11-09
2.151000
239000.00
235868.38
Corporate Debt Securities
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2022-12-01
2.350000
284000.00
275011.87
Corporate Debt Securities
HYUNDAI CAP AMER INC
2020-10-30
3.000000
149000.00
146744.64
Corporate Debt Securities
PRUDENTIAL FINL INC M
5PRBRS5FEH7NREC8OR45
2020-06-21
5.375000
667000.00
702104.02
Corporate Debt Securities
PLAINS MIDSTREAM
2018-11-01
0.000000
1116683.00
1111099.59
Money Market
ARROW ELECTRS INC
2018-11-21
0.000000
10000000.00
9982980.00
Money Market
BANK AMER CORP FR 4.1
9DJT3UXIJIZJI4WXO774
2023-07-24
4.100000
816000.00
832725.73
Corporate Debt Securities
GOLDMAN SACHS GRP INC
784F5XWPLTWKTBV3E584
2020-06-15
6.000000
640000.00
680337.07
Corporate Debt Securities
JACKSON NATL LIFE GBL
635400PQXLYXWJI5QD78
2024-01-30
3.250000
1361000.00
1334576.56
Corporate Debt Securities
ENERGY TRANSFER PRTNR
2018-11-01
0.000000
12304000.00
12302154.40
Money Market
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2020-03-04
1.950000
1992000.00
1971278.22
Corporate Debt Securities
JACKSON NATL LIFE GBL
635400PQXLYXWJI5QD78
2021-04-29
2.250000
256000.00
249007.36
Corporate Debt Securities
BANK AMER CORP FR 4.1
9DJT3UXIJIZJI4WXO774
2024-01-22
4.125000
226000.00
230102.75
Corporate Debt Securities
TOYOTA MOTOR CREDIT C
Z2VZBHUMB7PWWJ63I008
2021-04-08
1.900000
5500000.00
5329631.39
Corporate Debt Securities
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2041-08-16
4.375000
281000.00
279877.29
Corporate Debt Securities
GENERAL MTRS FINL CO
2018-11-01
0.000000
10000000.00
9998510.00
Money Market
AUTONATION INC
2018-11-02
0.000000
500000.00
499887.00
Money Market
BANK AMER CORP FR 4.2
9DJT3UXIJIZJI4WXO774
2026-10-22
4.250000
1259000.00
1226697.21
Corporate Debt Securities
AMERICAN HONDA FIN CO
B6Q2VFHD1797Q7NZ3E43
2020-02-14
2.000000
355000.00
351605.41
Corporate Debt Securities
HYUNDAI CAP AMER INC
2022-04-05
3.100000
489000.00
475361.25
Corporate Debt Securities
BANK OF MONTREAL FR 1
NQQ6HPCNCCU6TUTQYE16
2019-09-11
1.750000
740000.00
734250.61
Corporate Debt Securities
HYUNDAI CAP AMER INC
2026-09-27
2.750000
6842000.00
5976331.16
Corporate Debt Securities
TORONTO DOMINION BANK
PT3QB789TSUIDF371261
2020-06-11
3.000000
4475000.00
4519526.25
Corporate Debt Securities
AUTONATION INC
2018-11-07
0.000000
15000000.00
14990880.00
Money Market
BANK AMER CORP FR 4.8
9DJT3UXIJIZJI4WXO774
2044-04-01
4.875000
238000.00
242022.79
Corporate Debt Securities
WASHINGTON GAS LT CO
2046-09-15
3.796000
5000000.00
4593752.22
Corporate Debt Securities
ENABLE MIDSTREAM PART
2018-11-15
0.000000
38506000.00
38458560.61
Money Market
MORGAN STANLEY FR 5.6
IGJSJL3JD5P30I6NJZ34
2019-09-23
5.625000
2192000.00
2251595.00
Corporate Debt Securities
SOUTH CAROLINA PUB SV
2018-11-28
0.000000
100000.00
100000.00
Money Market
CREDIT SUISSE NEW YOR
ANGGYXNX0JLX3X63JN86
2019-08-13
5.300000
108000.00
111124.80
Corporate Debt Securities
PENTAIR FINANCE SA
2018-11-01
0.000000
9000000.00
8998650.00
Money Market
TOYOTA MOTOR CREDIT C
Z2VZBHUMB7PWWJ63I008
2022-01-11
2.600000
3179000.00
3132664.31
Corporate Debt Securities
BERKSHIRE HATHAWAY FI
549300RLHFT5RU20WM87
2022-05-15
3.000000
3949000.00
3965954.37
Corporate Debt Securities
TORONTO DOMINION BANK
PT3QB789TSUIDF371261
2021-04-07
2.125000
284000.00
276609.37
Corporate Debt Securities
AMERICAN EXPRESS CR C
9ET6B8VCXWW51H8Z3M54
2020-09-14
2.600000
6739000.00
6674133.38
Corporate Debt Securities
ENABLE MIDSTREAM PART
2018-11-01
0.000000
15000000.00
14997750.00
Money Market
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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0233
373000000.00
373000000.00
0.0088
N
Y
Y
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.290
0QY001PH0
0000276523
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
EUROPEAN INVT BK SR N
5493006YXS1U5GIHE750
2027-05-24
2.375000
1238000.00
1168619.56
Corporate Debt Securities
PNC BK N A PITTSBURGH
AD6GFRVSDT01YPT1CS68
2019-07-02
2.250000
455000.00
456577.71
Corporate Debt Securities
SIGMA ALIMENTOS S A S
2026-05-02
4.125000
330254.00
311931.65
Corporate Debt Securities
SHINHAN BK SUB REGS N
2027-09-20
3.750000
3500000.00
3232287.92
Corporate Debt Securities
EMPRESA NACIONAL DEL
549300YP3P0JZBLIV197
2026-08-05
3.750000
305000.00
285619.79
Corporate Debt Securities
EMPRESA NACIONAL DEL
2047-09-14
4.500000
310000.00
268424.35
Corporate Debt Securities
PNC BK N A PITTSBURGH
AD6GFRVSDT01YPT1CS68
2023-06-08
3.500000
5339000.00
5387759.90
Corporate Debt Securities
COMMONWEALTH BK AUSTR
MSFSBD3QN1GSN7Q6C537
2019-03-13
2.250000
540000.00
540712.80
Corporate Debt Securities
MEXICO CITY ARPT TR S
2026-10-31
4.250000
1230000.00
1025596.21
Corporate Debt Securities
CORP NACIONAL DEL COB
2047-08-01
4.500000
200000.00
186646.00
Corporate Debt Securities
US BANK ASSN CINCINNA
6BYL5QZYBDK8S7L73M02
2020-07-24
2.737400
7941000.00
7948244.32
Corporate Debt Securities
COOPERATIEVE CENTRALE
DG3RU1DBUFHT4ZF9WN62
2022-11-09
3.950000
4143000.00
4183776.33
Corporate Debt Securities
AUSTRALIA & NEW ZEALA
JHE42UYNWWTJB8YTTU19
2019-06-13
2.250000
879000.00
882933.52
Corporate Debt Securities
ICBCIL FINANCE CO. LT
2026-05-19
3.625000
200000.00
188494.50
Corporate Debt Securities
BAYER US FIN II LLC 4
529900XWNEXYNJ3X6T40
2064-07-15
4.700000
224000.00
184045.49
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
A+
Standard & Poor's Short Rating
A-1
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0229
25000000.00
25000000.00
0.0006
N
Y
Y
N
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2021-10-18
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Corporate Debt Securities
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2019-03-04
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AD6GFRVSDT01YPT1CS68
2024-10-30
3.300000
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243415.42
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COMMONWEALTH BK AUSTR
MSFSBD3QN1GSN7Q6C537
2019-03-15
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334000.00
334023.19
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AIA GROUP LTD HONG KO
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2023-04-12
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ICBC LTD NEW YORK BRA
5493002ERZU2K9PZDL40
2021-05-26
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JHE42UYNWWTJB8YTTU19
2019-09-23
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STANDARD CHARTERED PL
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2019-08-19
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Corporate Debt Securities
METROPOLITAN LIFE GLO
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2026-12-18
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Corporate Debt Securities
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Corporate Debt Securities
CHINA CINDA FIN 2015
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Corporate Debt Securities
KOMMUNINVEST I SVERIG
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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
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2018-11-02
N
N
N
0.0234
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Y
N
WELLS FARGO SECURITIES LLC (REPO)
WELLS FARGO SECURITIES LLC (REPO) 2.220
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Y
N
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Agency Mortgage-Backed Securities
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5.500000
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23623.53
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2031-03-01
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753864.94
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117443.50
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S6XOOCT0IEG5ABCC6L87
2048-09-01
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2047-07-01
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S6XOOCT0IEG5ABCC6L87
2048-09-01
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170396.95
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Agency Mortgage-Backed Securities
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2046-10-01
3.000000
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Agency Mortgage-Backed Securities
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2033-10-01
3.500000
43442.02
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2041-07-20
4.500000
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2038-10-20
6.000000
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2045-05-20
3.500000
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2033-01-20
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2033-11-01
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S6XOOCT0IEG5ABCC6L87
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2046-11-20
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549300M8ZYFG0OCMTT87
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S6XOOCT0IEG5ABCC6L87
2032-08-01
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2046-01-20
2.500000
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549300M8ZYFG0OCMTT87
2038-08-20
6.000000
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549300M8ZYFG0OCMTT87
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2.500000
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Agency Mortgage-Backed Securities
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2022-09-13
2.800000
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Agency Debentures and Agency Strips
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2047-12-01
3.500000
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2031-11-20
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2027-02-01
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2048-02-20
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Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-11-01
3.500000
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Agency Mortgage-Backed Securities
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2048-09-01
5.500000
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28818.82
Agency Mortgage-Backed Securities
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2036-11-20
7.000000
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2028-05-01
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2048-05-20
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2048-04-01
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2038-05-20
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2032-12-20
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2033-09-01
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B1V7KEBTPIMZEU4LTD58
2046-10-01
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2033-06-01
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2027-03-20
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2047-07-01
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S6XOOCT0IEG5ABCC6L87
2032-04-01
2.500000
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2046-10-20
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549300M8ZYFG0OCMTT87
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2033-09-01
3.000000
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2041-03-20
5.000000
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Federal Home Loan Ban
2033-03-11
3.500000
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549300M8ZYFG0OCMTT87
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2048-02-20
3.500000
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2041-07-20
4.500000
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2036-01-01
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549300M8ZYFG0OCMTT87
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B1V7KEBTPIMZEU4LTD58
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3.500000
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2048-02-20
3.500000
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2048-03-01
3.500000
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2048-09-01
3.500000
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549300M8ZYFG0OCMTT87
2048-01-20
3.500000
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2047-03-20
3.500000
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2047-11-20
2.500000
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Agency Mortgage-Backed Securities
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2028-10-01
2.500000
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7.500000
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2048-04-01
3.500000
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Agency Mortgage-Backed Securities
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2048-04-01
4.000000
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2042-03-20
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2033-05-20
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2041-06-20
4.500000
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2046-07-20
2.500000
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2042-11-20
3.500000
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B1V7KEBTPIMZEU4LTD58
2032-05-01
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2047-09-01
3.500000
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S6XOOCT0IEG5ABCC6L87
2029-12-01
2.500000
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2038-02-01
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3.500000
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S6XOOCT0IEG5ABCC6L87
2046-11-01
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3.500000
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2040-01-20
5.000000
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2046-11-20
2.500000
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2032-02-01
2.000000
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2033-09-01
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2041-08-20
4.000000
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2047-10-01
3.500000
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2041-12-20
6.000000
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2047-08-20
3.500000
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S6XOOCT0IEG5ABCC6L87
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2.752000
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2046-04-01
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3.500000
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2.500000
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S6XOOCT0IEG5ABCC6L87
2048-05-01
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7.000000
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2046-04-01
3.000000
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2042-11-20
3.500000
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2033-04-20
3.500000
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2033-07-01
3.500000
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Agency Mortgage-Backed Securities
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2048-04-20
4.000000
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2033-06-01
3.500000
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2043-09-20
2.500000
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2030-08-01
3.000000
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2034-05-20
3.500000
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2048-01-20
4.500000
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S6XOOCT0IEG5ABCC6L87
2045-12-01
4.500000
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2033-08-01
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2046-08-20
2.500000
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B1V7KEBTPIMZEU4LTD58
2048-10-01
4.000000
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2047-10-20
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3.500000
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2048-04-20
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2048-04-20
4.500000
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2033-07-01
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2033-07-20
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2027-01-01
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2042-04-20
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2048-09-01
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2048-02-20
3.500000
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2033-04-01
3.500000
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2033-08-01
3.500000
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549300M8ZYFG0OCMTT87
2045-05-20
2.500000
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Agency Mortgage-Backed Securities
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2047-11-20
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2047-12-01
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2047-11-20
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2033-10-01
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2048-10-01
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2045-11-20
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2042-01-20
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2048-10-01
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2048-01-20
5.500000
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2033-06-01
3.500000
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2025-06-01
5.500000
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2040-08-01
4.565000
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Agency Mortgage-Backed Securities
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2032-08-20
2.500000
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2048-06-20
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2027-03-20
7.500000
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2033-06-01
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549300M8ZYFG0OCMTT87
2047-01-20
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2048-03-20
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2047-03-20
3.500000
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Agency Mortgage-Backed Securities
Federal Home Loan Mor
2028-05-01
2.500000
45788.53
16314.96
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.500000
80803.97
77378.38
Agency Mortgage-Backed Securities
Government National M
2048-02-20
3.500000
117692.52
115002.37
Agency Mortgage-Backed Securities
Federal National Mort
2047-02-01
3.000000
11098.95
9452.47
Agency Mortgage-Backed Securities
Government National M
2048-06-20
4.000000
58156.69
58707.09
Agency Mortgage-Backed Securities
Government National M
2046-06-20
2.500000
180858.89
136576.41
Agency Mortgage-Backed Securities
Government National M
2048-02-20
3.500000
282474.51
269638.33
Agency Mortgage-Backed Securities
Government National M
2045-03-20
2.500000
78272.58
51066.68
Agency Mortgage-Backed Securities
Federal National Mort
2047-07-01
3.500000
225548.49
208548.71
Agency Mortgage-Backed Securities
Federal National Mort
2048-09-01
4.000000
3443012.22
3448771.68
Agency Mortgage-Backed Securities
Government National M
2046-10-20
3.000000
39817.67
36751.85
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-12-20
3.000000
36593.66
30892.81
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-04-01
3.500000
40719.39
38548.31
Agency Mortgage-Backed Securities
Government National M
2045-04-20
3.500000
212.31
128.78
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2023-07-01
5.500000
53822.47
1297.61
Agency Mortgage-Backed Securities
Government National M
2032-11-20
3.500000
78036.54
54828.64
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-06-20
3.500000
590.28
406.38
Agency Mortgage-Backed Securities
Government National M
2047-01-20
3.000000
324.37
295.39
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-10-01
3.500000
31109.90
30001.81
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-01-01
3.000000
21079.30
17564.64
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-05-20
4.000000
3224222.55
3218803.35
Agency Mortgage-Backed Securities
Federal National Mort
2048-09-01
4.000000
8431.72
8541.77
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-04-01
3.500000
513.72
435.13
Agency Mortgage-Backed Securities
Government National M
2047-10-20
4.000000
21079.30
19539.75
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-07-01
3.500000
3043.54
2758.29
Agency Mortgage-Backed Securities
Government National M
2023-11-20
6.000000
38.22
31.26
Agency Mortgage-Backed Securities
Government National M
2047-10-20
3.500000
106378.62
103004.57
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-07-01
3.500000
26219.27
25985.10
Agency Mortgage-Backed Securities
Federal National Mort
2023-05-01
5.000000
300719.20
5585.28
Agency Mortgage-Backed Securities
Government National M
2047-10-20
5.500000
78300.96
57128.44
Agency Mortgage-Backed Securities
Federal Home Loan Ban
2021-04-15
2.920000
259978.01
260398.88
Agency Debentures and Agency Strips
Government National M
2045-08-20
3.000000
3513.22
2205.19
Agency Mortgage-Backed Securities
Government National M
2043-02-20
3.000000
19392.95
9911.12
Agency Mortgage-Backed Securities
Government National M
2033-06-20
3.500000
3111.42
3057.59
Agency Mortgage-Backed Securities
Government National M
2041-11-20
4.000000
66775.06
13428.68
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2037-02-01
3.000000
8564.27
7203.62
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2046-09-01
3.500000
12085.46
9075.65
Agency Mortgage-Backed Securities
Federal National Mort
2043-01-01
2.500000
733.25
420.70
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
3.640000
123910.75
122613.88
Agency Mortgage-Backed Securities
Government National M
2048-04-20
4.000000
35709.88
36046.84
Agency Mortgage-Backed Securities
Government National M
2047-02-20
2.500000
11071.77
8978.21
Agency Mortgage-Backed Securities
Government National M
2048-02-20
3.500000
42015.51
39197.67
Agency Mortgage-Backed Securities
Government National M
2031-11-20
6.000000
578320.15
7754.69
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-03-20
5.000000
28422.90
27879.00
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2046-12-01
3.000000
28105.73
23064.54
Agency Mortgage-Backed Securities
Government National M
2033-07-20
3.000000
9865.14
9677.58
Agency Mortgage-Backed Securities
Government National M
2038-11-20
6.000000
56155.90
22820.93
Agency Mortgage-Backed Securities
Government National M
2048-03-20
4.000000
64757.88
65048.30
Agency Mortgage-Backed Securities
Government National M
2039-10-20
6.000000
66391.24
6354.48
Agency Mortgage-Backed Securities
Federal National Mort
2048-11-01
4.500000
149351.38
153785.77
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-09-01
2.500000
30674.65
26273.82
Agency Mortgage-Backed Securities
Government National M
2047-07-20
2.500000
171910.55
144908.62
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-08-20
4.500000
3461456.02
3554690.82
Agency Mortgage-Backed Securities
Federal National Mort
2048-10-01
4.500000
1304796.59
1338314.68
Agency Mortgage-Backed Securities
Government National M
2048-03-20
3.500000
112429.53
110007.95
Agency Mortgage-Backed Securities
Government National M
2048-03-20
3.500000
37461.96
36250.85
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.500000
105418.47
99507.10
Agency Mortgage-Backed Securities
Government National M
2045-04-20
3.500000
398258.20
244183.89
Agency Mortgage-Backed Securities
Government National M
2048-02-20
2.500000
267631.36
244974.40
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2028-08-01
3.500000
33029.15
32714.62
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2026-05-29
0.000000
309.16
238.18
Agency Debentures and Agency Strips
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-07-01
3.500000
1060.09
1019.00
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-05-01
3.500000
67344.70
66367.26
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-02-01
4.000000
26347.15
24898.07
Agency Mortgage-Backed Securities
Government National M
2039-10-20
6.000000
298154.53
60720.75
Agency Mortgage-Backed Securities
Government National M
2047-09-20
3.500000
56739.03
54909.40
Agency Mortgage-Backed Securities
Government National M
2047-09-20
3.500000
224999.55
216746.43
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-06-01
3.500000
48053.94
47393.21
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-02-01
3.000000
113893.78
96137.57
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-05-01
3.000000
3931.71
3706.94
Agency Mortgage-Backed Securities
Federal National Mort
2048-11-01
4.000000
160484.84
161361.79
Agency Mortgage-Backed Securities
Federal Farm Credit B
2022-03-14
5.160000
3063.53
3297.19
Agency Debentures and Agency Strips
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
4.000000
5911428.71
5924187.94
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
4.000000
3687609.17
3668777.03
Agency Mortgage-Backed Securities
Government National M
2023-05-20
5.500000
2036.91
1434.73
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-08-01
4.500000
44969.17
45512.27
Agency Mortgage-Backed Securities
Government National M
2032-09-20
4.000000
3136.68
2706.99
Agency Mortgage-Backed Securities
Government National M
2031-04-20
6.500000
1558.49
1288.32
Agency Mortgage-Backed Securities
Government National M
2043-08-20
2.500000
702.64
454.32
Agency Mortgage-Backed Securities
Government National M
2046-03-20
4.500000
91332.94
67183.23
Agency Mortgage-Backed Securities
Government National M
2048-05-20
4.000000
31144.35
31433.02
Agency Mortgage-Backed Securities
Federal National Mort
2046-07-01
3.000000
243255.10
192141.48
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-05-20
3.000000
5973513.03
4148035.62
Agency Mortgage-Backed Securities
Federal Home Loan Ban
2029-09-14
3.500000
140528.65
140890.12
Agency Debentures and Agency Strips
Government National M
549300M8ZYFG0OCMTT87
2044-10-20
3.500000
11501.99
4454.02
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-11-01
3.000000
8172.11
7390.78
Agency Mortgage-Backed Securities
Federal National Mort
2048-08-01
5.500000
37939.53
40415.24
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-02-20
3.000000
31581.65
25610.50
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2025-09-15
0.000000
505.90
401.68
Agency Debentures and Agency Strips
Federal National Mort
2033-07-01
3.500000
16822.66
16703.85
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2043-04-01
4.000000
78881.15
44190.24
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-08-01
4.500000
5621.15
4906.78
Agency Mortgage-Backed Securities
Government National M
2038-12-20
6.500000
85863.01
9706.32
Agency Mortgage-Backed Securities
Government National M
2026-04-20
5.500000
5621.15
442.51
Agency Mortgage-Backed Securities
Government National M
2046-05-20
2.000000
4033.90
3327.57
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-05-01
3.500000
69462.89
67048.72
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2033-08-01
3.500000
20011.42
19273.18
Agency Mortgage-Backed Securities
Government National M
2048-01-20
4.000000
469654.99
454161.99
Agency Mortgage-Backed Securities
Government National M
2041-10-20
4.500000
32222.46
5406.95
Agency Mortgage-Backed Securities
Government National M
2038-10-20
7.000000
7026.43
652.35
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-10-01
4.000000
160624.25
147323.73
Agency Mortgage-Backed Securities
Government National M
2047-12-20
4.500000
60199.61
52389.40
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-07-01
2.500000
167410.94
136887.08
Agency Mortgage-Backed Securities
Government National M
2039-04-20
5.500000
99943.98
10306.31
Agency Mortgage-Backed Securities
Federal National Mort
2048-04-01
5.500000
1263.97
1298.19
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2042-08-01
4.000000
28755.20
9014.27
Agency Mortgage-Backed Securities
Federal National Mort
2048-02-01
3.500000
85722.48
80011.59
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2046-12-01
3.500000
52861.90
41699.73
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-05-01
4.000000
66076.57
64570.89
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-03-01
2.500000
13758.82
10862.63
Agency Mortgage-Backed Securities
Government National M
2029-07-20
3.500000
281057.30
96939.28
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-12-01
3.500000
1854.98
1707.92
Agency Mortgage-Backed Securities
Government National M
2041-11-20
4.500000
46520.86
18042.47
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-03-01
3.500000
19686.04
18384.98
Agency Mortgage-Backed Securities
Government National M
2040-05-20
4.000000
2388.99
480.66
Agency Mortgage-Backed Securities
Government National M
2039-05-20
5.000000
140528.65
12811.63
Agency Mortgage-Backed Securities
Government National M
2043-07-20
2.000000
2044.33
1476.65
Agency Mortgage-Backed Securities
Government National M
2048-10-20
3.500000
203346.65
200890.96
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2043-07-20
2.500000
13934.06
7253.92
Agency Mortgage-Backed Securities
Government National M
2038-11-20
6.000000
24261.77
7821.94
Agency Mortgage-Backed Securities
Government National M
2047-09-20
3.500000
125280.62
121101.18
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-04-01
3.000000
6571.09
5677.61
Agency Mortgage-Backed Securities
Government National M
2033-04-20
3.500000
31.76
23.46
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.500000
123176.57
107492.74
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-09-20
3.000000
2825552.46
2533752.00
Agency Mortgage-Backed Securities
Government National M
2048-03-20
5.500000
223188.45
213577.36
Agency Mortgage-Backed Securities
Government National M
2047-10-20
2.500000
10960.98
10098.92
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2036-10-01
6.500000
4075.33
189.24
Agency Mortgage-Backed Securities
Federal National Mort
2033-08-01
3.500000
4758.89
4555.24
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2033-04-01
3.000000
75323.36
37377.52
Agency Mortgage-Backed Securities
Government National M
2045-05-20
3.500000
9878.07
7472.78
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-05-20
3.500000
23889.87
15754.47
Agency Mortgage-Backed Securities
Federal National Mort
2048-10-01
4.000000
1358859.34
1366283.24
Agency Mortgage-Backed Securities
Government National M
2048-04-20
4.000000
29675.80
29829.79
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2042-04-01
3.500000
14052.87
5877.93
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-01-01
2.500000
522449.10
407823.43
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-03-01
3.500000
569812.79
544813.29
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2037-06-01
3.000000
20621.99
17415.01
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2031-11-01
2.000000
11622.73
8801.59
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2041-12-20
3.500000
27965.20
8218.55
Agency Mortgage-Backed Securities
Government National M
2033-03-20
2.500000
26270.31
23847.44
Agency Mortgage-Backed Securities
Government National M
2041-06-20
4.500000
107.76
20.16
Agency Mortgage-Backed Securities
Government National M
2047-12-20
3.500000
61129.96
58590.44
Agency Mortgage-Backed Securities
Government National M
2035-11-20
6.000000
56.07
11.60
Agency Mortgage-Backed Securities
Federal National Mort
2032-02-01
2.000000
462141.85
361999.71
Agency Mortgage-Backed Securities
Federal National Mort
2033-11-01
3.000000
67054.37
66115.14
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-07-01
3.500000
138570.69
134532.87
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2036-04-01
3.500000
28386.79
19786.34
Agency Mortgage-Backed Securities
Federal National Mort
2025-10-01
5.000000
191364.58
7106.44
Agency Mortgage-Backed Securities
Federal National Mort
2033-09-01
3.500000
12106.91
12099.08
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2025-01-01
5.000000
4377.44
3437.87
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2043-08-20
4.000000
19955.07
9046.93
Agency Mortgage-Backed Securities
Federal National Mort
2048-10-01
4.500000
5213.75
5295.29
Agency Mortgage-Backed Securities
Government National M
2047-04-20
2.500000
17490.56
14407.94
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
438153.83
406225.59
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-07-01
4.500000
702634.83
659591.00
Agency Mortgage-Backed Securities
Government National M
2033-09-20
3.000000
21552.94
21397.04
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-04-20
5.000000
86286.05
86754.76
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2032-02-01
2.000000
115019.75
105135.06
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2045-03-20
4.000000
1124.23
477.77
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2033-04-20
6.000000
10539.65
316.41
Agency Mortgage-Backed Securities
Government National M
2039-09-20
6.000000
98165.70
46863.69
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-10-01
5.000000
32539.75
34499.08
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-05-01
3.000000
2833931.06
2726651.23
Agency Mortgage-Backed Securities
Federal National Mort
2042-10-01
2.553000
1123.16
561.79
Agency Mortgage-Backed Securities
Government National M
2038-11-20
5.500000
2684.83
813.14
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.500000
141659.26
134706.43
Agency Mortgage-Backed Securities
Federal National Mort
2046-02-01
3.000000
15458.15
11194.38
Agency Mortgage-Backed Securities
Government National M
2032-09-20
6.000000
13069.16
221.08
Agency Mortgage-Backed Securities
Government National M
2038-02-20
6.000000
46001.24
7119.07
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2034-01-01
5.500000
56211.46
919.60
Agency Mortgage-Backed Securities
Government National M
2047-09-20
3.500000
161322.59
150333.97
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2039-04-20
6.000000
22528.18
2710.62
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
48004.25
48349.49
Agency Mortgage-Backed Securities
Government National M
2035-10-20
5.500000
31590.84
11069.83
Agency Mortgage-Backed Securities
Government National M
2038-09-20
6.000000
89680.80
27896.33
Agency Mortgage-Backed Securities
Federal National Mort
2022-11-01
2.500000
61216.87
14966.87
Agency Mortgage-Backed Securities
Government National M
2047-01-20
5.500000
418690.47
213570.51
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2033-10-01
3.500000
285402.67
284412.80
Agency Mortgage-Backed Securities
Government National M
2028-03-20
2.500000
7026.43
2740.27
Agency Mortgage-Backed Securities
Government National M
2040-08-20
4.500000
34855.07
5727.66
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2040-10-20
4.000000
54925.57
12051.01
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2047-03-01
3.000000
126265.75
107610.29
Agency Mortgage-Backed Securities
Government National M
2027-11-20
7.000000
29033.58
183.95
Agency Mortgage-Backed Securities
Government National M
2047-02-20
2.500000
4935709.16
4063545.90
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2044-12-01
5.000000
79061.42
55026.40
Agency Mortgage-Backed Securities
Government National M
2047-02-20
3.000000
28503.88
22962.22
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-06-01
4.000000
341171.83
337387.90
Agency Mortgage-Backed Securities
Government National M
2042-05-20
3.500000
70235.69
39274.74
Agency Mortgage-Backed Securities
Government National M
2048-02-20
5.500000
135208.88
113242.56
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
62864.26
52275.02
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
4.500000
707554.45
725290.01
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-11-01
3.500000
1545.82
1470.87
Agency Mortgage-Backed Securities
Government National M
2042-12-20
3.000000
11242.29
3314.43
Agency Mortgage-Backed Securities
Government National M
2041-09-20
4.000000
41613.34
9776.17
Agency Mortgage-Backed Securities
Government National M
2047-05-20
3.000000
47261.78
38508.81
Agency Mortgage-Backed Securities
Government National M
2040-06-20
5.000000
120833.25
13203.03
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-11-01
3.500000
16863.44
15506.71
Agency Mortgage-Backed Securities
Government National M
2033-04-20
4.000000
7700.97
7562.60
Agency Mortgage-Backed Securities
Government National M
2027-02-20
8.500000
1753.69
925.52
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-02-01
4.000000
33370.36
32406.33
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2046-07-01
3.500000
15410.26
12602.29
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2029-04-01
3.500000
1059.25
417.60
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2041-08-20
4.500000
334226.82
60377.70
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-08-01
4.000000
2773.95
2734.45
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2045-02-01
4.000000
19535.62
8895.33
Agency Mortgage-Backed Securities
Government National M
2047-07-20
4.500000
641171.16
630216.63
Agency Mortgage-Backed Securities
Federal Home Loan Ban
2549001DPIFGXC1TOL40
2020-09-28
1.375000
14052.87
13680.07
Agency Debentures and Agency Strips
Government National M
549300M8ZYFG0OCMTT87
2047-07-20
3.500000
871.28
772.71
Agency Mortgage-Backed Securities
Government National M
2040-02-20
6.500000
7026.43
757.18
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-10-01
3.500000
64439.98
61957.80
Agency Mortgage-Backed Securities
Government National M
2047-11-20
5.500000
134088.73
101966.78
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.500000
196158.46
186107.77
Agency Mortgage-Backed Securities
Government National M
2047-10-20
3.500000
7262.52
7028.58
Agency Mortgage-Backed Securities
Government National M
2046-04-20
6.000000
11804.41
5044.99
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2045-04-01
2.500000
5723.28
4072.28
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-06-20
4.500000
124813.89
127667.94
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-09-01
3.500000
11445.50
10974.42
Agency Mortgage-Backed Securities
Government National M
2030-10-20
4.500000
92940.96
7985.84
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.500000
101192.49
97376.88
Agency Mortgage-Backed Securities
Federal National Mort
2042-05-01
3.862000
16437.13
15365.76
Agency Mortgage-Backed Securities
Government National M
2048-02-20
4.000000
35855.97
36001.77
Agency Mortgage-Backed Securities
Government National M
2048-02-20
3.500000
60970.24
59601.90
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2043-04-20
2.500000
2086.04
1174.48
Agency Mortgage-Backed Securities
Government National M
2026-12-20
4.000000
16175.16
14973.86
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-08-20
4.000000
12900818.05
12994821.63
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-10-01
3.000000
2917541.19
2846742.13
Agency Mortgage-Backed Securities
Government National M
2038-03-20
5.500000
22484.58
8138.57
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-06-01
3.500000
759719.93
753076.68
Agency Mortgage-Backed Securities
Government National M
2033-02-20
2.500000
27448.31
24637.54
Agency Mortgage-Backed Securities
Government National M
2042-03-16
2.558000
426727.73
169687.10
Agency Collateralized Mortgage Obligation
Federal National Mort
2048-03-01
4.500000
16778.36
17222.63
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2031-09-01
2.500000
26521.47
19136.86
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-10-01
4.000000
7325225.11
7365684.77
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-05-01
3.500000
40031.78
38988.67
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-01-01
3.500000
79110.80
76023.42
Agency Mortgage-Backed Securities
Federal National Mort
2032-04-01
2.500000
1573920.90
1220271.60
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-02-20
3.500000
699947.83
557232.31
Agency Mortgage-Backed Securities
Government National M
2039-03-20
5.500000
28907.31
5950.91
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-04-01
3.000000
780909.40
727803.02
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2045-05-20
3.500000
33726.88
16220.84
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.500000
287703.21
272657.27
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2027-01-20
3.000000
983700.56
221545.95
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-10-01
3.500000
3372.69
3115.35
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2033-09-01
3.500000
98738.55
96848.96
Agency Mortgage-Backed Securities
Government National M
2033-06-20
3.000000
10754.57
10491.91
Agency Mortgage-Backed Securities
Government National M
2033-09-20
3.500000
2799.36
2818.73
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-01-20
2.500000
2807434.64
2256690.93
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-03-01
3.500000
28311.94
27206.52
Agency Mortgage-Backed Securities
Government National M
2031-04-20
6.500000
1615.49
1052.94
Agency Mortgage-Backed Securities
Government National M
2048-04-20
5.500000
540262.35
528912.93
Agency Mortgage-Backed Securities
Federal National Mort
2040-10-01
4.570000
101071.92
5482.20
Agency Mortgage-Backed Securities
Federal National Mort
2024-11-01
5.000000
85663.01
2860.81
Agency Mortgage-Backed Securities
Federal National Mort
2032-11-01
2.000000
29993.03
26031.21
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-08-01
4.500000
74430.86
76790.70
Agency Mortgage-Backed Securities
Federal Home Loan Ban
2030-09-13
3.500000
281057.30
277736.61
Agency Debentures and Agency Strips
Federal Home Loan Mor
2030-06-01
3.000000
9837.01
5613.69
Agency Mortgage-Backed Securities
Federal National Mort
2048-01-01
3.088000
748545.99
725906.33
Agency Mortgage-Backed Securities
Government National M
2042-08-20
3.500000
21056.87
8725.77
Agency Mortgage-Backed Securities
Government National M
2048-02-20
3.500000
51625.48
50005.55
Agency Mortgage-Backed Securities
Government National M
2043-06-20
3.500000
80467.41
19901.49
Agency Mortgage-Backed Securities
Federal National Mort
2041-09-01
5.500000
5097.93
2165.44
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-08-01
4.000000
2035820.93
2025273.90
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2021-02-26
1.375000
25660.53
24865.17
Agency Debentures and Agency Strips
Government National M
2046-12-20
6.000000
1889.32
1074.39
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2047-07-20
3.000000
26925.29
23308.84
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-11-01
3.500000
319.31
292.14
Agency Mortgage-Backed Securities
Federal National Mort
2048-10-01
4.500000
147363.60
151738.97
Agency Mortgage-Backed Securities
Federal National Mort
2047-11-01
2.909000
264062.25
256245.35
Agency Mortgage-Backed Securities
Government National M
2047-12-20
3.500000
48646.41
47279.67
Agency Mortgage-Backed Securities
Federal National Mort
2047-05-01
3.500000
229337.81
207989.69
Agency Mortgage-Backed Securities
Government National M
2047-12-20
3.500000
143892.77
139851.80
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-04-01
3.500000
92716.59
89252.27
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2031-12-01
3.000000
7560.44
5709.59
Agency Mortgage-Backed Securities
Government National M
2048-06-20
4.000000
46874.60
43023.04
Agency Mortgage-Backed Securities
Government National M
2047-11-20
3.500000
735788.01
682598.68
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2048-04-20
4.000000
19770.25
19527.67
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-01-01
3.500000
739859.74
693532.11
Agency Mortgage-Backed Securities
Federal National Mort
2032-10-01
2.500000
21368.70
18818.42
Agency Mortgage-Backed Securities
Government National M
2048-06-20
4.000000
275593.02
276309.27
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2042-07-01
3.500000
33619.79
18168.73
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-10-20
2.500000
2830949.66
2203835.71
Agency Mortgage-Backed Securities
Government National M
2044-07-20
3.500000
31330.05
17191.27
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2033-05-01
2.500000
367110.30
337604.03
Agency Mortgage-Backed Securities
Federal National Mort
2048-11-01
4.000000
146541.87
147342.63
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-06-01
4.000000
741.37
730.79
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2040-08-01
4.500000
2685364.76
477721.28
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-04-01
3.000000
3569.43
3275.29
Agency Mortgage-Backed Securities
Government National M
2046-12-20
2.500000
8476.83
7826.39
Agency Mortgage-Backed Securities
Government National M
2041-03-20
4.500000
66326.97
36877.41
Agency Mortgage-Backed Securities
Government National M
2046-04-20
2.500000
2789.44
2068.92
Agency Mortgage-Backed Securities
Federal National Mort
B1V7KEBTPIMZEU4LTD58
2048-02-01
3.500000
49185.03
45984.03
Agency Mortgage-Backed Securities
Federal National Mort
2022-05-15
0.000000
562.11
503.60
Agency Debentures and Agency Strips
Federal Home Loan Mor
2041-06-01
5.000000
9824.84
2816.69
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2033-01-20
3.000000
715572.03
656176.20
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-03-01
3.500000
329433.95
324133.12
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2045-08-01
4.000000
19083.79
9639.47
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-02-01
3.500000
9638.64
9193.28
Agency Mortgage-Backed Securities
Government National M
2042-11-20
3.500000
464765.86
120246.06
Agency Mortgage-Backed Securities
Government National M
2048-01-20
3.500000
43549.91
36977.14
Agency Mortgage-Backed Securities
Government National M
2043-09-20
3.500000
75178.98
34746.42
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-12-01
3.500000
213.18
196.86
Agency Mortgage-Backed Securities
Federal Home Loan Ban
2021-05-14
2.875000
290613.25
290733.98
Agency Debentures and Agency Strips
Government National M
2048-04-20
4.000000
120.69
121.53
Agency Mortgage-Backed Securities
Government National M
2040-08-20
5.000000
44602.84
12238.62
Agency Mortgage-Backed Securities
Government National M
2039-05-16
2.150000
1545.82
709.31
Agency Collateralized Mortgage Obligation
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2048-07-01
4.500000
30895.17
31029.16
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2047-11-01
4.500000
127714.10
125061.59
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-01-01
3.000000
4436.88
4038.55
Agency Mortgage-Backed Securities
Federal National Mort
2033-10-01
3.500000
423239.92
425020.77
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2030-02-01
3.000000
34459.17
16528.04
Agency Mortgage-Backed Securities
Government National M
2045-02-20
2.500000
142.97
80.21
Agency Mortgage-Backed Securities
Government National M
2047-09-20
4.500000
28244.18
20711.84
Agency Mortgage-Backed Securities
Government National M
2038-09-20
6.000000
28527.32
17714.92
Agency Mortgage-Backed Securities
Government National M
2044-11-20
3.500000
13780.86
8048.18
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2048-02-01
3.064000
396632.56
390056.39
Agency Mortgage-Backed Securities
Government National M
2038-08-20
7.000000
7185.74
3633.28
Agency Mortgage-Backed Securities
Government National M
2041-04-20
4.500000
32045.93
7398.28
Agency Mortgage-Backed Securities
Government National M
2037-11-20
5.500000
8189.36
341.71
Agency Mortgage-Backed Securities
Government National M
549300M8ZYFG0OCMTT87
2046-11-20
2.500000
1856329.10
1469742.64
Agency Mortgage-Backed Securities
Federal Home Loan Mor
2033-08-01
3.500000
258659.31
252183.99
Agency Mortgage-Backed Securities
Government National M
2038-11-20
6.000000
14804.33
4475.76
Agency Mortgage-Backed Securities
Government National M
2038-02-20
6.000000
21960.41
911.36
Agency Mortgage-Backed Securities
Federal National Mort
2046-05-01
3.000000
1124.23
871.44
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2047-08-01
3.500000
224845.84
203495.30
Agency Mortgage-Backed Securities
Federal Home Loan Mor
S6XOOCT0IEG5ABCC6L87
2019-08-01
1.250000
1405.29
1395.34
Agency Debentures and Agency Strips
Government National M
549300M8ZYFG0OCMTT87
2045-06-20
2.500000
19886.83
13228.28
Agency Mortgage-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
2018-11-01
2018-11-01
2018-11-01
N
N
N
0.0222
126475786.51
126475786.51
0.0030
N
Y
Y
N
WESTPAC BANKING CORPORATION
WESTPAC BANKING CORPORATION 2.509
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+
2018-11-14
2019-01-14
2019-01-14
N
N
N
0.0254
100039086.00
100039086.00
0.0024
N
N
N
N
WESTPAC BANKING CORPORATION
WESTPAC BANKING CORPORATION 2.474
9612C4ZT1
EN5TNI6CI43VEPAMHL14
US9612C4ZT16
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+
2018-12-20
2019-09-20
2019-09-20
N
N
N
0.0251
99956077.00
99956077.00
0.0024
N
N
N
N
WESTPAC BANKING CORPORATION - NEW YORK BRANCH
WESTPAC BANKING CORPORATION - NEW YORK BRANCH 2.517
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+
2018-11-20
2019-01-18
2019-01-18
N
N
N
0.0255
100040212.00
100040212.00
0.0024
N
N
N
N
JPMorgan Prime Money Market Fund
2018-11-06
Timothy J. Clemens
Timothy J. Clemens
Treasurer