0001718745-19-000219.txt : 20190807
0001718745-19-000219.hdr.sgml : 20190807
20190807124546
ACCESSION NUMBER: 0001718745-19-000219
CONFORMED SUBMISSION TYPE: N-MFP2
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20190731
FILED AS OF DATE: 20190807
DATE AS OF CHANGE: 20190807
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: JPMorgan Trust I
CENTRAL INDEX KEY: 0001217286
IRS NUMBER: 331043149
STATE OF INCORPORATION: DE
FILING VALUES:
FORM TYPE: N-MFP2
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-21295
FILM NUMBER: 191004671
BUSINESS ADDRESS:
STREET 1: 277 PARK AVENUE
CITY: NEW YORK
STATE: NY
ZIP: 10172
BUSINESS PHONE: 800-480-4111
MAIL ADDRESS:
STREET 1: 277 PARK AVENUE
CITY: NEW YORK
STATE: NY
ZIP: 10172
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
C000212345
Academy
JPAXX
N-MFP2
1
primary_doc.xml
N-MFP2
0001217286
XXXXXXXX
2019-07-31
0001217286
S000002969
9
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
42
89
17380859069.61
18093926318.66
18571586634.03
19116243082.79
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1379638312.31
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0.0233
Y
JPM Dist Svcs, Shareholder Servicing Contract, 469134.96;
C000008135
1000.00
2670847132.55
2669563535.85
1.0005
1.0005
1.0005
1.0005
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N
C000008137
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47373784.02
47372645.97
47374025.47
47373071.05
208450844.84
208443349.60
0.0184
Y
JPM Dist Svcs, Shareholder Servicing Contract, 3404.75;
C000008136
1000000.00
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2205257029.25
1.0004
1.0004
1.0004
1.0004
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1283633180.21
1310421135.57
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1221194099.56
5864996413.19
5871605738.77
0.0209
Y
JPM Dist Svcs, Shareholder Servicing Contract, 497.98;
C000008138
5000000.00
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2270037141.34
1.0005
1.0004
1.0004
1.0004
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3155348878.58
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3674468780.73
3688687166.07
3705200663.80
3748780136.93
16495766344.32
16527621627.88
0.0228
Y
JPM Dist Svcs, Shareholder Servicing Contract, 85148.80;
C000008133
1000.00
1005296.00
1004961.85
1.0004
1.0003
1.0003
1.0003
1341.48
46.74
0.00
1.96
0.00
1.56
0.00
0.38
0.00
56.64
0.0157
Y
JPM Dist Svcs, Shareholder Servicing Contract, 2143.89;
C000008134
50000000.00
27530610476.48
27521511470.11
1.0004
1.0003
1.0003
1.0003
3674837525.81
2789947175.99
3332443265.58
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2840594878.55
2830824372.84
4117790468.50
2958770441.61
15980183192.94
12185740731.61
0.0236
Y
JPM Dist Svcs, Shareholder Servicing Contract, 443088.68;
C000212345
5000000.00
20064.27
20056.50
1.0004
1.0004
1.0004
1.0004
39.76
0.00
0.00
0.05
0.00
0.03
0.00
0.00
0.00
0.12
0.0235
Y
JPM Dist Svcs, Shareholder Servicing Contract, 0.33;
C000115390
50000000.00
6577100052.19
6574714644.01
1.0004
1.0004
1.0004
1.0003
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913204561.44
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944366503.72
684389752.00
4595297513.35
3830091507.55
0.0239
N
ABN-AMRO BANK N.V. (AMSTERDAM)
ABN-AMRO BANK N.V. (AMSTERDAM) 2.450
7E5081N
BFXS5XCH7N0Y05NIXW11
XS2009128534
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
2019-10-07
2019-10-07
2019-10-07
N
N
N
0.0245
200090900.00
200090900.00
0.0036
N
N
N
N
ABN-AMRO BANK N.V. (AMSTERDAM)
ABN-AMRO BANK N.V. (AMSTERDAM) 2.450
7E4993N
BFXS5XCH7N0Y05NIXW11
XS2009040366
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
2019-10-04
2019-10-04
2019-10-04
N
N
N
0.0245
150402566.99
150402566.99
0.0027
N
N
N
N
AGRICULTURAL BANK OF CHINA LIMITED HONG KONG BRANCH
AGRICULTURAL BANK OF CHINA LIMITED HONG KONG BRANCH 2.733
6E9934N
549300E7TSGLCOVSY746
XS1994582721
Certificate of Deposit
Y
Fitch Long Rating
A
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
2019-08-09
2019-08-09
2019-08-09
N
N
N
0.0273
99935542.00
99935542.00
0.0018
N
N
N
N
AGRICULTURAL BANK OF CHINA LIMITED HONG KONG BRANCH
AGRICULTURAL BANK OF CHINA LIMITED HONG KONG BRANCH 2.734
7E0714N
549300E7TSGLCOVSY746
XS1995619522
Certificate of Deposit
Y
Fitch Long Rating
A
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
2019-08-09
2019-08-09
2019-08-09
N
N
N
0.0273
99935542.00
99935542.00
0.0018
N
N
N
N
ALPINE SECURITIZATION
ALPINE SECURITIZATION 2.580
02089XEZ6
5493002FS5SZRATKZR12
US02089XEZ69
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
2019-11-20
2019-11-20
2019-11-20
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
0.0258
162135185.76
162135185.76
0.0030
N
N
N
N
ALPINE SECURITIZATION
ALPINE SECURITIZATION 2.680
02089XDY0
5493002FS5SZRATKZR12
US02089XDY04
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
2019-09-23
2019-09-23
2019-09-23
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
0.0268
52026080.60
52026080.60
0.0009
N
N
N
N
ALPINE SECURITIZATION
ALPINE SECURITIZATION 2.580
02089XEW3
5493002FS5SZRATKZR12
US02089XEW39
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
2019-11-14
2019-11-14
2019-11-14
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
0.0258
125096190.00
125096190.00
0.0023
N
N
N
N
ATLANTIC ASSET SECURITIZATION LLC
ATLANTIC ASSET SECURITIZATION LLC 2.434
04821UY14
549300BUNY5BIX4CVW20
US04821UY144
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
2019-11-01
2019-11-01
2019-11-01
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
0.0243
49712991.50
49712991.50
0.0009
N
N
N
N
ATLANTIC ASSET SECURITIZATION LLC
ATLANTIC ASSET SECURITIZATION LLC 2.418
04821UZ21
549300BUNY5BIX4CVW20
US04821UZ216
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
2019-12-02
2019-12-02
2019-12-02
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
0.0242
29777730.00
29777730.00
0.0005
N
N
N
N
AUSTRALIA & NEW ZEALAND BANKING GR LTD-LONDON
AUSTRALIA & NEW ZEALAND BANKING GR LTD-LONDON 2.270
0PY002KK8
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+
2019-08-06
2019-08-06
2019-08-06
N
N
N
0.0227
450000000.00
450000000.00
0.0082
N
N
Y
N
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED 2.711
05253MLF9
JHE42UYNWWTJB8YTTU19
US05253MLF94
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+
2019-08-26
2019-11-26
2019-11-26
N
N
N
0.0275
100059444.00
100059444.00
0.0018
N
N
N
N
BANCO DEL ESTADO DE CHILE NEW YORK BRANCH
BANCO DEL ESTADO DE CHILE NEW YORK BRANCH 2.520
05971XNE7
5493004R4EJC0W0XVQ72
US05971XNE75
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2019-08-13
2019-08-13
2019-08-13
N
N
N
0.0252
100007805.00
100007805.00
0.0018
N
N
N
N
BANK OF CHINA (HONG KONG) LIMITED
BANK OF CHINA (HONG KONG) LIMITED 2.452
06119RX91
US06119RX917
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
2019-10-09
2019-10-09
2019-10-09
N
N
N
0.0245
34833263.85
34833263.85
0.0006
N
N
N
N
BANK OF CHINA HONG KONG BRANCH
BANK OF CHINA HONG KONG BRANCH 2.561
06119RWW1
US06119RWW14
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
2019-09-30
2019-09-30
2019-09-30
N
N
N
0.0256
248958340.00
248958340.00
0.0045
N
N
N
N
BANK OF CHINA HONG KONG BRANCH
BANK OF CHINA HONG KONG BRANCH 2.652
06119RV93
549300OGSFI8KL1WUU09
US06119RV937
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
2019-08-09
2019-08-09
2019-08-09
N
N
N
0.0265
329798452.50
329798452.50
0.0060
N
N
N
N
BANK OF CHINA-SYDNEY
BANK OF CHINA-SYDNEY 2.655
7E0450N
XS1996341787
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
2019-08-09
2019-08-09
2019-08-09
N
N
N
0.0266
99938288.00
99938288.00
0.0018
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.421
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
2019-09-27
2019-09-27
2019-09-27
N
N
N
0.0245
150026656.50
150026656.50
0.0027
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.640
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
2019-08-08
2019-08-08
2019-08-08
N
N
N
0.0268
65000728.65
65000728.65
0.0012
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.495
06417LLE5
L3I9ZG2KFGXZ61BMYR72
US06417LLE55
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
2019-08-14
2020-05-14
2020-05-14
N
N
N
0.0253
174970988.50
174970988.50
0.0032
N
N
N
N
BANK OF NOVA SCOTIA - (SCOTIABANK)
BANK OF NOVA SCOTIA - (SCOTIABANK) 2.586
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
2019-08-09
2019-10-09
2019-10-09
N
N
N
0.0262
90023570.10
90023570.10
0.0016
N
N
N
N
BANK OF NOVA SCOTIA-HOUSTON
BANK OF NOVA SCOTIA-HOUSTON 2.534
06417G6W3
L3I9ZG2KFGXZ61BMYR72
US06417G6W38
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
2019-08-10
2020-05-08
2020-05-08
N
N
N
0.0257
49997343.50
49997343.50
0.0009
N
N
N
N
BANK OF NOVA SCOTIA-HOUSTON
BANK OF NOVA SCOTIA-HOUSTON 2.720
06417MAM7
L3I9ZG2KFGXZ61BMYR72
US06417MAM73
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
2019-10-23
2020-07-23
2020-07-23
N
N
N
0.0276
99999749.00
99999749.00
0.0018
N
N
N
N
BANK OF NOVA SCOTIA-HOUSTON
BANK OF NOVA SCOTIA-HOUSTON 2.534
06417G6T0
L3I9ZG2KFGXZ61BMYR72
US06417G6T09
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
2019-08-06
2020-05-06
2020-05-06
N
N
N
0.0257
54997114.70
54997114.70
0.0010
N
N
N
N
BANK OF NOVA SCOTIA-HOUSTON
BANK OF NOVA SCOTIA-HOUSTON 2.462
06417G4D7
L3I9ZG2KFGXZ61BMYR72
US06417G4D74
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
2019-10-16
2020-01-16
2020-01-16
N
N
N
0.0250
185117210.45
185117210.45
0.0034
N
N
N
N
BANK OF NOVA SCOTIA-HOUSTON
BANK OF NOVA SCOTIA-HOUSTON 2.632
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0267
75000446.25
75000446.25
0.0014
N
Y
Y
N
BANK OF NOVA SCOTIA-LONDON
BANK OF NOVA SCOTIA-LONDON 2.658
1E5604N
L3I9ZG2KFGXZ61BMYR72
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
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0270
74999938.50
74999938.50
0.0014
N
N
Y
N
BANK OF NOVA SCOTIA-NEW YORK
BANK OF NOVA SCOTIA-NEW YORK 3.000
06417G3Q9
L3I9ZG2KFGXZ61BMYR72
US06417G3Q96
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
2019-09-11
2019-09-11
2019-09-11
N
N
N
0.0300
90050276.70
90050276.70
0.0016
N
N
N
N
BANQUE ET CAISSE D'EPARGNE DE L'ETAT
BANQUE ET CAISSE D'EPARGNE DE L'ETAT 2.199
0667K0D34
US0667K0D344
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
2020-04-03
2020-04-03
2020-04-03
N
N
N
0.0220
39479104.40
39479104.40
0.0007
N
N
N
N
BARCLAYS BANK PLC
BARCLAYS BANK PLC 2.429
06740BDM6
G5GSEF7VJP5I7OUK5573
US06740BDM63
Other Instrument
Medium Term Note
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
2019-08-07
2019-08-07
2020-01-13
Y
BARCLAYS BANK PLC
1.0000
7
N
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
N
N
0.0246
329999970.30
329999970.30
0.0060
N
N
Y
N
BARCLAYS BANK PLC
BARCLAYS BANK PLC 2.610
06742QWC2
G5GSEF7VJP5I7OUK5573
US06742QWC22
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
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0261
34995362.50
34995362.50
0.0006
N
N
Y
N
BARCLAYS CAPITAL INC
BARCLAYS CAPITAL INC 2.572
0RI001AN9
AC28XWWI3WIBK2824319
0000851376
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
APPLEBEES FDG 2019-1
2049-06-05
4.194000
8800000.00
8976946.00
Asset-Backed Securities
BELLEMEADE RE LTD 201
2028-04-25
6.516000
10223000.00
10358454.75
Asset-Backed Securities
CHL GMSR ISSUER TR 20
2023-05-25
5.766000
8700000.00
8718626.70
Asset-Backed Securities
KABBAGE ASSET SEC 201
2024-03-15
7.391000
10000000.00
10088615.83
Asset-Backed Securities
ONDECK ASSET SEC TR I
2022-04-18
5.850000
7700000.00
7766385.55
Asset-Backed Securities
VOLT LXVI 2018-NPL2 A
2048-05-26
5.900000
5820663.00
5833348.81
Asset-Backed Securities
BDS LTD 2019-LF4 B 20
2036-08-15
4.150000
12750000.00
12767024.79
Other Instrument
Collateralized debt obligation
OAK HILL ADV RESI TR
2057-07-25
4.875000
8659000.00
8620788.55
Asset-Backed Securities
OXFORD FIN FDG LLC 20
2027-02-15
5.438000
8069000.00
8252818.54
Asset-Backed Securities
SOFI CONSUMER LN PRGR
5493005OV0CN2WE8D396
2026-02-25
3.280000
46300000.00
12074108.93
Asset-Backed Securities
VOLT LXII LLC 2017-NP
2047-09-25
4.625000
9439000.00
9411847.41
Asset-Backed Securities
CASCADE FDG MTG TR 20
2068-10-25
4.000000
2655293.00
2672295.57
Asset-Backed Securities
GENESIS SLS FIN MSTR
2023-08-20
5.420000
9430000.00
9626856.49
Asset-Backed Securities
OAKTOWN RE III LTD 20
2029-07-25
4.816000
12000000.00
12004353.33
Asset-Backed Securities
REGIONAL MGMT ISS TR
2028-01-18
5.910000
8040000.00
8301529.14
Asset-Backed Securities
UPGRADE RECV TR 2019-
2025-03-15
5.150000
12128000.00
12376221.75
Asset-Backed Securities
BDS LTD 2019-LF4 A 20
2036-08-15
3.500000
9000000.00
9009245.00
Other Instrument
Collateralized debt obligation
BLT 2019 LI 1 LLC
2032-02-10
0.000000
11520000.00
11444198.40
Asset-Backed Securities
ELLINGTON CLO III LTD
2118-07-20
0.000000
16230000.00
11929050.00
Asset-Backed Securities
SOFI CONSUMER LN PRGR
2028-09-25
3.060000
50007000.00
10842957.02
Asset-Backed Securities
VIVINT SOLAR FIN V 20
2048-04-30
7.370000
8424000.00
7903647.75
Asset-Backed Securities
VOLT LXVII 2018-NPL3
2048-06-25
5.875000
10000000.00
10020679.72
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
2019-08-01
2019-09-04
2019-12-04
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
0.0261
190000000.00
190000000.00
0.0035
N
N
N
Y
BARCLAYS CAPITAL INC
BARCLAYS CAPITAL INC 2.752
0RI001AK5
0000851376
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BX TR 2019-IMC A 2034
2034-04-17
3.325000
1000000.00
1003041.78
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
2036-03-25
6.000000
1453846.00
764415.44
Private Label Collateralized Mortgage Obligations
CORE MTG TR 2019-CORE
2031-12-15
0.393860
52782000.00
26766.17
Private Label Collateralized Mortgage Obligations
CSFB MTG PTC 2004-AR7
2034-11-25
2.916000
8032545.00
1042475.95
Private Label Collateralized Mortgage Obligations
CSMC MTG TRUST 2006-8
2021-10-25
5.500000
20500000.00
220211.95
Private Label Collateralized Mortgage Obligations
CWALT INC 2005-76 2-A
2036-02-25
4.209260
50001200.00
909997.73
Private Label Collateralized Mortgage Obligations
Federal National Mort
2031-09-25
6.366000
600000.00
642084.00
Agency Collateralized Mortgage Obligation
FHLMC STACR 2017-DNA2
2029-10-25
7.416000
7033000.00
7964570.08
Agency Collateralized Mortgage Obligation
FHLMC STACR 2018-HRP1
2043-05-25
14.154380
3500000.00
4138817.48
Agency Collateralized Mortgage Obligation
FIRST HORIZON ALT 200
2037-02-25
2.766000
13177000.00
1223828.82
Private Label Collateralized Mortgage Obligations
FNMA CONN AVE SECS 20
2029-10-25
7.116000
5429000.00
6118189.83
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-03-25
6.016000
2750000.00
2888552.33
Agency Collateralized Mortgage Obligation
GMACM MTG LN TR 2006-
2036-04-25
0.418020
44944000.00
53598.90
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2017-S
2032-10-12
4.591300
6000000.00
5710203.28
Private Label Collateralized Mortgage Obligations
HPLY TRUST 2019-HIT G
2036-11-17
6.225000
23350000.00
23619100.97
Private Label Collateralized Mortgage Obligations
JP MORGAN MAD AVE 201
2025-10-27
7.766000
10000000.00
11221521.95
Private Label Collateralized Mortgage Obligations
MS CAPITAL I TR 2015-
2048-05-15
4.030840
100000.00
95141.31
Private Label Collateralized Mortgage Obligations
PRIME MTG TR 2007-2 X
2037-04-25
0.267040
40230000.00
48820.25
Private Label Collateralized Mortgage Obligations
RESIDENTIAL ASSET SEC
2037-09-25
4.184000
6722000.00
739135.56
Private Label Collateralized Mortgage Obligations
VELOCITY COMM CAP TR
2049-07-25
4.930000
750000.00
755928.29
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2048-02-18
2.869000
1949000.00
1405663.90
Private Label Collateralized Mortgage Obligations
BANCORP COML MTG TR 2
2033-11-18
7.825070
7561673.00
7588334.03
Private Label Collateralized Mortgage Obligations
BCP VOYAGER MSTR FND
2036-09-26
27.666460
140400000.00
3663116.00
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2014-UBS4
2047-08-12
4.688830
2500000.00
2332495.29
Private Label Collateralized Mortgage Obligations
CSAIL COML MTG TR 201
2050-11-17
4.236600
100000.00
102280.88
Private Label Collateralized Mortgage Obligations
CSMC 2015 PR1 TR
2055-02-25
3.961240
16368000.00
12411164.82
Private Label Collateralized Mortgage Obligations
CW ALT LN TR 2006-20C
2036-07-25
2.766000
33016988.00
1832691.88
Private Label Collateralized Mortgage Obligations
CWMBS CHL MTG TR 2006
2036-05-20
3.953160
5503000.00
613754.50
Private Label Collateralized Mortgage Obligations
ELLINGTON FIN MTG TR
2058-10-25
5.693230
3138770.00
2554843.31
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2017-HRP1
2042-12-26
6.866000
3533000.00
3807271.50
Agency Collateralized Mortgage Obligation
FHLMC STACR 2019-HQA2
549300NKHCH87PYOHD44
2049-04-26
13.516000
6625000.00
7652005.29
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2029-09-25
7.766000
3145000.00
3660564.04
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-01-25
5.866000
4768000.00
5009774.15
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-05-28
6.716000
7313000.00
7965139.21
Agency Collateralized Mortgage Obligation
GS MTG SECS TR 2015-G
2048-02-12
4.323290
16000000.00
15182074.46
Private Label Collateralized Mortgage Obligations
HPLY TRUST 2019-HIT F
2036-11-17
5.475000
14500000.00
14653240.83
Private Label Collateralized Mortgage Obligations
INDYMAC INDX 2006-AR9
2036-06-25
3.735760
15000000.00
1037920.42
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2006
2036-07-25
6.250000
1500000.00
366418.79
Private Label Collateralized Mortgage Obligations
LSTAR COML MTG TR 201
2041-01-23
5.970260
1500000.00
1470353.06
Private Label Collateralized Mortgage Obligations
RESIDENTIAL ASSET SEC
2037-05-25
3.834000
31915000.00
2012765.98
Private Label Collateralized Mortgage Obligations
VELOCITY COM CAP LN T
2048-10-25
7.050000
3000000.00
2727195.18
Private Label Collateralized Mortgage Obligations
WAMU PTC WMALT 2006-A
2036-02-25
0.750000
259050705.00
182167.62
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2049-12-17
1.600000
5628945.00
448705.10
Private Label Collateralized Mortgage Obligations
WFRBS COML MTG TR 201
2057-09-17
1.006260
63223793.00
1799705.73
Private Label Collateralized Mortgage Obligations
BCAP LLC TR 2012-RR6
2036-11-26
0.000000
8545529.00
5707251.18
Private Label Collateralized Mortgage Obligations
BHMS 2018-ATLS MZ B M
2020-07-15
8.961500
15000000.00
15098038.33
Private Label Collateralized Mortgage Obligations
CITGRP COML MTG TR 20
2048-02-12
3.000000
4514000.00
3307112.89
Private Label Collateralized Mortgage Obligations
CSFB MTG SECS CORP 20
2033-12-28
3.627290
45307042.00
1203275.14
Private Label Collateralized Mortgage Obligations
CSMC SER 2014-8R
2036-02-27
4.790350
4751923.00
3283096.05
Private Label Collateralized Mortgage Obligations
CWALT INC 2006-HY3 3-
2036-04-25
4.607680
17500000.00
1559836.93
Private Label Collateralized Mortgage Obligations
CWMBS CHL MTG TR 2007
2037-06-25
5.750000
9000000.00
738942.71
Private Label Collateralized Mortgage Obligations
Federal National Mort
2031-08-25
6.416000
11970000.00
12797095.08
Agency Collateralized Mortgage Obligation
FHLMC SCRTT SERIES 20
2056-08-25
4.000000
18543000.00
17696664.51
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2029-07-25
8.016000
2514000.00
2993480.14
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2029-11-26
7.316000
13054000.00
14807874.52
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2030-05-28
6.266000
6000000.00
6433946.00
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-01-27
6.516000
5000000.00
5335435.00
Agency Collateralized Mortgage Obligation
GE CAP CMBS 2005-C4 X
2045-11-10
0.000000
55651606.00
31.89
Private Label Collateralized Mortgage Obligations
INDEPENDENCE PL TR 20
2035-07-12
4.356000
17500000.00
18344987.50
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2006
2037-01-25
3.743400
77034000.00
3296371.28
Private Label Collateralized Mortgage Obligations
LHOME MTG TR 2019-TRL
549300VCHJCK9EK5QK41
2023-10-25
4.580000
13070764.00
13196257.86
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2015
2048-02-18
3.071000
23000.00
21191.18
Private Label Collateralized Mortgage Obligations
PRIME MTG TR 2007-1 X
2037-03-25
0.266860
82317000.00
50629.66
Private Label Collateralized Mortgage Obligations
VMC FINANCE 2018-FL2
2035-10-17
5.064130
6959000.00
7016198.69
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2050-04-15
4.368380
7000000.00
6901950.82
Private Label Collateralized Mortgage Obligations
WFRBS COML MTG TR 201
2047-08-16
1.077670
53349723.00
2393260.72
Private Label Collateralized Mortgage Obligations
BANK 2018-BNK12 G 206
2061-05-17
2.920720
4923456.00
2219783.47
Private Label Collateralized Mortgage Obligations
BCP VOYAGER MSTR FND
2038-02-26
8.312500
15000000.00
6463583.98
Private Label Collateralized Mortgage Obligations
CITGRP COML MTG TR 20
2048-02-12
4.427310
6006100.00
5579753.63
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2014-UBS2
2047-03-12
5.002340
1000000.00
944286.66
Private Label Collateralized Mortgage Obligations
COREVEST AMER FIN TR
2052-03-15
4.818000
2200000.00
2333100.37
Private Label Collateralized Mortgage Obligations
CWMBS CHL MTG TR 2007
2037-09-25
4.834000
17203000.00
334675.30
Private Label Collateralized Mortgage Obligations
ELLINGTON FIN MTG TR
2058-10-25
0.000000
232517770.00
4071481.62
Private Label Collateralized Mortgage Obligations
FHLMC SCRTT SERIES 20
2056-01-25
4.000000
21549000.00
20770827.30
Agency Collateralized Mortgage Obligation
FHLMC STACR 2017-DNA3
2030-03-25
6.716000
1099000.00
1217241.78
Agency Collateralized Mortgage Obligation
FHLMC STACR 2019-DNA2
549300Y6KOVOWQ8OJC33
2049-03-25
12.766000
5250000.00
6054592.25
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-02-25
6.716000
4598642.00
4998867.94
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-12-26
6.766000
11525000.00
12480591.53
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2031-03-25
6.366000
1250000.00
1310281.25
Agency Collateralized Mortgage Obligation
GS MTG SECS TR 2015-G
2048-02-12
4.323290
11310000.00
11538412.84
Private Label Collateralized Mortgage Obligations
HARBORVIEW MTG LN TR
2036-08-19
4.425500
16490000.00
1598887.74
Private Label Collateralized Mortgage Obligations
JPMBB COML MTG SEC TR
2048-10-19
3.719710
4806000.00
4382391.62
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2014
2047-12-17
4.000000
440000.00
450113.06
Private Label Collateralized Mortgage Obligations
NEW RESIDENTIAL MTG L
2026-05-25
3.880000
26241000.00
24690547.72
Private Label Collateralized Mortgage Obligations
RESIDENTIAL ASSET SEC
2035-06-25
5.500000
7175000.00
434386.15
Private Label Collateralized Mortgage Obligations
STARM MTG LN TR 2007-
2037-10-25
3.714850
19656000.00
869104.02
Private Label Collateralized Mortgage Obligations
WF CR RISK TR SEC TR
2025-11-25
7.766000
6863762.00
7408113.63
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
2019-08-01
2019-08-01
2019-08-01
Y
BARCLAYS CAPITAL INC
1.0000
1
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
0.0279
400000000.00
400000000.00
0.0073
N
Y
Y
N
BARCLAYS CAPITAL INC
BARCLAYS CAPITAL INC 1.000
0RI001AQ2
AC28XWWI3WIBK2824319
0000851376
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BANK 2018-BNK12 G 206
2061-05-17
2.920720
4923456.00
2219783.47
Private Label Collateralized Mortgage Obligations
BCP VOYAGER MSTR FND
2038-02-26
8.312500
15000000.00
6463583.98
Private Label Collateralized Mortgage Obligations
CITGRP COML MTG TR 20
2048-02-12
4.427310
6006100.00
5579753.63
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2014-UBS2
2047-03-12
5.002340
1000000.00
944286.66
Private Label Collateralized Mortgage Obligations
COREVEST AMER FIN TR
2052-03-15
4.818000
2200000.00
2333100.37
Private Label Collateralized Mortgage Obligations
CSFB MTG SECS CORP 20
2033-12-28
3.627290
45307042.00
1203275.14
Private Label Collateralized Mortgage Obligations
CWMBS CHL MTG TR 2007
2037-09-25
4.834000
17203000.00
334675.30
Private Label Collateralized Mortgage Obligations
ELLINGTON FIN MTG TR
2058-10-25
0.000000
232517770.00
4071481.62
Private Label Collateralized Mortgage Obligations
FHLMC SCRTT SERIES 20
2056-01-25
4.000000
21549000.00
20770827.30
Agency Collateralized Mortgage Obligation
FHLMC STACR 2017-DNA3
2030-03-25
6.716000
1099000.00
1217241.78
Agency Collateralized Mortgage Obligation
FHLMC STACR 2019-DNA2
549300Y6KOVOWQ8OJC33
2049-03-25
12.766000
5250000.00
6054592.25
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-02-25
6.716000
4598642.00
4998867.94
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-12-26
6.766000
11525000.00
12480591.53
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2031-03-25
6.366000
1250000.00
1310281.25
Agency Collateralized Mortgage Obligation
GS MTG SECS TR 2015-G
2048-02-12
4.323290
11310000.00
11538412.84
Private Label Collateralized Mortgage Obligations
HARBORVIEW MTG LN TR
2036-08-19
4.425500
16490000.00
1598887.74
Private Label Collateralized Mortgage Obligations
JPMBB COML MTG SEC TR
2048-10-19
3.719710
4806000.00
4382391.62
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2014
2047-12-17
4.000000
440000.00
450113.06
Private Label Collateralized Mortgage Obligations
NEW RESIDENTIAL MTG L
2026-05-25
3.880000
26241000.00
24690547.72
Private Label Collateralized Mortgage Obligations
RESIDENTIAL ASSET SEC
2035-06-25
5.500000
7175000.00
434386.15
Private Label Collateralized Mortgage Obligations
STARM MTG LN TR 2007-
2037-10-25
3.714850
19656000.00
869104.02
Private Label Collateralized Mortgage Obligations
WF CR RISK TR SEC TR
2025-11-25
7.766000
6863762.00
7408113.63
Private Label Collateralized Mortgage Obligations
BCAP LLC TR 2012-RR6
2036-11-26
0.000000
8545529.00
5707251.18
Private Label Collateralized Mortgage Obligations
BHMS 2018-ATLS MZ B M
2020-07-15
8.961500
15000000.00
15098038.33
Private Label Collateralized Mortgage Obligations
CITGRP COML MTG TR 20
2048-02-12
3.000000
4514000.00
3307112.89
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2014-UBS4
2047-08-12
4.688830
2500000.00
2332495.29
Private Label Collateralized Mortgage Obligations
CSMC SER 2014-8R
2036-02-27
4.790350
4751923.00
3283096.05
Private Label Collateralized Mortgage Obligations
CWALT INC 2006-HY3 3-
2036-04-25
4.607680
17500000.00
1559836.93
Private Label Collateralized Mortgage Obligations
CWMBS CHL MTG TR 2007
2037-06-25
5.750000
9000000.00
738942.71
Private Label Collateralized Mortgage Obligations
Federal National Mort
2031-08-25
6.416000
11970000.00
12797095.08
Agency Collateralized Mortgage Obligation
FHLMC SCRTT SERIES 20
2056-08-25
4.000000
18543000.00
17696664.51
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2029-07-25
8.016000
2514000.00
2993480.14
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2029-11-26
7.316000
13054000.00
14807874.52
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2030-05-28
6.266000
6000000.00
6433946.00
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-01-27
6.516000
5000000.00
5335435.00
Agency Collateralized Mortgage Obligation
GE CAP CMBS 2005-C4 X
2045-11-10
0.000000
55651606.00
31.89
Private Label Collateralized Mortgage Obligations
INDEPENDENCE PL TR 20
2035-07-12
4.356000
17500000.00
18344987.50
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2006
2037-01-25
3.743400
77034000.00
3296371.28
Private Label Collateralized Mortgage Obligations
LHOME MTG TR 2019-TRL
549300VCHJCK9EK5QK41
2023-10-25
4.580000
13070764.00
13196257.86
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2015
2048-02-18
3.071000
23000.00
21191.18
Private Label Collateralized Mortgage Obligations
PRIME MTG TR 2007-1 X
2037-03-25
0.266860
82317000.00
50629.66
Private Label Collateralized Mortgage Obligations
VMC FINANCE 2018-FL2
2035-10-17
5.064130
6959000.00
7016198.69
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2050-04-15
4.368380
7000000.00
6901950.82
Private Label Collateralized Mortgage Obligations
WFRBS COML MTG TR 201
2047-08-16
1.077670
53349723.00
2393260.72
Private Label Collateralized Mortgage Obligations
BX TR 2019-IMC A 2034
2034-04-17
3.325000
1000000.00
1003041.78
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
2036-03-25
6.000000
1453846.00
764415.44
Private Label Collateralized Mortgage Obligations
CORE MTG TR 2019-CORE
2031-12-15
0.393860
52782000.00
26766.17
Private Label Collateralized Mortgage Obligations
CSFB MTG PTC 2004-AR7
2034-11-25
2.916000
8032545.00
1042475.95
Private Label Collateralized Mortgage Obligations
CSMC MTG TRUST 2006-8
2021-10-25
5.500000
20500000.00
220211.95
Private Label Collateralized Mortgage Obligations
CWALT INC 2005-76 2-A
2036-02-25
4.209260
50001200.00
909997.73
Private Label Collateralized Mortgage Obligations
Federal National Mort
2031-09-25
6.366000
600000.00
642084.00
Agency Collateralized Mortgage Obligation
FHLMC STACR 2017-DNA2
2029-10-25
7.416000
7033000.00
7964570.08
Agency Collateralized Mortgage Obligation
FHLMC STACR 2018-HRP1
2043-05-25
14.154380
3500000.00
4138817.48
Agency Collateralized Mortgage Obligation
FIRST HORIZON ALT 200
2037-02-25
2.766000
13177000.00
1223828.82
Private Label Collateralized Mortgage Obligations
FNMA CONN AVE SECS 20
2029-10-25
7.116000
5429000.00
6118189.83
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
B1V7KEBTPIMZEU4LTD58
2031-03-25
6.016000
2750000.00
2888552.33
Agency Collateralized Mortgage Obligation
GMACM MTG LN TR 2006-
2036-04-25
0.418020
44944000.00
53598.90
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2017-S
2032-10-12
4.591300
6000000.00
5710203.28
Private Label Collateralized Mortgage Obligations
HPLY TRUST 2019-HIT G
2036-11-17
6.225000
23350000.00
23619100.97
Private Label Collateralized Mortgage Obligations
JP MORGAN MAD AVE 201
2025-10-27
7.766000
10000000.00
11221521.95
Private Label Collateralized Mortgage Obligations
MS CAPITAL I TR 2015-
2048-05-15
4.030840
100000.00
95141.31
Private Label Collateralized Mortgage Obligations
PRIME MTG TR 2007-2 X
2037-04-25
0.267040
40230000.00
48820.25
Private Label Collateralized Mortgage Obligations
RESIDENTIAL ASSET SEC
2037-09-25
4.184000
6722000.00
739135.56
Private Label Collateralized Mortgage Obligations
VELOCITY COMM CAP TR
2049-07-25
4.930000
750000.00
755928.29
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2048-02-18
2.869000
1949000.00
1405663.90
Private Label Collateralized Mortgage Obligations
BANCORP COML MTG TR 2
2033-11-18
7.825070
7561673.00
7588334.03
Private Label Collateralized Mortgage Obligations
BCP VOYAGER MSTR FND
2036-09-26
27.666460
140400000.00
3663116.00
Private Label Collateralized Mortgage Obligations
CSAIL COML MTG TR 201
2050-11-17
4.236600
100000.00
102280.88
Private Label Collateralized Mortgage Obligations
CSMC 2015 PR1 TR
2055-02-25
3.961240
16368000.00
12411164.82
Private Label Collateralized Mortgage Obligations
CW ALT LN TR 2006-20C
2036-07-25
2.766000
33016988.00
1832691.88
Private Label Collateralized Mortgage Obligations
CWMBS CHL MTG TR 2006
2036-05-20
3.953160
5503000.00
613754.50
Private Label Collateralized Mortgage Obligations
ELLINGTON FIN MTG TR
2058-10-25
5.693230
3138770.00
2554843.31
Private Label Collateralized Mortgage Obligations
FHLMC STACR 2017-HRP1
2042-12-26
6.866000
3533000.00
3807271.50
Agency Collateralized Mortgage Obligation
FHLMC STACR 2019-HQA2
549300NKHCH87PYOHD44
2049-04-26
13.516000
6625000.00
7652005.29
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2029-09-25
7.766000
3145000.00
3660564.04
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-01-25
5.866000
4768000.00
5009774.15
Agency Collateralized Mortgage Obligation
FNMA CONN AVE SECS 20
2030-05-28
6.716000
7313000.00
7965139.21
Agency Collateralized Mortgage Obligation
GS MTG SECS TR 2015-G
2048-02-12
4.323290
16000000.00
15182074.46
Private Label Collateralized Mortgage Obligations
HPLY TRUST 2019-HIT F
2036-11-17
5.475000
14500000.00
14653240.83
Private Label Collateralized Mortgage Obligations
INDYMAC INDX 2006-AR9
2036-06-25
3.735760
15000000.00
1037920.42
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2006
2036-07-25
6.250000
1500000.00
366418.79
Private Label Collateralized Mortgage Obligations
LSTAR COML MTG TR 201
2041-01-23
5.970260
1500000.00
1470353.06
Private Label Collateralized Mortgage Obligations
RESIDENTIAL ASSET SEC
2037-05-25
3.834000
31915000.00
2012765.98
Private Label Collateralized Mortgage Obligations
VELOCITY COM CAP LN T
2048-10-25
7.050000
3000000.00
2727195.18
Private Label Collateralized Mortgage Obligations
WAMU PTC WMALT 2006-A
2036-02-25
0.750000
259050705.00
182167.62
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2049-12-17
1.600000
5628945.00
448705.10
Private Label Collateralized Mortgage Obligations
WFRBS COML MTG TR 201
2057-09-17
1.006260
63223793.00
1799705.73
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
2019-08-01
2019-09-04
2020-02-03
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
0.0246
400000000.00
400000000.00
0.0073
N
N
N
Y
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.631
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+
2019-08-26
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
0.0267
35002566.90
35002566.90
0.0006
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.412
07646KEL0
US07646KEL08
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+
2019-08-26
2020-03-26
2020-03-26
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
0.0245
59979580.20
59979580.20
0.0011
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.429
07646KEP1
US07646KEP12
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+
2019-10-07
2020-07-06
2020-07-06
N
Y
ROYAL BANK OF CANADA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1+
N
0.0246
99999746.00
99999746.00
0.0018
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.373
07644DHR2
US07644DHR26
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+
2019-10-08
2020-04-08
2020-04-08
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
0.0241
50003204.50
50003204.50
0.0009
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.579
07646KEA4
US07646KEA43
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+
2019-08-11
2020-02-10
2020-02-10
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
0.0262
20002472.60
20002472.60
0.0004
N
N
N
N
BEDFORD ROW FUNDING CORP.
BEDFORD ROW FUNDING CORP. 2.414
07644BY55
US07644BY550
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+
2019-11-05
2019-11-05
2019-11-05
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
0.0241
84516522.55
84516522.55
0.0015
N
N
N
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.530
0RH001TZ3
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ALLY MSTER OWNER TR 2
2023-05-15
3.290000
2725000.00
2779960.07
Asset-Backed Securities
BALBOA MERGER SUB INC
04EEB871XLHVNY4RZJ65
2021-12-01
11.375000
7000000.00
7524246.53
Corporate Debt Securities
BANK OF NOVA SCOTIA S
L3I9ZG2KFGXZ61BMYR72
2021-01-25
2.695500
9795687.00
9830356.39
Corporate Debt Securities
BCC FDG XIV 2018-1 A-
2023-06-20
2.960000
2247000.00
1474675.84
Asset-Backed Securities
CANADA GOVT SR GLBL B
4BFD7AQU0A75QLAHK410
2022-01-25
2.625000
3845000.00
3916150.12
Other Instrument
International debt
CAPITAL AUTO RECV ABN
2020-11-20
3.160000
879998.00
580853.04
Asset-Backed Securities
CDN IMPERIAL BK COMM
2022-06-27
3.150000
7211000.00
7361259.21
Corporate Debt Securities
DRIVE AUTO RECV TR 20
2022-09-15
2.630000
299998.00
300653.75
Asset-Backed Securities
EXPORT DEV CDA SR GLB
2020-01-17
1.625000
5390000.00
5376561.68
Other Instrument
International debt
Federal Home Loan Mor
2025-05-25
3.161000
5500000.00
5737717.49
Agency Collateralized Mortgage Obligation
FLAGSHIP CR AUTO TR 2
2023-05-15
3.410000
2565000.00
1841434.20
Asset-Backed Securities
FORD CREDIT AUTO LEAS
2022-02-15
3.300000
5828979.00
5932944.67
Asset-Backed Securities
HERTZ FIN II 2018-3 A
2024-07-25
4.030000
5574000.00
5830653.28
Asset-Backed Securities
ISTAR INC SR GLBL NT6
2021-07-01
6.500000
6045000.00
6167327.29
Corporate Debt Securities
KABBAGE ASSET SEC 201
2024-03-15
3.825000
2710255.00
2742316.64
Asset-Backed Securities
LOUISIANA PAC CORP SR
549300C7E2UAO5BVRR75
2024-09-15
4.875000
2000000.00
2076562.50
Corporate Debt Securities
MOSS CREEK RES HLDGS
54930037SLMSPWKYIX36
2026-01-15
7.500000
10101000.00
7935598.13
Corporate Debt Securities
ONEMAIN DIRECT AUTO R
2024-12-16
3.430000
1900000.00
1934134.34
Asset-Backed Securities
POST HLDGS INC SR GLB
JM1I5YUAURL6DC8N1468
2029-12-15
5.500000
1500000.00
1519627.50
Corporate Debt Securities
SPAREBANK 1 BOLIGKRED
549300M6HRHPF3NQBP83
2020-11-15
1.750000
800000.00
801500.67
Corporate Debt Securities
TORONTO DOMINION BANK
PT3QB789TSUIDF371261
2019-08-13
1.450000
888000.00
893626.71
Corporate Debt Securities
TRANSDIGM INC 6.25%26
88Q84GB3X55CF5OC7582
2026-03-15
6.250000
8000000.00
8671944.44
Corporate Debt Securities
AMERICAN EXPRESS CRED
2025-12-15
2.875000
315000.00
315422.66
Asset-Backed Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2046-08-04
3.850000
6605000.00
7122318.28
Corporate Debt Securities
BA CREDIT CARD TR 201
5493006DQ60M1CRKHH19
2023-12-15
3.100000
225000.00
229847.10
Asset-Backed Securities
BANK NOVA SCOTIA EXTN
2021-04-14
1.850000
7321000.00
7342576.61
Corporate Debt Securities
BANK OF NOVA SCOTIA S
L3I9ZG2KFGXZ61BMYR72
2020-07-14
2.150000
3397972.00
3399825.78
Corporate Debt Securities
CARMAX AUTO OWNER TR
2022-09-15
2.250000
275000.00
275425.01
Asset-Backed Securities
CITIGROUP MTG LN TR 2
2037-01-25
2.626000
1430250.00
978919.11
Asset-Backed Securities
CNH EQUIPMENT TR 2018
2024-05-15
3.370000
220000.00
227211.20
Asset-Backed Securities
DISC CARD EXEC NT TR
549300CKCX1QE4RUW216
2023-12-15
2.540000
5000000.00
5004062.78
Asset-Backed Securities
EXPORT DEV CDA GLBL-1
2019-08-13
2.545250
395718.00
397963.86
Other Instrument
International debt
FLAGSHIP CR AUTO TR 2
2025-02-18
3.600000
414998.00
426355.25
Asset-Backed Securities
FORD CREDIT FLRPLN TR
5493001DTG5N7T8BG747
2030-11-15
4.060000
7982187.00
8605864.54
Asset-Backed Securities
GOLDEN CC TR 2019-1 A
549300BEDPMEONLTJX58
2022-12-15
2.775000
480000.00
481565.92
Asset-Backed Securities
HERTZ FIN II 2018-1 A
549300FPK70TCB78NG05
2024-02-25
3.290000
11756000.00
11957297.33
Asset-Backed Securities
HONDA AUTO RECV OWN T
2023-06-21
2.520000
1465800.00
1479448.06
Asset-Backed Securities
MANITOBA PROV CDA SR
5493003QILFOB3JRKE30
2024-04-16
2.600000
12440961.00
12810595.77
Corporate Debt Securities
NAVIENT PRIV ED LN TR
2059-12-15
3.045000
500000.00
496497.67
Asset-Backed Securities
NELNET ST LN TR 2018-
2066-05-25
3.026000
1300000.00
1289345.63
Asset-Backed Securities
NISSAN AUTO REC TR 20
2023-03-15
3.060000
375000.00
381190.50
Asset-Backed Securities
POST HLDGS INC SR GLB
JM1I5YUAURL6DC8N1468
2027-03-01
5.750000
1914000.00
2026540.54
Corporate Debt Securities
TORONTO DOMINION BK O
2020-09-25
2.250000
655000.00
659959.99
Corporate Debt Securities
WALMART INC SR NT 3.6
Y87794H0US1R65VBXU25
2020-07-08
3.625000
1483000.00
1506513.38
Corporate Debt Securities
WESTPAC BKG CORP SR G
EN5TNI6CI43VEPAMHL14
2026-08-19
2.700000
7724000.00
7859903.78
Corporate Debt Securities
WORLD OMNI AUTO REC T
2024-04-15
3.330000
1415000.00
1449891.78
Asset-Backed Securities
ZAYO GROUP LLC/ZAYO C
2025-05-15
6.375000
11114000.00
11539457.81
Corporate Debt Securities
AMERICREDIT AUTO RECV
2021-11-18
2.860000
71901.00
39740.06
Asset-Backed Securities
AUSTRALIA & NEW ZEALA
2021-05-27
2.050000
500000.00
501303.75
Corporate Debt Securities
BANK NOVA SCOTIA EXTN
2020-09-11
2.125000
4231000.00
4264318.54
Corporate Debt Securities
BANK OF NOVA SCOTIA S
L3I9ZG2KFGXZ61BMYR72
2023-01-18
2.375000
14228088.00
14261547.72
Corporate Debt Securities
BMW FLOORPLN MSTR OWN
2023-05-15
2.645000
250000.00
250606.89
Asset-Backed Securities
CANADIAN PACER AUTO R
2023-08-21
3.440000
5635000.00
5784722.58
Asset-Backed Securities
CITIGRP COML MTG TR 2
2049-10-13
3.396000
5000000.00
5144673.33
Private Label Collateralized Mortgage Obligations
DB MASTER FIN LLC 201
2047-11-20
3.629000
500000.00
502146.30
Asset-Backed Securities
ENDEAVOR ENERGY RESOU
2026-01-30
5.500000
1726000.00
1786410.00
Corporate Debt Securities
EXPORT DEV CDA SR GLB
Z6MHCSLXHKYG4B6PHW02
2021-10-21
1.375000
1063660.00
1054971.23
Other Instrument
International debt
Federal Home Loan Mor
2024-04-25
2.440000
10000000.00
8571501.38
Agency Collateralized Mortgage Obligation
GM FINL CON AUTO REC
2022-12-16
2.810000
236000.00
238284.66
Asset-Backed Securities
HERTZ CORP SR 144A NT
549300PD0C69OJ0NLB27
2024-10-15
5.500000
1500000.00
1486562.50
Corporate Debt Securities
HERTZ VEH FIN II LP 2
549300FPK70TCB78NG05
2025-05-25
3.420000
4139000.00
4226481.90
Asset-Backed Securities
JOHN DEERE OWNER TR 2
2022-11-15
3.080000
1218000.00
1233609.08
Asset-Backed Securities
KGS ALPHA SBA COOF TR
2035-03-25
2.174090
164236331.00
2244373.32
Asset-Backed Securities
NAVIENT STUDENT LN TR
2068-02-27
3.266000
2000000.00
2023764.67
Asset-Backed Securities
NEXTGEAR FLRPLN OWN T
2023-02-15
3.220000
440000.00
445922.69
Asset-Backed Securities
ONEMAIN FINL ISSUE TR
2031-06-18
3.830000
300000.00
308840.30
Asset-Backed Securities
ROYAL BANK OF CANADA
2021-02-05
1.875000
603000.00
607066.98
Corporate Debt Securities
SUMMIT MIDSTREAM HLDG
2025-04-15
5.750000
1880000.00
1648329.17
Corporate Debt Securities
WESTPAC BKG CORP SR G
EN5TNI6CI43VEPAMHL14
2020-03-06
2.150000
1232000.00
1241474.08
Corporate Debt Securities
WFRBS COML MTG TR 201
2057-09-17
4.069000
1500000.00
1596473.71
Private Label Collateralized Mortgage Obligations
ZAYO GROUP LLC/ZAYO C
2027-01-15
5.750000
1103000.00
1122187.60
Corporate Debt Securities
ALASKA STUDENT LN COR
2031-08-25
2.766000
1100000.00
325041.81
Other Instrument
Municipal debt
AMERICAN HOME MTG 200
2034-10-25
4.043750
10000000.00
353655.84
Private Label Collateralized Mortgage Obligations
ASCENTIUM EQUIP RECV
2025-05-12
2.990000
1000000.00
1018948.11
Asset-Backed Securities
CALIFORNIA RES CORP S
5493003Q8F0T4F4YMR48
2022-12-15
8.000000
2500000.00
1725000.00
Corporate Debt Securities
CANADIAN PACER AUTO R
2022-03-21
2.780000
5315000.00
5338468.09
Asset-Backed Securities
CCG RECV TR 2018-1 B
2025-06-16
3.090000
1750000.00
1768086.83
Asset-Backed Securities
CITIGRP COML MTG TR 2
2046-11-13
4.544000
5000000.00
5418747.22
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2015-LC21
2048-07-10
4.043000
470000.00
502124.43
Private Label Collateralized Mortgage Obligations
Federal Home Loan Mor
2024-01-25
2.460000
7483000.00
5472572.62
Agency Collateralized Mortgage Obligation
FIRST INVESTORS AUTO
2023-06-15
3.560000
400000.00
407646.93
Asset-Backed Securities
FLAGSHIP CR AUTO TR 2
2025-05-15
3.530000
5500000.00
5567962.58
Asset-Backed Securities
GM FINL AUTO LEASE TR
2022-07-20
3.300000
6723944.00
6824363.86
Asset-Backed Securities
HARLAND CLARKE HLDGS
549300J73P7FL8TVF308
2022-08-15
8.375000
6206000.00
5466774.90
Corporate Debt Securities
JPMBB COML MTG SEC TR
2047-09-17
4.201600
1740000.00
1863020.82
Private Label Collateralized Mortgage Obligations
LAREDO PETROLEUM INC
549300X0PTWU2QSLSL14
2022-01-15
5.625000
1900000.00
1752453.13
Corporate Debt Securities
MMAF EQUIP FIN 2019-A
2023-11-13
2.840000
5535000.00
5605664.11
Asset-Backed Securities
NAVIENT STUDENT LN TR
2067-03-25
2.986000
480000.00
478822.88
Asset-Backed Securities
NEWFIELD EXPL CO SR N
T8W3X1PFLPW2YE0UIP44
2024-07-01
5.625000
7109000.00
7866757.20
Corporate Debt Securities
SEQUOIA MTG TR 2018-6
2048-07-25
4.208520
979833.00
1013857.33
Private Label Collateralized Mortgage Obligations
TARGA RES PARTNERS /
2024-03-15
6.750000
2360000.00
2508237.50
Corporate Debt Securities
TOWD PT MTG TR 2018-4
2058-06-25
3.000000
11049430.00
10243985.19
Asset-Backed Securities
WELLS FARGO COML TR 2
2059-11-18
3.419000
2000000.00
2064036.39
Private Label Collateralized Mortgage Obligations
WESTPAC BKG CORP 144A
EN5TNI6CI43VEPAMHL14
2021-03-03
2.000000
5431000.00
5463567.90
Corporate Debt Securities
WORLD OMNI AUTO TR 20
2023-02-15
1.950000
1305000.00
1302575.96
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
NR
Standard & Poor's Short Rating
A-1
2019-08-07
2019-08-07
2019-08-28
Y
BMO CAPITAL MARKETS CORP
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
NR
Standard & Poor's Short Rating
A-1
N
N
0.0253
300000000.00
300000000.00
0.0055
N
N
Y
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.550
0RH001U08
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
CNX RESOURCES CORPORA
549300JK3KH8PWM3B226
2027-03-14
7.250000
320.00
276.76
Corporate Debt Securities
ENDEAVOR ENERGY RESOU
2026-01-30
5.500000
15000.00
15525.00
Corporate Debt Securities
Government National M
2049-07-20
5.000000
1397.00
1497.72
Agency Mortgage-Backed Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2020-05-22
3.033380
3293536.00
3324719.99
Corporate Debt Securities
WESTPAC BKG CORP 144A
EN5TNI6CI43VEPAMHL14
2021-03-03
2.000000
211000.00
212265.30
Corporate Debt Securities
ALBERTA PROV CDA SR G
2019-12-06
1.900000
1484000.00
1486092.44
Corporate Debt Securities
CDN IMPERIAL BK COMM
2IGI19DL77OX0HC3ZE78
2023-07-27
2.350000
200000.00
201549.17
Corporate Debt Securities
DEVON ENERGY CORP NEW
54930042348RKR3ZPN35
2025-12-15
5.850000
2000.00
2376.57
Corporate Debt Securities
ROYAL BANK OF CANADA
2021-10-22
3.350000
5074.00
5255.70
Corporate Debt Securities
BANK NOVA SCOTIA EXTN
2021-04-14
1.850000
1000.00
1002.95
Corporate Debt Securities
FORD CREDIT AUTO LEAS
2022-02-15
3.300000
1021.00
1039.21
Asset-Backed Securities
KABBAGE ASSET SEC 201
2024-03-15
3.825000
2512819.00
2542545.02
Asset-Backed Securities
TORONTO DOMINION BK N
2022-10-22
3.350000
185854.00
192540.92
Corporate Debt Securities
ACE SECS HEQ 2003-HS1
2033-07-25
8.266000
1732.00
9.32
Asset-Backed Securities
CDN IMPERIAL BK COMM
2022-06-27
3.150000
17162000.00
17519613.17
Corporate Debt Securities
COMSTOCK RES INC SR G
I03QQGEA4SS774AURI46
2026-08-15
9.750000
2424.00
1911.17
Corporate Debt Securities
FIRST FRANKLIN MTG 20
2033-04-25
4.891000
707287.00
36376.52
Asset-Backed Securities
Government National M
2049-07-20
4.000000
974627.00
973452.79
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
NR
Standard & Poor's Short Rating
A-1
2019-08-07
2019-08-07
2019-08-28
Y
BMO CAPITAL MARKETS CORP
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
NR
Standard & Poor's Short Rating
A-1
N
N
0.0255
25000000.00
25000000.00
0.0005
N
N
Y
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.530
0RH001T67
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
CDN IMPERIAL BK COMM
2022-06-27
3.150000
21221000.00
21663192.59
Corporate Debt Securities
ELDORADO RESORTS INC
5299000BKFWWVND5L441
2025-04-01
6.000000
23550649.00
25254145.94
Corporate Debt Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2021-09-20
2.966630
250000.00
252152.17
Corporate Debt Securities
FIRST DATA CORP NEW 1
H9AD9QN07EKOX2GRN450
2024-01-15
5.000000
15093000.00
15503278.05
Corporate Debt Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2023-12-04
3.450000
23499606.00
24777201.25
Corporate Debt Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2023-07-24
2.876000
69000.00
69633.37
Corporate Debt Securities
HONDA AUTO RECV OWN T
2023-01-17
3.160000
18780000.00
19127273.50
Asset-Backed Securities
ZAYO GROUP LLC/ZAYO C
2027-01-15
5.750000
20397000.00
20751822.81
Corporate Debt Securities
CDN IMPERIAL BK COMM
2IGI19DL77OX0HC3ZE78
2023-07-27
2.350000
200000.00
201549.17
Corporate Debt Securities
ZAYO GROUP LLC/ZAYO C
2025-05-15
6.375000
6356000.00
6599315.63
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
2019-08-07
2019-08-07
2019-08-12
Y
BMO CAPITAL MARKETS CORP
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
NR
Standard & Poor's Short Rating
A-1
N
N
0.0253
125000000.00
125000000.00
0.0023
N
N
Y
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.510
0RH001VQ0
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ASCENT RES - UTICA LL
2022-04-01
10.000000
2878000.00
2915573.89
Corporate Debt Securities
ASCENTIUM EQUIP RECV
2022-08-10
2.870000
90000.00
90711.40
Asset-Backed Securities
AVIS BUDGET CAR RENT
2027-07-15
5.750000
228920.00
230765.67
Corporate Debt Securities
BANK NOVA SCOTIA EXTN
L3I9ZG2KFGXZ61BMYR72
2022-04-26
1.875000
1000.00
1000.89
Corporate Debt Securities
BMW VEH LEASE TR 2019
2021-11-22
2.840000
2248000.00
2269686.21
Asset-Backed Securities
CANADIAN PACER AUTO R
2021-06-21
3.000000
125000.00
87313.92
Asset-Backed Securities
CNX RESOURCES CORPORA
549300JK3KH8PWM3B226
2027-03-14
7.250000
4749810.00
4108057.89
Corporate Debt Securities
COOKE OMEGA INVESTMEN
2022-12-15
8.500000
2300000.00
2272687.50
Corporate Debt Securities
CSAIL COML MTG TR 201
2050-04-15
3.791000
2750000.00
2896929.37
Private Label Collateralized Mortgage Obligations
DEVON ENERGY CORP NEW
54930042348RKR3ZPN35
2025-12-15
5.850000
2998000.00
3562470.94
Corporate Debt Securities
ELDORADO RESORTS INC
5299000BKFWWVND5L441
2025-04-01
6.000000
71608.00
76787.65
Corporate Debt Securities
EXPORT DEV CDA SR GLB
Z6MHCSLXHKYG4B6PHW02
2021-05-26
1.500000
2925000.00
2908230.00
Other Instrument
International debt
FIELDSTONE MTG INV 20
2037-04-25
0.000000
4105.00
0.04
Asset-Backed Securities
FORD CREDIT AUTO OWN
2022-09-15
1.870000
168000.00
167355.24
Asset-Backed Securities
GEO GROUP INC NEW SR
5493003VOR6NTY465495
2024-10-15
5.875000
5000000.00
4185677.08
Corporate Debt Securities
HESS CORP SR GLBL NT5
UASVRYNXNK17ULIGK870
2047-04-01
5.800000
2000000.00
2194484.44
Corporate Debt Securities
MMAF EQUIP FIN 2019-A
2022-01-20
2.840000
200000.00
201570.36
Asset-Backed Securities
NEW HAMPSHIRE HIGHER
254900HSRKF2XFNCHT93
2037-10-25
3.125500
200000.00
192851.62
Other Instrument
Municipal debt
PBF HLDG CO LLC / PBF
2025-06-15
7.250000
2200000.00
2319597.50
Corporate Debt Securities
QUEBEC PROV CDA MTN B
549300WN65YFEQH74Y36
2026-01-30
6.350000
20000.00
24105.00
Corporate Debt Securities
RHODE ISLAND ST STUDE
2031-07-01
3.340000
800000.00
218054.98
Other Instrument
Municipal debt
WELLS FARGO COML TR 2
2059-01-17
3.988000
2500000.00
2660591.39
Private Label Collateralized Mortgage Obligations
WESTLAKE AUTO RECV TR
2024-01-16
3.500000
200000.00
202298.27
Asset-Backed Securities
ACE SECS HEQ 2003-HS1
2033-07-25
8.266000
19.00
0.10
Asset-Backed Securities
ALBERTA PROV CDA GLBL
LQPXMHHNJKIPJYE53543
2023-11-01
3.350000
50000.00
52970.10
Corporate Debt Securities
BANK NOVA SCOTIA EXTN
2020-09-11
2.125000
3213000.00
3238301.93
Corporate Debt Securities
BEAZER HOMES USA INC
549300DUPYT2T0F60I45
2022-03-15
8.750000
3000000.00
3210937.50
Corporate Debt Securities
CANADA GOVT 20
2020-01-13
2.303380
5000000.00
5005758.45
Other Instrument
International debt
CDN IMPERIAL BK COMM
2IGI19DL77OX0HC3ZE78
2023-07-22
2.606000
677367.00
678673.72
Corporate Debt Securities
CHESAPEAKE FDG II LLC
2029-11-15
2.665000
249841.00
153938.74
Asset-Backed Securities
CPPIB CAPITAL INC FR
2021-01-29
2.375000
3000000.00
3014297.92
Other Instrument
International debt
DBJPM MTG TR 2016-C3
2049-08-12
3.041000
3000000.00
3033728.08
Private Label Collateralized Mortgage Obligations
DOMNOS PIZZA MSTR 201
2048-07-25
4.116000
150000.00
152012.05
Asset-Backed Securities
EXPORT DEV CDA GLBL B
Z6MHCSLXHKYG4B6PHW02
2022-05-17
2.000000
125000.00
125804.44
Other Instrument
International debt
EXPORT DEV CDA SR GLB
2019-08-19
1.750000
135000.00
135966.11
Other Instrument
International debt
FLAGSHIP CR AUTO TR 2
2023-08-15
3.110000
189000.00
157615.97
Asset-Backed Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2026-04-01
8.500000
3855000.00
3887371.29
Corporate Debt Securities
GTE SOUTHWEST INC 1ST
2031-11-15
8.500000
2076000.00
2143902.50
Corporate Debt Securities
IXIS REAL ESTATE TR 2
2035-09-25
3.196000
1767.00
314.28
Asset-Backed Securities
KGS ALPHA SBA COOF TR
2035-03-25
2.174090
3113060.00
42541.55
Asset-Backed Securities
NUANCE COMMUNICATIONS
AEMSOT3SS15TNMJCE605
2024-07-01
6.000000
3000000.00
3123250.00
Corporate Debt Securities
PPL CAP FDG INC GTD J
2067-03-30
4.994880
1131000.00
1031560.94
Corporate Debt Securities
RESIDENTIAL ASSET SEC
2032-06-25
3.241000
2.00
0.09
Asset-Backed Securities
SANTANDER DRIVE AUTO
2022-04-15
3.090000
365000.00
124397.75
Asset-Backed Securities
SAXON ASSET SEC TR 20
2036-11-25
2.646000
448345.00
202.20
Asset-Backed Securities
TACO BELL FDG LLC 201
2046-05-25
4.377000
3500000.00
3510409.20
Asset-Backed Securities
ACCREDITED MTG LN TR
2035-09-25
2.855940
69.00
45.69
Asset-Backed Securities
AGATE BAY MTG TR 2013
2043-07-25
3.607630
3473000.00
2895775.02
Private Label Collateralized Mortgage Obligations
ANTERO MIDSTREAM PART
2028-01-15
5.750000
2500000.00
2334652.78
Corporate Debt Securities
ASCENTIUM EQUIP RECV
2021-12-10
2.310000
171000.00
170889.59
Asset-Backed Securities
ASCENTIUM EQUIP RECV
2024-05-10
3.760000
3324000.00
3457574.57
Asset-Backed Securities
BRUIN E&P PARTNERS LL
549300NZ4QCWC7W8KP34
2023-08-01
8.875000
3711000.00
2947010.76
Corporate Debt Securities
CARRINGTON MTG LN 200
2035-05-25
4.291000
1.00
0.01
Asset-Backed Securities
CFCRE COML MTG TR 201
2048-01-10
4.147000
2750000.00
2946995.26
Private Label Collateralized Mortgage Obligations
CLEAN HARBORS INC SR
5493000SJVZVZJKHJF48
2027-07-15
4.875000
196116.00
202497.94
Corporate Debt Securities
COMSTOCK RES INC SR G
I03QQGEA4SS774AURI46
2026-08-15
9.750000
3317576.00
2615701.33
Corporate Debt Securities
DOMINOS PIZZA MSTR 20
2045-10-25
4.474000
2445292.00
2467719.16
Asset-Backed Securities
EXPORT DEV CDA 1.625%
2020-06-01
1.625000
999949.00
998472.27
Other Instrument
International debt
EXPORT DEV CDA SR GLB
2019-09-13
1.000000
75000.00
75160.17
Other Instrument
International debt
EXPORT DEV CDA SR GLB
Z6MHCSLXHKYG4B6PHW02
2021-10-21
1.375000
3185780.00
3159756.16
Other Instrument
International debt
Federal National Mort
2037-06-25
9.208820
2103800.00
172056.06
Agency Collateralized Mortgage Obligation
GREATAMER LEASE RECV
2021-06-15
2.970000
221000.00
222292.96
Asset-Backed Securities
HLF FING SARL LLC / H
2026-08-15
7.250000
4976389.00
5104427.34
Corporate Debt Securities
KABBAGE ASSET SEC 201
2024-03-15
3.825000
135690.00
137295.18
Asset-Backed Securities
LIMITED BRANDS INC SR
2037-07-15
7.600000
5000000.00
4315833.33
Corporate Debt Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2023-12-04
3.450000
138414.00
145939.11
Corporate Debt Securities
RANGE RES CORP SR NT
H3Y3WLYCX0BTO1TRW162
2023-03-15
5.000000
5000.00
4481.25
Corporate Debt Securities
ROYAL BANK OF CANADA
2021-02-05
1.875000
2883000.00
2902444.63
Corporate Debt Securities
SANTANDER DRIVE AUTO
2023-08-15
3.510000
150000.00
151818.23
Asset-Backed Securities
SPRINGLEAF FDG TR 201
2030-07-15
2.680000
155922.00
156173.92
Asset-Backed Securities
WAMU WMABS 2007-HE1 I
2036-11-25
2.506000
2499.00
965.10
Asset-Backed Securities
WESTLAKE AUTO RECV TR
2021-09-15
2.840000
22.00
8.79
Asset-Backed Securities
ACE SECS HEQ 2007-WM2
2037-02-25
2.446000
307.00
69.51
Asset-Backed Securities
AMERICREDIT AUTO RECV
2021-11-18
2.860000
336099.00
185763.68
Asset-Backed Securities
ASCENTIUM EQUIP RECV
2020-05-11
2.000000
565000.00
130485.38
Asset-Backed Securities
ASCENTIUM EQUIP RECV
2024-04-10
3.510000
2070000.00
2125469.79
Asset-Backed Securities
BAMLL COML MTG TR 201
2049-07-16
3.385000
3000000.00
3094391.42
Private Label Collateralized Mortgage Obligations
BANK OF NOVA SCOTIA S
L3I9ZG2KFGXZ61BMYR72
2023-01-18
2.375000
46950.00
47060.41
Corporate Debt Securities
CDP FINANCIAL INC. 2.
2022-03-07
2.750000
588361.00
605458.77
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2026-03-15
8.000000
4000000.00
3978000.00
Corporate Debt Securities
COMM S&L / CSL CAPITA
2023-04-15
6.000000
4750000.00
4595625.00
Corporate Debt Securities
CPPIB CAPITAL INC -9
2023-09-25
3.125000
1025000.00
1079868.96
Other Instrument
International debt
CSFB MTG PTC 2002-30
2032-11-25
7.396900
1000000.00
224463.89
Private Label Collateralized Mortgage Obligations
EXPORT DEV CDA GLBL-1
2019-08-13
2.545250
729282.00
733420.97
Other Instrument
International debt
EXPORT DEV CDA SR GLB
2020-07-21
1.750000
790000.00
787446.32
Other Instrument
International debt
Federal National Mort
2048-06-25
7.051750
3243209.00
3340344.44
Agency Collateralized Mortgage Obligation
FIRST FRANKLIN MTG 20
2033-04-25
4.891000
20272.00
1042.61
Asset-Backed Securities
FORD CREDIT FLRPLN TR
5493001DTG5N7T8BG747
2022-01-15
2.895000
110000.00
110332.82
Asset-Backed Securities
JAGGED PEAK ENERGY IN
549300RX1X1CBWDBPJ74
2026-05-01
5.875000
1355.00
1309.88
Corporate Debt Securities
KUBOTA CR OWNER TR 20
2021-08-16
1.880000
130000.00
119498.60
Asset-Backed Securities
MMAF EQUIP FIN LLC 20
2024-08-16
2.410000
100000.00
100338.82
Asset-Backed Securities
NISSAN MSTR OWNR TR 2
2022-04-18
2.755000
252589.00
253234.98
Asset-Backed Securities
PBF HLDG CO LLC / PBF
2023-11-15
7.000000
3000000.00
3126250.00
Corporate Debt Securities
SANTANDER DRIVE AUTO
2022-12-15
2.760000
3.00
3.01
Asset-Backed Securities
SEQUOIA MTG TR 2018-6
2048-07-25
4.208520
2358167.00
2440053.45
Private Label Collateralized Mortgage Obligations
UNITED RENTALS NORTH
NGIZXNT70J2LYT3FBI09
2030-01-15
5.250000
2500000.00
2588541.67
Corporate Debt Securities
WESTLAKE AUTO RECV TR
2020-12-15
2.240000
4569.00
477.28
Asset-Backed Securities
WESTPAC BKG CORP SR G
EN5TNI6CI43VEPAMHL14
2026-08-19
2.700000
168000.00
170955.96
Corporate Debt Securities
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
2019-08-07
2019-08-07
2019-08-12
Y
BMO CAPITAL MARKETS CORP
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
NR
Standard & Poor's Short Rating
A-1
N
N
0.0251
125000000.00
125000000.00
0.0023
N
N
Y
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.510
0RH001W63
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AAMES MTG TR 2005-4 M
2035-10-25
0.000000
17964000.00
179.64
Asset-Backed Securities
ACCREDITED MTG LN TR
2035-09-25
2.855940
1000000.00
485.99
Asset-Backed Securities
ACE SECS HEQ 2007-WM2
2037-02-25
2.446000
430.00
97.36
Asset-Backed Securities
ANTERO MIDSTREAM PART
2024-09-15
5.375000
20.00
19.70
Corporate Debt Securities
BWAY HOLDING COMPANY
549300DNGHXL0OMHW304
2024-04-15
5.500000
299000.00
303796.46
Corporate Debt Securities
CSFB COML MTG PTC 200
2049-01-15
0.017810
9250000.00
9.24
Private Label Collateralized Mortgage Obligations
DRIVE AUTO RECV TR 20
2022-09-15
2.630000
2.00
2.00
Asset-Backed Securities
ERP OPER LTD PARTNERS
DX5HQV5MLU50FEWZ5072
2028-12-01
4.150000
896504.00
998312.24
Corporate Debt Securities
FBR SEC TRUST 2005-5
2035-11-25
5.641000
90.00
0.09
Asset-Backed Securities
Federal National Mort
2037-06-25
9.208820
915715.00
74890.35
Agency Collateralized Mortgage Obligation
FIELDSTONE MTG INV 20
2037-04-25
0.000000
2988546.00
29.89
Asset-Backed Securities
FLAGSHIP CR AUTO TR 2
2025-02-18
3.600000
2.00
2.05
Asset-Backed Securities
GM FINL AUTO LEASE TR
2022-07-20
3.300000
283953.00
288193.74
Asset-Backed Securities
HLF FING SARL LLC / H
2026-08-15
7.250000
23611.00
24218.49
Corporate Debt Securities
JP MORGAN COM MTG 200
2041-07-15
0.512000
123900893.00
318.32
Private Label Collateralized Mortgage Obligations
LB COMMERCIAL MTG TR
2030-02-18
0.950790
174999983.00
309.76
Private Label Collateralized Mortgage Obligations
ROYAL BK OF CDA BD CD
ES7IP3U3RHIGC71XBU11
2023-10-05
3.700000
5373337.00
5698152.24
Corporate Debt Securities
TOYOTA MOTOR CORP SR
5493006W3QUS5LMH6R84
2029-07-02
2.760000
1077464.00
1086812.80
Corporate Debt Securities
WESTPAC BKG CORP 144A
EN5TNI6CI43VEPAMHL14
2025-01-16
3.150000
829417.00
861901.12
Corporate Debt Securities
ACE SECS HEQ 2003-HS1
2033-07-25
8.266000
187.00
1.01
Asset-Backed Securities
ALBERTA PROV CDA SR G
2019-12-06
1.900000
2061000.00
2063906.01
Corporate Debt Securities
BEAR STEARNS ABS TR 2
2036-04-25
3.766000
894530.00
853245.35
Asset-Backed Securities
CARRINGTON MTG 2006-F
2035-03-25
2.346000
12185200.00
1078682.17
Asset-Backed Securities
CNX RESOURCES CORPORA
549300JK3KH8PWM3B226
2027-03-14
7.250000
249870.00
216109.79
Corporate Debt Securities
ENDEAVOR ENERGY RESOU
2026-01-30
5.500000
109000.00
112815.00
Corporate Debt Securities
EXPORT DEV CDA SR GLB
Z6MHCSLXHKYG4B6PHW02
2021-10-21
1.375000
560.00
555.43
Other Instrument
International debt
Federal National Mort
2025-02-25
3.081750
9942672.00
9959588.10
Agency Mortgage-Backed Securities
FIELDSTONE MTG INV 20
2035-12-25
3.226000
10.00
0.01
Asset-Backed Securities
FIELDSTONE MTG INV 20
2037-04-25
0.000000
7000000.00
70.00
Asset-Backed Securities
GLOBAL MTG SEC 2005-A
2032-04-25
5.250000
11010992.00
5467.97
Private Label Collateralized Mortgage Obligations
GREENWICH CAP CMBS 20
2039-03-10
0.504790
3411000.00
11.76
Private Label Collateralized Mortgage Obligations
IXIS REAL ESTATE TR 2
2035-09-25
3.196000
562.00
99.96
Asset-Backed Securities
LB CMBS 2007-C3 X 204
2044-07-15
0.000000
808448543.00
484.78
Private Label Collateralized Mortgage Obligations
ML MTG TRUST 2006-C2
2043-08-12
0.341090
4527989.00
5.00
Private Label Collateralized Mortgage Obligations
MOSS CREEK RES HLDGS
54930037SLMSPWKYIX36
2026-01-15
7.500000
2037000.00
1600318.13
Corporate Debt Securities
WESTLAKE AUTO RECV TR
2020-12-15
2.240000
2595431.00
271121.30
Asset-Backed Securities
AAMES MTG TR 2005-2 M
2035-07-25
0.000000
3321000.00
33.21
Asset-Backed Securities
ACCREDITED MTG LN TR
2035-09-25
2.855940
562156.00
372241.71
Asset-Backed Securities
AT&T INC SR GLBL NT 2
549300Z40J86GGSTL398
2026-01-15
3.875000
1311.00
1378.96
Corporate Debt Securities
CAPITAL AUTO RECV ABN
2020-11-20
3.160000
2.00
1.32
Asset-Backed Securities
CHESAPEAKE FDG II LLC
2029-11-15
2.665000
159.00
97.97
Asset-Backed Securities
CSFB ABS TRUST 2002-H
2032-10-25
5.066000
1249642.00
20884.91
Asset-Backed Securities
DOMINOS PIZZA MSTR 20
2045-10-25
4.474000
704708.00
711171.28
Asset-Backed Securities
Federal National Mort
2049-08-25
2.816000
3018534.00
3007580.08
Agency Collateralized Mortgage Obligation
Federal National Mort
2049-08-25
3.000000
787347.00
780344.07
Agency Collateralized Mortgage Obligation
FIELDSTONE MTG INV 20
2036-11-25
0.000000
4206991.00
42.07
Asset-Backed Securities
FIELDSTONE MTG INV 20
2037-04-25
0.000000
6717000.00
67.17
Asset-Backed Securities
FIRST FRANKLIN MTG 20
2033-04-25
4.891000
922399.00
47439.96
Asset-Backed Securities
KABBAGE ASSET SEC 201
2024-03-15
3.825000
119888.00
121306.25
Asset-Backed Securities
ML MTG TRUST 2005-CIP
2038-07-12
0.010000
184662000.00
119.35
Private Label Collateralized Mortgage Obligations
MORGAN STANLEY IXIS 2
2036-11-25
2.416000
2696980.00
867586.34
Asset-Backed Securities
POST HLDGS INC SR GLB
JM1I5YUAURL6DC8N1468
2027-03-01
5.750000
61000.00
64586.72
Corporate Debt Securities
TORONTO DOMINION BK N
2022-10-22
3.350000
239821.00
248449.63
Corporate Debt Securities
AAMES MTG TR 2005-2 B
2035-07-25
0.000000
1499062.00
14.99
Asset-Backed Securities
AAMES MTG TR 2005-4 M
2035-10-25
0.000000
1000000.00
10.00
Asset-Backed Securities
ACCREDITED MTG LN TR
2037-02-25
3.566000
500000.00
302.17
Asset-Backed Securities
AEGIS ABS 2005-4 M4 2
2035-10-25
2.866000
159.00
1.66
Asset-Backed Securities
CDN IMPERIAL BK COMM
2022-06-27
3.150000
578000.00
590044.07
Corporate Debt Securities
CPPIB CAPITAL INC -1
549300KW9NB55HTDK075
2019-09-20
1.250000
250000.00
250740.97
Other Instrument
International debt
CSFB COML MTG PTC 200
2039-06-17
0.000000
2684790000.00
210.96
Private Label Collateralized Mortgage Obligations
ELDORADO RESORTS INC
5299000BKFWWVND5L441
2025-04-01
6.000000
1.00
1.07
Corporate Debt Securities
EXPORT DEV CDA 1.625%
2020-06-01
1.625000
51.00
50.92
Other Instrument
International debt
FIELDSTONE MTG INV 20
2036-05-25
2.646000
20.00
0.01
Asset-Backed Securities
FIELDSTONE MTG INV 20
2037-04-25
0.000000
4999875.00
50.00
Asset-Backed Securities
FIRST DATA CORP NEW 1
H9AD9QN07EKOX2GRN450
2024-01-15
5.000000
2332000.00
2395391.53
Corporate Debt Securities
FORD CREDIT FLRPLN TR
5493001DTG5N7T8BG747
2030-11-15
4.060000
2017813.00
2175472.13
Asset-Backed Securities
Government National M
2048-01-20
3.500000
270561.00
285192.55
Agency Collateralized Mortgage Obligation
INMARSAT FIN PLC SR G
549300FCV5VH7Q5A3B66
2022-05-15
4.875000
6149000.00
6265254.53
Corporate Debt Securities
ML-CFC COML MTG TR 20
2039-02-12
0.000000
900000000.00
51.86
Private Label Collateralized Mortgage Obligations
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2020-05-22
3.033380
126190.00
127384.80
Corporate Debt Securities
SAXON ASSET SEC TR 20
2036-11-25
2.646000
2151620.00
970.38
Asset-Backed Securities
WACHOVIA CMBS 2006-C2
2045-01-18
0.000000
75413366.00
6.28
Private Label Collateralized Mortgage Obligations
ZAYO GROUP LLC/ZAYO C
2025-05-15
6.375000
508000.00
527446.88
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
2019-08-01
2019-08-01
2019-08-01
Y
BMO CAPITAL MARKETS CORP
1.0000
1
N
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
N
N
0.0251
42000000.00
42000000.00
0.0008
N
Y
Y
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.470
0RH001WJ5
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
Federal National Mort
2037-06-25
9.208820
1.00
0.08
Agency Collateralized Mortgage Obligation
HONDA AUTO RECV OWN T
2023-06-21
2.520000
12434200.00
12549974.84
Asset-Backed Securities
SUMITOMO MITSUI FINL
35380028MYWPB6AUO129
2029-07-16
3.040000
111136.00
111069.57
Corporate Debt Securities
WESTPAC BKG CORP SR G
EN5TNI6CI43VEPAMHL14
2020-03-06
2.150000
1657000.00
1669742.33
Corporate Debt Securities
ALIMENTATION COUCHE T
549300OSW32RVX8CCZ87
2019-12-13
2.350000
184.00
184.37
Corporate Debt Securities
CDN IMPERIAL BK COMM
2IGI19DL77OX0HC3ZE78
2023-07-22
2.606000
25.00
25.05
Corporate Debt Securities
FIRST DATA CORP NEW 1
H9AD9QN07EKOX2GRN450
2024-01-15
5.000000
17575000.00
18052747.08
Corporate Debt Securities
NATIONAL AUSTRALIA BK
F8SB4JFBSYQFRQEH3Z21
2021-11-04
3.700000
120.00
124.80
Corporate Debt Securities
TORONTO DOMINION BK N
2022-10-22
3.350000
13835444.00
14333235.59
Corporate Debt Securities
BANK OF NOVA SCOTIA F
L3I9ZG2KFGXZ61BMYR72
2021-04-20
3.125000
322.00
329.43
Corporate Debt Securities
CPPIB CAPITAL INC -1
549300KW9NB55HTDK075
2019-09-20
1.250000
14857000.00
14901034.50
Other Instrument
International debt
HLF FING SARL LLC / H
2026-08-15
7.250000
3999623.00
4102529.97
Corporate Debt Securities
WESTPAC BKG CORP 144A
EN5TNI6CI43VEPAMHL14
2025-01-16
3.150000
18779424.00
19514920.14
Corporate Debt Securities
BMW US CAP LLC SR GLB
KK5MZM9DIXLXZL9DZL15
2021-04-11
2.000000
1198000.00
1197539.44
Corporate Debt Securities
NAVIENT STUDENT LN TR
2067-06-27
2.946000
15000000.00
14921865.00
Asset-Backed Securities
TRIBUNE MEDIA CO SR N
5493003IDYU5GPPRFU47
2022-07-15
5.875000
15200000.00
15456544.33
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0247
110000000.00
110000000.00
0.0020
N
Y
Y
N
BMO CAPITAL MARKETS CORP
BMO CAPITAL MARKETS CORP 2.470
0RH001WK2
0000772028
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BANK OF NOVA SCOTIA S
L3I9ZG2KFGXZ61BMYR72
2023-01-18
2.375000
47959.00
48071.78
Corporate Debt Securities
CDN IMPERIAL BK COMM
2IGI19DL77OX0HC3ZE78
2023-07-22
2.606000
1456489.00
1459298.73
Corporate Debt Securities
CSFB COML MTG PTC 200
2039-12-15
0.880190
4815000.00
805.01
Private Label Collateralized Mortgage Obligations
FIELDSTONE MTG INV 20
2035-12-25
3.226000
7999990.00
4381.33
Asset-Backed Securities
FIELDSTONE MTG INV 20
2037-04-25
0.000000
7160.00
0.07
Asset-Backed Securities
ONTARIO TEACH FIN TR
635400ZZE5J8OXXBBY26
2021-04-16
2.750000
1783336.00
1818671.81
Corporate Debt Securities
ROYAL BANK OF CANADA
2021-10-22
3.350000
913334.00
946039.98
Corporate Debt Securities
TORONTO DOMINION BANK
PT3QB789TSUIDF371261
2019-08-13
1.450000
80000.00
80506.91
Corporate Debt Securities
WAMU WMABS 2007-HE1 I
2036-11-25
2.506000
2609172.00
1007649.07
Asset-Backed Securities
ZAYO GROUP LLC/ZAYO C
2025-05-15
6.375000
22000.00
22842.19
Corporate Debt Securities
ACCREDITED MTG LN TR
2036-04-25
2.509200
8000000.00
3425.60
Asset-Backed Securities
AEGIS ABS 2005-4 M4 2
2035-10-25
2.866000
15.00
0.16
Asset-Backed Securities
CSFB ABS TRUST 2002-H
2032-10-25
5.066000
36.00
0.60
Asset-Backed Securities
FBR SEC TRUST 2005-5
2035-11-25
5.641000
1499910.00
1425.16
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-05-25
2.646000
5499980.00
2480.49
Asset-Backed Securities
GM FINL AUTO LEASE TR
2022-07-20
3.300000
497098.00
504521.99
Asset-Backed Securities
JP MORGAN COM MTG 200
2041-07-15
0.512000
45696.00
0.12
Private Label Collateralized Mortgage Obligations
SUMMIT MIDSTREAM HLDG
2025-04-15
5.750000
90000.00
78909.37
Corporate Debt Securities
TOWD PT MTG TR 2018-4
2058-06-25
3.000000
850570.00
788567.96
Asset-Backed Securities
WATCO COS LLC / WATCO
2023-04-01
6.375000
1460000.00
1516316.46
Corporate Debt Securities
AAMES MTG TR 2005-2 B
2035-07-25
0.000000
938.00
0.01
Asset-Backed Securities
ACE SECS HEQ 2007-WM2
2037-02-25
2.446000
20.00
4.53
Asset-Backed Securities
BANK NOVA SCOTIA EXTN
2021-04-14
1.850000
1027000.00
1030026.80
Corporate Debt Securities
CDN IMPERIAL BK COMM
2IGI19DL77OX0HC3ZE78
2023-07-27
2.350000
200000.00
201549.17
Corporate Debt Securities
FIELDSTONE MTG INV 20
2036-05-25
2.626000
4500000.00
2014.50
Asset-Backed Securities
FIRST FRANKLIN MTG 20
2033-04-25
4.891000
1100.00
56.57
Asset-Backed Securities
JAGGED PEAK ENERGY IN
549300RX1X1CBWDBPJ74
2026-05-01
5.875000
674.00
651.56
Corporate Debt Securities
KGS ALPHA SBA COOF TR
2035-03-25
2.174090
497153.00
6793.85
Asset-Backed Securities
PILGRIMS PRIDE CORP N
549300ZSLGV64ZL3HD75
2025-03-15
5.750000
500000.00
525781.25
Corporate Debt Securities
WASHINGTON PRIME GROU
549300K4BNOIQ154O537
2024-08-15
5.950000
4000000.00
3856603.33
Corporate Debt Securities
ACE SECS HEQ 2003-HS1
2033-07-25
8.266000
685.00
3.69
Asset-Backed Securities
ALIMENTATION COUCHE T
549300OSW32RVX8CCZ87
2019-12-13
2.350000
1999666.00
2003681.44
Corporate Debt Securities
CARRINGTON MTG 2006-F
2035-03-25
2.346000
133200.00
11791.39
Asset-Backed Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2023-07-24
2.876000
251000.00
253304.01
Corporate Debt Securities
ELDORADO RESORTS INC
5299000BKFWWVND5L441
2025-04-01
6.000000
9877742.00
10592232.00
Corporate Debt Securities
INDIGO NAT RES LLC SR
549300F7DOI6H6TA3C86
2026-02-15
6.875000
510000.00
443195.31
Corporate Debt Securities
KABBAGE ASSET SEC 201
2024-03-15
3.825000
72348.00
73203.86
Asset-Backed Securities
PDC ENERGY INC SR GLB
5493008W8H2T511J5Y59
2026-05-15
5.750000
400627.00
390402.67
Corporate Debt Securities
SPRINGLEAF FDG TR 201
2030-07-15
2.680000
344078.00
344633.92
Asset-Backed Securities
TORONTO DOMINION BK N
2022-10-22
3.350000
851616.00
882256.67
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0247
27000000.00
27000000.00
0.0005
N
Y
Y
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.260
05586F4S3
R0MUWSFPU8MPRO8K5P83
US05586F4S31
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
2019-12-11
2019-12-11
2019-12-11
N
N
N
0.0226
300066231.00
300066231.00
0.0055
N
N
N
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.600
05586FF69
R0MUWSFPU8MPRO8K5P83
US05586FF696
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
2019-10-17
2019-10-17
2019-10-17
N
N
N
0.0260
350254296.00
350254296.00
0.0064
N
N
N
N
BNP PARIBAS NY BRANCH
BNP PARIBAS NY BRANCH 2.635
05586FSS7
R0MUWSFPU8MPRO8K5P83
US05586FSS73
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
2019-08-06
2019-11-05
2019-11-05
N
N
N
0.0267
100010218.00
100010218.00
0.0018
N
N
N
N
BNP PARIBAS SA
BNP PARIBAS SA 2.350
0BNP04EY9
R0MUWSFPU8MPRO8K5P83
0000310732
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BANCO SANTANDER S A S
5493006QMFDDMYWIAM13
2025-11-19
5.179000
18000000.00
19730954.50
Corporate Debt Securities
BOARDWALK PIPELINES L
549300W6AQ2GHHCGL606
2026-06-01
5.950000
14000000.00
15626679.44
Corporate Debt Securities
PACIFIC GAS & ELEC CO
2020-10-01
0.000000
10551000.00
10392735.00
Corporate Debt Securities
SAMARCO MINERACAO SA
2022-11-01
0.000000
3500000.00
2651285.00
Corporate Debt Securities
BANK AMER CORP ALT TI
9DJT3UXIJIZJI4WXO774
2099-01-01
5.875000
19520000.00
21086114.00
Corporate Debt Securities
CREDIT SUISSE GRP FDG
549300PXR5FKNXF0OH19
2025-03-26
3.750000
6114000.00
6444319.04
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2020-04-23
3.419380
16945000.00
17052767.87
Corporate Debt Securities
OCWEN LN SERVICING LL
2022-11-15
8.375000
42500000.00
37929036.46
Corporate Debt Securities
PFS FING CORP 2017-B
2022-07-15
2.220000
15000.00
14974.17
Asset-Backed Securities
APPLE INC SR NT 4.375
HWUPKR0MPOU8FGXBT394
2045-05-13
4.375000
20204000.00
23321227.46
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2025-11-01
5.500000
42000.00
44041.08
Corporate Debt Securities
CWALT INC 2007-18CB 1
2037-08-25
25.404000
2.00
0.75
Private Label Collateralized Mortgage Obligations
INTESA SANPAOLO S P A
2W8N8UU78PMDQKZENC08
2023-01-12
3.375000
15000000.00
15053212.50
Corporate Debt Securities
TGIF FUNDING LLC 2017
2047-04-30
6.202000
762418.00
707972.82
Asset-Backed Securities
ADVANCED MICRO DEVICE
R2I72C950HOYXII45366
2022-08-15
7.500000
14174000.00
16521568.75
Corporate Debt Securities
FISERV INC SR GLBL NT
GI7UBEJLXYLGR2C7GV83
2029-07-01
3.500000
41605985.00
42650295.22
Corporate Debt Securities
KOREA GAS CORP GLBL M
2029-07-16
2.875000
383076.00
384289.61
Corporate Debt Securities
PACIFIC GAS & ELEC CO
1HNPXZSMMB7HMBMVBS46
2021-05-15
0.000000
518000.00
511525.00
Corporate Debt Securities
SOUTHERN CALIF EDISON
9R1Z5I36FERIBVKW4P77
2048-03-01
4.125000
19271000.00
20346956.14
Corporate Debt Securities
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
2019-08-07
2019-08-07
2019-08-07
N
N
N
0.0235
235000000.00
235000000.00
0.0043
N
N
Y
N
BOFA SECURITIES INC.
BOFA SECURITIES INC. 2.470
0SC001E74
0001675365
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BOEING CO COM
RVHJWBXLJ1RFUBSY1F30
2099-01-01
0.000000
46048.00
15999838.08
Equities
FACEBOOK INC CL A
BQ4BKCS1HXDV9HN80Z93
2099-01-01
0.000000
81201.00
15999845.04
Equities
GENERAL ELECTRIC CO C
3C7474T6CDKPR9K6YT90
2099-01-01
0.000000
114315.00
1202593.80
Equities
LOWES COS INC COM
WAFCR4OKGSC504WU3E95
2099-01-01
0.000000
154187.00
15999984.99
Equities
MASTERCARD INC CL A
AR5L2ODV9HN37376R084
2099-01-01
0.000000
57520.00
15999763.20
Equities
RAYTHEON CO COM NEW
YR6K3WJN0KKLUPZSNL57
2099-01-01
0.000000
79900.00
14862998.00
Equities
WELLS FARGO CO NEW CO
PBLD0EJDB5FWOLXP3B76
2099-01-01
0.000000
329557.00
15999992.35
Equities
ALLERGAN PLC SHS
635400FWJZQC1IPYUH69
2099-01-01
0.000000
99459.00
15999969.33
Equities
AMAZON COM INC COM
ZXTILKJKG63JELOEG630
2099-01-01
0.000000
8427.00
15998912.31
Equities
FIRST REP BK SAN FRAN
2099-01-01
5.500000
30.00
778.20
Equities
LIBERTY GLOBAL PLC SH
549300BSGXG3QLIQYT84
2099-01-01
0.000000
589101.00
15999983.16
Equities
MARATHON PETE CORP CO
3BNYRYQHD39K4LCKQF12
2099-01-01
0.000000
7748.00
442023.40
Equities
MYLAN N V SHS EURO
549300A0CD4KNFGIIS89
2099-01-01
0.000000
13697.00
293526.71
Equities
OCCIDENTAL PETE CORP
IM7X0T3ECJW4C1T7ON55
2099-01-01
0.000000
304936.00
15999991.92
Equities
XILINX INC COM
6EY4K7ZMF9UX1CU6KC79
2099-01-01
0.000000
15115.00
1806393.65
Equities
ALLY FINL INC COM
549300JBN1OSM8YNAI90
2099-01-01
0.000000
130405.00
4403776.85
Equities
BB&T CORP DEP SHS REP
2099-01-01
5.625000
30.00
762.00
Equities
CELGENE CORP COM
4SIHMF0MOSTTL8CD0X64
2099-01-01
0.000000
172767.00
15999951.87
Equities
FEDEX CORP COM
549300E707U7WNPZN687
2099-01-01
0.000000
48602.00
8378498.78
Equities
JOHNSON & JOHNSON COM
549300G0CFPGEF6X2043
2099-01-01
0.000000
42040.00
5552643.20
Equities
NVIDIA CORP COM
549300S4KLFTLO7GSQ80
2099-01-01
0.000000
91194.00
15999987.30
Equities
PAYPAL HLDGS INC COM
5493005X2GO78EFZ3E94
2099-01-01
0.000000
142806.00
15999984.24
Equities
SENIOR HSG PPTYS TR N
2042-08-01
5.625000
30.00
674.70
Equities
WORLDPAY INC CL A
2099-01-01
0.000000
118518.00
15999930.00
Equities
AEGON N V PERP CAP FL
2099-01-01
4.000000
30.00
717.60
Equities
ALPHABET INC CAP STK
5493006MHB84DD0ZWV18
2099-01-01
0.000000
13029.00
15999612.00
Equities
BERKSHIRE HATHAWAY IN
5493000C01ZX7D35SD85
2099-01-01
0.000000
76993.00
15999915.33
Equities
COSTAR GROUP INC COM
2099-01-01
0.000000
2190.00
1355018.70
Equities
MACYS INC COM
529900NZQ81TIOW3CW52
2099-01-01
0.000000
186614.00
4204413.42
Equities
MERCADOLIBRE INC COM
549300DKPDN9M5S8GB14
2099-01-01
0.000000
25245.00
15999776.10
Equities
NXP SEMICONDUCTORS N
724500M9BY5293JDF951
2099-01-01
0.000000
151243.00
15999996.97
Equities
PROCTER AND GAMBLE CO
2572IBTT8CCZW6AU4141
2099-01-01
0.000000
132879.00
15999960.39
Equities
SYMANTEC CORP COM
YF6ZV0M6AU4FY94MK914
2099-01-01
0.000000
688459.00
15097905.87
Equities
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0247
320000000.00
320000000.00
0.0058
N
Y
Y
N
BOFA SECURITIES INC.
BOFA SECURITIES INC. 2.800
0SC001AB9
0001675365
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ASHFORD HOSP TR 2018-
2035-06-15
3.325000
4800000.00
4813098.13
Private Label Collateralized Mortgage Obligations
CIT EDUCATION LN TR 2
2042-06-25
2.649250
10000000.00
4595059.36
Asset-Backed Securities
COMM MTG TR 2013-SFS
2035-04-13
2.986800
1836000.00
1879553.65
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2015-PC1
2050-07-12
3.620000
1950000.00
2056195.27
Private Label Collateralized Mortgage Obligations
CREDIT ACCEPT AUTO TR
549300J9CNONESCISQ91
2027-04-15
3.600000
5000000.00
5089415.00
Asset-Backed Securities
DAIMLER TRUCKS RETAIL
2024-11-15
3.030000
2762000.00
2788094.00
Asset-Backed Securities
GALAXY XXVI CLO 2018-
2031-11-24
3.723380
1954874.00
1962947.44
Asset-Backed Securities
HALCYON LN ADV FDG 20
2031-07-21
4.077630
2900000.00
2842578.28
Asset-Backed Securities
HILTON USA TRUST 2016
2038-11-05
3.719000
2196000.00
2335483.03
Private Label Collateralized Mortgage Obligations
INVITATION HOMES TR 2
2037-06-18
3.225000
4000000.00
3672497.42
Asset-Backed Securities
JP MORGAN CHASE CMBS
2032-07-08
3.093400
5070000.00
4958482.74
Private Label Collateralized Mortgage Obligations
KOITERE FD TR 2017-RT
2057-07-28
3.500000
3953700.00
2671205.31
Asset-Backed Securities
MVW 2019-1 A 20361120
2036-11-20
2.890000
2250000.00
2209580.45
Asset-Backed Securities
NAVIENT STUDENT LN TR
2066-03-25
3.016000
3000000.00
2555453.23
Asset-Backed Securities
NELNET ST LN TR 2016-
2065-09-25
3.066000
4809000.00
2984716.95
Asset-Backed Securities
RBSSP 2010-2 14-A2 20
2045-08-26
3.044380
2208247.00
2107435.35
Private Label Collateralized Mortgage Obligations
SOFI PRFSSNAL LN PRGR
2048-08-17
2.780000
915906.00
829457.70
Asset-Backed Securities
TOWD PT MTG TR 2018-3
2058-05-25
3.875000
3392000.00
3516077.76
Asset-Backed Securities
UBS COML MTG TR 2018-
2051-05-17
3.559200
1750000.00
1823242.98
Private Label Collateralized Mortgage Obligations
USAA AUTO OWNER TR 20
2021-11-15
1.390000
4700000.00
3264247.01
Asset-Backed Securities
VSE VOI MTG LLC 2018-
549300E4XED7XGXU7L27
2036-02-20
3.560000
4380000.00
3212933.07
Asset-Backed Securities
WELLS FARGO COM MTG 2
2052-05-17
1.466550
31232882.00
3411116.17
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD IVB 2
2057-10-28
3.500000
5603850.00
3647130.47
Asset-Backed Securities
CGDBB COML MTG TR 201
2032-07-15
3.115000
4417000.00
4424484.36
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
549300R1KUK063S4I339
2035-09-25
4.550000
59000000.00
3006197.63
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2014-CCRE
2047-07-17
3.452000
2000000.00
1966196.81
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2016-COR1
2049-10-13
2.972000
2297000.00
2354526.32
Private Label Collateralized Mortgage Obligations
DBUBS MTG TR 2011-LC2
2044-07-12
5.529930
3382634.00
3559345.04
Private Label Collateralized Mortgage Obligations
FLAGSTAR MTG TR 2018-
2047-12-25
0.546100
229198000.00
4132232.78
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2012-B
2034-11-07
2.954000
4155000.00
4236000.11
Private Label Collateralized Mortgage Obligations
HARBORVIEW MTG LN TR
2034-07-19
4.071720
40910000.00
4771478.66
Private Label Collateralized Mortgage Obligations
ICG US CLO 2014-2 LTD
2031-01-15
3.333380
3960000.00
3911404.87
Asset-Backed Securities
JAMESTOWN CLO V LTD 2
549300J8XCULR2IX5L98
2027-01-17
3.840000
2000000.00
2001393.33
Asset-Backed Securities
MORGAN STANLEY CAP 20
2052-07-17
3.261000
5000000.00
5190254.58
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2014
2046-12-17
3.989000
1950000.00
1984016.14
Private Label Collateralized Mortgage Obligations
NATIXIS COMM MTG SEC
2032-11-17
3.790400
3200000.00
3343639.61
Private Label Collateralized Mortgage Obligations
NELNET ED LN FDG 2005
2035-12-22
2.463130
5770000.00
3769443.13
Asset-Backed Securities
OFSI FD VII LTD / OFS
2026-10-18
4.149630
2500000.00
2493121.19
Asset-Backed Securities
TIAA BANK MTG LN TR 2
2048-07-25
3.861990
4551000.00
4496305.20
Private Label Collateralized Mortgage Obligations
TOWD PT MTG TR 2017-4
2057-06-25
3.000000
3912021.00
3899814.19
Asset-Backed Securities
TOWD PT MTG TR 2019-S
2058-11-25
3.750000
4912000.00
4025002.30
Asset-Backed Securities
UBS COML MTG TR 2018-
2051-10-17
0.798210
35210000.00
2060571.95
Private Label Collateralized Mortgage Obligations
VERIZON OWNER TR 2018
549300DBBHVB9QKK8Q94
2023-04-20
3.230000
2132000.00
2171011.81
Asset-Backed Securities
WELLS FARGO MBS 2003-
2033-11-25
4.741110
100000000.00
2176136.45
Private Label Collateralized Mortgage Obligations
ACCESS PRIVATE ST LN
2036-05-25
2.820630
4700000.00
2362203.04
Asset-Backed Securities
BREAMER HTLS RES TR 2
2035-06-15
3.145000
4500000.00
4501749.50
Private Label Collateralized Mortgage Obligations
CARVANA AUTO REC TR 2
2023-12-15
2.740000
2000000.00
2009631.33
Asset-Backed Securities
COMM MTG TR 2015-CCRE
2048-08-12
3.696000
4105000.00
4383710.34
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2018-HCLV
2033-09-15
3.325000
2218000.00
2218487.47
Private Label Collateralized Mortgage Obligations
CSAIL COML MTG TR 201
2051-11-17
0.568910
78569565.00
3365763.63
Private Label Collateralized Mortgage Obligations
DBJPM MTG TR 2016-C1
2049-05-12
3.276000
5000000.00
5232635.00
Private Label Collateralized Mortgage Obligations
FIRST INVESTORS AUTO
2025-03-17
3.020000
3230000.00
3279649.41
Asset-Backed Securities
HIGHER EDUCATION FDG
2044-01-01
0.000000
3500000.00
3052455.00
Asset-Backed Securities
INDYMAC MBS 2004-IP2
2034-12-25
4.615910
50774000.00
2415997.83
Private Label Collateralized Mortgage Obligations
JP MORG CHASE CMBS 20
2038-09-09
2.854100
5000000.00
4978735.68
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2018
2048-12-25
0.557490
125000000.00
2427191.23
Private Label Collateralized Mortgage Obligations
MORGAN STANLEY CAP 20
2034-08-25
4.742680
165870000.00
2486009.26
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2014
2047-12-17
3.326000
5000000.00
5151346.39
Private Label Collateralized Mortgage Obligations
NELNET ST LN TR 2014-
2037-07-27
3.116000
2755000.00
2756428.01
Asset-Backed Securities
PARTS STUDENT LOAN TR
2033-02-25
2.710630
54230000.00
5200965.03
Asset-Backed Securities
SLM STUDENT LOAN TR 2
2040-10-25
3.025500
4708000.00
4695670.92
Asset-Backed Securities
THL CR WIND RIVER CLO
2028-07-17
3.953380
5000000.00
4990385.29
Asset-Backed Securities
TOWD PT MTG TR 2016-2
2055-08-25
3.000000
2865000.00
2840216.79
Asset-Backed Securities
UBS COML MTG TR 2018-
2051-12-15
1.006460
27000000.00
2029313.70
Private Label Collateralized Mortgage Obligations
VNDO MTG TR 2012-6AVE
2030-11-15
2.995600
3480541.00
3560639.12
Private Label Collateralized Mortgage Obligations
WELLS FARGO COM MTG 2
2061-09-16
4.175000
3000000.00
3333111.58
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2059-01-17
1.511410
49607604.00
3160479.97
Private Label Collateralized Mortgage Obligations
BAMLL COML MTG TR 201
2043-07-08
3.418000
5500000.00
3578604.64
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD IVB 2
2057-10-28
2.700000
112077000.00
5062914.82
Asset-Backed Securities
CIM TR 2018-J1 A-10 2
2048-03-25
3.500000
2795000.00
2509133.70
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2013-LC6
2046-01-12
2.478000
5000000.00
3498761.74
Private Label Collateralized Mortgage Obligations
CSAIL COML MTG TR 201
2048-08-17
3.032600
4770000.00
4794708.26
Private Label Collateralized Mortgage Obligations
DBGS MTG TR 2018-BIOD
2035-05-15
3.212900
3384000.00
3135466.93
Private Label Collateralized Mortgage Obligations
EVERBANK MTG LN TR 20
2048-02-25
3.648210
4578000.00
4529822.85
Private Label Collateralized Mortgage Obligations
FORD CR AUTO OWNER TR
2031-07-15
3.340000
2500000.00
2529541.67
Asset-Backed Securities
GSR MTG TR 2004-5 2A1
2034-05-25
4.679960
138965000.00
5034342.88
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2014
2044-08-25
2.812680
16207000.00
4333848.54
Private Label Collateralized Mortgage Obligations
KOITERE FD TR 2017-RT
2057-07-28
2.700000
79074000.00
2514477.05
Asset-Backed Securities
MORGAN STANLEY CAP I
2029-07-13
3.350000
4813000.00
4910336.24
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2015
2048-10-19
3.635000
4133000.00
4393619.52
Private Label Collateralized Mortgage Obligations
NAVIENT STUDENT LN TR
2065-06-25
3.766000
2055000.00
2135793.69
Asset-Backed Securities
RESIDENTIAL ASSET SEC
2033-06-25
5.170000
15000000.00
3153660.96
Asset-Backed Securities
STRUCTURED ASSET 2003
2033-12-25
4.469170
30037000.00
3725643.57
Private Label Collateralized Mortgage Obligations
TOWD PT MTG TR 2016-2
2055-08-25
3.000000
2690000.00
2704245.34
Asset-Backed Securities
TOWD PT MTG TR 2017-4
2057-06-25
3.250000
3207981.00
3260505.45
Asset-Backed Securities
TRUPS FINANCIALS NT S
2039-09-20
3.956630
5000000.00
4148617.01
Other Instrument
Collateralized debt obligation
WELLS FARGO CO MTG TR
2050-09-16
4.025000
2500000.00
2647190.90
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2050-04-15
2.925000
2500000.00
2558643.13
Private Label Collateralized Mortgage Obligations
WFRBS COML MTG TR 201
2057-09-17
3.488000
5000000.00
5253863.89
Private Label Collateralized Mortgage Obligations
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
2019-08-01
2019-09-04
2019-09-10
Y
BOFA SECURITIES 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
0.0284
280000000.00
280000000.00
0.0051
N
N
N
Y
BOFA SECURITIES INC.
BOFA SECURITIES INC. 2.850
0SC001AA1
0001675365
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ALTICE SA 7.625%25
2221006ZDZREFLFIFQ42
2025-02-15
7.625000
2375000.00
2357674.05
Corporate Debt Securities
ANDRADE GUTIERREZ INT
2021-08-20
11.000000
1800000.00
1896820.00
Corporate Debt Securities
BANCO DO BRASIL S A G
2025-01-15
4.625000
2000000.00
2080854.17
Corporate Debt Securities
BAUSCH HEALTH COS INC
B3BS7ACMDUWISF18KY76
2029-05-30
7.250000
2360000.00
2492143.61
Corporate Debt Securities
CHUKCHANSI ECONOMIC D
2020-05-30
0.000000
3556000.00
1944161.27
Corporate Debt Securities
CITIGROUP INC -B 5.9%
6SHGI4ZSSLCXXQSBB395
2099-01-01
5.900000
2325000.00
2492496.87
Corporate Debt Securities
COMMSCOPE FIN LLC 5.5
549300Z6K4JXMFE8QY54
2024-03-01
5.500000
2610000.00
2716611.25
Corporate Debt Securities
CRYSTAL RIVER RESEC 2
2047-09-22
0.000000
9270846.00
918.94
Private Label Collateralized Mortgage Obligations
DCP MIDSTREAM LLC JR
549300Y6CTBSE0QIPL28
2043-05-21
5.850000
1865000.00
1785667.56
Corporate Debt Securities
FIRST QUANTUM MINERAL
2024-03-01
6.500000
1807000.00
1774298.32
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2027-04-01
8.000000
1836000.00
1975995.00
Corporate Debt Securities
GSAA HEQ TR 2007-4 A-
2037-03-25
2.366000
1255376.00
109702.25
Private Label Collateralized Mortgage Obligations
HERTZ CORP SR NT 6.25
549300PD0C69OJ0NLB27
2022-10-15
6.250000
1904000.00
1964888.33
Corporate Debt Securities
HOVNANIAN K ENTERPRIS
2021-11-01
2.000000
2023000.00
1810472.61
Corporate Debt Securities
MGM RESORTS INTERNATI
54930066VBP7DZEGGJ87
2023-03-15
6.000000
2459000.00
2726416.25
Corporate Debt Securities
MS MTG LN TR 2007-2AX
2036-12-25
2.506000
31250000.00
2488424.16
Private Label Collateralized Mortgage Obligations
NAVIENT CORPORATION S
54930067J0ZNOEBRW338
2021-03-25
5.875000
1800000.00
1913218.75
Corporate Debt Securities
OWNIT MTG LN TR 2006-
2037-01-25
6.000000
9124000.00
8753915.35
Private Label Collateralized Mortgage Obligations
PARK AEROSPACE HLDGS
635400CPI3EOIFF6OC33
2023-03-15
4.500000
2800000.00
2950290.00
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2023-05-20
4.375000
1893000.00
1979920.78
Corporate Debt Securities
SM ENERGY CO SR GLBL
84BUTVXV5ODI6BXNMH43
2027-01-15
6.625000
2345000.00
2011448.18
Corporate Debt Securities
SUNTRUST BKS INC PERP
7E1PDLW1JL6TS0BS1G03
2099-01-01
5.625000
2086000.00
2113183.19
Corporate Debt Securities
TENET HEALTHCARE CORP
0W9AIBT6U6ADJ2I8HK17
2025-05-01
5.125000
1889000.00
1903488.89
Corporate Debt Securities
TUPY OVERSEAS S A SR
2024-07-17
6.625000
2000000.00
2067304.72
Corporate Debt Securities
VIKING CRUISES LTD SR
549300IJP90T4MV2GL84
2027-09-15
5.875000
2806000.00
2966029.69
Corporate Debt Securities
AEROPUERTOS ARGENT SR
2027-02-01
6.875000
3056000.00
2914601.97
Corporate Debt Securities
AMERICAN AIRLS GROUP
2022-06-01
5.000000
2500000.00
2618055.56
Corporate Debt Securities
APX GROUP INC SR NT 7
2023-09-01
7.625000
3039000.00
2481522.89
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2026-05-01
5.500000
2026000.00
2139652.97
Corporate Debt Securities
CENTENE CORP DEL SR G
549300Z7JJ4TQSQGT333
2025-01-15
4.750000
2695000.00
2771508.80
Corporate Debt Securities
CIM TR 2019-INV1 A-IO
2049-02-25
0.180000
349180973.00
2108787.32
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2014-FL5
2031-08-15
6.045000
6540000.00
6221715.10
Private Label Collateralized Mortgage Obligations
CONSOL ENERGY INC SR
549300JK3KH8PWM3B226
2022-04-15
5.875000
2226000.00
2152843.44
Corporate Debt Securities
DISH DBS CORP SR NT 6
2021-06-01
6.750000
2607000.00
2749896.19
Corporate Debt Securities
ENLINK MIDSTREAM PART
88CPW63VL7KHJWS0NY83
2044-04-01
5.600000
2202000.00
1939986.47
Corporate Debt Securities
FIRST QUANTUM MINERAL
549300I7UVBGWRYMYZ18
2026-03-01
6.875000
2275000.00
2200391.06
Corporate Debt Securities
GENERACION MEDITERRAN
2023-07-27
9.625000
2275000.00
1929909.99
Corporate Debt Securities
GSAA HEQ TR 2007-5 2A
2037-05-25
2.406000
6733643.00
1129029.68
Private Label Collateralized Mortgage Obligations
JBS INVESTMENTS GMBH
529900RVHZ2M1RC3JM20
2024-04-03
7.250000
1650000.00
1748707.13
Corporate Debt Securities
MASONITE INTL CORP NE
549300H0H07ZFT4JYM32
2023-03-15
5.625000
2150000.00
2255551.56
Corporate Debt Securities
MILLICOM INTL CELLULA
2029-03-25
6.250000
1690000.00
1859762.85
Corporate Debt Securities
MURPHY OIL CORP SR GL
QBKYQD0ODE7DC7PDIN91
2024-08-15
6.875000
2000000.00
2143020.83
Corporate Debt Securities
NORBORD INC SR SEC GL
549300VL705RQ5PHI407
2027-07-15
5.750000
2005000.00
2031165.25
Corporate Debt Securities
PACIFIC GAS & ELEC CO
2027-12-01
0.000000
2000000.00
1915000.00
Corporate Debt Securities
RIO ENERGY S A / UGEN
2025-02-01
6.875000
2400000.00
1873041.67
Corporate Debt Securities
SESI L L C SR NT 7.75
XDZ56K6RXS5J1ESBZS35
2024-09-15
7.750000
2821000.00
1711112.81
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2024-03-15
6.125000
1932000.00
2148155.92
Corporate Debt Securities
SUNTRUST PFD CAP I PE
2099-01-01
4.000000
1995000.00
1705946.67
Corporate Debt Securities
THE ADT CORPORATION S
5493009JEEDYLVRA0J13
2022-07-15
3.500000
2827000.00
2809920.21
Corporate Debt Securities
WAMU PTC WMALT 2007-H
2037-02-25
2.526000
9340000.00
1682731.76
Private Label Collateralized Mortgage Obligations
AMERICAN AXLE & MFG I
RY5TAKFOBLDUGX31MS24
2027-04-01
6.500000
2539000.00
2580858.24
Corporate Debt Securities
AXALTA COATING SYS LL
549300G80QONCHILSF69
2024-08-15
4.875000
1943000.00
2044703.91
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2024-03-15
7.000000
1928000.00
2079830.00
Corporate Debt Securities
CALUMET SPECIALTY PRO
2021-04-15
6.500000
2467000.00
2495267.71
Corporate Debt Securities
CENTENE CORP DEL SR G
549300Z7JJ4TQSQGT333
2021-02-15
5.625000
2510000.00
2602948.44
Corporate Debt Securities
COMM MTG TR 2014-FL5
2031-08-15
6.895000
2481500.00
2177674.38
Private Label Collateralized Mortgage Obligations
CONSOL ENERGY INC NEW
549300YJCTPJBTK7IJ81
2025-11-15
11.000000
2471000.00
2663532.08
Corporate Debt Securities
CRYSTAL RIVER RESEC 2
2047-09-22
0.000000
5000000.00
500.00
Private Label Collateralized Mortgage Obligations
DIAMONDBACK ENERGY IN
549300R22LSX6OHWEN64
2025-05-31
5.375000
2099000.00
2220129.79
Corporate Debt Securities
ENERGIZER HLDGS INC N
5493000D6NN0V57UME20
2027-01-15
7.750000
1647000.00
1788195.94
Corporate Debt Securities
GSAA HEQ TR 2006-19 A
2036-12-25
2.446000
9500000.00
1952222.57
Private Label Collateralized Mortgage Obligations
HALCON RES CORP 6.75%
3XHTN2NNIMMPORDAMJ28
2025-02-15
6.750000
13497000.00
2981993.44
Corporate Debt Securities
HILTON WORLDWIDE FINA
2025-04-01
4.625000
2825000.00
2945876.65
Corporate Debt Securities
IRON MTN INC DEL SR N
SQL3F6CKNNBM3SQGHX24
2023-08-15
6.000000
1634000.00
1710601.92
Corporate Debt Securities
LIVE NATION ENTERTAIN
5493007B9BM9ZXJINO78
2024-11-01
4.875000
1830000.00
1904667.81
Corporate Debt Securities
NRG ENERGY INC SR GLB
5E2UPK5SW04M13XY7I38
2026-05-15
7.250000
1608000.00
1770977.50
Corporate Debt Securities
PANTHER BF AGGREGATOR
2026-05-15
6.250000
1928000.00
2042541.94
Corporate Debt Securities
PENNEY J C CORP INC S
8TDNUQ07MEFMWW1VHP39
2036-10-15
6.375000
11054000.00
2747955.31
Corporate Debt Securities
RBS GLOBAL INC SR 144
2025-12-15
4.875000
2145000.00
2190246.09
Corporate Debt Securities
SCIENTIFIC GAMES INTL
RLTHESQ0RNFQJWPBJN60
2025-10-15
5.000000
1744000.00
1804313.33
Corporate Debt Securities
SYNGENTA FIN N V SR N
2042-03-28
4.375000
2891000.00
2468701.19
Corporate Debt Securities
TIME WARNER CABLE INC
549300U5NFR7S6E3GM41
2037-05-01
6.550000
2500000.00
2963782.64
Corporate Debt Securities
VANATAGE DRILLING INT
2023-11-15
9.250000
2000000.00
2121041.67
Corporate Debt Securities
WAMU PTC WMALT 2007-H
2037-02-25
2.356000
25000000.00
2440359.89
Private Label Collateralized Mortgage Obligations
ALBERTSONS COS LLC/SA
2024-06-15
6.625000
2693000.00
2823021.41
Corporate Debt Securities
BANCO MACRO SA FR 6.7
579100KKDKKIFEBKK040
2026-11-04
6.750000
2923000.00
2519991.38
Corporate Debt Securities
BIOCEANICO SOVEREIGN
2034-06-05
0.000000
3312000.00
2268720.00
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2022-09-30
5.250000
1696000.00
1742640.00
Corporate Debt Securities
CHENIERE CORPUS CHRIS
549300I7CIEWU1BBLQ53
2025-03-31
5.875000
2041000.00
2265297.40
Corporate Debt Securities
CIM TRUST 2019-INV2 A
2049-05-25
0.180000
213256357.00
71456976.85
Private Label Collateralized Mortgage Obligations
CRYSTAL RIVER RESEC 2
2047-09-22
1.036750
2500000.00
250.00
Private Label Collateralized Mortgage Obligations
DEAN FOODS CO NEW SR
5RGFDMYH829UYJH0KY29
2023-03-15
6.500000
2972000.00
1736762.50
Corporate Debt Securities
DSLA MTG LN TR 2006-A
2046-03-19
3.429260
44000525.00
4575364.38
Private Label Collateralized Mortgage Obligations
EQUINIX INC SR GLBL N
549300EVUN2BTLJ3GT74
2025-01-01
5.750000
2708000.00
2825478.31
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2022-09-15
10.500000
2964000.00
1961797.50
Corporate Debt Securities
HILTON DOMESTIC OPER
5493003EG7H0N1E4XV50
2030-01-15
4.875000
2774000.00
2868168.05
Corporate Debt Securities
INDUSTRIAS UNIDAS S A
2023-10-31
9.000000
4103889.00
2362878.72
Corporate Debt Securities
LENNAR CORP SR GLBL N
529900G61XVRLX5TJX09
2025-05-30
4.750000
2060000.00
2163858.33
Corporate Debt Securities
MATCH GROUP INC SR GL
549300BIJKT86CPCKK96
2029-02-15
5.625000
1035836.00
1132460.08
Corporate Debt Securities
MINERVA LUXEMBOURG S
222100NM3G3RCPGZ2Z17
2026-09-20
6.500000
2500000.00
2611805.56
Corporate Debt Securities
NAVIENT CORPORATION S
54930067J0ZNOEBRW338
2022-06-15
6.500000
2502000.00
2688086.25
Corporate Debt Securities
PENNEY J C CORP INC S
2037-04-01
7.400000
10053000.00
2658627.55
Corporate Debt Securities
RALI SERIES TRUST 200
2046-03-25
2.526000
21346000.00
2570561.32
Private Label Collateralized Mortgage Obligations
SBA COMMUNICATIONS CO
5299001HX8ZN8Y8QIT49
2022-10-01
4.000000
2402000.00
2466787.28
Corporate Debt Securities
SIRIUS XM RADIO INC S
WP5O65E6BMU84LNO4227
2029-07-01
5.500000
1699000.00
1786170.97
Corporate Debt Securities
SUBURBAN PROPANE PART
2027-03-01
5.875000
2373000.00
2448499.30
Corporate Debt Securities
VALE OVERSEAS LTD SR
254900BA3U6G5DNV5V04
2039-11-10
6.875000
1581000.00
1943108.73
Corporate Debt Securities
VIRGIN MEDIA SECD FIN
213800X3RLP4NOTPY579
2026-01-15
5.250000
2854000.00
2922574.48
Corporate Debt Securities
WPX ENERGY INC SR GLB
ZXZE9GCS2BB547GJW219
2024-09-15
5.250000
1705000.00
1742829.69
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
2019-08-01
2019-09-04
2019-09-10
Y
BOFA SECURITIES 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
0.0289
272000000.00
272000000.00
0.0050
N
N
N
Y
BOFA SECURITIES INC.
BOFA SECURITIES INC. 2.690
0SC001AC7
549300HN4UKV1E2R3U73
0001675365
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AGATE BAY MTG TR 2013
2043-07-25
0.107630
400742503.00
772419.81
Private Label Collateralized Mortgage Obligations
AMER AIRLINES PT TR 2
2029-07-15
3.575000
505000.00
448281.51
Asset-Backed Securities
BA CREDIT CARD TR 201
5493006DQ60M1CRKHH19
2023-09-15
3.000000
250000.00
254216.00
Asset-Backed Securities
BANK 2018-BN14 A-1 20
2060-09-17
3.277000
160000.00
141109.75
Private Label Collateralized Mortgage Obligations
BAYVIEW MTG FD IVC TR
2058-01-28
3.500000
760000.00
501106.02
Asset-Backed Securities
BBCMS TRUST 2015-VFM
2036-03-12
2.466000
2425000.00
1581154.48
Private Label Collateralized Mortgage Obligations
BENCHMARK MTG TR 2018
2053-05-16
0.448280
36963000.00
1220544.86
Private Label Collateralized Mortgage Obligations
BLUEMOUNTAIN CLO LTD
549300NUS8PQQUZMPR50
2030-10-21
4.027630
500000.00
497078.45
Asset-Backed Securities
BYVW OPP MST FD IVB 2
2057-10-28
0.000000
112077000.00
256729.72
Asset-Backed Securities
BYVW OPP MST FD IVB 2
2057-10-28
0.000000
14382000.00
540619.38
Asset-Backed Securities
BYVW OPP MST FD TR 20
2069-05-28
1.700000
26713000.00
1692921.53
Asset-Backed Securities
CAPITAL ONE CC TR 201
R42WS16M9R97TJJKGU15
2024-09-16
2.835000
191000.00
192233.86
Asset-Backed Securities
CARLYLE US CLO 2018-1
2031-04-21
3.297630
500000.00
495847.20
Asset-Backed Securities
CITIBANK CCIT 2017-A9
R8AG6FXVDQAMDKCSJJ64
2021-09-20
1.800000
700000.00
704076.80
Asset-Backed Securities
CITIGROUP MTG LN TR 2
2035-01-25
1.494930
347401000.00
1457063.15
Private Label Collateralized Mortgage Obligations
COLT MTG LN TR 2018-3
2048-10-26
3.692000
100000.00
70988.69
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2013-SFS
2035-04-13
1.872600
391579.00
159866.65
Private Label Collateralized Mortgage Obligations
CORE INDL TR 2015-TEX
5493003EXJTL54V5K302
2034-02-10
3.077000
1780000.00
1810210.80
Private Label Collateralized Mortgage Obligations
CWALT INC 2004-12CB 2
2034-06-25
0.000000
5923750.00
160088.69
Private Label Collateralized Mortgage Obligations
DISCOVER CARD EXE TR
549300CKCX1QE4RUW216
2023-02-15
1.880000
345000.00
344303.21
Asset-Backed Securities
DLL 2018-1 LLC A-3 20
2022-04-18
3.100000
1400000.00
1411627.62
Asset-Backed Securities
ENTERPRISE FLEET FNC
2024-02-20
3.140000
230000.00
215364.75
Asset-Backed Securities
FORD CR AUTO OWN TR 2
2027-08-15
2.310000
200000.00
200194.30
Asset-Backed Securities
GOLD TREE LN MGMT US
549300UYD6YMBA6XSE43
2030-11-28
3.427630
990000.00
988056.54
Asset-Backed Securities
GS MTG SECS CORP TR 2
2031-07-15
3.225000
500000.00
500246.17
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2013-G
2046-07-12
4.049550
1000000.00
1071796.14
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2017-G
2034-05-12
2.855550
1410000.00
1416517.44
Private Label Collateralized Mortgage Obligations
HONDA AUTO RECV 2017-
2023-09-15
1.870000
140000.00
139545.44
Asset-Backed Securities
INTOWN HOTEL PORT TR
2033-01-18
3.375000
725000.00
725854.05
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2018
2048-12-25
0.257290
71041000.00
489674.79
Private Label Collateralized Mortgage Obligations
JPMBB COML MTG SEC TR
2045-11-17
0.271480
76047000.00
965697.45
Private Label Collateralized Mortgage Obligations
KOITERE FD TR 2017-RT
2057-07-28
2.050000
9317000.00
530751.19
Asset-Backed Securities
LCM XXV LTD 2017-25 A
549300FY8UGGJMQNCO13
2030-07-22
3.487630
791000.00
790621.83
Asset-Backed Securities
MAD MTG TR 2015-11MD
2035-09-12
3.554800
1535000.00
1627441.67
Private Label Collateralized Mortgage Obligations
MILL CITY MTG LN TR 2
2062-05-25
3.250000
200000.00
164121.07
Asset-Backed Securities
MORGAN STANLEY CAP I
2049-07-16
4.118000
740000.00
754377.67
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2015
2050-07-15
3.719000
1060000.00
1131504.27
Private Label Collateralized Mortgage Obligations
MS BOFAML TRUST 2014-
2047-08-16
4.464000
1320000.00
1403917.68
Private Label Collateralized Mortgage Obligations
NAVIENT PRIV ED LN TR
549300YZ4ZMNDBNO4U12
2028-12-15
2.650000
2800000.00
1578539.75
Asset-Backed Securities
NEW RESI MTG LN TR 20
2052-05-28
0.477180
5335000.00
35789.40
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2057-03-25
4.500000
599000.00
537084.03
Private Label Collateralized Mortgage Obligations
NEW RESI MTG TR 2017-
2057-06-25
3.766000
463000.00
430843.42
Private Label Collateralized Mortgage Obligations
NEW RESI MTG TR 2018-
2057-12-25
3.500000
1510000.00
968765.33
Asset-Backed Securities
NISSAN AUTO REC TR 20
2022-01-18
2.820000
840000.00
844607.40
Asset-Backed Securities
OZLM XIX LTD OZLM XIX
5493009C40QUU66J8E83
2030-11-22
3.523380
1123000.00
1120210.41
Asset-Backed Securities
PRIME MTG TR 2003-3 P
2034-01-25
0.000000
3191802.00
32577.56
Private Label Collateralized Mortgage Obligations
SANTANDER DRIVE AUTO
2022-12-15
3.000000
250000.00
252025.00
Asset-Backed Securities
SEQUOIA MTG TR 2013-7
2043-06-25
0.546940
108670000.00
1225715.21
Private Label Collateralized Mortgage Obligations
SEQUOIA MTG TR 2017-7
2047-10-25
3.500000
120000.00
105158.59
Private Label Collateralized Mortgage Obligations
SLM PRIV ED LN TR TR
5493000Q0H2IJ7OCZZ47
2044-10-17
4.540000
400000.00
54377.81
Asset-Backed Securities
SMB PRIVATE ED LN TR
549300INMCHM7L5O6M41
2037-01-15
3.600000
525000.00
549243.97
Asset-Backed Securities
STRUCTURED ASSET INV
2035-06-25
2.956000
524949.00
57835.50
Asset-Backed Securities
TIAA CLO I LTD 2016-R
2031-07-21
4.027630
565000.00
559348.25
Asset-Backed Securities
TOWD PT MTG TR 2017-5
2057-02-26
3.766000
1104000.00
1126501.36
Asset-Backed Securities
TRAPEZA CDO III 2003-
2034-01-20
3.701880
1500000.00
115557.68
Other Instrument
Collateralized debt obligation
VOYA CLO LTD 2017-1 A
2030-04-17
3.903250
1000000.00
995087.93
Asset-Backed Securities
WAMU MTG CERT 2004-CB
2034-06-25
6.000000
15230000.00
1581655.46
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
549300BSYX29G4VVM177
2059-11-18
2.933000
150000.00
153563.80
Private Label Collateralized Mortgage Obligations
WFRBS COML MTG TR 201
549300QGM7D5K3CV2643
2047-03-15
1.227380
1000000.00
32207.19
Private Label Collateralized Mortgage Obligations
280 PARK AVE 2017-280
2034-09-15
3.405000
255000.00
255465.20
Private Label Collateralized Mortgage Obligations
ANCHORAGE CAPITAL CLO
549300PXQERPW8QV9145
2031-10-15
3.503380
350000.00
349484.47
Asset-Backed Securities
AVERY POINT CLO LTD 2
549300OKYVEGO11YZO59
2025-01-21
3.419630
250000.00
77932.18
Asset-Backed Securities
BAMLL COML MTG TR 201
2046-08-16
4.184900
150000.00
169031.80
Private Label Collateralized Mortgage Obligations
BANK 2018-BNK15 A-3 2
2061-11-17
4.138000
1443396.00
1606890.03
Private Label Collateralized Mortgage Obligations
BBCMS MTG TR 2017-DEL
2036-08-15
3.175000
109540.00
109625.34
Private Label Collateralized Mortgage Obligations
BX COML MTG TR 2018-B
2037-03-16
2.996050
200000.00
200140.52
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD IVB 2
2053-06-30
0.000000
18455000.00
1197120.49
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD IVB 2
2057-10-28
4.000000
719100.00
753197.01
Asset-Backed Securities
BYVW OPP MST FD TR 20
2069-05-28
0.000000
187440000.00
215797.25
Asset-Backed Securities
BYVW OPP MST FD TR 20
2069-05-28
0.000000
26713000.00
618673.08
Asset-Backed Securities
CGRBS COML MTG TR 201
2035-03-15
3.369000
110000.00
114666.74
Private Label Collateralized Mortgage Obligations
CITGRP COML MTG TR 20
2047-05-10
3.575000
385000.00
204726.57
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
549300R1KUK063S4I339
2033-12-25
3.026000
88442000.00
537145.79
Asset-Backed Securities
CITIGROUP MTG LN TR 2
2042-09-25
1.500000
203415000.00
1794980.08
Asset-Backed Securities
COLT MTG LN TR 2018-4
2048-12-28
4.006000
200000.00
159409.57
Private Label Collateralized Mortgage Obligations
CSAIL COML MTG TR 201
2051-04-17
4.033100
1100000.00
1204877.17
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2017-CALI
2032-11-12
3.431340
250000.00
262047.53
Private Label Collateralized Mortgage Obligations
DBWF MTG TR 2016-85T
2036-12-11
3.791000
736000.00
790806.87
Private Label Collateralized Mortgage Obligations
DISCOVER CARD EXE TR
549300CKCX1QE4RUW216
2025-04-15
2.685000
775000.00
776165.86
Asset-Backed Securities
DRB PRIME ST LN TR 20
2040-04-25
4.266000
2880000.00
504421.41
Asset-Backed Securities
FORD CREDIT AUTO OWN
2023-09-15
2.780000
1250000.00
1267234.17
Asset-Backed Securities
GCO ELF STUDENT LN 20
2040-09-01
0.000000
200000.00
162481.80
Asset-Backed Securities
GREATAMER LEASE RECV
2022-09-15
3.050000
770000.00
782948.19
Asset-Backed Securities
GS MTG SECS CORP TR 2
2031-07-15
3.525000
775000.00
774999.74
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2014-G
2047-09-12
3.666000
1050000.00
1111824.17
Private Label Collateralized Mortgage Obligations
HOME EQUITY ASSET TR
2036-07-25
2.466000
8680000.00
175245.52
Asset-Backed Securities
JOHN DEERE OWNER TR 2
2022-04-18
2.660000
1000000.00
1005249.33
Asset-Backed Securities
JP MORGAN MTG TR 2017
2047-08-25
0.484450
93689000.00
1189016.28
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2018
2049-01-25
0.224130
125000000.00
845363.48
Private Label Collateralized Mortgage Obligations
KOITERE FD TR 2017-RT
2057-07-28
0.000000
79074000.00
195295.00
Asset-Backed Securities
KOITERE FD TR 2017-RT
2057-07-28
0.000000
9317000.00
191930.20
Asset-Backed Securities
MASTR ALTERNATIVE LN
2033-08-25
6.500000
48642029.00
181890.01
Private Label Collateralized Mortgage Obligations
MFA TRUST 2017-RPL1 A
2057-02-26
2.588000
100000.00
52885.64
Asset-Backed Securities
MORGAN STANLEY CAP 20
2042-10-15
6.277420
240000.00
6878.48
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2013
2046-10-17
3.824000
420000.00
345472.12
Private Label Collateralized Mortgage Obligations
MS BOFA ML TRUST 2015
2047-08-16
3.732000
1200000.00
1282900.00
Private Label Collateralized Mortgage Obligations
NAVISTAR FIN DEALER T
549300S28N49H5RT4J50
2024-05-28
2.906000
325000.00
326441.16
Asset-Backed Securities
NEUBERGER BERMAN LTD
549300FFV1EYI8ON7P41
2030-10-17
3.953250
1500000.00
1486511.06
Asset-Backed Securities
NEW RESI MTG LN TR 20
2057-03-25
4.000000
1663000.00
992190.13
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2057-03-25
0.870920
598650.00
18067.43
Private Label Collateralized Mortgage Obligations
NEW RESI MTG TR 2017-
2057-06-25
3.766000
362000.00
334429.28
Private Label Collateralized Mortgage Obligations
OAKS MTG TR SER 2015-
2046-04-25
0.315000
244610000.00
983647.01
Private Label Collateralized Mortgage Obligations
ONEMAIN DIRECT AUTO R
2024-12-16
3.430000
425000.00
432635.31
Asset-Backed Securities
PREFERRED TERM SEC XX
2036-09-22
2.750250
1000000.00
183772.89
Asset-Backed Securities
RASC SERIES TRUST 200
2036-04-25
2.536000
2900000.00
679381.64
Asset-Backed Securities
SBM PRIVATE ED LN TR
2027-07-15
2.980000
180000.00
94290.32
Asset-Backed Securities
SEQUOIA MTG TR 2017-1
2047-02-25
3.500000
1450000.00
1126382.70
Private Label Collateralized Mortgage Obligations
SLM STUDENT LOAN TR 2
2040-10-25
3.025500
200000.00
199914.45
Asset-Backed Securities
SMB PRIVATE ED LN 201
2036-07-15
3.195000
177000.00
177120.01
Asset-Backed Securities
SOFI PRFSSNAL LN PRGR
2048-08-17
2.780000
1084094.00
981771.18
Asset-Backed Securities
TCI-SYMPHONY CLO 2017
2030-07-15
3.826750
1155000.00
1154446.50
Asset-Backed Securities
TOWD PT MTG TR 2017-5
2057-02-26
3.166000
1104000.00
1093350.45
Asset-Backed Securities
UBS COML MTG TR 2018-
2051-02-17
0.885930
12982514.00
774420.40
Private Label Collateralized Mortgage Obligations
VERUS SEC TR 2018-1 A
2058-01-25
2.929000
875000.00
418340.34
Private Label Collateralized Mortgage Obligations
WAMU MTG CERT 2003-S1
2033-11-25
5.000000
20000000.00
694062.37
Private Label Collateralized Mortgage Obligations
WAMU MTG CERT 2004-CB
2034-10-25
0.000000
1338698.00
112513.40
Private Label Collateralized Mortgage Obligations
WELLS FARGO COML TR 2
2049-12-17
3.103000
290000.00
294916.85
Private Label Collateralized Mortgage Obligations
5 BRYANT PK MTG TR 20
2033-06-15
3.155000
250000.00
249723.81
Private Label Collateralized Mortgage Obligations
AMER AIRLINES PT TR 2
2029-03-22
3.600000
205000.00
184386.27
Asset-Backed Securities
AMERICAN EXPRESS CRED
549300Y4SA5G3GIJTP18
2024-02-15
3.060000
1241000.00
1266523.65
Asset-Backed Securities
ARI FLEET LEASE TR 20
2026-04-15
1.910000
245000.00
74967.77
Asset-Backed Securities
BANK WEST AUTO TR 201
2021-02-15
1.780000
800000.00
29776.16
Asset-Backed Securities
BBCMS TR 2013-TYSN A-
2032-09-08
2.152200
1065000.00
193854.46
Private Label Collateralized Mortgage Obligations
BENCHMARK MTG TR 2018
2051-01-18
0.525110
27125000.00
973090.80
Private Label Collateralized Mortgage Obligations
BLUEMOUNTAIN CLO 2015
2027-07-19
3.799630
300000.00
296103.63
Asset-Backed Securities
BSPRT ISUER LTD 2019-
2029-05-15
3.628000
1500000.00
1504293.67
Other Instrument
Collateralized debt obligation
BYVW OPP MST FD IVB 2
2053-06-30
3.632550
18455000.00
1542982.10
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD TR 20
2069-05-28
4.000000
1336000.00
1393715.50
Asset-Backed Securities
CAMB COML MTG TR 2019
2037-12-15
3.575000
675000.00
678391.80
Private Label Collateralized Mortgage Obligations
CAPITAL ONE MULTI TR
R42WS16M9R97TJJKGU15
2024-02-15
3.010000
985000.00
1002110.60
Asset-Backed Securities
CARMAX AUTO OWNER TR
2022-03-15
1.930000
377000.00
273266.76
Asset-Backed Securities
CIFC FDG LTD 2014-IIR
549300O8WGQU5B6HEB94
2030-04-24
3.332750
1760000.00
1752516.54
Asset-Backed Securities
COLONY MULTI MTG TR 2
2050-04-22
4.188700
16977000.00
468298.36
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2012-CCRE
2045-10-17
2.372000
1350000.00
870721.99
Private Label Collateralized Mortgage Obligations
COMM MTG TR 2015-CCRE
2048-08-12
3.505000
1070000.00
1128922.20
Private Label Collateralized Mortgage Obligations
CSAIL COML MTG TR 201
54930025J96YEH8FQE77
2048-11-18
3.156700
500000.00
502876.95
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2015-GLPB
2034-11-17
3.810810
190000.00
198533.06
Private Label Collateralized Mortgage Obligations
DISCOVER CARD EXE TR
549300CKCX1QE4RUW216
2024-03-15
3.320000
100000.00
102758.03
Asset-Backed Securities
ENTERPRISE FLEET FNC
RKWYUSIDZTWNAX1D9U96
2022-02-22
2.040000
1125000.00
1123471.87
Asset-Backed Securities
FLAGSTAR MTG TR 2018-
549300H3PON1KOB2RF56
2048-10-25
2.966000
265000.00
223912.14
Private Label Collateralized Mortgage Obligations
FORD CREDIT AUTO OWN
2022-02-15
1.400000
227000.00
225501.42
Asset-Backed Securities
FOURSIGHT CAP AUTO RE
2022-04-15
3.320000
1805000.00
1352035.35
Asset-Backed Securities
GS MTG SECS TR 2012-G
2045-11-13
4.448000
23537992.00
24290551.30
Private Label Collateralized Mortgage Obligations
GS MTG SECS TR 2017-5
2032-07-15
3.025000
235000.00
234874.14
Private Label Collateralized Mortgage Obligations
HONDA AUTO RECV 2017-
2021-07-21
1.720000
3000000.00
1392981.07
Asset-Backed Securities
ICG US CLO 2014 2 LTD
2031-01-15
3.753380
440000.00
429329.19
Asset-Backed Securities
JGWPT XXX LLC 2013-3
2073-01-17
4.080000
120000.00
88123.89
Asset-Backed Securities
JP MORGAN MTG TR 2015
2045-01-25
2.783280
1676000.00
1499368.13
Private Label Collateralized Mortgage Obligations
KOITERE FD TR 2017-RT
2057-07-28
4.150000
465850.00
490958.18
Asset-Backed Securities
L2L EDUCATION LN TR 2
2031-06-15
2.734250
500000.00
249078.51
Asset-Backed Securities
LONG BEACH MTG LN TR
2034-10-25
2.826000
8700000.00
131892.52
Asset-Backed Securities
MASTR ALTERNATIVE LN
2033-03-25
6.000000
2627000.00
771149.62
Private Label Collateralized Mortgage Obligations
MERC-BENZ AUTO LEASE
2021-09-15
3.210000
40000.00
40438.50
Asset-Backed Securities
MS BOFA ML TRUST 2015
2048-04-17
3.883000
115000.00
119351.60
Private Label Collateralized Mortgage Obligations
MS BOFAML TRUST 2014-
2047-08-16
3.443000
1485000.00
1552691.54
Private Label Collateralized Mortgage Obligations
NAVIENT PRIV ED LN TR
2031-10-15
3.925000
105000.00
107430.17
Asset-Backed Securities
NAVIENT STUDENT LN TR
2067-03-25
2.506000
900000.00
5313.97
Asset-Backed Securities
NELNET ST LN 2018-3 A
2066-09-27
2.706000
900000.00
898764.30
Asset-Backed Securities
NEW RESI MTG TR 2017-
2057-05-25
4.500000
949000.00
909440.16
Private Label Collateralized Mortgage Obligations
NEW RESI MTG TR 2018-
549300U1MV4J7YQZG974
2058-02-25
4.500000
422000.00
337562.83
Private Label Collateralized Mortgage Obligations
NEXTGEAR FLRPLN OWN T
2023-02-15
3.220000
615000.00
623278.31
Asset-Backed Securities
NRP MTG TR 2013-1 AIO
2043-07-25
0.063280
406634000.00
672921.34
Private Label Collateralized Mortgage Obligations
OCP CLO 2017 14 LTD O
2030-11-20
3.669630
350000.00
351025.24
Asset-Backed Securities
SEQUOIA MTG TR 2013-4
2043-04-25
0.175000
170408000.00
702169.01
Private Label Collateralized Mortgage Obligations
SEQUOIA MTG TR 2017-3
2047-04-25
3.500000
100000.00
75440.50
Private Label Collateralized Mortgage Obligations
SLC STUDENT LN TR 200
2037-05-15
2.608000
159500000.00
144753462.94
Asset-Backed Securities
SLM STUDENT LOAN TR 2
2040-01-25
3.025500
190000.00
188219.37
Asset-Backed Securities
SLM STUDENT LOAN TR 2
2034-10-25
3.466000
1580000.00
1604129.23
Asset-Backed Securities
TCI-SYMPHONY CLO LTD
2029-10-15
4.246750
1000000.00
996237.44
Asset-Backed Securities
TOWD PT MTG TR 2017-5
2057-02-26
3.466000
847000.00
851708.19
Asset-Backed Securities
TOYOTA AUTO RECV OWN
2021-08-16
2.770000
1000000.00
751133.27
Asset-Backed Securities
UBS COML MTG TR 2017-
2050-06-17
1.574740
1431000.00
129532.55
Private Label Collateralized Mortgage Obligations
UPLAND CLO LTD 2016-R
2031-04-21
3.927630
1000000.00
987251.91
Asset-Backed Securities
WELLS FARGO COML MTG
2036-06-17
3.748700
1600000.00
1718148.46
Private Label Collateralized Mortgage Obligations
WFRBS COML MTG TR 201
2046-12-17
0.273510
30000000.00
395229.90
Private Label Collateralized Mortgage Obligations
WORLD OMNI AUTO RECV
2024-05-15
3.040000
450000.00
459573.60
Asset-Backed Securities
ALESCO PFD FDG V LTD
2034-12-23
2.823130
8943000.00
1050037.96
Other Instrument
Collateralized debt obligation
AMER AIRLINES PT TR 2
2030-08-15
3.650000
532000.00
506657.14
Asset-Backed Securities
ANGEL OAK MTG TR 2017
2047-01-25
2.810000
25000.00
4076.11
Asset-Backed Securities
BA CREDIT CARD TR 201
5493006DQ60M1CRKHH19
2022-08-15
1.950000
700000.00
699329.75
Asset-Backed Securities
BANK 2017-BNK7 X-B 20
2060-09-17
0.210000
57901000.00
558175.24
Private Label Collateralized Mortgage Obligations
BEAR STEARNS ABS TR 2
2036-04-25
2.636000
84166000.00
1732378.24
Asset-Backed Securities
BENCHMARK MTG TR 2018
2052-01-18
0.141340
51140000.00
867122.50
Private Label Collateralized Mortgage Obligations
BMW VEH LEASE TR 2018
2020-12-21
2.970000
100000.00
86128.43
Asset-Backed Securities
BX TRUST 2017-CQHP B
2034-11-15
3.425000
570000.00
569619.37
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD IVB 2
2053-06-30
3.132550
5661000.00
862719.59
Private Label Collateralized Mortgage Obligations
BYVW OPP MST FD IVB 2
2057-10-28
2.200000
14382000.00
1373369.14
Asset-Backed Securities
CAPITAL ONE CC TR 201
R42WS16M9R97TJJKGU15
2023-07-17
1.990000
1332000.00
1331097.13
Asset-Backed Securities
CARLYLE US CLO 2018-2
2031-10-15
3.903380
500000.00
496622.42
Asset-Backed Securities
CGRBS COML MTG TR 201
2035-03-15
3.584000
50000.00
52621.91
Private Label Collateralized Mortgage Obligations
CITI GRP COML MTG TR
2045-09-12
2.608000
2430000.00
1532457.35
Private Label Collateralized Mortgage Obligations
CITIGROUP MTG LN TR 2
2037-03-25
2.616000
8700000.00
1759083.46
Asset-Backed Securities
COMM MTG TR 2013-WWP
2031-03-12
3.725500
300000.00
315451.83
Private Label Collateralized Mortgage Obligations
CORE MTG TR 2019-CORE
2031-12-15
3.205000
200000.00
200784.89
Private Label Collateralized Mortgage Obligations
CSAIL COML MTG TR 201
2051-08-17
0.620430
18278000.00
820349.24
Private Label Collateralized Mortgage Obligations
CWABS INC 2004-3 3-A-
2034-08-25
2.766000
68209000.00
1234311.98
Asset-Backed Securities
DISCOVER CARD EXE TR
549300CKCX1QE4RUW216
2022-10-17
2.555000
1250000.00
1252689.44
Asset-Backed Securities
FIRST HORIZON ALT 200
2036-04-25
2.734000
60305000.00
598424.21
Private Label Collateralized Mortgage Obligations
FORD CREDIT AUTO LEAS
2021-12-15
3.190000
1255000.00
1268516.56
Asset-Backed Securities
FOUR TIMES SQUARE TR
2028-12-13
5.401000
1000000.00
972323.93
Private Label Collateralized Mortgage Obligations
GLDTREE LN MGMT US CL
2030-04-22
3.827630
1330000.00
1313344.29
Asset-Backed Securities
GS MRTG SEC CORP TR 2
2038-06-15
3.525000
305000.00
305762.09
Private Label Collateralized Mortgage Obligations
HYUNDAI AUTO RECV TR
2022-05-16
1.730000
285000.00
284590.98
Asset-Backed Securities
INVITATION HOMES TR 2
2036-12-19
3.164130
1040000.00
984271.82
Asset-Backed Securities
JP MORGAN MTG TR 2015
2045-06-25
0.282930
171687000.00
982125.97
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2017
2048-11-25
3.500000
2323000.00
1749184.57
Private Label Collateralized Mortgage Obligations
JP MORGAN MTG TR 2018
2049-02-25
0.483650
49400000.00
708704.64
Private Label Collateralized Mortgage Obligations
LEXN 2005-1X P6
2042-05-08
0.000000
250000.00
114950.92
Other Instrument
Collateralized debt obligation
MADISON PRK FDG XVIII
2030-10-21
3.467630
1047000.00
1047645.90
Asset-Backed Securities
MASTR ASSET TR 2004-1
2034-02-25
5.500000
27613653.00
62005.21
Private Label Collateralized Mortgage Obligations
MILL CITY MTG LN TR 2
2061-01-25
2.750000
520000.00
349026.34
Asset-Backed Securities
MORGAN STANLEY CAP I
2044-06-17
5.200000
330000.00
339499.34
Private Label Collateralized Mortgage Obligations
NAVIENT PRIV ED LN TR
54930094LU45XF2CP718
2029-02-15
3.575000
1420000.00
660656.97
Asset-Backed Securities
NAVIENT STUDENT LN TR
2043-03-25
2.886000
1370000.00
826623.81
Asset-Backed Securities
NCUA GUARN NTS TR 201
2020-12-08
2.400000
150000.00
8320.68
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2052-05-28
0.777180
5502000.00
74772.38
Private Label Collateralized Mortgage Obligations
NEW RESI MTG LN TR 20
2057-03-25
1.370920
30895500.00
858383.16
Private Label Collateralized Mortgage Obligations
NEW RESIDENTIAL MTG L
2058-11-25
4.000000
788000.00
806809.12
Private Label Collateralized Mortgage Obligations
NORTHWOODS CAP XII-B
2031-06-16
3.360250
500000.00
504278.49
Asset-Backed Securities
OAKS MTG TR SER 2015-
2046-04-25
0.500000
60000000.00
46510.00
Private Label Collateralized Mortgage Obligations
ONEMAIN FINL ISSUE TR
2028-03-20
5.940000
2203000.00
1215245.50
Asset-Backed Securities
PREFERRED TERM SECS 2
2033-12-24
3.110250
3600000.00
493077.07
Asset-Backed Securities
REGIONAL DIVERSIFIED
2036-01-25
2.605500
6100000.00
526133.60
Asset-Backed Securities
SEQUOIA MTG TR 2018-2
2048-02-25
3.500000
1500000.00
1291155.15
Private Label Collateralized Mortgage Obligations
SLM STUDENT LOAN TR 2
2040-07-25
2.445500
1715000.00
1623876.19
Asset-Backed Securities
SLM STUDENT LOAN TR 2
549300GQO6PBOYVGSS10
2027-11-25
2.866000
180000.00
22719.45
Asset-Backed Securities
SMB PRIVATE ED LN TR
2026-05-15
3.475000
230000.00
79668.21
Asset-Backed Securities
SPIRIT AIRLINES 2017-
2031-08-15
3.375000
29000.00
28646.20
Asset-Backed Securities
TOWD PT MTG TR 2019-S
2058-11-25
4.250000
150000.00
155099.94
Asset-Backed Securities
TRUMAN CAP MTG LN TR
2037-03-25
2.696000
7450000.00
41336.17
Asset-Backed Securities
UNITED AIRLINES PTC 2
2033-02-25
4.150000
610000.00
667505.28
Asset-Backed Securities
VOLVO FINL EQUIP LLC
2021-03-15
1.920000
1000000.00
549010.72
Asset-Backed Securities
WAMU MTG CERT 2003-S1
2033-11-25
0.000000
1227198.00
79972.17
Private Label Collateralized Mortgage Obligations
WHEELS SPV 2 LLC 2016
2025-05-20
1.870000
325000.00
164817.09
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
2019-08-01
2019-09-04
2019-09-10
Y
BOFA SECURITIES 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
0.0273
300000000.00
300000000.00
0.0055
N
N
N
Y
BOFA SECURITIES INC.
BOFA SECURITIES INC. 2.570
0SC001E82
0001675365
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AMERICREDIT AUTO REC
2023-07-18
3.380000
13805000.00
14058275.73
Asset-Backed Securities
NELNET ST LN TR 2017-
2065-09-25
3.036000
20000000.00
14770731.95
Asset-Backed Securities
YORK CLO 2 LTD YORK C
5493009C48K5WG4EX118
2031-01-22
3.427630
14997000.00
14934266.16
Asset-Backed Securities
GM FINL AUTO LEASE TR
2021-06-21
2.180000
15000000.00
14999948.33
Asset-Backed Securities
NELNET STUDENT LNS 20
2033-10-25
2.385500
3285650.00
2141167.89
Asset-Backed Securities
GOLDENTREE LN OPP X 2
549300IGEA8MXF2YEF61
2031-07-21
3.397630
3148769.00
3139037.44
Asset-Backed Securities
RACE PT VIII CLO LTD
2030-02-20
4.219630
15475000.00
15456573.30
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0257
75000000.00
75000000.00
0.0014
N
Y
Y
N
CAFCO LLC
CAFCO LLC 2.400
1247P3V17
8O46YQAGJ63WE5QHIG35
US1247P3V177
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
2019-08-01
2019-08-01
2019-08-01
N
N
Y
CITIBANK N.A - LONDON BRANCH
Liquidity/Partial C/E
1.0000
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
0.0240
15087000.42
15087000.42
0.0003
N
Y
Y
N
CANADIAN IMPERIAL BANK OF COMMERCE
CANADIAN IMPERIAL BANK OF COMMERCE 2.728
13608CGN6
2IGI19DL77OX0HC3ZE78
US13608CGN65
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
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0277
100001731.00
100001731.00
0.0018
N
N
Y
N
CANADIAN IMPERIAL BANK OF COMMERCE
CANADIAN IMPERIAL BANK OF COMMERCE 2.722
13608CGT3
2IGI19DL77OX0HC3ZE78
US13608CGT36
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
2019-08-01
2019-10-01
2019-10-01
N
N
N
0.0276
50018964.50
50018964.50
0.0009
N
N
N
N
CANADIAN IMPERIAL BANK OF COMMERCE NY BRANCH
CANADIAN IMPERIAL BANK OF COMMERCE NY BRANCH 2.700
13606B4G8
2IGI19DL77OX0HC3ZE78
US13606B4G89
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
2019-08-29
2020-04-29
2020-04-29
N
N
N
0.0274
115000000.00
115000000.00
0.0021
N
N
N
N
CANADIAN IMPERIAL BANK OF COMMERCE-LONDON
CANADIAN IMPERIAL BANK OF COMMERCE-LONDON 2.564
6E9487N
2IGI19DL77OX0HC3ZE78
XS1993059564
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
2019-08-06
2020-05-04
2020-05-04
N
N
N
0.0260
65995009.08
65995009.08
0.0012
N
N
N
N
CHARTA LLC
CHARTA LLC 2.400
16115WV12
5493000FNFK79LCM6M65
US16115WV123
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
2019-08-01
2019-08-01
2019-08-01
N
N
Y
CITIBANK N.A - LONDON BRANCH
Liquidity/Partial C/E
1.0000
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
0.0240
36297574.96
36297574.96
0.0007
N
Y
Y
N
CHINA CONSTRUCTION BANK CORPORATION LUXEMBOURG BRANCH
CHINA CONSTRUCTION BANK CORPORATION LUXEMBOURG BRANCH 2.679
7E0434N
5493001KQW6DM7KEDR62
XS1996425457
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2019-08-09
2019-08-09
2019-08-09
N
N
N
0.0268
99935042.00
99935042.00
0.0018
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955APG7
5493001KQW6DM7KEDR62
US16955APG75
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
2019-10-18
2019-10-18
2019-10-18
N
N
N
0.0250
125017270.00
125017270.00
0.0023
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.660
16955AMX3
5493001KQW6DM7KEDR62
US16955AMX36
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
2019-09-04
2019-09-04
2019-09-04
N
N
N
0.0266
125036547.50
125036547.50
0.0023
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.660
16955AMW5
5493001KQW6DM7KEDR62
US16955AMW52
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
2019-09-03
2019-09-03
2019-09-03
N
N
N
0.0266
125035623.75
125035623.75
0.0023
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.630
16955AMU9
5493001KQW6DM7KEDR62
US16955AMU96
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
2019-08-28
2019-08-28
2019-08-28
N
N
N
0.0263
100021444.00
100021444.00
0.0018
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.640
16955AML9
5493001KQW6DM7KEDR62
US16955AML97
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
2019-08-22
2019-08-22
2019-08-22
N
N
N
0.0264
50008449.50
50008449.50
0.0009
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.500
16955APB8
5493001KQW6DM7KEDR62
US16955APB88
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
2019-10-11
2019-10-11
2019-10-11
N
N
N
0.0250
75011739.75
75011739.75
0.0014
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.550
16955ANR5
5493001KQW6DM7KEDR62
US16955ANR58
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
2019-09-30
2019-09-30
2019-09-30
N
N
N
0.0255
125032115.00
125032115.00
0.0023
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.590
16955ANL8
5493001KQW6DM7KEDR62
US16955ANL88
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
2019-09-20
2019-09-20
2019-09-20
N
N
N
0.0259
45013204.35
45013204.35
0.0008
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.640
16955AMK1
5493001KQW6DM7KEDR62
US16955AMK15
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
2019-08-23
2019-08-23
2019-08-23
N
N
N
0.0264
125022216.25
125022216.25
0.0023
N
N
N
N
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH
CHINA CONSTRUCTION BANK CORPORATION NEW YORK BRANCH 2.670
16955ALX4
5493001KQW6DM7KEDR62
US16955ALX45
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
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0267
50000768.50
50000768.50
0.0009
N
N
Y
N
CITIBANK NA-PUERTO RICO
CITIBANK NA-PUERTO RICO 2.250
0CPR01MO0
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
2019-08-07
2019-08-07
2019-08-07
N
N
N
0.0225
300000000.00
300000000.00
0.0055
N
N
Y
N
CITIGROUP GLOBAL MARKETS INC.
CITIGROUP GLOBAL MARKETS INC. 2.674
0CGL03AQ7
82VOJDD5PTRDMVVMGV31
0000831001
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ARDAGH PACKAGING SR G
2024-05-15
7.250000
8406000.00
8997817.42
Corporate Debt Securities
BYVW OPP MST FD TR 20
2055-04-28
4.000000
7547125.00
3899024.70
Asset-Backed Securities
BYVW OPP MST FD TR 20
2055-04-28
0.000000
24293323.00
1409279.96
Asset-Backed Securities
CONN ST HSG FIN AUTH
2037-11-15
3.300000
515000.00
524597.03
Other Instrument
Municipal debt
HORNBECK OFFSHORE SVC
2021-03-01
5.000000
13377000.00
7232869.58
Corporate Debt Securities
METROPOLITAN GOVT NAS
2043-07-01
6.731000
1000000.00
1414602.19
Other Instrument
Municipal debt
MORGAN STANLEY CAP 20
2033-11-25
5.000000
15000.00
18.48
Private Label Collateralized Mortgage Obligations
NEW YORK ST DORM AUTH
549300C8XO7EXTX2XU71
2040-03-15
5.389000
5000000.00
6291693.75
Other Instrument
Municipal debt
NEW YORK ST URBAN DEV
2024-03-15
5.360000
3685000.00
4242319.40
Other Instrument
Municipal debt
RUTGERS ST UNIV N J G
549300BOYDHNW8J60112
2040-05-01
5.665000
1415000.00
1843044.77
Other Instrument
Municipal debt
TELECOM ARGENTINA S A
549300MKPIRSJD8SB782
2026-07-18
8.000000
8040507.00
8142353.42
Corporate Debt Securities
TOWD PT MTG TR 2018-6
2058-03-25
3.750000
17889336.00
16360147.67
Asset-Backed Securities
VALARIS PLC
7N0UJMJLXD0MDT5D5086
2026-02-01
7.750000
16326000.00
11999675.30
Corporate Debt Securities
AVIANCA HLDGS SA/ AVI
2020-05-10
8.375000
20000000.00
19472222.22
Corporate Debt Securities
EMBRAER OVERSEAS LTD
2020-01-15
6.375000
12418000.00
12835162.01
Corporate Debt Securities
FOLSOM CORDOVA CALIF
2033-10-01
7.513000
3715000.00
3838318.08
Other Instrument
Municipal debt
ILLINOIS ST GO BDS JU
54930048FV8RWPR02D67
2033-06-01
5.100000
100000.00
103790.83
Other Instrument
Municipal debt
METROPOLITAN TRANSN A
5493000TKYODLXADQD60
2040-11-15
6.814000
1000000.00
1412665.83
Other Instrument
Municipal debt
NEW YORK N Y GO BDS 2
2027-03-01
5.698000
500000.00
612236.69
Other Instrument
Municipal debt
PACIFIC GAS & ELEC CO
1HNPXZSMMB7HMBMVBS46
2044-02-15
0.000000
8000000.00
8200000.00
Corporate Debt Securities
PORT AUTH N Y & N J C
54930006MR4KZ4W74Z83
2062-10-01
4.458000
480000.00
581671.76
Other Instrument
Municipal debt
STATE PUB SCH BLDG AU
2027-09-15
5.000000
3855000.00
4522994.40
Other Instrument
Municipal debt
TOBACCO SETTLEMENT FI
2046-06-01
6.706000
13295000.00
12710025.17
Other Instrument
Municipal debt
UNIVERSITY CALIF REVS
2045-05-15
5.946000
615000.00
818711.06
Other Instrument
Municipal debt
BYVW OPP MST FD TR 20
2055-04-28
4.250000
1081689.00
1134384.68
Asset-Backed Securities
CALIFORNIA ST GO BDS
2039-04-01
7.550000
30000.00
48475.71
Other Instrument
Municipal debt
DISTRICT COLUMBIA INC
2026-12-01
4.996000
1030000.00
1207909.73
Other Instrument
Municipal debt
ENDEAVOR ENERGY RESOU
2026-01-30
5.500000
4312000.00
4462920.00
Corporate Debt Securities
HANWHA ENERGY USA HLD
2022-07-30
2.375000
8470000.00
8435273.00
Corporate Debt Securities
LOS ANGELES CNTY CALI
2033-08-01
7.488000
1000000.00
1407782.00
Other Instrument
Municipal debt
NEW YORK ST DORM AUTH
549300C8XO7EXTX2XU71
2030-03-15
5.500000
1150000.00
1382742.75
Other Instrument
Municipal debt
NORTH TEX TWY AUTH RE
PQGZGRE0F2WPMYQQ1B78
2049-01-01
6.718000
590000.00
916778.42
Other Instrument
Municipal debt
PENNSYLVANIA ST TPK C
549300J8LLBYEYEXZJ24
2049-12-01
5.561000
1210000.00
1631362.97
Other Instrument
Municipal debt
PUERTO RICO SALES TAX
2051-07-01
0.000000
46525742.00
7800971.16
Other Instrument
Municipal debt
TACOMA WASH ELEC SYS
2032-01-01
5.791000
2445000.00
3125797.96
Other Instrument
Municipal debt
VERUS SECURITIZATION
2059-02-25
4.461000
11.00
11.27
Private Label Collateralized Mortgage Obligations
ANTHRACITE 2005-HY2 L
2045-07-26
6.000000
2000000.00
209.18
Other Instrument
Collateralized debt obligation
BATTERY PK CITY AUTH
2039-11-01
6.375000
2120000.00
2175248.08
Other Instrument
Municipal debt
BYVW OPP MST FD TR 20
2055-04-28
3.864070
24426514.00
2064765.17
Asset-Backed Securities
CHICAGO ILL O HARE IN
2038-01-01
6.845000
3000000.00
3073392.08
Other Instrument
Municipal debt
DT AUTO OWNER TR 2019
2025-04-15
2.740000
10750000.00
10749355.00
Asset-Backed Securities
FLORIDA ST BRD ED PUB
2035-06-01
5.750000
5000000.00
5059918.06
Other Instrument
Municipal debt
MORGAN STANLEY ABS 20
2037-01-25
2.476000
65000000.00
25689134.19
Asset-Backed Securities
NEW YORK N Y CITY IND
2046-01-01
6.027000
1250000.00
1559368.85
Other Instrument
Municipal debt
NEW YORK ST URBAN DEV
54930039Y2EMGXN6LM88
2039-03-15
5.770000
1570000.00
1941944.77
Other Instrument
Municipal debt
NORTHERN CALIF PWR AG
549300QYTU4PHD2XHS96
2040-06-01
7.311000
1055000.00
1505001.72
Other Instrument
Municipal debt
PORT AUTH N Y & N J C
54930006MR4KZ4W74Z83
2045-06-01
4.823000
1000000.00
1113554.36
Other Instrument
Municipal debt
TOWD PT MTG TR 2018-1
2058-01-25
3.000000
20279250.00
15548557.29
Asset-Backed Securities
UTAH TRAN AUTH SALES
2039-06-15
5.937000
2070000.00
2791645.99
Other Instrument
Municipal debt
WASHINGTON ST MOTOR V
549300X3TODFMUKLQ364
2039-08-01
5.481000
1055000.00
1369435.10
Other Instrument
Municipal 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
2019-08-01
2019-09-04
2019-10-02
Y
CITIGROUP GLOBAL MARKETS INC.
1.0000
35
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
N
N
0.0271
227200000.00
227200000.00
0.0041
N
N
N
Y
CITIGROUP GLOBAL MARKETS INC.
CITIGROUP GLOBAL MARKETS INC. 2.600
0CGL03AR5
82VOJDD5PTRDMVVMGV31
0000831001
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
CATERPILLAR FINL SVCS
EDBQKYOPJUCJKLOJDE72
2020-01-10
2.100000
15000000.00
15005500.00
Corporate Debt Securities
TOBACCO SETTLEMENT FI
2047-06-01
7.467000
32130889.00
32821946.77
Other Instrument
Municipal debt
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2115-06-05
6.850000
2530000.00
2770262.15
Corporate Debt Securities
PUERTO RICO SALES TAX
2053-07-01
4.750000
55000000.00
53989451.39
Other Instrument
Municipal debt
MYLAN INC SR NT 4.55%
30ZMPDNA1RHIBH89C294
2028-04-15
4.550000
8347126.00
8833436.52
Corporate Debt Securities
PUERTO RICO SALES TAX
2058-07-01
5.000000
72624000.00
72912882.13
Other Instrument
Municipal debt
COMMSCOPE TECHNOLOGIE
M4TWC4QDOKW45N7T6Y12
2027-03-15
5.000000
842000.00
725172.50
Corporate Debt Securities
PUERTO RICO SALES TAX
2046-07-01
0.000000
233000000.00
53522430.00
Other Instrument
Municipal debt
PUERTO RICO SALES TAX
2051-07-01
0.000000
92171550.00
15454403.79
Other Instrument
Municipal 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
2019-08-01
2019-09-19
2020-01-14
Y
CITIGROUP GLOBAL MARKETS INC.
1.0000
50
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
N
N
0.0264
237700000.00
237700000.00
0.0043
N
N
N
Y
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.542
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+
2019-08-16
2019-09-16
2019-09-16
N
N
N
0.0258
29004802.11
29004802.11
0.0005
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.615
20272AJ31
MSFSBD3QN1GSN7Q6C537
US20272AJ317
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+
2019-08-07
2020-02-07
2020-02-07
N
N
N
0.0265
40006076.80
40006076.80
0.0007
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.296
20272AH33
MSFSBD3QN1GSN7Q6C537
US20272AH337
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+
2019-10-30
2020-01-30
2020-01-30
N
N
N
0.0233
50002447.00
50002447.00
0.0009
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.594
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+
2019-08-19
2019-10-17
2019-10-17
N
N
N
0.0263
160064732.80
160064732.80
0.0029
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.595
20272AJ23
MSFSBD3QN1GSN7Q6C537
US20272AJ234
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+
2019-08-10
2020-02-10
2020-02-10
N
N
N
0.0263
100010282.00
100010282.00
0.0018
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA 2.605
20272AH66
MSFSBD3QN1GSN7Q6C537
US20272AH667
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+
2019-08-07
2020-02-06
2020-02-06
N
N
N
0.0264
50005067.50
50005067.50
0.0009
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH 2.363
6E6196B
MSFSBD3QN1GSN7Q6C537
XS1985823100
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+
2019-08-17
2020-04-17
2020-04-17
N
N
N
0.0240
99985542.00
99985542.00
0.0018
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH 2.568
8E4728B
MSFSBD3QN1GSN7Q6C537
XS2024656766
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+
2019-08-05
2020-07-02
2020-07-02
N
N
N
0.0260
74986320.75
74986320.75
0.0014
N
N
N
N
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH
COMMONWEALTH BANK OF AUSTRALIA - LONDON BRANCH 2.584
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+
2019-08-05
2019-08-05
2019-08-05
N
N
N
0.0262
50000109.00
50000109.00
0.0009
N
N
Y
N
CREDIT AGRICOLE CIB (LONDON)
CREDIT AGRICOLE CIB (LONDON) 2.300
0CAL01XP4
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
2019-08-05
2019-08-05
2019-08-05
N
N
N
0.0230
300000000.00
300000000.00
0.0055
N
N
Y
N
CREDIT AGRICOLE CIB NEW YORK
CREDIT AGRICOLE CIB NEW YORK 2.300
22535CFT3
US22535CFT36
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
2019-10-04
2019-10-04
2019-10-04
N
N
N
0.0230
125020532.50
125020532.50
0.0023
N
N
N
N
CREDIT AGRICOLE CIB NEW YORK
CREDIT AGRICOLE CIB NEW YORK 2.350
0QV003BG6
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0235
471659000.00
471659000.00
0.0086
N
Y
Y
N
CREDIT INDUSTRIEL ET COMMERCIAL
CREDIT INDUSTRIEL ET COMMERCIAL 2.714
5E2235P
N4JDFKKH2FTD8RKFXO39
FR0125501652
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
2019-08-12
2019-08-12
2019-08-12
N
N
N
0.0271
99925722.00
99925722.00
0.0018
N
N
N
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.700
22536UWL0
N4JDFKKH2FTD8RKFXO39
US22536UWL06
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
2019-09-05
2020-05-05
2020-05-05
N
N
N
0.0274
200000000.00
200000000.00
0.0036
N
N
N
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.422
22536UUD0
N4JDFKKH2FTD8RKFXO39
US22536UUD08
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
2019-10-16
2019-10-16
2019-10-16
N
N
N
0.0246
150024087.00
150024087.00
0.0027
N
N
N
N
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK
CREDIT INDUSTRIEL ET COMMERCIAL-NEW YORK 2.650
22536UUR9
N4JDFKKH2FTD8RKFXO39
US22536UUR93
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
2019-09-05
2019-09-05
2019-09-05
N
N
N
0.0265
100026770.00
100026770.00
0.0018
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.705
5E2193N
N4JDFKKH2FTD8RKFXO39
XS1951455127
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
2019-08-12
2019-08-12
2019-08-12
N
N
N
0.0271
187860357.36
187860357.36
0.0034
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.740
5E1116N
N4JDFKKH2FTD8RKFXO39
XS1949809815
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
2019-08-05
2019-08-05
2019-08-05
N
N
N
0.0274
234927236.95
234927236.95
0.0043
N
N
Y
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.278
8E2327N
N4JDFKKH2FTD8RKFXO39
XS2019329478
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
2020-03-24
2020-03-24
2020-03-24
N
N
N
0.0228
197144688.00
197144688.00
0.0036
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.660
6E1013N
N4JDFKKH2FTD8RKFXO39
XS1971695918
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
2019-12-20
2019-12-20
2019-12-20
N
N
N
0.0266
346972626.00
346972626.00
0.0063
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.582
7E2821N
N4JDFKKH2FTD8RKFXO39
XS2003565350
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
2020-02-20
2020-02-20
2020-02-20
N
N
N
0.0258
192598933.80
192598933.80
0.0035
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.652
6E4610N
N4JDFKKH2FTD8RKFXO39
XS1982121649
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
2020-01-10
2020-01-10
2020-01-10
N
N
N
0.0265
99011050.00
99011050.00
0.0018
N
N
N
N
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH
CREDIT INDUSTRIEL ET COMMERICAL - LONDON BRANCH 2.601
6E3993N
N4JDFKKH2FTD8RKFXO39
XS1980956996
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
2019-11-08
2019-11-08
2019-11-08
N
N
N
0.0260
56961187.56
56961187.56
0.0010
N
N
N
N
CREDIT SUISSE AG - NEW YORK BRANCH
CREDIT SUISSE AG - NEW YORK BRANCH 2.592
2254EBXF3
ANGGYXNX0JLX3X63JN86
US2254EBXF30
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
2019-10-15
2019-10-15
2019-10-15
N
N
N
0.0259
199040288.00
199040288.00
0.0036
N
N
N
N
CREDIT SUISSE AG - NEW YORK BRANCH
CREDIT SUISSE AG - NEW YORK BRANCH 2.469
22549LTP0
ANGGYXNX0JLX3X63JN86
US22549LTP03
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0250
180000275.40
180000275.40
0.0033
N
Y
Y
N
CREDIT SUISSE AG - NEW YORK BRANCH
CREDIT SUISSE AG - NEW YORK BRANCH 2.620
22549LWR2
ANGGYXNX0JLX3X63JN86
US22549LWR22
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
2019-10-11
2019-10-11
2019-10-11
N
N
N
0.0262
200122764.00
200122764.00
0.0036
N
N
N
N
CREDIT SUISSE SECURITIES (USA) LLC
CREDIT SUISSE SECURITIES (USA) LLC 2.570
0CSN01L90
1V8Y6QCX6YMJ2OELII46
0000318336
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AAMES MTG TR 2004-1 B
2035-01-25
0.000000
4100000.00
16.14
Asset-Backed Securities
ACCREDITED MTG LN TR
2036-04-25
2.509200
2000000.00
856.40
Asset-Backed Securities
ACCREDITED MTG LN TR
2036-09-25
2.646000
10300000.00
4645.30
Asset-Backed Securities
ACCREDITED MTG LN TR
2037-02-25
3.116000
2836000.00
1501.19
Asset-Backed Securities
ADJUSTABLE RATE MTG 2
2035-06-25
0.303400
50000000.00
202.48
Private Label Collateralized Mortgage Obligations
AIR 2 US 1999 B 144A
2020-10-01
8.627000
999.00
12.92
Asset-Backed Securities
ARMT 2006-3 2A2
2036-08-25
4.651250
1000000.00
17.96
Private Label Collateralized Mortgage Obligations
BANC AMERICA FDG 2007
2047-02-20
2.561500
321580.00
284.46
Private Label Collateralized Mortgage Obligations
BNC MTG LN TR 2007-2
2037-05-25
2.606000
30515000.00
848402.06
Asset-Backed Securities
BYVW OPP MSP FD TR 20
2034-03-28
3.967100
165000.00
139142.57
Asset-Backed Securities
CENTRUS ENERGY CORP E
2024-09-30
8.000000
10.00
8.67
Corporate Debt Securities
CITIMORTGAGE ALT LN T
2037-03-25
0.000000
60000000.00
145.26
Private Label Collateralized Mortgage Obligations
CSMC MTG TR 2006-9 4-
2036-11-25
0.000000
21774666.00
72.35
Private Label Collateralized Mortgage Obligations
CSMC SERIES 2010-15R
2036-05-28
0.010000
337577.00
35.34
Private Label Collateralized Mortgage Obligations
CSMC TR 2019-RPL4 B-1
2058-08-26
3.546600
1.00
0.53
Asset-Backed Securities
CSMC TRUST 2015-3 A-I
2045-03-25
0.232000
172974848.00
923538.83
Private Label Collateralized Mortgage Obligations
CWABS INC NIM 2006-14
2037-04-25
7.000000
12000000.00
2702.67
Asset-Backed Securities
ENERGY TRANSFER LP SR
2020-10-15
7.500000
3000.00
3193.25
Corporate Debt Securities
EXIDE TECHNOLOGIES SR
2024-10-31
11.000000
2.00
1.65
Corporate Debt Securities
FBR SEC TRUST 2005-3
2035-10-25
5.041000
1500000.00
1275.25
Asset-Backed Securities
FBR SEC TRUST 2005-5
2035-11-25
5.266000
3500000.00
3106.83
Asset-Backed Securities
FIELDSTONE MTG INV 20
2035-10-25
0.000000
6295000.00
62.95
Private Label Collateralized Mortgage Obligations
FIELDSTONE MTG INV 20
2035-12-25
3.346000
6983000.00
3964.02
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-11-25
0.000000
4700000.00
47.00
Asset-Backed Securities
FIRST NLC TRUST 2005-
2035-05-25
1.851510
12000000.00
960.22
Asset-Backed Securities
GE-WMC MTG SECS CI-NI
2036-01-25
5.500000
6100000.00
1222.07
Asset-Backed Securities
GSAMP TRUST NIM 2005-
2035-11-25
5.500000
8000000.00
2089.40
Asset-Backed Securities
HASCO NIM TRUST 2005
2035-11-25
6.250000
556000.00
98.64
Asset-Backed Securities
ML MTG INVESTORS NIM
2034-10-25
4.500000
8918000.00
270.80
Asset-Backed Securities
MLMI CAYMAN NIM 2004-
2035-01-25
4.500000
350000.00
26.09
Asset-Backed Securities
NATIONSTAR NIM 2007-A
2037-03-25
9.790000
6289991.00
404.14
Asset-Backed Securities
OGX PETROLEO E GAS PA
2022-04-01
0.000000
5000000.00
50.00
Corporate Debt Securities
PEOPLES CHOICE HM LN
2035-02-25
0.000000
2500000.00
25.00
Asset-Backed Securities
PRETIUM MTG LN TR SER
2055-03-25
0.000000
42256384.00
27608010.56
Asset-Backed Securities
SAEXPLORATION HLDGS I
2019-09-24
10.000000
1.00
1.00
Corporate Debt Securities
SASCO ARC 2004-4 B 20
2034-04-27
7.500000
450000.00
175.50
Asset-Backed Securities
SASCO ARC FREMONT NIM
2034-11-27
7.500000
6135000.00
2491.96
Asset-Backed Securities
SAXON ASSET SEC TR 20
2036-11-25
2.606000
4000000.00
1777.33
Asset-Backed Securities
SEQUOIA MTG TRUST 5 B
2026-10-19
3.497880
2316000.00
12.07
Private Label Collateralized Mortgage Obligations
SMB PRIVATE ED LN TR
2045-09-15
0.000000
16949.00
2941.16
Asset-Backed Securities
TERWIN MTG TR 2004-3H
2035-03-25
6.000000
13200000.00
2612.95
Asset-Backed Securities
WACHOVIA CMBS 2007-C3
2046-05-17
0.109240
146560699.00
1536.71
Private Label Collateralized Mortgage Obligations
WM ASSET HLDGS 2006-6
2046-09-25
7.385000
2000000.00
2251.39
Asset-Backed Securities
AAMES MTG TR 2005-2 M
2035-07-25
0.000000
3000000.00
30.00
Asset-Backed Securities
ABSC NIM TR 2005-HE5
2035-06-27
5.250000
15000000.00
998.98
Asset-Backed Securities
ACCREDITED MTG LN TR
2036-04-25
2.509200
2000000.00
856.40
Asset-Backed Securities
ACCREDITED MTG LN TR
2036-09-25
3.316000
5000000.00
2813.33
Asset-Backed Securities
ACCREDITED MTG LN TR
2037-02-25
3.566000
2000000.00
1208.67
Asset-Backed Securities
AEGIS ABS 2004-6 N 20
2035-03-25
4.750000
13482000.00
538.09
Asset-Backed Securities
BANC AMER CMBS 2005-1
2042-11-10
0.000000
14957925.00
6.01
Private Label Collateralized Mortgage Obligations
BANC AMER CMBS 2007-5
2051-02-10
0.000000
186074000.00
64.90
Private Label Collateralized Mortgage Obligations
BAYVIEW COML TR 2007-
2037-07-25
0.000000
12084000.00
249.50
Asset-Backed Securities
BNC MTG LN TR 2007-3
2037-07-25
2.536000
7500000.00
370.39
Asset-Backed Securities
CAYMAN ABSC NIMS 2005
2035-07-27
5.050000
21260000.00
666.81
Asset-Backed Securities
COMM 2005-LP5 XC 144
2043-05-10
0.000000
210453000.00
87.54
Private Label Collateralized Mortgage Obligations
CSFB COML MTG PTC 200
2041-02-15
0.000000
887206600.00
852.01
Private Label Collateralized Mortgage Obligations
CSMC MTG TR 2006-9 4-
2036-11-25
0.000000
21774666.00
72.35
Private Label Collateralized Mortgage Obligations
CSMC TR 2018-PLUM
2021-08-15
7.325000
34817000.00
34965165.68
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2014-WIN2
2044-10-25
0.232000
196322048.00
721231.77
Private Label Collateralized Mortgage Obligations
CWALT INC 2007-19 1-A
2037-08-25
0.120000
1845832.00
2720.77
Private Label Collateralized Mortgage Obligations
DEUTSCHE MTG RE-REMIC
2035-06-26
0.000000
39395504.00
2425.04
Private Label Collateralized Mortgage Obligations
EQUIFIRST CI-4 2005-1
2035-04-25
6.414000
2900000.00
1157.55
Asset-Backed Securities
FBR SEC TRUST 2005-2
2035-09-25
4.291000
5000000.00
3625.83
Asset-Backed Securities
FBR SEC TRUST 2005-4
2035-10-25
5.266000
3353000.00
2976.35
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-05-25
4.566000
2000000.00
1542.00
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-11-25
0.000000
28915000.00
289.15
Asset-Backed Securities
FIRST NLC TRUST 2005-
2035-05-25
1.851510
13440000.00
956.44
Asset-Backed Securities
FIRST NLC TRUST 2005-
2035-05-25
1.851510
4760000.00
299.33
Asset-Backed Securities
GS MTG COML 2005-GG4
2039-07-10
1.368480
70333000.00
396.05
Private Label Collateralized Mortgage Obligations
LB-UBS CMBS 2006-C7 X
2038-11-15
0.715350
10257000.00
275.86
Private Label Collateralized Mortgage Obligations
MERRILL LYNCH MTG INV
2029-12-10
1.315000
23000000.00
672.14
Private Label Collateralized Mortgage Obligations
ML MTG TRUST 2004-BPC
2041-10-12
0.957590
13182000.00
250.82
Private Label Collateralized Mortgage Obligations
MLMI CAYMAN NIM 2005-
2036-02-25
4.500000
12700000.00
3477.52
Asset-Backed Securities
NATIONSTAR NIM TRUST
2036-06-25
7.750000
4000000.00
4110.04
Asset-Backed Securities
PEOPLES CHOICE HM LN
2035-05-25
0.000000
1200000.00
12.00
Asset-Backed Securities
PEOPLES CHOICE HM LN
2035-12-25
4.066000
3000000.00
2063.00
Asset-Backed Securities
PYXIS ABS CDO 2006-1/
2046-11-10
6.000000
15592500.00
1559.25
Other Instrument
Collateralized debt obligation
SASCO ARC 2003-2 A 20
2033-04-27
7.750000
2000000.00
92.61
Asset-Backed Securities
SASCO ARC 2004-BNC1 B
2034-09-27
6.750000
9450000.00
691.23
Asset-Backed Securities
SAXON ASSET SEC TRUST
2036-11-25
2.726000
4000000.00
1857.33
Asset-Backed Securities
SECURITIZED ASSET NIM
2036-01-25
6.000000
1804000.00
212.04
Asset-Backed Securities
SEQUOIA MTG TRUST TRU
2032-09-20
0.340310
7702000.00
86.46
Private Label Collateralized Mortgage Obligations
SOUNDVIEW CI-4 NIM 20
2035-07-25
4.703000
4245000.00
61.36
Asset-Backed Securities
VOLT LXXVI LLC 2019-N
2049-02-25
3.967200
885.00
828.45
Asset-Backed Securities
WAMU MTG CERT 2004-S2
2034-06-25
5.429380
850000.00
1017.45
Private Label Collateralized Mortgage Obligations
AAMES MTG TR 2005-1 M
2035-06-25
0.000000
2000000.00
20.00
Asset-Backed Securities
AAMES MTG TR 2005-4 M
2035-10-25
0.000000
4500000.00
45.00
Asset-Backed Securities
ABSN 2006-HE3 A1
2036-03-27
5.500000
16790000.00
1732.73
Private Label Collateralized Mortgage Obligations
ACCREDITED MTG LN TR
2036-04-25
2.509200
4000000.00
1712.80
Asset-Backed Securities
ACCREDITED MTG LN TR
2037-02-25
2.636000
4000000.00
1797.33
Asset-Backed Securities
AMBAC ASSURN CORP SR
549300RYYRVPPB8NC636
2020-06-07
5.100000
943.00
995.39
Corporate Debt Securities
ASSET BACKED FDG NIM
2035-07-26
5.900000
1250000.00
154.40
Asset-Backed Securities
BANC AMER CMBS 2005-4
2045-07-10
0.000000
18377000.00
2.25
Private Label Collateralized Mortgage Obligations
BANC AMERICA FDG 2005
2035-09-20
0.000000
195849000.00
1076978.09
Private Label Collateralized Mortgage Obligations
BEAR STEARNS ARM TR 2
2036-07-25
4.332930
15000000.00
1186419.57
Private Label Collateralized Mortgage Obligations
CITIMORTGAGE ALT LN T
2036-12-25
0.000000
50000000.00
129.95
Private Label Collateralized Mortgage Obligations
COBALT CMBS MTG TR 20
2047-04-17
0.294260
458376834.00
1606.34
Private Label Collateralized Mortgage Obligations
CSFB COML MTG PTC 200
2039-09-16
0.000000
2081264493.00
65.10
Private Label Collateralized Mortgage Obligations
CSMC 2007-4 1A2
2037-06-25
2.666000
1786201.00
4705.47
Private Label Collateralized Mortgage Obligations
CSMC MTG TRUST 2007-5
2037-08-25
0.000000
326635000.00
705.28
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2016-RPL1
2046-12-25
0.000000
4875850.00
124.28
Asset-Backed Securities
CWALT INC 2004-24CB 2
2019-11-25
5.000000
3530000.00
4411.94
Private Label Collateralized Mortgage Obligations
CWALT INC 2007-19 1-A
2037-08-25
0.000000
60000000.00
193.84
Private Label Collateralized Mortgage Obligations
DSLA NIM CI-4 CORP 20
2037-03-19
8.350000
1225000.00
3137.70
Asset-Backed Securities
EXIDE TECHNOLOGIES SR
2020-04-30
11.000000
5.00
4.14
Corporate Debt Securities
FHLT 2004-3 M6
2034-11-25
4.366000
3034000.00
998.85
Asset-Backed Securities
FIELDSTONE MTG INV 20
2035-03-25
4.291000
2000000.00
1450.33
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-02-25
0.000000
20000000.00
200.00
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-07-25
0.000000
4300000.00
43.00
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-11-25
0.000000
8300000.00
83.00
Asset-Backed Securities
FIRST NLC TRUST 2005-
2035-05-25
1.851510
13680000.00
1020.58
Asset-Backed Securities
GSMSC NIM 2007-NIM1 N
2046-08-25
8.000000
2000000.00
1502.76
Asset-Backed Securities
JP MORGAN CHASE 2007-
2051-02-15
0.000000
500000000.00
107.16
Private Label Collateralized Mortgage Obligations
LONG BEACH ASSET NIM
2046-04-25
5.780000
6300000.00
1283.11
Asset-Backed Securities
ML MTG INVESTORS 1998
2026-11-15
0.651590
10500000.00
4714.82
Private Label Collateralized Mortgage Obligations
ML MTG TRUST 2008-C1
2051-02-12
0.000000
51573153.00
18.68
Private Label Collateralized Mortgage Obligations
PARK PLACE NIM 2005-W
2035-05-25
5.192000
69000000.00
4861.78
Asset-Backed Securities
PEOPLES CHOICE HM LN
2035-02-25
0.000000
3500000.00
27.44
Asset-Backed Securities
PEOPLES CHOICE HM LN
2035-08-25
0.000000
1687000.00
16.87
Asset-Backed Securities
PINE MTN CDO III LTD
2047-07-07
8.759280
392000.00
2205.17
Other Instrument
Collateralized debt obligation
RENAISSANCE HEQ 2006-
2036-11-25
6.414000
10000000.00
2011.60
Asset-Backed Securities
SAXON ASSET SEC TR
2036-11-25
3.316000
6050000.00
3404.13
Asset-Backed Securities
SAXON ASSET SEC TR 20
2036-11-25
2.646000
1500000.00
676.50
Asset-Backed Securities
SEADRILL NEW FIN LTD
2025-07-15
12.000000
6.00
5.79
Corporate Debt Securities
SECURITIZED ASSET NIM
2035-08-25
6.250000
9863000.00
923.70
Asset-Backed Securities
SHARPS SP I NIM 2004-
2034-02-25
5.920000
9000000.00
391.04
Asset-Backed Securities
WM ASSET HLDGS CI 200
2046-09-25
7.143000
3000000.00
3276.25
Asset-Backed Securities
AAMES MTG TR 2005-1 M
2035-06-25
0.000000
3000000.00
30.00
Asset-Backed Securities
AAMES MTG TR 2005-4 M
2035-10-25
0.000000
4500000.00
45.00
Asset-Backed Securities
ADJUSTABLE RATE MTG 2
2035-01-25
0.511350
41694200.00
406247.48
Private Label Collateralized Mortgage Obligations
AFN 2019-1 A-1 204905
2049-05-20
3.780000
2498430.00
2509181.67
Asset-Backed Securities
AMBAC ASSURN CORP SR
2055-02-12
0.000000
16.00
16.80
Corporate Debt Securities
ATLAS AIR 1998-1 1-C
2021-05-02
8.010000
35313.00
1312.54
Asset-Backed Securities
BANC AMER CMBS 2007-3
2049-06-10
0.000000
1784897847.00
581.83
Private Label Collateralized Mortgage Obligations
BRUCE MANSFIELD UNIT
2034-06-01
0.000000
15500000.00
9805138.91
Asset-Backed Securities
CD 2007-CD4 MTG TRUST
5493006ZXL5DGZK5G872
2049-12-11
0.564520
49252000.00
1195.84
Private Label Collateralized Mortgage Obligations
CITIMORTGAGE ALT LN T
2037-02-25
0.000000
30926000.00
77.26
Private Label Collateralized Mortgage Obligations
COMM 2005-C6 X-C 2044
2044-06-10
0.000000
25370000.00
3.43
Private Label Collateralized Mortgage Obligations
CSFB COML MTG PTC 200
2040-09-17
0.098970
16400000.00
97.69
Private Label Collateralized Mortgage Obligations
CSMC TR 2018-RPL8 A-I
2058-07-25
0.200000
755024896.00
171884.02
Asset-Backed Securities
CSMC TRUST 2015-2 A-I
2045-02-25
0.232000
211379968.00
1207730.25
Private Label Collateralized Mortgage Obligations
CSMC TRUST 2017-LSTK
2033-04-07
0.000000
139020000.00
1390.20
Private Label Collateralized Mortgage Obligations
CWALT INC 2005-54CB 1
2035-11-25
2.584000
170000.00
3100.46
Private Label Collateralized Mortgage Obligations
DEUTSCHE ALT-A SECS 2
2035-09-25
0.000000
300254293.00
367.42
Asset-Backed Securities
FBR SEC TRUST 2005-3
2035-10-25
4.516000
3200000.00
2440.53
Asset-Backed Securities
FBR SEC TRUST 2005-5
2035-11-25
5.641000
3800000.00
1471.99
Asset-Backed Securities
FIELDSTONE MTG INV 20
2034-08-25
5.491000
2000000.00
1824.98
Asset-Backed Securities
FIELDSTONE MTG INV 20
2035-12-25
3.226000
8433000.00
4618.47
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-05-25
3.366000
4529000.00
2586.06
Asset-Backed Securities
FIELDSTONE MTG INV 20
2036-07-25
0.000000
2000000.00
20.00
Asset-Backed Securities
GE CAP CMBS 2005-C2 X
2043-05-10
0.925060
245220000.00
20503.01
Private Label Collateralized Mortgage Obligations
GSAA HEQ TR NIM 2006-
2035-12-25
6.000000
200000.00
12.35
Asset-Backed Securities
HASCO NIM CO 2006-WMC
2036-07-26
7.000000
3850000.00
2105.00
Asset-Backed Securities
LB-UBS CMBS 2004-C8 X
2039-12-15
0.312310
810224.00
1.95
Private Label Collateralized Mortgage Obligations
LUMINENT MTG TR 2006-
2036-04-25
2.506000
341.00
52.47
Private Label Collateralized Mortgage Obligations
MORGAN STANLEY CAP 20
2044-12-16
0.000000
150000000.00
44.09
Private Label Collateralized Mortgage Obligations
ODEBRECHT OFFSHORE DR
549300L7LF2PIRAWID66
2026-12-01
7.720000
14.00
4.24
Corporate Debt Securities
PEOPLES CHOICE HM LN
2035-02-25
0.000000
2800000.00
28.00
Asset-Backed Securities
PEOPLES CHOICE HM LN
2035-05-25
0.000000
8000000.00
80.00
Asset-Backed Securities
PEOPLES CHOICE HM LN
2035-08-25
0.000000
3562000.00
35.62
Asset-Backed Securities
SASCO ARC 2004-1 A 20
2034-06-27
5.250000
1500000.00
49.28
Asset-Backed Securities
SASCO ARC FREMONT NIM
2034-11-27
4.500000
182000.00
0.23
Asset-Backed Securities
SAXON ASSET SEC TR 20
2036-11-25
2.586000
2000000.00
882.00
Asset-Backed Securities
SAXON ASSET SEC TR 20
2036-11-25
2.666000
8400000.00
3816.40
Asset-Backed Securities
SEADRILL NEW FIN LTD
2025-07-15
12.000000
1.00
0.97
Corporate Debt Securities
STRUCTURED ASSET MTG
2030-05-01
0.817950
1091.00
2.87
Private Label Collateralized Mortgage Obligations
WACHOVIA CMBS 2007-C3
2043-12-15
0.387680
417090323.00
1652.47
Private Label Collateralized Mortgage Obligations
WASH MUT BK FA CA GLB
2036-05-20
0.000000
11660000.00
1084.38
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0257
75000000.00
75000000.00
0.0014
N
Y
Y
N
DBS BANK LIMITED SINGAPORE
DBS BANK LIMITED SINGAPORE 2.251
23305DA70
US23305DA703
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+
2020-01-07
2020-01-07
2020-01-07
N
N
N
0.0225
24771111.00
24771111.00
0.0005
N
N
N
N
DBS BANK LIMITED SINGAPORE
DBS BANK LIMITED SINGAPORE 2.203
23305DAT2
ATUEL7OJR5057F2PV266
US23305DAT28
0001501323
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+
2020-01-27
2020-01-27
2020-01-27
N
N
N
0.0220
197920000.00
197920000.00
0.0036
N
N
N
N
DNB BANK ASA
DNB BANK ASA 2.499
2332K4JJ4
549300GKFG0RYRRQ1414
US2332K4JJ47
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2019-08-12
2019-12-12
2019-12-12
N
N
N
0.0253
110002852.30
110002852.30
0.0020
N
N
N
N
DNB BANK ASA
DNB BANK ASA 2.447
2332K4KB9
US2332K4KB91
Financial Company Commercial Paper
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2019-08-27
2020-04-24
2020-04-24
N
N
N
0.0248
250023150.00
250023150.00
0.0046
N
N
N
N
DZ BANK AG - LONDON BRANCH
DZ BANK AG - LONDON BRANCH 2.310
8E9500N
529900HNOAA1KXQJUQ27
XS2036813215
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+
2019-12-02
2019-12-02
2019-12-02
N
N
N
0.0231
158749241.60
158749241.60
0.0029
N
N
N
N
DZ BANK AG - LONDON BRANCH
DZ BANK AG - LONDON BRANCH 2.248
8E9839N
529900HNOAA1KXQJUQ27
XS2037384398
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+
2020-02-03
2020-02-03
2020-02-03
N
N
N
0.0225
172999690.50
172999690.50
0.0032
N
N
N
N
DZ BANK AG - LONDON BRANCH
DZ BANK AG - LONDON BRANCH 2.312
7E8795N
XS2014455310
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+
2020-03-13
2020-03-13
2020-03-13
N
N
N
0.0231
182424400.40
182424400.40
0.0033
N
N
N
N
DZ BANK AG - LONDON BRANCH
DZ BANK AG - LONDON BRANCH 2.353
7E8840N
529900HNOAA1KXQJUQ27
XS2014459817
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+
2019-11-14
2019-11-14
2019-11-14
N
N
N
0.0235
163878597.30
163878597.30
0.0030
N
N
N
N
DZ BANK AG - LONDON BRANCH
DZ BANK AG - LONDON BRANCH 2.573
5E6673N
529900HNOAA1KXQJUQ27
XS1961844575
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+
2019-08-07
2019-08-07
2019-08-07
N
N
N
0.0257
74964725.25
74964725.25
0.0014
N
N
Y
N
DZ BANK AG - LONDON BRANCH
DZ BANK AG - LONDON BRANCH 2.508
7E2831N
XS2003465213
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+
2019-08-23
2019-08-23
2019-08-23
N
N
N
0.0251
124807035.00
124807035.00
0.0023
N
N
N
N
DZ BANK AG - LONDON BRANCH
DZ BANK AG - LONDON BRANCH 2.350
8E9499N
529900HNOAA1KXQJUQ27
XS2036810203
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+
2019-11-01
2019-11-01
2019-11-01
N
N
N
0.0235
198804932.00
198804932.00
0.0036
N
N
N
N
FEDERATION DES CAISSES DESJARDINS DU QUEBEC
FEDERATION DES CAISSES DESJARDINS DU QUEBEC 2.393
31428HAZ4
549300B2Q47IR0CR5B54
US31428HAZ47
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
2019-10-15
2020-07-15
2020-07-15
N
N
N
0.0243
149999620.50
149999620.50
0.0027
N
N
N
N
FEDERATION DES CAISSES DESJARDINS DU QUEBEC
FEDERATION DES CAISSES DESJARDINS DU QUEBEC 2.248
31428FAA3
US31428FAA30
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
2020-01-10
2020-01-10
2020-01-10
N
N
N
0.0225
57415427.86
57415427.86
0.0010
N
N
N
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.551
31849MV99
2138002Y3WMK6RZS8H90
US31849MV996
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+
2019-08-09
2019-08-09
2019-08-09
N
N
N
0.0255
49970625.00
49970625.00
0.0009
N
N
N
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.570
31849MV24
2138002Y3WMK6RZS8H90
US31849MV244
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+
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0257
179976150.00
179976150.00
0.0033
N
N
Y
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.300
31849MXB2
2138002Y3WMK6RZS8H90
US31849MXB26
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+
2019-10-11
2019-10-11
2019-10-11
N
N
N
0.0230
418093200.00
418093200.00
0.0076
N
N
N
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.421
31849MW98
2138002Y3WMK6RZS8H90
US31849MW986
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+
2019-09-09
2019-09-09
2019-09-09
N
N
N
0.0242
224430750.00
224430750.00
0.0041
N
N
N
N
FIRST ABU DHABI BANK PJSC
FIRST ABU DHABI BANK PJSC 2.532
31849MVD0
2138002Y3WMK6RZS8H90
US31849MVD00
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+
2019-08-13
2019-08-13
2019-08-13
N
N
N
0.0253
189840135.90
189840135.90
0.0035
N
N
N
N
FIXED INCOME CLEARING CORPORATION (REPO)
FIXED INCOME CLEARING CORPORATION (REPO) 2.550
OSA001F53
0001232861
U.S. Treasury Repurchase Agreement, if collateralized only by U.S. Treasuries (including Strips) and cash
Y
N
U.S. TREASURY
254900HROIFWPRGM1V77
2043-08-15
3.625000
259455000.00
314568431.10
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2044-11-15
3.000000
400000000.00
434910800.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-06-30
1.750000
48500000.00
48342472.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-11-15
2.750000
273975000.00
285774007.35
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-06-30
2.000000
50000000.00
50413100.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-05-15
2.500000
500000000.00
517424000.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-07-31
1.750000
50460000.00
50270775.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2045-11-15
3.000000
273000000.00
297284988.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-01-31
2.500000
880000000.00
904715680.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-02-29
2.125000
344000000.00
351165864.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2044-05-15
3.375000
231275000.00
267734809.93
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2045-08-15
2.875000
78450000.00
83993355.45
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-12-31
2.625000
850000000.00
879794200.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-05-31
2.000000
244000000.00
246606652.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2044-02-15
3.625000
843700000.00
1023611431.70
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2045-05-15
3.000000
473500000.00
515232396.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2047-02-15
3.000000
111700000.00
122666147.50
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-02-29
2.375000
365000000.00
377182605.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-03-31
2.125000
11100000.00
11314529.70
U.S. Treasuries (including strips)
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
AA
Standard & Poor's Short Rating
A-1+
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0255
6650000000.00
6650000000.00
0.1213
N
Y
Y
N
FIXED INCOME CLEARING CORPORATION (REPO)
FIXED INCOME CLEARING CORPORATION (REPO) 2.550
ORS001OI8
0001232861
U.S. Treasury Repurchase Agreement, if collateralized only by U.S. Treasuries (including Strips) and cash
Y
N
U.S. TREASURY
254900HROIFWPRGM1V77
2023-04-15
0.625000
267785100.00
279258620.59
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2028-02-15
2.750000
482246400.00
516114804.46
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2025-06-30
2.750000
700000000.00
734626603.26
U.S. Treasuries (including strips)
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
AA
Standard & Poor's Short Rating
A-1+
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0255
1500000000.00
1500000000.00
0.0274
N
Y
Y
N
FIXED INCOME CLEARING CORPORATION (REPO)
FIXED INCOME CLEARING CORPORATION (REPO) 2.550
ORS001OK3
0001232861
U.S. Treasury Repurchase Agreement, if collateralized only by U.S. Treasuries (including Strips) and cash
Y
N
U.S. TREASURY
254900HROIFWPRGM1V77
2022-07-31
1.875000
100.00
100.14
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2025-07-31
2.875000
247588100.00
261128693.19
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-08-15
2.750000
500000000.00
515170248.62
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-07-31
1.750000
500000000.00
499025000.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-02-28
2.500000
500000000.00
509672010.87
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-03-31
1.250000
500000000.00
496712333.33
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-11-30
2.750000
262319900.00
266247703.30
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2025-11-15
2.250000
500000000.00
512043940.22
U.S. Treasuries (including strips)
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
AA
Standard & Poor's Short Rating
A-1+
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0255
3000000000.00
3000000000.00
0.0547
N
Y
Y
N
HSBC BANK PLC
HSBC BANK PLC 2.560
40433FNX3
MP6I5ZYZBEU3UXPYFY54
US40433FNX32
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+
2019-08-20
2019-11-15
2019-11-15
N
N
N
0.0260
130011014.90
130011014.90
0.0024
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.579
40433HZ65
MP6I5ZYZBEU3UXPYFY54
US40433HZ650
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+
2019-12-06
2019-12-06
2019-12-06
N
N
N
0.0258
248125332.50
248125332.50
0.0045
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.575
40433FNT2
MP6I5ZYZBEU3UXPYFY54
US40433FNT20
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+
2019-08-13
2019-11-08
2019-11-08
N
N
N
0.0261
300023541.00
300023541.00
0.0055
N
N
N
N
HSBC BANK PLC
HSBC BANK PLC 2.591
40433HZH1
MP6I5ZYZBEU3UXPYFY54
US40433HZH10
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+
2019-12-17
2019-12-17
2019-12-17
N
N
N
0.0259
173584419.75
173584419.75
0.0032
N
N
N
N
HSBC BANK USA
HSBC BANK USA 2.230
40435RDV0
1IE8VN30JCEQV1H4R804
US40435RDV06
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+
2020-01-22
2020-01-22
2020-01-22
N
N
N
0.0223
49999701.00
49999701.00
0.0009
N
N
N
N
HSBC SECURITIES (USA) INC
HSBC SECURITIES (USA) INC 2.490
0HSN21ZN1
CYYGQCGNHMHPSMRL3R97
0000853784
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ABBOTT LABS SR GLBL N
HQD377W2YR662HK5JX27
2046-11-30
4.900000
125000.00
155259.58
Corporate Debt Securities
ACTAVIS FUNDING SCS S
222100FLFVOSKCBCAR54
2035-03-15
4.550000
5557000.00
5787573.82
Corporate Debt Securities
AMERICAN INTL GROUP I
ODVCVCQG2BP6VHV36M30
2024-02-15
4.125000
116000.00
125481.41
Corporate Debt Securities
ANALOG DEVICES INC SR
GYVOE5EZ4GDAVTU4CQ61
2025-12-15
3.900000
5000000.00
5319325.00
Corporate Debt Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2026-02-23
3.250000
255000.00
269918.42
Corporate Debt Securities
APPLE INC SR NT 2.5%2
HWUPKR0MPOU8FGXBT394
2025-02-09
2.500000
93000.00
94729.34
Corporate Debt Securities
AT&T INC SR GLBL NT 2
549300Z40J86GGSTL398
2026-07-15
2.950000
124.00
123.31
Corporate Debt Securities
BANK AMER CORP FR 3.5
9DJT3UXIJIZJI4WXO774
2026-04-19
3.500000
158000.00
166037.37
Corporate Debt Securities
BANK NEW YORK MELLON
WFLLPEPC7FZXENRZV188
2099-01-01
4.500000
4567000.00
4498495.00
Corporate Debt Securities
BARCLAYS PLC SR GLBL
213800LBQA1Y9L22JB70
2029-05-16
4.972000
9700000.00
10392000.16
Corporate Debt Securities
COMMONWEALTH BK AUSTR
2024-06-04
3.350000
2274990.00
2377890.33
Corporate Debt Securities
CPPIB CAPITAL INC FR
2027-11-02
2.750000
965000.00
1000533.44
Other Instrument
International debt
DUQUESNE LT HLDGS INC
2020-09-15
6.400000
6500000.00
6904105.00
Corporate Debt Securities
FORD MOTOR CREDIT CO
UDSQCVRUX5BONN0VY111
2020-01-15
8.125000
700000.00
718945.79
Corporate Debt Securities
GILEAD SCIENCES INC S
549300WTZWR07K8MNV44
2044-04-01
4.800000
4000000.00
4528146.67
Corporate Debt Securities
MCDONALDS CORP MED TE
UE2136O97NLB5BYP9H04
2027-03-01
3.500000
115000.00
122796.55
Corporate Debt Securities
MORGAN STANLEY FR 2.6
IGJSJL3JD5P30I6NJZ34
2021-11-17
2.625000
640000.00
647272.27
Corporate Debt Securities
SABINE PASS LIQUEFACT
549300KJYBG7C6WJYZ11
2028-03-15
4.200000
49000.00
51842.98
Corporate Debt Securities
TRANSCANADA PIPELINES
5BV01I6231JPDAPMGH09
2049-03-15
5.100000
4500000.00
5283247.50
Corporate Debt Securities
UNITEDHEALTH GROUP IN
2047-01-15
4.200000
195000.00
211405.35
Corporate Debt Securities
ABBVIE INC SR NT 4.4%
FR5LCKFTG8054YNNRU85
2042-11-06
4.400000
50000.00
49806.33
Corporate Debt Securities
ALIBABA GROUP HLDG LT
5493001NTNQJDH60PM02
2027-12-06
3.400000
22500000.00
22990500.00
Corporate Debt Securities
ANHEUSER-BUSCH INBEV
549300CRGMZK3K53BF92
2029-01-23
4.750000
7839000.00
8902859.00
Corporate Debt Securities
AON PLC SR GLBL NT 45
VVT2B79I2Z4U3R6BY589
2045-05-15
4.750000
10000000.00
11438558.33
Corporate Debt Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2043-05-04
3.850000
203000.00
217154.63
Corporate Debt Securities
ARGENTINA REP SR GLBL
549300KPBYGYF7HCHO27
2022-01-26
5.625000
1575.00
1364.15
Other Instrument
International debt
AT&T INC SR GLBL NT3.
549300Z40J86GGSTL398
2025-05-15
3.400000
504000.00
521737.44
Corporate Debt Securities
BANK AMER CORP FR 3.9
9DJT3UXIJIZJI4WXO774
2029-03-05
3.970000
456000.00
493127.65
Corporate Debt Securities
BURLINGTON NORTHN SAN
2050-02-15
3.550000
5999990.00
6008459.99
Corporate Debt Securities
CELGENE CORP SR GLBL
4SIHMF0MOSTTL8CD0X64
2022-08-15
3.550000
18000.00
18884.53
Corporate Debt Securities
COMMONWEALTH BK AUSTR
2026-09-06
2.625000
356000.00
360069.08
Corporate Debt Securities
CREDIT SUISSE GRP FDG
549300PXR5FKNXF0OH19
2020-12-10
3.125000
1239000.00
1255417.09
Corporate Debt Securities
ENTERPRISE PRODS OPER
5493004LGN656HWLDA30
2029-07-31
3.125000
285460.00
286319.16
Corporate Debt Securities
INDONESIA REP SR GLBL
529900FWX0GRR7WG5W79
2024-02-11
4.450000
386.00
423.68
Other Instrument
International debt
LLOYDS BANKING GROUP
2045-12-01
5.300000
1426000.00
1588586.97
Corporate Debt Securities
MICROSOFT CORP SR GLB
INR2EJN1ERAN0W5ZP974
2047-02-06
4.250000
105000.00
125522.42
Corporate Debt Securities
PANAMA REP SR GLBL BD
2026-01-29
7.125000
1869000.00
2329629.85
Other Instrument
International debt
SHIRE ACQUISITIONS IN
549300XK5HGW68R8K327
2026-09-23
3.200000
50000.00
51210.94
Corporate Debt Securities
WELLTOWER INC SR GLBL
T6IZ0MBEG5ACZDTR7D06
2029-03-15
4.125000
2534990.00
2749668.80
Corporate Debt Securities
ABBOTT LABS SR GLBL N
HQD377W2YR662HK5JX27
2036-11-30
4.750000
816000.00
976129.12
Corporate Debt Securities
AMERICAN INTL GROUP I
ODVCVCQG2BP6VHV36M30
2026-04-01
3.900000
35000.00
37278.56
Corporate Debt Securities
ANHEUSER BUSCH INBEV
549300CRGMZK3K53BF92
2048-10-06
4.439000
10.00
10.73
Corporate Debt Securities
ANZ NEW ZEALAND INTL
213800VD256NU2D97H12
2028-01-21
3.450000
43.00
44.47
Corporate Debt Securities
APPLE INC SR GLBL NT
HWUPKR0MPOU8FGXBT394
2023-02-23
2.850000
18000.00
18649.06
Corporate Debt Securities
APPLE INC SR GLBL NT2
HWUPKR0MPOU8FGXBT394
2027-09-12
2.900000
310000.00
319267.97
Corporate Debt Securities
ASTRAZENECA PLC NT 3.
PY6ZZQWO2IZFZC3IOL08
2027-06-12
3.125000
30000.00
30725.60
Corporate Debt Securities
BARCLAYS BK PLC SR GL
G5GSEF7VJP5I7OUK5573
2021-01-11
2.650000
708000.00
710151.34
Corporate Debt Securities
BOEING CO SR GLBL NT2
RVHJWBXLJ1RFUBSY1F30
2025-10-30
2.600000
22649000.00
22651491.39
Corporate Debt Securities
CAPITAL ONE FINL CORP
ZUE8T73ROZOF6FLBAR73
2022-03-09
3.050000
48000.00
49207.48
Corporate Debt Securities
COMCAST CORP NEW SR G
51M0QTTNCGUN7KFCFZ59
2028-05-01
3.550000
69999.00
74480.78
Corporate Debt Securities
COMMONWEALTH BK AUSTR
2024-06-04
3.350000
99999.00
104522.07
Corporate Debt Securities
FORD MTR CO DEL SR GL
20S05OYHG0MQM4VUIC57
2046-12-08
5.291000
9000000.00
8322953.00
Corporate Debt Securities
GLAXOSMITHKLINE CAP P
549300U0LV41VX7LEP38
2029-06-01
3.375000
32999.00
35187.12
Corporate Debt Securities
JAPAN BK INTL COOPERA
549300TJ3QFYVCTSCJ29
2022-07-21
2.375000
91.00
91.78
Other Instrument
International debt
MARATHON PETE CORP 3.
3BNYRYQHD39K4LCKQF12
2028-04-01
3.800000
208999.00
215739.45
Corporate Debt Securities
MONGOLIA GOVT SR GLBL
2023-05-01
5.625000
9.00
9.31
Other Instrument
International debt
UNITED MEXICAN STATES
254900EGTWEU67VP6075
2028-01-11
3.750000
6889000.00
6971524.48
Other Instrument
International debt
VERIZON COMMUNICATION
2S72QS2UO2OESLG6Y829
2039-03-15
4.812000
352000.00
410109.92
Corporate Debt Securities
ACTAVIS FUNDING SCS S
222100FLFVOSKCBCAR54
2025-03-15
3.800000
82000.00
86090.98
Corporate Debt Securities
ALTRIA GROUP INC SR N
XSGZFLO9YTNO9VCQV219
2042-08-09
4.250000
80000.00
78980.60
Corporate Debt Securities
AMERICAN TOWER CORP N
5493006ORUSIL88JOE18
2029-08-15
3.800000
9440.00
9780.70
Corporate Debt Securities
ANHEUSER BUSCH INBEV
549300CRGMZK3K53BF92
2049-01-23
5.550000
5114620.00
6306373.34
Corporate Debt Securities
AON PLC SR GLBL NT 25
VVT2B79I2Z4U3R6BY589
2025-12-15
3.875000
100000.00
107150.38
Corporate Debt Securities
AT&T INC SR GLBL NT3.
549300Z40J86GGSTL398
2023-02-17
3.600000
390000.00
410775.30
Corporate Debt Securities
BANK AMER CORP FR 4%0
9DJT3UXIJIZJI4WXO774
2025-01-22
4.000000
35000.00
36766.76
Corporate Debt Securities
BARCLAYS PLC SR GLBL
213800LBQA1Y9L22JB70
2025-03-16
3.650000
3600000.00
3649774.00
Corporate Debt Securities
BPCE FR 4.875%040126
2026-04-01
4.875000
1089000.00
1191850.15
Corporate Debt Securities
CELGENE CORP SR GLBL
4SIHMF0MOSTTL8CD0X64
2020-08-15
2.875000
588000.00
598017.80
Corporate Debt Securities
DEUTSCHE BK AG FR 4.2
2021-10-14
4.250000
2795000.00
2860525.67
Corporate Debt Securities
EXPRESS SCRIPTS HLDG
5493003UA6VMND084504
2027-03-01
3.400000
12980000.00
13367352.04
Corporate Debt Securities
GENERAL MTRS FINL CO
5493008B6JBRUJ90QL97
2027-01-17
4.350000
3000000.00
3066602.50
Corporate Debt Securities
GOLDMAN SACHS GRP INC
784F5XWPLTWKTBV3E584
2024-07-08
3.850000
942000.00
991118.50
Corporate Debt Securities
KENYA REP SR GLBL 144
549300VVURQQYU45PR87
2032-05-22
8.000000
520.00
557.57
Other Instrument
International debt
ROYAL BK CDA FR 2.5%0
ES7IP3U3RHIGC71XBU11
2021-01-19
2.500000
143000.00
143812.80
Corporate Debt Securities
TORONTO DOMINION BANK
PT3QB789TSUIDF371261
2024-06-12
2.650000
1845560.00
1865904.22
Corporate Debt Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2020-04-15
0.125000
200.00
216.31
U.S. Treasuries (including strips)
VERIZON COMMUNICATION
2S72QS2UO2OESLG6Y829
2026-08-15
2.625000
19000.00
19104.14
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+
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0249
175000000.00
175000000.00
0.0032
N
Y
Y
N
HSBC SECURITIES (USA) INC
HSBC SECURITIES (USA) INC 2.640
0HSN21ZO9
CYYGQCGNHMHPSMRL3R97
0000853784
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AVON PRODS INC CR SEN
5493007RY69UEB1F1B45
2023-03-15
7.000000
5243000.00
5414708.25
Corporate Debt Securities
DIAMOND OFFSHORE DRIL
F14FQJ2EEHW5VPYUHL14
2039-10-15
5.700000
1855000.00
1255139.38
Corporate Debt Securities
FIVE POINT OPERATING
2025-11-15
7.875000
3957800.00
4027679.91
Corporate Debt Securities
GFL ENVIRONMENTAL INC
5493008HF9XC5H29ZX61
2027-05-01
8.500000
1000000.00
1112902.78
Corporate Debt Securities
HUNT COS INC SR SEC G
549300ODPWDNCH5TKM49
2026-02-15
6.250000
4705000.00
4581003.65
Corporate Debt Securities
NABORS INDS INC SR NT
2020-09-15
5.000000
215000.00
220106.25
Corporate Debt Securities
PACIFIC GAS & ELEC CO
1HNPXZSMMB7HMBMVBS46
2023-08-01
0.000000
3250000.00
3339375.00
Corporate Debt Securities
TESLA INC 5.3%25
54930043XZGB27CTOV49
2025-08-15
5.300000
2045000.00
1844163.96
Corporate Debt Securities
WIND TRE SPA SR SEC 1
549300YSFQKM1C0X4E45
2026-01-20
5.000000
320000.00
317324.44
Corporate Debt Securities
AMKOR TECHNOLOGY INC
529900VHLRTKPWZJBM84
2027-09-15
6.625000
1000000.00
1061093.75
Corporate Debt Securities
BOOZ ALLEN & HAMILTON
549300D7XCH2480XU542
2025-05-01
5.125000
3182000.00
3301866.38
Corporate Debt Securities
CHURCHILL DOWNS INC S
2028-01-15
4.750000
1005810.00
1006543.40
Corporate Debt Securities
GARTNER INC SR GLBL 1
PP55B5R38BFB8O8HH686
2025-04-01
5.125000
1000000.00
1043190.97
Corporate Debt Securities
GLOBAL PARTNERS / GLP
2027-08-01
7.000000
940690.00
944217.59
Corporate Debt Securities
LIMITED BRANDS INC SR
2037-07-15
7.600000
9404000.00
8117219.33
Corporate Debt Securities
NOBLE HOLD INT LTD SR
549300GNEZBJHMST9U32
2042-03-15
5.250000
190000.00
98740.63
Corporate Debt Securities
PUERTO RICO PUB FIN C
2031-08-01
0.000000
74996.00
4312.27
Other Instrument
Municipal debt
SAMARCO MINERACAO SA
2024-09-26
0.000000
2200000.00
1732522.00
Corporate Debt Securities
BERRY GLOBAL INC SR S
549300AP2Q7ERHX6RI89
2026-02-15
4.500000
7000000.00
7179375.00
Corporate Debt Securities
CCO HLDGS LLC / CCO H
2027-05-01
5.125000
13897000.00
14507358.17
Corporate Debt Securities
DEUTSCHE BANK A G ALT
2099-12-31
7.500000
1800000.00
1696327.40
Corporate Debt Securities
FERRELLGAS L P / FERR
2021-05-01
6.500000
2274000.00
2026291.92
Corporate Debt Securities
INTELSAT LUXEMBOURG S
54930027UF5LR7S2XC75
2023-06-01
8.125000
6926000.00
5633026.42
Corporate Debt Securities
NETFLIX INC 5.875%28
549300Y7VHGU0I7CE873
2028-11-15
5.875000
496535.00
549783.21
Corporate Debt Securities
PACIFIC GAS & ELEC CO
2039-03-01
0.000000
10040000.00
11470700.00
Corporate Debt Securities
ROYAL BK SCOTLAND GRO
2138005O9XJIJN4JPN90
2099-12-31
8.625000
500000.00
536093.75
Corporate Debt Securities
SPRINT CORPORATION SR
549300ZTTY7CXOLJ6539
2026-03-01
7.625000
452000.00
520504.68
Corporate Debt Securities
WEATHERFORD INTL LTD
549300A2JKMG5PGOGF82
2020-09-15
0.000000
4000000.00
1800000.00
Corporate Debt Securities
BWAY HOLDING COMPANY
549300DNGHXL0OMHW304
2025-04-15
7.250000
2073000.00
2003442.21
Corporate Debt Securities
CITGO HOLDING INC SR
2020-02-15
10.750000
291000.00
312951.10
Corporate Debt Securities
DIGICEL LTD SR GLBL 1
2021-04-15
6.000000
413000.00
290132.50
Corporate Debt Securities
FRONTIER COMMUNICATIO
549300ZCZ76HYCS0H445
2025-09-15
11.000000
26465000.00
16474462.50
Corporate Debt Securities
GLOBAL AIRCRAFT LEASI
2024-09-15
6.500000
5581000.00
5567047.50
Corporate Debt Securities
QGOG CONSTELLATION S
2019-11-09
6.250000
4000000.00
180250.00
Corporate Debt Securities
SCHAHIN II FINANCE CO
2023-09-25
0.000000
35150000.00
3053363.33
Corporate Debt Securities
VIASAT INC SR SEC 144
UFC8NYMNFSYIHNSM2I38
2027-04-15
5.625000
1185000.00
1265175.62
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+
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0264
106000000.00
106000000.00
0.0019
N
Y
Y
N
HSBC SECURITIES (USA) INC
HSBC SECURITIES (USA) INC 2.490
0HSN21ZM3
CYYGQCGNHMHPSMRL3R97
0000853784
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
SYNCHRONY CC MSTR NT
549300G1V1M796QIYC04
2024-05-15
2.210000
21169000.00
21191372.10
Asset-Backed Securities
PUERTO RICO PUB FIN C
2031-08-01
0.000000
178865.00
10284.74
Other Instrument
Municipal debt
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0249
20000000.00
20000000.00
0.0004
N
Y
Y
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.550
45580DZL1
5493002ERZU2K9PZDL40
US45580DZL18
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
2019-09-24
2019-09-24
2019-09-24
N
N
N
0.0255
470097426.30
470097426.30
0.0086
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.540
45580DZS6
US45580DZS60
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
2019-10-11
2019-10-11
2019-10-11
N
N
N
0.0254
100025097.00
100025097.00
0.0018
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.660
45580DYZ1
5493002ERZU2K9PZDL40
US45580DYZ13
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
2019-09-03
2019-09-03
2019-09-03
N
N
N
0.0266
200048254.00
200048254.00
0.0036
N
N
N
N
INDUSTRIAL & COMMERCIAL BK OF CHINA NY
INDUSTRIAL & COMMERCIAL BK OF CHINA NY 2.500
45580DZW7
5493002ERZU2K9PZDL40
US45580DZW72
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
2019-10-25
2019-10-25
2019-10-25
N
N
N
0.0250
40008455.20
40008455.20
0.0007
N
N
N
N
INDUSTRIAL AND COMMERCIAL BANK OF CHINA LIMITED- LONDON BRANCH
INDUSTRIAL AND COMMERCIAL BANK OF CHINA LIMITED- LONDON BRANCH 2.595
8E5025N
5493002ERZU2K9PZDL40
XS2025543930
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
2019-09-23
2019-09-23
2019-09-23
N
N
N
0.0260
199300456.00
199300456.00
0.0036
N
N
N
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.600
0INB02XI3
3TK20IVIUJ8J3ZU0QE75
0001017255
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
2019-11-04
2019-11-04
2019-11-04
N
N
N
0.0260
75054816.75
75054816.75
0.0014
N
N
N
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.468
PPEP7QXG3
3TK20IVIUJ8J3ZU0QE75
0001017255
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
2019-10-04
2019-10-04
2019-10-04
N
N
N
0.0250
60006379.20
60006379.20
0.0011
N
N
N
N
ING BANK N V - AMSTERDAM
ING BANK N V - AMSTERDAM 2.695
0ING01C71
3TK20IVIUJ8J3ZU0QE75
0001017255
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
2019-12-20
2019-12-20
2019-12-20
N
N
N
0.0269
300413862.00
300413862.00
0.0055
N
N
N
N
ING BANK NV
ING BANK NV 2.725
PPE08IFX8
3TK20IVIUJ8J3ZU0QE75
0001017255
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
2019-08-06
2019-11-06
2019-11-06
N
N
N
0.0276
374999688.75
374999688.75
0.0068
N
N
N
N
ING BANK NV
ING BANK NV 2.579
PPQD33NM0
3TK20IVIUJ8J3ZU0QE75
0001114446
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
2019-08-10
2020-02-10
2020-02-10
N
N
N
0.0261
305086659.65
305086659.65
0.0056
N
N
N
N
ING FINANCIAL MARKETS LLC
ING FINANCIAL MARKETS LLC 2.470
0IFX04M92
0000877559
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AT&T INC 4.9%42
2042-06-15
4.900000
4.00
4.29
Corporate Debt Securities
EXPORT IMPORT BK KORE
2022-01-25
3.150500
5000000.00
5038575.42
Other Instrument
International debt
MCKESSON CORP NEW SR
549300WZWOM80UCFSF54
2024-03-15
3.796000
169000.00
178753.83
Corporate Debt Securities
PETROLEOS MEXICANOS 6
549300CAZKPF4HKMPX17
2029-01-23
6.500000
26856144.00
26065603.56
Other Instrument
International debt
PETROLEOS MEXICANOS S
549300CAZKPF4HKMPX17
2026-08-04
6.875000
34933000.00
36491399.94
Other Instrument
International debt
AT&T INC SR GLBL NT 4
549300Z40J86GGSTL398
2041-10-15
5.375000
8.00
9.06
Corporate Debt Securities
EDF S A SR GLBL 144A
549300X3UK4GG3FNMO06
2028-09-21
4.500000
4.00
4.45
Corporate Debt Securities
PERUSAHAAN PENERBIT S
254900G208H6Q0L5B953
2024-09-10
4.350000
6000000.00
6461500.00
Other Instrument
International debt
PETROLEOS MEXICANOS S
549300CAZKPF4HKMPX17
2021-02-04
6.375000
861000.00
917108.50
Other Instrument
International debt
UNITEDHEALTH GROUP IN
549300GHBMY8T5GXDE41
2059-08-15
3.875000
5.00
4.96
Corporate Debt Securities
AT&T INC SR GLBL NT 2
549300Z40J86GGSTL398
2024-06-01
3.550000
570.00
595.27
Corporate Debt Securities
DELL INTL LLC/EMC COR
2026-10-01
4.900000
21.00
22.25
Corporate Debt Securities
EUROPEAN INVT BK SR N
2020-03-16
1.625000
1000.00
1002.40
Corporate Debt Securities
MASTERCARD INC SR GLB
AR5L2ODV9HN37376R084
2029-06-01
2.950000
10.00
10.33
Corporate Debt Securities
PHILIPPINES REP SR GL
2024-10-21
9.500000
20982000.00
28728659.31
Other Instrument
International debt
CVS HEALTH CORP SR GL
549300EJG376EN5NQE29
2048-03-25
5.050000
90910.00
99635.97
Corporate Debt Securities
EDISON INTL SR GLBL N
549300I7ROF15MAEVP56
2028-03-15
4.125000
49980.00
51790.21
Corporate Debt Securities
KEB HANA BANK SR GLBL
2024-01-30
3.500000
10.00
10.32
Corporate Debt Securities
PERUSAHAAN PENERBIT S
2025-05-28
4.325000
5000000.00
5337243.06
Other Instrument
International debt
PETROLEOS MEXICANOS N
549300CAZKPF4HKMPX17
2027-03-13
6.500000
44371000.00
44847371.99
Other Instrument
International debt
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0247
144000000.00
144000000.00
0.0026
N
Y
Y
N
ING FINANCIAL MARKETS LLC
ING FINANCIAL MARKETS LLC 2.350
0IFX04M76
0000877559
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
BERKSHIRE HATHAWAY FI
549300RLHFT5RU20WM87
2049-01-15
4.250000
6.00
6.74
Corporate Debt Securities
HCA INC SR SEC GLBL N
L3CJ6J7LJ2DX62FTXD46
2047-06-15
5.500000
6000000.00
6459690.00
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2025-01-27
5.299000
30378100.00
32730628.16
Corporate Debt Securities
PETROLEOS MEXICANOS S
549300CAZKPF4HKMPX17
2021-02-04
6.375000
39139000.00
41689558.17
Other Instrument
International debt
CHARTER COMMUNICATION
2045-10-23
6.484000
1187000.00
1411593.19
Corporate Debt Securities
HCA INC SR SEC GLBL N
L3CJ6J7LJ2DX62FTXD46
2049-06-15
5.250000
1610000.00
1685106.50
Corporate Debt Securities
U.S. TREASURY
2020-06-15
1.500000
100.00
99.71
U.S. Treasuries (including strips)
CHARTER COMMUNICATION
2055-10-23
6.834000
2000000.00
2427227.67
Corporate Debt Securities
INDONESIA REP FR 3.85
2027-07-18
3.850000
579.00
607.16
Other Instrument
International debt
PETROLEOS MEXICANOS N
549300CAZKPF4HKMPX17
2027-03-13
6.500000
16528000.00
16705446.44
Other Instrument
International debt
U.S. TREASURY
254900HROIFWPRGM1V77
2026-08-15
1.500000
131600.00
128619.06
U.S. Treasuries (including strips)
AT&T INC SR GLBL NT 4
549300Z40J86GGSTL398
2041-10-15
5.375000
106.00
119.99
Corporate Debt Securities
PETROLEOS MEXICANOS 6
549300CAZKPF4HKMPX17
2029-01-23
6.500000
143856.00
139621.44
Other Instrument
International debt
PETROLEOS MEXICANOS S
549300CAZKPF4HKMPX17
2026-08-04
6.875000
4633000.00
4839683.28
Other Instrument
International debt
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2019-08-30
2019-08-30
2019-08-30
N
N
N
0.0235
100000000.00
100000000.00
0.0018
N
N
N
Y
KBC BANK NV - LONDON
KBC BANK NV - LONDON 2.578
6E4872N
6B2PBRV1FCJDMR45RZ53
XS1982749845
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
2019-10-11
2019-10-11
2019-10-11
N
N
N
0.0258
248865175.00
248865175.00
0.0045
N
N
N
N
KBC BANK NV/NEW YORK NY
KBC BANK NV/NEW YORK NY 2.380
4823TA6N2
6B2PBRV1FCJDMR45RZ53
US4823TA6N20
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0238
150000604.50
150000604.50
0.0027
N
Y
Y
N
KELLS FUNDING LLC
KELLS FUNDING LLC 2.254
48802TN27
US48802TN279
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+
2019-11-07
2019-11-07
2019-11-07
N
Y
GERMANY (FEDERAL REPUBLIC OF)
1.0000
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+
N
0.0225
99398850.00
99398850.00
0.0018
N
N
N
N
KELLS FUNDING LLC
KELLS FUNDING LLC 2.522
48802TK95
US48802TK952
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+
2019-08-14
2019-08-14
2019-08-14
N
Y
GERMANY (FEDERAL REPUBLIC OF)
1.0000
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+
N
0.0252
149866650.00
149866650.00
0.0027
N
N
N
N
KELLS FUNDING LLC
KELLS FUNDING LLC 2.262
48803NBU0
US48803NBU00
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+
2019-10-30
2019-10-30
2019-10-30
N
Y
GERMANY (FEDERAL REPUBLIC OF)
1.0000
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+
N
0.0226
94476257.40
94476257.40
0.0017
N
N
N
N
KELLS FUNDING LLC
KELLS FUNDING LLC 2.242
48803NBM8
US48803NBM83
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+
2020-01-07
2020-01-07
2020-01-07
N
Y
GERMANY (FEDERAL REPUBLIC OF)
1.0000
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+
N
0.0224
49517111.00
49517111.00
0.0009
N
N
N
N
KELLS FUNDING LLC
KELLS FUNDING LLC 2.264
48803NBZ9
US48803NBZ96
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+
2019-11-12
2019-11-12
2019-11-12
N
Y
GERMANY (FEDERAL REPUBLIC OF)
1.0000
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+
N
0.0226
73532040.28
73532040.28
0.0013
N
N
N
N
LLOYDS BANK PLC
LLOYDS BANK PLC 2.449
53946BDY4
H7FNTJ4851HG0EXQ1Z70
US53946BDY48
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
2019-08-27
2020-01-24
2020-01-24
N
N
N
0.0248
55001399.75
55001399.75
0.0010
N
N
N
N
LLOYDS BANK PLC
LLOYDS BANK PLC 2.338
53946BDB4
H7FNTJ4851HG0EXQ1Z70
US53946BDB45
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
2019-10-04
2019-10-04
2019-10-04
N
N
N
0.0237
100004512.00
100004512.00
0.0018
N
N
N
N
LLOYDS BANK PLC
LLOYDS BANK PLC 2.627
53943SWD5
H7FNTJ4851HG0EXQ1Z70
US53943SWD51
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
2019-09-13
2019-09-13
2019-09-13
N
N
N
0.0263
199436556.00
199436556.00
0.0036
N
N
N
N
LLOYDS BANK PLC
LLOYDS BANK PLC 2.442
53946BEB3
H7FNTJ4851HG0EXQ1Z70
US53946BEB36
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
2019-08-26
2020-01-31
2020-01-31
N
N
N
0.0248
124999023.75
124999023.75
0.0023
N
N
N
N
LMA AMERICAS LLC
LMA AMERICAS LLC 2.577
53944RYD4
US53944RYD42
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
2019-11-13
2019-11-13
2019-11-13
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
0.0258
59610625.20
59610625.20
0.0011
N
N
N
N
LMA AMERICAS LLC
LMA AMERICAS LLC 2.418
53944RZ27
US53944RZ279
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
2019-12-02
2019-12-02
2019-12-02
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
0.0242
78509316.00
78509316.00
0.0014
N
N
N
N
MATCHPOINT FINANCE PLC
MATCHPOINT FINANCE PLC 2.596
57666BY61
635400YCKMVA7GIA6Q33
US57666BY610
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
2019-11-06
2019-11-06
2019-11-06
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0260
39757504.40
39757504.40
0.0007
N
N
N
N
MATCHPOINT FINANCE PLC
MATCHPOINT FINANCE PLC 2.459
57666BZ29
635400YCKMVA7GIA6Q33
US57666BZ294
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
2019-12-02
2019-12-02
2019-12-02
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0246
89320169.70
89320169.70
0.0016
N
N
N
N
MATCHPOINT FINANCE PLC
MATCHPOINT FINANCE PLC 2.502
57666BVE7
635400YCKMVA7GIA6Q33
US57666BVE72
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
2019-08-14
2019-08-14
2019-08-14
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0250
34968952.90
34968952.90
0.0006
N
N
N
N
MATCHPOINT FINANCE PLC
MATCHPOINT FINANCE PLC 2.455
57666BY46
635400YCKMVA7GIA6Q33
US57666BY461
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
2019-11-04
2019-11-04
2019-11-04
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0246
99405333.00
99405333.00
0.0018
N
N
N
N
METLIFE SHORT TERM FUNDING LLC
METLIFE SHORT TERM FUNDING LLC 2.583
59157UXQ8
54930024MDLTV1K1YL10
US59157UXQ83
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+
2019-10-24
2019-10-24
2019-10-24
N
N
N
0.0258
40787318.24
40787318.24
0.0007
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON 2.356
8E6130N
XS2028896624
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
2019-11-15
2019-11-15
2019-11-15
N
N
N
0.0236
64577733.35
64577733.35
0.0012
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON
MITSUBISHI UFJ TRUST & BANKING CORP-LONDON 2.583
6E8968N
JBONEPAGQXF4QP29B387
XS1991434256
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
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0258
49993889.50
49993889.50
0.0009
N
N
Y
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.427
60683BTR4
JBONEPAGQXF4QP29B387
US60683BTR41
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
2019-08-29
2020-01-29
2020-01-29
N
N
N
0.0246
199987216.00
199987216.00
0.0036
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.442
60683BTM5
US60683BTM53
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
2019-08-27
2020-01-27
2020-01-27
N
N
N
0.0248
99989961.00
99989961.00
0.0018
N
N
N
N
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF
MITSUBISHI UFJ TRUST & BANKING CORP-NEW YORK IBF 2.427
60683BTQ6
JBONEPAGQXF4QP29B387
US60683BTQ67
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
2019-08-30
2020-01-30
2020-01-30
N
N
N
0.0246
199987206.00
199987206.00
0.0036
N
N
N
N
MIZUHO BANK LIMITED-LONDON
MIZUHO BANK LIMITED-LONDON 2.366
8E5826N
RB0PEZSDGCO3JS6CEU02
XS2027395040
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
2019-10-11
2019-10-11
2019-10-11
N
N
N
0.0237
74666985.00
74666985.00
0.0014
N
N
N
N
MIZUHO BANK LIMITED-LONDON
MIZUHO BANK LIMITED-LONDON 2.337
8E6570N
XS2030516897
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
2019-10-16
2019-10-16
2019-10-16
N
N
N
0.0234
134359144.20
134359144.20
0.0024
N
N
N
N
MIZUHO BANK LIMITED-LONDON
MIZUHO BANK LIMITED-LONDON 2.520
7E3171N
549300IJV8X2BVHFN697
XS2004424748
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
2019-08-26
2019-08-26
2019-08-26
N
N
N
0.0252
199678406.00
199678406.00
0.0036
N
N
N
N
MIZUHO BANK LIMITED-LONDON
MIZUHO BANK LIMITED-LONDON 2.356
8E5547N
549300IJV8X2BVHFN697
XS2027488563
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
2019-10-10
2019-10-10
2019-10-10
N
N
N
0.0236
99562120.00
99562120.00
0.0018
N
N
N
N
MIZUHO BANK LIMITED-LONDON
MIZUHO BANK LIMITED-LONDON 2.608
6E5878N
RB0PEZSDGCO3JS6CEU02
XS1984568532
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
2019-10-16
2019-10-16
2019-10-16
N
N
N
0.0261
74643969.00
74643969.00
0.0014
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.547
60689GYC4
RB0PEZSDGCO3JS6CEU02
US60689GYC40
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
2019-11-12
2019-11-12
2019-11-12
N
N
N
0.0255
84446272.60
84446272.60
0.0015
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.270
60710ABW1
RB0PEZSDGCO3JS6CEU02
US60710ABW18
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
2019-12-18
2019-12-18
2019-12-18
N
N
N
0.0227
75011037.75
75011037.75
0.0014
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.610
60710A5W8
RB0PEZSDGCO3JS6CEU02
US60710A5W82
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
2019-10-21
2019-10-21
2019-10-21
N
N
N
0.0261
100069246.00
100069246.00
0.0018
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.600
60710A5E8
RB0PEZSDGCO3JS6CEU02
US60710A5E84
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
2019-10-15
2019-10-15
2019-10-15
N
N
N
0.0260
200115130.00
200115130.00
0.0036
N
N
N
N
MIZUHO BANK LIMITED-NEW YORK
MIZUHO BANK LIMITED-NEW YORK 2.632
60689GW93
RB0PEZSDGCO3JS6CEU02
US60689GW933
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
2019-09-09
2019-09-09
2019-09-09
N
N
N
0.0263
34908222.30
34908222.30
0.0006
N
N
N
N
MUFG BANK LTD LONDON BRANCH
MUFG BANK LTD LONDON BRANCH 2.616
6E6414N
C3GTMMZIHMY46P4OIX74
XS1986372545
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
2019-12-18
2019-12-18
2019-12-18
N
N
N
0.0262
198278174.00
198278174.00
0.0036
N
N
N
N
MUFG BANK LTD LONDON BRANCH
MUFG BANK LTD LONDON BRANCH 2.263
8E1349N
C3GTMMZIHMY46P4OIX74
XS2017793592
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
2020-03-19
2020-03-19
2020-03-19
N
N
N
0.0226
98624603.00
98624603.00
0.0018
N
N
N
N
MUFG BANK LTD NEW YORK BRANCH
MUFG BANK LTD NEW YORK BRANCH 2.694
55379WVQ6
C3GTMMZIHMY46P4OIX74
US55379WVQ67
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
2019-08-08
2019-08-08
2019-08-08
N
N
N
0.0273
150009727.50
150009727.50
0.0027
N
N
N
N
MUFG BANK LTD NEW YORK BRANCH
MUFG BANK LTD NEW YORK BRANCH 2.552
55379WXL5
C3GTMMZIHMY46P4OIX74
US55379WXL52
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
2019-08-22
2019-08-22
2019-08-22
N
N
N
0.0259
50005553.00
50005553.00
0.0009
N
N
N
N
MUFG BANK LTD NEW YORK BRANCH
MUFG BANK LTD NEW YORK BRANCH 2.271
62479LCD5
C3GTMMZIHMY46P4OIX74
US62479LCD55
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
2020-03-13
2020-03-13
2020-03-13
N
N
N
0.0227
14792833.35
14792833.35
0.0003
N
N
N
N
MUFG BANK LTD NEW YORK BRANCH
MUFG BANK LTD NEW YORK BRANCH 2.439
55379WN77
C3GTMMZIHMY46P4OIX74
US55379WN777
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
2019-08-24
2020-02-24
2020-02-24
N
N
N
0.0247
75001001.25
75001001.25
0.0014
N
N
N
N
MUFG BANK LTD NEW YORK BRANCH
MUFG BANK LTD NEW YORK BRANCH 2.590
55379WWZ5
C3GTMMZIHMY46P4OIX74
US55379WWZ57
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
2019-08-19
2019-08-19
2019-08-19
N
N
N
0.0263
435048572.10
435048572.10
0.0079
N
N
N
N
MUFG BANK LTD NEW YORK BRANCH
MUFG BANK LTD NEW YORK BRANCH 2.230
55379WT55
US55379WT550
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
2020-03-13
2020-03-13
2020-03-13
N
N
N
0.0223
160026888.00
160026888.00
0.0029
N
N
N
N
NATIONAL AUSTRALIA BANK LIMITED
NATIONAL AUSTRALIA BANK LIMITED 2.684
63254GKA2
F8SB4JFBSYQFRQEH3Z21
US63254GKA21
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+
2019-08-17
2019-12-17
2019-12-17
N
N
N
0.0272
123115711.02
123115711.02
0.0022
N
N
N
N
NATIONAL AUSTRALIA BANK LIMITED-LONDON
NATIONAL AUSTRALIA BANK LIMITED-LONDON 2.567
7E0204N
F8SB4JFBSYQFRQEH3Z21
XS1995779219
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+
2019-08-10
2020-05-11
2020-05-11
N
N
N
0.0260
254960457.15
254960457.15
0.0046
N
N
N
N
NATIONAL AUSTRALIA BANK LIMITED-LONDON
NATIONAL AUSTRALIA BANK LIMITED-LONDON 2.326
4E9744N
F8SB4JFBSYQFRQEH3Z21
XS1945294731
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+
2019-10-29
2020-01-29
2020-01-29
N
N
N
0.0236
274972329.50
274972329.50
0.0050
N
N
N
N
NATIONAL AUSTRALIA BANK LIMITED-LONDON
NATIONAL AUSTRALIA BANK LIMITED-LONDON 2.602
6E8797N
F8SB4JFBSYQFRQEH3Z21
XS1991242345
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+
2019-08-03
2020-04-30
2020-04-30
N
N
N
0.0264
209973571.50
209973571.50
0.0038
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 3.050
63873NC58
KX1WK48MPD4Y2NCUIZ63
US63873NC581
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
2019-09-16
2019-09-16
2019-09-16
N
N
N
0.0305
183202621.26
183202621.26
0.0033
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.250
63873N2F7
KX1WK48MPD4Y2NCUIZ63
US63873N2F74
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
2020-03-18
2020-03-18
2020-03-18
N
N
N
0.0225
195124959.90
195124959.90
0.0036
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.700
63873NP70
KX1WK48MPD4Y2NCUIZ63
US63873NP708
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
2019-12-20
2019-12-20
2019-12-20
N
N
N
0.0270
444883306.92
444883306.92
0.0081
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.453
63873NF30
KX1WK48MPD4Y2NCUIZ63
US63873NF303
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
2019-10-15
2019-10-15
2019-10-15
N
N
N
0.0249
300059658.00
300059658.00
0.0055
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.650
63873NS69
KX1WK48MPD4Y2NCUIZ63
US63873NS694
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
2019-12-16
2019-12-16
2019-12-16
N
N
N
0.0265
250440112.50
250440112.50
0.0046
N
N
N
N
NATIXIS - NEW YORK BRANCH
NATIXIS - NEW YORK BRANCH 2.554
63873LCP8
KX1WK48MPD4Y2NCUIZ63
US63873LCP85
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
2019-08-07
2020-02-07
2020-02-07
N
N
N
0.0259
120034298.40
120034298.40
0.0022
N
N
N
N
NEW YORK STATE HOUSING FINANCE AGENCY
NEW YORK STATE HOUSING FINANCE AGENCY 2.480
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
2019-08-01
2019-08-01
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
0.0248
38850000.00
38850000.00
0.0007
N
Y
Y
N
NIEUW AMSTERDAM RECEIVABLES CORPORATION
NIEUW AMSTERDAM RECEIVABLES CORPORATION 2.228
65409RAG5
54930052Z500U6IGFJ82
US65409RAG56
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
2020-01-16
2020-01-16
2020-01-16
N
Y
COOPERATIEVE RABOBANK U.A
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
0.0223
74235979.50
74235979.50
0.0014
N
N
N
N
NORDEA BANK ABP
NORDEA BANK ABP 2.361
65558TGK5
529900ODI3047E2LIV03
US65558TGK51
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+
2019-10-09
2020-04-09
2020-04-09
N
N
N
0.0239
95006129.40
95006129.40
0.0017
N
N
N
N
NORDEA BANK ABP
NORDEA BANK ABP 2.570
65558KX41
529900ODI3047E2LIV03
US65558KX414
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+
2019-10-04
2019-10-04
2019-10-04
N
N
N
0.0257
124493992.50
124493992.50
0.0023
N
N
N
N
NORDEA BANK ABP
NORDEA BANK ABP 2.571
65558KX82
529900ODI3047E2LIV03
US65558KX828
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+
2019-10-08
2019-10-08
2019-10-08
N
N
N
0.0257
99573158.00
99573158.00
0.0018
N
N
N
N
NORINCHUKIN BANK-NEW YORK
NORINCHUKIN BANK-NEW YORK 2.250
65602VQA7
5493007VSMFZCPV1NB83
US65602VQA79
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2019-11-01
2019-11-01
2019-11-01
N
N
N
0.0225
64998045.45
64998045.45
0.0012
N
N
N
N
NORINCHUKIN BANK-NEW YORK
NORINCHUKIN BANK-NEW YORK 2.530
65602VME3
5493007VSMFZCPV1NB83
US65602VME38
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2019-11-25
2019-11-25
2019-11-25
N
N
N
0.0253
100080706.00
100080706.00
0.0018
N
N
N
N
NORINCHUKIN BANK-NEW YORK
NORINCHUKIN BANK-NEW YORK 2.220
65602VQG4
5493007VSMFZCPV1NB83
0001496637
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2020-01-31
2020-01-31
2020-01-31
N
N
N
0.0222
400000000.00
400000000.00
0.0073
N
N
N
N
OLD LINE FUNDING LLC
OLD LINE FUNDING LLC 2.572
67983UXG3
5493004QSN8OZAIU2J90
US67983UXG39
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+
2019-10-16
2019-10-16
2019-10-16
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+
0.0257
99528803.00
99528803.00
0.0018
N
N
N
N
OLD LINE FUNDING LLC
OLD LINE FUNDING LLC 2.603
67984WLK2
5493004QSN8OZAIU2J90
US67984WLK26
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+
2019-08-21
2019-08-21
2019-08-21
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
79894440.00
79894440.00
0.0015
N
N
N
N
OLD LINE FUNDING LLC
OLD LINE FUNDING LLC 2.585
67984XFH4
5493004QSN8OZAIU2J90
US67984XFH44
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+
2019-11-04
2019-11-04
2019-11-04
N
N
Y
ROYAL BANK OF CANADA
Liquidity/Partial C/E
1.0000
Fitch Long Rating
AA
Fitch Short Rating
F1+
Moody's Long Rating
Aa2
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
0.0259
149127199.50
149127199.50
0.0027
N
N
N
N
OVERSEA-CHINESE BANKING CORPORATION-LONDON
OVERSEA-CHINESE BANKING CORPORATION-LONDON 2.292
7E8800N
5493007O3QFXCPOGWK22
XS2014323674
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+
2020-03-13
2020-03-13
2020-03-13
N
N
N
0.0229
172563622.00
172563622.00
0.0031
N
N
N
N
RABOBANK LONDON
RABOBANK LONDON 2.560
8E5348N
XS2025593950
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
2020-07-06
2020-07-06
2020-07-06
N
N
N
0.0256
240000000.00
240000000.00
0.0044
N
N
N
N
RABOBANK LONDON
RABOBANK LONDON 2.645
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
2019-08-05
2019-08-05
2019-08-05
N
N
N
0.0268
199999774.00
199999774.00
0.0036
N
N
Y
N
RABOBANK LONDON
RABOBANK LONDON 2.592
6E8746N
DG3RU1DBUFHT4ZF9WN62
XS1991242261
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
2019-08-01
2020-04-30
2020-04-30
N
N
N
0.0263
374972156.25
374972156.25
0.0068
N
N
N
N
RABOBANK LONDON
RABOBANK LONDON 2.346
4E9971N
DG3RU1DBUFHT4ZF9WN62
XS1946054555
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
2019-10-30
2020-01-29
2020-01-29
N
N
N
0.0238
437185794.92
437185794.92
0.0080
N
N
N
N
RABOBANK LONDON
RABOBANK LONDON 2.462
7E2118N
DG3RU1DBUFHT4ZF9WN62
XS2001330302
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
2019-08-20
2020-05-18
2020-05-18
N
N
N
0.0250
249980152.50
249980152.50
0.0046
N
N
N
N
REGENCY MARKETS NO 1 LLC
REGENCY MARKETS NO 1 LLC 2.421
7588R1V85
US7588R1V850
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
2019-08-08
2019-08-08
2019-08-08
N
Y
HSBC BANK PLC
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
0.0242
43435879.81
43435879.81
0.0008
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.579
78014XCZ8
US78014XCZ87
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+
2019-08-12
2020-07-10
2020-07-10
N
N
N
0.0262
99977840.00
99977840.00
0.0018
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.420
0ROY01ZE1
0001000275
Non-Negotiable Time 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+
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0242
100000000.00
100000000.00
0.0018
N
Y
Y
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.495
78012UPK5
ES7IP3U3RHIGC71XBU11
US78012UPK50
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+
2019-08-14
2020-05-14
2020-05-14
N
N
N
0.0253
99992920.00
99992920.00
0.0018
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.513
78014XAV9
ES7IP3U3RHIGC71XBU11
US78014XAV91
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+
2019-10-08
2020-01-08
2020-01-08
N
N
N
0.0255
100077491.00
100077491.00
0.0018
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.363
78014XCC9
ES7IP3U3RHIGC71XBU11
US78014XCC92
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+
2019-10-17
2020-04-17
2020-04-17
N
N
N
0.0240
299999148.00
299999148.00
0.0055
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.760
78014XDR5
ES7IP3U3RHIGC71XBU11
0001000275
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+
2019-10-31
2020-07-31
2020-07-31
N
N
N
0.0280
177001536.36
177001536.36
0.0032
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.582
78014XCH8
ES7IP3U3RHIGC71XBU11
US78014XCH89
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+
2019-08-03
2020-05-01
2020-05-01
N
N
N
0.0262
125003337.50
125003337.50
0.0023
N
N
N
N
ROYAL BANK OF CANADA
ROYAL BANK OF CANADA 2.463
78014XBB2
ES7IP3U3RHIGC71XBU11
US78014XBB29
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+
2019-10-15
2020-01-14
2020-01-14
N
N
N
0.0250
115067580.90
115067580.90
0.0021
N
N
N
N
ROYAL BANK OF CANADA NY BRANCH
ROYAL BANK OF CANADA NY BRANCH 2.656
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+
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0269
145000000.00
145000000.00
0.0026
N
N
Y
N
SAN FRANCISCO CITY & COUNTY MULTIFAMILY HOUSING REVENUE
SAN FRANCISCO CITY & COUNTY MULTIFAMILY HOUSING REVENUE 2.240
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
2019-08-07
2019-08-07
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
0.0224
15190000.00
15190000.00
0.0003
N
N
Y
N
SAN FRANCISCO CITY & COUNTY MULTIFAMILY HOUSING REVENUE
SAN FRANCISCO CITY & COUNTY MULTIFAMILY HOUSING REVENUE 2.410
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
2019-08-07
2019-08-07
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
0.0241
24190000.00
24190000.00
0.0004
N
N
Y
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.350
ORX001JW7
0000917311
Non-Negotiable Time 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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0235
72783000.00
72783000.00
0.0013
N
Y
Y
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.600
83050F7L9
F3JS33DEI6XQ4ZBPTN86
US83050F7L94
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
2019-12-02
2019-12-02
2019-12-02
N
N
N
0.0260
300375084.00
300375084.00
0.0055
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.419
83050F4W8
F3JS33DEI6XQ4ZBPTN86
US83050F4W86
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
2019-10-04
2019-10-04
2019-10-04
N
N
N
0.0245
100021924.00
100021924.00
0.0018
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.300
83050PBK4
F3JS33DEI6XQ4ZBPTN86
US83050PBK49
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
2019-12-13
2019-12-13
2019-12-13
N
N
N
0.0230
100032818.00
100032818.00
0.0018
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.276
83050F5V9
F3JS33DEI6XQ4ZBPTN86
US83050F5V94
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
2019-10-28
2019-10-28
2019-10-28
N
N
N
0.0231
35000792.75
35000792.75
0.0006
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.266
83050F5W7
F3JS33DEI6XQ4ZBPTN86
US83050F5W77
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
2019-10-29
2019-10-29
2019-10-29
N
N
N
0.0230
114999839.00
114999839.00
0.0021
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.467
83050F6W6
F3JS33DEI6XQ4ZBPTN86
US83050F6W68
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
2019-08-09
2019-09-09
2019-09-09
N
N
N
0.0250
200002774.00
200002774.00
0.0036
N
N
N
N
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK
SKANDINAVISKA ENSKILDA BANKEN AB/NEW YORK 2.260
83050PCM9
0000917311
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
2019-10-31
2019-10-31
2019-10-31
N
N
N
0.0226
240000000.00
240000000.00
0.0044
N
N
N
N
SOCIETE GENERALE SA
SOCIETE GENERALE SA 2.610
0SOC01C93
O2RNE8IBXP4R0TD8PU41
0000865845
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ADIENT US LLC SR SEC
213800SOTRCDGZUHL712
2026-05-15
7.000000
3450179.00
3549659.16
Corporate Debt Securities
AEROPUERTOS DOMINICAN
2029-03-30
6.750000
7081000.00
7474880.63
Corporate Debt Securities
ALLIANCE RES OP PART
2025-05-01
7.500000
498493.00
525183.15
Corporate Debt Securities
ALLISON TRANSMISSION
MWKQ3I0U1GXP2YDSZW75
2029-06-01
5.875000
1350.00
1454.28
Corporate Debt Securities
ALTICE FRANCE S A SR
5493001ZMCICV4N02J21
2027-02-01
8.125000
77311.00
86232.64
Corporate Debt Securities
ARGENTINA REP GLBL BD
549300KPBYGYF7HCHO27
2026-04-22
7.500000
6181000.00
5414102.73
Other Instrument
International debt
AT&T INC 4.9%42
2042-06-15
4.900000
802.00
860.90
Corporate Debt Securities
AUTOPISTAS DEL NORDES
2026-01-15
9.390000
4900000.00
3749968.26
Corporate Debt Securities
BAFFINLAND IRON MINES
2026-07-15
8.750000
555604.00
575686.77
Corporate Debt Securities
BANCO DAVIVIENDA SA L
2022-07-09
5.875000
1000000.00
1063437.08
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2020-02-21
2.970000
2439574.00
2504227.59
Corporate Debt Securities
BB&T CORP SR MEDIUM T
549300DRQQI75D2JP341
2023-12-06
3.750000
190622.00
201720.97
Corporate Debt Securities
BIOSTIME INTNL HLDGS
2021-06-21
7.250000
2535741.00
2594175.04
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2019-10-14
8.875000
36000.00
37409.11
Other Instrument
International debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2025-01-07
4.250000
92301000.00
97563567.15
Other Instrument
International debt
CALUMET SPECIALTY PRO
2021-04-15
6.500000
5080000.00
5138208.33
Corporate Debt Securities
CEMEX SAB DE CV SR SE
2025-01-11
5.700000
2054000.00
2103333.66
Corporate Debt Securities
CENTRAL AMER BOTTLING
2027-01-31
5.750000
999994.00
1040003.76
Corporate Debt Securities
CHARTER COMMUNICATION
2025-07-23
4.908000
4874000.00
5257897.36
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2024-01-15
8.625000
3812000.00
3820934.38
Corporate Debt Securities
COLOMBIA TELECOMUNICA
2022-09-27
5.375000
5000000.00
5129372.92
Corporate Debt Securities
COMSTOCK RES INC SR G
I03QQGEA4SS774AURI46
2026-08-15
9.750000
5129047.00
4043932.99
Corporate Debt Securities
COSAN LUXEMBOURG S A
2027-01-20
7.000000
2099000.00
2282965.69
Corporate Debt Securities
CREDIT ACCEP CORP MIC
2023-03-15
7.375000
650000.00
690726.56
Corporate Debt Securities
CREDITO REAL S A DE C
2023-07-20
7.250000
1263230.00
1330514.54
Corporate Debt Securities
DANA INCORPORATED SR
KVWHW7YLZPFJM8QYNJ51
2024-12-15
5.500000
4000.00
4087.50
Corporate Debt Securities
DIAMOND OFFSHORE DRIL
F14FQJ2EEHW5VPYUHL14
2043-11-01
4.875000
1174000.00
747899.15
Corporate Debt Securities
DOMINICAN REPUBLIC SR
2045-01-27
6.850000
4422000.00
4944109.22
Other Instrument
International debt
EAGLE INTER GLOBAL HL
2025-05-01
7.500000
7697175.00
7378062.95
Corporate Debt Securities
ESAL GMBH SR NT REG S
2023-02-05
6.250000
4290000.00
4497558.54
Corporate Debt Securities
FREEDOM MORTGAGE CORP
549300LYRWPSYPK6S325
2025-04-15
8.250000
38210.00
34257.65
Corporate Debt Securities
GENERACION MEDITERRAN
2023-07-27
9.625000
1280000.00
1085839.47
Corporate Debt Securities
GENERAL MTRS FINL CO
5493008B6JBRUJ90QL97
2024-11-07
3.500000
9000.00
9099.81
Corporate Debt Securities
GEO GROUP INC SR NT 5
5493003VOR6NTY465495
2022-01-15
5.875000
1374000.00
1308663.44
Corporate Debt Securities
GOLDMAN SACHS GRP INC
784F5XWPLTWKTBV3E584
2023-11-29
4.124880
2631000.00
2729737.59
Corporate Debt Securities
HCA INC SR SEC GLBL N
L3CJ6J7LJ2DX62FTXD46
2029-06-15
4.125000
1675456.00
1716270.11
Corporate Debt Securities
HOWARD HUGHES CORP SR
549300BVHY25JZC1KI49
2025-03-15
5.375000
8000000.00
8361250.00
Corporate Debt Securities
HUDBAY MINERALS INC S
549300WI524AL577IX21
2025-01-15
7.625000
28000.00
28998.96
Corporate Debt Securities
ICAHN ENTERPRISES LP/
2026-05-15
6.250000
3.00
3.12
Corporate Debt Securities
IHEARTCOMMUNICATIONS
54930076J6KDZL504O62
2026-05-01
6.375000
782167.00
844357.42
Corporate Debt Securities
INDONESIA REP SR GLBL
529900FWX0GRR7WG5W79
2048-01-11
4.350000
370000.00
390093.16
Other Instrument
International debt
JBS USA LUX S A / JBS
2028-02-15
6.750000
5000000.00
5548437.50
Corporate Debt Securities
JSL EUROPE LLC SR GLB
54930068BSUST41D5C30
2024-07-26
7.750000
4657230.00
4946495.73
Corporate Debt Securities
KOHLS CORP SR GLBL NT
2045-07-17
5.550000
2731000.00
2727106.05
Corporate Debt Securities
KOSMOS ENERGY LTD SR
2026-04-04
7.125000
2179323.00
2252501.03
Corporate Debt Securities
M D C HLDGS INC CR SE
2024-01-15
5.500000
10000000.00
10797916.67
Corporate Debt Securities
MELCO RESORTS FIN LTD
2026-04-26
5.250000
1050.00
1070.66
Corporate Debt Securities
MINERAL RES LTD SR GL
5299007V1ACKFFX2P066
2027-05-01
8.125000
1025.00
1098.59
Corporate Debt Securities
MUELLER WTR PRODS INC
549300F7ZU4P1F8V8L60
2026-06-15
5.500000
2035442.00
2135941.95
Corporate Debt Securities
NAVIOS MARITIME ACQUI
2021-11-15
8.125000
4509000.00
3638434.22
Corporate Debt Securities
NETFLIX INC SR GLBL N
549300Y7VHGU0I7CE873
2028-04-15
4.875000
661000.00
692297.52
Corporate Debt Securities
ODEBRECHT OFFSHORE DR
549300L7LF2PIRAWID66
2022-12-01
6.720000
376442.00
283229.53
Corporate Debt Securities
OPPENHEIMER HLDGS INC
2022-07-01
6.750000
5588000.00
5744114.75
Corporate Debt Securities
PANTHER BF AGGREGATOR
2027-05-15
8.500000
2000000.00
2086194.44
Corporate Debt Securities
PAR PHARMACEUTICAL IN
549300KK5WR4MGN4YT97
2027-04-01
7.500000
5310772.00
4874846.13
Corporate Debt Securities
PENNEY J C CORP INC S
2023-07-01
5.875000
3448000.00
2893260.38
Corporate Debt Securities
PETROLEOS MEXICANOS S
549300CAZKPF4HKMPX17
2026-08-04
6.875000
924000.00
965220.67
Other Instrument
International debt
RENT A CTR INC NEW SR
529900QUHE15UQNCCJ63
2020-11-15
6.625000
750000.00
759301.56
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2023-03-23
3.250000
15000000.00
14045779.17
Other Instrument
International debt
REPUBLIC OF TURKEY SR
2026-10-09
4.875000
10429000.00
9713583.64
Other Instrument
International debt
REPUBLIC OF TURKEY SR
2038-03-05
7.250000
21764000.00
22789332.27
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2022-09-26
6.250000
23801000.00
24771313.88
Other Instrument
International debt
SLM CORP FR 5.625%080
2033-08-01
5.625000
4734000.00
4061624.06
Corporate Debt Securities
SPRINT CORPORATION SR
549300ZTTY7CXOLJ6539
2023-09-15
7.875000
5484000.00
6269754.38
Corporate Debt Securities
SRI LANKA GOVT DEMOCR
2022-07-25
5.875000
358000.00
361782.62
Other Instrument
International debt
STAPLES INC SR SEC 14
XQM2JINI1UL7642TU573
2026-04-15
7.500000
6415870.00
6683197.92
Corporate Debt Securities
STONEWAY CAP CORP SR
549300CV1RKODDF74O91
2027-03-01
10.000000
6500000.00
5821105.09
Corporate Debt Securities
TEVA PHARMACEUTICAL F
5493004T21MOAFINJP35
2023-07-21
2.800000
2110000.00
1835868.80
Corporate Debt Securities
TRANSOCEAN INC SR GLB
DOL4HJ22ADYSIWES4H94
2026-01-15
7.500000
1861000.00
1741198.13
Corporate Debt Securities
TRIMAS CORP SR GLBL 1
75G1WUQ8QK4P5MZOYD78
2025-10-15
4.875000
5.00
5.13
Corporate Debt Securities
ULTRAPAR INTL S A SR
2026-10-06
5.250000
1500000.00
1616362.50
Corporate Debt Securities
UNITYMEDIA HESSEN GMB
2025-01-15
5.000000
884000.00
915676.67
Corporate Debt Securities
VIETNAM SOCIALIST REP
5493008AE7RS4XK4BZ08
2024-11-19
4.800000
10000000.00
10980466.67
Other Instrument
International debt
VOTO-VOTORANTIM LTD S
2021-04-05
6.750000
1500000.00
1612968.75
Corporate Debt Securities
WELLS FARGO CO MTN BE
PBLD0EJDB5FWOLXP3B76
2024-09-09
3.300000
824000.00
860350.76
Corporate Debt Securities
WYNDHAM DESTINATIONS
T4VNTWMFQ7JQB65L7T35
2027-04-01
5.750000
2727000.00
2952678.19
Corporate Debt Securities
ZAYO GROUP LLC/ZAYO C
2023-04-01
6.000000
5522000.00
5755764.67
Corporate Debt Securities
ADANI PORTS & SPL ECO
335800QOAXP5TM7OYP69
2029-07-03
4.375000
3000000.00
3072993.75
Corporate Debt Securities
ADVANCED MICRO DEVICE
R2I72C950HOYXII45366
2024-07-01
7.000000
128000.00
134001.78
Corporate Debt Securities
ALTICE FINANCING S.A.
549300DIYGW8HVDF7Q17
2023-02-15
6.625000
7546000.00
7947064.66
Corporate Debt Securities
ALTICE S A SR GLBL 14
2221006ZDZREFLFIFQ42
2027-05-15
10.500000
4680786.00
5015072.13
Corporate Debt Securities
APX GROUP INC 8.5%24
2024-11-01
8.500000
2000000.00
1922777.78
Corporate Debt Securities
ARGENTINA REP GLBL BD
549300KPBYGYF7HCHO27
2027-01-26
6.875000
7858801.00
6493522.06
Other Instrument
International debt
ASB BK LTD VR 061418-
2023-06-14
3.397880
251000.00
254731.40
Corporate Debt Securities
BALL CORP SR NT 5.25%
0BGI85ALH27ZJP15DY16
2025-07-01
5.250000
169000.00
184552.93
Corporate Debt Securities
BANFF MERGER SUB INC
549300DSDR5SWIGOZV63
2026-09-01
9.750000
8318501.00
7676763.31
Corporate Debt Securities
BANK OF NOVA SCOTIA S
L3I9ZG2KFGXZ61BMYR72
2024-02-11
3.400000
387339.00
408158.90
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2019-11-21
2.900000
8603.00
8777.64
Corporate Debt Securities
BAUSCH HEALTH COMPANI
B3BS7ACMDUWISF18KY76
2025-11-01
5.500000
143000.00
149949.40
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2023-01-05
2.625000
585000.00
584024.76
Other Instrument
International debt
BRAZIL FEDERATIVE REP
2027-05-15
10.125000
3589000.00
5199002.97
Other Instrument
International debt
BROOKFIELD RESIDENTIA
2022-07-01
6.125000
1286000.00
1305205.16
Corporate Debt Securities
CALFRAC HLDGS LP SR G
2026-06-15
8.500000
4948000.00
3404842.50
Corporate Debt Securities
CEMENTOS PROGRESO TR
2023-11-06
7.125000
600000.00
630981.00
Corporate Debt Securities
CHENIERE CORPUS CHRIS
549300I7CIEWU1BBLQ53
2024-06-30
7.000000
1806000.00
2073890.00
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2026-03-15
8.000000
402619.00
400404.60
Corporate Debt Securities
CITGO HOLDING INC SR
2020-02-15
10.750000
22112000.00
23779981.87
Corporate Debt Securities
CLOUD CRANE LLC SR SE
2024-08-01
10.125000
2609000.00
2936021.84
Corporate Debt Securities
COLOMBIA TELECOMUNICA
2049-12-29
8.500000
1000000.00
1058683.33
Corporate Debt Securities
COMMSCOPE FIN LLC 6%2
549300Z6K4JXMFE8QY54
2026-03-01
6.000000
2089622.00
2179649.88
Corporate Debt Securities
CREDIT AGRICOLE SA LO
2024-10-04
3.250000
400.00
412.12
Corporate Debt Securities
CTR PARTNERSHIP LP/ C
2025-06-01
5.250000
1108000.00
1150773.42
Corporate Debt Securities
DAE FDG LLC SR GLBL 1
635400SZTPQL3Y1P2C76
2021-11-15
5.250000
1372000.00
1448746.25
Corporate Debt Securities
DAKOTA MERGER SUB INC
5493008MIJR7VMQP7U77
2024-09-01
10.750000
103000.00
104750.28
Corporate Debt Securities
DENBURY RES INC DEL S
2022-03-31
9.250000
5000000.00
4560366.67
Corporate Debt Securities
ENJOY SA SR SEC GLBL
2022-05-16
10.500000
2421292.00
2727787.21
Corporate Debt Securities
ESKOM HLDGS LTD SR NT
3789001900ED06F65111
2021-01-26
5.750000
3350000.00
3351972.78
Corporate Debt Securities
FIRST QUANTUM MINERAL
549300I7UVBGWRYMYZ18
2026-03-01
6.875000
1330000.00
1286382.47
Corporate Debt Securities
FREEDOM MORTGAGE CORP
2024-04-01
10.750000
2236890.00
2174319.22
Corporate Debt Securities
FRONTIER COMMUNICATIO
2022-04-15
8.750000
9833000.00
6175328.85
Corporate Debt Securities
GETTY IMAGES INC 9.75
5493005NV20IG4VEKZ40
2027-03-01
9.750000
1341188.00
1449963.94
Corporate Debt Securities
GPO CEM CHIHUAHUA SR
2024-06-23
5.250000
1445000.00
1490742.68
Corporate Debt Securities
GRUPO KUO SAB DE CV S
2027-07-07
5.750000
3429420.00
3452306.62
Corporate Debt Securities
GULFPORT ENERGY CORP
549300FJX18IDUFPHD40
2025-05-15
6.375000
880297.00
669713.45
Corporate Debt Securities
HOLOGIC INC SR GLBL 1
549300DYP6F5ZJL0LB74
2025-10-15
4.375000
3000000.00
3072031.25
Corporate Debt Securities
ICBCIL FINANCE CO. LT
2021-05-19
2.750000
10.00
10.01
Corporate Debt Securities
IHS NETH HOLDCO BV SR
5493006Z6YQYCCN2XI74
2021-10-27
9.500000
1000000.00
1058821.67
Corporate Debt Securities
INSTITUTO COSTARRI SR
5493009VA6AFUB2Q0289
2043-05-15
6.375000
2555000.00
2189740.39
Corporate Debt Securities
INTREPID AVIATION GRO
2021-08-15
8.500000
2481469.00
2658790.64
Corporate Debt Securities
JAMAICA GOVT SR GLBL
2028-04-28
6.750000
5300000.00
6226228.00
Other Instrument
International debt
JOHNSON & JOHNSON SR
549300G0CFPGEF6X2043
2047-03-03
3.750000
873000.00
950734.10
Corporate Debt Securities
KRATOS DEFENSE & SEC
5493000EKBN0UY1F3F88
2025-11-30
6.500000
1348000.00
1456963.33
Corporate Debt Securities
M/I HOMES INC SR NT 5
5299005M71FH9CCSFB69
2025-08-01
5.625000
5557000.00
5781884.84
Corporate Debt Securities
MALLINCKRODT INTL FIN
2025-04-15
5.500000
884000.00
515850.83
Corporate Debt Securities
MATTEL INC SR NT 5.45
2041-11-01
5.450000
4100000.00
3468491.81
Corporate Debt Securities
MICROSOFT CORP SR GLB
INR2EJN1ERAN0W5ZP974
2037-02-06
4.100000
441000.00
509666.64
Corporate Debt Securities
NEERG ENERGY LTD SR S
2022-02-13
6.000000
169430.00
172959.79
Corporate Debt Securities
NETFLIX INC SR NT 4.3
549300Y7VHGU0I7CE873
2026-11-15
4.375000
632000.00
644870.42
Corporate Debt Securities
NIELSEN FIN LLC/ NIEL
2020-10-01
4.500000
2400000.00
2441412.00
Corporate Debt Securities
ODEBRECHT DRILLING NO
549300YNW6BY570L6488
2021-12-01
6.350000
1706702.00
890725.07
Corporate Debt Securities
OPEN TEXT CORP SR 144
549300HP7ONDQODZJV16
2026-06-01
5.875000
1004000.00
1080181.99
Corporate Debt Securities
PARK OHIO INDS INC-OH
5493006LQUO5SLMNYM18
2027-04-15
6.625000
3397000.00
3437162.45
Corporate Debt Securities
PEPSICO INC SR NT 2.7
FJSUNZKFNQ5YPJ5OT455
2025-04-30
2.750000
34000.00
35033.43
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2115-06-05
6.850000
4257000.00
4661267.19
Corporate Debt Securities
PETROLEOS MEXICANOS S
549300CAZKPF4HKMPX17
2022-03-11
6.100630
1020000.00
1036292.56
Other Instrument
International debt
REGIONALCARE HOSP PAR
2023-05-01
8.250000
3858000.00
4197102.12
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2045-02-17
6.625000
13252000.00
12887523.99
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2034-02-14
8.000000
8846000.00
9919983.03
Other Instrument
International debt
RIO OIL FIN TR SR SEC
2028-04-06
8.200000
1800000.00
2057358.00
Corporate Debt Securities
SANDS CHINA LTD CR SE
549300EVO6UZDGY05787
2028-08-08
5.400000
7380850.00
8426864.06
Corporate Debt Securities
SPRINGLEAF FINANCE CO
5493008I795YYBFWFU90
2025-03-15
6.875000
603000.00
686383.59
Corporate Debt Securities
STATE GRID OVERSEAS I
2023-05-02
3.750000
1819822.00
1905238.38
Corporate Debt Securities
STUDIO CITY CO LTD SR
2021-11-30
7.250000
511216.00
532141.77
Corporate Debt Securities
TENCENT HLDGS LTD VR
2024-04-11
3.250750
2709000.00
2721477.58
Corporate Debt Securities
TEVA PHARMACEUTICAL F
5493004T21MOAFINJP35
2021-07-21
2.200000
1820000.00
1704411.80
Corporate Debt Securities
TRANSOCEAN INC SR 144
DOL4HJ22ADYSIWES4H94
2023-07-15
9.000000
4547000.00
4768666.25
Corporate Debt Securities
UNIFIN FIN S A B DE C
2028-01-27
8.375000
49.00
48.73
Corporate Debt Securities
UNIVISION COMMUNICATI
549300YQDE2JSGTL8V47
2023-05-15
5.125000
351000.00
351237.66
Corporate Debt Securities
VEDANTA RESOURCES PLC
2138007MYEKPEAZQTW83
2024-08-09
6.125000
1572000.00
1527345.38
Corporate Debt Securities
VIDEOTRON LTEE SR 144
549300BBCGA0CYX8IL74
2027-04-15
5.125000
1276000.00
1357253.02
Corporate Debt Securities
VIRGIN AUSTRALIA HLDG
2019-11-15
8.500000
1053000.00
1082176.87
Corporate Debt Securities
YPF SOCIEDAD ANONIMA
5493003N7447U18U5U53
2025-07-28
8.500000
6925000.00
6866637.64
Corporate Debt Securities
ZEKELMAN INDS INC SR
549300S5LMRAKDWWI425
2023-06-15
9.875000
501000.00
534112.97
Corporate Debt Securities
ALBERTSONS COS LLC/SA
2025-03-15
5.750000
3836000.00
4005023.75
Corporate Debt Securities
ALLISON TRANSMISSION
MWKQ3I0U1GXP2YDSZW75
2027-10-01
4.750000
4000000.00
4072805.56
Corporate Debt Securities
ALTICE FINANCING S.A.
549300DIYGW8HVDF7Q17
2026-05-15
7.500000
495000.00
516346.88
Corporate Debt Securities
AMC ENTMT INC SR SB G
549300ZO77UNR6NRBR11
2025-06-15
5.750000
9500000.00
9022031.25
Corporate Debt Securities
APX GROUP INC SR NT 8
549300OMQVKPRU98OE64
2020-12-01
8.750000
775000.00
743488.72
Corporate Debt Securities
ATENTO LUXCO 1 S.A. S
2022-08-10
6.125000
10.00
10.45
Corporate Debt Securities
AVON INTERNATIONAL OP
549300TLB866S6OTS133
2022-08-15
7.875000
621000.00
666701.72
Corporate Debt Securities
BANCO BTG PACTUAL SA
2022-09-28
5.750000
5300000.00
5554326.39
Corporate Debt Securities
BANK AMER CORP VR 020
9DJT3UXIJIZJI4WXO774
2026-02-05
3.335130
28639000.00
28627676.50
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2019-11-19
2.900000
18922958.00
19310142.75
Corporate Debt Securities
BED BATH & BEYOND INC
529900ZBUWWUV7BKGX39
2044-08-01
5.165000
5000.00
3540.91
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2021-01-22
4.875000
6506000.00
6760341.23
Other Instrument
International debt
BRAZIL FEDERATIVE REP
2024-04-15
8.875000
1457000.00
1886283.80
Other Instrument
International debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2028-01-13
4.625000
11425499.00
12147408.05
Other Instrument
International debt
BROOKFIELD RESIDENTIA
549300C2SXDXVIUV3Q14
2025-05-15
6.375000
4019000.00
4122614.84
Corporate Debt Securities
CENTRAIS ELECTRICAS B
2021-10-27
5.750000
423000.00
449248.91
Corporate Debt Securities
CFX ESCROW CORP SR GL
635400OP2DYYYMOIYL17
2024-02-15
6.000000
3399007.00
3685090.09
Corporate Debt Securities
CHILE REP SR GLBL NT3
549300FLZTJM5YJF8D34
2050-01-25
3.500000
7.00
7.12
Other Instrument
International debt
CHURCHILL DOWNS INC S
2028-01-15
4.750000
2.00
2.00
Corporate Debt Securities
CITIGROUP INC PERP SU
6SHGI4ZSSLCXXQSBB395
2099-12-31
5.950000
3400000.00
3663145.83
Corporate Debt Securities
CNOOC FIN 2015 AUSTRA
2020-05-05
2.625000
1493000.00
1502552.09
Corporate Debt Securities
CONUMA COAL RES LTD S
2023-05-01
10.000000
2000.00
2089.44
Corporate Debt Securities
COUNTRY GARDEN HLDGS
549300MGHLPT1EFHGF84
2021-04-04
7.250000
4021000.00
4150601.30
Corporate Debt Securities
CREDIT SUISSE GROUP A
2099-01-01
7.500000
1501000.00
1598877.71
Corporate Debt Securities
CURO GROUP HLDGS CORP
54930007KH8KCGJ4YE72
2025-09-01
8.250000
110.00
99.73
Corporate Debt Securities
DAI-ICHI LIFE HLDGS I
2099-01-01
4.000000
201000.00
203144.00
Corporate Debt Securities
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2022-03-04
2.450000
612000.00
622799.42
Corporate Debt Securities
DRIVETIME AUTOMOTIVE
2021-06-01
8.000000
4140000.00
4256380.00
Corporate Debt Securities
ENOVA INTL INC 8.5%24
549300O8XOCQSB49UO63
2024-09-01
8.500000
7250000.00
7251309.03
Corporate Debt Securities
EXELA INTERMEDIATE LL
2023-07-15
10.000000
1063000.00
870774.17
Corporate Debt Securities
FMG RESOURCES AUGUST
2022-05-15
4.750000
2208.00
2286.71
Corporate Debt Securities
GENERAL MTRS FINL CO
5493008B6JBRUJ90QL97
2023-01-05
3.250000
42596.00
43031.63
Corporate Debt Securities
GENWORTH FINL INC SR
2021-02-15
7.200000
900000.00
947700.00
Corporate Debt Securities
GOGO INTER HLDGS LLC/
2024-05-01
9.875000
1144666.00
1211696.53
Corporate Debt Securities
GRAN TIERRA ENERGY IN
549300IH2S17MAIUCM32
2027-05-23
7.750000
4500000.00
4525576.25
Corporate Debt Securities
GUATEMALA REP SR GLBL
2027-06-05
4.375000
1667990.00
1695818.79
Other Instrument
International debt
HSBC HLDGS PLC SR GLB
MLU0ZO3ML4LN2LL2TL39
2022-01-14
4.875000
17000.00
17952.28
Corporate Debt Securities
HYUNDAI CAP AMER INC
2021-03-18
3.000000
5000000.00
5073600.00
Corporate Debt Securities
IHEARTCOMMUNICATIONS
54930076J6KDZL504O62
2027-05-01
8.375000
16.00
17.19
Corporate Debt Securities
INDIGO NAT RES LLC SR
549300F7DOI6H6TA3C86
2026-02-15
6.875000
9000.00
7821.09
Corporate Debt Securities
INSTITUTO COSTARRICEN
5493009VA6AFUB2Q0289
2043-05-15
6.375000
7059000.00
6049854.18
Corporate Debt Securities
ISTAR INC SR GLBL NT6
2021-07-01
6.500000
1055000.00
1076349.10
Corporate Debt Securities
KLX ENERGY SERVICS HO
5493004D4S7MAO1H3U27
2025-11-01
11.500000
3.00
3.02
Corporate Debt Securities
KOSMOS ENERGY LTD SR
2026-04-04
7.125000
500000.00
516789.17
Corporate Debt Securities
LOUISIANA PAC CORP SR
549300C7E2UAO5BVRR75
2024-09-15
4.875000
86000.00
89292.19
Corporate Debt Securities
MAGNACHIP SEMICONDUCT
529900P54J1ATLRBUV29
2021-07-15
6.625000
2854000.00
2822635.73
Corporate Debt Securities
MARB BONDCO PLC 144A
254900PVA1EU6QM1JN57
2024-03-15
7.000000
2798000.00
2990362.50
Corporate Debt Securities
MONGOLIA GOVT BD 144A
2022-12-05
5.125000
1054000.00
1072792.67
Other Instrument
International debt
NATURAL RESOURCE PART
2025-06-30
9.125000
849971.00
871701.33
Corporate Debt Securities
NETFLIX INC SR GLBL 1
549300Y7VHGU0I7CE873
2029-05-15
6.375000
1629000.00
1850187.66
Corporate Debt Securities
NEW GOLD INC SR GLBL
5493005G0GNCHP0H6L96
2025-05-15
6.375000
5181663.00
4550957.46
Corporate Debt Securities
NOBLE HOLD INT LTD CR
549300GNEZBJHMST9U32
2025-04-01
7.950000
6197000.00
4779617.00
Corporate Debt Securities
ORBCOMM INC SR SEC 14
2024-04-01
8.000000
5033000.00
5354832.39
Corporate Debt Securities
PAR PETROLEUM LLC / P
2025-12-15
7.750000
5998557.00
6019177.04
Corporate Debt Securities
PBF HLDG CO LLC / PBF
2023-11-15
7.000000
940000.00
979558.33
Corporate Debt Securities
PERUSAHAAN LISTRIK NE
254900OYVDRYS9J51J61
2049-07-17
4.875000
4400000.00
4491873.83
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2049-03-19
6.900000
2771822.00
3170294.51
Corporate Debt Securities
REPUBLIC OF TURKEY SR
2021-03-30
5.625000
1578000.00
1635202.50
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2026-04-14
4.250000
1769000.00
1604507.57
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2036-03-17
6.875000
3215000.00
3240139.07
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2041-01-14
6.000000
40022000.00
35406129.33
Other Instrument
International debt
RIO OIL FIN TR SR SEC
549300V5D1W52HY8NO65
2024-07-06
9.250000
4722000.00
3170208.05
Corporate Debt Securities
ROWAN COS INC SR GLBL
5493006IFM30PWSM2474
2022-06-01
4.875000
2443000.00
2248756.05
Corporate Debt Securities
SRI LANKA GOVT DEMOCR
254900HXCCIOHM74FA02
2028-04-18
6.750000
3300007.00
3298373.50
Other Instrument
International debt
STANDARD CHARTERED PL
2049-12-29
6.500000
203.00
208.85
Corporate Debt Securities
STEEL DYNAMICS INC SR
549300HGGKEL4FYTTQ83
2025-09-15
4.125000
1473000.00
1501839.50
Corporate Debt Securities
SYNGENTA FIN N V CR S
2023-04-24
4.441000
10.00
10.57
Corporate Debt Securities
TENNECO PACKAGING INC
2025-12-15
7.950000
655000.00
718821.56
Corporate Debt Securities
TRIBUNE MEDIA CO SR N
5493003IDYU5GPPRFU47
2022-07-15
5.875000
1025000.00
1042299.86
Corporate Debt Securities
U S G CORP SR 144A NT
2025-03-01
5.500000
600000.00
621158.33
Corporate Debt Securities
UNITED BK FOR AFRICA
2022-06-08
7.750000
900000.00
973255.00
Corporate Debt Securities
UNIVISION COMMUNICATI
549300YQDE2JSGTL8V47
2025-02-15
5.125000
1062000.00
1060491.52
Corporate Debt Securities
VERSCEND ESCROW CORP
2026-08-15
9.750000
4753119.00
5250711.15
Corporate Debt Securities
WASHINGTON PRIME GROU
549300K4BNOIQ154O537
2024-08-15
5.950000
2525635.00
2435093.09
Corporate Debt Securities
WOORI BK GLBL MEDIUM
2075-06-10
5.000000
1000000.00
1015794.44
Corporate Debt Securities
ZAMBIA REP SR GLBL 14
2022-09-20
5.375000
1500000.00
1093484.58
Other Instrument
International debt
ADVANCED DISP SVCS IN
549300ML1GEF4BKIM713
2024-11-15
5.625000
6787000.00
7205885.16
Corporate Debt Securities
ALBERTSONS COS LLC/SA
2024-06-15
6.625000
440.00
461.24
Corporate Debt Securities
ALLIED UNVL HOLDCO LL
2027-07-15
9.750000
1921497.00
2016966.58
Corporate Debt Securities
AMKOR TECHNOLOGY INC
529900VHLRTKPWZJBM84
2027-09-15
6.625000
1597097.00
1694669.64
Corporate Debt Securities
ARAB REP EGYPT FR 6.1
529900GFIVH4086NMH82
2022-01-31
6.125000
3915000.00
4089648.15
Other Instrument
International debt
ARGENTINA REP SR GLBL
549300KPBYGYF7HCHO27
2117-06-28
7.125000
1964000.00
1522754.67
Other Instrument
International debt
AT&T INC SR GLBL FL N
549300Z40J86GGSTL398
2024-06-12
3.615750
194.00
198.51
Corporate Debt Securities
AUTOPISTAS DEL SOL S
2030-12-30
7.375000
2999930.00
2805310.31
Corporate Debt Securities
BANK NEW YORK MELLON
WFLLPEPC7FZXENRZV188
2022-02-07
2.600000
4918000.00
5024398.20
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2019-11-19
2.900000
69853.00
71282.27
Corporate Debt Securities
BARCLAYS PLC SR SB GL
213800LBQA1Y9L22JB70
2026-05-12
5.200000
1355000.00
1427962.23
Corporate Debt Securities
BBVA BANCOMER S A INS
2022-09-30
6.750000
978000.00
1080690.00
Corporate Debt Securities
BOC AVIATION PTE LTD
2020-03-30
3.000000
4043000.00
4087796.44
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2026-04-07
6.000000
2940819.00
3448561.20
Other Instrument
International debt
BROOKFIELD RESIDENTIA
549300C2SXDXVIUV3Q14
2020-12-15
6.500000
2236000.00
2256962.50
Corporate Debt Securities
CDW LLC / CDW FIN COR
2025-09-01
5.000000
2775000.00
2950364.58
Corporate Debt Securities
CENTENNIAL RESOURCE P
5493004CTVUMQLRPOE23
2026-01-15
5.375000
1000000.00
922239.58
Corporate Debt Securities
CF INDS INC SR NT 3.4
5FVKT86LAD2F40NPC183
2023-06-01
3.450000
3500000.00
3554789.58
Corporate Debt Securities
CIT GROUP INC SR GLBL
N8O96ZZJQRFYQUJY7K79
2025-03-07
5.250000
82000.00
91681.13
Corporate Debt Securities
CLEVELAND CLIFFS INC
549300TM2WLI2BJMDD86
2027-06-01
5.875000
4000000.00
4060263.89
Corporate Debt Securities
CNX RESOURCES CORPORA
549300JK3KH8PWM3B226
2027-03-14
7.250000
775.00
670.29
Corporate Debt Securities
COMISION FEDERAL DE E
2027-02-23
4.750000
2679000.00
2804846.77
Corporate Debt Securities
CONTINENTAL TR ALT TI
2040-10-07
7.375000
200000.00
214131.86
Corporate Debt Securities
COTY INC 6.5%26
2026-04-15
6.500000
5999999.00
5903749.02
Corporate Debt Securities
CYDSA S A SR GLBL REG
2027-10-04
6.250000
185.00
189.42
Corporate Debt Securities
DAKOTA MERGER SUB INC
5493008MIJR7VMQP7U77
2023-09-01
7.750000
3662000.00
3898478.74
Corporate Debt Securities
DELL INTL LLC/EMC COR
2026-10-01
4.900000
6586.00
6977.37
Corporate Debt Securities
DISH DBS CORP SR NT 6
2021-06-01
6.750000
6000.00
6328.88
Corporate Debt Securities
DRAX FINCO PLC SR SEC
5493000MW6H7G7JFNQ88
2025-11-01
6.625000
5450000.00
5762058.67
Corporate Debt Securities
FIRST QUANTUM MINERAL
2024-03-01
6.500000
1208000.00
1186138.56
Corporate Debt Securities
FREEDOM MORTGAGE CORP
549300LYRWPSYPK6S325
2024-11-15
8.125000
3081000.00
2732622.34
Corporate Debt Securities
FREEPORT-MCMORAN INC
549300IRDTHJQ1PVET45
2043-03-15
5.450000
258000.00
244149.92
Corporate Debt Securities
GENERAL MTRS FINL CO
5493008B6JBRUJ90QL97
2020-01-15
3.150000
232000.00
232633.94
Corporate Debt Securities
GENWORTH FINL INC SR
PXDECZED7L8SRUP41R09
2021-09-24
7.625000
600000.00
635512.50
Corporate Debt Securities
GREAT LAKES DREDGE &
549300H65E3MZ1CX0P05
2022-05-15
8.000000
192000.00
207340.16
Corporate Debt Securities
GULFPORT ENERGY CORP
549300FJX18IDUFPHD40
2026-01-15
6.375000
3114615.00
2336447.91
Corporate Debt Securities
HI CRUSH INC SR GLBL
5299000EXEV7QXGBUN67
2026-08-01
9.500000
3000000.00
2057958.33
Corporate Debt Securities
HSBC HLDGS PLC SR GLB
MLU0ZO3ML4LN2LL2TL39
2025-03-11
3.803000
60.00
62.85
Corporate Debt Securities
HUGHES SATELLITE SYS
2026-08-01
6.625000
461.00
508.46
Corporate Debt Securities
INTELSAT JACKSON HLDG
8XJ8KF85PBKK1TLMFN29
2024-02-15
8.000000
518000.00
558360.83
Corporate Debt Securities
J CREW BRAND LLC / CO
2021-09-15
13.000000
1552000.00
1639300.00
Corporate Debt Securities
JEFFERIES LN CORE LLC
2020-06-01
6.875000
2394000.00
2409004.06
Corporate Debt Securities
KIA MTRS CORP SR GLBL
2023-04-25
3.000000
5000000.00
5040883.33
Corporate Debt Securities
KOREA REP SR GLBL NT
549300O0QCVSQGPGDT58
2027-01-19
2.750000
555.00
563.26
Other Instrument
International debt
MAGNOLIA OIL & GAS OP
2026-08-01
6.000000
2682000.00
2795538.00
Corporate Debt Securities
MATTEL INC SR 144A NT
549300VELLG24KHTJ564
2025-12-31
6.750000
5301000.00
5609120.63
Corporate Debt Securities
MENDOZA PROV 8.375%24
2024-05-19
8.375000
157000.00
139183.23
Corporate Debt Securities
MIZUHO FINL GROUP INC
353800CI5L6DDAN5XZ33
2028-03-05
4.018000
1500000.00
1650995.42
Corporate Debt Securities
NATIONSTAR MTG LLC /
2021-07-01
6.500000
846000.00
851487.25
Corporate Debt Securities
NGL ENERGY PARTNERS L
2026-04-15
7.500000
4085962.00
4333673.45
Corporate Debt Securities
ODEBRECHT DRILLING NO
2021-12-01
6.350000
2598669.00
1356241.23
Corporate Debt Securities
OI SA SR PIK NT 10%25
254900YEMWCRRAGD4978
2025-07-27
10.000000
5987719.00
6361179.69
Corporate Debt Securities
ORAZUL ENGY EGNOR S E
2027-04-28
5.625000
6250000.00
6464843.75
Corporate Debt Securities
PANTHER BF AGGREGATOR
2026-05-15
6.250000
740000.00
783963.19
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2028-01-27
5.999000
999794.00
1091774.96
Corporate Debt Securities
PETROLEOS MEXICANOS F
549300CAZKPF4HKMPX17
2026-01-23
4.500000
2000000.00
1826750.00
Other Instrument
International debt
QVC INC SR SEC NT5.95
2043-03-15
5.950000
6800000.00
6670205.00
Corporate Debt Securities
REPUBLIC OF TURKEY 7.
5493000PCHOG3B6S3Q85
2029-04-26
7.625000
14555726.00
15924841.63
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2024-03-22
5.750000
18969000.00
19119887.86
Other Instrument
International debt
REPUBLIC OF TURKEY SR
2030-01-15
11.875000
297000.00
405110.35
Other Instrument
International debt
RIO OIL FIN TR SR SEC
2028-04-06
8.200000
2065692.00
2361037.76
Corporate Debt Securities
SABLE INTL FIN LTD SR
2138009IE9A35LO5JS73
2022-08-01
6.875000
800000.00
853347.22
Corporate Debt Securities
SOUTH AFRICA REP SR G
2020-03-09
5.500000
1504000.00
1555213.71
Other Instrument
International debt
SPRINT NEXTEL CORP SR
549300JKU50UT08ZWD77
2022-11-15
6.000000
5200000.00
5577000.00
Corporate Debt Securities
SRI LANKA GOVT DEMOCR
2025-06-03
6.125000
2533000.00
2510704.32
Other Instrument
International debt
TELEFLEX INC SR GLBL
UUL85LWXB4NGSWWXIQ25
2027-11-15
4.625000
1643313.00
1712554.68
Corporate Debt Securities
TEVA PHARMACEUTICAL F
549300P1YOE2RRPSGG38
2021-11-10
3.650000
3000000.00
2870583.33
Corporate Debt Securities
TRANSCANADA TRUST SUB
2077-03-15
5.300000
23000.00
23399.63
Corporate Debt Securities
TRANSOCEAN PONTUS LTD
2025-08-01
6.125000
823996.00
821857.60
Corporate Debt Securities
TULLOW OIL PLC SR GLB
2138003EYHWO75RKS857
2022-04-15
6.250000
5206000.00
5342549.04
Corporate Debt Securities
VECTOR GROUP LTD SR G
2026-11-01
10.500000
1000000.00
982208.33
Corporate Debt Securities
VIASAT INC SR GLBL 14
UFC8NYMNFSYIHNSM2I38
2025-09-15
5.625000
720368.00
731961.42
Corporate Debt Securities
VINE OIL & GAS LP / V
2023-04-15
9.750000
6638725.00
4205217.37
Corporate Debt Securities
VOYA FINL INC 4.7%48
2048-01-23
4.700000
3994121.00
3693219.46
Corporate Debt Securities
WERNER FINCO LP/ WERN
2025-07-15
8.750000
2380000.00
1912677.08
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0261
950000000.00
950000000.00
0.0173
N
Y
Y
N
SOCIETE GENERALE SA
SOCIETE GENERALE SA 2.510
0SOC01CB8
O2RNE8IBXP4R0TD8PU41
0000865845
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AMERICAN EXPRESS CO S
R4PP93JZOLY261QX3811
2021-11-05
3.165130
150.00
151.84
Corporate Debt Securities
ASB BK LTD VR 061418-
2023-06-14
3.397880
5202000.00
5279333.56
Corporate Debt Securities
AT&T INC SR GLBL NT5.
2057-03-01
5.700000
4068000.00
4941935.22
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2019-11-19
2.900000
13040773.00
13307601.71
Corporate Debt Securities
BARCLAYS PLC SR GLBL
213800LBQA1Y9L22JB70
2024-05-16
4.338000
785000.00
815871.69
Corporate Debt Securities
BPCE FR 4.875%040126
2026-04-01
4.875000
500000.00
547222.29
Corporate Debt Securities
CHEVRON PHILLIPS CHEM
2026-12-01
3.400000
1125000.00
1162588.75
Corporate Debt Securities
CLOROX CO DEL SR GLBL
54930044KVSC06Z79I06
2028-05-15
3.900000
12653000.00
13899130.71
Corporate Debt Securities
EMPRESA NACL DE TELEC
2024-10-30
4.875000
747000.00
794469.98
Corporate Debt Securities
FORD MOTOR CREDIT CO
UDSQCVRUX5BONN0VY111
2025-08-04
4.134000
1433000.00
1464512.63
Corporate Debt Securities
GENERAL MTRS FINL CO
5493008B6JBRUJ90QL97
2023-01-05
3.250000
10.00
10.10
Corporate Debt Securities
GOLDMAN SACHS GRP INC
784F5XWPLTWKTBV3E584
2020-06-15
6.000000
5113000.00
5310361.80
Corporate Debt Securities
HSBC HLDGS PLC COCO 2
MLU0ZO3ML4LN2LL2TL39
2026-09-12
4.292000
9270.00
9982.24
Corporate Debt Securities
INDONESIA REP FR 3.85
2027-07-18
3.850000
46157.00
48401.77
Other Instrument
International debt
INTESA SANPAOLO S P A
2024-01-12
5.250000
2260000.00
2415002.10
Corporate Debt Securities
KREDITANSTALT FUR WIE
549300GDPG70E3MBBU98
2022-10-04
2.000000
5391000.00
5444340.95
Other Instrument
International debt
MACQUARIE GRP LTD SR
2024-03-27
3.661250
2900000.00
2945175.76
Corporate Debt Securities
MOTOROLA SOLUTIONS IN
6S552MUG6KGJVEBSEC55
2029-05-23
4.600000
2038296.00
2174864.10
Corporate Debt Securities
PERUSAHAAN LISTRIK NE
254900OYVDRYS9J51J61
2021-11-22
5.500000
4467000.00
4781427.17
Corporate Debt Securities
SIGMA ALIMENTOS S A S
2026-05-02
4.125000
5565648.00
5691394.54
Corporate Debt Securities
SINOPEC GROUP OVERSEA
2025-09-12
4.125000
979.00
1063.23
Corporate Debt Securities
TENCENT HLDGS LTD FR
2028-01-19
3.595000
116005.00
119243.68
Corporate Debt Securities
UBS GROUP FDG SWITZ A
2023-08-15
2.859000
15000000.00
15281906.25
Corporate Debt Securities
VEREIT OPERATING PRTN
5493005TQOUJE1LCS698
2025-11-01
4.625000
4224026.00
4615483.50
Corporate Debt Securities
AMERICA MOVIL SAB DE
5493000FNR3UCEAONM59
2049-04-22
4.375000
509.00
557.16
Corporate Debt Securities
ARCELORMITTAL SA LUXE
2EULGUTUI56JI9SAL165
2026-03-11
4.550000
2100000.00
2228851.92
Corporate Debt Securities
AT&T INC SR GLBL NT 6
549300Z40J86GGSTL398
2040-08-15
6.000000
8000.00
9764.16
Corporate Debt Securities
BANK AMER CHRLT NC MT
B4TYDEB6GKMZO031MB27
2023-01-25
3.335000
229338.00
234675.43
Corporate Debt Securities
BANK NEW YORK MELLON
WFLLPEPC7FZXENRZV188
2022-02-07
2.600000
2464000.00
2517307.27
Corporate Debt Securities
BNP PARIBAS FR 3.375%
2025-01-09
3.375000
3658200.00
3724335.68
Corporate Debt Securities
CBS CORP NEW GTD SR N
5KYC8KF17ROCY24M3H09
2021-02-15
4.300000
4154000.00
4330081.14
Corporate Debt Securities
CITIGROUP INC SR NT 3
6SHGI4ZSSLCXXQSBB395
2023-03-01
3.375000
2970000.00
3095656.99
Corporate Debt Securities
CORP NACIONAL DEL COB
2020-11-04
3.750000
3000000.00
3070915.00
Corporate Debt Securities
DEUTSCHE BK AG N Y BR
7LTWFZYICNSX8D621K86
2023-02-27
3.950000
409999.00
420383.25
Corporate Debt Securities
GENERAL MTRS FINL CO
5493008B6JBRUJ90QL97
2020-01-15
3.150000
58000.00
58158.49
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2020-04-23
2.600000
3679000.00
3709556.14
Corporate Debt Securities
HSBC BK PLC SR NT REG
2020-08-12
4.125000
771000.00
800174.64
Corporate Debt Securities
HSBC HLDGS PLC SR GLB
MLU0ZO3ML4LN2LL2TL39
2022-01-14
4.875000
1047000.00
1105649.45
Corporate Debt Securities
HYUNDAI CAP SVCS INC
2022-08-29
3.000000
2832141.00
2871328.39
Corporate Debt Securities
KEB HANA BANK SR GLBL
2022-01-30
3.375000
1.00
1.02
Corporate Debt Securities
MACQUARIE GRP LTD SR
ACMHD8HWFMFUIQQ8Y590
2023-11-28
3.189000
49328.00
50336.37
Corporate Debt Securities
MIZUHO FINL GROUP INC
353800CI5L6DDAN5XZ33
2022-09-11
2.601000
7000000.00
7085419.25
Corporate Debt Securities
PERUSAHAAN LISTRIK NE
254900OYVDRYS9J51J61
2028-05-21
5.450000
3831000.00
4381537.05
Corporate Debt Securities
ROYAL BK CDA FR 2.75%
ES7IP3U3RHIGC71XBU11
2022-02-01
2.750000
181000.00
185688.55
Corporate Debt Securities
SASOL FING INTL PLC S
2022-11-14
4.500000
2359000.00
2451708.70
Corporate Debt Securities
SOUTHERN CALIF EDISON
9R1Z5I36FERIBVKW4P77
2043-10-01
4.650000
2000.00
2242.36
Corporate Debt Securities
TRANSCANADA TRUST SUB
2077-03-15
5.300000
207000.00
210596.63
Corporate Debt Securities
UNITED PARCEL SERVICE
D01LMJZU09ULLNCY6Z23
2023-04-01
2.500000
121.00
123.02
Corporate Debt Securities
WELLS FARGO & CO FR 2
PBLD0EJDB5FWOLXP3B76
2022-07-22
2.625000
1.00
1.01
Corporate Debt Securities
AT&T INC 4.9%42
2042-06-15
4.900000
994.00
1067.01
Corporate Debt Securities
AUSTRALIA & NEW ZEALA
2026-05-19
4.400000
363260.00
382842.54
Corporate Debt Securities
BANK AMER CORP FR 3.5
9DJT3UXIJIZJI4WXO774
2027-04-23
3.559000
1801912.00
1896097.09
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2019-11-19
2.900000
20574747.00
20995729.18
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2020-02-21
2.970000
9504044.00
9755920.17
Corporate Debt Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2022-10-27
2.700000
3709000.00
3754713.42
Corporate Debt Securities
CNOOC NEXEN FINANCE U
2024-04-30
4.250000
1088000.00
1168941.76
Corporate Debt Securities
DARDEN RESTAURANTS IN
CY1NFSCCB5GUXC7WZC70
2027-05-01
3.850000
3745000.00
3905166.37
Corporate Debt Securities
DOW CHEM CO SR GLBL 1
ZQUIP1CSZO8LXRBSOU78
2048-11-30
5.550000
14607000.00
17352531.72
Corporate Debt Securities
ENTERGY LA LLC 1M BD
0V5453U14HDZO63CGH17
2027-09-01
3.120000
450000.00
468082.50
Corporate Debt Securities
GRAINGER W W INC SR G
549300TWZSP6O1IH2V34
2047-05-15
4.200000
495995.00
524851.99
Corporate Debt Securities
HSBC HLDGS PLC SR GLB
MLU0ZO3ML4LN2LL2TL39
2025-03-11
3.803000
2769776.00
2901295.51
Corporate Debt Securities
HUTCHISON WHAMPOA INT
2019-09-11
5.750000
100000.00
102540.14
Corporate Debt Securities
ICBCIL FINANCE CO. LT
2020-11-10
3.200000
693.00
700.48
Corporate Debt Securities
INTERNATIONAL BUSINES
VGRQXHF3J8VDLUA7XE92
2039-11-30
5.600000
400000.00
508097.33
Corporate Debt Securities
MITSUBISHI UFJ FINL G
353800V2V8PUY9TK3E06
2022-02-22
2.998000
1518000.00
1557616.60
Corporate Debt Securities
NEWMONT GOLDCORP CORP
549300VSP3RIX7FGDZ51
2042-03-15
4.875000
2000000.00
2287722.50
Corporate Debt Securities
PHILIPPINES REP SR GL
529900RAHBALMYIJ3T08
2041-03-01
3.700000
14441212.00
16037166.50
Other Instrument
International debt
ROYAL BK SCOTLAND N V
BFXS5XCH7N0Y05NIXW11
2025-07-28
4.750000
8124000.00
8700673.11
Corporate Debt Securities
SHERWIN WILLIAMS CO S
Z15BMIOX8DDH0X2OBP21
2022-01-15
4.200000
940000.00
975381.60
Corporate Debt Securities
SINOPEC GROUP OVERSEA
2023-09-12
3.750000
1293060.00
1362387.41
Corporate Debt Securities
UNICREDIT SPA FR 7.83
549300TRUWO2CD2G5692
2023-12-04
7.830000
957265.00
1117559.02
Corporate Debt Securities
VOLKSWAGEN GROUP AMER
5493002SQ1AVQBY41K40
2028-11-13
4.750000
950000.00
1044239.74
Corporate Debt Securities
ABBOTT LABS SR GLBL N
HQD377W2YR662HK5JX27
2036-11-30
4.750000
803000.00
960578.04
Corporate Debt Securities
AMERICAN EXPRESS CO S
R4PP93JZOLY261QX3811
2022-08-01
2.500000
1749990.00
1778725.81
Corporate Debt Securities
BANK AMER CORP FR 2.6
9DJT3UXIJIZJI4WXO774
2020-10-19
2.625000
3390000.00
3429373.44
Corporate Debt Securities
BANK OF NOVA SCOTIA S
L3I9ZG2KFGXZ61BMYR72
2022-09-19
2.450000
261000.00
265104.30
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2019-11-21
2.900000
38208688.00
38984324.37
Corporate Debt Securities
BARCLAYS PLC SR GLBL
213800LBQA1Y9L22JB70
2025-05-07
3.932000
3.00
3.06
Corporate Debt Securities
BROADCOM INC SR GLBL
549300WV6GIDOZJTV909
2024-10-15
3.625000
10.00
10.13
Corporate Debt Securities
CREDIT AGRICOLE SA LO
2024-10-04
3.250000
17456300.00
17985090.12
Corporate Debt Securities
DISNEY WALT CO MTNS B
7260JQNI6SCF9FIV2392
2046-07-30
3.000000
1265000.00
1193148.00
Corporate Debt Securities
ENEL FIN INTL N.V. SR
2027-05-25
3.625000
570109.00
579849.39
Corporate Debt Securities
GENERAL ELECTRIC CAPI
2020-04-15
3.103380
4000.00
4018.76
Corporate Debt Securities
GENERAL MTRS FINL CO
5493008B6JBRUJ90QL97
2024-11-07
3.500000
2979000.00
3012035.45
Corporate Debt Securities
HSBC HLDGS PLC SR GLB
MLU0ZO3ML4LN2LL2TL39
2023-05-25
3.600000
955000.00
997841.30
Corporate Debt Securities
ICBC LTD NEW YORK BRA
2020-11-08
3.309880
13948000.00
14083198.71
Corporate Debt Securities
ING GROEP N V SR GLBL
549300NYKK9MWM7GGW15
2024-04-09
3.550000
1000529.00
1048710.31
Corporate Debt Securities
ISRAEL ST $SR GLBL BD
213800T8ZHTFZIBYPE21
2022-06-30
4.000000
13140000.00
13812023.40
Other Instrument
International debt
LEAR CORP SR GLBL NT
549300UPNBTXA1SYTQ33
2049-05-15
5.250000
448799.00
448569.74
Corporate Debt Securities
ROYAL BK SCOTLAND GRO
2138005O9XJIJN4JPN90
2024-06-25
3.899250
5141368.00
5169281.77
Corporate Debt Securities
SASOL FING USA LLC SR
549300XRB1PFMESFEL85
2028-09-27
6.500000
4538730.00
5244041.08
Corporate Debt Securities
SINOPEC CAP 2013 LTD
2023-04-24
3.125000
212000.00
216552.35
Corporate Debt Securities
SINOPEC GRP OVERSEAS
2022-09-13
2.500000
972817.00
975924.07
Corporate Debt Securities
TORONTO DOMINION BANK
PT3QB789TSUIDF371261
2019-11-05
2.250000
3819000.00
3837760.84
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0251
328000000.00
328000000.00
0.0060
N
Y
Y
N
SOCIETE GENERALE SA
SOCIETE GENERALE SA 2.660
0SOC01CA0
O2RNE8IBXP4R0TD8PU41
0000865845
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ADIENT US LLC SR SEC
213800SOTRCDGZUHL712
2026-05-15
7.000000
5012130.00
5156646.41
Corporate Debt Securities
ALTICE FINANCING S.A.
549300DIYGW8HVDF7Q17
2026-05-15
7.500000
12712000.00
13260205.00
Corporate Debt Securities
AMC ENTMT INC SR SB G
549300ZO77UNR6NRBR11
2025-06-15
5.750000
7000.00
6647.81
Corporate Debt Securities
ARGENTINA REP SR GLBL
549300KPBYGYF7HCHO27
2117-06-28
7.125000
1558000.00
1207969.33
Other Instrument
International debt
BARCLAYS BK PLC GLBL
2019-11-19
2.900000
7111267.00
7256771.42
Corporate Debt Securities
C&W SENIOR FINANCING
5493009O8OIWZPZRY516
2027-09-15
6.875000
12342000.00
12988283.69
Corporate Debt Securities
CITGO HOLDING INC SR
2020-02-15
10.750000
192000.00
206483.20
Corporate Debt Securities
FERROGLOBE PLC/ GLOBE
2022-03-01
9.375000
6856000.00
5956507.08
Corporate Debt Securities
HERTZ CORP SR 144A NT
549300PD0C69OJ0NLB27
2024-10-15
5.500000
6962000.00
6899632.08
Corporate Debt Securities
MARB BONDCO PLC 144A
254900PVA1EU6QM1JN57
2024-03-15
7.000000
200000.00
213750.00
Corporate Debt Securities
PETROBRAS GLBL FIN B
549300FNENFFSMO3GT38
2115-06-05
6.850000
10034000.00
10986881.60
Corporate Debt Securities
PUBLIC SVC ELEC GAS C
549300RUHPVD434XUK18
2049-05-01
3.850000
963.00
1040.34
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2024-03-22
5.750000
200000.00
201590.89
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2028-10-24
6.125000
6000000.00
5911100.00
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2045-02-17
6.625000
3043000.00
2959306.93
Other Instrument
International debt
RIO OIL FIN TR SR SEC
549300V5D1W52HY8NO65
2024-07-06
9.250000
12345000.00
8288059.79
Corporate Debt Securities
WASHINGTON PRIME GROU
549300K4BNOIQ154O537
2024-08-15
5.950000
148.00
142.69
Corporate Debt Securities
AES ANDRES DOMINICANA
2026-05-11
7.950000
7846000.00
8600830.97
Corporate Debt Securities
ALTICE FRANCE S A SR
5493001ZMCICV4N02J21
2027-02-01
8.125000
8415351.00
9386476.66
Corporate Debt Securities
ANTERO MIDSTREAM PART
2028-01-15
5.750000
87063.00
81304.75
Corporate Debt Securities
BRAZIL FEDERATIVE REP
2019-10-14
8.875000
12453000.00
12940434.63
Other Instrument
International debt
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2028-01-13
4.625000
29677200.00
31552325.03
Other Instrument
International debt
CDK GLOBAL INC SR GLB
5493000L10CYRTHIJ385
2029-05-15
5.250000
8965000.00
9354417.19
Corporate Debt Securities
COMMERCIAL METALS CO
549300OQS2LO07ZJ7N73
2023-05-15
4.875000
837000.00
866425.78
Corporate Debt Securities
GLOBAL SHIP LEASE INC
2022-11-15
9.875000
14043000.00
14612765.47
Corporate Debt Securities
NEW GOLD INC SR GLBL
5493005G0GNCHP0H6L96
2025-05-15
6.375000
127.00
111.54
Corporate Debt Securities
PAR PHARMACEUTICAL IN
549300KK5WR4MGN4YT97
2027-04-01
7.500000
9466569.00
8689521.46
Corporate Debt Securities
PETROLEOS MEXICANOS S
549300CAZKPF4HKMPX17
2026-08-04
6.875000
1408000.00
1470812.44
Other Instrument
International debt
REPUBLIC OF TURKEY 7.
5493000PCHOG3B6S3Q85
2029-04-26
7.625000
3270152.00
3577743.41
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2025-02-05
7.375000
30993000.00
33737451.67
Other Instrument
International debt
TMX FIN LLC/TITLEMAX
2023-04-01
11.125000
12215000.00
11595385.64
Corporate Debt Securities
UNIVISION COMMUNICATI
549300YQDE2JSGTL8V47
2025-02-15
5.125000
5000.00
4992.90
Corporate Debt Securities
WESTPAC BKG CORP SR G
EN5TNI6CI43VEPAMHL14
2026-05-13
2.850000
1110000.00
1134026.87
Corporate Debt Securities
ALBERTSONS COS LLC/SA
2024-06-15
6.625000
1416.00
1484.37
Corporate Debt Securities
BANCO DO BRASIL S A G
2023-04-19
4.875000
1.00
1.06
Corporate Debt Securities
BBVA BANCOMER S A INS
2022-09-30
6.750000
3835000.00
4237675.00
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2025-01-07
4.250000
19036000.00
20121342.83
Other Instrument
International debt
BROOKFIELD RESIDENTIA
2022-07-01
6.125000
11862000.00
12039147.44
Corporate Debt Securities
CHS / CMNTY HEALTH SY
5493007X5NC5XI1BB106
2026-03-15
8.000000
8883691.00
8834830.70
Corporate Debt Securities
INTESA SANPAOLO S P A
2024-01-12
5.250000
1314000.00
1404120.69
Corporate Debt Securities
NAVIOS MARITIME ACQUI
2021-11-15
8.125000
376000.00
303404.58
Corporate Debt Securities
NUMERICABLE GROUP SA
5493001ZMCICV4N02J21
2026-05-01
7.375000
4748000.00
4999990.21
Corporate Debt Securities
PENNEY J C CORP INC S
2023-07-01
5.875000
3800000.00
3188628.03
Corporate Debt Securities
POST HLDGS INC SR 144
JM1I5YUAURL6DC8N1468
2028-01-15
5.625000
11135000.00
11481228.91
Corporate Debt Securities
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2036-03-17
6.875000
319000.00
321494.36
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2027-03-25
6.000000
20358000.00
20184210.54
Other Instrument
International debt
SRI LANKA GOVT DEMOCR
2022-07-25
5.875000
242000.00
244556.97
Other Instrument
International debt
TRANSOCEAN INC SR GLB
DOL4HJ22ADYSIWES4H94
2026-01-15
7.500000
2000.00
1871.25
Corporate Debt Securities
VALE OVERSEAS LTD SR
254900BA3U6G5DNV5V04
2026-08-10
6.250000
2022000.00
2346336.66
Corporate Debt Securities
ZAYO GROUP LLC/ZAYO C
2027-01-15
5.750000
15244000.00
15509182.08
Corporate Debt Securities
ALTICE S A SR GLBL 14
2221006ZDZREFLFIFQ42
2027-05-15
10.500000
123188.00
131985.68
Corporate Debt Securities
ARCELORMITTAL SA LUXE
2EULGUTUI56JI9SAL165
2024-07-16
3.600000
540.00
545.01
Corporate Debt Securities
BARCLAYS BK PLC GLBL
2019-11-19
2.900000
8.00
8.16
Corporate Debt Securities
BRAZIL FEDERATIVE REP
254900ZFY40OYEADAP90
2021-01-22
4.875000
20087000.00
20872267.79
Other Instrument
International debt
BRAZIL FEDERATIVE REP
2027-05-15
10.125000
1139000.00
1649948.28
Other Instrument
International debt
EVEREST ACQ LLC/FINAN
2026-05-15
7.750000
5000000.00
4561979.17
Corporate Debt Securities
HCA INC SR SEC GLBL N
L3CJ6J7LJ2DX62FTXD46
2029-06-15
4.125000
1000000.00
1024360.00
Corporate Debt Securities
M D C HLDGS INC SR NT
2020-02-01
5.625000
12498000.00
12878798.44
Corporate Debt Securities
NEUQUEN PROV ARGENTIN
2028-05-12
8.625000
750000.00
777140.63
Corporate Debt Securities
OI SA SR PIK NT 10%25
254900YEMWCRRAGD4978
2025-07-27
10.000000
148110.00
157347.79
Corporate Debt Securities
REPUBLIC OF TURKEY GL
5493000PCHOG3B6S3Q85
2047-05-11
5.750000
200000.00
172523.61
Other Instrument
International debt
REPUBLIC OF TURKEY SR
2026-10-09
4.875000
3780000.00
3520696.73
Other Instrument
International debt
REPUBLIC OF TURKEY SR
2038-03-05
7.250000
1931000.00
2021972.09
Other Instrument
International debt
REPUBLIC OF TURKEY SR
5493000PCHOG3B6S3Q85
2022-09-26
6.250000
13986000.00
14556178.14
Other Instrument
International debt
STENA INTL SA SR SEC
2024-03-01
5.750000
13655000.00
13843420.03
Corporate Debt Securities
UNITYMEDIA HESSEN GMB
2025-01-15
5.000000
14448000.00
14965720.00
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
2019-08-07
2019-08-07
2019-08-07
N
N
N
0.0266
394000000.00
394000000.00
0.0072
N
N
Y
N
SOCIETE GENERALE SA
SOCIETE GENERALE SA 2.528
83368YCY1
O2RNE8IBXP4R0TD8PU41
US83368YCY14
0000865845
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
2019-08-03
2020-01-03
2020-01-03
N
N
N
0.0256
220003148.20
220003148.20
0.0040
N
N
N
N
STANDARD CHARTERED BANK
STANDARD CHARTERED BANK 2.617
6E5562N
RILFO74KP1CM8P6PCT96
XS1984205812
Certificate of Deposit
Y
Fitch Long Rating
A+
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
2019-10-21
2019-10-21
2019-10-21
N
N
N
0.0262
159202219.20
159202219.20
0.0029
N
N
N
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.479
85325T5H4
RILFO74KP1CM8P6PCT96
US85325T5H48
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
2019-08-27
2020-01-24
2020-01-24
N
N
N
0.0251
225029610.00
225029610.00
0.0041
N
N
N
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.680
85325T2R5
RILFO74KP1CM8P6PCT96
US85325T2R56
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
2019-09-13
2019-09-13
2019-09-13
N
N
N
0.0268
25008665.50
25008665.50
0.0005
N
N
N
N
STANDARD CHARTERED BANK - NEW YORK
STANDARD CHARTERED BANK - NEW YORK 2.280
85325T5A9
US85325T5A94
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
2020-01-10
2020-01-10
2020-01-10
N
N
N
0.0228
157026757.51
157026757.51
0.0029
N
N
N
N
STARBIRD FUNDING CORPORATION
STARBIRD FUNDING CORPORATION 2.596
85520MY49
549300A8DDPP6QJBB522
US85520MY497
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
2019-11-04
2019-11-04
2019-11-04
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0260
29817920.10
29817920.10
0.0005
N
N
N
N
STARBIRD FUNDING CORPORATION
STARBIRD FUNDING CORPORATION 2.592
85520MXF5
549300A8DDPP6QJBB522
US85520MXF57
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
2019-10-15
2019-10-15
2019-10-15
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0259
149276733.00
149276733.00
0.0027
N
N
N
N
STARBIRD FUNDING CORPORATION
STARBIRD FUNDING CORPORATION 2.557
85520MYD9
549300A8DDPP6QJBB522
US85520MYD90
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
2019-11-13
2019-11-13
2019-11-13
N
Y
BNP PARIBAS SA
1.0000
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
P-1
Standard & Poor's Long Rating
NR
Standard & Poor's Short Rating
A-1
N
0.0256
29800062.60
29800062.60
0.0005
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.534
86565BUP4
5U0XI89JRFVHWIBS4F54
US86565BUP48
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
2019-08-07
2019-08-07
2019-08-07
N
N
N
0.0256
30000758.40
30000758.40
0.0005
N
N
Y
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.391
86565BA76
5U0XI89JRFVHWIBS4F54
US86565BA767
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
2019-08-24
2019-12-23
2019-12-23
N
N
N
0.0242
175001069.25
175001069.25
0.0032
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.401
86565BA84
5U0XI89JRFVHWIBS4F54
US86565BA841
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
2019-08-21
2019-12-20
2019-12-20
N
N
N
0.0244
30000121.50
30000121.50
0.0005
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.514
86565BF55
5U0XI89JRFVHWIBS4F54
US86565BF550
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
2019-08-12
2020-02-10
2020-02-10
N
N
N
0.0255
149956924.50
149956924.50
0.0027
N
N
N
N
SUMITOMO MITSUI BANKING CORP-NY
SUMITOMO MITSUI BANKING CORP-NY 2.500
86565BXU0
5U0XI89JRFVHWIBS4F54
US86565BXU06
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
2019-08-07
2019-11-04
2019-11-04
N
N
N
0.0253
150018406.50
150018406.50
0.0027
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.612
7E0168N
5493006GGLR4BTEL8O61
XS1995674972
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
2019-11-12
2019-11-12
2019-11-12
N
N
N
0.0261
94381070.25
94381070.25
0.0017
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.627
6E5558N
2138007LMTICB1DAU493
XS1984293925
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
2019-10-15
2019-10-15
2019-10-15
N
N
N
0.0263
49761531.50
49761531.50
0.0009
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.550
6E3263N
5493006GGLR4BTEL8O61
XS1979524235
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
2019-08-07
2019-10-04
2019-10-04
N
N
N
0.0259
74997324.00
74997324.00
0.0014
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED LONDON BRANCH 2.610
6E8702N
2138007LMTICB1DAU493
XS1991168433
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
2019-11-01
2019-11-01
2019-11-01
N
N
N
0.0261
79533601.60
79533601.60
0.0014
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.427
86564FM67
5493006GGLR4BTEL8O61
US86564FM675
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
2019-08-30
2020-01-30
2020-01-30
N
N
N
0.0246
99992593.00
99992593.00
0.0018
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.429
86564FM75
5493006GGLR4BTEL8O61
US86564FM758
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
2019-08-29
2020-01-29
2020-01-29
N
N
N
0.0246
149988906.00
149988906.00
0.0027
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.250
86564FH48
5493006GGLR4BTEL8O61
US86564FH485
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
2020-01-08
2020-01-08
2020-01-08
N
N
N
0.0225
100007869.00
100007869.00
0.0018
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.420
86564FL92
5493006GGLR4BTEL8O61
US86564FL925
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0242
100000392.00
100000392.00
0.0018
N
Y
Y
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.250
86564FH63
5493006GGLR4BTEL8O61
US86564FH634
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
2020-01-07
2020-01-07
2020-01-07
N
N
N
0.0225
200015640.00
200015640.00
0.0036
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.250
86564FM26
5493006GGLR4BTEL8O61
US86564FM261
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
2019-11-29
2019-11-29
2019-11-29
N
N
N
0.0225
74997678.00
74997678.00
0.0014
N
N
N
N
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED NEW YORK BRANCH 2.270
86564FM59
US86564FM592
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
2019-08-06
2019-08-06
2019-08-06
N
N
N
0.0227
130000040.30
130000040.30
0.0024
N
N
Y
N
SUMITOMO MITSUI TRUST BANK LIMITED SINGAPORE BRANCH
SUMITOMO MITSUI TRUST BANK LIMITED SINGAPORE BRANCH 2.499
86564XWT7
5493006GGLR4BTEL8O61
US86564XWT70
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
2019-09-27
2019-09-27
2019-09-27
N
N
N
0.0250
79711417.60
79711417.60
0.0015
N
N
N
N
THE CHIBA BANK LTD-NEW YORK
THE CHIBA BANK LTD-NEW YORK 2.340
16706CEX0
FGJPAKKCTZVSKZXNBS63
US16706CEX02
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2019-10-16
2019-10-16
2019-10-16
N
N
N
0.0234
50001994.00
50001994.00
0.0009
N
N
N
N
THE CHIBA BANK LTD-NEW YORK
THE CHIBA BANK LTD-NEW YORK 2.300
16706CFF8
FGJPAKKCTZVSKZXNBS63
0001446391
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2019-10-31
2019-10-31
2019-10-31
N
N
N
0.0230
39998983.60
39998983.60
0.0007
N
N
N
N
THE NORINCHUKIN BANK-LONDON BRANCH
THE NORINCHUKIN BANK-LONDON BRANCH 2.337
8E6794P
5493007VSMFZCPV1NB83
XS2031233617
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2019-10-16
2019-10-16
2019-10-16
N
N
N
0.0234
99525292.00
99525292.00
0.0018
N
N
N
N
THE NORINCHUKIN BANK-LONDON BRANCH
THE NORINCHUKIN BANK-LONDON BRANCH 2.297
8E6315N
XS2028884539
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
A1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
A
Standard & Poor's Short Rating
A-1
2020-01-13
2020-01-13
2020-01-13
N
N
N
0.0230
64338422.20
64338422.20
0.0012
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.535
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+
2019-08-15
2019-09-13
2019-09-13
N
N
N
0.0257
60009273.60
60009273.60
0.0011
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.642
89120DLK3
PT3QB789TSUIDF371261
US89120DLK36
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+
2019-08-20
2019-11-20
2019-11-20
N
N
N
0.0268
200156934.00
200156934.00
0.0036
N
N
N
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.646
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+
2019-08-02
2019-08-02
2019-08-02
N
N
N
0.0268
175000000.00
175000000.00
0.0032
N
N
Y
N
THE TORONTO DOMINION BANK
THE TORONTO DOMINION BANK 2.502
89114M3H8
PT3QB789TSUIDF371261
US89114M3H80
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+
2019-08-27
2020-07-27
2020-07-27
N
N
N
0.0254
150025173.00
150025173.00
0.0027
N
N
N
N
THUNDER BAY FUNDING LLC
THUNDER BAY FUNDING LLC 2.445
88603YFK2
US88603YFK29
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+
2019-08-13
2019-11-13
2019-11-13
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
140004508.00
140004508.00
0.0026
N
N
N
N
TORONTO DOMINION BANK LONDON BRANCH
TORONTO DOMINION BANK LONDON BRANCH 2.286
8E6132N
XS2028892805
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2020-01-13
2020-01-13
2020-01-13
N
N
N
0.0229
257447691.80
257447691.80
0.0047
N
N
N
N
TORONTO DOMINION BANK LONDON BRANCH
TORONTO DOMINION BANK LONDON BRANCH 2.234
8E9836N
XS2037194185
Certificate of Deposit
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
Aa1
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA-
Standard & Poor's Short Rating
A-1+
2020-02-03
2020-02-03
2020-02-03
N
N
N
0.0223
168069650.00
168069650.00
0.0031
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 2.588
89114MW94
US89114MW945
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+
2019-08-02
2020-07-02
2020-07-02
N
N
N
0.0263
125964194.58
125964194.58
0.0023
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 2.414
89114MM79
PT3QB789TSUIDF371261
US89114MM797
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+
2019-08-28
2020-06-03
2020-06-03
N
N
N
0.0245
200009448.00
200009448.00
0.0036
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 2.600
89114MB63
PT3QB789TSUIDF371261
US89114MB634
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+
2019-10-15
2019-10-15
2019-10-15
N
N
N
0.0260
130100187.10
130100187.10
0.0024
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 3.000
89114MPX9
PT3QB789TSUIDF371261
US89114MPX91
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+
2019-09-09
2019-09-09
2019-09-09
N
N
N
0.0300
40032362.00
40032362.00
0.0007
N
N
N
N
TORONTO DOMINION BANK-NEW YORK
TORONTO DOMINION BANK-NEW YORK 2.484
89114M3U9
US89114M3U91
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+
2019-08-30
2020-07-30
2020-07-30
N
N
N
0.0252
175000000.00
175000000.00
0.0032
N
N
N
N
TOYOTA CREDIT CANADA INC
TOYOTA CREDIT CANADA INC 2.350
89232BBE7
HJZQGXYTVV2NWJZLPW74
US89232BBE74
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+
2019-10-18
2020-01-10
2020-01-10
N
N
N
0.0238
30002612.40
30002612.40
0.0005
N
N
N
N
TOYOTA FINANCE AUSTRALIA LTD
TOYOTA FINANCE AUSTRALIA LTD 2.599
89237BBA0
3UKPTDP5PGQRH8AUK042
US89237BBA08
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+
2019-09-09
2019-09-09
2019-09-09
N
N
N
0.0264
50008443.00
50008443.00
0.0009
N
N
N
N
TOYOTA MOTOR CREDIT CORPORATION
TOYOTA MOTOR CREDIT CORPORATION 2.668
89236TFC4
Z2VZBHUMB7PWWJ63I008
US89236TFC45
Other Instrument
Medium Term Note
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+
2019-08-14
2019-11-14
2019-11-14
N
N
N
0.0260
117016072.29
117016072.29
0.0021
N
N
N
N
TOYOTA MOTOR CREDIT CORPORATION
TOYOTA MOTOR CREDIT CORPORATION 2.403
89233AP78
5493006W3QUS5LMH6R84
US89233AP785
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+
2019-10-11
2019-10-11
2019-10-11
N
N
N
0.0244
75017038.50
75017038.50
0.0014
N
N
N
N
UBS
UBS 2.590
AAW9939J8
0001114446
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
AFLAC INC SR GLBL NT
549300N0B7DOGLXWPP39
2049-01-15
4.750000
3.00
3.52
Corporate Debt Securities
APPALACHIAN PWR CO SR
3SCHO1ABYYIG382BEI70
2035-10-01
5.800000
12000.00
14754.27
Corporate Debt Securities
BANK AMER CORP FR 3.9
9DJT3UXIJIZJI4WXO774
2030-02-07
3.974000
5000000.00
5440986.39
Corporate Debt Securities
BANK AMER CORP FR 4.8
9DJT3UXIJIZJI4WXO774
2044-04-01
4.875000
745000.00
899434.46
Corporate Debt Securities
BARRICK NORTH AMERICA
2038-09-15
7.500000
70000.00
95664.45
Corporate Debt Securities
CONSUMERS ENERGY CO 1
2045-11-15
4.100000
25000.00
26604.04
Corporate Debt Securities
CRH AMERICA FINANCE I
2047-05-09
4.400000
269583.00
267216.06
Corporate Debt Securities
DOWDUPONT INC 5.419%4
5493004JF0SDFLM8GD76
2048-11-15
5.419000
3040985.00
3690538.13
Corporate Debt Securities
ENTERPRISE PRODS OPER
5493004LGN656HWLDA30
2046-05-15
4.900000
6375000.00
7169123.12
Corporate Debt Securities
GOLDMAN SACHS GROUP I
784F5XWPLTWKTBV3E584
2036-05-01
6.450000
4449000.00
5735498.79
Corporate Debt Securities
MASSACHUSETTS ELEC CO
2039-11-15
5.900000
25000.00
32349.54
Corporate Debt Securities
MOTIVA ENTERPRISES LL
2040-01-15
6.850000
25000.00
30731.10
Corporate Debt Securities
NORDEA BK AB MTN 144A
529900ODI3047E2LIV03
2023-08-30
3.750000
10.00
10.56
Corporate Debt Securities
PRECISION CASTPARTS C
0XOOAY5P5J7Q734SEC89
2035-06-15
4.200000
25000.00
26927.00
Corporate Debt Securities
PUBLIC SVC ELEC GAS C
549300RUHPVD434XUK18
2035-07-01
5.250000
1000.00
1200.40
Corporate Debt Securities
SIMON PPTY GROUP LP 3
MR92GTD0MJTTTTQDVG45
2027-12-01
3.375000
402.00
420.15
Corporate Debt Securities
U S BANCORP MTNS BK E
N1GZ7BBF3NP8GI976H15
2029-07-30
3.000000
97230.00
97453.95
Corporate Debt Securities
UBS AG LONDON BRH SR
BFM8T61CT2L1QCEMIK50
2020-06-08
2.200000
6605000.00
6613109.47
Corporate Debt Securities
UBS AG STAMFORD BRH S
BFM8T61CT2L1QCEMIK50
2020-08-04
4.875000
37599000.00
39486595.13
Corporate Debt Securities
UBS GROUP AG SR COCO
506700Q800G1L95S7805
2021-04-15
3.000000
6406000.00
6517592.52
Corporate Debt Securities
UBS GROUP AG SR GLBL
506700Q800G1L95S7805
2020-09-24
2.950000
24178000.00
24605104.37
Corporate Debt Securities
U.S. TREASURY
2042-08-15
0.000000
1275000.00
691649.25
U.S. Treasuries (including strips)
U.S. TREASURY
2025-11-15
0.000000
999650.00
883010.84
U.S. Treasuries (including strips)
U.S. TREASURY
2046-05-15
0.000000
234000.00
113291.10
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2046-08-15
2.250000
400.00
377.60
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2029-04-15
3.875000
4751400.00
9960524.99
U.S. Treasuries (including strips)
U.S. TREASURY
2019-11-15
0.000000
100.00
99.39
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-08-15
0.000000
702100.00
637696.37
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2028-05-15
0.000000
334800.00
278021.27
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2042-05-15
0.000000
999900.00
546495.34
U.S. Treasuries (including strips)
U.S. TREASURY
2038-11-15
0.000000
2351300.00
1445014.93
U.S. Treasuries (including strips)
U.S. TREASURY
2027-08-15
0.000000
240000.00
204897.60
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2044-05-15
0.000000
740304.00
379701.92
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2027-08-15
0.000000
615000.00
521249.40
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2031-02-15
0.000000
249850.00
193116.56
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2032-05-15
0.000000
1940900.00
1447872.58
U.S. Treasuries (including strips)
U.S. TREASURY
2022-11-15
0.000000
264000.00
248706.48
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-05-15
0.000000
368300.00
355619.06
U.S. Treasuries (including strips)
U.S. TREASURY
2044-08-15
0.000000
1097000.00
558570.46
U.S. Treasuries (including strips)
U.S. TREASURY
2023-02-15
0.000000
16400.00
15382.05
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2043-05-15
0.000000
189000.00
100060.38
U.S. Treasuries (including strips)
U.S. TREASURY
2020-08-15
0.000000
600.00
587.70
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2043-11-15
0.000000
799800.00
417167.68
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-07-15
1.250000
1027100.00
1211605.26
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-08-15
0.000000
123800.00
114792.31
U.S. Treasuries (including strips)
U.S. TREASURY
2044-05-15
0.000000
999500.00
520495.62
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-08-15
2.125000
300.00
304.48
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2033-11-15
0.000000
249900.00
178351.13
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-11-15
0.000000
249600.00
238956.81
U.S. Treasuries (including strips)
U.S. TREASURY
2041-05-15
0.000000
249900.00
141390.92
U.S. Treasuries (including strips)
U.S. TREASURY
2037-02-15
0.000000
399600.00
259468.27
U.S. Treasuries (including strips)
U.S. TREASURY
2038-02-15
0.000000
772300.00
486260.93
U.S. Treasuries (including strips)
U.S. TREASURY
2020-05-15
0.000000
60700.00
59762.79
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-05-15
0.000000
200.00
186.25
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-11-15
2.750000
100.00
104.30
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2019-08-15
0.000000
240000.00
239784.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2030-02-15
0.000000
329850.00
261983.36
U.S. Treasuries (including strips)
U.S. TREASURY
2029-08-15
0.000000
440400.00
358490.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-08-15
0.000000
1054400.00
996131.75
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2029-11-15
0.000000
1136800.00
908962.54
U.S. Treasuries (including strips)
U.S. TREASURY
2026-11-15
0.000000
99500.00
86448.59
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-01-31
1.875000
6600700.00
6605756.14
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2031-05-15
0.000000
672900.00
516625.70
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2026-11-15
0.000000
1087800.00
938629.99
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-02-15
0.000000
446450.00
417926.31
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2029-05-15
0.000000
356077.99
288416.05
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2035-05-15
0.000000
999900.00
682131.78
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2029-02-15
0.000000
249552.62
203644.92
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2026-02-15
0.000000
451000.00
396212.52
U.S. Treasuries (including strips)
U.S. TREASURY
2036-08-15
0.000000
643400.00
423254.26
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-01-15
2.500000
4600.00
4677.31
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-04-30
1.750000
300.00
300.77
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2041-02-15
0.000000
716000.00
408470.84
U.S. Treasuries (including strips)
U.S. TREASURY
2021-08-15
0.000000
83300.00
80139.60
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2034-11-15
0.000000
249899.99
173085.73
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2045-02-15
0.750000
696800.00
753188.93
U.S. Treasuries (including strips)
ZIMMER BIOMET HLDGS I
2P2YLDVPES3BXQ1FRB91
2035-08-15
4.250000
4000.00
3921.24
Corporate Debt Securities
BAE SYS HLDGS INC SR
MF62XBVMNYTYMC18DL76
2044-10-07
4.750000
16000.00
17926.24
Corporate Debt Securities
BANK AMER CORP FR 4.4
9DJT3UXIJIZJI4WXO774
2026-03-03
4.450000
375000.00
410445.31
Corporate Debt Securities
BARCLAYS PLC SR GLBL
213800LBQA1Y9L22JB70
2029-05-16
4.972000
1133000.00
1213828.47
Corporate Debt Securities
CANADIAN NATL RY CO S
2037-11-15
6.375000
20000.00
28351.03
Corporate Debt Securities
CITIGROUP INC SR GLBL
6SHGI4ZSSLCXXQSBB395
2022-04-25
3.235500
8988000.00
9083266.06
Corporate Debt Securities
DOWDUPONT INC 4.205%2
5493004JF0SDFLM8GD76
2023-11-15
4.205000
4113706.00
4415118.95
Corporate Debt Securities
EMERSON ELEC CO SR NT
2039-04-15
6.125000
13000.00
17575.67
Corporate Debt Securities
GENERAL ELECTRIC CO S
3C7474T6CDKPR9K6YT90
2024-03-11
3.375000
1000000.00
1036811.25
Corporate Debt Securities
KEYBANK NATIONAL ASSO
HUX2X73FUCYHUVH1BK78
2026-05-20
3.400000
5000000.00
5175255.56
Corporate Debt Securities
KREDITANSTALT FUR WIE
549300GDPG70E3MBBU98
2037-06-29
0.000000
74000.00
46795.38
Other Instrument
International debt
NEWMONT GOLDCORP CORP
549300VSP3RIX7FGDZ51
2023-03-15
3.700000
200000.00
209261.00
Corporate Debt Securities
PHILIP MORRIS INTL IN
HL3H1H2BGXWVG3BSWR90
2042-03-20
4.500000
150000.00
164784.00
Corporate Debt Securities
PROTECTIVE LIFE CORP
2039-10-15
8.450000
106000.00
161560.52
Corporate Debt Securities
REALTY INCOME CORP SR
549300CUWDAUZSH43859
2023-08-01
4.650000
89000.00
98166.18
Corporate Debt Securities
SAN DIEGO GAS & ELEC
KNIRVXKVNJJ4P8OTMS63
2041-11-15
3.950000
48000.00
48479.48
Corporate Debt Securities
UBS AG LONDON BRH SR
BFM8T61CT2L1QCEMIK50
2020-12-01
2.450000
30482000.00
30626035.92
Corporate Debt Securities
UBS AG STAMFORD BRH F
BFM8T61CT2L1QCEMIK50
2019-08-14
2.375000
4642000.00
4692882.77
Corporate Debt Securities
UBS AG STAMFORD BRH V
2019-08-14
3.167880
3295000.00
3318604.52
Corporate Debt Securities
UBS GROUP AG SR GLBL
506700Q800G1L95S7805
2020-09-24
3.783130
3450000.00
3514750.35
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-08-15
2.859000
1157000.00
1178744.37
Corporate Debt Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2021-08-15
0.000000
1145300.00
1101215.11
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2028-11-15
0.000000
49800.00
40887.79
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2030-05-15
0.000000
249800.00
197274.55
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2031-11-15
0.000000
99900.00
75642.28
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2030-08-15
0.000000
14.66
11.49
U.S. Treasuries (including strips)
U.S. TREASURY
2037-11-15
0.000000
307.12
194.91
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2028-11-15
5.250000
400.00
513.02
U.S. Treasuries (including strips)
U.S. TREASURY
2038-05-15
0.000000
200.00
129.13
U.S. Treasuries (including strips)
U.S. TREASURY
2022-08-15
0.000000
43000.00
40677.57
U.S. Treasuries (including strips)
U.S. TREASURY
2026-08-15
0.000000
135000.00
117961.65
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-08-15
0.000000
2762600.00
2705198.70
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2039-08-15
4.500000
500.00
679.84
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2047-08-15
0.000000
833253.45
389654.31
U.S. Treasuries (including strips)
U.S. TREASURY
2031-02-15
0.000000
899000.00
706658.95
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2041-02-15
2.125000
67400.00
102379.91
U.S. Treasuries (including strips)
U.S. TREASURY
2020-11-15
0.000000
400.00
389.82
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2043-02-15
3.125000
200.00
223.81
U.S. Treasuries (including strips)
U.S. TREASURY
2025-02-15
0.000000
12000.00
10828.80
U.S. Treasuries (including strips)
U.S. TREASURY
2047-05-15
0.000000
46566.98
21957.73
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2027-02-15
0.000000
903900.00
775247.91
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2026-08-15
0.000000
617000.00
535734.93
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2034-05-15
0.000000
249900.00
175714.69
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-02-15
0.000000
1310000.00
1202226.30
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-07-15
0.625000
140500.00
160250.15
U.S. Treasuries (including strips)
U.S. TREASURY
2044-08-15
0.000000
800.00
413.66
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2046-11-15
2.875000
1000.00
1063.58
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2035-02-15
0.000000
499750.00
343478.17
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2033-05-15
0.000000
659900.00
478189.94
U.S. Treasuries (including strips)
AMERICAN EXPRESS CO S
R4PP93JZOLY261QX3811
2023-02-27
3.400000
2240000.00
2345302.40
Corporate Debt Securities
BANK AMER CORP SR NT
9DJT3UXIJIZJI4WXO774
2028-01-20
3.824000
97000.00
102470.05
Corporate Debt Securities
BERKSHIRE HATHAWAY IN
5493000C01ZX7D35SD85
2023-03-15
2.750000
3097000.00
3185612.91
Corporate Debt Securities
CENTERPOINT ENERGY RE
2JADVB0458J06WCD4N56
2037-11-01
6.625000
25000.00
32580.96
Corporate Debt Securities
COMMONWEALTH EDISON C
D8YOXB8L2ZDC8P7Q0771
2045-03-01
3.700000
75000.00
78414.29
Corporate Debt Securities
CREDIT SUISSE GRP FDG
2020-12-10
3.125000
1373652.00
1391853.27
Corporate Debt Securities
ERP OPER LTD PARTNERS
DX5HQV5MLU50FEWZ5072
2027-08-01
3.250000
162000.00
170443.39
Corporate Debt Securities
INTL PAPER CO CR SEN
824LMFJDH41EY779Q875
2039-11-15
7.300000
1045000.00
1382909.46
Corporate Debt Securities
KRAFT HEINZ FOODS CO
5493003STKEZ2S0RNU91
2045-07-15
5.200000
175000.00
184197.42
Corporate Debt Securities
LLOYDS BANKING GROUP
549300PPXHEU2JF0AM85
2025-12-10
4.582000
490000.00
513198.51
Corporate Debt Securities
METLIFE CAPITAL TRUST
2067-12-15
7.875000
1102000.00
1421407.81
Corporate Debt Securities
PROTECTIVE LIFE CORP
549300ZWIT8J8Y2EXL07
2028-09-30
4.300000
675000.00
725060.25
Corporate Debt Securities
PUGET SOUND ENERGY IN
2041-11-15
4.434000
1000.00
1097.33
Corporate Debt Securities
SABINE PASS LIQUEFACT
549300KJYBG7C6WJYZ11
2025-03-01
5.625000
241000.00
273564.22
Corporate Debt Securities
SANTANDER HLDGS USA I
549300SMVCQN2P0O6I58
2027-07-13
4.400000
534000.00
565883.95
Corporate Debt Securities
TEACHERS INS & ANNUIT
2054-09-15
4.375000
42.00
44.18
Corporate Debt Securities
UBS GROUP AG SR FL 14
506700Q800G1L95S7805
2022-02-01
4.109000
2970000.00
3075442.43
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-05-23
3.491000
17000000.00
17482921.36
Corporate Debt Securities
U.S. TREASURY
254900HROIFWPRGM1V77
2042-02-15
0.000000
970000.00
534896.80
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-11-15
0.000000
99750.00
93801.91
U.S. Treasuries (including strips)
U.S. TREASURY
2046-02-15
0.000000
782000.00
381045.14
U.S. Treasuries (including strips)
U.S. TREASURY
2038-08-15
0.000000
820600.00
508345.29
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2047-02-15
0.000000
334000.00
158416.20
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-12-31
2.250000
300.00
306.33
U.S. Treasuries (including strips)
U.S. TREASURY
2045-05-15
0.000000
470200.00
233950.36
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2040-02-15
0.000000
1193200.00
703391.40
U.S. Treasuries (including strips)
U.S. TREASURY
2020-02-15
0.000000
130000.00
128596.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2032-11-15
0.000000
249900.00
183686.50
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2027-11-15
6.125000
400.00
531.50
U.S. Treasuries (including strips)
U.S. TREASURY
2040-05-15
0.000000
168000.00
98261.52
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2045-11-15
0.000000
545400.00
267676.87
U.S. Treasuries (including strips)
U.S. TREASURY
2026-02-15
0.000000
313000.00
276470.08
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2025-02-15
0.000000
983750.00
884283.04
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-02-15
0.000000
249700.00
246952.30
U.S. Treasuries (including strips)
U.S. TREASURY
2035-11-15
0.000000
249900.00
167957.79
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2031-08-15
0.000000
329000.00
250596.01
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2027-11-15
0.000000
300.00
252.86
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2021-02-15
0.000000
50.00
48.51
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2042-05-15
3.000000
300.00
327.28
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2032-08-15
0.000000
1052700.00
779545.40
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2041-11-15
0.000000
799900.00
444960.37
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2045-02-15
2.500000
100.00
99.70
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2043-08-15
0.000000
1177400.00
618394.03
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2027-05-15
0.000000
585800.00
499207.04
U.S. Treasuries (including strips)
U.S. TREASURY
2045-02-15
0.000000
1006000.00
504136.78
U.S. Treasuries (including strips)
U.S. TREASURY
2036-05-15
0.000000
249900.00
165566.25
U.S. Treasuries (including strips)
U.S. TREASURY
2027-02-15
0.000000
1189000.00
1027343.56
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2028-08-15
0.000000
306245.45
253075.11
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2025-05-15
0.000000
999693.00
893145.72
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2041-08-15
0.000000
1058000.00
593051.32
U.S. Treasuries (including strips)
U.S. TREASURY
2024-02-15
0.000000
200000.00
184046.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2034-02-15
0.000000
249750.00
176895.43
U.S. Treasuries (including strips)
U.S. TREASURY
2029-08-15
0.000000
334.62
269.37
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2040-05-15
4.375000
400.00
531.59
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2028-02-15
0.000000
499300.00
417414.80
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-05-15
1.750000
200.00
200.09
U.S. Treasuries (including strips)
U.S. TREASURY
2045-02-15
0.000000
450000.00
229392.90
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2039-05-15
0.000000
1258300.00
761648.99
U.S. Treasuries (including strips)
U.S. TREASURY
2044-11-15
0.000000
170000.00
85921.40
U.S. Treasuries (including strips)
U.S. TREASURY
2045-08-15
0.000000
1029000.00
508179.88
U.S. Treasuries (including strips)
WESTPAC BKG CORP LW T
EN5TNI6CI43VEPAMHL14
2039-07-24
4.421000
5500000.00
5670042.58
Corporate Debt Securities
AIRCASTLE LTD SR GLBL
549300PNK8AKY3OIKP58
2026-06-15
4.250000
1.00
1.02
Corporate Debt Securities
APPALACHIAN PWR CO SR
3SCHO1ABYYIG382BEI70
2037-08-15
6.700000
50000.00
68060.42
Corporate Debt Securities
BANK AMER CORP FR 4.0
9DJT3UXIJIZJI4WXO774
2040-04-23
4.078000
198.00
213.89
Corporate Debt Securities
CAPITAL ONE NATL ASSN
207ALC1P1YM0OVDV0K75
2021-09-13
2.250000
2025000.00
2032517.81
Corporate Debt Securities
CITIGROUP INC SUB NT
6SHGI4ZSSLCXXQSBB395
2026-03-09
4.600000
335000.00
367115.33
Corporate Debt Securities
COX COMMUNICATIONS IN
5493001NEDZNIFRP2R92
2035-02-01
4.800000
25000.00
26140.42
Corporate Debt Securities
CSX CORP SR GLBL NT 6
2068-03-01
4.650000
455.00
487.21
Corporate Debt Securities
EMERSON ELEC CO SR NT
FGLT0EWZSUIRRITFOA30
2032-08-15
6.000000
1000.00
1337.86
Corporate Debt Securities
KEYSPAN CORP SR GLBL
2035-04-01
5.803000
25000.00
29798.80
Corporate Debt Securities
LEGG MASON INC SR GLB
2044-01-15
5.625000
5000.00
5460.27
Corporate Debt Securities
MASSACHUSETTS MUT LIF
R6ZXK5P01NP6HXSY1S07
2065-04-15
4.500000
3000.00
3340.85
Corporate Debt Securities
NEW YORK LIFE INS CO
TAE73CY392TBWJ3O3305
2039-11-15
6.750000
2000.00
2901.85
Corporate Debt Securities
NORFOLK SOUTHERN CORP
54930036C8MWP850MI84
2043-08-15
4.800000
14000.00
15913.66
Corporate Debt Securities
ROGERS COMMUNICATIONS
2043-03-15
4.500000
25000.00
27450.13
Corporate Debt Securities
SANOFI-AVENTIS SR GLB
549300E9PC51EN656011
2028-06-19
3.625000
300000.00
324137.54
Corporate Debt Securities
SOUTHWEST GAS HOLDING
2043-10-01
4.875000
15000.00
17569.57
Corporate Debt Securities
UBS AG LONDON BRH 20
BFM8T61CT2L1QCEMIK50
2020-06-08
3.030630
12670000.00
12770463.07
Corporate Debt Securities
UBS AG LONDON BRH VR
BFM8T61CT2L1QCEMIK50
2020-12-01
3.000250
8358000.00
8424226.59
Corporate Debt Securities
UBS AG STAMFORD BRH V
BFM8T61CT2L1QCEMIK50
2020-06-01
3.370250
1620000.00
1639067.15
Corporate Debt Securities
UBS GROUP FDG SWITZ A
506700Q800G1L95S7805
2023-05-23
3.743500
1585000.00
1615582.64
Corporate Debt Securities
U.S. TREASURY
2046-05-15
0.000000
999700.00
492087.33
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2019-08-15
0.000000
150000.00
149865.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-11-15
0.000000
99900.00
92135.77
U.S. Treasuries (including strips)
U.S. TREASURY
2027-02-15
0.000000
200000.00
172490.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2026-03-31
2.250000
6670000.00
6852357.80
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-10-31
1.375000
200.00
199.21
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2025-08-15
0.000000
802000.00
713387.02
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2026-05-15
0.000000
128881.00
112536.31
U.S. Treasuries (including strips)
U.S. TREASURY
2028-08-15
0.000000
200.00
166.60
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2044-02-15
0.000000
988000.00
510351.40
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2038-05-15
0.000000
536000.00
334994.64
U.S. Treasuries (including strips)
U.S. TREASURY
2037-05-15
0.000000
576500.00
371779.09
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2032-02-15
0.000000
531000.00
399046.50
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-04-15
1.500000
479000.00
479155.79
U.S. Treasuries (including strips)
U.S. TREASURY
2036-02-15
0.000000
597000.00
398736.30
U.S. Treasuries (including strips)
U.S. TREASURY
2038-02-15
0.000000
19700.00
12810.67
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2023-01-15
0.125000
2544200.00
2802268.83
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-02-15
0.000000
1234650.00
1175936.22
U.S. Treasuries (including strips)
U.S. TREASURY
2030-05-15
0.000000
200.00
160.05
U.S. Treasuries (including strips)
U.S. TREASURY
2019-10-15
1.000000
200.00
200.12
U.S. Treasuries (including strips)
U.S. TREASURY
2027-08-15
0.000000
600000.00
511314.60
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2043-02-15
0.625000
8200.00
8894.90
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2033-08-15
0.000000
257000.00
184831.83
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-05-15
0.000000
514500.00
469651.03
U.S. Treasuries (including strips)
U.S. TREASURY
2040-11-15
0.000000
249900.00
143782.46
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2040-08-15
0.000000
954600.00
553992.56
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2026-01-15
2.000000
217000.00
310927.84
U.S. Treasuries (including strips)
U.S. TREASURY
2039-02-15
0.000000
301600.00
184054.42
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-05-15
0.000000
51.70
49.06
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2024-11-15
0.000000
686850.00
621235.22
U.S. Treasuries (including strips)
U.S. TREASURY
2046-08-15
0.000000
822000.00
395192.94
U.S. Treasuries (including strips)
U.S. TREASURY
2036-11-15
0.000000
1028000.00
671602.68
U.S. Treasuries (including strips)
U.S. TREASURY
2021-05-15
0.000000
15000.00
14494.20
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2034-08-15
0.000000
205000.00
143032.60
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2035-08-15
0.000000
300000.00
203199.00
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2022-05-15
1.750000
100.00
100.17
U.S. Treasuries (including strips)
U.S. TREASURY
2039-11-15
0.000000
1115000.00
663079.35
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2033-02-15
0.000000
334000.00
243846.72
U.S. Treasuries (including strips)
U.S. TREASURY
2037-08-15
0.000000
861300.00
550861.64
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2019-12-05
0.000000
400.00
397.13
U.S. Treasuries (including strips)
U.S. TREASURY
254900HROIFWPRGM1V77
2020-05-15
0.000000
99600.00
98029.11
U.S. Treasuries (including strips)
Y
Fitch Long Rating
NR
Fitch Short Rating
NR
Moody's Long Rating
NR
Moody's Short Rating
NR
Standard & Poor's Long Rating
A+
Standard & Poor's Short Rating
A-1
2019-08-01
2019-08-07
2049-12-31
N
N
N
0.0263
300000000.00
300000000.00
0.0055
N
N
Y
N
UBS AG-LONDON
UBS AG-LONDON 2.655
90276JGP5
BFM8T61CT2L1QCEMIK50
US90276JGP57
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
2019-08-07
2020-02-03
2020-02-03
N
N
N
0.0269
159999907.20
159999907.20
0.0029
N
N
N
N
UBS AG-LONDON
UBS AG-LONDON 2.269
90351WCD5
BFM8T61CT2L1QCEMIK50
US90351WCD56
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
2020-03-13
2020-03-13
2020-03-13
N
N
N
0.0227
394829624.00
394829624.00
0.0072
N
N
N
N
UBS AG-LONDON
UBS AG-LONDON 2.372
90276JGF7
BFM8T61CT2L1QCEMIK50
US90276JGF75
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
2019-10-16
2020-01-16
2020-01-16
N
N
N
0.0241
29999911.80
29999911.80
0.0005
N
N
N
N
UBS SECURITIES LLC
UBS SECURITIES LLC 2.745
PP30FTD44
3TK20IVIUJ8J3ZU0QE75
0001017255
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
2019-08-03
2019-11-05
2019-11-05
N
N
N
0.0278
149999848.50
149999848.50
0.0027
N
N
N
N
US TREASURY
US TREASURY 2.384
912796SS9
254900HROIFWPRGM1V77
US912796SS93
U.S. Treasury Debt
Y
Fitch Long Rating
AAA
Fitch Short Rating
F1+
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
2019-11-14
2019-11-14
2019-11-14
N
N
N
0.0238
248522222.50
248522222.50
0.0045
N
Y
Y
N
US TREASURY
US TREASURY 2.401
912796RF8
254900HROIFWPRGM1V77
US912796RF81
U.S. Treasury Debt
Y
Fitch Long Rating
AAA
Fitch Short Rating
F1+
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
2019-10-10
2019-10-10
2019-10-10
N
N
N
0.0240
199205046.00
199205046.00
0.0036
N
Y
Y
N
US TREASURY
US TREASURY 2.166
9128285Y2
254900HROIFWPRGM1V77
US9128285Y20
U.S. Treasury Debt
Y
Fitch Long Rating
AAA
Fitch Short Rating
F1+
Moody's Long Rating
Aaa
Moody's Short Rating
P-1
Standard & Poor's Long Rating
AA+
Standard & Poor's Short Rating
A-1+
2019-08-01
2021-01-31
2021-01-31
N
N
N
0.0222
649416241.50
649416241.50
0.0118
N
Y
Y
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.562
94989R4E5
KB1H1DSPRFMYMCUFXT09
US94989R4E55
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
2019-10-03
2020-01-03
2020-01-03
N
N
N
0.0260
90082575.00
90082575.00
0.0016
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.546
94989R7A0
KB1H1DSPRFMYMCUFXT09
US94989R7A07
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
2019-08-09
2020-04-09
2020-04-09
N
N
N
0.0258
233029558.38
233029558.38
0.0042
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.734
94989R2S6
KB1H1DSPRFMYMCUFXT09
US94989R2S69
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
2019-08-06
2019-11-06
2019-11-06
N
N
N
0.0277
200166416.00
200166416.00
0.0036
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.750
95001KCF9
US95001KCF93
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
2019-08-29
2020-07-29
2020-07-29
N
N
N
0.0279
374999707.50
374999707.50
0.0068
N
N
N
N
WELLS FARGO BANK NATIONAL ASSOCIATION
WELLS FARGO BANK NATIONAL ASSOCIATION 2.740
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
2019-08-01
2019-09-20
2019-09-20
N
N
N
0.0278
84271708.70
84271708.70
0.0015
N
N
N
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.520
0QY001ZC0
0001470801
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ADESTO TECHNOLOGIES C
2099-01-01
0.000000
359024.00
3037343.04
Equities
ALTRIA GROUP INC COM
XSGZFLO9YTNO9VCQV219
2099-01-01
0.000000
2231.00
108203.50
Equities
B RILEY FINL INC COM
2099-01-01
0.000000
103622.00
1972962.88
Equities
CAPITAL ONE FINL CORP
2099-01-01
6.000000
30.00
806.10
Equities
CITIGROUP INC COM NEW
6SHGI4ZSSLCXXQSBB395
2099-01-01
0.000000
77747.00
5575237.37
Equities
DMC GLOBAL INC COM
549300CBDXD1Z5MRNG02
2099-01-01
0.000000
62183.00
3291346.19
Equities
ESSA BANCORP INC COM
2099-01-01
0.000000
16158.00
248025.30
Equities
FRANKLIN COVEY CO COM
2099-01-01
0.000000
40138.00
1519223.30
Equities
GLOBAL BLOOD THERAPEU
549300U4G0QKK99GRT15
2099-01-01
0.000000
21664.00
1214050.56
Equities
HIGHPOINT RES CORP CO
549300F0PA3NW6D2OO63
2099-01-01
0.000000
811229.00
1070822.28
Equities
MERSANA THERAPEUTICS
529900VWD5VDZ7PVOS22
2099-01-01
0.000000
455522.00
1635323.98
Equities
NORTHERN OIL & GAS IN
OKFF0PIZDDMNH4UCYE51
2099-01-01
0.000000
4567120.00
7581419.20
Equities
PEOPLES BANCORP N C I
2099-01-01
0.000000
15228.00
415419.84
Equities
RIBBON COMMUNICATIONS
549300L1E8Z8RL7CUL52
2099-01-01
0.000000
631810.00
3102187.10
Equities
SHUTTERFLY INC COM
549300I1C8WJQ5FZE154
2099-01-01
0.000000
214020.00
10842253.20
Equities
ULTRAGENYX PHARMACEUT
529900EV44GVDN1DCX77
2099-01-01
0.000000
920.00
56451.20
Equities
WESTERN ALLIANCE BANC
5493003VJXZ5JXT9S762
2099-01-01
0.000000
59039.00
2954311.56
Equities
ZILLOW GROUP INC CL C
2549002XEELQDIR6FU05
2099-01-01
0.000000
248863.00
12169400.70
Equities
APPLIED MATLS INC COM
41BNNE1AFPNAZELZ6K07
2099-01-01
0.000000
289.00
14660.97
Equities
BUNGE LIMITED COM
5493007M0RIN8HY3MM77
2099-01-01
0.000000
266164.00
15001003.04
Equities
CIT GROUP INC COM NEW
N8O96ZZJQRFYQUJY7K79
2099-01-01
0.000000
136399.00
6920885.26
Equities
COCA COLA CO COM
UWJKFUJFZ02DKWI3RY53
2099-01-01
0.000000
100089.00
5376781.08
Equities
DELL TECHNOLOGIES INC
549300TJB5YBRUPOG437
2099-01-01
0.000000
102388.00
5859665.24
Equities
FLOTEK INDS INC DEL C
549300TF60OEK4FPPC44
2099-01-01
0.000000
846704.00
2684051.68
Equities
GENWORTH FINL INC COM
549300EMCG286BDNKJ33
2099-01-01
0.000000
2895300.00
11697012.00
Equities
HESS CORP COM
UASVRYNXNK17ULIGK870
2099-01-01
0.000000
241952.00
15001024.00
Equities
LENNAR CORP CL A
529900G61XVRLX5TJX09
2099-01-01
0.000000
104437.00
5059972.65
Equities
LSB INDS INC COM
5493001H215A0HG0MI71
2099-01-01
0.000000
153584.00
787885.92
Equities
PATRICK INDS INC COM
549300FZ5ZTCCJ3Z5W14
2099-01-01
0.000000
102201.00
4664453.64
Equities
REPUBLIC BANCORP KY C
2099-01-01
0.000000
42090.00
2060305.50
Equities
SERVICEMASTER GLOBAL
549300GS10644JGL8R77
2099-01-01
0.000000
714.00
37877.70
Equities
SPECTRUM BRANDS HLDGS
549300JM0MJETDD30O20
2099-01-01
0.000000
152300.00
7843450.00
Equities
TEXAS CAPITAL BANCSHA
549300466Q2SXRX0YM48
2099-01-01
0.000000
44243.00
2780672.55
Equities
ZILLOW GROUP INC CL A
2549002XEELQDIR6FU05
2099-01-01
0.000000
58061.00
2831634.97
Equities
ACHILLION PHARMACEUTI
529900LZPJ796VSWZM38
2099-01-01
0.000000
1547396.00
7025177.84
Equities
AGILENT TECHNOLOGIES
QUIX8Y7A2WP0XRMW7G29
2099-01-01
0.000000
93.00
6523.95
Equities
CHENIERE ENERGY INC C
MIHC87W9WTYSYZWV1J40
2099-01-01
0.000000
230006.00
15000991.32
Equities
CLEAR CHANNEL OUTDOOR
2099-01-01
0.000000
3110210.00
10108182.50
Equities
CONTURA ENERGY INC CO
2099-01-01
0.000000
414737.00
15001037.29
Equities
DENBURY RES INC COM N
549300KCWA5W52MS5559
2099-01-01
0.000000
851138.00
1004342.84
Equities
ELDORADO RESORTS INC
5299000BKFWWVND5L441
2099-01-01
0.000000
321152.00
15001009.92
Equities
HEARTLAND FINL USA IN
549300QF7B0DFZT32C73
2099-01-01
0.000000
10122.00
488386.50
Equities
INDEPENDENCE CONTRACT
2099-01-01
0.000000
470960.00
616957.60
Equities
LIBERTY MEDIA CORP DE
2099-01-01
0.000000
195158.00
7322328.16
Equities
MAIDEN HOLDINGS LTD P
2099-01-01
8.250000
22280.00
112959.60
Equities
MONARCH CASINO & RESO
549300AK5FF7KY11V997
2099-01-01
0.000000
94278.00
4500831.72
Equities
RIMINI STR INC DEL CO
2099-01-01
0.000000
140192.00
696754.24
Equities
SOUTHWEST AIRLS CO CO
UDTZ87G0STFETI6HGH41
2099-01-01
0.000000
156.00
8197.80
Equities
STATE STR CORP SHS RE
549300ZFEEJ2IP5VME73
2099-01-01
6.000000
112432.00
2869264.64
Equities
U S WELL SVCS INC CL
2099-01-01
0.000000
152902.00
469409.14
Equities
WALKER & DUNLOP INC C
2099-01-01
0.000000
199600.00
11736480.00
Equities
AFLAC INC COM
549300N0B7DOGLXWPP39
2099-01-01
0.000000
733.00
38761.04
Equities
ANAPLAN INC COM
2099-01-01
0.000000
23671.00
1365579.99
Equities
BRUNSWICK CORP COM
YM4O38W15AX4YLLQKU27
2099-01-01
0.000000
48461.00
2342604.74
Equities
CONOCOPHILLIPS COM
WPTL2Z3FIYTHSP5V2253
2099-01-01
0.000000
2380.00
141633.80
Equities
DELTA AIR LINES INC D
Q2CCMS6R0AS67HJMBN42
2099-01-01
0.000000
122452.00
7669168.76
Equities
DXC TECHNOLOGY CO COM
549300DOVZ3EDJB7O259
2099-01-01
0.000000
231249.00
13114130.79
Equities
EXTRACTION OIL AND GA
5493002FL3WIE1JVUP20
2099-01-01
0.000000
303806.00
1139272.50
Equities
FREEPORT-MCMORAN INC
549300IRDTHJQ1PVET45
2099-01-01
0.000000
1307850.00
15001039.50
Equities
LIBERTY MEDIA CORP DE
2099-01-01
0.000000
366415.00
15001030.10
Equities
MAIDEN HOLDINGS LTD P
2099-01-01
6.700000
30.00
120.00
Equities
MID PENN BANCORP INC
2099-01-01
0.000000
8035.00
209392.10
Equities
PACIFIC DRILLING SA L
549300VEJMMZCY6OBU06
2099-01-01
0.000000
58735.00
531551.75
Equities
PITNEY BOWES INC COM
549300N2O26NW4ST6W55
2099-01-01
0.000000
794612.00
3138717.40
Equities
STATE STR CORP COM
549300ZFEEJ2IP5VME73
2099-01-01
0.000000
4621.00
272084.48
Equities
TWO HBRS INVT CORP 7.
549300ZUIBT6KH4HU823
2099-01-01
7.625000
6565.00
169967.85
Equities
VOYA FINL INC COM
549300T065Z4KJ686G75
2099-01-01
0.000000
202173.00
11501621.97
Equities
XEROX CORP COM NEW
4KF48RN45X1OO8UBLY20
2099-01-01
0.000000
457628.00
15001045.84
Equities
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0252
300000000.00
300000000.00
0.0055
N
Y
Y
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.400
0QY001ZD8
0001470801
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ARROW ELECTRS INC
2019-08-30
0.000000
32784024.00
32707145.46
Money Market
TELUS CORP
2019-11-04
0.000000
9359251.00
9312454.74
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
2019-08-07
2019-08-07
2019-08-07
N
N
N
0.0240
40000000.00
40000000.00
0.0007
N
N
Y
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.530
0QY001Z06
0001470801
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ARROW ELECTRS INC
2019-08-09
0.000000
8476528.00
8470221.46
Money Market
CAMPBELL SOUP CO
2019-08-15
0.000000
700000.00
699225.10
Money Market
ENBRIDGE U S INC DISC
2019-08-19
0.000000
475000.00
474342.13
Money Market
ARROW ELECTRS INC
2019-08-12
0.000000
10000000.00
9990260.00
Money Market
WGL HLDGS INC
2019-08-13
0.000000
6000000.00
5993994.00
Money Market
CANADIAN PAC RY CO NE
2019-08-14
0.000000
12900000.00
12886622.70
Money Market
FORTIVE CORP
2019-08-21
0.000000
49082691.00
49007839.90
Money Market
ARROW ELECTRS INC
2019-08-19
0.000000
8993000.00
8979447.55
Money Market
BROADCOM INC DISC CP
2019-08-13
0.000000
37094000.00
37054977.11
Money Market
ENABLE MIDSTREAM PART
2019-08-16
0.000000
20000000.00
19974400.00
Money Market
SPIRE INC
2019-08-20
0.000000
3000000.00
2995635.00
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0253
149000000.00
149000000.00
0.0027
N
Y
Y
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.520
0QY001Z55
0001470801
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
ALBEMARLE CORP
2019-08-23
0.000000
11000000.00
10980013.00
Money Market
FMC TECHNOLOGIES INC
2019-08-21
0.000000
500000.00
499237.50
Money Market
GENERAL MTRS FINL CO
2019-08-22
0.000000
13000000.00
12977445.00
Money Market
EXPERIAN FINANCE PLC
2019-08-21
0.000000
14000000.00
13978174.00
Money Market
WGL HLDGS INC
2019-08-22
0.000000
25000000.00
24959275.00
Money Market
FORTIVE CORP
2019-08-21
0.000000
10917309.00
10900660.10
Money Market
UDR INC DISC COML PAP
2019-08-28
0.000000
4882296.00
4872467.94
Money Market
EXPERIAN FINANCE PLC
2019-08-27
0.000000
25000000.00
24950700.00
Money Market
GENERAL MTRS FINL CO
2019-08-20
0.000000
17500000.00
17472297.50
Money Market
WGL HLDGS INC
2019-08-21
0.000000
15000000.00
14976615.00
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
2019-08-05
2019-08-05
2019-08-05
N
N
N
0.0252
130000000.00
130000000.00
0.0024
N
N
Y
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.470
0QY001ZB2
0001470801
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
FORTIVE CORP
2019-08-28
0.000000
50857955.00
50755577.94
Money Market
BOSTON SCIENTIFIC COR
2019-08-29
0.000000
13000000.00
12972921.00
Money Market
NISOURCE INC
2019-08-28
0.000000
334700.00
334026.25
Money Market
ARROW ELECTRS INC
2019-08-29
0.000000
40000000.00
39909320.00
Money Market
ARROW ELECTRS INC
2019-08-30
0.000000
6686133.00
6670454.02
Money Market
BROADCOM INC DISC CP
2019-08-29
0.000000
46975000.00
46868507.68
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
2019-08-01
2019-08-01
2019-08-01
N
N
N
0.0247
150000000.00
150000000.00
0.0027
N
Y
Y
N
WELLS FARGO SECURITIES LLC
WELLS FARGO SECURITIES LLC 2.520
0QY001ZA4
0001470801
Other Repurchase Agreement, if any collateral falls outside Treasury, Government Agency and cash
N
N
NISOURCE INC
2019-08-28
0.000000
4063300.00
4055120.58
Money Market
UDR INC DISC COML PAP
2019-08-28
0.000000
15117704.00
15087272.06
Money Market
SOUTHERN CO
2019-08-28
0.000000
1000000.00
997987.00
Money Market
SPIRE INC
2019-08-28
0.000000
11398000.00
11375055.83
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
2019-08-06
2019-08-06
2019-08-06
N
N
N
0.0252
30000000.00
30000000.00
0.0005
N
N
Y
N
WESTPAC BANKING CORPORATION
WESTPAC BANKING CORPORATION 2.487
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+
2019-09-20
2019-09-20
2019-09-20
N
N
N
0.0252
100014062.00
100014062.00
0.0018
N
N
N
N
WESTPAC BANKING CORPORATION - NEW YORK BRANCH
WESTPAC BANKING CORPORATION - NEW YORK BRANCH 2.575
96130ABT4
EN5TNI6CI43VEPAMHL14
US96130ABT43
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+
2019-08-13
2020-02-11
2020-02-11
N
N
N
0.0262
35001775.55
35001775.55
0.0006
N
N
N
N
WESTPAC BANKING CORPORATION - NEW YORK BRANCH
WESTPAC BANKING CORPORATION - NEW YORK BRANCH 2.433
9612C4D32
EN5TNI6CI43VEPAMHL14
US9612C4D327
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+
2019-10-15
2020-01-13
2020-01-13
N
N
N
0.0247
131064712.69
131064712.69
0.0024
N
N
N
N
JPMorgan Prime Money Market Fund
2019-08-06
Timothy J. Clemens
Timothy J. Clemens
Treasurer