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SCHEDULE H, LINE 4I - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
12 Months Ended
Dec. 31, 2024
EBP 002  
EBP, Schedule of Asset Held for Investment [Line Items]  
SCHEDULE H, LINE 4I - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AEP RETIREMENT SAVINGS 401(K) PLAN
Plan #002 EIN #13-4922641
SCHEDULE H, LINE 4I - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
DECEMBER 31, 2024
(a)(b) Identity of Issuer, Borrower, Lessor or Similar Party (c) Description of InvestmentMaturity DateRate of InterestCollateral, Par, or Maturity Value(e) Current Value
MANAGED INCOME FUND
MONEY MARKET FUND
JP Morgan US Government Money Market$8,013,770 
TOTAL MONEY MARKET FUND$8,013,770 
U.S. GOVERNMENT SECURITIES
CES MU2 LLCFIXED5/13/20271.9940 %$397,097 $382,282 
EXIM Bank of the United StatesFIXED6/30/20272.4150 %414,612 399,092 
Fannie Mae PoolFIXED1/1/20263.1000 %880,000 868,889 
Fannie Mae PoolFIXED1/1/20282.5000 %77,199 75,341 
Fannie Mae PoolFIXED1/1/20295.0900 %1,270,000 1,292,775 
Fannie Mae PoolFIXED1/1/20295.0900 %530,000 539,505 
Fannie Mae PoolFIXED1/1/20304.2550 %30,000 29,431 
Fannie Mae PoolFIXED1/1/20304.2550 %50,000 49,052 
Fannie Mae PoolFIXED1/1/20304.3000 %40,000 39,324 
Fannie Mae PoolFIXED1/1/20304.3000 %60,000 58,986 
Fannie Mae PoolFIXED1/1/20304.3200 %210,000 206,643 
Fannie Mae PoolFIXED1/1/20304.3200 %300,000 295,204 
Fannie Mae PoolFIXED1/1/20304.3250 %320,000 314,958 
Fannie Mae PoolFIXED1/1/20304.3250 %460,000 452,752 
Fannie Mae PoolFIXED1/1/20304.3600 %100,000 98,585 
Fannie Mae PoolFIXED1/1/20304.3600 %140,000 138,019 
Fannie Mae PoolFIXED1/1/20352.5000 %252,294 232,076 
Fannie Mae PoolFIXED1/1/20414.0000 %48,593 46,298 
Fannie Mae PoolFIXED1/1/20463.5000 %719,194 649,699 
Fannie Mae PoolFIXED1/1/20514.5000 %1,174,323 1,110,557 
Fannie Mae PoolFIXED1/1/20522.0000 %418,880 329,780 
Fannie Mae PoolFIXED1/1/20522.5000 %1,284,949 1,059,829 
Fannie Mae PoolFIXED1/1/20522.5000 %2,145,974 1,776,787 
Fannie Mae PoolFIXED1/1/20522.5000 %2,252,321 1,863,427 
Fannie Mae PoolFIXED2/1/20313.0000 %317,689 306,302 
Fannie Mae PoolFIXED2/1/20352.5000 %44,583 41,009 
Fannie Mae PoolFIXED2/1/20352.5000 %51,128 47,029 
Fannie Mae PoolFIXED2/1/20352.5000 %56,848 52,292 
Fannie Mae PoolFIXED2/1/20352.5000 %96,858 88,999 
Fannie Mae PoolFIXED2/1/20473.5000 %61,105 55,001 
Fannie Mae PoolFIXED2/1/20522.0000 %1,368,732 1,084,416 
Fannie Mae PoolFIXED2/1/20574.0000 %404,443 371,982 
Fannie Mae PoolFIXED3/1/20255.0000 %2,396 2,399 
Fannie Mae PoolFIXED3/1/20284.7900 %200,000 201,151 
Fannie Mae PoolFIXED3/1/20294.8800 %923,000 933,787 
Fannie Mae PoolFIXED3/1/20494.0000 %622,814 578,793 
Fannie Mae PoolFIXED3/1/20514.0000 %1,074,856 995,709 
Fannie Mae PoolFIXED4/1/20284.0200 %550,000 542,148 
Fannie Mae PoolFIXED4/1/20292.2700 %540,000 491,850 
Fannie Mae PoolFIXED4/1/20294.4700 %650,000 645,336 
Fannie Mae PoolFIXED4/1/20414.0000 %366,248 348,953 
Fannie Mae PoolFIXED4/1/20473.0000 %472,969 410,947 
Fannie Mae PoolFIXED4/1/20484.0000 %61,337 57,065 
Fannie Mae PoolFIXED5/1/20273.0000 %12,045 11,874 
Fannie Mae PoolFIXED5/1/20294.9620 %1,420,000 1,438,083 
Fannie Mae PoolFIXED5/1/20314.5700 %1,250,000 1,231,134 
Fannie Mae PoolFIXED5/1/20514.0000 %1,310,010 1,218,478 
Fannie Mae PoolFIXED5/1/20523.0000 %693,318 593,903 
Fannie Mae PoolFIXED5/1/20523.5000 %959,569 860,413 
Fannie Mae PoolFIXED6/1/20264.0000 %67,455 67,195 
Fannie Mae PoolFIXED6/1/20474.0000 %349,747 326,675 
Fannie Mae PoolFIXED6/1/20564.5000 %259,464 247,287 
Fannie Mae PoolFIXED6/1/20564.5000 %346,738 330,465 
Fannie Mae PoolFIXED6/1/20564.5000 %517,414 493,131 
Fannie Mae PoolFIXED7/1/20304.6800 %960,000 958,573 
Fannie Mae PoolFIXED7/1/20463.5000 %280,511 253,152 
Fannie Mae PoolFIXED7/1/20473.5000 %551,451 496,355 
Fannie Mae PoolFIXED7/1/20493.5000 %294,235 264,559 
Fannie Mae PoolFIXED7/1/20524.0000 %1,811,825 1,670,170 
Fannie Mae PoolFIXED7/1/20564.0000 %211,192 194,243 
Fannie Mae PoolFIXED7/1/20564.0000 %927,072 852,676 
Fannie Mae PoolFIXED8/1/20294.3700 %810,000 799,428 
Fannie Mae PoolFIXED8/1/20464.0000 %239,687 226,590 
Fannie Mae PoolFIXED8/1/20473.5000 %492,723 444,347 
Fannie Mae PoolFIXED8/1/20484.5000 %246,476 235,827 
Fannie Mae PoolFIXED8/1/20563.5000 %441,214 388,348 
Fannie Mae PoolFIXED8/1/20565.0000 %1,000,617 979,899 
Fannie Mae PoolFIXED8/1/20565.0000 %754,564 738,940 
Fannie Mae PoolFIXED9/1/20294.0400 %810,000 787,626 
Fannie Mae PoolFIXED9/1/20493.0000 %173,565 150,040 
Fannie Mae PoolFIXED9/1/20493.5000 %218,141 196,334 
Fannie Mae PoolFIXED9/1/20603.0000 %957,416 805,556 
Fannie Mae PoolFIXED10/1/20273.0000 %27,442 27,155 
Fannie Mae PoolFIXED10/1/20284.9200 %1,060,000 1,071,616 
Fannie Mae PoolFIXED10/1/20285.3800 %920,000 944,816 
Fannie Mae PoolFIXED10/1/20294.0800 %320,000 311,648 
Fannie Mae PoolFIXED10/1/20295.2300 %610,000 624,513 
Fannie Mae PoolFIXED10/1/20302.8500 %1,005,000 906,765 
Fannie Mae PoolFIXED10/1/20474.0000 %663,543 617,324 
Fannie Mae PoolFIXED10/1/20524.5000 %1,104,203 1,052,086 
Fannie Mae PoolFIXED10/1/20525.0000 %2,446,214 2,388,377 
Fannie Mae PoolFIXED11/1/20254.0000 %6,869 6,849 
Fannie Mae PoolFIXED11/1/20281.3900 %500,000 442,965 
Fannie Mae PoolFIXED11/1/20281.3900 %820,000 726,463 
Fannie Mae PoolFIXED11/1/20293.8150 %670,000 644,804 
Fannie Mae PoolFIXED11/1/20314.1400 %360,000 346,483 
Fannie Mae PoolFIXED11/1/20404.0000 %284,435 271,000 
Fannie Mae PoolFIXED11/1/20453.5000 %837,615 756,683 
Fannie Mae PoolFIXED11/1/20463.5000 %377,071 340,234 
Fannie Mae PoolFIXED11/1/20484.5000 %769,646 736,876 
Fannie Mae PoolFIXED12/1/20285.1800 %280,000 284,785 
Fannie Mae PoolFIXED12/1/20285.3300 %640,000 655,168 
Fannie Mae PoolFIXED12/1/20294.3500 %210,000 206,931 
Fannie Mae PoolFIXED12/1/20294.3500 %560,000 551,817 
Fannie Mae PoolFIXED12/1/20313.5000 %384,376 372,274 
Fannie Mae PoolFIXED12/1/20313.5000 %604,019 585,001 
Fannie Mae PoolFIXED12/1/20493.0000 %398,566 344,420 
Fannie Mae PoolFIXED12/1/20502.5000 %2,679,239 2,215,257 
Fannie Mae PoolFIXED12/1/20502.5000 %3,867,073 3,197,382 
Fannie Mae PoolFIXED12/1/20512.0000 %1,694,009 1,343,394 
Fannie Mae PoolFIXED12/1/20512.0000 %3,071,836 2,433,664 
Fannie Mae PoolFIXED12/1/20512.0000 %345,017 272,549 
Fannie Mae PoolFIXED12/1/20512.0000 %620,283 488,346 
Fannie Mae PoolFIXED12/1/20512.0000 %775,598 612,731 
Fannie Mae PoolFIXED12/1/20512.0000 %795,079 625,968 
Fannie Mae PoolFIXED12/1/20512.0000 %821,292 651,310 
Fannie Mae PoolFIXED12/1/20512.5000 %454,930 375,222 
Fannie Mae PoolFLOATING3/1/20446.0740 %78,296 80,691 
Fannie Mae PoolFLOATING4/1/20483.3830 %115,978 118,632 
Fannie Mae PoolFLOATING5/1/20477.3530 %464,624 479,302 
Fannie Mae PoolFLOATING5/1/20523.0660 %704,706 667,611 
Fannie Mae PoolFLOATING6/1/20457.2010 %36,371 37,657 
Fannie Mae PoolFLOATING6/1/20477.3750 %208,482 216,179 
Fannie Mae PoolFLOATING6/1/20477.4520 %321,752 332,466 
Fannie Mae PoolFLOATING6/1/20522.4690 %508,881 472,518 
Fannie Mae PoolFLOATING6/1/20522.5560 %572,629 532,771 
Fannie Mae PoolFLOATING6/1/20523.8030 %623,475 603,171 
Fannie Mae PoolFLOATING6/1/20535.1520 %1,002,280 1,005,302 
Fannie Mae PoolFLOATING7/1/20427.4660 %117,037 121,081 
Fannie Mae PoolFLOATING7/1/20457.3990 %176,696 182,301 
Fannie Mae PoolFLOATING7/1/20523.6180 %321,857 309,804 
Fannie Mae PoolFLOATING7/1/20523.8760 %855,363 829,700 
Fannie Mae PoolFLOATING8/1/20427.4150 %54,384 56,270 
Fannie Mae PoolFLOATING8/1/20524.0930 %454,367 443,523 
Fannie Mae PoolFLOATING8/1/20524.5170 %341,445 337,319 
Fannie Mae PoolFLOATING9/1/20477.3700 %12,486 12,873 
Fannie Mae PoolFLOATING9/1/20477.3700 %4,769 4,916 
Fannie Mae PoolFLOATING9/1/20523.4810 %705,981 679,172 
Fannie Mae PoolFLOATING10/1/20477.1000 %12,760 13,141 
Fannie Mae PoolFLOATING10/1/20524.5670 %480,106 474,620 
Fannie Mae PoolFLOATING11/1/20525.1020 %841,747 844,686 
Fannie Mae PoolFLOATING12/1/20524.8310 %409,608 408,096 
Fannie Mae PoolFLOATING12/1/20525.2520 %511,689 514,697 
FN 4.28 MultiFam FWD FEB 2025FIXED2/1/20294.2800 %160,000 156,502 
FN 4.28 MultiFam FWD FEB 2025FIXED2/1/20294.2800 %220,000 215,190 
FN 4.34 MultiFam FWD JAN 2025FIXED1/1/20304.3400 %160,000 157,546 
FN 4.34 MultiFam FWD JAN 2025FIXED1/1/20304.3400 %230,000 226,472 
FN 4.62 MultiFam FWD JAN 2025FIXED1/1/20314.6200 %1,030,000 1,021,016 
FN 4.63 MultiFam FWD JAN 2025FIXED1/1/20304.6300 %300,000 299,907 
FN 4.86 MultiFam FWD JAN 2025FIXED1/1/20304.8600 %250,000 251,325 
FN 4.86 MultiFam FWD JAN 2025FIXED1/1/20304.8600 %600,000 603,180 
Freddie Mac Gold PoolFIXED1/1/20282.5000 %73,670 71,616 
Freddie Mac Gold PoolFIXED1/1/20483.5000 %291,198 263,369 
Freddie Mac Gold PoolFIXED1/1/20484.0000 %149,278 139,079 
Freddie Mac Gold PoolFIXED2/1/20255.0000 %2,103 2,107 
Freddie Mac Gold PoolFIXED2/1/20473.5000 %310,091 279,970 
Freddie Mac Gold PoolFIXED3/1/20483.5000 %602,540 543,056 
Freddie Mac Gold PoolFIXED4/1/20473.5000 %1,206,704 1,092,133 
Freddie Mac Gold PoolFIXED5/1/20493.5000 %236,001 212,690 
Freddie Mac Gold PoolFIXED5/1/20493.5000 %386,530 348,345 
Freddie Mac Gold PoolFIXED6/1/20254.5000 %9,837 9,856 
Freddie Mac Gold PoolFIXED6/1/20484.0000 %853,644 796,361 
Freddie Mac Gold PoolFIXED7/1/20264.0000 %40,323 40,227 
Freddie Mac Gold PoolFIXED8/1/20463.5000 %842,654 763,939 
Freddie Mac Gold PoolFIXED8/1/20484.5000 %516,286 494,860 
Freddie Mac Gold PoolFIXED9/1/20474.0000 %296,405 275,206 
Freddie Mac Gold PoolFIXED9/1/20474.0000 %549,892 512,266 
Freddie Mac Gold PoolFIXED10/1/20453.5000 %110,585 100,254 
Freddie Mac Gold PoolFIXED10/1/20474.0000 %407,248 379,339 
Freddie Mac Gold PoolFIXED11/1/20484.5000 %344,605 330,446 
Freddie Mac Gold PoolFIXED11/1/20484.5000 %575,787 552,310 
Freddie Mac Gold PoolFIXED12/1/20473.5000 %247,424 223,699 
Freddie Mac Multifam Struct PT CertVARIABLE1/25/20466.8923 %34,140 34,199 
Freddie Mac Multifamily Structured PT CertFIXED9/25/20284.8500 %1,100,000 1,108,736 
Freddie Mac Multifamily Structured PT CertFIXED10/25/20284.8600 %370,000 372,692 
Freddie Mac Multifamily Structured PT CertVARIABLE8/25/20284.7400 %375,000 376,372 
Freddie Mac Multifamily Structured PT CertificatesVARIABLE5/25/20511.2354 %860,660 827,303 
Freddie Mac Non Gold PoolFLOATING5/1/20477.1650 %109,541 111,578 
Freddie Mac Non Gold PoolFLOATING5/1/20477.2010 %190,521 196,055 
Freddie Mac Non Gold PoolFLOATING6/1/20523.9260 %853,228 826,157 
Freddie Mac Non Gold PoolFLOATING6/1/20524.2670 %576,368 563,860 
Freddie Mac Non Gold PoolFLOATING7/1/20523.4450 %490,122 467,773 
Freddie Mac Non Gold PoolFLOATING7/1/20524.2330 %618,829 604,491 
Freddie Mac Non Gold PoolFLOATING8/1/20457.2810 %105,356 109,019 
Freddie Mac Non Gold PoolFLOATING8/1/20457.3700 %142,322 148,841 
Freddie Mac Non Gold PoolFLOATING8/1/20477.4150 %32,775 34,014 
Freddie Mac Non Gold PoolFLOATING8/1/20483.4700 %73,297 73,940 
Freddie Mac Non Gold PoolFLOATING8/1/20523.9990 %624,002 605,339 
Freddie Mac Non Gold PoolFLOATING9/1/20467.1150 %38,321 39,695 
Freddie Mac Non Gold PoolFLOATING9/1/20477.3370 %203,171 210,878 
Freddie Mac Non Gold PoolFLOATING9/1/20524.0450 %1,028,953 999,648 
Freddie Mac Non Gold PoolFLOATING9/1/20524.1480 %307,616 299,411 
Freddie Mac Non Gold PoolFLOATING9/1/20524.6920 %310,617 307,370 
Freddie Mac Non Gold PoolFLOATING10/1/20437.0010 %63,387 65,568 
Freddie Mac Non Gold PoolFLOATING10/1/20524.2810 %426,180 416,514 
Freddie Mac Non Gold PoolFLOATING11/1/20524.5590 %344,667 339,529 
Freddie Mac Non Gold PoolFLOATING12/1/20524.8340 %501,370 498,059 
Freddie Mac PoolFIXED1/1/20352.5000 %157,861 145,210 
Freddie Mac PoolFIXED1/1/20352.5000 %227,844 209,585 
Freddie Mac PoolFIXED1/1/20503.0000 %1,430,277 1,235,974 
Freddie Mac PoolFIXED1/1/20522.0000 %6,571,508 5,206,833 
Freddie Mac PoolFIXED2/1/20352.5000 %76,754 70,356 
Freddie Mac PoolFIXED2/1/20522.5000 %1,470,006 1,215,300 
Freddie Mac PoolFIXED3/1/20523.0000 %1,436,686 1,230,032 
Freddie Mac PoolFIXED4/1/20503.0000 %652,693 565,964 
Freddie Mac PoolFIXED8/1/20493.5000 %190,166 171,148 
Freddie Mac PoolFIXED9/1/20493.0000 %123,014 106,404 
Freddie Mac PoolFIXED9/1/20512.5000 %403,547 334,181 
Freddie Mac PoolFIXED11/1/20493.0000 %2,496,156 2,158,341 
Freddie Mac PoolFIXED11/1/20512.5000 %549,306 454,525 
Freddie Mac PoolFIXED11/1/20512.5000 %904,680 746,299 
Freddie Mac PoolFIXED12/1/20512.0000 %1,004,453 793,443 
Freddie Mac PoolFIXED12/1/20512.0000 %586,636 464,766 
Freddie Mac PoolFIXED12/1/20512.0000 %693,936 548,157 
Freddie Mac PoolFIXED12/1/20512.0000 %833,796 656,382 
Freddie Mac PoolFIXED12/1/20512.0000 %997,392 785,168 
Freddie Mac PoolFIXED12/1/20512.5000 %2,742,097 2,272,294 
Freddie Mac PoolFIXED12/1/20512.5000 %531,104 438,079 
GNMAFIXED5/20/20404.5000 %16,429 16,437 
GNMAFLOATING10/20/20655.4165 %563,492 563,116 
GNMAFLOATING12/20/20665.7665 %1,038,463 1,042,526 
Government National Mortgage AssociationFLOATING1/20/20695.4865 %815,501 820,140 
Petroleos MexicanosFIXED4/15/20252.3780 %50,000 98,960 
Rimon LLCFIXED6/25/20262.6230 %234,963 230,340 
SBA Small Business Investment CosFIXED3/10/20252.5170 %73,731 73,984 
SBA Small Business Investment CosFIXED3/10/20262.5070 %718,399 707,505 
SBA Small Business Investment CosFIXED3/10/20293.1130 %459,773 443,074 
SBA Small Business Investment CosFIXED3/10/20302.0780 %972,012 884,939 
SBA Small Business Investment CosFIXED3/10/20311.6670 %683,946 599,858 
SBA Small Business Investment CosFIXED3/10/20322.9380 %2,392,548 2,231,630 
SBA Small Business Investment CosFIXED3/10/20335.1680 %2,080,593 2,132,372 
SBA Small Business Investment CosFIXED9/10/20252.8290 %162,460 161,807 
SBA Small Business Investment CosFIXED9/10/20272.5180 %255,688 246,295 
SBA Small Business Investment CosFIXED9/10/20283.5480 %411,809 402,251 
SBA Small Business Investment CosFIXED9/10/20311.3040 %1,262,338 1,087,984 
SBA Small Business Investment CosFIXED9/10/20335.6880 %3,040,277 3,158,032 
Seasoned Credit Risk Transfer TrustFIXED9/25/20602.5000 %416,608 377,253 
Seasoned Credit Risk Transfer Trust 2017-4STEP6/25/20573.2500 %9,895 8,799 
Seasoned Credit Risk Transfer Trust Series 2018-2FIXED11/25/20573.5000 %117,234 112,536 
Seasoned Credit Risk Transfer Trust Series 2018-3VARIABLE8/25/20573.5000 %96,767 92,553 
Seasoned Credit Risk Transfer Trust Series 2019-1FIXED7/25/20584.0000 %406,445 374,372 
Seasoned Credit Risk Transfer Trust Series 2019-2FIXED8/25/20584.0000 %481,321 443,546 
Seasoned Credit Risk Transfer Trust Series 2019-3FIXED10/25/20584.0000 %292,099 271,367 
Seasoned Credit Risk Transfer Trust Series 2020-2FIXED11/25/20592.0000 %989,320 772,828 
Seasoned Credit Risk Transfer Trust Series 2020-2FIXED11/25/20592.5000 %434,401 379,001 
Seasoned Credit Risk Transfer Trust Series 2020-3FIXED5/25/20602.5000 %189,686 164,672 
Seasoned Credit Risk Transfer Trust Series 2020-3FIXED5/25/20602.5000 %210,068 191,155 
Seasoned Credit Risk Transfer Trust Series 2022-1FIXED11/25/20613.2500 %1,235,189 1,054,089 
United States Int Dev Finance CorpZERO COUPON10/22/2025— %615,000 696,237 
United States Small Business AdministrationFIXED1/1/20484.9100 %768,117 770,529 
United States Small Business AdministrationFIXED1/1/20495.0500 %808,070 825,328 
United States Small Business AdministrationFIXED2/1/20304.1400 %99,457 198,489 
United States Small Business AdministrationFIXED2/1/20484.6100 %4,090,935 4,038,253 
United States Small Business AdministrationFIXED3/1/20484.9300 %1,729,856 1,696,611 
United States Small Business AdministrationFIXED4/1/20495.3800 %691,589 699,261 
United States Small Business AdministrationFIXED6/1/20372.8100 %242,314 214,170 
United States Small Business AdministrationFIXED6/1/20383.6000 %288,024 268,755 
United States Small Business AdministrationFIXED6/1/20474.0100 %1,847,636 1,724,304 
United States Small Business AdministrationFIXED6/1/20484.9300 %617,011 603,620 
United States Small Business AdministrationFIXED7/1/20372.9800 %191,875 177,295 
United States Small Business AdministrationFIXED7/1/20383.5400 %428,043 405,733 
United States Small Business AdministrationFIXED8/1/20473.8000 %422,439 393,732 
United States Small Business AdministrationFIXED9/1/20494.4500 %370,000 359,094 
United States Small Business AdministrationFIXED11/1/20322.0900 %119,121 109,010 
United States Small Business AdministrationFIXED11/1/20475.1300 %749,786 743,898 
United States Small Business AdministrationFIXED12/1/20474.7100 %1,247,066 1,199,460 
United States Small Business AdministrationFIXED12/1/20485.2800 %1,707,998 1,700,071 
United States Treasury Note/BondFIXED1/15/20274.0000 %1,465,000 1,484,746 
United States Treasury Note/BondFIXED2/15/20274.1250 %6,155,000 6,233,592 
United States Treasury Note/BondFIXED2/28/20294.2500 %1,395,000 1,408,442 
United States Treasury Note/BondFIXED3/15/20274.2500 %1,665,000 1,685,525 
United States Treasury Note/BondFIXED3/31/20294.1250 %1,340,000 1,340,775 
United States Treasury Note/BondFIXED4/15/20274.5000 %530,000 537,719 
United States Treasury Note/BondFIXED5/15/20274.5000 %310,000 313,325 
United States Treasury Note/BondFIXED6/15/20274.6250 %170,000 171,775 
United States Treasury Note/BondFIXED8/31/20263.7500 %1,230,000 1,235,870 
United States Treasury Note/BondFIXED8/31/20263.7500 %1,555,000 1,562,422 
United States Treasury Note/BondFIXED8/31/20293.6250 %3,975,000 3,897,257 
United States Treasury Note/BondFIXED9/30/20263.5000 %1,225,000 1,220,451 
United States Treasury Note/BondFIXED9/30/20263.5000 %925,000 921,565 
United States Treasury Note/BondFIXED10/31/20264.1250 %2,430,000 2,441,378 
United States Treasury Note/BondFIXED10/31/20294.0000 %1,650,000 1,633,331 
United States Treasury Note/BondFIXED10/31/20294.1250 %650,000 647,000 
United States Treasury Note/BondFIXED11/15/20274.1250 %4,445,000 4,448,666 
United States Treasury Note/BondFIXED11/15/20344.2500 %3,740,000 3,663,880 
United States Treasury Note/BondFIXED11/30/20314.1250 %7,295,000 7,165,444 
United States Treasury Note/BondFIXED12/15/20274.0000 %2,550,000 2,534,793 
TOTAL U.S. GOVERNMENT SECURITIES$194,360,110 
CORPORATE DEBT INSTRUMENTS - PREFERRED
Advocate Health & Hospitals CorpFIXED8/15/20283.8290 %$325,000 $318,924 
Alabama Federal Aid Highway Finance AuthorityFIXED9/1/20322.1560 %445,000 372,410 
American Express CoVARIABLE2/16/20285.0980 %120,000 122,993 
American Express CoVARIABLE7/26/20285.0430 %80,000 82,147 
American Express CoVARIABLE7/27/20295.2820 %190,000 196,385 
American Express CoVARIABLE7/28/20275.3890 %480,000 496,282 
American Express CoVARIABLE10/30/20266.3380 %100,000 102,312 
American Express CoVARIABLE10/30/20316.4890 %50,000 54,010 
Ascension HealthFIXED11/15/20292.5320 %672,000 606,019 
Bank of America CorpVARIABLE4/22/20322.6870 %270,000 233,579 
Bank of America CorpVARIABLE4/24/20283.7050 %210,000 205,973 
Bank of America CorpVARIABLE4/27/20284.3760 %240,000 239,296 
Bank of America CorpVARIABLE6/14/20292.0870 %600,000 545,021 
Bank of America CorpVARIABLE7/21/20283.5930 %330,000 324,686 
Bank of America CorpVARIABLE7/22/20271.7340 %390,000 374,818 
Bank of America CorpVARIABLE9/15/20275.9330 %210,000 217,452 
Bank of America CorpVARIABLE10/24/20261.1970 %200,000 194,747 
Bank of America CorpVARIABLE12/20/20283.4190 %330,000 316,617 
Bank of MontrealFIXED2/1/20285.2030 %60,000 61,762 
Bank of MontrealVARIABLE9/10/20274.5670 %210,000 212,299 
Bank of MontrealVARIABLE9/10/20304.6400 %280,000 278,629 
*Bank of New York Mellon CorpVARIABLE7/21/20284.8900 %210,000 215,361 
*Bank of New York Mellon CorpVARIABLE7/24/20264.4140 %130,000 132,152 
*Bank of New York Mellon CorpVARIABLE7/26/20304.5960 %330,000 332,582 
Bank of Nova Scotia/TheFIXED2/1/20304.8500 %50,000 50,646 
Bank of Nova Scotia/TheVARIABLE9/8/20284.4040 %160,000 160,517 
BHP Billiton Finance USA LtdFIXED9/8/20285.1000 %70,000 71,703 
BMW US Capital LLCFIXED8/13/20274.6000 %250,000 253,124 
BMW US Capital LLCFIXED8/13/20294.6500 %170,000 169,874 
BMW US Capital LLCFIXED8/14/20283.9500 %110,000 107,792 
Boerne Independent School DistrictFIXED2/1/20250.7860 %475,000 475,211 
BPCE SAFIXED7/19/20274.7500 %370,000 376,154 
Campbell Union High School DistrictFIXED8/1/20311.7120 %650,000 544,865 
Cedars-Sinai Health SystemFIXED8/15/20312.2880 %550,000 467,149 
CenterPoint Energy Houston Electric LLCFIXED9/1/20262.4000 %110,000 106,941 
CenterPoint Energy Houston Electric LLCFIXED10/1/20285.2000 %140,000 143,526 
Charles Schwab CorpVARIABLE5/19/20295.6430 %180,000 184,844 
Charles Schwab Corp/TheFIXED8/24/20265.8750 %330,000 342,527 
Charles Schwab Corp/TheVARIABLE11/17/20296.1960 %190,000 199,448 
CHRISTUS HealthFIXED7/1/20284.3410 %400,000 400,256 
City & County of Honolulu HIFIXED9/1/20313.8030 %450,000 431,463 
City of Chesapeake VAFIXED8/1/20251.6990 %195,000 193,533 
Cleveland Clinic Health SystemFIXED1/1/20312.7850 %790,000 718,153 
Commonwealth of MassachusettsFIXED7/15/20314.1100 %297,008 295,784 
Connecticut Light and Power Co/TheFIXED8/15/20344.9500 %40,000 39,773 
Consumers 2023 Securitization Funding LLCFIXED9/1/20305.2100 %460,000 472,583 
Consumers Energy CoFIXED1/15/20304.7000 %120,000 121,453 
Corebridge Global FundingFIXED1/12/20295.2000 %320,000 329,552 
Corebridge Global FundingFIXED8/20/20274.6500 %70,000 70,914 
Corebridge Global FundingFIXED9/19/20285.9000 %120,000 125,373 
Corebridge Global FundingFIXED9/19/20285.9000 %200,000 208,955 
County of Bexar TXFIXED6/15/20312.0210 %390,000 331,913 
Dominion Energy South Carolina IncFIXED12/1/20312.3000 %250,000 209,902 
DTE Electric CoFIXED4/1/20281.9000 %120,000 110,458 
DTE Electric Securitization Funding II LLCFIXED3/1/20325.9700 %377,487 397,423 
Duke Energy Carolinas LLCFIXED4/15/20312.5500 %370,000 322,663 
Duke Energy Florida LLCFIXED12/15/20312.4000 %410,000 346,641 
East Ohio Gas Co/TheFIXED6/15/20251.3000 %240,000 236,017 
Evergy Metro IncFIXED6/1/20302.2500 %280,000 243,188 
Goldman Sachs Group IncVARIABLE7/23/20305.0490 %130,000 132,218 
Goldman Sachs Group Inc/TheVARIABLE2/24/20282.6400 %140,000 134,843 
Goldman Sachs Group Inc/TheVARIABLE2/24/20282.6400 %300,000 288,949 
Goldman Sachs Group Inc/TheVARIABLE8/10/20265.7980 %220,000 226,213 
Goldman Sachs Group Inc/TheVARIABLE8/23/20284.4820 %390,000 391,684 
Goldman Sachs Group Inc/TheVARIABLE9/10/20271.5420 %450,000 427,691 
Goldman Sachs Group Inc/TheVARIABLE9/10/20271.5420 %780,000 741,331 
Goldman Sachs Group Inc/TheVARIABLE10/21/20271.9480 %430,000 409,590 
Indiana UniversityFIXED6/1/20272.0300 %750,000 710,686 
Johns Hopkins Health System Corp/TheFIXED1/1/20302.4200 %260,000 233,528 
JPMorgan Chase & CoVARIABLE1/23/20285.0400 %220,000 225,666 
JPMorgan Chase & CoVARIABLE2/24/20282.9470 %550,000 534,870 
JPMorgan Chase & CoVARIABLE4/22/20285.5710 %370,000 380,269 
JPMorgan Chase & CoVARIABLE4/26/20284.3230 %50,000 49,787 
JPMorgan Chase & CoVARIABLE6/1/20282.1820 %350,000 329,407 
JPMorgan Chase & CoVARIABLE6/1/20282.1820 %380,000 357,642 
JPMorgan Chase & CoVARIABLE6/14/20304.5650 %120,000 117,918 
JPMorgan Chase & CoVARIABLE7/22/20284.9790 %110,000 112,787 
JPMorgan Chase & CoVARIABLE7/22/20304.9950 %460,000 468,345 
JPMorgan Chase & CoVARIABLE7/23/20294.2030 %120,000 119,023 
JPMorgan Chase & CoVARIABLE7/25/20284.8510 %40,000 40,838 
JPMorgan Chase & CoVARIABLE10/22/20276.0700 %180,000 186,277 
JPMorgan Chase & CoVARIABLE11/19/20261.0450 %253,000 245,154 
JPMorgan Chase & CoVARIABLE12/5/20294.4520 %310,000 304,727 
Louisiana Local Govt Env Fac. & Comm Dev AuthFIXED2/1/20273.6150 %404,213 405,499 
Louisiana Local Govt Env Fac. & Comm Dev AuthFIXED2/1/20314.1450 %600,000 593,053 
Louisiana Local Govt Env Fac. & Comm Dev AuthFIXED6/1/20315.0810 %383,792 387,398 
Massachusetts School Building AuthorityFIXED8/15/20301.7530 %285,000 251,448 
MassMutual Global Funding IIFIXED6/14/20285.0500 %200,000 202,052 
Mercedes-Benz Finance North America LLCFIXED1/11/20294.8500 %150,000 152,295 
Mercedes-Benz Finance North America LLCFIXED8/1/20274.7500 %250,000 254,547 
Mercedes-Benz Finance North America LLCFIXED8/3/20285.1000 %150,000 153,251 
Metropolitan Life Global Funding IFIXED3/21/20293.3000 %170,000 160,887 
Metropolitan Life Global Funding IFIXED6/30/20274.4000 %150,000 149,106 
Morgan StanleyVARIABLE1/16/20305.1730 %180,000 184,564 
Morgan StanleyVARIABLE1/21/20282.4750 %100,000 96,388 
Morgan StanleyVARIABLE1/21/20282.4750 %370,000 356,635 
Morgan StanleyVARIABLE4/13/20285.6520 %80,000 82,339 
Morgan StanleyVARIABLE4/20/20284.2100 %310,000 308,085 
Morgan StanleyVARIABLE5/4/20271.5930 %110,000 105,723 
Morgan StanleyVARIABLE7/17/20264.6790 %220,000 224,461 
Morgan StanleyVARIABLE7/19/20305.0420 %130,000 132,486 
Morgan StanleyVARIABLE7/20/20295.4490 %110,000 113,900 
Morgan Stanley Bank NAVARIABLE1/14/20284.9520 %310,000 317,540 
Morgan Stanley Bank NAVARIABLE7/14/20284.9680 %250,000 256,375 
Mutual of Omaha Cos Global FundingFIXED4/9/20275.3500 %235,000 239,691 
Mutual of Omaha Cos Global FundingFIXED7/27/20265.8000 %140,000 145,274 
Mutual of Omaha Cos Global FundingFIXED10/15/20294.7500 %110,000 109,401 
Mutual of Omaha Cos Global FundingFIXED12/12/20285.4500 %100,000 101,343 
Mutual of Omaha Cos Global FundingFIXED12/12/20285.4500 %300,000 304,029 
New York City Transitional Finance AuthorityFIXED11/1/20284.5740 %600,000 602,630 
New York Hospital for Special SurgeryFIXED4/1/20283.7370 %80,000 77,809 
New York Life Global FundingFIXED6/13/20284.9000 %400,000 402,784 
North Dakota Public Finance AuthorityFIXED12/1/20304.0500 %250,000 243,266 
Northern States Power Co/MNFIXED4/1/20312.2500 %80,000 68,629 
Northwestern Mutual Global FundingFIXED4/4/20293.3000 %220,000 207,076 
NTT Finance CorpFIXED4/3/20261.1620 %200,000 192,068 
NTT Finance CorpFIXED7/2/20275.1040 %200,000 206,819 
NTT Finance CorpFIXED7/2/20295.1100 %310,000 320,196 
OhioHealth CorpFIXED11/15/20312.2970 %560,000 471,084 
Ohlone Community College DistrictFIXED8/1/20292.3370 %475,000 434,676 
Oklahoma Development Finance AuthorityFIXED2/1/20324.2850 %74,369 73,678 
Oklahoma Development Finance AuthorityFIXED5/1/20323.8770 %372,244 358,007 
Oklahoma Development Finance AuthorityFIXED12/1/20334.1350 %236,797 229,991 
Orlando Health Obligated GroupFIXED10/1/20283.7770 %345,000 333,711 
Pacific Life Global Funding IIFIXED1/11/20294.9000 %420,000 430,070 
PacifiCorpFIXED7/1/20253.3500 %250,000 252,275 
Principal Life Global Funding IIFIXED1/25/20295.1000 %290,000 297,042 
Principal Life Global Funding IIFIXED8/19/20274.6000 %310,000 314,307 
Protective Life Global FundingFIXED1/12/20274.9920 %260,000 267,205 
Protective Life Global FundingFIXED7/6/20274.7140 %150,000 153,211 
Protective Life Global FundingFIXED9/13/20274.3350 %150,000 150,531 
Puget Sound Energy IncFIXED6/15/20345.3300 %220,000 219,217 
Rochester Gas and Electric CorpFIXED6/1/20273.1000 %200,000 191,817 
Rochester Gas and Electric CorpFIXED6/1/20273.1000 %360,000 345,271 
Royal Bank of CanadaFIXED5/4/20273.6250 %110,000 108,110 
Royal Bank of CanadaVARIABLE7/23/20275.0690 %100,000 102,678 
Royal Bank of CanadaVARIABLE8/2/20304.9690 %250,000 253,199 
Royal Bank of CanadaVARIABLE10/18/20284.5220 %140,000 140,107 
Royal Bank of CanadaVARIABLE10/18/20304.6500 %280,000 276,842 
San Diego Community College DistrictFIXED8/1/20332.3830 %800,000 669,271 
SF City & Cty Public UTL Commission Wastewater ReFIXED10/1/20274.6550 %425,000 430,643 
Spire Missouri IncFIXED8/15/20345.1500 %50,000 50,612 
Stanford Health CareFIXED8/15/20303.3100 %325,000 303,223 
State of HawaiiFIXED8/1/20291.8920 %685,000 614,968 
State of MississippiFIXED10/1/20332.2870 %300,000 248,129 
State of OregonFIXED6/1/20275.8920 %315,182 324,593 
State of TexasFIXED4/1/20334.6310 %500,000 495,879 
State Street CorpVARIABLE2/6/20261.7460 %260,000 260,979 
State Street CorpVARIABLE2/7/20282.2030 %240,000 230,183 
State Street CorpVARIABLE2/7/20332.6230 %110,000 94,577 
State Street CorpVARIABLE2/20/20294.5300 %180,000 180,934 
Sutter HealthFIXED8/15/20251.3210 %185,000 181,844 
Texas Natural Gas Securitization Finance CorpFIXED4/1/20355.1020 %792,504 804,277 
Toronto-Dominion Bank/TheFIXED1/10/20285.1560 %330,000 339,624 
Toronto-Dominion Bank/TheFIXED4/5/20274.9800 %180,000 182,763 
Toyota Motor Credit CorpFIXED3/21/20315.1000 %100,000 101,724 
Trinity HealthFIXED12/1/20343.0840 %620,000 537,230 
TSMC Global LtdFIXED4/23/20261.2500 %200,000 191,606 
Union Electric CoFIXED3/15/20302.9500 %700,000 643,318 
Union Electric CoFIXED6/15/20272.9500 %270,000 259,792 
US BancorpVARIABLE1/23/20305.3840 %160,000 165,168 
US BancorpVARIABLE1/27/20282.2150 %390,000 373,434 
US BancorpVARIABLE7/22/20284.5480 %460,000 465,428 
US BancorpVARIABLE7/23/20305.1000 %150,000 153,259 
US BancorpVARIABLE10/21/20335.8500 %40,000 41,352 
Virginia Power Fuel Securitization LLCFIXED5/1/20314.8770 %485,000 488,550 
Wells Fargo & CoVARIABLE1/23/20305.1980 %130,000 133,255 
Wells Fargo & CoVARIABLE1/23/20305.1980 %200,000 205,007 
Wells Fargo & CoVARIABLE3/2/20333.3500 %460,000 408,443 
Wells Fargo & CoVARIABLE3/24/20283.5260 %440,000 430,875 
Wells Fargo & CoVARIABLE3/24/20283.5260 %700,000 685,482 
Wells Fargo & CoVARIABLE4/25/20263.9080 %330,000 331,354 
Wells Fargo & CoVARIABLE7/25/20284.8080 %330,000 335,688 
Wells Fargo & CoVARIABLE7/25/20295.5740 %140,000 145,542 
Wells Fargo & CoVARIABLE8/15/20264.5400 %200,000 203,026 
TOTAL CORPORATE DEBT INSTRUMENTS - PREFERRED$47,890,325 
CORPORATE DEBT INSTRUMENTS - ALL OTHER
Agilent Technologies IncFIXED9/9/20274.2000 %$190,000 $190,191 
Agree LPFIXED6/15/20282.0000 %150,000 135,991 
Albemarle CorpFIXED6/1/20274.6500 %230,000 228,946 
Albemarle CorpFIXED6/1/20274.6500 %240,000 238,900 
Alexandria Real Estate Equities IncFIXED1/15/20264.3000 %70,000 71,035 
Alexandria Real Estate Equities IncFIXED1/15/20273.9500 %150,000 150,181 
Alliant Energy Finance LLCFIXED6/6/20275.4000 %200,000 202,059 
Ally Auto Receivables Trust 2024-1FIXED12/15/20285.0800 %435,000 439,051 
Ally Auto Receivables Trust 2024-2FIXED7/16/20294.1400 %265,000 263,619 
Ameren CorpFIXED12/1/20265.7000 %120,000 122,516 
American Express Credit Account Master TrustFIXED4/15/20295.2300 %930,000 946,292 
American Honda Finance CorpFIXED7/9/20274.9000 %150,000 154,009 
American Honda Finance CorpFIXED9/5/20294.4000 %230,000 226,882 
American Honda Finance CorpFIXED10/22/20274.4500 %60,000 60,068 
Americredit Automobile Receivables Trust 2023-1FIXED11/18/20275.6200 %500,000 504,716 
AmeriCredit Automobile Receivables Trust 2024-1FIXED1/18/20295.4300 %120,000 121,502 
AMEX Credit Account Master Trust 2023-1FIXED5/15/20284.8700 %345,000 347,566 
AMEX Credit Account Master Trust 2024-3FIXED7/15/20294.6500 %615,000 617,482 
AMEX Credit Acct Mstr TrFIXED9/15/20285.2300 %365,000 370,493 
Amgen IncFIXED3/2/20285.1500 %180,000 184,360 
Anglo American Capital PLCFIXED3/17/20282.2500 %200,000 184,223 
Anglo American Capital PLCFIXED4/10/20274.7500 %200,000 200,470 
Anglo American Capital PLCFIXED9/10/20302.6250 %350,000 306,321 
Aon Corp / Aon Global Holdings PLCFIXED3/1/20295.1500 %220,000 224,482 
ARI Fleet Lease Trust 2023-AFIXED2/17/20325.4100 %219,394 220,686 
ARI Fleet Lease Trust 2024-BFIXED4/15/20335.5400 %240,000 242,571 
AT&T IncFIXED2/1/20281.6500 %680,000 622,983 
AT&T IncFIXED2/1/20322.2500 %430,000 359,670 
AT&T IncFIXED5/15/20354.5000 %340,000 316,454 
AT&T IncFIXED6/1/20272.3000 %90,000 85,104 
BA Credit Card TrustFIXED5/15/20284.7900 %230,000 231,496 
BA Credit Card TrustFIXED5/15/20294.9300 %545,000 551,408 
BA Credit Card TrustFIXED5/15/20294.9300 %600,000 607,055 
BAE Systems Holdings IncFIXED12/15/20253.8500 %410,000 406,911 
BAE Systems PLCFIXED2/15/20311.9000 %290,000 242,001 
BAE Systems PLCFIXED3/26/20275.0000 %200,000 203,511 
BAE Systems PLCFIXED3/26/20295.1250 %610,000 619,500 
BANK 2017-BNK5FIXED6/15/20603.1310 %719,993 693,462 
BANK 2017-BNK6FIXED7/15/20603.2540 %444,752 428,755 
BANK 2017-BNK6FIXED7/15/20603.5180 %680,000 657,531 
BANK 2017-BNK8FIXED11/15/20503.2290 %368,949 355,405 
BANK 2018-BNK11FIXED3/15/20613.7840 %876,888 847,013 
Bank of America Auto Trust 2023-2FIXED6/15/20285.7400 %865,000 880,012 
Bank of America Commercial Mtg Trust 2017-BNK3FIXED2/15/20503.3110 %524,468 510,693 
Baxter International IncFIXED2/1/20271.9150 %520,000 494,260 
Baxter International IncFIXED4/1/20303.9500 %105,000 100,250 
Bayer US Finance II LLCFIXED12/15/20254.2500 %210,000 208,984 
Bayer US Finance II LLCFIXED12/15/20284.3750 %350,000 337,236 
Becton Dickinson & CoFIXED2/13/20284.6930 %220,000 222,889 
Black Hills CorpFIXED1/15/20263.9500 %460,000 463,597 
Black Hills CorpFIXED1/15/20273.1500 %140,000 137,142 
BMP 2024-MF23FLOATING6/15/20415.7690 %230,000 231,481 
BMP 2024-MF23FLOATING6/15/20415.7690 %405,000 407,609 
BMW Vehicle Lease TrustFIXED10/25/20274.1800 %480,000 476,505 
BMW Vehicle Owner Trust 2024-AFIXED2/26/20295.1800 %375,000 379,726 
BNP Paribas SAFIXED8/14/20284.4000 %380,000 375,599 
BNP Paribas SAVARIABLE9/30/20281.9040 %250,000 230,382 
BNP Paribas Sec CorpVARIABLE6/30/20271.6750 %350,000 333,302 
BOCA Commercial Mortgage Trust 2024-BOCAFLOATING8/15/20416.3178 %250,000 503,678 
Boeing Co/TheFIXED2/1/20272.7000 %450,000 433,973 
Boeing Co/TheFIXED2/4/20262.1960 %20,000 19,574 
Boeing Co/TheFIXED2/4/20262.1960 %70,000 68,510 
Boeing Co/TheFIXED5/1/20275.0400 %15,000 15,162 
Boeing Co/TheFIXED5/1/20305.1500 %230,000 228,662 
BofA Auto Trust 2024-1FIXED11/15/20285.3500 %335,000 339,920 
BPR Trust 2022-OANAFLOATING4/15/20376.2951 %570,000 573,832 
BPR Trust 2022-OANAFLOATING4/15/20376.2951 %775,000 780,210 
Brazos Education Loan AuthorityFLOATING1/25/20725.1532 %385,814 384,230 
Brazos Education Loan Authority IncFLOATING11/25/20715.0332 %740,627 735,727 
Broadcom IncFIXED2/15/20284.1500 %140,000 139,106 
Broadcom IncFIXED2/15/20304.3500 %210,000 206,591 
BX Commercial Mortgage Trust 2021-VOLTFLOATING9/15/20365.2116 %655,000 655,384 
BX Commercial Mortgage Trust 2022-AHPFLOATING1/17/20395.3871 %535,000 534,857 
BX Commercial Mortgage Trust 2022-PSBFLOATING8/15/20396.8481 %408,759 411,993 
BX Commercial Mortgage Trust 2024-AIRCFLOATING8/15/20396.0883 %210,000 212,049 
BX Commercial Mortgage Trust 2024-AIRCFLOATING8/15/20396.0883 %525,000 530,124 
BX Commercial Mortgage Trust 2024-GPA2FLOATING11/15/20415.9394 %405,000 407,781 
BX Commercial Mortgage Trust 2024-GPA3FLOATING12/15/20395.7998 %195,000 195,500 
BX Commercial Mortgage Trust 2024-GPA3FLOATING12/15/20395.7998 %280,000 280,718 
BX Commercial Mortgage Trust 2024-XL5FLOATING3/15/20415.7887 %158,312 159,388 
BX Commercial Mortgage Trust 2024-XL5FLOATING3/15/20415.7887 %434,227 437,178 
BX Trust 2021-BXMFFLOATING10/15/20265.1474 %202,006 201,614 
BX Trust 2021-RISEFLOATING11/15/20365.2590 %207,106 206,714 
BX Trust 2021-RISEFLOATING11/15/20365.2590 %338,132 337,492 
BX Trust 2022-INDFLOATING4/15/20375.8881 %712,360 715,231 
BX Trust 2024-BIOFLOATING2/15/20416.0391 %580,000 582,198 
BX Trust 2024-VLT4FLOATING7/15/20295.8885 %145,000 145,992 
BX Trust 2024-VLT4FLOATING7/15/20295.8885 %190,000 191,300 
Canadian Natural Resources LtdFIXED6/1/20273.8500 %240,000 235,662 
Canadian Pacific Railway CoFIXED2/1/20263.7000 %270,000 270,507 
Canadian Pacific Railway CoFIXED6/1/20284.0000 %190,000 185,618 
Capital One Financial CorpVARIABLE2/1/20295.4680 %120,000 123,558 
Capital One Financial CorpVARIABLE3/1/20303.2730 %140,000 130,969 
Capital One Financial CorpVARIABLE3/3/20262.6360 %240,000 241,061 
Capital One Financial CorpVARIABLE5/10/20284.9270 %100,000 100,369 
Capital One Financial CorpVARIABLE5/10/20284.9270 %120,000 120,442 
Capital One Financial CorpVARIABLE11/2/20271.8780 %100,000 94,785 
Capital One Prime Auto Receivables Trust 2023-2FIXED6/15/20285.8200 %225,000 229,602 
Carmax Auto Owner Trust 2023-3FIXED5/15/20285.2800 %355,000 358,835 
CarMax Auto Owner Trust 2023-4FIXED7/17/20286.0000 %520,000 530,714 
CarMax Auto Owner Trust 2024-1FIXED10/16/20284.9200 %760,000 765,802 
Carmax Auto Owner Trust 2024-3FIXED7/16/20294.8900 %255,000 256,953 
CGMS Commercial Mortgage Trust 2017-B1FIXED8/15/20503.1970 %1,093,441 1,050,676 
Chase Auto Owner Trust 2024-2AFIXED6/25/20295.5200 %255,000 259,144 
Chase Auto Owner Trust 2024-3FIXED7/25/20295.2200 %255,000 257,931 
Chase Auto Owner Trust 2024-4FIXED7/25/20294.9400 %370,000 372,177 
Citigroup Commercial Mortgage Trust 2015-GC31FIXED6/10/20483.7620 %360,000 358,253 
Citigroup Commercial Mortgage Trust 2016-P6FIXED12/10/20493.4580 %425,668 416,692 
Citigroup Commercial Mortgage Trust 2018-B2FIXED3/10/20514.0090 %450,000 438,201 
Citigroup IncVARIABLE2/24/20283.0700 %220,000 213,926 
Citigroup IncVARIABLE2/24/20283.0700 %360,000 350,061 
Citigroup IncVARIABLE3/17/20333.7850 %90,000 81,806 
Citigroup IncVARIABLE4/8/20263.1060 %80,000 80,189 
Citigroup IncVARIABLE5/24/20284.6580 %60,000 59,904 
Citigroup IncVARIABLE6/9/20271.4620 %240,000 228,721 
Citigroup IncVARIABLE7/24/20283.6680 %440,000 433,234 
Citigroup IncVARIABLE7/24/20283.6680 %730,000 718,774 
Citigroup IncVARIABLE10/27/20283.5200 %400,000 387,446 
Citizens Auto Receivables Trust 2024-1FIXED4/17/20285.1100 %540,000 544,846 
Citizens Auto Receivables Trust 2024-2FIXED8/15/20285.3300 %470,000 476,215 
Citizens Bank NA/Providence RIVARIABLE8/9/20284.5750 %500,000 504,414 
CNH Equipment Trust 2024-CFIXED1/15/20304.0300 %345,000 340,727 
CNH Industrial Capital LLCFIXED4/20/20295.1000 %310,000 313,161 
CNH Industrial Capital LLCFIXED5/23/20253.9500 %180,000 180,125 
CNH Industrial Capital LLCFIXED7/15/20261.4500 %300,000 287,269 
Comcast CorpFIXED5/1/20283.5500 %70,000 67,610 
Comcast CorpFIXED10/15/20284.1500 %100,000 98,416 
COMM 2015-CCRE22 Mortgage TrustFIXED3/10/20483.0480 %112,869 112,964 
COMM 2016-COR1 Mortgage TrustFIXED10/10/20492.8260 %568,979 551,748 
COMM 2016-CR28 Mortgage TrustFIXED2/10/20493.4950 %342,678 340,674 
Cooperatieve Rabobank UAVARIABLE2/28/20295.5640 %310,000 319,989 
Cooperatieve Rabobank UAVARIABLE4/6/20283.6490 %440,000 430,675 
Cooperatieve Rabobank UAVARIABLE8/22/20284.6550 %280,000 281,810 
Coterra Energy IncFIXED5/15/20273.9000 %190,000 186,701 
Coterra Energy IncFIXED5/15/20273.9000 %200,000 196,527 
CRH America IncFIXED5/18/20253.8750 %240,000 239,832 
CRH America IncFIXED5/18/20253.8750 %300,000 299,790 
CSAIL 2015-C4 Commercial Mortgage TrustFIXED11/15/20483.5438 %327,332 325,951 
CSAIL 2018-C14 Commercial Mortgage TrustVARIABLE11/15/20514.4216 %565,000 547,863 
CubeSmart LPFIXED11/15/20254.0000 %120,000 119,762 
CubeSmart LPFIXED12/15/20282.2500 %210,000 189,059 
CVS Health CorpFIXED2/20/20265.0000 %240,000 244,146 
CVS Health CorpFIXED2/21/20305.1250 %370,000 369,101 
CVS Health CorpFIXED3/25/20284.3000 %75,000 73,516 
CVS Health CorpFIXED6/1/20262.8750 %130,000 126,541 
CVS Health CorpFIXED8/21/20271.3000 %340,000 309,709 
Daimler Truck Finance North America LLCFIXED1/15/20275.0000 %150,000 153,780 
Daimler Truck Finance North America LLCFIXED4/7/20273.6500 %200,000 196,274 
Daimler Truck Finance North America LLCFIXED12/14/20262.0000 %500,000 474,206 
DBJPM 16-C1 Mortgage TrustFIXED5/10/20493.0150 %431,759 424,141 
Dell Equipment Finance Trust 2023-3FIXED4/23/20295.9300 %410,000 415,988 
Digital Realty Trust LPFIXED7/15/20284.4500 %250,000 250,658 
DLLAA 2023-1 LLCFIXED2/22/20285.6400 %510,000 518,507 
DLLAD 2021-1 LLCFIXED6/20/20290.9000 %320,000 307,361 
DLLST 2024-1 LLCFIXED8/20/20275.0500 %280,000 281,734 
DOC DR LLCFIXED3/15/20274.3000 %180,000 180,327 
Eastman Chemical CoFIXED12/1/20284.5000 %160,000 157,589 
ECMC Group Student Loan Trust 2018-2FLOATING9/25/20685.4833 %561,786 555,141 
ELM Trust 2024-ELMVARIABLE6/10/20395.8009 %240,000 243,454 
ELM Trust 2024-ELMVARIABLE6/10/20395.8009 %260,000 263,742 
EMD Finance LLCFIXED3/19/20253.2500 %190,000 191,138 
Enbridge IncFIXED2/14/20252.5000 %110,000 110,721 
Enbridge IncFIXED4/5/20275.2500 %— (13)
Enbridge IncFIXED4/5/20295.3000 %100,000 102,299 
Enbridge IncFIXED11/15/20265.9000 %160,000 164,316 
Enbridge IncFIXED11/15/20293.1250 %150,000 137,920 
Energy Transfer LPFIXED3/15/20274.4000 %60,000 60,196 
Energy Transfer LPFIXED12/1/20266.0500 %250,000 256,613 
Energy Transfer LPFIXED12/1/20286.1000 %230,000 240,063 
Entergy Texas IncFIXED9/1/20261.5000 %150,000 142,753 
Enterprise Fleet Financing 2023-3 LLCFIXED3/20/20306.4000 %546,486 557,857 
Enterprise Fleet Financing 2024-1 LLCFIXED3/20/20305.2300 %472,991 477,128 
Enterprise Fleet Financing 2024-2 LLCFIXED4/20/20285.6100 %250,000 254,733 
Enterprise Fleet Financing 2024-3 LLCFIXED8/21/20284.9800 %365,000 367,673 
Equifax IncFIXED6/1/20285.1000 %90,000 90,717 
Equifax IncFIXED9/15/20294.8000 %90,000 90,493 
Equifax IncFIXED9/15/20312.3500 %170,000 143,403 
Equifax IncFIXED12/15/20275.1000 %130,000 130,989 
Evergy Missouri West IncFIXED12/15/20275.1500 %200,000 201,159 
Exelon CorpFIXED3/15/20285.1500 %410,000 418,632 
Extra Space Storage LPFIXED1/15/20315.9000 %200,000 211,783 
Extra Space Storage LPFIXED6/15/20294.0000 %230,000 220,494 
Extra Space Storage LPFIXED7/1/20263.5000 %110,000 109,859 
Federal Realty OP LPFIXED5/1/20285.3750 %160,000 163,002 
Federal Realty OP LPFIXED7/15/20273.2500 %140,000 136,722 
Federal Realty OP LPFIXED7/15/20273.2500 %250,000 244,147 
FedEx CorpFIXED2/15/20283.4000 %90,000 87,378 
Fifth Third Auto Trust 2023-1FIXED8/15/20285.5300 %590,000 597,921 
Fifth Third BancorpVARIABLE1/29/20325.6310 %80,000 82,786 
Fifth Third BancorpVARIABLE4/25/20284.0550 %130,000 128,169 
Fifth Third BancorpVARIABLE4/25/20284.0550 %50,000 49,296 
Fifth Third BancorpVARIABLE4/25/20334.3370 %30,000 28,113 
Fifth Third BancorpVARIABLE7/28/20304.7720 %270,000 270,089 
Fifth Third Bank IncFIXED3/15/20263.8500 %200,000 199,751 
FirstEnergy Pennsylvania Electric CoFIXED3/30/20265.1500 %140,000 142,183 
FirstEnergy Pennsylvania Electric CoFIXED4/1/20285.2000 %160,000 162,828 
FirstEnergy Transmission LLCFIXED9/15/20282.8660 %100,000 93,466 
Fiserv IncFIXED3/15/20304.7500 %180,000 181,224 
Fiserv IncFIXED7/1/20263.2000 %230,000 228,641 
Fiserv IncFIXED10/1/20284.2000 %200,000 196,588 
Florida Gas Transmission Co LLCFIXED7/15/20254.3500 %560,000 568,921 
Florida Gas Transmission Co LLCFIXED7/15/20254.3500 %90,000 91,434 
Ford Credit Auto Lease Trust 2024-BFIXED12/15/20274.9900 %550,000 554,828 
Ford Credit Auto Owner Trust 2022-REV1FIXED11/15/20343.8800 %260,000 255,752 
Ford Credit Auto Owner Trust 2023-CFIXED9/15/20285.5300 %320,000 325,007 
Ford Credit Auto Owner Trust 2023-REV1FIXED8/15/20354.8500 %1,015,000 1,021,108 
Ford Credit Auto Owner Trust 2024-AFIXED12/15/20285.0900 %410,000 414,592 
Ford Credit Floorplan Master Owner Trust AFIXED4/15/20295.2900 %275,000 279,385 
Ford Motor Credit Co LLCFIXED9/6/20295.3030 %200,000 199,348 
Ford Motor Credit Co LLCFIXED11/5/20265.1250 %200,000 201,428 
Fortune Brands Innovations IncFIXED6/15/20254.0000 %110,000 109,758 
GE HealthCare Technologies IncFIXED3/15/20305.8570 %130,000 136,918 
GE HealthCare Technologies IncFIXED11/15/20255.6000 %250,000 253,464 
GE HealthCare Technologies IncFIXED11/15/20275.6500 %— (69)
GE HealthCare Technologies IncFIXED11/15/20275.6500 %100,000 103,151 
General Mills IncFIXED1/30/20274.7000 %100,000 101,936 
General Mills IncFIXED4/17/20284.2000 %140,000 138,294 
General Motors Financial Co IncFIXED4/6/20294.3000 %260,000 253,753 
General Motors Financial Co IncFIXED4/7/20253.8000 %290,000 291,657 
General Motors Financial Co IncFIXED4/9/20275.0000 %140,000 141,739 
General Motors Financial Co IncFIXED5/8/20275.4000 %210,000 213,858 
General Motors Financial Co IncFIXED10/10/20256.0500 %160,000 163,552 
General Motors Financial Co IncFIXED10/15/20282.4000 %210,000 191,443 
Georgia-Pacific LLCFIXED4/30/20302.3000 %235,000 206,468 
Gilead Sciences IncFIXED3/1/20263.6500 %200,000 200,033 
GM Financial Consumer Auto Rec Trust 2023-4FIXED8/16/20285.7800 %350,000 356,759 
GM Financial Consumer Auto Rec Trust 2024-3FIXED4/16/20295.1300 %330,000 334,344 
GM Financial Consumer Automobile Rec Trust 2024-1FIXED12/18/20284.8500 %545,000 548,885 
GM Financial Revolving Receivables Trust 2023-2FIXED8/11/20365.7700 %720,000 748,327 
GM Financial Revolving Receivables Trust 2024-1FIXED12/11/20364.9800 %365,000 369,070 
GM Financial Revolving Receivables Trust 2024-2FIXED3/11/20374.5200 %700,000 693,426 
GMF Floorplan Owner Revolving TrustFIXED6/15/20285.3400 %505,000 511,873 
GMF Floorplan Owner Revolving TrustFIXED6/15/20285.3400 %765,000 775,411 
Great Wolf Trust 2024-WLF2 AFLOATING5/15/20416.0883 %145,000 145,961 
GS Mortgage Securities Trust 2017-GS5FIXED3/10/20503.4090 %612,426 597,178 
GS Mortgage Securities Trust 2017-GS5FIXED3/10/20503.6740 %480,000 463,089 
GS Mortgage Securities Trust 2017-GS6FIXED5/10/20503.1640 %563,561 541,882 
GS Mortgage Securities Trust 2017-GS8FIXED11/10/20503.2050 %1,125,000 1,080,881 
Gulfstream Natural Gas System LLCFIXED9/15/20254.6000 %220,000 222,105 
Gulfstream Natural Gas System LLCFIXED11/1/20256.1900 %100,000 101,951 
Haleon UK Capital PLCFIXED3/24/20253.1250 %250,000 251,112 
Halliburton CoFIXED3/1/20302.9200 %440,000 400,523 
Health Care Service Corp A Mutual Legal Reserve CoFIXED6/1/20251.5000 %525,000 518,439 
Health Care Service Corp A Mutual Legal Reserve CoFIXED6/15/20295.2000 %280,000 282,022 
Healthpeak OP LLCFIXED6/1/20254.0000 %290,000 289,578 
Healthpeak OP LLCFIXED12/1/20282.1250 %90,000 81,103 
Hewlett Packard Enterprise CoFIXED9/25/20264.4500 %70,000 70,464 
Hewlett Packard Enterprise CoFIXED9/25/20274.4000 %170,000 170,210 
Hewlett Packard Enterprise CoFIXED10/15/20294.5500 %400,000 394,881 
Hexcel CorpFIXED2/15/20274.2000 %330,000 327,699 
Honda Auto Receivables 2022-2 Owner TrustFIXED12/18/20283.7600 %170,000 169,048 
Honda Auto Receivables 2023-4 Owner TrustFIXED2/21/20305.6600 %75,000 76,633 
Honda Auto Receivables 2023-4 Owner TrustFIXED6/21/20285.6700 %675,000 686,777 
Honda Auto Receivables 2024-1 Owner TrustFIXED8/15/20285.2100 %350,000 354,426 
Honda Auto Receivables 2024-2 Owner TrustFIXED11/20/20285.2700 %435,000 441,084 
Honda Auto Receivables 2024-3 Owner TrustFIXED3/21/20294.5700 %680,000 681,390 
HP IncFIXED1/15/20284.7500 %70,000 71,434 
HP IncFIXED4/15/20294.0000 %220,000 212,741 
HSBC Holdings PLCVARIABLE3/13/20284.0410 %540,000 535,119 
HSBC Holdings PLCVARIABLE6/9/20284.7550 %200,000 199,199 
HSBC Holdings PLCVARIABLE6/19/20294.5830 %200,000 196,231 
Huntington Auto Trust 2024-1FIXED1/16/20295.2300 %615,000 622,707 
Huntington Bancshares Inc/OHVARIABLE8/4/20284.4430 %160,000 161,260 
Huntington Bancshares Inc/OHVARIABLE8/4/20284.4430 %90,000 90,709 
Huntington National Bank/TheFIXED1/10/20305.6500 %250,000 261,182 
Huntington National Bank/TheVARIABLE5/17/20284.5520 %250,000 249,396 
Hyundai Auto Lease Securitization Trust 2024-BFIXED5/17/20275.4100 %250,000 253,516 
Hyundai Auto Lease Securitization Trust 2024-CFIXED4/17/20284.6200 %605,000 606,545 
Hyundai Auto Receivables Trust 2023-CFIXED10/16/20285.5400 %1,055,000 1,073,110 
Hyundai Auto Receivables Trust 2024-AFIXED2/15/20294.9900 %335,000 338,211 
Hyundai Auto Receivables Trust 2024-BFIXED3/15/20294.8400 %250,000 251,806 
Hyundai Capital AmericaFIXED9/24/20274.3000 %130,000 129,366 
Idaho Housing & Finance AssociationFIXED7/1/20546.2500 %390,000 414,777 
Ingredion IncFIXED6/1/20302.9000 %180,000 162,176 
Ingredion IncFIXED10/1/20263.2000 %140,000 137,224 
Interstate Power and Light CoFIXED4/1/20293.6000 %60,000 57,359 
INTOWN 2022-STAY Mortgage TrustFLOATING8/15/20396.8856 %245,000 245,950 
INTOWN 2022-STAY Mortgage TrustFLOATING8/15/20396.8856 %405,000 406,570 
John Deere Owner Trust 2024FIXED11/15/20284.9600 %275,000 277,707 
John Deere Owner Trust 2024FIXED11/15/20284.9600 %505,000 509,971 
JPMBB Commercial Mortgage Sec Trust 2014-C26FIXED1/15/20483.4943 %14,301 14,313 
JPMBB Commercial Mortgage Securities Trust 2016-C1FIXED3/17/20493.5761 %766,000 757,091 
JPMCC Commercial Mortgage Sec CorpFLOATING3/15/20395.9976 %190,000 191,013 
JPMDB Commercial Mortgage Securities Trust 2016-C4FIXED12/15/20492.8822 %456,025 444,605 
KeyBank NA/Cleveland OHFIXED4/13/20293.9000 %370,000 350,455 
KeyBank NA/Cleveland OHFIXED5/20/20263.4000 %250,000 245,275 
Kimco Realty OP LLCFIXED4/1/20273.8000 %180,000 178,025 
Kinder Morgan IncFIXED2/1/20295.0000 %220,000 223,884 
Kinder Morgan IncFIXED11/15/20261.7500 %100,000 95,033 
Kubota Credit Owner Trust 2024-1FIXED7/17/20285.1900 %270,000 273,598 
Kubota Credit Owner Trust 2024-2FIXED11/15/20285.2600 %185,000 187,923 
L3Harris Technologies IncFIXED1/15/20275.4000 %220,000 228,168 
L3Harris Technologies IncFIXED6/1/20295.0500 %180,000 180,697 
L3Harris Technologies IncFIXED6/15/20284.4000 %100,000 98,424 
Laboratory Corp of America HoldingsFIXED4/1/20304.3500 %180,000 175,822 
Lennox International IncFIXED8/1/20251.3500 %200,000 196,868 
Lennox International IncFIXED9/15/20285.5000 %200,000 206,502 
Lennox International IncFIXED9/15/20285.5000 %250,000 258,128 
Life 2021-BMR Mortgage TrustFLOATING3/15/20385.2115 %265,700 263,033 
Life 2022-BMR Mortgage TrustFLOATING5/15/20395.6923 %400,000 392,075 
Life 2022-BMR Mortgage TrustFLOATING5/15/20395.6923 %540,000 529,302 
M&T Bank Auto Receivables Trust 2024-1FIXED2/17/20325.2200 %280,000 282,978 
Manufacturers & Traders Trust CoFIXED1/27/20264.6500 %400,000 406,816 
Manufacturers & Traders Trust CoFIXED1/27/20284.7000 %570,000 575,828 
Manufacturers & Traders Trust CoFIXED11/21/20255.4000 %250,000 252,245 
Marathon Petroleum CorpFIXED4/1/20283.8000 %230,000 224,115 
Marathon Petroleum CorpFIXED5/1/20254.7000 %120,000 120,806 
Martin Marietta Materials IncFIXED3/15/20302.5000 %190,000 169,473 
Masco CorpFIXED11/15/20273.5000 %110,000 106,426 
Masco CorpFIXED11/15/20273.5000 %160,000 154,802 
Mercedes-Benz Auto Lease Trust 2024-AFIXED1/18/20285.3200 %430,000 436,104 
Mercedes-Benz Auto Receivables Trust 2023-2FIXED11/15/20285.9500 %965,000 985,342 
Mercedes-Benz Auto Receivables Trust 2024-1FIXED4/16/20294.8000 %1,210,000 1,217,938 
MHC Commercial Mortgage Trust 2021-MHCFLOATING4/15/20385.3124 %63,989 64,110 
Michigan Finance Authority Student ABS 2021-1FLOATING7/25/206177,749 77,651 
Microchip Technology IncFIXED2/15/20305.0500 %170,000 169,037 
Microchip Technology IncFIXED3/15/20284.9000 %150,000 149,831 
Microchip Technology IncFIXED3/15/20295.0500 %280,000 283,652 
Mid-America Apartments LPFIXED2/15/20311.7000 %110,000 91,336 
Mid-America Apartments LPFIXED9/15/20261.1000 %220,000 207,959 
Mid-Atlantic Interstate Transmission LLCFIXED5/15/20284.1000 %200,000 195,162 
Missouri Higher Education Loan AuthorityFLOATING8/25/20615.0230 %199,519 193,236 
MMAF Equipment Finance LLC 2021-AFIXED6/13/20280.5600 %212,572 208,997 
MMAF Equipment Finance LLC 2021-AFIXED11/13/20301.0400 %530,000 507,508 
MMAF Equipment Finance LLC 2022-AFIXED6/13/20443.3200 %580,000 569,355 
MMAF Equipment Finance LLC 2024-AFIXED7/14/20314.9500 %460,000 462,922 
Mondelez International Holdings Netherlands BVFIXED9/24/20261.2500 %260,000 245,711 
Morgan Stanley BAML Trust 2016-C28FIXED1/15/20493.2720 %121,942 120,799 
Morgan Stanley BAML Trust 2016-C29FIXED5/15/20493.0580 %438,957 432,511 
Morgan Stanley BAML Trust 2016-C31FIXED11/15/20492.8400 %485,494 473,392 
Morgan Stanley BAML Trust 2016-C32FIXED12/15/20493.7200 %310,000 302,395 
Morgan Stanley Capital I Trust 2018-H3FIXED7/15/20514.1770 %495,000 482,207 
Mosaic Co/TheFIXED11/15/20274.0500 %130,000 128,041 
Motorola Solutions IncFIXED4/15/20295.0000 %70,000 70,624 
MPLX LPFIXED2/15/20254.0000 %240,000 243,330 
MPLX LPFIXED3/1/20261.7500 %180,000 174,828 
MPLX LPFIXED3/1/20261.7500 %280,000 271,955 
MPLX LPFIXED3/15/20284.0000 %120,000 117,821 
MPLX LPFIXED9/1/20324.9500 %100,000 98,115 
Navient Private Education Refi Loan Trust 2021-EFIXED12/16/20690.9700 %338,616 298,304 
Navient Private Education Refi Loan Trust 2021-GFIXED4/15/20701.5800 %747,281 660,130 
Navient Private Education Refi Loan Trust 2022-AFIXED7/15/20702.2300 %220,088 197,570 
Navient Student Loan Trust 2021-1FLOATING12/26/20695.2833 %367,802 365,429 
Navient Student Loan Trust 2021-1FLOATING12/26/20695.2833 %530,721 527,297 
Navistar Fin Dealer Note Master Owner Trust IIFIXED8/25/20286.1800 %160,000 161,624 
Navistar Financial Dealer Note Master Owner TrustFIXED4/25/20295.5900 %55,000 55,653 
Nelnet Student Loan Trust 2021-AFIXED4/20/20621.3600 %334,174 309,280 
Nelnet Student Loan Trust 2021-AFIXED4/20/20621.3600 %482,476 446,535 
Nelnet Student Loan Trust 2021-AFLOATING4/20/20625.2847 %169,675 169,453 
Nelnet Student Loan Trust 2021-BFLOATING4/20/20625.2647 %312,941 312,520 
Nelnet Student Loan Trust 2021-CFIXED4/20/20621.3200 %132,387 121,684 
Nelnet Student Loan Trust 2021-CFLOATING4/20/20625.2247 %483,317 481,770 
Nelnet Student Loan Trust 2021-DFIXED4/20/20621.6300 %669,296 622,153 
Nelnet Student Loan Trust 2021-DFLOATING4/20/20625.1747 %378,890 377,519 
New York State Electric & Gas CorpFIXED8/15/20285.6500 %430,000 449,109 
New York State Electric & Gas CorpFIXED8/15/20285.6500 %90,000 94,000 
Newmont Corp / Newcrest Finance Pty LtdFIXED3/15/20345.3500 %60,000 60,683 
Nissan Auto Lease Trust 2024-AFIXED4/15/20274.9100 %935,000 941,395 
Nissan Auto Lease Trust 2024-BFIXED11/15/20274.9200 %600,000 605,345 
Nissan Auto Receivables 2023-B Owner TrustFIXED10/15/20305.9600 %440,000 451,465 
Nissan Auto Receivables 2024-A Owner TrustFIXED12/15/20285.2800 %460,000 467,335 
Nissan Master Owner Trust ReceivablesFIXED2/15/20295.0500 %200,000 201,736 
NNN REIT IncFIXED10/15/20273.5000 %120,000 116,753 
NNN REIT IncFIXED11/15/20254.0000 %110,000 109,665 
Norfolk Southern CorpFIXED6/15/20262.9000 %230,000 224,945 
Norfolk Southern CorpFIXED11/1/20292.5500 %220,000 199,466 
North Texas Higher Education Authority IncFLOATING9/25/20615.0232 %425,656 422,631 
North Texas Higher Education Authority IncFLOATING10/25/20615.0230 %509,702 502,065 
Northrop Grumman CorpFIXED1/15/20283.2500 %220,000 213,550 
Nucor CorpFIXED5/23/20253.9500 %100,000 100,055 
Nutrien LtdFIXED5/13/20302.9500 %130,000 117,477 
Nutrien LtdFIXED6/21/20275.2000 %190,000 192,212 
NXP BV / NXP Funding LLC / NXP USA IncFIXED1/15/20335.0000 %200,000 199,275 
NXP BV / NXP Funding LLC / NXP USA IncFIXED2/15/20322.6500 %150,000 127,790 
NXP BV / NXP Funding LLC / NXP USA IncFIXED6/1/20274.4000 %200,000 198,803 
ONEOK IncFIXED3/1/20265.0000 %120,000 122,193 
ONEOK IncFIXED9/24/20274.2500 %120,000 119,627 
ONEOK IncFIXED10/15/20294.4000 %150,000 147,253 
ONNI Commerical Mortgage Trust 2024-APTVARIABLE7/15/20395.5674 %130,000 131,034 
ONNI Commerical Mortgage Trust 2024-APTVARIABLE7/15/20395.5674 %175,000 176,392 
Oracle CorpFIXED3/25/20282.3000 %180,000 167,508 
Oracle CorpFIXED4/1/20252.5000 %495,000 495,248 
Oracle CorpFIXED4/1/20302.9500 %370,000 336,931 
Oracle CorpFIXED9/27/20294.2000 %220,000 214,913 
Oracle CorpFIXED11/9/20296.1500 %70,000 74,038 
PeaceHealth Obligated GroupFIXED11/15/20251.3750 %300,000 291,223 
PFS Financing CorpFIXED2/15/20294.9500 %420,000 423,125 
PFS Financing CorpFIXED8/15/20294.7500 %105,000 104,967 
PHEAA Student Loan Trust 2014-2FLOATING2/25/20435.2533 %359,581 356,388 
Phillips 66FIXED3/15/20283.9000 %250,000 245,245 
Phillips 66 CoFIXED3/1/20283.7500 %150,000 147,106 
Phillips 66 CoFIXED6/15/20315.2500 %250,000 251,345 
PNC Bank NAFIXED10/22/20292.7000 %250,000 225,579 
PNC Financial Services Group Inc/TheVARIABLE1/21/20285.3000 %90,000 92,884 
PNC Financial Services Group Inc/TheVARIABLE6/12/20265.8120 %240,000 241,756 
PNC Financial Services Group Inc/TheVARIABLE7/23/20275.1020 %230,000 236,306 
PNC Financial Services Group Inc/TheVARIABLE10/20/20276.6150 %100,000 104,321 
PNC Financial Services Group Inc/TheVARIABLE12/2/20285.3540 %230,000 234,246 
Porsche Financial Auto Securitization Trust 2023-2FIXED1/22/20295.7900 %795,000 802,906 
Realty Income CorpFIXED1/15/20273.0000 %150,000 147,161 
Realty Income CorpFIXED10/15/20264.1250 %170,000 169,858 
Regions Financial CorpFIXED8/12/20281.8000 %390,000 350,066 
Revvity IncFIXED9/15/20281.9000 %380,000 342,263 
ROCK Trust 2024-CNTRFIXED11/13/20415.3883 %330,000 330,522 
Rogers Communications IncFIXED3/15/20252.9500 %100,000 100,320 
Rogers Communications IncFIXED3/15/20273.2000 %230,000 224,307 
Rogers Communications IncFIXED3/15/20273.2000 %240,000 234,060 
Rolls-Royce PLCFIXED10/14/20253.6250 %270,000 266,740 
Roper Technologies IncFIXED10/15/20294.5000 %120,000 119,761 
RTX CorpFIXED3/15/20316.0000 %340,000 362,912 
RTX CorpFIXED5/4/20273.1250 %340,000 329,796 
RTX CorpFIXED7/1/20302.2500 %110,000 96,915 
RTX CorpFIXED11/8/20265.7500 %170,000 174,436 
Ryder System IncFIXED3/1/20272.8500 %240,000 232,662 
Ryder System IncFIXED3/15/20275.3000 %80,000 82,120 
Santander Drive Auto Receivables Trust 2023-5FIXED9/15/20286.0200 %360,000 364,757 
SBNA Auto Lease Trust 2024-BFIXED11/22/20275.5600 %305,000 309,309 
Sealed Air CorpFIXED10/15/20261.5730 %210,000 198,214 
SempraFIXED4/1/20253.3000 %200,000 200,865 
SFS Auto Receivables Securitization Trust 2023-1FIXED10/20/20285.4700 %505,000 510,352 
SFS Auto Receivables Securitization Trust 2024-1FIXED5/21/20294.9500 %460,000 462,432 
SFS Auto Receivables Securitization Trust 2024-2FIXED11/20/20295.3300 %425,000 429,859 
Sherwin-Williams Co/TheFIXED6/1/20273.4500 %70,000 68,261 
SHR Trust 2024-LXRYFLOATING10/15/20416.3471 %455,000 459,632 
SLM Student Loan Trust 2003-10FLOATING12/17/20685.7399 %572,162 572,819 
SLM Student Loan Trust 2003-10FLOATING12/17/20685.7399 %574,860 575,521 
Smurfit Kappa Treasury ULCFIXED1/15/20305.2000 %210,000 215,752 
Southern Co Gas Capital CorpFIXED11/15/20253.8750 %50,000 49,788 
Sumitomo Mitsui Financial Group IncFIXED9/14/20285.7160 %200,000 208,228 
Sumitomo Mitsui Financial Group IncFIXED9/17/20261.4020 %240,000 227,922 
Sumitomo Mitsui Financial Group IncFIXED9/17/20281.9020 %200,000 180,274 
Synchrony Card Funding LLCFIXED3/15/20305.0400 %285,000 287,855 
Synchrony Card Funding LLCFIXED3/15/20305.0400 %395,000 398,958 
Synchrony Card Funding LLCFIXED10/15/20295.7400 %560,000 572,033 
Take-Two Interactive Software IncFIXED3/28/20265.0000 %105,000 106,626 
Take-Two Interactive Software IncFIXED3/28/20284.9500 %280,000 283,525 
Take-Two Interactive Software IncFIXED4/14/20253.5500 %40,000 40,157 
Take-Two Interactive Software IncFIXED6/12/20295.4000 %195,000 198,205 
TCO 2024-DPM AFLOATING12/15/20395.7429 %260,000 260,418 
TCO 2024-DPM AFLOATING12/15/20395.7429 %370,000 370,595 
Tesla Auto Lease Trust 2024-AFIXED6/21/20275.3000 %260,000 261,935 
Tesla Electric Vehicle Trust 2023-1FIXED6/20/20285.3800 %410,000 414,590 
T-Mobile USA IncFIXED2/15/20262.2500 %80,000 78,382 
T-Mobile USA IncFIXED2/15/20312.5500 %260,000 226,292 
T-Mobile USA IncFIXED3/15/20292.4000 %220,000 199,698 
T-Mobile USA IncFIXED4/15/20262.6250 %160,000 156,809 
T-Mobile USA IncFIXED10/1/20294.2000 %190,000 186,055 
Toronto-Dominion Bank/TheFIXED3/10/20272.8000 %220,000 212,945 
Towd Point Mortgage Trust 2017-5FLOATING2/25/20575.0532 %3,059 3,196 
Towd Point Mortgage Trust 2017-6VARIABLE10/25/20572.7500 %128,773 126,035 
Towd Point Mortgage Trust 2018-2VARIABLE3/25/20583.2500 %197,813 194,884 
Towd Point Mortgage Trust 2018-2VARIABLE3/25/20583.2500 %93,237 91,856 
Towd Point Mortgage Trust 2018-3VARIABLE5/25/20583.7500 %183,294 179,065 
Towd Point Mortgage Trust 2018-3VARIABLE5/25/20583.7500 %185,614 181,332 
Towd Point Mortgage Trust 2019-4VARIABLE10/25/20592.9000 %594,978 567,424 
Towd Point Mortgage Trust 2021-1VARIABLE11/25/20612.2500 %400,343 369,011 
Towd Point Mortgage Trust 2022-1VARIABLE7/25/20623.7500 %685,362 644,102 
Towd Point Mortgage Trust 2022-4FIXED9/25/20623.7500 %610,950 575,570 
Toyota Auto Loan Extended Note Trust 2021-1FIXED2/27/20341.0700 %765,000 735,807 
Toyota Auto Loan Extended Note Trust 2023-1FIXED6/25/20364.9300 %930,000 938,629 
Toyota Auto Loan Extended Note Trust 2024-1FIXED11/25/20365.1600 %1,045,000 1,061,984 
Toyota Auto Receivables 2024-B Owner TrustFIXED1/16/20295.3300 %400,000 406,383 
Toyota Auto Receivables 2024-C Owner TrustFIXED3/15/20294.8800 %260,000 262,350 
Toyota Lease Owner Trust 2024-AFIXED4/20/20275.2500 %705,000 711,719 
Trane Technologies Financing LtdFIXED3/21/20263.5000 %220,000 219,074 
Trans-Allegheny Interstate Line CoFIXED6/1/20253.8500 %200,000 199,654 
Truist BankFIXED9/16/20253.6250 %500,000 501,347 
Truist Financial CorpVARIABLE1/26/20294.8730 %500,000 507,983 
UBS Commercial Mortgage Trust 2017-C3FIXED8/15/20503.1670 %520,000 506,120 
UBS Commercial Mortgage Trust 2017-C6FIXED12/15/20503.5795 %545,000 520,704 
UBS Commercial Mortgage Trust 2017-C7FIXED12/15/20503.6790 %485,000 467,702 
UBS Commercial Mortgage Trust 2018-C8FIXED2/15/20513.9830 %600,000 580,589 
UBS Group AGFIXED3/23/20284.2530 %200,000 196,683 
UBS Group AGVARIABLE1/30/20271.3640 %330,000 319,236 
UBS Group AGVARIABLE2/11/20332.7460 %200,000 169,145 
UBS Group AGVARIABLE5/12/20284.7510 %210,000 210,026 
UBS Group AGVARIABLE8/5/20274.7030 %300,000 304,383 
UBS Group AGVARIABLE8/10/20271.4940 %220,000 209,432 
UBS Group AGVARIABLE8/10/20271.4940 %280,000 266,549 
UDR IncFIXED1/15/20283.5000 %200,000 194,602 
UDR IncFIXED1/15/20303.2000 %270,000 251,186 
UDR IncFIXED9/1/20262.9500 %45,000 44,072 
USAA Auto Owner Trust 2024-AFIXED3/15/20295.0300 %330,000 333,298 
Ventas Realty LPFIXED1/15/20252.6500 %110,000 111,168 
Ventas Realty LPFIXED1/15/20294.4000 %150,000 149,038 
Ventas Realty LPFIXED2/1/20253.5000 %110,000 111,414 
Ventas Realty LPFIXED4/1/20273.8500 %100,000 98,615 
Verizon Communications IncFIXED3/15/20322.3550 %623,000 521,097 
Verizon Communications IncFIXED3/22/20282.1000 %310,000 286,937 
Verizon Master TrustFIXED6/20/20295.1600 %220,000 222,422 
Verizon Master TrustFIXED8/20/20304.1700 %765,000 758,536 
Verizon Master TrustFIXED11/20/20295.6700 %490,000 500,736 
Verizon Master Trust Series 2024-5FIXED6/21/20325.0000 %505,000 510,712 
Vermont Std Asst CorpFLOATING4/30/20355.5554 %155,194 154,587 
Vermont Std Asst CorpFLOATING4/30/20355.5554 %44,341 44,168 
Volkswagen Auto Loan Enhanced Trust 2023-2FIXED12/20/20285.4800 %845,000 860,167 
Volkswagen Group of America Finance LLCFIXED6/8/20274.3500 %200,000 196,480 
Volkswagen Group of America Finance LLCFIXED8/15/20274.8500 %200,000 201,565 
Volkswagen Group of America Finance LLCFIXED9/12/20265.7000 %240,000 246,218 
Volkswagen Group of America Finance LLCFIXED9/12/20285.6500 %450,000 459,742 
Warnermedia Holdings IncFIXED3/15/20253.6380 %150,000 151,101 
Warnermedia Holdings IncFIXED3/15/20273.7550 %170,000 165,655 
Warnermedia Holdings IncFIXED3/15/20273.7550 %310,000 302,076 
Warnermedia Holdings IncFIXED3/15/20294.0540 %260,000 245,088 
Warnermedia Holdings IncFIXED3/15/20324.2790 %220,000 196,701 
Waste Management IncFIXED3/15/20284.5000 %150,000 150,152 
WEC Energy Group IncFIXED6/15/20253.5500 %34,000 33,816 
WEC Energy Group IncFIXED9/12/20265.6000 %51,000 52,514 
WEC Energy Group IncFIXED10/15/20271.3750 %130,000 119,048 
WEC Energy Group IncFIXED12/15/20282.2000 %555,000 501,048 
Wells Fargo Commercial Mortgage Trust 2015-C28FIXED5/15/20483.5400 %500,000 498,631 
Wells Fargo Commercial Mortgage Trust 2016-C35FIXED7/15/20482.6740 %728,545 711,358 
Wells Fargo Commercial Mortgage Trust 2016-LC24FIXED10/15/20492.6840 %694,031 675,658 
Wells Fargo Commercial Mortgage Trust 2016-NXS6FIXED11/15/20492.6420 %470,000 459,487 
Wells Fargo Commercial Mortgage Trust 2017-C38FIXED7/15/20503.1900 %356,312 343,300 
Wells Fargo Commercial Mortgage Trust 2017-C39FIXED9/15/20503.1570 %305,000 291,050 
Wells Fargo Commercial Mortgage Trust 2017-C39FIXED9/15/20503.1570 %635,000 605,956 
Wells Fargo Commercial Mortgage Trust 2017-C39FIXED9/15/20503.4180 %515,000 492,583 
Wells Fargo Commercial Mortgage Trust 2017-C40FIXED10/15/20503.3170 %760,000 731,975 
Wells Fargo Commercial Mortgage Trust 2018-C43VARIABLE3/15/20514.0120 %1,020,000 988,150 
Welltower OP LLCFIXED1/15/20292.0500 %150,000 135,556 
Welltower OP LLCFIXED1/15/20322.7500 %120,000 103,533 
Welltower OP LLCFIXED3/15/20294.1250 %360,000 352,480 
Welltower OP LLCFIXED4/15/20284.2500 %200,000 197,581 
Welltower OP LLCFIXED6/1/20254.0000 %80,000 79,971 
Weyerhaeuser CoFIXED5/15/20264.7500 %300,000 301,882 
WFCIT 2024-A1 AFIXED2/15/20294.9400 %285,000 288,314 
Wheels Fleet Lease Funding 1 LLCFIXED2/18/20395.4900 %235,000 238,140 
Wheels Fleet Lease Funding 1 LLCFIXED4/18/20385.8000 %308,739 311,321 
Wheels Fleet Lease Funding 1 LLCFIXED4/18/20385.8000 %358,998 362,001 
Wheels Fleet Lease Funding 1 LLCFIXED8/18/20386.4600 %728,496 743,857 
Williams Cos Inc/TheFIXED3/2/20265.4000 %320,000 327,894 
Williams Cos Inc/TheFIXED3/15/20294.9000 %90,000 181,268 
Williams Cos Inc/TheFIXED3/15/20335.6500 %170,000 174,379 
Williams Cos Inc/TheFIXED8/15/20285.3000 %450,000 463,270 
WMRK Commercial Mortgage Trust 2022-WMRKFLOATING11/15/20277.1861 %355,000 359,635 
World Omni Auto Receivables Trust 2023-DFIXED2/15/20295.7900 %605,000 617,172 
World Omni Auto Receivables Trust 2024-BFIXED9/17/20295.2700 %340,000 345,074 
World Omni Auto Receivables Trust 2024-CFIXED12/17/20294.4300 %475,000 474,245 
World Omni Select Auto Trust 2024-AFIXED2/15/20304.9800 %280,000 281,984 
WRKCo IncFIXED6/1/20283.9000 %200,000 193,667 
WRKCo IncFIXED9/15/20273.3750 %150,000 145,801 
TOTAL CORPORATE DEBT INSTRUMENTS - ALL OTHER$166,045,936 
TOTAL - INVESTMENT CONTRACTS$416,310,141 
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE$29,000,775 
TOTAL - INVESTMENT CONTRACTS AT CONTRACT VALUE$445,310,916 
AEP RETIREMENT SAVINGS 401(K) PLAN
Plan #002 EIN #13-4922641
SCHEDULE H, LINE 4I - SCHEDULE OF ASSETS (HELD AT END OF YEAR) (continued)
DECEMBER 31, 2024
(a)(b) Identity of Issuer, Borrower, Lessor or Similar Party  (c ) Description of Investment Including Maturity Date, Rate of Interest, Collateral, Par, or Maturity Value(e) Current Value
MONEY MARKET FUND
JP MORGAN US GOVT MM FUND 3164$36,776,191 
TOTAL MONEY MARKET FUND$36,776,191 
COMMON / COLLECTIVE TRUSTS
*BK OF NY MELLON/EB DL NON SL MID CA$459,321,305 
*BK OF NY MELLON/EB DL NON SL SMALL169,951,861 
*BK OF NY MELLON/EB DL NON SL STK IX1,429,311,150 
*BK OF NY MELLON/EB DL NON-SL AGGREG511,889,594 
*BK OF NY MELLON/EB DL NON-SL TREAS24,183,840 
*BK OF NY MELLON/MELLON BK DL NON-SL INTL STK INDEX690,699,519 
*BK OF NY MELLON/MELLON BK EB DL NON-SL EMERG MKTS65,013,298 
JPM STRATEGIC PROPERTY FUND AEP84,071,443 
METWEST TOTAL RETURN BD FD CL C59,886,326 
SANDS CAP COLLECTIVE INVT TR INTL GROWTH CIT CL C22,073,747 
WILLIAM BLAIR COLLECTIVE INVT TR LARGE CAP GR INVT FD CLA214,753,054 
TOTAL COMMON / COLLECTIVE TRUSTS$3,731,155,137 
AEP STOCK
*AMERICAN ELECTRIC POWER CO INC$254,007,692 
TOTAL AEP STOCK$254,007,692 
CORPORATE STOCKS
3M CO $202,026 
8X8 INC 279,407 
ABBOTT LABORATORIES 1,084,046
ABBVIE INC 502,713 
ABERCROMBIE & FITCH CO 1,223,113 
ABM INDUSTRIES INC 153,796 
ACADEMY SPORTS & OUTDOORS INC 226,265
ACI WORLDWIDE INC 155,782 
ACUITY INC 461,858 
ACV AUCTIONS INC 783,065 
ADIDAS AG ADR1,664,961 
ADOBE INC 2,828,165 
ADTALEM GLOBAL EDUCATION INC 789,759 
ADVANCE AUTO PARTS INC 67,956 
ADVANCED MICRO DEVICES INC 2,742,537 
AERCAP HOLDINGS NV 844,074 
AES CORP/THE 1,770,462 
AGCO CORP 209,302 
AGIOS PHARMACEUTICALS INC 304,349 
AGNC INVESTMENT CORP 202,556 
AIR LEASE CORP 183,969 
AIRBNB INC 2,152,627 
ALAMO GROUP INC 225,509 
ALIGHT INC 1,966,214 
ALIGN TECHNOLOGY INC 2,078,428 
ALLIANT ENERGY CORP 426,399 
ALLISON TRANSMISSION HOLDINGS 970,595 
ALLY FINANCIAL INC 1,063,159 
ALPHABET INC 11,518,814 
AMAZON.COM INC 17,120,757 
AMCOR PLC 102,089 
AMDOCS LTD 1,120,868 
AMERICOLD REALTY TRUST INC 166,364 
AMERIPRISE FINANCIAL INC 653,824 
AMICUS THERAPEUTICS INC 88,831 
AMPHASTAR PHARMACEUTICALS INC 130,958 
AMPHENOL CORP 1,145,578 
ANALOG DEVICES INC 1,940,397 
ANDERSONS INC/THE 144,697 
ANI PHARMACEUTICALS INC 98,951 
APA CORP 375,859 
APPLE INC 14,676,365 
APPLIED INDUSTRIAL TECHNOLOGIE 421,228 
APPLOVIN CORP 665,471 
ARCH CAPITAL GROUP LTD 646,912 
ARCH RESOURCES INC 131,617 
ARCHROCK INC 251,314 
ARES CAPITAL CORP 231,399 
ARISTA NETWORKS INC 1,183,997 
ARROW ELECTRONICS INC 245,357 
ARVINAS INC 291,365 
ASHLAND INC 123,197 
ASPEN TECHNOLOGY INC 1,444,110 
ASSURANT INC 601,280 
ASSURED GUARANTY LTD 552,481 
ASTRAZENECA PLC ADR2,000,260 
ATKORE INC 593,163 
ATMUS FILTRATION TECHNOLOGIES 215,333 
AUTOLIV INC 200,523 
AVALONBAY COMMUNITIES INC 211,831 
AVANTOR INC 3,142,527 
AVIENT CORP 91,567 
AVNET INC 179,719 
AXCELIS TECHNOLOGIES INC 1,009,272 
AXIS CAPITAL HOLDINGS LTD 1,161,542 
AXOGEN INC 320,833 
AXOS FINANCIAL INC 241,681 
AZZ INC 193,495 
BAKER HUGHES CO 2,037,217 
BATH & BODY WORKS INC 2,254,476 
BAXTER INTERNATIONAL INC 1,863,616 
BEACON ROOFING SUPPLY INC 897,256 
BEAZER HOMES USA INC 126,453 
BELDEN INC 174,208 
BELLRING BRANDS INC 175,693 
BERKSHIRE HATHAWAY INC 1,844,850 
BERRY GLOBAL GROUP INC 120,804 
BGC GROUP INC 234,156 
BILL HOLDINGS INC 1,997,038 
BIOGEN INC 413,954 
BIO-RAD LABORATORIES INC 505,905 
BIO-TECHNE CORP 2,695,867 
BJ'S WHOLESALE CLUB HOLDINGS I 220,784 
BLACKBAUD INC 837,514 
BLOOMIN' BRANDS INC 109,206 
BLUE OWL CAPITAL CORP 269,000 
BOEING CO/THE 2,328,789 
BOISE CASCADE CO 174,724 
BOOZ ALLEN HAMILTON HOLDING CO 1,012,483 
BORGWARNER INC 200,436 
BOYD GAMING CORP 376,120 
BP PLC ADR333,466 
BRADY CORP 205,820 
BRINKER INTERNATIONAL INC 907,245 
BRINK'S CO/THE 287,587 
BRISTOL-MYERS SQUIBB CO 2,520,483 
BROADCOM INC 9,695,317 
BROWN & BROWN INC 537,135 
BUILDERS FIRSTSOURCE INC 824,134 
CACTUS INC 127,692 
CADENCE BANK 523,916 
CADENCE DESIGN SYSTEMS INC 4,476,554 
CAL-MAINE FOODS INC 240,112 
CANNAE HOLDINGS INC 239,273 
CAPITAL BANCORP INC 140,135 
CAPITAL ONE FINANCIAL CORP 3,397,888 
CARDINAL HEALTH INC 492,713 
CARGURUS INC 1,606,737 
CARLISLE COS INC 875,626 
CARMAX INC 312,732 
CARNIVAL CORP 856,999 
CARS.COM INC 315,077 
CASEY'S GENERAL STORES INC 871,310 
CATALYST PHARMACEUTICALS INC 164,831 
CATHAY GENERAL BANCORP 88,793 
CENCORA INC 521,932 
CENTENE CORP 498,634 
CERTARA INC 570,244 
CF INDUSTRIES HOLDINGS INC 2,061,502 
CHAMPIONX CORP 176,300 
CHARLES RIVER LABORATORIES INT 1,828,278 
CHECK POINT SOFTWARE TECHNOLOG 2,008,145 
CHEMED CORP 221,986 
CHESAPEAKE UTILITIES CORP 343,785 
CHEWY INC 926,601 
CHURCHILL DOWNS INC 1,749,374 
CIGNA GROUP/THE 412,553 
CIMPRESS PLC 527,142 
CISCO SYSTEMS INC 1,142,146 
CITIGROUP INC 2,944,343 
CLEAN HARBORS INC 2,659,958 
CLEARWATER PAPER CORP 223,186 
CMS ENERGY CORP 440,023 
CNX RESOURCES CORP 192,628 
COCA-COLA CONSOLIDATED INC 258,298 
COLUMBIA BANKING SYSTEM INC 268,506 
COLUMBIA SPORTSWEAR CO 132,022 
COMERICA INC 245,297 
COMMERCIAL METALS CO 280,438 
CONCENTRIX CORP 185,758 
CONMED CORP 462,586 
CONSENSUS CLOUD SOLUTIONS INC 360,381 
COOPER COS INC/THE 1,072,363 
COPT DEFENSE PROPERTIES 281,521 
CORE & MAIN INC 542,141 
CORPAY INC 210,836 
COSTCO WHOLESALE CORP 4,279,897 
COTERRA ENERGY INC 2,557,959 
CRESCENT ENERGY CO 279,621 
CROCS INC 165,281 
CROWDSTRIKE HOLDINGS INC 2,462,868 
CSX CORP 1,953,594 
CUMMINS INC 186,850 
CURTISS-WRIGHT CORP 1,221,108 
CUSTOMERS BANCORP INC 131,485 
DATADOG INC 1,984,028 
DAVITA INC 758,219 
DECKERS OUTDOOR CORP 814,188 
DEXCOM INC 1,264,929 
DIAMONDBACK ENERGY INC 297,351 
DICK'S SPORTING GOODS INC 951,974 
DIODES INC 218,127 
DOLLAR GENERAL CORP 326,253 
DOMINION ENERGY INC 222,603 
DONNELLEY FINANCIAL SOLUTIONS 110,217 
DOUGLAS DYNAMICS INC 154,493 
DOVER CORP 402,402 
DOXIMITY INC 1,179,972 
DT MIDSTREAM INC 348,701 
DYNATRACE INC 989,224 
DYNE THERAPEUTICS INC 149,111 
EAGLE MATERIALS INC 291,424 
EAST WEST BANCORP INC 536,735 
EASTMAN CHEMICAL CO 110,680 
EATON CORP PLC 1,698,511 
ECOVYST INC 368,477 
EDWARDS LIFESCIENCES CORP 1,090,684 
ELASTIC NV 1,581,614 
ELDORADO GOLD CORP 193,072 
ELEMENT SOLUTIONS INC 203,872 
ELI LILLY & CO 5,414,036 
EMCOR GROUP INC 768,453 
EMERSON ELECTRIC CO 188,002 
ENACT HOLDINGS INC 211,150 
ENCOMPASS HEALTH CORP 777,864 
ENERSYS 577,503 
ENOVIS CORP 165,823 
ENTEGRIS INC 1,683,723 
ENVISTA HOLDINGS CORP 64,294 
EOG RESOURCES INC 1,614,379 
EPR PROPERTIES 74,346 
EQT CORP 249,686 
EQUITABLE HOLDINGS INC 663,682 
ESAB CORP 192,983 
ESSENT GROUP LTD 339,488 
ESSEX PROPERTY TRUST INC 145,574 
EURONET WORLDWIDE INC 1,646,983 
EVERCORE INC 451,265 
EVEREST GROUP LTD 240,673 
EVERGY INC 212,778 
EVOLENT HEALTH INC 231,278 
EXACT SCIENCES CORP 234,987 
EXPAND ENERGY CORP 342,950 
EXTRA SPACE STORAGE INC 185,504 
F5 INC 1,209,068 
FABRINET 1,104,457 
FEDERAL AGRICULTURAL MORTGAGE 389,764 
FEDERAL SIGNAL CORP 455,206 
FEDEX CORP 1,810,359 
FIDELITY NATIONAL FINANCIAL IN 573,695 
FIDELITY NATIONAL INFORMATION 2,045,096 
FIRST ADVANTAGE CORP 318,766 
FIRST AMERICAN FINANCIAL CORP 673,603 
FIRST INDUSTRIAL REALTY TRUST 154,852 
FIRST INTERSTATE BANCSYSTEM IN 133,322 
FIRSTCASH HOLDINGS INC 484,019 
FIRSTENERGY CORP 210,675 
FLEX LTD 1,886,523 
FMC CORP 163,524 
FNB CORP/PA 252,117 
FORTINET INC 1,202,258 
FORTIVE CORP 596,175 
FOX CORP 844,452 
FOX FACTORY HOLDING CORP 219,730 
FRONTDOOR INC 467,593 
FTI CONSULTING INC 254,776 
GAMBLING.COM GROUP LTD 105,769 
GAP INC/THE 232,141 
GARMIN LTD 789,563 
GARTNER INC 1,127,362 
GE AEROSPACE 1,607,188 
GE HEALTHCARE TECHNOLOGIES INC 1,596,827 
GEN DIGITAL INC 396,627 
GENERAC HOLDINGS INC 1,114,965 
GENERAL MOTORS CO 1,550,157 
GENPACT LTD 486,709 
GENTEX CORP 203,035 
GENUINE PARTS CO 472,761 
GERMAN AMERICAN BANCORP INC 164,299 
GFL ENVIRONMENTAL INC 370,216 
GIBRALTAR INDUSTRIES INC 90,353 
GILEAD SCIENCES INC 486,420 
GLOBAL PAYMENTS INC 650,508 
GLOBALFOUNDRIES INC 881,801 
GLOBUS MEDICAL INC 525,374 
GODADDY INC 1,676,658 
GOLDMAN SACHS GROUP INC/THE 1,729,312 
GRACO INC 1,892,311 
GRAND CANYON EDUCATION INC 505,651 
GRANITE CONSTRUCTION INC 350,226 
GRIFFON CORP 217,445 
GROCERY OUTLET HOLDING CORP 1,982,891 
H&E EQUIPMENT SERVICES INC 190,259 
H&R BLOCK INC 761,372 
HAEMONETICS CORP 287,022 
HALLIBURTON CO 340,827 
HALOZYME THERAPEUTICS INC 860,341 
HANCOCK WHITNEY CORP 478,417 
HANOVER INSURANCE GROUP INC/TH 259,056 
HARTFORD INSURANCE GROUP INC/T 572,709 
HCA HEALTHCARE INC 413,907 
HEALTHEQUITY INC 719,625 
HEARTLAND EXPRESS INC 290,744 
HELMERICH & PAYNE INC 205,696 
HERITAGE COMMERCE CORP 110,037 
HEXCEL CORP 1,398,085 
HILTON WORLDWIDE HOLDINGS INC 1,632,245 
HOLOGIC INC 2,348,188 
HOME BANCSHARES INC/AR 361,504 
HOME DEPOT INC/THE 3,127,091 
HOWMET AEROSPACE INC 1,961,442 
HUDSON TECHNOLOGIES INC 87,974 
HURON CONSULTING GROUP INC 227,893 
IAC INC 649,473 
ICON PLC 249,974 
INCYTE CORP 2,192,627 
INGEVITY CORP 193,848 
INGREDION INC 325,192 
INNOVATIVE INDUSTRIAL PROPERTI 135,079 
INSTALLED BUILDING PRODUCTS IN 326,491 
INTEGRA LIFESCIENCES HOLDINGS 96,004 
INTERDIGITAL INC 462,603 
INTUIT INC 1,104,275 
INTUITIVE SURGICAL INC 2,362,391 
IPG PHOTONICS CORP 191,835 
IRIDIUM COMMUNICATIONS INC 576,047 
JACKSON FINANCIAL INC 591,883 
JACOBS SOLUTIONS INC 193,482 
JAZZ PHARMACEUTICALS PLC 557,131 
JBT MAREL CORP 617,833 
JEFFERIES FINANCIAL GROUP INC 271,264 
KB HOME 775,102 
KBR INC 173,964 
KELLY SERVICES INC 211,442 
KEMPER CORP 220,979 
KEYSIGHT TECHNOLOGIES INC 2,120,798 
KIMCO REALTY CORP 256,582 
KINDER MORGAN INC 1,554,265 
KINSALE CAPITAL GROUP INC 1,388,878 
KIRBY CORP 688,652 
KLA CORP 1,025,205 
KNIFE RIVER CORP 184,578 
KNIGHT-SWIFT TRANSPORTATION HO 184,897 
KORN FERRY 196,010 
KROGER CO/THE 2,073,902 
L3HARRIS TECHNOLOGIES INC 379,135 
LABCORP HOLDINGS INC 480,655 
LAMAR ADVERTISING CO 492,804 
LANTHEUS HOLDINGS INC 226,423 
LAUREATE EDUCATION INC 239,562 
LEAR CORP 177,752 
LEGEND BIOTECH CORP ADR278,575 
LEIDOS HOLDINGS INC 1,132,023 
LENDINGCLUB CORP 2,762,095 
LENNAR CORP 1,402,565 
LITHIA MOTORS INC 1,237,065 
LITTELFUSE INC 795,554 
LKQ CORP 290,913 
LOCKHEED MARTIN CORP 1,162,854 
LOUISIANA-PACIFIC CORP 106,760 
LPL FINANCIAL HOLDINGS INC 296,145 
LYONDELLBASELL INDUSTRIES NV 97,517 
MADRIGAL PHARMACEUTICALS INC 618,374 
MAGNITE INC 599,961 
MAGNOLIA OIL & GAS CORP 127,187 
MARKEL GROUP INC 792,340 
MARKETAXESS HOLDINGS INC 1,947,109 
MARRIOTT INTERNATIONAL INC/MD 1,393,584 
MARRIOTT VACATIONS WORLDWIDE C 439,661 
MASCO CORP 377,291 
MASTERCARD INC 5,203,565 
MASTERCRAFT BOAT HOLDINGS INC 83,641 
MATADOR RESOURCES CO 208,725 
MATCH GROUP INC 1,027,585 
MATSON INC 612,174 
MCKESSON CORP 462,767 
MEDPACE HOLDINGS INC 1,488,723 
MERCADOLIBRE INC 2,615,277 
MERIT MEDICAL SYSTEMS INC 1,061,405 
MERITAGE HOMES CORP 1,108,119 
META PLATFORMS INC 13,204,422 
METHANEX CORP 341,040 
METLIFE INC 611,889 
MICROSOFT CORP 13,113,708 
MIDDLEBY CORP/THE 562,388 
MOLINA HEALTHCARE INC 2,491,097 
MOLSON COORS BEVERAGE CO 463,318 
MOODY'S CORP 2,345,548 
MOOG INC 213,178 
MOSAIC CO/THE 210,233 
MUELLER INDUSTRIES INC 187,528 
MURPHY OIL CORP 472,177 
MURPHY USA INC 754,130 
N-ABLE INC/US 294,303 
NATIONAL STORAGE AFFILIATES TR 381,261 
NCINO INC 711,392 
NESTLE SA ADR1,559,653 
NETAPP INC 1,318,437 
NETFLIX INC 8,135,969 
NEVRO CORP 136,658 
NEW YORK TIMES CO/THE 1,589,971 
NEWMONT CORP 1,694,999 
NEXSTAR MEDIA GROUP INC 452,584 
NISOURCE INC 232,470 
NMI HOLDINGS INC 330,105 
NOMAD FOODS LTD 207,669 
NORTHROP GRUMMAN CORP 1,190,589 
NORTHWESTERN ENERGY GROUP INC 317,606 
NORWEGIAN CRUISE LINE HOLDINGS 764,232 
NOVO NORDISK A/S ADR2,600,901 
NRG ENERGY INC 213,641 
NUCOR CORP 100,604 
NUVALENT INC 115,072 
NVIDIA CORP 19,400,876 
NXP SEMICONDUCTORS NV 1,505,873 
OCEANFIRST FINANCIAL CORP 168,511 
OGE ENERGY CORP 211,448 
OKTA INC 2,764,934 
OLD NATIONAL BANCORP/IN 267,731 
OMNICELL INC 460,292 
ON SEMICONDUCTOR CORP 908,803 
ONEMAIN HOLDINGS INC 790,499 
O'REILLY AUTOMOTIVE INC 2,079,893 
ORGANON & CO 1,870,595 
OSHKOSH CORP 197,365 
OSI SYSTEMS INC 281,282 
OVINTIV INC 368,550 
OWENS CORNING 98,615 
OXFORD INDUSTRIES INC 113,758 
PACIFIC BIOSCIENCES OF CALIFOR 535,784 
PACKAGING CORP OF AMERICA 119,319 
PALO ALTO NETWORKS INC 1,449,493 
PARKER-HANNIFIN CORP 183,813 
PARSONS CORP 1,169,361 
PATTERSON-UTI ENERGY INC 156,932 
PAYCHEX INC 1,197,899 
PAYPAL HOLDINGS INC 2,433,755 
PEAPACK-GLADSTONE FINANCIAL CO 166,243 
PEDIATRIX MEDICAL GROUP INC 191,565 
PENNYMAC FINANCIAL SERVICES IN 390,583 
PERFORMANCE FOOD GROUP CO 169,100 
PERRIGO CO PLC 1,559,183 
PFIZER INC 471,279 
PG&E CORP 211,769 
PHILIP MORRIS INTERNATIONAL IN 520,875 
PHOTRONICS INC 220,427 
PINNACLE FINANCIAL PARTNERS IN 991,304 
PINNACLE WEST CAPITAL CORP 204,380 
POOL CORP 250,591 
PORTLAND GENERAL ELECTRIC CO 294,435 
POST HOLDINGS INC 468,714 
PPL CORP 210,795 
PREFERRED BANK/LOS ANGELES CA 264,150 
PRESTIGE CONSUMER HEALTHCARE I 233,567 
PRIMO BRANDS CORP 260,653 
PROFICIENT AUTO LOGISTICS INC 49,614 
PROG HOLDINGS INC 98,635 
PROGRESSIVE CORP/THE 2,244,187 
PROSPERITY BANCSHARES INC 696,460 
PRUDENTIAL FINANCIAL INC 593,835 
PUBLIC SERVICE ENTERPRISE GROU 1,247,917 
PVH CORP 2,445,998 
QCR HOLDINGS INC 134,749 
QORVO INC 198,531 
QUANEX BUILDING PRODUCTS CORP 192,635 
QUEST DIAGNOSTICS INC 465,403 
QUIDELORTHO CORP 804,261 
RAMACO RESOURCES INC 205,440 
RB GLOBAL INC 2,006,992 
REGIONS FINANCIAL CORP 628,055 
RELIANCE INC 103,127 
REMITLY GLOBAL INC 900,633 
RENAISSANCERE HOLDINGS LTD 394,364 
REPUBLIC SERVICES INC 421,070 
RESIDEO TECHNOLOGIES INC 187,650 
RHYTHM PHARMACEUTICALS INC 141,070 
ROYAL CARIBBEAN CRUISES LTD 839,020 
RYAN SPECIALTY HOLDINGS INC 1,581,416 
RYDER SYSTEM INC 196,546 
SABRA HEALTH CARE REIT INC 208,758 
SALESFORCE INC 3,562,620 
SALLY BEAUTY HOLDINGS INC 363,305 
SANDY SPRING BANCORP INC 136,627 
SANMINA CORP 228,750 
SBA COMMUNICATIONS CORP 827,428 
SCIENCE APPLICATIONS INTERNATI 201,763 
SCOTTS MIRACLE-GRO CO/THE 94,734 
SEALED AIR CORP 249,361 
SELECT WATER SOLUTIONS INC 146,765 
SENSATA TECHNOLOGIES HOLDING P 1,309,090 
SERVICENOW INC 3,572,604 
SERVISFIRST BANCSHARES INC 70,588 
SHARKNINJA INC 351,956 
SHELL PLC ADR331,669 
SHIFT4 PAYMENTS INC 496,276 
SIGNET JEWELERS LTD 225,584 
SIMPLY GOOD FOODS CO/THE 357,564 
SIMPSON MANUFACTURING CO INC 1,419,505 
SITEONE LANDSCAPE SUPPLY INC 2,054,031 
SIX FLAGS ENTERTAINMENT CORP 376,316 
SKECHERS USA INC 513,176 
SLM CORP 913,201 
SM ENERGY CO 485,353 
SMARTSHEET INC 1,505,246 
SNAP-ON INC 189,430 
SNOWFLAKE INC 1,709,010 
SONOCO PRODUCTS CO 114,456 
SOTERA HEALTH CO 469,881 
SOUTHSTATE CORP 688,203 
SOUTHWEST AIRLINES CO 2,207,489 
SPIRE INC 170,118 
SPORTRADAR GROUP AG 362,718 
SPRINGWORKS THERAPEUTICS INC 370,152 
SPROUT SOCIAL INC 435,007 
SS&C TECHNOLOGIES HOLDINGS INC 269,853 
STAG INDUSTRIAL INC 966,001 
STANDARDAERO INC 146,951 
STATE STREET CORP 679,100 
STEEL DYNAMICS INC 107,796 
STERIS PLC 1,316,612 
STERLING INFRASTRUCTURE INC 211,573 
STEVANATO GROUP SPA 2,222,275 
STEVEN MADDEN LTD 137,892 
SYNCHRONY FINANCIAL 630,890 
SYNOVUS FINANCIAL CORP 645,139 
TALEN ENERGY CORP 215,676 
TANDEM DIABETES CARE INC 793,016 
TAYLOR MORRISON HOME CORP 1,049,078 
TD SYNNEX CORP 400,746 
TECHNIPFMC PLC 245,816 
TEGNA INC 287,062 
TELEDYNE TECHNOLOGIES INC 455,312 
TELEFLEX INC 527,177 
TENABLE HOLDINGS INC 607,673 
TENET HEALTHCARE CORP 435,241 
TESLA INC 6,816,819 
TEVA PHARMACEUTICAL INDUSTRIES ADR2,385,389 
TEXTRON INC 175,086 
TIMKEN CO/THE 171,074 
TJX COS INC/THE 1,801,398 
TKO GROUP HOLDINGS INC 229,792 
T-MOBILE US INC 205,500 
TOPBUILD CORP 1,430,607 
TORO CO/THE 751,658 
TOTALENERGIES SE ADR309,342 
TRADE DESK INC/THE 2,823,071 
TRANSMEDICS GROUP INC 129,875 
TRIMBLE INC 1,668,424 
TRINET GROUP INC 813,027 
TTM TECHNOLOGIES INC 182,828 
TWILIO INC 381,522 
UBER TECHNOLOGIES INC 2,538,628 
UFP INDUSTRIES INC 97,893 
UGI CORP 217,936 
ULTRA CLEAN HOLDINGS INC 229,109 
UMB FINANCIAL CORP 499,180 
UNITED PARCEL SERVICE INC 203,399 
UNITED RENTALS INC 175,406 
UNITED THERAPEUTICS CORP 490,800 
UNIVERSAL HEALTH SERVICES INC 796,087 
UNUM GROUP 728,328 
US FOODS HOLDING CORP 1,049,813 
VALMONT INDUSTRIES INC 489,139 
VERACYTE INC 956,617 
VERINT SYSTEMS INC 155,587 
VERITEX HOLDINGS INC 128,684 
VERIZON COMMUNICATIONS INC 201,870 
VERTEX PHARMACEUTICALS INC 3,008,169 
VERTIV HOLDINGS CO 1,576,680 
VESTIS CORP 300,228 
VIPER ENERGY INC 1,482,797 
VISA INC 5,560,724 
VISTRA CORP 1,733,164 
VONTIER CORP 192,890 
VOYA FINANCIAL INC 401,485 
WALMART INC 3,959,047 
WALT DISNEY CO/THE 5,934,287 
WARNER MUSIC GROUP CORP 1,443,329 
WAYSTAR HOLDING CORP 1,077,402 
WEATHERFORD INTERNATIONAL PLC 259,945 
WELLS FARGO & CO 3,435,860 
WESTERN ALLIANCE BANCORP 479,018 
WESTERN UNION CO/THE 474,912 
WESTINGHOUSE AIR BRAKE TECHNOL 1,197,261 
WESTLAKE CORP 99,058 
WHITE MOUNTAINS INSURANCE GROU 186,726 
WILLIS TOWERS WATSON PLC 1,375,124 
WILLSCOT HOLDINGS CORP 1,199,751 
WINTRUST FINANCIAL CORP 464,794 
WISDOMTREE INC 449,568 
WIX.COM LTD 1,800,504 
WORLD KINECT CORP 252,734 
WORTHINGTON ENTERPRISES INC 89,806 
WORTHINGTON STEEL INC 66,345 
WSFS FINANCIAL CORP 182,820 
WYNDHAM HOTELS & RESORTS INC 2,934,602 
XCEL ENERGY INC 213,161 
YETI HOLDINGS INC 112,411 
ZIFF DAVIS INC 1,746,379 
ZIMMER BIOMET HOLDINGS INC 2,595,857 
ZIONS BANCORP NA 928,272 
ZIPRECRUITER INC 344,050 
TOTAL CORPORATE STOCKS$554,966,516 
REGISTERED INVESTMENT COMPANIES
DODGE & COX INTL STCK-X $22,131,794 
TOTAL REGISTERED INVESTMENT COMPANIES$22,131,794 
SELF DIRECTED BROKERAGE ACCOUNT
*
RETAIL MUTUAL FUNDS, EXCHANGE TRADED FUNDS, EQUITIES (OTHER THAN AEP STOCK) AND PREFERRED STOCK TRADED ON A NATIONAL SECURITIES EXCHANGE, AND FIXED INCOME SECURITIES (OTHER THAN THOSE ISSUED BY AN AFFILIATE OF THE COMPANY).
$120,451,987 
TOTAL SELF-DIRECTED BROKERAGE ACCOUNT
$120,451,987 
TOTAL ASSETS AT FAIR VALUE$4,719,489,317 
*
PARTICIPANT LOANS (Interest rates ranging from 4.25% to 10.5%, maturing through May 2048)
$67,017,058 
TOTAL NET ASSETS$4,786,506,375 
*Party-in-interest to the Plan
Note: (d) Historical Cost is not required as all investments are participant-directed.