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Overall Morningstar Rating TM
Barron’s Best Fund Families 2024

Barron’s Best Fund Families: Ranked #4 for best fund family over the 1-year period ended 12/31/2024, among 48 qualifying fund families based on asset- weighted returns.

Objective

Seeks total return by investing in a diversified portfolio of investment-grade fixed income securities, including U.S. government securities, mortgage-related securities, and corporate debt. 

Growth of $10,000

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost. This chart represents historical performance and does not assume the effects of sales charges or varying fees and expenses of other share classes. If shown with sales charges or these other fees and expenses, performance could have been lower. It is not possible to invest directly in an index. Click here to view benchmark index definitions.

FUND INFORMATION
Style: Core Bond
Total Net Assets: $2.314 Billion
Dividends (Paid): Monthly
Dividends (Accrued): Daily
Capital Gains: Annually
Fund Statistics
AS OF 09/30/2025
Name
Weight
Average Maturity (years) 6.60
Duration (years) 5.90
Standard Deviation (3 year)

Morningstar Rating

AS OF 09/30/2025
Class A Shares
Overall (Out of 430 Funds)
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3-Year (Out of 430 Funds)
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5-Year (Out of 382 Funds)
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10-Year (Out of 288 Funds)
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Class C Shares
Overall (Out of 430 Funds)
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3-Year (Out of 430 Funds)
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5-Year (Out of 382 Funds)
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10-Year (Out of 288 Funds)
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Class R Shares
Overall (Out of 430 Funds)
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3-Year (Out of 430 Funds)
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5-Year (Out of 382 Funds)
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10-Year (Out of 288 Funds)
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Class R6 Shares
Overall (Out of 430 Funds)
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3-Year (Out of 430 Funds)
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5-Year (Out of 382 Funds)
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10-Year (Out of 288 Funds)
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Class Z Shares
Overall (Out of 430 Funds)
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3-Year (Out of 430 Funds)
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5-Year (Out of 382 Funds)
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10-Year (Out of 288 Funds)
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Source: Morningstar. Morningstar Ratings may be calculated based on share class adjusted historical returns. If so, the fund’s independent Morningstar Rating metric uses the fund’s oldest class to determine its hypothetical rating for certain periods. Morningstar Ratings are calculated for managed products with a 3-year minimum history. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. Rating is calculated based on a Morningstar Risk-Adjusted Return measure accounting for variation in a managed product's monthly excess performance that emphasizes downward variations more and rewards consistent performance, with no sales load adjustment. In each category, the top 10% receive 5 stars, with 4 stars for the next 22.5%, 3 stars for the next 35%, 2 stars for the next 22.5%, and 1 star for the bottom 10%. Overall Morningstar Rating is derived from a weighted average of the performance associated with its 3-, 5-, and 10-year (if applicable) Morningstar Rating metrics: for 36-59 months of total returns, 100% 3-year rating, for 60-119 months of total returns, 60% 5-year rating/40% 3-year rating, and for 120 or more months of total returns, 50% 10-year rating/30% 5-year rating/20% 3-year rating.

Barron's Information: PGIM Investments ranked 4 out of 48, 8 out of 47, 12 out of 46 firms for the 1-, 5-, and 10-year periods ended 12/31/2024, respectively.

PGIM Core Bond Fund (Class Z) Lipper total return ranking for the 1-, 3-, 5-, and 10-year periods as of 12/31/2024 for the Core Bond Funds category were: 148/525, 155/487, 202/449, and 141/338, respectively. Lipper Funds category rankings are based on total return, do not take sales charges into account, and are calculated against all funds in each fund’s respective Lipper category.

Class Z Lipper total return ranking for the 1-, 3-, 5-, and 10-year periods as of 6/30/2025: 167/514, 144/493, 191/439, and 122/352, respectively. Past Performance is no guarantee of future results.

*Used with permission. © 2025 Dow Jones & Company, Inc. Source: Barron’s, Feb. 27, 2025. Barron’s rankings are based on asset-weighted returns in funds in five categories: U.S. Equity; World Equity; Mixed Asset; Taxable Bond; and Tax-Exempt (each a “Barron’s ranking category”). Rankings also take into account an individual fund’s performance within its Lipper peer universe. Lipper calculated each fund’s net total return for the year ended Dec. 31, 2024, minus the effects of 12b-1 fees and sales charges. Each fund in the survey was given a percentile ranking, with 100 the highest and 1 the lowest in its category. That ranking measured how a fund compared with its peer “universe,” as tracked by Lipper, not just the funds in the survey. Individual fund scores were then multiplied by the 2024 weighting of their Barron’s ranking category as determined by the entire Lipper universe of funds. Those fund scores were then totaled, creating an overall score and ranking for each fund family in the survey in each Barron’s ranking category. To qualify for the ranking, firms must offer at least three active mutual funds or actively run ETFs in Lipper’s general U.S. Stock category; one in World Equity; and one Mixed Asset. They also need to offer at least two taxable bond funds and one national tax-exempt bond fund. All funds must have a track record of at least one year.

Risks of investing in the fund include but are not limited to the following: Fixed Income investments are subject to credit, market, prepayment and interest rate risks, and their value will decline as interest rates rise. Mortgage-backed and asset-backed securities tend to increase in value less than other debt securities when interest rates decline, but are subject to a similar risk of decline in market value during periods of rising interest rates. Foreign securities are subject to currency fluctuations and political uncertainty. Derivatives may carry market, credit and liquidity risks. There is no guarantee the Fund's objective will be achieved. Risks are more fully explained in the fund's prospectus.

Total Returns (%)

as of
RETURNS:
SALES CHARGE:
TOTAL RETURNS (%) WITH SALES CHARGE WITHOUT SALES CHARGE
Cumulative Average Annual
Class Ticker YTD 1-Yr 3-Yr 5-Yr 10-Yr Since Inception

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

Due to the Fund's repositioning, performance prior to 2/17/2015 is not attributable to the Fund's current investment strategies.

See Daily Returns for the PGIM Core Bond Fund.
See Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Core Bond Fund.

See Daily Returns for the PGIM Core Bond Fund.
See Quarterly SEC Standardized Performance of other PGIM Investments Mutual Funds.
See Calendar Year Performance for the PGIM Core Bond Fund.

 

Fund Expenses
Maximum Sales Charge (%)
Class
Gross (%)
Net (%)
Date*
A 0.68 0.66 11/30/2026 3.25
C 1.74 1.46 11/30/2026 1.00
R 30.45 0.96 11/30/2026
R6 0.36 0.33 11/30/2026
Z 0.46 0.34 11/30/2026

*This date represents the contractual reduction date through which the net expense ratio is in effect.

Total return describes the return to the investor after net operating expenses but before any sales charges are imposed. Morningstar Category Average is unmanaged, is based on the average return of all funds in this category, and does not take into consideration applicable sales charges. Unless noted otherwise, Morningstar Category Average and index returns reflect performance beginning the closest month-end date to the Fund's inception. Benchmark since inception average is based on Class Z inception date. SEC standardized return describes the return to the investor after net operating expense and maximum sales charges are imposed. All returns assume share price changes as well as the compounding effect of reinvested dividends and capital gains. Returns may reflect fee waivers and/or expense reimbursements. Without such, returns would be lower. All returns 1-year or less are cumulative.

Morningstar Intermediate Core Plus Category Average: Intermediate-term core-plus bond portfolios invest primarily in investment-grade U.S. fixed-income issues including government, corporate, and securitized debt, but generally have greater flexibility than core offerings to hold non-core sectors such as corporate high yield, bank loan, emerging-markets debt, and non-U.S. currency exposures. Their durations (a measure of interest-rate sensitivity) typically range between 75% and 125% of the three-year average of the effective duration of the Morningstar Core Bond Index.

Morningstar Core Bond Index: The index measures the performance of fixed-rate, investment-grade USD-denominated securities with maturities greater than one year. It is market-capitalization weighted.

Bloomberg U.S. Aggregate Bond Index covers the USD-denominated, investment-grade, fixed-rate or step up, taxable bond market of SEC-registered securities and includes bonds from Treasury, Government- Related, Corporate, MBS (agency fixed-rate & hybrid ARM passthroughs), ABS, & CMBS sectors. Securities included in the index must have at least 1 year until final maturity & be rated investment-grade (Baa3/ BBB-/BBB-) or better using middle rating of Moody’s, S&P, & Fitch.

An investment cannot be made directly in an index or average. All indexes and averages are unmanaged.

Prices

AS OF 10/16/2025
Class
NAV ($)
NAV Change ($)
NAV Change (%)
POP ($)
Total Net Assets ($)
A 8.90 0.03 0.34 9.20 177,454,969.04
C 8.91 0.03 0.34 5,372,516.55
R 8.90 0.03 0.34 23,923.15
R6 8.91 0.03 0.34 1,164,788,400.80
Z 8.90 0.03 0.34 1,022,075,572.65

NAV (Net Asset Value) is the $U.S. value of a single share of a fund, excluding any sales charges. Change shows the change in $U.S. value over the previous day:Gain= Gain, Loss= Loss,  No Change = No Change.

See Prices of other PGIM Investments Mutual Funds.

52 Week High/Low

AS OF 10/16/2025
Class
52 Week High ($)
52 Week High Date
52 Week Low ($)
52 Week Low Date
A 8.90 10/16/2025 8.47 01/13/2025
C 8.91 10/16/2025 8.48 01/14/2025
R 8.90 10/16/2025 8.47 01/13/2025
R6 8.91 10/16/2025 8.48 01/14/2025
Z 8.90 10/16/2025 8.48 01/14/2025

For share classes less than one year old, the 52-week high and 52-week low NAVs are calculated from inception to the current date.

Yields

AS OF 09/30/2025
Class SEC 30-Day Subsidized Yield (%) SEC 30-Day Unsubsidized Yield (%) Offer Distb. Yield (%) NAV Distb. Yield (%) SEC-30 Day Sub Taxable Equivalent Yield (%)
A - View Prospectus 3.95 3.93 4.01 4.15
C - View Prospectus 3.28 2.99 3.34
R - View Prospectus 3.77 -21.84 3.84
R6 - View Prospectus 4.41 4.39 4.47
Z - View Prospectus 4.41 4.34 4.46

See Yields of other PGIM Investments Mutual Funds.

Past performance does not guarantee future results and current performance may be lower or higher than the past performance data quoted. The investment return and principal value will fluctuate, and shares, when sold, may be worth more or less than the original cost.

This material must be preceded or accompanied by a current prospectus or summary prospectus. Consider a fund's investment objectives, risks, charges, and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Portfolio Attributes

AS OF 09/30/2025
Sector vs Benchmark
Sector
Fund (% of Assets)
Overweight Underweight
U.S. Govt Related 33.4% -37.2%
Treas 5.2% —%
Agency 0.2% —%
MBS 28.0% —%
Foreign Govt Related 0.4% -1.7%
U.S Municipals 1.1% 0.3%
Emerging Markets 2.7% 1.3%
High Yield 2.1% 2.1%
Non Agency MBS 2.5% 2.5%
Inv Grade Corp 26.3% 2.8%
Commercial MBS 8.8% 7.3%
ABS 21.6% 21.3%
Cash/Equiv 1.1% —%
Credit Quality (% of Assets)
AAA 30.4%
AA 36.4%
A 10.7%
BBB 14.2%
BB 1.7%
B 0.4%
Not Rated 5.2%
Cash/Equiv 1.1%
Largest Issuers (% of Assets)
Largest Issuers
% of Assets
Federal National Mortgage Association 12.1%
United States Of America 11.7%
Federal Home Loan Mortgage 9.6%
PGIM AAA CLO ETF 5.0%
Bank of America 1.3%
TIKEHAU CLO 1.2%
CIFC CLO 1.1%
ELMWOOD CLO 1.1%
JPMorgan Chase 1.1%
Citigroup 1.0%
FUND STATISTICS
AS OF 09/30/2025
Average Maturity (years) 6.6
Duration (years) 5.9
Standard Deviation (3 year)

All data is unaudited and subject to change. Holdings/allocations may vary. This is not a recommendation to buy or sell any security listed. Total number of holdings based on issuers. Largest holdings exclude cash, cash equivalents, money market funds and enhanced cash strategies. Negative holdings reflect outstanding trades at period end.

Fund Holdings

AS OF 09/30/2025

Holdings are unaudited, may vary and are subject to change. Please refer to the Fund's annual report for audited holdings information. This is not a recommendation to buy or sell any security listed.

Source: Bank of New York Mellon. Holdings are provided to Prudential Financial by the custodian bank and Prudential Financial is not responsible for any errors or omissions related to the holdings data.

© 2025, American Bankers Association. CUSIP Database provided by FactSet Research Systems Inc. All rights reserved.

Consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Investment products are distributed by Prudential Investment Management Services LLC, member FINRA and SIPC. PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Fixed Income is a unit of PGIM, a registered investment advisor. PGIM Limited acts as a subadvisor to all fixed income funds. PGIM Limited is an indirect, wholly owned subsidiary of PGIM, Inc. (PGIM), the principal asset management business of Prudential Financial, Inc. (PFI), a company incorporated and with its principal place of business in the United States. All are Prudential Financial affiliates. © 2025 Prudential Financial, Inc. and its related entities. PGIM, PGIM Investments, PGIM Fixed Income, PGIM Limited, and the PGIM logo are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.

This material is being provided for informational or educational purposes only and does not take into account the investment objectives or financial situation of any client or prospective clients. The information is not intended as investment advice and is not a recommendation. Clients seeking information regarding their particular investment needs should contact their financial professional.

INVESTMENT PRODUCTS | Are not insured by the FDIC or any federal government agency | May lose value | Are not a deposit of or guaranteed by any bank or any bank affiliate. 

Prudential Financial, Inc. of the United States is not affiliated in any manner with Prudential plc, incorporated in the United Kingdom or with Prudential Assurance Company, a subsidiary of M&G plc, incorporated in the United Kingdom.

4072323 Ed. 12/2024

Security ID# (CUSIP/SEDOL)
Security Description
Ticker Symbol
Coupon Rate
Maturity Date
Shares/Notional
Value ($)
% of Portfolio
69344A834 PGIM Aaa Clo Etf PAAA 2,242,990.00 115,513,985.00 4.93
74440W862 (pipa070) Pgim Core Government Money Mar 4.23 12/01/2099 49,696,672.00 49,696,672.00 2.12
912810TW8 United States Treasury Note/bond T 4.75 11/15/2043 35,085,000.00 35,457,778.00 1.51
912810TS7 United States Treasury Note/bond T 3.88 05/15/2043 23,285,000.00 21,091,116.00 0.90
31418ER85 Fannie Mae Pool FN 5.5 05/01/2053 16,521,401.00 16,726,251.00 0.71
912834KH0 United States Treasury Strip Coupon S 05/15/2041 34,830,000.00 16,556,736.00 0.71
3132DWMX8 Freddie Mac Pool FR 5.0 11/01/2054 16,106,896.00 15,981,826.00 0.68
17180WAJ4 CIFC Funding 2018-ii Ltd CIFC 5.7 10/20/2037 14,750,000.00 14,790,711.00 0.63
29001LAW1 Elmwood Clo Ii Ltd ELMW2 5.68 10/20/2037 14,750,000.00 14,806,597.00 0.63
31418ED80 Fannie Mae Pool FN 4.0 06/01/2052 15,568,882.00 14,747,380.00 0.63
37148EAN4 Generate Clo 8 Ltd GNRT 5.71 01/20/2038 14,750,000.00 14,795,499.00 0.63
3132DWGH0 Freddie Mac Pool FR 5.5 02/01/2053 13,999,575.00 14,164,053.00 0.60
31418EP20 Fannie Mae Pool FN 5.0 03/01/2053 13,569,021.00 13,516,942.00 0.58
31418DYX4 Fannie Mae Pool FN 2.0 05/01/2051 16,046,502.00 13,033,234.00 0.56
973142AQ5 THL Credit Wind River 2020-1 Clo Ltd WINDR 5.9 07/20/2037 12,000,000.00 12,048,039.00 0.51
67578CAL8 Octagon 70 Alto Ltd OCT70 10/20/2036 11,750,000.00 11,750,000.00 0.50
06051GJT7 BANK Of America Corp BAC 2.69 04/22/2032 12,960,000.00 11,805,102.00 0.50
3137HLZC9 Freddie Mac Remics FHR 4.31 06/25/2055 11,212,572.00 11,401,952.00 0.49
55820CAW5 Madison Park Funding Xxix Ltd MDPK 5.51 03/25/2038 11,230,000.00 11,246,234.00 0.48
34536BAA5 FORD Credit Auto Owner Trust 2025-rev2 FORDR 4.37 02/15/2038 11,182,000.00 11,245,612.00 0.48
289910AA9 Elmwood Clo 39 Ltd ELM39 5.42 04/17/2038 11,000,000.00 11,003,300.00 0.47
03990HAA6 ARES Loan Funding Ix Ltd ARES 5.46 03/31/2038 10,500,000.00 10,510,817.00 0.45
88676NAQ0 Tikehau Us Clo Iii Ltd TKO 6.2 01/20/2036 10,500,000.00 10,528,544.00 0.45
88677FAA1 Tikehau Us Clo Vii Ltd TKO 5.49 02/25/2038 10,500,000.00 10,512,045.00 0.45
912810TV0 United States Treasury Note/bond T 4.75 11/15/2053 10,325,000.00 10,342,746.00 0.44
912810SS8 United States Treasury Note/bond T 1.63 11/15/2050 19,325,000.00 10,369,070.00 0.44
3136BWRC2 Fannie Mae Remics FNR 4.31 07/25/2055 10,211,597.00 10,384,079.00 0.44
03330NAU8 Anchorage Capital Clo 11 Ltd ANCHC 5.86 07/22/2037 10,000,000.00 10,064,772.00 0.43
28623MAS8 Elevation Clo 2021-12 Ltd AWPT 5.95 04/20/2037 10,000,000.00 10,033,490.00 0.43
881936AA6 Texas Debt Capital Clo 2025-i Ltd TCIFC 5.4 04/24/2038 10,000,000.00 10,012,970.00 0.43
94949GAN1 Wellfleet Clo 2020-1 Ltd WELF 5.52 04/15/2033 9,730,990.00 9,730,989.00 0.42
31418EDE7 Fannie Mae Pool FN 3.5 05/01/2052 10,452,912.00 9,567,117.00 0.41
36180ACA9 Ginnie Mae Ii Pool G2 5.5 10/20/2054 9,534,104.00 9,613,749.00 0.41
05610QAC7 BMO 2023-5c2 Mortgage Trust BMO 7.3 11/15/2056 9,000,000.00 9,653,453.00 0.41
68270DAA9 Onemain Financial Issuance Trust 2025-1 OMFIT 4.82 07/14/2038 9,100,000.00 9,190,236.00 0.39
08164AAG7 Benchmark 2025-v13 Mortgage Trust BMARK 5.82 02/01/2057 8,500,000.00 8,932,409.00 0.38
3132DWE58 Freddie Mac Pool FR 4.0 10/01/2052 9,459,129.00 8,935,575.00 0.38
3132DV7B5 Freddie Mac Pool FR 2.0 09/01/2050 10,974,052.00 8,937,292.00 0.38
31418DTQ5 Fannie Mae Pool FN 2.0 10/01/2050 10,821,121.00 8,808,260.00 0.38
3132DWER0 Freddie Mac Pool FR 4.0 09/01/2052 9,158,944.00 8,663,311.00 0.37
12509VAG7 CBAM 2020-12 Ltd CBAM 5.77 07/20/2034 8,500,000.00 8,514,160.00 0.36
682684AA3 Onemain Direct Auto Receivables Trust 20 ODART 5.36 04/16/2035 8,200,000.00 8,463,386.00 0.36
77586RAY6 Romanian Government International Bond ROMANI 5.75 09/16/2030 7,960,000.00 8,109,250.00 0.35
06542BBC0 BANK 2021-bnk32 BANK 2.35 04/01/2054 9,000,000.00 8,212,947.00 0.35
3132DWDJ9 Freddie Mac Pool FR 2.5 04/01/2052 9,716,839.00 8,226,559.00 0.35
3132DWK93 Freddie Mac Pool FR 5.5 04/01/2054 8,026,912.00 8,096,068.00 0.35
3132DWBJ1 Freddie Mac Pool FR 2.5 04/01/2051 9,574,541.00 8,136,361.00 0.35
03881VAG4 Arbor Multifamily Mortgage Securities Tr AMMST 2.25 06/01/2054 8,900,000.00 7,943,276.00 0.34
17327CAM5 Citigroup Inc C 1.12 01/28/2027 8,090,000.00 8,006,598.00 0.34
3618N5C64 Ginnie Mae Ii Pool G2 5.5 12/01/2054 8,005,135.00 8,075,618.00 0.34
31418ENL0 Fannie Mae Pool FN 6.0 01/01/2053 7,862,739.00 8,056,501.00 0.34
34528QJK1 FORD Credit Floorplan Master Owner Trust FORDF 4.3 09/15/2029 7,700,000.00 7,734,328.00 0.33
36179XHY5 Ginnie Mae Ii Pool G2 4.5 10/20/2052 7,954,468.00 7,770,588.00 0.33
01F0426B4 Fannie Mae Or Freddie Mac FNCL 4.5 11/01/2055 8,000,000.00 7,756,050.00 0.33
3132DWHE6 Freddie Mac Pool FR 5.0 06/01/2053 7,780,174.00 7,749,815.00 0.33
055986AC7 BMO 2023-5c1 Mortgage Trust BMO 6.53 08/01/2056 7,200,000.00 7,561,095.00 0.32
87240NBG0 TCW Clo 2017-1 Ltd TCW 5.46 10/29/2034 7,500,000.00 7,509,444.00 0.32
081925AB5 Benchmark 2023-b39 Mortgage Trust BMARK 6.79 07/01/2056 7,000,000.00 7,281,129.00 0.31
00193GAB7 ARI Fleet Lease Trust 2025-b ARIFL 4.59 03/15/2034 7,200,000.00 7,244,527.00 0.31
912834LX4 United States Treasury Strip Coupon S 11/15/2042 16,900,000.00 7,349,822.00 0.31
92343VGN8 Verizon Communications Inc VZ 2.36 03/15/2032 8,190,000.00 7,182,597.00 0.31
172967PU9 Citigroup Inc C 6.02 01/24/2036 6,708,000.00 7,033,968.00 0.30
14317YAN4 Carlyle Us Clo 2021-5 Ltd CGMS 5.6 03/31/2038 7,000,000.00 7,023,087.00 0.30
379925AA8 GM Financial Revolving Receivables Trust GMREV 4.52 03/11/2037 7,000,000.00 7,087,341.00 0.30
31418EHK9 Fannie Mae Pool FN 4.5 09/01/2052 7,096,646.00 6,916,115.00 0.30
05377RGC2 AVIS Budget Rental Car Funding Aesop Llc AESOP 5.25 04/20/2029 6,600,000.00 6,750,197.00 0.29
097023DG7 Boeing Co/the BA 2.2 02/04/2026 6,505,000.00 6,456,382.00 0.28
25278XAV1 Diamondback Energy Inc FANG 6.25 03/15/2033 6,065,000.00 6,532,218.00 0.28
46647PBE5 Jpmorgan Chase & Co JPM 2.74 10/15/2030 7,000,000.00 6,611,063.00 0.28
86562MDZ0 Sumitomo Mitsui Financial Group Inc SUMIBK 4.95 07/08/2033 6,400,000.00 6,461,083.00 0.28
75888ABE5 Regatta Vii Funding Ltd REGT7 5.41 06/20/2034 6,500,000.00 6,510,079.00 0.28
80288DAE6 Santander Drive Auto Receivables Trust 2 SDART 5.04 03/17/2031 6,500,000.00 6,599,411.00 0.28
571748CA8 Marsh & Mclennan Cos Inc MMC 4.65 03/15/2030 6,335,000.00 6,444,998.00 0.28
65163LAR0 Newmont Corp / Newcrest Finance Pty Ltd NEM 5.35 03/15/2034 6,205,000.00 6,473,213.00 0.28
38141GA87 Goldman Sachs Group Inc/the GS 5.73 04/25/2030 6,135,000.00 6,418,167.00 0.27
36179W5D6 Ginnie Mae Ii Pool G2 3.5 05/01/2052 6,843,554.00 6,295,329.00 0.27
31418EGT1 Fannie Mae Pool FN 5.0 07/01/2052 6,301,650.00 6,280,634.00 0.27
06541JAF8 BANK 2021-bnk34 BANK 2.16 06/01/2063 7,000,000.00 6,233,526.00 0.27
00834BAF4 Affirm Asset Securitization Trust 2024-a AFFRM 5.61 02/15/2029 6,300,000.00 6,328,740.00 0.27
303901BN1 Fairfax Financial Holdings Ltd FFHCN 6.0 12/07/2033 5,900,000.00 6,264,118.00 0.27
3128MJZB9 Freddie Mac Gold Pool FG 3.0 12/01/2046 6,779,938.00 6,134,547.00 0.26
3140XJHV8 Fannie Mae Pool FN 2.0 02/01/2051 7,364,443.00 5,975,192.00 0.26
00206RKH4 AT&T Inc T 2.25 02/01/2032 6,860,000.00 6,004,462.00 0.26
03837AAA8 Aptiv Swiss Holdings Ltd APTV 4.65 09/13/2029 6,095,000.00 6,151,701.00 0.26
081916AB4 Benchmark 2023-b38 Mortgage Trust BMARK 5.63 04/01/2056 6,000,000.00 6,144,976.00 0.26
83368RCK6 Societe Generale Sa SOCGEN 5.44 10/03/2036 6,020,000.00 6,011,133.00 0.26
34529BAA4 FORD Credit Floorplan Master Owner Trust FORDF 4.63 04/15/2030 5,700,000.00 5,780,376.00 0.25
46647PEV4 Jpmorgan Chase & Co JPM 5.14 01/24/2031 5,605,000.00 5,788,217.00 0.25
46188BAG7 Invitation Homes Operating Partnership L INVH 4.88 02/01/2035 6,035,000.00 5,959,347.00 0.25
06539WBA3 BANK 2020-bnk25 BANK 2.4 01/01/2063 6,200,000.00 5,768,073.00 0.25
31418DVB5 Fannie Mae Pool FN 1.5 12/01/2050 7,245,498.00 5,568,661.00 0.24
29429CAC9 Citigroup Commercial Mortgage Trust 2016 CGCMT 3.06 04/01/2049 5,648,220.00 5,620,656.00 0.24
36179WFG8 Ginnie Mae Ii Pool G2 2.5 05/01/2051 6,546,685.00 5,638,871.00 0.24
35564NFY4 Freddie Mac Stacr Remic Trust 2025-dna1 STACR 5.31 01/25/2045 5,637,875.00 5,641,388.00 0.24
78398JAA2 SCG Trust 2025-snip SCG 5.75 09/15/2030 5,550,000.00 5,553,477.00 0.24
891950AA5 Toyota Auto Loan Extended Note Trust 202 TALNT 4.65 05/25/2038 5,400,000.00 5,503,151.00 0.24
61747YED3 Morgan Stanley MS 2.24 07/21/2032 6,460,000.00 5,703,960.00 0.24
61772BAB9 Morgan Stanley MS 1.59 05/04/2027 5,600,000.00 5,511,620.00 0.24
96328GCK1 Wheels Fleet Lease Funding 1 Llc WFLF 4.41 05/18/2040 5,600,000.00 5,631,403.00 0.24
95003CAC4 Wells Fargo Commercial Mortgage Trust 20 WFCM 1.96 04/15/2054 5,921,000.00 5,379,827.00 0.23
68269HAA3 Onemain Financial Issuance Trust 2023-2 OMFIT 5.84 09/15/2036 5,300,000.00 5,419,045.00 0.23
858119BK5 Steel Dynamics Inc STLD 3.45 04/15/2030 5,710,000.00 5,498,738.00 0.23
88675CAA0 Tikehau Us Clo Iv Ltd TKO 6.52 07/15/2034 5,500,000.00 5,500,000.00 0.23
31418ED72 Fannie Mae Pool FN 3.5 06/01/2052 5,920,469.00 5,418,769.00 0.23
3132D6J50 Freddie Mac Pool FR 5.0 05/01/2040 5,292,687.00 5,347,911.00 0.23
3132DWDT7 Freddie Mac Pool FR 3.5 05/01/2052 5,529,144.00 5,060,602.00 0.22
06540AAC5 BANK 2019-bnk20 BANK 2.76 09/01/2062 5,504,322.00 5,189,330.00 0.22
05492VAE5 Bbcms Mortgage Trust 2020-c7 BBCMS 1.79 04/15/2053 5,700,000.00 5,062,048.00 0.22
00833BAG3 Affirm Master Trust AFRMT 4.67 07/15/2033 5,100,000.00 5,129,376.00 0.22
233063AQ9 Dbjpm 20-c9 Mortgage Trust DBJPM 1.64 08/01/2053 5,800,000.00 5,246,122.00 0.22
36179VVX5 Ginnie Mae Ii Pool G2 2.0 10/20/2050 6,361,433.00 5,261,286.00 0.22
446413AT3 Huntington Ingalls Industries Inc HII 4.2 05/01/2030 5,328,000.00 5,251,187.00 0.22
455780EA0 Indonesia Government International Bond INDON 5.6 01/15/2035 4,950,000.00 5,243,287.00 0.22
95000U3E1 Wells Fargo & Co WFC 5.57 07/25/2029 5,045,000.00 5,228,150.00 0.22
3618N5A33 Ginnie Mae Ii Pool G2 5.0 11/01/2054 4,974,588.00 4,953,819.00 0.21
31418EMR8 Fannie Mae Pool FN 4.5 01/01/2053 5,083,600.00 4,958,841.00 0.21
345397G49 FORD Motor Credit Co Llc F 5.88 11/07/2029 4,825,000.00 4,908,868.00 0.21
682685AA0 Onemain Direct Auto Receivables Trust 20 ODART 5.41 11/14/2029 4,800,000.00 4,841,245.00 0.21
22945EAT8 Csail 2021-c20 Commercial Mortgage Trust CSAIL 2.49 03/01/2054 5,379,197.00 4,952,285.00 0.21
06540EAE3 BANK 2021-bnk38 BANK 2.28 12/15/2064 5,700,000.00 4,975,215.00 0.21
05526DBD6 BAT Capital Corp BATSLN 4.39 08/15/2037 5,500,000.00 5,023,774.00 0.21
05377REZ3 AVIS Budget Rental Car Funding Aesop Llc AESOP 3.83 08/21/2028 4,800,000.00 4,771,981.00 0.20
08576PAH4 Berry Global Inc AMCR 1.57 01/15/2026 4,740,000.00 4,699,134.00 0.20
049919AA1 ATLX 2024-rpl2 Trust ATLX 3.85 04/25/2063 4,792,464.00 4,619,477.00 0.20
20268JAS2 Commonspirit Health CATMED 5.32 12/01/2034 4,510,000.00 4,590,389.00 0.20
718547AK8 Phillips 66 Co PSX 3.15 12/15/2029 5,000,000.00 4,782,098.00 0.20
87264ABF1 T-mobile Usa Inc TMUS 3.88 04/15/2030 4,780,000.00 4,685,653.00 0.20
912810TF5 United States Treasury Note/bond T 2.38 02/15/2042 6,425,000.00 4,759,519.00 0.20
83012DAQ6 Sixth Street Clo Xvi Ltd SIXST 6.12 01/20/2037 4,750,000.00 4,760,945.00 0.20
31418EXU9 Fannie Mae Pool FN 5.5 11/01/2053 4,548,108.00 4,597,292.00 0.20
31418EDJ6 Fannie Mae Pool FN 3.0 05/01/2037 4,771,330.00 4,570,206.00 0.20
36179UD90 Ginnie Mae Ii Pool G2 4.0 10/01/2048 4,826,374.00 4,617,473.00 0.20
36179UXT4 Ginnie Mae Ii Pool G2 3.5 08/01/2049 5,143,148.00 4,724,838.00 0.20
3618N5JG5 Ginnie Mae Ii Pool G2 7.0 03/01/2055 4,499,804.00 4,625,472.00 0.20
36179YYX6 Ginnie Mae Ii Pool G2 6.0 06/01/2054 4,618,981.00 4,711,492.00 0.20
44891ADM6 Hyundai Capital America HYNMTR 5.3 01/08/2030 4,560,000.00 4,683,068.00 0.20
50540RBB7 Laboratory Corp Of America Holdings LH 4.8 10/01/2034 4,810,000.00 4,768,663.00 0.20
95002XBC8 Wells Fargo Commercial Mortgage Trust 20 WFCM 1.86 08/01/2053 5,300,000.00 4,779,341.00 0.20
92564RAJ4 VICI Properties Lp / Vici Note Co Inc VICI 5.75 02/01/2027 4,680,000.00 4,739,506.00 0.20
95000U3P6 Wells Fargo & Co WFC 5.24 01/24/2031 4,235,000.00 4,381,333.00 0.19
95000U3D3 Wells Fargo & Co WFC 5.39 04/24/2034 4,350,000.00 4,519,746.00 0.19
36179Y5L4 Ginnie Mae Ii Pool G2 5.5 08/20/2054 4,308,189.00 4,348,437.00 0.19
36179VX21 Ginnie Mae Ii Pool G2 3.5 11/01/2050 4,719,838.00 4,343,997.00 0.19
361886DQ4 GMF Floorplan Owner Revolving Trust GFORT 4.73 11/15/2029 4,400,000.00 4,461,966.00 0.19
55336VBQ2 MPLX Lp MPLX 2.65 08/15/2030 4,920,000.00 4,517,310.00 0.19
11135FBK6 Broadcom Inc AVGO 3.42 04/15/2033 4,847,000.00 4,481,205.00 0.19
08161BAX1 Benchmark 2018-b3 Mortgage Trust BMARK 3.76 04/01/2051 4,437,368.00 4,402,275.00 0.19
055451BE7 BHP Billiton Finance Usa Ltd BHP 5.25 09/08/2033 4,245,000.00 4,414,790.00 0.19
05554FAB1 Bbcms Mortgage Trust 2023-c22 BBCMS 6.73 11/01/2056 4,168,533.00 4,408,908.00 0.19
06540JBB7 BANK 2020-bnk26 BANK 2.16 03/01/2063 5,000,000.00 4,551,497.00 0.19
06738ECJ2 Barclays Plc BACR 6.5 09/13/2027 4,370,000.00 4,456,568.00 0.19
3132DWCP6 Freddie Mac Pool FR 2.5 11/01/2051 5,238,330.00 4,439,467.00 0.19
3137FL6V1 Freddie Mac Multifamily Structured Pass FHMS 3.6 01/01/2029 4,500,000.00 4,443,560.00 0.19
3132DWBT9 Freddie Mac Pool FR 2.0 06/01/2051 5,558,648.00 4,514,212.00 0.19
06539XAC8 BANK 2020-bnk27 BANK 1.9 04/01/2063 4,700,000.00 4,181,182.00 0.18
06051GJP5 BANK Of America Corp BAC 2.65 03/11/2032 4,500,000.00 4,101,294.00 0.18
68327LAC0 Ontario Teachers' Cadillac Fairview Prop CFPTCN 4.13 02/01/2029 4,190,000.00 4,161,344.00 0.18
90278PAZ3 UBS Commercial Mortgage Trust 2019-c18 UBSCM 2.78 12/01/2052 4,400,000.00 4,109,085.00 0.18
36179YYZ1 Ginnie Mae Ii Pool G2 7.0 06/01/2054 3,995,596.00 4,113,566.00 0.18
46514Y8A8 Israel Government International Bond ISRAEL 5.38 02/19/2030 4,014,000.00 4,142,448.00 0.18
46647PBW5 Jpmorgan Chase & Co JPM 1.04 02/04/2027 4,160,000.00 4,113,826.00 0.18
34535QAA3 FORD Credit Auto Owner Trust 2023-rev1 FORDR 4.85 08/15/2035 4,200,000.00 4,274,025.00 0.18
31418DYC0 Fannie Mae Pool FN 2.5 04/01/2051 4,697,874.00 3,987,098.00 0.17
48128BAH4 Jpmorgan Chase & Co JPM 7.04 10/01/2173 3,920,000.00 3,935,880.00 0.17
36179WJQ2 Ginnie Mae Ii Pool G2 2.0 07/01/2051 4,831,851.00 3,994,622.00 0.17
65535HBM0 Nomura Holdings Inc NOMURA 6.07 07/12/2028 3,905,000.00 4,086,399.00 0.17
65339KCM0 Nextera Energy Capital Holdings Inc NEE 4.9 02/28/2028 3,870,000.00 3,938,049.00 0.17
065403BB2 BANK 2019-bnk17 BANK 3.46 04/01/2052 4,115,690.00 4,020,100.00 0.17
12674UAA1 Coopr Residential Mortgage Trust 2025-ce COOPR 5.5 06/25/2060 3,987,923.00 4,025,943.00 0.17
3133KN4U4 Freddie Mac Pool FR 2.5 04/01/2052 4,657,959.00 3,954,951.00 0.17
3132DWE74 Freddie Mac Pool FR 5.0 10/01/2052 4,089,470.00 4,075,621.00 0.17
31418DXK3 Fannie Mae Pool FN 2.0 03/01/2051 5,014,313.00 4,074,280.00 0.17
969457CP3 Williams Cos Inc/the WMB 5.6 03/15/2035 3,765,000.00 3,909,838.00 0.17
05377RER1 AVIS Budget Rental Car Funding Aesop Llc AESOP 1.66 02/20/2028 3,800,000.00 3,690,152.00 0.16
6174467Y9 Morgan Stanley MS 4.35 09/08/2026 3,800,000.00 3,806,915.00 0.16
6174468X0 Morgan Stanley MS 1.93 04/28/2032 4,245,000.00 3,703,887.00 0.16
69344A750 PGIM Corporate Bond 0-5 Year Etf PCS 75,000.00 3,789,000.00 0.16
83368RAZ5 Societe Generale Sa SOCGEN 1.49 12/14/2026 3,800,000.00 3,776,585.00 0.16
80288JAE3 Santander Drive Auto Receivables Trust 2 SDART 4.68 09/15/2031 3,800,000.00 3,821,195.00 0.16
74448MAA4 PRPM 2024-rpl4 Llc PRPM 4.0 12/25/2054 3,835,134.00 3,752,657.00 0.16
749410AA4 RCKT Mortgage Trust 2024-ces6 RCKT 5.34 09/01/2044 3,625,397.00 3,637,935.00 0.16
775109DF5 Rogers Communications Inc RCICN 5.3 02/15/2034 3,365,000.00 3,414,636.00 0.15
802919AE0 Santander Drive Auto Receivables Trust 2 SDART 4.95 04/15/2030 3,400,000.00 3,430,624.00 0.15
80413TBJ7 Saudi Government International Bond KSA 5.13 01/13/2028 3,440,000.00 3,510,717.00 0.15
91087BBC3 Mexico Government International Bond MEX 6.88 05/13/2037 3,290,000.00 3,551,555.00 0.15
857524AH5 Republic Of Poland Government Internatio POLAND 5.38 02/12/2035 3,355,000.00 3,476,473.00 0.15
55336VBX7 MPLX Lp MPLX 5.5 06/01/2034 3,340,000.00 3,405,103.00 0.15
36179TLR4 Ginnie Mae Ii Pool G2 3.0 11/01/2047 3,854,845.00 3,484,468.00 0.15
00973RAF0 AKER Bp Asa AKERBP 3.75 01/15/2030 3,695,000.00 3,560,436.00 0.15
05553WAB5 Bbcms Mortgage Trust 2023-c21 BBCMS 6.51 09/01/2056 3,321,229.00 3,489,008.00 0.15
11120VAJ2 Brixmor Operating Partnership Lp BRX 4.05 07/01/2030 3,665,000.00 3,595,083.00 0.15
281907AA3 EFMT 2024-ces1 EFMT 5.52 01/26/2060 3,393,956.00 3,420,811.00 0.15
3132DWE66 Freddie Mac Pool FR 4.5 10/01/2052 3,680,747.00 3,586,732.00 0.15
912810QZ4 United States Treasury Note/bond T 3.13 02/15/2043 4,220,000.00 3,443,256.00 0.15
3132DWDK6 Freddie Mac Pool FR 3.0 04/01/2052 3,608,817.00 3,177,655.00 0.14
3132DWEC3 Freddie Mac Pool FR 4.5 07/01/2052 3,451,379.00 3,360,176.00 0.14
3132D6JQ4 Freddie Mac Pool FR 5.0 03/01/2040 3,200,020.00 3,233,405.00 0.14
22966RAH9 Cubesmart Lp CUBE 2.25 12/15/2028 3,360,000.00 3,164,126.00 0.14
06051GHQ5 BANK Of America Corp BAC 3.97 02/07/2030 3,380,000.00 3,355,066.00 0.14
345397A45 FORD Motor Credit Co Llc F 4.27 01/09/2027 3,200,000.00 3,174,943.00 0.14
36179V4V9 Ginnie Mae Ii Pool G2 2.5 01/01/2051 3,829,416.00 3,299,622.00 0.14
36179XVS2 Ginnie Mae Ii Pool G2 5.0 03/01/2053 3,243,135.00 3,243,950.00 0.14
38141GYG3 Goldman Sachs Group Inc/the GS 1.54 09/10/2027 3,405,000.00 3,320,750.00 0.14
49326EEP4 Keycorp KEY 6.4 03/06/2035 3,120,000.00 3,385,261.00 0.14
38141GYA6 Goldman Sachs Group Inc/the GS 1.43 03/09/2027 3,075,000.00 3,035,301.00 0.13
38869PAP9 Graphic Packaging International Llc GPK 1.51 04/15/2026 3,070,000.00 3,019,360.00 0.13
36179XHX7 Ginnie Mae Ii Pool G2 4.0 10/01/2052 3,169,064.00 3,006,989.00 0.13
36179VVY3 Ginnie Mae Ii Pool G2 2.5 10/01/2050 3,642,867.00 3,146,148.00 0.13
31418DYB2 Fannie Mae Pool FN 2.0 04/01/2051 3,871,231.00 3,134,693.00 0.13
36179UUJ9 Ginnie Mae Ii Pool G2 3.5 06/01/2049 3,374,368.00 3,106,967.00 0.13
682051AC1 OMAN Government International Bond OMAN 4.75 06/15/2026 3,073,000.00 3,073,000.00 0.13
709599BU7 Penske Truck Leasing Co Lp / Ptl Finance PENSKE 5.75 05/24/2026 2,930,000.00 2,951,975.00 0.13
802920AF5 Santander Drive Auto Receivables Trust 2 SDART 4.78 01/15/2031 3,000,000.00 3,017,519.00 0.13
26078JAD2 Dupont De Nemours Inc DD 4.73 11/15/2028 2,990,000.00 3,014,364.00 0.13
224044CN5 COX Communications Inc COXENT 2.6 06/15/2031 3,535,000.00 3,152,774.00 0.13
12513GBG3 CDW Llc / Cdw Finance Corp CDW 2.67 12/01/2026 3,145,000.00 3,084,835.00 0.13
125523CM0 Cigna Group/the CI 2.38 03/15/2031 3,336,000.00 3,001,858.00 0.13
3132DWBY8 Freddie Mac Pool FR 2.0 07/01/2051 3,836,009.00 3,114,832.00 0.13
3132DWBQ5 Freddie Mac Pool FR 2.5 05/01/2051 3,490,730.00 2,962,416.00 0.13
3132DWEK5 Freddie Mac Pool FR 4.5 08/01/2052 3,187,189.00 3,109,566.00 0.13
3140KEK80 Fannie Mae Pool FN 2.5 08/01/2050 3,668,373.00 3,122,641.00 0.13
96926JAC1 William Carter Co/the CRI 5.63 03/15/2027 3,100,000.00 3,101,117.00 0.13
92840VAF9 Vistra Operations Co Llc VST 5.0 07/31/2027 3,000,000.00 2,996,273.00 0.13
928668CG5 Volkswagen Group Of America Finance Llc VW 5.25 03/22/2029 2,840,000.00 2,900,196.00 0.12
98462YAF7 Yamana Gold Inc YRICN 2.63 08/15/2031 3,120,000.00 2,776,114.00 0.12
3140QLD94 Fannie Mae Pool FN 2.5 07/01/2051 3,448,382.00 2,918,663.00 0.12
31418DY71 Fannie Mae Pool FN 2.0 05/01/2041 3,154,306.00 2,745,831.00 0.12
31418DWR9 Fannie Mae Pool FN 2.0 02/01/2051 3,391,522.00 2,753,600.00 0.12
31418DV66 Fannie Mae Pool FN 1.5 01/01/2051 3,546,450.00 2,726,658.00 0.12
3132ACSZ4 Freddie Mac Pool FR 3.5 03/01/2048 2,991,353.00 2,791,814.00 0.12
12529TAW3 Cantor Commercial Real Estate Lending 20 CF 2.75 01/01/2053 2,900,000.00 2,710,202.00 0.12
12529WAN6 CF 2020-p1 Mortgage Trust CF 2.84 04/01/2052 2,773,765.00 2,756,983.00 0.12
12704PAB4 CRH Smw Finance Dac CRHID 5.13 01/09/2030 2,650,000.00 2,724,630.00 0.12
126650DN7 CVS Health Corp CVS 1.75 08/21/2030 3,215,000.00 2,822,143.00 0.12
10569GAA4 Bravo Residential Funding Trust 2023-rpl BRAVO 5.0 05/01/2063 2,769,639.00 2,761,791.00 0.12
17328FAV7 Citigroup Commercial Mortgage Trust 2019 CGCMT 2.62 08/01/2056 3,000,000.00 2,824,911.00 0.12
224044CU9 COX Communications Inc COXENT 5.45 09/01/2034 2,750,000.00 2,738,219.00 0.12
097023DA0 Boeing Co/the BA 2.75 02/01/2026 2,799,000.00 2,781,843.00 0.12
880591FC1 Tennessee Valley Authority TVA 5.25 02/01/2055 2,890,000.00 2,889,722.00 0.12
693475BR5 PNC Financial Services Group Inc/the PNC 5.58 06/12/2029 2,655,000.00 2,750,035.00 0.12
68269MAB0 Onemain Financial Issuance Trust 2021-1 OMFIT 5.13 06/16/2036 2,800,000.00 2,805,042.00 0.12
34535CAA4 FORD Credit Auto Owner Trust 2023-rev2 FORDR 5.28 02/15/2036 2,800,000.00 2,888,999.00 0.12
37045XEH5 General Motors Financial Co Inc GM 5.8 06/23/2028 2,705,000.00 2,802,585.00 0.12
478160CF9 Johnson & Johnson JNJ 3.63 03/03/2037 3,205,000.00 2,908,519.00 0.12
46658JAA4 JP Morgan Mortgage Trust Series 2024-he3 JPMMT 5.59 02/25/2055 2,712,907.00 2,712,893.00 0.12
36269KAA3 GM Financial Revolving Receivables Trust GMREV 4.98 12/11/2036 2,600,000.00 2,668,127.00 0.11
36179Y2P8 Ginnie Mae Ii Pool G2 7.0 07/01/2054 2,427,572.00 2,498,115.00 0.11
31418ECA6 Fannie Mae Pool FN 3.0 03/01/2052 2,926,181.00 2,577,116.00 0.11
682687AB4 Onemain Direct Auto Receivables Trust 20 ODART 1.26 07/14/2028 2,700,000.00 2,680,830.00 0.11
682680BL6 Oneok Inc OKE 6.05 09/01/2033 2,510,000.00 2,661,354.00 0.11
67515EAR7 Ocean Trails Clo V OCTR 5.86 10/13/2031 2,560,774.00 2,564,489.00 0.11
694308JQ1 Pacific Gas And Electric Co PCG 4.5 07/01/2040 3,000,000.00 2,609,768.00 0.11
573284BA3 Martin Marietta Materials Inc MLM 5.15 12/01/2034 2,510,000.00 2,559,795.00 0.11
912810TM0 United States Treasury Note/bond T 4.0 11/15/2042 2,790,000.00 2,579,442.00 0.11
802927AF0 Santander Drive Auto Receivables Trust 2 SDART 6.04 12/15/2031 2,500,000.00 2,568,084.00 0.11
808513BG9 Charles Schwab Corp/the SCHW 1.65 03/11/2031 2,970,000.00 2,583,878.00 0.11
10568RAA1 Bravo Residential Funding Trust 2025-ces BRAVO 4.96 07/02/2055 2,672,030.00 2,670,296.00 0.11
097023BS3 Boeing Co/the BA 3.38 06/15/2046 3,557,000.00 2,536,624.00 0.11
06051GHZ5 BANK Of America Corp BAC 2.5 02/13/2031 2,705,000.00 2,503,082.00 0.11
05523RAJ6 BAE Systems Plc BALN 5.13 03/26/2029 2,570,000.00 2,645,864.00 0.11
040555DD3 Arizona Public Service Co PNW 2.2 12/15/2031 2,875,000.00 2,512,802.00 0.11
29273VAU4 Energy Transfer Lp ET 6.55 12/01/2033 2,285,000.00 2,501,293.00 0.11
11135FCL3 Broadcom Inc AVGO 4.9 07/15/2032 2,600,000.00 2,659,032.00 0.11
12503MAC2 CBOE Global Markets Inc CBOE 1.63 12/15/2030 2,900,000.00 2,547,931.00 0.11
3140XGLJ6 Fannie Mae Pool FN 3.0 03/01/2052 3,017,075.00 2,681,245.00 0.11
31418CS47 Fannie Mae Pool FN 3.5 01/01/2048 2,698,919.00 2,513,843.00 0.11
95000U2J1 Wells Fargo & Co WFC 2.57 02/11/2031 2,740,000.00 2,546,396.00 0.11
92343VGJ7 Verizon Communications Inc VZ 2.55 03/21/2031 2,729,000.00 2,481,037.00 0.11
915217XF5 University Of Virginia UNIHGR 2.26 09/01/2050 3,850,000.00 2,264,427.00 0.10
928668CM2 Volkswagen Group Of America Finance Llc VW 4.95 08/15/2029 2,370,000.00 2,393,421.00 0.10
96041KAE4 Westlake Automobile Receivables Trust 20 WLAKE 4.63 01/15/2031 2,400,000.00 2,412,636.00 0.10
95001XBA3 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.47 05/01/2052 2,448,048.00 2,391,178.00 0.10
98138HAJ0 Workday Inc WDAY 3.8 04/01/2032 2,435,000.00 2,326,420.00 0.10
31418D6C1 Fannie Mae Pool FN 2.5 11/01/2051 2,901,616.00 2,456,256.00 0.10
3132D56D9 Freddie Mac Pool FR 1.5 10/01/2035 2,626,091.00 2,362,848.00 0.10
3132DWCU5 Freddie Mac Pool FR 2.5 12/01/2051 2,750,818.00 2,330,729.00 0.10
3132DWMY6 Freddie Mac Pool FR 5.5 11/01/2054 2,217,787.00 2,237,618.00 0.10
3136BQQZ5 Fannie Mae Remics FNR 11/01/2053 2,879,164.00 2,295,573.00 0.10
12515BAD0 CD 2019-cd8 Mortgage Trust CD 2.66 08/15/2057 2,576,759.00 2,407,099.00 0.10
17179VAA8 CIM Trust 2024-r1 CIM 4.75 06/01/2064 2,455,983.00 2,439,145.00 0.10
279158AT6 Ecopetrol Sa ECOPET 8.63 01/19/2029 2,105,000.00 2,285,398.00 0.10
23636ABJ9 Danske Bank A/s DANBNK 4.61 10/02/2030 2,255,000.00 2,263,745.00 0.10
09951LAC7 BOOZ Allen Hamilton Inc BAH 5.95 08/04/2033 2,320,000.00 2,437,531.00 0.10
08162VAD0 Benchmark 2019-b10 Mortgage Trust BMARK 3.46 03/01/2062 2,463,937.00 2,392,037.00 0.10
08163CBA6 Benchmark 2021-b24 Mortgage Trust BMARK 2.01 03/01/2054 2,600,000.00 2,412,800.00 0.10
08163LAE9 Benchmark 2020-b21 Mortgage Trust BMARK 1.7 12/03/2053 2,600,000.00 2,294,183.00 0.10
06541TBA6 BANK 2020-bnk29 BANK 1.74 11/01/2053 2,568,224.00 2,266,664.00 0.10
89182QAA3 TOWD Point Mortgage Trust 2024-ces4 TPMT 5.12 09/01/2064 2,285,861.00 2,287,980.00 0.10
89183HAA2 TOWD Point Mortgage Trust 2025-ces1 TPMT 5.71 02/25/2055 2,435,169.00 2,458,269.00 0.10
72014TAC3 Piedmont Healthcare Inc PIEDGA 2.04 01/01/2032 2,670,000.00 2,291,353.00 0.10
73358XJB9 PORT Authority Of New York & New Jersey PORTRN 5.07 07/15/2053 2,525,000.00 2,396,118.00 0.10
74340XCA7 Prologis Lp PLD 1.75 02/01/2031 2,660,000.00 2,333,125.00 0.10
682680BB8 Oneok Inc OKE 3.1 03/15/2030 2,415,000.00 2,280,966.00 0.10
682680DD2 Oneok Inc OKE 6.25 10/15/2055 2,370,000.00 2,407,458.00 0.10
682696AA7 Onemain Financial Issuance Trust 2020-2 OMFIT 1.75 09/14/2035 2,490,830.00 2,447,945.00 0.10
36267QAA2 CLUE Opco Llc FWRD 9.5 10/15/2031 2,170,000.00 2,320,814.00 0.10
44891ABX4 Hyundai Capital America HYNMTR 2.0 06/15/2028 2,550,000.00 2,397,114.00 0.10
46647PCC8 Jpmorgan Chase & Co JPM 2.58 04/22/2032 2,565,000.00 2,331,300.00 0.10
445545AV8 Hungary Government International Bond REPHUN 5.38 09/26/2030 2,190,000.00 2,253,538.00 0.10
3618N5GS2 Ginnie Mae Ii Pool G2 7.0 02/01/2055 2,000,000.00 2,055,977.00 0.09
36179W5F1 Ginnie Mae Ii Pool G2 4.5 05/20/2052 2,058,768.00 2,012,451.00 0.09
31418ED64 Fannie Mae Pool FN 3.0 06/01/2052 2,314,622.00 2,035,453.00 0.09
31418EV98 Fannie Mae Pool FN 6.0 09/01/2053 1,986,059.00 2,034,741.00 0.09
36179U6V9 Ginnie Mae Ii Pool G2 3.5 11/01/2049 2,292,185.00 2,109,701.00 0.09
36179V4U1 Ginnie Mae Ii Pool G2 2.0 01/20/2051 2,408,065.00 1,991,599.00 0.09
36179T7K5 Ginnie Mae Ii Pool G2 4.0 08/01/2048 2,321,411.00 2,217,856.00 0.09
67091TAF2 OCP Sa OCPMR 6.75 05/02/2034 1,858,000.00 2,022,897.00 0.09
620076BZ1 Motorola Solutions Inc MSI 5.4 04/15/2034 2,020,000.00 2,091,794.00 0.09
61747YFF7 Morgan Stanley MS 5.45 07/20/2029 1,930,000.00 1,993,891.00 0.09
638962AA8 NCR Atleos Corp NCRATL 9.5 04/01/2029 2,000,000.00 2,165,456.00 0.09
91153LAA5 United Wholesale Mortgage Llc UWMLLC 5.5 11/15/2025 2,000,000.00 2,000,275.00 0.09
88732JBB3 TIME Warner Cable Llc CHTR 5.5 09/01/2041 2,180,000.00 1,996,249.00 0.09
866677AE7 SUN Communities Operating Lp SUI 2.7 07/15/2031 2,228,000.00 2,015,328.00 0.09
83614BAQ2 Sound Point Clo Xxiii SNDPT 5.75 07/15/2034 2,200,000.00 2,203,300.00 0.09
854938AA5 STAR Leasing Co Llc TRAILR 7.63 02/15/2030 2,200,000.00 2,137,350.00 0.09
74456QCL8 Public Service Electric And Gas Co PEG 4.65 03/15/2033 2,105,000.00 2,116,437.00 0.09
06541RBA0 BANK 2019-bnk23 BANK 2.67 10/01/2029 2,188,187.00 2,050,692.00 0.09
03067BAF6 Americredit Automobile Receivables Trust AMCAR 5.8 12/18/2028 2,100,000.00 2,139,774.00 0.09
00440KAD5 Accenture Capital Inc ACN 4.5 10/04/2034 2,095,000.00 2,068,039.00 0.09
29375UAB5 Enterprise Fleet Financing 2025-3 Llc EFF 4.5 04/20/2028 2,200,000.00 2,211,900.00 0.09
20755TAA9 Connecticut Avenue Securities Trust 2025 CAS 5.36 05/25/2045 2,001,960.00 2,004,130.00 0.09
17305EGS8 Citibank Credit Card Issuance Trust CCCIT 3.96 10/13/2030 2,100,000.00 2,100,814.00 0.09
136385BB6 Canadian Natural Resources Ltd CNQCN 5.0 12/15/2029 1,955,000.00 1,998,811.00 0.09
161175BR4 Charter Communications Operating Llc / C CHTR 5.05 03/30/2029 2,160,000.00 2,187,982.00 0.09
3137H8JY8 Freddie Mac Remics FHR 08/01/2052 3,079,276.00 2,119,980.00 0.09
3132DV7A7 Freddie Mac Pool FR 2.5 07/01/2050 2,358,747.00 2,008,832.00 0.09
3140QKC48 Fannie Mae Pool FN 2.0 04/01/2051 2,553,078.00 2,073,393.00 0.09
3140X8FX0 Fannie Mae Pool FN 2.5 11/01/2050 2,574,423.00 2,209,644.00 0.09
96328GBM8 Wheels Fleet Lease Funding 1 Llc WFLF 5.49 02/18/2039 2,130,169.00 2,155,654.00 0.09
92840VAB8 Vistra Operations Co Llc VST 5.63 02/15/2027 2,175,000.00 2,175,813.00 0.09
95000U2M4 Wells Fargo & Co WFC 5.01 04/04/2051 2,300,000.00 2,149,427.00 0.09
96328GAS6 Wheels Fleet Lease Funding 1 Llc WFLF 5.8 04/18/2038 1,749,524.00 1,762,553.00 0.08
95001QAT8 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.89 08/01/2051 2,000,000.00 1,987,526.00 0.08
95001WAY4 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.75 03/01/2052 1,982,815.00 1,975,463.00 0.08
91324PEW8 Unitedhealth Group Inc UNH 5.05 04/15/2053 2,140,000.00 1,961,178.00 0.08
3140XCHB7 Fannie Mae Pool FN 2.5 07/01/2035 2,004,611.00 1,922,688.00 0.08
3140XFX55 Fannie Mae Pool FN 3.0 01/01/2052 2,167,950.00 1,928,800.00 0.08
3132DWBB8 Freddie Mac Pool FR 2.0 03/01/2051 2,180,715.00 1,771,893.00 0.08
3132D6NV8 Freddie Mac Pool FR 2.5 10/01/2035 1,857,537.00 1,765,318.00 0.08
3133A2BB5 Freddie Mac Pool FR 3.0 02/01/2050 2,098,624.00 1,865,518.00 0.08
11135FBX8 Broadcom Inc AVGO 5.05 07/12/2029 1,914,000.00 1,971,507.00 0.08
134429BJ7 Campbell's Company/the CPB 2.38 04/24/2030 2,175,000.00 1,987,861.00 0.08
125523AH3 Cigna Group/the CI 4.38 10/15/2028 1,950,000.00 1,959,613.00 0.08
224044CJ4 COX Communications Inc COXENT 3.5 08/15/2027 2,000,000.00 1,973,464.00 0.08
05377RGJ7 AVIS Budget Rental Car Funding Aesop Llc AESOP 5.2 10/20/2027 1,800,000.00 1,815,222.00 0.08
05377RHY3 AVIS Budget Rental Car Funding Aesop Llc AESOP 5.36 06/20/2030 1,900,000.00 1,965,053.00 0.08
05377RJK1 AVIS Budget Rental Car Funding Aesop Llc AESOP 5.23 12/20/2030 1,800,000.00 1,855,773.00 0.08
05526DBR5 BAT Capital Corp BATSLN 2.26 03/25/2028 1,910,000.00 1,823,901.00 0.08
05526DBS3 BAT Capital Corp BATSLN 2.73 03/25/2031 2,180,000.00 1,988,049.00 0.08
097023CX1 Boeing Co/the BA 5.93 05/01/2060 1,950,000.00 1,952,460.00 0.08
08162QAA7 Benchmark 2020-ig3 Mortgage Trust BMARK 2.48 09/01/2048 1,896,601.00 1,864,287.00 0.08
74834LBB5 Quest Diagnostics Inc DGX 2.95 06/30/2030 1,910,000.00 1,799,264.00 0.08
89183EAA9 TOWD Point Mortgage Trust 2024-ces3 TPMT 6.29 05/01/2064 1,834,170.00 1,857,239.00 0.08
639057AC2 Natwest Group Plc NWG 1.64 06/14/2027 1,830,000.00 1,795,644.00 0.08
62854AAN4 UTAH Acquisition Sub Inc VTRS 3.95 06/15/2026 1,887,000.00 1,878,447.00 0.08
61767FAZ4 Morgan Stanley Capital I Trust 2016-ubs1 MSC 2.53 08/01/2049 1,806,505.00 1,781,397.00 0.08
59284MAA2 Mexico City Airport Trust MEXCAT 4.25 10/31/2026 1,972,000.00 1,965,452.00 0.08
71643VAB1 Petroleos Mexicanos PEMEX 6.7 02/16/2032 1,979,000.00 1,961,683.00 0.08
36179VDN7 Ginnie Mae Ii Pool G2 3.0 01/01/2050 2,125,219.00 1,904,548.00 0.08
31418EP46 Fannie Mae Pool FN 6.0 03/01/2053 1,885,064.00 1,934,698.00 0.08
31418EE63 Fannie Mae Pool FN 4.5 07/01/2052 1,905,736.00 1,857,453.00 0.08
31418ECR9 Fannie Mae Pool FN 3.0 04/01/2052 2,044,040.00 1,800,672.00 0.08
31418EAZ3 Fannie Mae Pool FN 2.0 01/01/2032 1,898,350.00 1,802,677.00 0.08
31488VAA5 Ferguson Enterprises Inc FERG 5.0 10/03/2034 1,805,000.00 1,818,146.00 0.08
36179WXL7 Ginnie Mae Ii Pool G2 3.5 02/01/2052 1,923,096.00 1,763,497.00 0.08
3618N5A74 Ginnie Mae Ii Pool G2 7.0 11/01/2054 1,864,366.00 1,917,875.00 0.08
46590RAD1 JP Morgan Chase Commercial Mortgage Secu JPMCC 2.63 08/01/2049 1,833,344.00 1,808,140.00 0.08
46590XAY2 JBS Usa Holding Lux Sarl/ Jbs Usa Food C JBSSBZ 5.75 04/01/2033 1,900,000.00 1,981,669.00 0.08
48305QAF0 Kaiser Foundation Hospitals KPERM 2.81 06/01/2041 2,410,000.00 1,780,493.00 0.08
46115HBL0 Intesa Sanpaolo Spa ISPIM 4.0 09/23/2029 1,790,000.00 1,755,419.00 0.07
446150BD5 Huntington Bancshares Inc/oh HBAN 5.71 02/02/2035 1,535,000.00 1,598,928.00 0.07
38141GWV2 Goldman Sachs Group Inc/the GS 3.81 04/23/2029 1,585,000.00 1,571,148.00 0.07
36179W7M4 Ginnie Mae Ii Pool G2 4.0 06/20/2052 1,604,712.00 1,524,796.00 0.07
36179WJR0 Ginnie Mae Ii Pool G2 2.5 07/01/2051 2,033,934.00 1,752,508.00 0.07
31418EQ94 Fannie Mae Pool FN 5.5 04/01/2053 1,706,484.00 1,728,038.00 0.07
31418EXV7 Fannie Mae Pool FN 6.0 11/01/2053 1,655,904.00 1,695,357.00 0.07
31418DYY2 Fannie Mae Pool FN 2.5 05/01/2051 1,919,672.00 1,626,680.00 0.07
67091TAH8 OCP Sa OCPMR 6.1 04/30/2030 1,485,000.00 1,555,537.00 0.07
59284MAD6 Mexico City Airport Trust MEXCAT 5.5 07/31/2047 1,800,000.00 1,561,500.00 0.07
574205JJ0 Maryland Economic Development Corp MDSDEV 5.43 05/31/2056 1,800,000.00 1,745,353.00 0.07
570535AU8 Markel Group Inc MKL 3.35 09/17/2029 1,625,000.00 1,569,471.00 0.07
91087BAZ3 Mexico Government International Bond MEX 6.0 05/07/2036 1,527,000.00 1,565,938.00 0.07
86765BAV1 Energy Transfer Lp ET 5.4 10/01/2047 1,800,000.00 1,650,052.00 0.07
80285XAE5 Santander Drive Auto Receivables Trust 2 SDART 5.77 11/15/2030 1,500,000.00 1,527,779.00 0.07
08162MAW8 Benchmark 2020-b17 Mortgage Trust BMARK 2.04 03/01/2053 1,800,000.00 1,635,917.00 0.07
06051GGF0 BANK Of America Corp BAC 3.82 01/20/2028 1,720,000.00 1,712,140.00 0.07
06051GGR4 BANK Of America Corp BAC 3.59 07/21/2028 1,595,000.00 1,580,609.00 0.07
06051GLH0 BANK Of America Corp BAC 5.29 04/25/2034 1,530,000.00 1,582,805.00 0.07
04316JAM1 Arthur J Gallagher & Co AJG 5.0 02/15/2032 1,680,000.00 1,712,864.00 0.07
219868CJ3 CORP Andina De Fomento CAF 5.0 01/24/2029 1,535,000.00 1,571,870.00 0.07
20754LAB5 Connecticut Avenue Securities Trust 2022 CAS 6.26 12/25/2041 1,520,000.00 1,541,143.00 0.07
19565CAA8 Colonial Enterprises Inc COLPLN 3.25 05/15/2030 1,730,000.00 1,610,127.00 0.07
17326DAC6 Citigroup Commercial Mortgage Trust 2017 CGCMT 3.2 09/15/2050 1,700,000.00 1,668,758.00 0.07
200447AL4 Comision Federal De Electricidad CFELEC 4.69 05/15/2029 1,600,000.00 1,576,192.00 0.07
251526CE7 Deutsche Bank Ag/new York Ny DB 2.13 11/24/2026 1,530,000.00 1,523,868.00 0.07
12532BAC1 Cfcre Commercial Mortgage Trust 2016-c7 CFCRE 3.59 12/01/2054 1,759,537.00 1,737,167.00 0.07
125523CL2 Cigna Group/the CI 2.4 03/15/2030 1,681,000.00 1,551,788.00 0.07
3132DWFG3 Freddie Mac Pool FR 5.0 11/01/2052 1,603,519.00 1,599,651.00 0.07
3132DWMR1 Freddie Mac Pool FR 5.0 10/01/2054 1,593,285.00 1,580,913.00 0.07
3132DWDZ3 Freddie Mac Pool FR 3.0 06/01/2052 1,741,433.00 1,531,387.00 0.07
3132DWJQ7 Freddie Mac Pool FR 5.0 11/01/2053 1,640,409.00 1,631,471.00 0.07
3128MJYT1 Freddie Mac Gold Pool FG 3.0 09/01/2046 1,890,703.00 1,710,730.00 0.07
3132DV7D1 Freddie Mac Pool FR 3.0 09/01/2050 1,971,574.00 1,738,374.00 0.07
30217AAC7 Experian Finance Plc EXPNLN 2.75 03/08/2030 1,735,000.00 1,630,805.00 0.07
3140QMP57 Fannie Mae Pool FN 2.5 11/01/2036 1,832,394.00 1,734,472.00 0.07
3140EU4H9 Fannie Mae Pool FN 3.5 04/01/2046 1,665,477.00 1,560,235.00 0.07
31418DJR4 Fannie Mae Pool FN 3.0 12/01/2049 1,896,855.00 1,686,481.00 0.07
31418DPL0 Fannie Mae Pool FN 4.0 05/01/2050 1,657,371.00 1,582,402.00 0.07
31418D3G5 Fannie Mae Pool FN 2.0 08/01/2051 1,902,478.00 1,544,408.00 0.07
31418DVW9 Fannie Mae Pool FN 1.5 01/01/2036 1,807,815.00 1,626,565.00 0.07
91324PEK4 Unitedhealth Group Inc UNH 4.75 05/15/2052 1,900,000.00 1,672,039.00 0.07
912834KV9 United States Treasury Strip Coupon S 11/15/2041 3,110,000.00 1,435,402.00 0.06
91324PFM9 Unitedhealth Group Inc UNH 5.75 07/15/2064 1,495,000.00 1,489,920.00 0.06
95000U3H4 Wells Fargo & Co WFC 6.49 10/23/2034 1,245,000.00 1,383,802.00 0.06
31418DW65 Fannie Mae Pool FN 2.0 02/01/2041 1,571,447.00 1,359,395.00 0.06
31418DV74 Fannie Mae Pool FN 2.0 01/01/2051 1,653,501.00 1,345,240.00 0.06
31418D2L5 Fannie Mae Pool FN 2.0 07/01/2051 1,872,288.00 1,520,297.00 0.06
31418DRP9 Fannie Mae Pool FN 2.0 08/01/2040 1,660,744.00 1,460,757.00 0.06
3140X9V69 Fannie Mae Pool FN 4.0 01/01/2050 1,562,079.00 1,498,712.00 0.06
302491AV7 FMC Corp FMC 4.5 10/01/2049 1,795,000.00 1,377,159.00 0.06
29366MAB4 Entergy Arkansas Llc ETR 2.65 06/15/2051 2,220,000.00 1,346,349.00 0.06
3132DWAN3 Freddie Mac Pool FR 2.0 12/01/2050 1,684,466.00 1,370,080.00 0.06
3132D6CP3 Freddie Mac Pool FR 4.0 09/01/2037 1,394,869.00 1,373,602.00 0.06
3136BUTY6 Fannie Mae Remics FNR 4.31 02/25/2055 1,359,643.00 1,371,108.00 0.06
15132HAH4 Cencosud Sa CENSUD 4.38 07/17/2027 1,320,000.00 1,321,716.00 0.06
16159LAC2 Chase Home Lending Mortgage Trust 2023-r CHASE 3.5 06/01/2062 1,601,969.00 1,483,308.00 0.06
172967ML2 Citigroup Inc C 2.67 01/29/2031 1,510,000.00 1,403,519.00 0.06
25243YBE8 Diageo Capital Plc DGELN 2.13 04/29/2032 1,665,000.00 1,439,726.00 0.06
03522AAJ9 Anheuser-busch Cos Llc / Anheuser-busch ABIBB 4.9 02/01/2046 1,551,000.00 1,441,805.00 0.06
015271AW9 Alexandria Real Estate Equities Inc ARE 2.0 05/18/2032 1,645,000.00 1,391,633.00 0.06
06051GFU8 BANK Of America Corp BAC 4.45 03/03/2026 1,500,000.00 1,500,649.00 0.06
06051GKK4 BANK Of America Corp BAC 2.97 02/04/2033 1,555,000.00 1,415,903.00 0.06
05530QAQ3 BAT International Finance Plc BATSLN 5.93 02/02/2029 1,295,000.00 1,358,600.00 0.06
09659W2M5 BNP Paribas Sa BNP 1.9 09/30/2028 1,385,000.00 1,318,921.00 0.06
09659W2Q6 BNP Paribas Sa BNP 1.68 06/30/2027 1,425,000.00 1,395,079.00 0.06
78466CAC0 SS&C Technologies Inc SSNC 5.5 09/30/2027 1,325,000.00 1,324,973.00 0.06
87264ACB9 T-mobile Usa Inc TMUS 2.55 02/15/2031 1,635,000.00 1,484,598.00 0.06
87612GAC5 Targa Resources Corp TRGP 6.13 03/15/2033 1,240,000.00 1,319,606.00 0.06
87612KAC6 Targa Resources Corp TRGP 6.25 07/01/2052 1,305,000.00 1,330,999.00 0.06
89180LAA6 TOWD Point Mortgage Trust 2021-sj2 TPMT 2.25 12/01/2061 1,431,979.00 1,393,806.00 0.06
89236TLM5 Toyota Motor Credit Corp TOYOTA 4.8 01/05/2034 1,376,000.00 1,398,637.00 0.06
50212YAJ3 LPL Holdings Inc LPLA 5.7 05/20/2027 1,295,000.00 1,319,365.00 0.06
532457CM8 ELI Lilly & Co LLY 5.0 02/09/2054 1,455,000.00 1,377,226.00 0.06
55283QAA2 MFA 2021-rpl1 Trust MFRA 1.13 07/25/2060 1,636,891.00 1,499,765.00 0.06
708696BZ1 Firstenergy Pennsylvania Electric Co FE 3.6 06/01/2029 1,435,000.00 1,398,995.00 0.06
31418EBT6 Fannie Mae Pool FN 3.0 02/01/2052 1,522,164.00 1,340,862.00 0.06
31418EDD9 Fannie Mae Pool FN 3.0 05/01/2052 1,506,033.00 1,325,826.00 0.06
31418EJ76 Fannie Mae Pool FN 5.0 10/01/2052 1,322,333.00 1,317,787.00 0.06
31427MR60 Freddie Mac Pool FR 4.5 07/01/2053 1,492,379.00 1,454,105.00 0.06
316773DK3 Fifth Third Bancorp FITB 6.34 07/27/2029 1,310,000.00 1,380,149.00 0.06
36179WDT2 Ginnie Mae Ii Pool G2 3.5 04/01/2051 1,634,704.00 1,503,414.00 0.06
37045XDP8 General Motors Financial Co Inc GM 2.4 10/15/2028 1,385,000.00 1,310,274.00 0.06
448579AR3 Hyatt Hotels Corp H 5.25 06/30/2029 1,460,000.00 1,498,017.00 0.06
455780CD6 Indonesia Government International Bond INDON 3.5 01/11/2028 1,420,000.00 1,402,960.00 0.06
39571VAB4 Greensky Home Improvement Issuer Trust 2 GSKY 4.93 06/25/2060 1,496,634.00 1,502,306.00 0.06
42704LAE4 HERC Holdings Inc HRI 6.63 06/15/2029 1,100,000.00 1,130,344.00 0.05
431318AV6 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.0 02/01/2031 1,150,000.00 1,109,337.00 0.05
38383UT59 Government National Mortgage Association GNR 0.51 10/20/2052 21,943,118.00 1,158,116.00 0.05
38383R4A2 Government National Mortgage Association GNR 3.0 08/01/2051 10,730,713.00 1,159,210.00 0.05
47233WBM0 Jefferies Financial Group Inc JEF 5.88 07/21/2028 1,210,000.00 1,259,606.00 0.05
517834AE7 LAS Vegas Sands Corp LVS 3.5 08/18/2026 1,230,000.00 1,219,514.00 0.05
46647PBL9 Jpmorgan Chase & Co JPM 2.52 04/22/2031 1,281,000.00 1,188,143.00 0.05
379930AF7 GM Financial Consumer Automobile Receiva GMCAR 6.16 04/16/2029 1,100,000.00 1,134,019.00 0.05
364760AQ1 GAP Inc/the GAP 3.88 10/01/2031 1,250,000.00 1,137,795.00 0.05
36179WBY3 Ginnie Mae Ii Pool G2 2.5 03/01/2051 1,436,504.00 1,237,763.00 0.05
3142G5QF8 Freddie Mac Strips FHS 4.0 05/01/2053 5,490,037.00 1,206,606.00 0.05
31418EJF8 Fannie Mae Pool FN 5.0 09/01/2052 1,169,806.00 1,165,905.00 0.05
31418ELW8 Fannie Mae Pool FN 4.5 12/01/2052 1,245,528.00 1,216,146.00 0.05
31418EPC8 Fannie Mae Pool FN 5.0 02/01/2053 1,279,798.00 1,275,266.00 0.05
31418EES5 Fannie Mae Pool FN 4.0 05/01/2052 1,166,766.00 1,102,553.00 0.05
31418EHP8 Fannie Mae Pool FN 5.0 08/01/2052 1,106,423.00 1,102,733.00 0.05
36179TZ57 Ginnie Mae Ii Pool G2 4.0 06/01/2048 1,116,042.00 1,067,049.00 0.05
694308JN8 Pacific Gas And Electric Co PCG 4.95 07/01/2050 1,460,000.00 1,257,829.00 0.05
71654QDB5 Petroleos Mexicanos PEMEX 6.49 01/23/2027 1,048,000.00 1,058,480.00 0.05
67021CAV9 Nstar Electric Co ES 5.4 06/01/2034 1,130,000.00 1,174,664.00 0.05
68245XAM1 1011778 Bc Ulc / New Red Finance Inc BCULC 4.0 10/15/2030 1,200,000.00 1,129,500.00 0.05
682691AC4 Onemain Finance Corp OMF 3.88 09/15/2028 1,175,000.00 1,129,584.00 0.05
552953CK5 MGM Resorts International MGM 6.13 09/15/2029 1,100,000.00 1,119,063.00 0.05
50190DAG1 LCCM 2017-lc26 LCCM 3.29 07/03/2050 1,135,411.00 1,115,482.00 0.05
57701RAM4 Mattamy Group Corp MATHOM 4.63 03/01/2030 1,150,000.00 1,111,003.00 0.05
62482BAA0 Medline Borrower Lp MEDIND 3.88 04/01/2029 1,175,000.00 1,133,871.00 0.05
6174468G7 Morgan Stanley MS 4.43 01/23/2030 1,200,000.00 1,205,732.00 0.05
59833DAB6 Midwest Gaming Borrower Llc / Midwest Ga MWGAME 4.88 05/01/2029 1,150,000.00 1,118,800.00 0.05
629377CP5 NRG Energy Inc NRG 2.45 12/02/2027 1,215,000.00 1,164,716.00 0.05
64966SHN9 CITY Of New York Ny NYC 5.11 10/01/2054 1,155,000.00 1,101,561.00 0.05
651229BG0 Newell Brands Inc NWL 8.5 06/01/2028 1,075,000.00 1,139,976.00 0.05
902613AA6 UBS Group Ag UBS 3.13 08/13/2030 1,180,000.00 1,125,620.00 0.05
90276TAF1 UBS Commercial Mortgage Trust 2017-c5 UBSCM 3.21 11/01/2050 1,295,500.00 1,260,931.00 0.05
91282CPA3 United States Treasury Note/bond T 3.63 09/30/2030 1,260,000.00 1,253,601.00 0.05
86765KAA7 Sunoco Lp / Sunoco Finance Corp SUN 7.0 09/15/2028 1,075,000.00 1,107,845.00 0.05
87612GAK7 Targa Resources Corp TRGP 5.5 02/15/2035 1,192,000.00 1,213,723.00 0.05
77311WAA9 Rocket Cos Inc RKT 6.13 08/01/2030 1,100,000.00 1,129,261.00 0.05
77313LAA1 Rocket Mortgage Llc / Rocket Mortgage Co RKT 2.88 10/15/2026 1,150,000.00 1,127,566.00 0.05
74456QBY1 Public Service Electric And Gas Co PEG 3.2 05/15/2029 1,265,000.00 1,226,319.00 0.05
803014AB5 Santos Finance Ltd STOAU 6.88 09/19/2033 1,010,000.00 1,110,001.00 0.05
80287DAD9 Santander Drive Auto Receivables Trust 2 SDART 5.98 04/16/2029 1,100,000.00 1,117,964.00 0.05
853496AH0 Standard Industries Inc/ny BMCAUS 3.38 01/15/2031 1,225,000.00 1,108,658.00 0.05
096630AH1 Boardwalk Pipelines Lp BWP 3.4 02/15/2031 1,300,000.00 1,217,308.00 0.05
097023CK9 Boeing Co/the BA 3.9 05/01/2049 1,405,000.00 1,058,063.00 0.05
097093AB4 BOF Vii Al Funding Trust I BVABS 6.29 07/26/2032 1,078,695.00 1,097,684.00 0.05
097751CB5 Bombardier Inc BBDBCN 7.25 07/01/2031 1,050,000.00 1,113,105.00 0.05
06738ECU7 Barclays Plc BACR 4.94 09/10/2030 1,230,000.00 1,248,326.00 0.05
00833QAA3 Affirm Asset Securitization Trust 2024-x AFFRM 5.22 12/17/2029 1,249,685.00 1,250,807.00 0.05
00287YAS8 Abbvie Inc ABBV 4.7 05/14/2045 1,170,000.00 1,073,615.00 0.05
00206RKJ0 AT&T Inc T 3.5 09/15/2053 1,734,000.00 1,198,172.00 0.05
00206RLV2 AT&T Inc T 3.65 09/15/2059 1,717,000.00 1,174,019.00 0.05
03066JAE3 Americredit Automobile Receivables Trust AMCAR 1.41 08/18/2027 1,141,088.00 1,128,524.00 0.05
05508WAC9 B&G Foods Inc BGS 8.0 09/15/2028 1,175,000.00 1,139,134.00 0.05
23918KAW8 Davita Inc DVA 6.88 09/01/2032 1,075,000.00 1,111,483.00 0.05
26443TAC0 DUKE Energy Indiana Llc DUK 2.75 04/01/2050 1,825,000.00 1,157,837.00 0.05
22003BAP1 COPT Defense Properties Lp CDP 2.9 12/01/2033 1,400,000.00 1,188,158.00 0.05
172967MY4 Citigroup Inc C 2.56 05/01/2032 1,415,000.00 1,275,352.00 0.05
161917AB5 Chase Home Lending Mortgage Trust Series CHASE 3.25 09/01/2064 1,362,660.00 1,221,975.00 0.05
17888HAA1 Civitas Resources Inc CIVI 8.38 07/01/2028 1,050,000.00 1,088,996.00 0.05
18060TAD7 Clarios Global Lp / Clarios Us Finance C POWSOL 6.75 02/15/2030 1,050,000.00 1,083,705.00 0.05
13648TAG2 Canadian Pacific Railway Co CP 3.5 05/01/2050 1,585,000.00 1,162,411.00 0.05
138616AM9 Cantor Fitzgerald Lp CANTOR 7.2 12/12/2028 1,155,000.00 1,234,078.00 0.05
14317CAF9 Carmax Auto Owner Trust 2022-1 CARMX 2.2 11/15/2027 1,300,000.00 1,285,830.00 0.05
15135UAX7 Cenovus Energy Inc CVECN 3.75 02/15/2052 1,685,000.00 1,192,004.00 0.05
12769GAA8 Caesars Entertainment Inc CZR 4.63 10/15/2029 1,175,000.00 1,123,308.00 0.05
109641AK6 Brinker International Inc EAT 8.25 07/15/2030 1,025,000.00 1,086,018.00 0.05
3136BDJQ2 Fannie Mae Remics FNR 3.5 01/01/2051 5,594,609.00 1,057,267.00 0.05
3133A1B92 Freddie Mac Pool FR 3.5 01/01/2050 1,235,054.00 1,151,047.00 0.05
3133B9MY7 Freddie Mac Pool FR 4.0 04/01/2052 1,343,972.00 1,284,074.00 0.05
3132DMCA1 Freddie Mac Pool FR 4.0 02/01/2046 1,104,881.00 1,074,608.00 0.05
3132DWAD5 Freddie Mac Pool FR 1.5 11/01/2050 1,610,871.00 1,239,110.00 0.05
3128MJSY7 Freddie Mac Gold Pool FG 3.0 06/01/2043 1,152,463.00 1,060,532.00 0.05
31418DRS3 Fannie Mae Pool FN 2.5 08/01/2050 1,451,586.00 1,236,093.00 0.05
31418DLT7 Fannie Mae Pool FN 3.0 02/01/2050 1,428,843.00 1,270,207.00 0.05
31418CYN8 Fannie Mae Pool FN 4.5 07/01/2048 1,178,810.00 1,164,176.00 0.05
31418CCH5 Fannie Mae Pool FN 3.0 10/01/2046 1,373,541.00 1,238,289.00 0.05
95000FAS5 Wells Fargo Commercial Mortgage Trust 20 WFCM 2.67 07/15/2048 1,237,706.00 1,226,470.00 0.05
95000GAX2 Wells Fargo Commercial Mortgage Trust 20 WFCM 2.4 08/15/2049 1,138,482.00 1,126,281.00 0.05
92840MAB8 Vistra Corp VST 8.0 04/15/2174 1,075,000.00 1,099,690.00 0.05
92328MAB9 Venture Global Calcasieu Pass Llc VENTGL 4.13 08/15/2031 1,200,000.00 1,133,127.00 0.05
922966AB2 Venture Global Plaquemines Lng Llc VEGLPL 7.75 05/01/2035 1,000,000.00 1,128,831.00 0.05
92345YAF3 Verisk Analytics Inc VRSK 4.13 03/15/2029 1,185,000.00 1,182,718.00 0.05
SWB8A9KCBB SWP: Ois Sofr 1.350000 11-may-2054 05/11/2054 -2,800,000.00 1,250,818.00 0.05
WNZ5 COMDT US Ultra Bond Cbt Dec25 WNZ5 12/19/2025 55,829,063.00 1,042,845.00 0.04
91324PEE8 Unitedhealth Group Inc UNH 3.05 05/15/2041 1,150,000.00 874,625.00 0.04
91324PFD9 Unitedhealth Group Inc UNH 5.5 04/15/2064 865,000.00 829,636.00 0.04
95000TBR6 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.37 03/01/2050 1,011,875.00 991,410.00 0.04
95001MAE0 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.19 07/15/2050 886,680.00 873,640.00 0.04
31418DXP2 Fannie Mae Pool FN 2.0 03/01/2031 901,950.00 863,199.00 0.04
3140QPRL3 Fannie Mae Pool FN 4.0 07/01/2052 1,095,698.00 1,040,542.00 0.04
3140J6GR2 Fannie Mae Pool FN 4.0 09/01/2048 1,045,504.00 1,004,569.00 0.04
3138WJFK9 Fannie Mae Pool FN 3.0 11/01/2046 1,084,911.00 980,441.00 0.04
29446MAK8 Equinor Asa EQNR 2.38 05/22/2030 1,110,000.00 1,027,726.00 0.04
3132DWBP7 Freddie Mac Pool FR 2.0 05/01/2051 1,138,886.00 925,016.00 0.04
3133BEVD2 Freddie Mac Pool FR 3.5 07/01/2052 951,839.00 870,051.00 0.04
3132DWF24 Freddie Mac Pool FR 3.5 01/01/2053 959,191.00 877,655.00 0.04
3132DWFD0 Freddie Mac Pool FR 3.5 11/01/2052 1,054,687.00 965,142.00 0.04
3132DWE41 Freddie Mac Pool FR 3.5 10/01/2052 988,233.00 904,380.00 0.04
11120VAM5 Brixmor Operating Partnership Lp BRX 5.5 02/15/2034 895,000.00 922,255.00 0.04
11135FBQ3 Broadcom Inc AVGO 3.19 11/15/2036 1,000,000.00 853,659.00 0.04
12663TAA7 CSMC 2022-rpl4 Trust CSMC 3.9 04/25/2062 947,932.00 913,606.00 0.04
15853BAA9 Champion Iron Canada Inc CIACN 7.88 07/15/2032 860,000.00 898,923.00 0.04
147918AC0 Cassa Depositi E Prestiti Spa CDEP 5.88 04/30/2029 800,000.00 842,834.00 0.04
147918AF3 Cassa Depositi E Prestiti Spa CDEP 4.38 10/01/2030 1,000,000.00 999,956.00 0.04
165183DE1 Chesapeake Funding Ii Llc CFII 5.52 05/15/2036 880,264.00 891,287.00 0.04
172967PG0 Citigroup Inc C 5.83 02/13/2035 865,000.00 897,919.00 0.04
172967KA8 Citigroup Inc C 4.45 09/29/2027 840,000.00 843,375.00 0.04
172967KJ9 Citigroup Inc C 4.6 03/09/2026 945,000.00 946,280.00 0.04
21036PBH0 Constellation Brands Inc STZ 2.25 08/01/2031 1,030,000.00 907,968.00 0.04
225401AF5 UBS Group Ag UBS 3.87 01/12/2029 870,000.00 860,795.00 0.04
19828TAA4 Columbia Pipelines Operating Co Llc CPGX 5.93 08/15/2030 935,000.00 989,225.00 0.04
17328CAC6 Citigroup Commercial Mortgage Trust 2019 CGCMT 2.86 12/01/2072 942,358.00 891,345.00 0.04
29365TAH7 Entergy Texas Inc ETR 4.5 03/30/2039 1,000,000.00 928,781.00 0.04
29279FAA7 Energy Transfer Lp ET 6.25 04/15/2049 910,000.00 918,457.00 0.04
049560AS4 Atmos Energy Corp ATO 3.38 09/15/2049 1,200,000.00 864,177.00 0.04
031162BK5 Amgen Inc AMGN 5.15 11/15/2041 910,000.00 883,844.00 0.04
03027XBA7 American Tower Corp AMT 2.9 01/15/2030 1,040,000.00 980,243.00 0.04
01F0406A0 Fannie Mae Or Freddie Mac FNCL 4.0 10/01/2055 1,000,000.00 942,362.00 0.04
03065UAF6 Americredit Automobile Receivables Trust AMCAR 6.0 07/18/2029 900,000.00 926,482.00 0.04
00287YDB2 Abbvie Inc ABBV 4.75 03/15/2045 1,008,000.00 931,652.00 0.04
00817YAJ7 Aetna Inc AET 4.5 05/15/2042 1,000,000.00 863,948.00 0.04
01626PAH9 Alimentation Couche-tard Inc ATDBCN 3.55 07/26/2027 940,000.00 931,281.00 0.04
09659W2K9 BNP Paribas Sa BNP 3.05 01/13/2031 1,080,000.00 1,014,581.00 0.04
097023CJ2 Boeing Co/the BA 3.6 05/01/2034 1,160,000.00 1,049,571.00 0.04
05964HBB0 Banco Santander Sa SANTAN 5.54 03/14/2030 1,000,000.00 1,034,572.00 0.04
83368RBC5 Societe Generale Sa SOCGEN 1.79 06/09/2027 1,020,000.00 1,001,485.00 0.04
83368RCF7 Societe Generale Sa SOCGEN 6.1 04/13/2033 805,000.00 849,030.00 0.04
80286YAE2 Santander Drive Auto Receivables Trust 2 SDART 5.84 06/17/2030 1,000,000.00 1,023,052.00 0.04
80281LAX3 Santander Uk Group Holdings Plc SANUK 4.32 09/22/2029 1,035,000.00 1,031,687.00 0.04
744573AQ9 Public Service Enterprise Group Inc PEG 1.6 08/15/2030 1,155,000.00 1,013,221.00 0.04
74730DAC7 Qatarenergy QPETRO 2.25 07/12/2031 1,090,000.00 978,907.00 0.04
76720AAU0 RIO Tinto Finance Usa Plc RIOLN 5.25 03/14/2035 880,000.00 906,492.00 0.04
756109AX2 Realty Income Corp O 3.25 01/15/2031 985,000.00 932,686.00 0.04
796253T93 CITY Of San Antonio Tx Electric & Gas Sy SANUTL 5.99 02/01/2039 775,000.00 830,905.00 0.04
880349AU9 Tenneco Inc TENINC 8.0 11/17/2028 875,000.00 876,151.00 0.04
866677AF4 SUN Communities Operating Lp SUI 2.3 11/01/2028 1,095,000.00 1,036,106.00 0.04
87612GAF8 Targa Resources Corp TRGP 6.5 03/30/2034 930,000.00 1,012,627.00 0.04
87264ABD6 T-mobile Usa Inc TMUS 3.75 04/15/2027 970,000.00 964,291.00 0.04
91087BAR1 Mexico Government International Bond MEX 3.5 02/12/2034 970,000.00 842,687.00 0.04
90278KAZ4 UBS Commercial Mortgage Trust 2018-c14 UBSCM 4.18 12/01/2051 1,033,539.00 1,032,360.00 0.04
898813AR1 Tucson Electric Power Co FTSCN 4.0 06/15/2050 1,315,000.00 1,012,651.00 0.04
89180FCD1 TOWD Point Mortgage Trust 2021-sj1 TPMT 2.25 07/25/2068 941,167.00 909,539.00 0.04
631005BJ3 Narragansett Electric Co/the PPL 3.4 04/09/2030 915,000.00 880,118.00 0.04
61690YBT8 Morgan Stanley Capital I Trust 2016-bnk2 MSC 2.79 11/15/2049 900,000.00 886,822.00 0.04
573284AV8 Martin Marietta Materials Inc MLM 2.5 03/15/2030 885,000.00 822,421.00 0.04
591894CE8 Firstenergy Pennsylvania Electric Co FE 5.2 04/01/2028 865,000.00 884,052.00 0.04
59284MAC8 Mexico City Airport Trust MEXCAT 3.88 04/30/2028 1,018,000.00 997,640.00 0.04
55316EAE2 MMAF Equipment Finance Llc 2019-b MMAF 2.29 11/12/2041 1,046,424.00 1,036,003.00 0.04
693304BA4 PECO Energy Co EXC 3.05 03/15/2051 1,540,000.00 1,025,313.00 0.04
71723MAB4 Pennsylvania Higher Education Assistance PHEAA 5.0 05/25/2070 982,950.00 970,730.00 0.04
72650RBJ0 Plains All American Pipeline Lp / Paa Fi PAA 4.65 10/15/2025 1,000,000.00 1,000,000.00 0.04
71654QCG5 Petroleos Mexicanos PEMEX 6.5 03/13/2027 1,020,000.00 1,031,985.00 0.04
695114CW6 Pacificorp BRKHEC 2.7 09/15/2030 890,000.00 822,549.00 0.04
36179T7H2 Ginnie Mae Ii Pool G2 3.0 08/01/2048 969,364.00 877,772.00 0.04
31418EJ43 Fannie Mae Pool FN 3.5 10/01/2052 1,002,797.00 917,712.00 0.04
31418DYZ9 Fannie Mae Pool FN 3.0 05/01/2051 977,387.00 865,194.00 0.04
36179XDD5 Ginnie Mae Ii Pool G2 4.0 08/20/2052 904,727.00 859,242.00 0.04
37045VAJ9 General Motors Co GM 5.2 04/01/2045 950,000.00 854,572.00 0.04
3618N5C56 Ginnie Mae Ii Pool G2 5.0 12/01/2054 935,739.00 931,832.00 0.04
373334KL4 Georgia Power Co SO 2.65 09/15/2029 1,005,000.00 951,674.00 0.04
43730XAA2 HOME Partners Of America 2021-3 Trust HPA 2.2 01/01/2041 1,032,516.00 958,964.00 0.04
446150BC7 Huntington Bancshares Inc/oh HBAN 6.21 08/21/2029 630,000.00 662,888.00 0.03
422806AA7 Heico Corp HEI 5.25 08/01/2028 725,000.00 743,671.00 0.03
448579AQ5 Hyatt Hotels Corp H 5.75 01/30/2027 730,000.00 743,744.00 0.03
39541EAC7 Greensaif Pipelines Bidco Sarl GASBCM 6.51 02/23/2042 725,000.00 784,363.00 0.03
38611TAV9 Grand Parkway Transportation Corp GPTTRN 5.18 10/01/2042 775,000.00 778,538.00 0.03
46590TAD7 Jpmdb Commercial Mortgage Securities Tru JPMDB 3.41 03/01/2050 790,985.00 780,062.00 0.03
379930AG5 GM Financial Consumer Automobile Receiva GMCAR 6.41 05/16/2029 700,000.00 723,297.00 0.03
36179WR34 Ginnie Mae Ii Pool G2 3.0 11/20/2051 711,997.00 636,214.00 0.03
36179WBX5 Ginnie Mae Ii Pool G2 2.0 03/20/2051 921,260.00 762,787.00 0.03
31418EGK0 Fannie Mae Pool FN 4.5 08/01/2052 660,072.00 643,280.00 0.03
345340AB9 FORD Credit Auto Owner Trust 2021-rev1 FORDR 1.61 10/17/2033 630,000.00 620,139.00 0.03
36179SGK7 Ginnie Mae Ii Pool G2 3.0 07/01/2046 708,986.00 642,446.00 0.03
715638DF6 Peruvian Government International Bond PERU 2.78 01/23/2031 701,000.00 646,497.00 0.03
68268VAA3 Onemain Financial Issuance Trust 2022-2 OMFIT 4.89 10/14/2034 642,398.00 643,046.00 0.03
64966SHM1 CITY Of New York Ny NYC 5.09 10/01/2049 725,000.00 701,272.00 0.03
55037AAB4 AKER Bp Asa AKERBP 3.1 07/15/2031 770,000.00 703,534.00 0.03
628530BC0 Mylan Inc VTRS 5.4 11/29/2043 860,000.00 745,284.00 0.03
61744YAP3 Morgan Stanley MS 3.77 01/24/2029 760,000.00 753,467.00 0.03
62854AAP9 UTAH Acquisition Sub Inc VTRS 5.25 06/15/2046 730,000.00 607,220.00 0.03
65473PAL9 Nisource Inc NI 1.7 02/15/2031 785,000.00 681,945.00 0.03
89182FAA7 TOWD Point Mortgage Trust TPMT 7.29 10/25/2063 779,013.00 791,130.00 0.03
90291JAV9 UBS Commercial Mortgage Trust 2018-c9 UBSCM 3.85 03/01/2051 656,750.00 647,954.00 0.03
912834JP4 United States Treasury Strip Coupon S 02/15/2041 1,400,000.00 674,174.00 0.03
878091BG1 Teachers Insurance & Annuity Association TIAAGL 3.3 05/15/2050 930,000.00 640,363.00 0.03
74942AAA1 RCKT Mortgage Trust 2024-ces3 RCKT 6.59 05/25/2044 679,689.00 690,708.00 0.03
74456QBU9 Public Service Electric And Gas Co PEG 3.7 05/01/2028 590,000.00 586,507.00 0.03
80287GAE0 Santander Drive Auto Receivables Trust 2 SDART 5.09 05/15/2030 800,000.00 805,750.00 0.03
845437BP6 Southwestern Electric Power Co AEP 2.75 10/01/2026 675,000.00 665,655.00 0.03
05578AAJ7 BPCE Sa BPCEGP 3.25 01/11/2028 625,000.00 611,924.00 0.03
058498BA3 BALL Corp BALL 5.5 09/15/2033 735,000.00 743,063.00 0.03
055451BL1 BHP Billiton Finance Usa Ltd BHP 5.3 02/21/2035 675,000.00 702,204.00 0.03
084664CV1 Berkshire Hathaway Finance Corp BRK 2.85 10/15/2050 1,175,000.00 771,135.00 0.03
02209SBJ1 Altria Group Inc MO 3.4 05/06/2030 630,000.00 605,103.00 0.03
00206RMN9 AT&T Inc T 3.8 12/01/2057 1,128,000.00 804,743.00 0.03
00115AAJ8 AEP Transmission Co Llc AEP 4.25 09/15/2048 830,000.00 691,475.00 0.03
054989AA6 BAT Capital Corp BATSLN 6.34 08/02/2030 710,000.00 765,292.00 0.03
26857LAA0 ELFI Graduate Loan Program 2020-a Llc ELFI 1.73 08/25/2045 685,984.00 628,859.00 0.03
20755CAA6 Connecticut Avenue Securities Trust 2023 CAS 5.86 10/25/2043 694,710.00 695,360.00 0.03
202795JL5 Commonwealth Edison Co EXC 3.75 08/15/2047 775,000.00 603,461.00 0.03
209111FL2 Consolidated Edison Co Of New York Inc ED 3.88 06/15/2047 805,000.00 634,955.00 0.03
172967LD1 Citigroup Inc C 3.89 01/10/2028 670,000.00 667,460.00 0.03
17325GAC0 Citigroup Commercial Mortgage Trust 2016 CGCMT 2.9 11/01/2049 703,372.00 693,101.00 0.03
14317CAG7 Carmax Auto Owner Trust 2022-1 CARMX 2.47 07/17/2028 600,000.00 593,611.00 0.03
14317JAG2 Carmax Auto Owner Trust 2021-4 CARMX 1.38 07/15/2027 800,000.00 794,494.00 0.03
12594MBB3 COMM 2016-cor1 Mortgage Trust COMM 2.83 10/01/2049 775,406.00 765,722.00 0.03
12189LBG5 Burlington Northern Santa Fe Llc BNSF 3.3 09/15/2051 875,000.00 617,049.00 0.03
12513GBK4 CDW Llc / Cdw Finance Corp CDW 5.1 03/01/2030 765,000.00 778,815.00 0.03
12514MBB0 CD 2016-cd1 Mortgage Trust CD 2.46 08/01/2049 691,539.00 683,788.00 0.03
3133KG4K1 Freddie Mac Pool FR 2.5 11/01/2049 702,141.00 601,634.00 0.03
3133AJBG7 Freddie Mac Pool FR 2.5 03/01/2051 850,426.00 724,798.00 0.03
3136F1EQ9 Federal National Mortgage Association FNMA 03/17/2031 945,000.00 752,364.00 0.03
3137B4RQ1 Freddie Mac Remics FHR 3.5 10/01/2041 638,291.00 609,369.00 0.03
3132DWB69 Freddie Mac Pool FR 2.5 08/01/2051 796,841.00 676,058.00 0.03
3132D56Z0 Freddie Mac Pool FR 1.5 02/01/2036 689,989.00 619,097.00 0.03
3128MJZZ6 Freddie Mac Gold Pool FG 4.5 04/01/2047 594,995.00 588,568.00 0.03
3138WHZM7 Fannie Mae Pool FN 4.0 09/01/2046 747,834.00 725,288.00 0.03
3138LTJW9 Fannie Mae Pool FN 3.5 05/01/2042 783,574.00 744,935.00 0.03
3140KDFJ4 Fannie Mae Pool FN 3.0 06/01/2050 718,598.00 638,032.00 0.03
3140GSRX2 Fannie Mae Pool FN 3.5 10/01/2047 791,934.00 739,061.00 0.03
3140X3AX6 Fannie Mae Pool FN 4.0 03/01/2049 832,176.00 799,048.00 0.03
3140X4DE3 Fannie Mae Pool FN 3.0 04/01/2047 783,927.00 708,469.00 0.03
3140X5R70 Fannie Mae Pool FN 3.5 03/01/2049 647,342.00 604,639.00 0.03
3140X7NL9 Fannie Mae Pool FN 3.5 07/01/2047 825,781.00 780,979.00 0.03
3140XGKP3 Fannie Mae Pool FN 3.0 01/01/2050 797,896.00 702,441.00 0.03
3140X8K71 Fannie Mae Pool FN 5.0 06/01/2049 773,038.00 781,005.00 0.03
3140QNE81 Fannie Mae Pool FN 2.5 02/01/2052 774,224.00 661,697.00 0.03
31418D4Y5 Fannie Mae Pool FN 2.5 10/01/2051 743,499.00 629,755.00 0.03
31418DX80 Fannie Mae Pool FN 1.5 04/01/2036 757,181.00 679,374.00 0.03
31418DUF7 Fannie Mae Pool FN 1.5 11/01/2050 949,343.00 730,260.00 0.03
31418DV90 Fannie Mae Pool FN 3.0 01/01/2051 901,639.00 799,151.00 0.03
31418CN83 Fannie Mae Pool FN 2.5 08/01/2032 615,340.00 592,644.00 0.03
31418CRC0 Fannie Mae Pool FN 3.5 11/01/2047 721,843.00 673,164.00 0.03
3140XGSR1 Fannie Mae Pool FN 3.0 02/01/2050 704,338.00 629,451.00 0.03
95040QAK0 Welltower Op Llc WELL 2.7 02/15/2027 775,000.00 761,547.00 0.03
912834NV6 United States Treasury Strip Coupon S 08/15/2044 1,620,000.00 638,722.00 0.03
92556VAE6 Viatris Inc VTRS 3.85 06/22/2040 920,000.00 701,137.00 0.03
922966AC0 Venture Global Plaquemines Lng Llc VEGLPL 6.5 01/15/2034 700,000.00 737,956.00 0.03
922966AD8 Venture Global Plaquemines Lng Llc VEGLPL 6.75 01/15/2036 700,000.00 744,235.00 0.03
USZ5 COMDT US Long Bond(cbt) Dec25 USZ5 12/19/2025 35,561,094.00 765,527.00 0.03
UXYZ5 COMD US 10yr Ultra Fut Dec25 UXYZ5 12/19/2025 57,193,828.00 658,760.00 0.03
CURRENCY Currency 689,337.00 694,898.00 0.03
SWB8ACMDEY SWP: Ois Sofr 4.497000 13-may-2027 05/13/2027 48,850,000.00 789,368.00 0.03
98389BAU4 XCEL Energy Inc XEL 3.35 12/01/2026 510,000.00 505,002.00 0.02
96950FAN4 Williams Cos Inc/the WMB 5.4 03/04/2044 400,000.00 388,868.00 0.02
976826BL0 Wisconsin Power And Light Co LNT 3.05 10/15/2027 535,000.00 524,557.00 0.02
91529YAT3 UNUM Group UNM 6.0 06/15/2054 505,000.00 510,797.00 0.02
9151158F9 Permanent University Fund - University O UNIHGR 3.38 07/01/2047 555,000.00 426,727.00 0.02
912834LK2 United States Treasury Strip Coupon S 05/15/2042 1,195,000.00 535,095.00 0.02
91324PEV0 Unitedhealth Group Inc UNH 4.5 04/15/2033 500,000.00 494,471.00 0.02
912834UR7 United States Treasury Strip Coupon S 05/15/2049 1,210,000.00 377,203.00 0.02
31417DHA4 Fannie Mae Pool FN 3.5 10/01/2042 426,332.00 402,051.00 0.02
31418CPJ7 Fannie Mae Pool FN 2.5 09/01/2032 587,175.00 565,516.00 0.02
31418CM27 Fannie Mae Pool FN 2.5 07/01/2032 544,027.00 523,043.00 0.02
31418CDL5 Fannie Mae Pool FN 3.0 11/01/2046 509,047.00 460,029.00 0.02
31418CXM1 Fannie Mae Pool FN 3.5 06/01/2048 545,179.00 505,485.00 0.02
31418D2K7 Fannie Mae Pool FN 1.5 07/01/2051 742,029.00 570,371.00 0.02
3140X4FB7 Fannie Mae Pool FN 4.0 03/01/2049 544,330.00 522,915.00 0.02
3140X9C60 Fannie Mae Pool FN 2.5 01/01/2051 564,715.00 484,580.00 0.02
3140X7SW0 Fannie Mae Pool FN 3.0 09/01/2046 445,314.00 409,410.00 0.02
3140QMRH9 Fannie Mae Pool FN 2.5 12/01/2051 446,056.00 381,715.00 0.02
3140QDAS3 Fannie Mae Pool FN 2.5 03/01/2050 578,956.00 493,823.00 0.02
3138WG5R1 Fannie Mae Pool FN 3.0 05/01/2046 424,463.00 383,942.00 0.02
3138WJ5W4 Fannie Mae Pool FN 4.0 03/01/2047 374,399.00 358,231.00 0.02
3128MJY53 Freddie Mac Gold Pool FG 2.5 11/01/2046 416,387.00 361,891.00 0.02
3128ME6M8 Freddie Mac Gold Pool FG 3.0 02/01/2032 401,093.00 391,591.00 0.02
3132D6CB4 Freddie Mac Pool FR 3.5 06/01/2037 519,738.00 503,706.00 0.02
3132A9AL1 Freddie Mac Pool FR 2.5 12/01/2032 427,615.00 412,362.00 0.02
3132DWAF0 Freddie Mac Pool FR 2.0 11/01/2050 501,130.00 407,809.00 0.02
3132DWC27 Freddie Mac Pool FR 2.5 01/01/2052 418,167.00 353,760.00 0.02
3136AJGX8 Fannie Mae Remics FNR 4.5 04/01/2042 474,988.00 473,487.00 0.02
3136B6XB4 Fannie Mae-aces FNA 2.1 06/01/2034 431,827.00 426,597.00 0.02
3133Q3G96 Freddie Mac Strips FHS 10/01/2053 443,823.00 379,361.00 0.02
31359MGK3 Federal National Mortgage Association FNMA 6.63 11/15/2030 485,000.00 548,338.00 0.02
3133A6G54 Freddie Mac Pool FR 3.0 06/01/2050 534,890.00 475,418.00 0.02
3132DWEA7 Freddie Mac Pool FR 4.5 05/01/2052 369,629.00 359,934.00 0.02
125523BZ2 Cigna Group/the CI 4.5 02/25/2026 457,000.00 456,765.00 0.02
126650CN8 CVS Health Corp CVS 5.13 07/20/2045 465,000.00 421,890.00 0.02
161175BX1 Charter Communications Operating Llc / C CHTR 2.3 02/01/2032 445,000.00 380,340.00 0.02
161175BL7 Charter Communications Operating Llc / C CHTR 5.38 05/01/2047 530,000.00 457,712.00 0.02
17323YAD1 Citigroup Commercial Mortgage Trust 2015 CGCMT 3.76 06/10/2048 433,846.00 426,018.00 0.02
172967LP4 Citigroup Inc C 3.67 07/24/2028 490,000.00 485,569.00 0.02
172967MD0 Citigroup Inc C 4.65 07/23/2048 440,000.00 392,690.00 0.02
21036PBC1 Constellation Brands Inc STZ 4.65 11/15/2028 450,000.00 455,079.00 0.02
23312VAE6 Dbjpm 2016-c3 Mortgage Trust DBJPM 2.63 08/10/2049 461,095.00 456,428.00 0.02
196500AA0 Colorado Interstate Gas Co Llc / Colorad KMI 4.15 08/15/2026 555,000.00 554,003.00 0.02
29278GAF5 ENEL Finance International Nv ENELIM 3.5 04/06/2028 475,000.00 466,012.00 0.02
29278NAF0 Energy Transfer Lp ET 4.95 06/15/2028 430,000.00 437,376.00 0.02
29278NAR4 Energy Transfer Lp ET 5.0 05/15/2050 565,000.00 483,757.00 0.02
29273VAT7 Energy Transfer Lp ET 6.4 12/01/2030 520,000.00 563,526.00 0.02
29379VBW2 Enterprise Products Operating Llc EPD 4.2 01/31/2050 555,000.00 453,056.00 0.02
247361ZV3 Delta Air Lines 2020-1 Class Aa Pass Thr DAL 2.0 06/10/2028 483,711.00 464,258.00 0.02
25160PAQ0 Deutsche Bank Ag/new York Ny DB 5.37 01/10/2029 525,000.00 536,032.00 0.02
053332BA9 Autozone Inc AZO 1.65 01/15/2031 620,000.00 539,825.00 0.02
05491LAA6 Bbcms 2016-etc Mortgage Trust BBCMS 2.94 08/05/2036 500,000.00 486,761.00 0.02
00287YCY3 Abbvie Inc ABBV 4.55 03/15/2035 360,000.00 354,406.00 0.02
00388WAJ0 ABU Dhabi National Energy Co Pjsc TAQAUH 2.0 04/29/2028 515,000.00 487,735.00 0.02
02361DAR1 Ameren Illinois Co AEE 3.7 12/01/2047 625,000.00 487,911.00 0.02
01F0206A2 Fannie Mae Or Freddie Mac FNCL 2.0 10/01/2055 500,000.00 402,882.00 0.02
015271BA6 Alexandria Real Estate Equities Inc ARE 4.75 04/15/2035 425,000.00 415,460.00 0.02
01538TAA3 ALFA Desarrollo Spa ALFACL 4.55 09/27/2051 649,760.00 518,592.00 0.02
085209AG9 Bermuda Government International Bond BERMUD 2.38 08/20/2030 555,000.00 503,523.00 0.02
084423AU6 W R Berkley Corp WRB 4.0 05/12/2050 545,000.00 426,631.00 0.02
07132JBC7 Battalion Clo X Ltd BATLN 5.75 01/25/2035 400,000.00 400,487.00 0.02
08162PAW1 Benchmark 2018-b1 Mortgage Trust BMARK 3.4 01/01/2051 405,973.00 396,164.00 0.02
097093AC2 BOF Vii Al Funding Trust I BVABS 6.63 07/26/2032 418,602.00 426,070.00 0.02
097023BY0 Boeing Co/the BA 3.55 03/01/2038 495,000.00 410,735.00 0.02
09659W2U7 BNP Paribas Sa BNP 3.13 01/20/2033 475,000.00 432,165.00 0.02
05581KAH4 BNP Paribas Sa BNP 5.18 01/09/2030 465,000.00 476,536.00 0.02
06738ECT0 Barclays Plc BACR 4.84 09/10/2028 400,000.00 404,113.00 0.02
85434VAA6 Stanford Health Care STNFHC 3.8 11/15/2048 450,000.00 354,163.00 0.02
83406TAB8 SOFI Professional Loan Program 2020-atru SOFI 2.54 05/15/2046 464,554.00 449,394.00 0.02
78398AAG8 SFS Auto Receivables Securitization Trus SFAST 5.97 02/20/2031 500,000.00 514,592.00 0.02
80386WAB1 Sasol Financing Usa Llc SASOL 6.5 09/27/2028 400,000.00 398,124.00 0.02
806851AK7 Schlumberger Holdings Corp SLB 3.9 05/17/2028 487,000.00 484,970.00 0.02
744448CS8 Public Service Co Of Colorado XEL 3.2 03/01/2050 720,000.00 493,784.00 0.02
74456QBR6 Public Service Electric And Gas Co PEG 2.25 09/15/2026 370,000.00 364,423.00 0.02
74730DAB9 Qatarenergy QPETRO 1.38 09/12/2026 500,000.00 486,160.00 0.02
78462QAE9 SP Powerassets Ltd SPSP 3.0 09/26/2027 465,000.00 456,341.00 0.02
77587AAC0 Romark Wm-r Ltd RMRK 5.62 04/20/2031 395,551.00 396,102.00 0.02
880591EX6 Tennessee Valley Authority TVA 1.5 09/15/2031 465,000.00 403,674.00 0.02
87264ABL8 T-mobile Usa Inc TMUS 3.0 02/15/2041 640,000.00 480,357.00 0.02
89179JAA4 TOWD Point Mortgage Trust 2020-4 TPMT 1.75 10/01/2060 478,974.00 436,345.00 0.02
89838LAG9 Trustees Of Boston College BOSCOL 3.13 07/01/2052 637,000.00 447,652.00 0.02
893574AM5 Transcontinental Gas Pipe Line Co Llc WMB 4.6 03/15/2048 500,000.00 433,755.00 0.02
893574AR4 Transcontinental Gas Pipe Line Co Llc WMB 3.95 05/15/2050 625,000.00 489,332.00 0.02
65535HAX7 Nomura Holdings Inc NOMURA 2.61 07/14/2031 565,000.00 506,893.00 0.02
61747YFR1 Morgan Stanley MS 5.83 04/19/2035 505,000.00 538,169.00 0.02
628530BJ5 Mylan Inc VTRS 5.2 04/15/2048 625,000.00 511,636.00 0.02
597861AA1 Mymichigan Health MIHLTH 3.41 06/01/2050 740,000.00 525,631.00 0.02
50540RAW2 Laboratory Corp Of America Holdings LH 2.95 12/01/2029 595,000.00 564,104.00 0.02
571903BL6 Marriott International Inc/md MAR 4.9 04/15/2029 510,000.00 520,690.00 0.02
575718AF8 Massachusetts Institute Of Technology MASSIN 3.89 07/01/2116 700,000.00 500,636.00 0.02
56585ABD3 Marathon Petroleum Corp MPC 3.8 04/01/2028 380,000.00 375,994.00 0.02
67777JAK4 Ohiohealth Corp OHCMED 3.04 11/15/2050 795,000.00 548,272.00 0.02
709235T88 Pennsylvania State University/the PSUHGR 2.84 09/01/2050 745,000.00 499,353.00 0.02
720186AL9 Piedmont Natural Gas Co Inc DUK 3.5 06/01/2029 440,000.00 429,177.00 0.02
71654QDE9 Petroleos Mexicanos PEMEX 5.95 01/28/2031 398,000.00 385,861.00 0.02
743820AA0 Providence St Joseph Health Obligated Gr PSJHOG 2.53 10/01/2029 420,000.00 393,003.00 0.02
36179SB71 Ginnie Mae Ii Pool G2 3.0 05/01/2046 445,314.00 404,075.00 0.02
36179SNV5 Ginnie Mae Ii Pool G2 3.5 10/01/2046 626,947.00 582,902.00 0.02
36179SSQ1 Ginnie Mae Ii Pool G2 3.5 12/01/2046 616,238.00 571,776.00 0.02
36179SUX3 Ginnie Mae Ii Pool G2 4.5 01/01/2047 384,490.00 381,153.00 0.02
36179SYR2 Ginnie Mae Ii Pool G2 3.0 03/01/2047 464,448.00 420,690.00 0.02
36179NQ43 Ginnie Mae Ii Pool G2 3.5 10/01/2043 459,764.00 433,345.00 0.02
36179R7J2 Ginnie Mae Ii Pool G2 3.5 04/01/2046 513,994.00 478,576.00 0.02
36179S2P1 Ginnie Mae Ii Pool G2 3.5 04/20/2047 441,287.00 406,300.00 0.02
36179UZS4 Ginnie Mae Ii Pool G2 3.0 09/01/2049 410,003.00 367,581.00 0.02
36179UQ54 Ginnie Mae Ii Pool G2 4.0 04/20/2049 423,590.00 406,958.00 0.02
36179TCY9 Ginnie Mae Ii Pool G2 4.0 07/01/2047 511,427.00 489,300.00 0.02
36179TLS2 Ginnie Mae Ii Pool G2 3.5 11/01/2047 607,963.00 564,357.00 0.02
345285AB6 FORD Credit Auto Owner Trust 2021-rev2 FORDR 1.91 05/15/2034 600,000.00 584,500.00 0.02
31419GRA4 Fannie Mae Pool FN 4.0 11/01/2040 403,767.00 394,198.00 0.02
31418EE55 Fannie Mae Pool FN 4.0 07/01/2052 503,397.00 475,769.00 0.02
31418DZU9 Fannie Mae Pool FN 1.5 06/01/2051 626,067.00 481,036.00 0.02
36179VBF6 Ginnie Mae Ii Pool G2 3.0 12/01/2049 458,296.00 411,299.00 0.02
36179W2T4 Ginnie Mae Ii Pool G2 2.0 04/01/2052 447,887.00 370,269.00 0.02
36179WRZ3 Ginnie Mae Ii Pool G2 2.0 11/01/2051 433,065.00 358,023.00 0.02
36268DAA0 GM Financial Revolving Receivables Trust GMREV 5.77 08/11/2036 500,000.00 524,283.00 0.02
38141GWB6 Goldman Sachs Group Inc/the GS 3.85 01/26/2027 475,000.00 473,771.00 0.02
38378VPP4 Government National Mortgage Association GNR 3.0 07/01/2043 474,794.00 431,581.00 0.02
37045XCG9 General Motors Financial Co Inc GM 3.85 01/05/2028 490,000.00 485,896.00 0.02
37045XDA1 General Motors Financial Co Inc GM 2.7 08/20/2027 375,000.00 364,472.00 0.02
46590MAQ3 JP Morgan Chase Commercial Mortgage Secu JPMCC 2.56 08/01/2049 502,563.00 498,995.00 0.02
46647PBP0 Jpmorgan Chase & Co JPM 2.96 05/13/2031 510,000.00 478,244.00 0.02
50065WAP1 Korea National Oil Corp KOROIL 4.88 04/03/2028 530,000.00 538,962.00 0.02
50065WAQ9 Korea National Oil Corp KOROIL 4.75 04/03/2026 510,000.00 510,918.00 0.02
38383UCS7 Government National Mortgage Association GNR 07/20/2052 14,970,506.00 357,949.00 0.02
38382HVK3 Government National Mortgage Association GNR 3.0 08/01/2050 2,801,823.00 472,127.00 0.02
38382URT0 Government National Mortgage Association GNR 3.0 06/01/2051 3,767,049.00 482,214.00 0.02
42250PAB9 Healthpeak Op Llc DOC 2.88 01/15/2031 630,000.00 580,333.00 0.02
38381RPB9 Government National Mortgage Association GNR 1.94 07/16/2043 3,556,070.00 274,007.00 0.01
39571MAB4 Greensky Home Improvement Trust 2024-1 GSKY 5.88 07/25/2059 204,584.00 205,649.00 0.01
38383TWK5 Government National Mortgage Association GNR 1.6 07/20/2052 2,682,988.00 220,525.00 0.01
52474JAA4 Legacy Mortgage Asset Trust 2021-gs1 LMAT 5.89 10/25/2066 236,083.00 236,099.00 0.01
53079EBJ2 Liberty Mutual Group Inc LIBMUT 3.95 10/15/2050 450,000.00 344,294.00 0.01
53079EBK9 Liberty Mutual Group Inc LIBMUT 3.95 05/15/2060 185,000.00 131,021.00 0.01
48250MAK3 KKR Clo 11 Ltd KKR 5.76 01/15/2031 122,361.00 122,609.00 0.01
46647PCB0 Jpmorgan Chase & Co JPM 1.58 04/22/2027 215,000.00 211,858.00 0.01
46647PCW4 Jpmorgan Chase & Co JPM 2.95 02/24/2028 215,000.00 211,588.00 0.01
46647PDA1 Jpmorgan Chase & Co JPM 4.32 04/26/2028 165,000.00 165,413.00 0.01
462613AP5 Ipalco Enterprises Inc AES 4.25 05/01/2030 240,000.00 234,955.00 0.01
465077AL9 Israel Electric Corp Ltd ISRELE 4.25 08/14/2028 235,000.00 231,127.00 0.01
46647PAL0 Jpmorgan Chase & Co JPM 3.96 11/15/2048 355,000.00 290,115.00 0.01
36263HAB4 GM Financial Revolving Receivables Trust GMREV 1.49 06/12/2034 200,000.00 194,866.00 0.01
36202FZZ2 Ginnie Mae Ii Pool G2 4.5 12/01/2041 239,610.00 241,620.00 0.01
3622A2Y97 Ginnie Mae Ii Pool G2 3.5 05/01/2047 343,603.00 319,031.00 0.01
38379BRW0 Government National Mortgage Association GNR 1.85 09/20/2043 2,721,584.00 138,541.00 0.01
38141GWZ3 Goldman Sachs Group Inc/the GS 4.22 05/01/2029 125,000.00 125,136.00 0.01
36179XLH7 Ginnie Mae Ii Pool G2 5.0 11/01/2052 209,428.00 209,568.00 0.01
36179XNF9 Ginnie Mae Ii Pool G2 5.0 12/01/2052 164,477.00 164,781.00 0.01
36179WQB7 Ginnie Mae Ii Pool G2 3.0 10/01/2051 378,795.00 338,478.00 0.01
31418EBH2 Fannie Mae Pool FN 1.5 02/01/2042 399,892.00 336,807.00 0.01
31418EBS8 Fannie Mae Pool FN 2.5 02/01/2052 404,924.00 342,190.00 0.01
31418EBU3 Fannie Mae Pool FN 3.5 02/01/2052 378,445.00 348,349.00 0.01
31418EHJ2 Fannie Mae Pool FN 4.0 09/01/2052 174,205.00 164,778.00 0.01
31424QMF9 Fannie Mae Interest Strip FNS 3.0 08/01/2052 1,546,162.00 283,525.00 0.01
345370CQ1 FORD Motor Co F 4.75 01/15/2043 205,000.00 163,456.00 0.01
349553AM9 Fortis Inc/canada FTSCN 3.06 10/04/2026 217,000.00 214,617.00 0.01
36179M5L0 Ginnie Mae Ii Pool G2 3.0 03/01/2043 204,665.00 188,286.00 0.01
36179MG46 Ginnie Mae Ii Pool G2 3.0 07/01/2042 301,585.00 277,947.00 0.01
36179MVS6 Ginnie Mae Ii Pool G2 3.5 12/01/2042 144,674.00 137,254.00 0.01
36179MX47 Ginnie Mae Ii Pool G2 3.5 01/01/2043 216,831.00 205,713.00 0.01
36179NLD8 Ginnie Mae Ii Pool G2 3.5 08/01/2043 348,206.00 328,629.00 0.01
36179TLT0 Ginnie Mae Ii Pool G2 4.0 11/01/2047 346,581.00 331,586.00 0.01
36179UGB2 Ginnie Mae Ii Pool G2 3.5 11/01/2048 193,038.00 178,714.00 0.01
36179TQP3 Ginnie Mae Ii Pool G2 3.5 01/01/2048 164,853.00 153,030.00 0.01
36179TSJ5 Ginnie Mae Ii Pool G2 4.5 02/01/2048 309,390.00 307,021.00 0.01
36179UST0 Ginnie Mae Ii Pool G2 3.5 05/01/2049 259,630.00 239,068.00 0.01
36179UV74 Ginnie Mae Ii Pool G2 3.0 07/01/2049 330,643.00 297,050.00 0.01
36179UCB6 Ginnie Mae Ii Pool G2 4.0 09/01/2048 138,203.00 132,221.00 0.01
36179UMK5 Ginnie Mae Ii Pool G2 3.5 02/01/2049 166,156.00 153,780.00 0.01
36179UML3 Ginnie Mae Ii Pool G2 4.0 02/01/2049 140,852.00 134,496.00 0.01
36179S5M5 Ginnie Mae Ii Pool G2 4.0 05/01/2047 130,142.00 124,512.00 0.01
36179RLQ0 Ginnie Mae Ii Pool G2 4.0 08/01/2045 138,041.00 132,240.00 0.01
36179RBX6 Ginnie Mae Ii Pool G2 3.5 04/01/2045 268,918.00 251,134.00 0.01
36179QBH3 Ginnie Mae Ii Pool G2 4.5 04/01/2044 158,791.00 157,739.00 0.01
36179NVP0 Ginnie Mae Ii Pool G2 4.0 12/01/2043 142,884.00 137,938.00 0.01
36179SSN8 Ginnie Mae Ii Pool G2 2.5 12/01/2046 200,507.00 176,932.00 0.01
36179T4P7 Ginnie Mae Ii Pool G2 4.0 07/01/2048 156,008.00 149,127.00 0.01
36179R4F3 Ginnie Mae Ii Pool G2 4.0 03/01/2046 126,120.00 121,133.00 0.01
36179SGL5 Ginnie Mae Ii Pool G2 3.5 07/01/2046 316,754.00 292,772.00 0.01
74251VAN2 Principal Financial Group Inc PFG 4.3 11/15/2046 140,000.00 119,891.00 0.01
718547AF9 Phillips 66 Co PSX 3.55 10/01/2026 310,000.00 308,288.00 0.01
72650RBM3 Plains All American Pipeline Lp / Paa Fi PAA 3.55 12/15/2029 350,000.00 337,973.00 0.01
709223A27 Pennsylvania Turnpike Commission PASTRN 5.51 12/01/2045 150,000.00 148,314.00 0.01
698299BH6 Panama Government International Bond PANAMA 4.5 04/16/2050 200,000.00 150,877.00 0.01
69351UAW3 PPL Electric Utilities Corp PPL 3.0 10/01/2049 235,000.00 157,904.00 0.01
69377FAA4 Freeport Indonesia Pt FRIDPT 4.76 04/14/2027 225,000.00 225,450.00 0.01
677415CQ2 OHIO Power Co AEP 4.15 04/01/2048 250,000.00 198,245.00 0.01
68267EAA2 Onemain Direct Auto Receivables Trust 20 ODART 3.63 09/14/2027 285,414.00 285,174.00 0.01
674599DE2 Occidental Petroleum Corp OXY 7.88 09/15/2031 250,000.00 284,409.00 0.01
67077MAS7 Nutrien Ltd NTRCN 5.25 01/15/2045 248,000.00 234,521.00 0.01
682680BW2 Oneok Inc OKE 4.2 03/15/2045 275,000.00 213,827.00 0.01
68268NAG8 Oneok Partners Lp OKE 6.13 02/01/2041 300,000.00 307,691.00 0.01
693304AX5 PECO Energy Co EXC 3.0 09/15/2049 180,000.00 120,823.00 0.01
570535AQ7 Markel Group Inc MKL 5.0 04/05/2046 217,000.00 197,716.00 0.01
571903AS2 Marriott International Inc/md MAR 3.13 06/15/2026 250,000.00 247,967.00 0.01
595620AR6 Midamerican Energy Co BRKHEC 3.95 08/01/2047 225,000.00 181,281.00 0.01
595620AU9 Midamerican Energy Co BRKHEC 4.25 07/15/2049 350,000.00 292,656.00 0.01
534187AW9 Lincoln National Corp LNC 6.3 10/09/2037 115,000.00 123,436.00 0.01
544435C32 CITY Of Los Angeles Department Of Airpor LOSAPT 6.58 05/15/2039 245,000.00 265,433.00 0.01
55336VAM2 MPLX Lp MPLX 4.5 04/15/2038 270,000.00 244,422.00 0.01
55336VAT7 MPLX Lp MPLX 5.5 02/15/2049 210,000.00 195,532.00 0.01
61744YAK4 Morgan Stanley MS 3.59 07/22/2028 310,000.00 306,733.00 0.01
62432BAN3 Mountain View Clo Ix Ltd MVW 5.7 07/15/2031 233,265.00 233,383.00 0.01
629377CN0 NRG Energy Inc NRG 2.0 12/02/2025 280,000.00 278,403.00 0.01
63941GAB0 Navient Private Education Refi Loan Trus NAVSL 2.12 01/15/2069 291,857.00 279,050.00 0.01
63941HAA0 Navient Private Education Refi Loan Trus NAVSL 1.69 05/15/2069 213,191.00 202,682.00 0.01
646139X83 NEW Jersey Turnpike Authority NJSTRN 7.1 01/01/2041 250,000.00 289,554.00 0.01
89788MAP7 Truist Financial Corp TFC 5.87 06/08/2034 330,000.00 349,646.00 0.01
89183CAA3 TOWD Point Mortgage Trust 2024-ces1 TPMT 5.85 01/25/2064 187,707.00 189,026.00 0.01
912810UK2 United States Treasury Note/bond T 4.75 05/15/2055 220,000.00 220,687.00 0.01
90932EAA1 United Airlines 2016-2 Class Aa Pass Thr UAL 2.88 10/07/2028 249,449.00 237,595.00 0.01
90932JAA0 United Airlines 2019-2 Class Aa Pass Thr UAL 2.7 05/01/2032 340,600.00 310,705.00 0.01
87264AAX3 T-mobile Usa Inc TMUS 4.38 04/15/2040 380,000.00 343,021.00 0.01
882384AD2 Texas Eastern Transmission Lp SEP 3.5 01/15/2028 300,000.00 295,210.00 0.01
882667AZ1 Texas Private Activity Bond Surface Tran TXSTRN 3.92 12/31/2049 340,000.00 269,439.00 0.01
78398AAF0 SFS Auto Receivables Securitization Trus SFAST 5.71 01/22/2030 300,000.00 307,700.00 0.01
797440BW3 SAN Diego Gas & Electric Co SRE 4.15 05/15/2048 420,000.00 340,395.00 0.01
78471HAB4 SOFI Professional Loan Program 2019-a Ll SOFI 3.69 06/15/2048 151,568.00 150,552.00 0.01
756109BA1 Realty Income Corp O 1.8 03/15/2033 325,000.00 268,787.00 0.01
74743LAA8 Qnity Electronics Inc QNTELE 5.75 08/15/2032 130,000.00 131,129.00 0.01
744448CQ2 Public Service Co Of Colorado XEL 4.1 06/15/2048 235,000.00 188,901.00 0.01
74456QCD6 Public Service Electric And Gas Co PEG 2.7 05/01/2050 390,000.00 246,698.00 0.01
80287DAE7 Santander Drive Auto Receivables Trust 2 SDART 6.4 03/17/2031 300,000.00 310,113.00 0.01
83608GAN6 Sound Point Clo Ii Ltd SNDPT 5.65 01/26/2031 200,515.00 200,635.00 0.01
83401CAB0 SOFI Professional Loan Program 2019-c Ll SOFI 2.37 11/16/2048 242,316.00 234,065.00 0.01
83390UAF4 SOFI Professional Loan Program 2020-c Tr SOFI 1.95 02/15/2046 268,945.00 252,442.00 0.01
845743BR3 Southwestern Public Service Co XEL 3.7 08/15/2047 355,000.00 267,891.00 0.01
84756NAH2 Spectra Energy Partners Lp ENBCN 3.38 10/15/2026 140,000.00 139,041.00 0.01
842400GT4 Southern California Edison Co EIX 3.65 02/01/2050 290,000.00 202,947.00 0.01
06051GHM4 BANK Of America Corp BAC 4.27 07/23/2029 320,000.00 320,974.00 0.01
097023CB9 Boeing Co/the BA 3.85 11/01/2048 455,000.00 338,709.00 0.01
097023CV5 Boeing Co/the BA 5.71 05/01/2040 190,000.00 193,911.00 0.01
06849RAK8 Barrick North America Finance Llc ABXCN 5.75 05/01/2043 190,000.00 196,647.00 0.01
013051EM5 Province Of Alberta Canada ALTA 1.3 07/22/2030 175,000.00 154,330.00 0.01
00766TAE0 AECOM ACM 6.0 08/01/2033 225,000.00 230,115.00 0.01
00817YAG3 Aetna Inc AET 6.75 12/15/2037 170,000.00 187,797.00 0.01
00287YCA5 Abbvie Inc ABBV 4.05 11/21/2039 285,000.00 255,015.00 0.01
001306AB5 AHS Hospital Corp AHSCRP 5.02 07/01/2045 200,000.00 191,618.00 0.01
00206RCP5 AT&T Inc T 4.5 05/15/2035 205,000.00 197,798.00 0.01
04352EAB1 Ascension Health ASCHEA 3.11 11/15/2039 265,000.00 209,730.00 0.01
05523RAD9 BAE Systems Plc BALN 3.4 04/15/2030 335,000.00 322,624.00 0.01
05526DBB0 BAT Capital Corp BATSLN 3.56 08/15/2027 120,000.00 118,680.00 0.01
03040WAP0 American Water Capital Corp AWK 4.0 12/01/2046 145,000.00 119,116.00 0.01
03066RAE5 Americredit Automobile Receivables Trust AMCAR 1.01 01/19/2027 340,750.00 339,062.00 0.01
03522AAH3 Anheuser-busch Cos Llc / Anheuser-busch ABIBB 4.7 02/01/2036 180,000.00 177,095.00 0.01
040555DB7 Arizona Public Service Co PNW 3.35 05/15/2050 485,000.00 340,708.00 0.01
26444HAA9 DUKE Energy Florida Llc DUK 3.4 10/01/2046 185,000.00 136,811.00 0.01
26444HAF8 DUKE Energy Florida Llc DUK 4.2 07/15/2048 205,000.00 168,277.00 0.01
26078JAF7 Dupont De Nemours Inc DD 5.42 11/15/2048 270,000.00 267,059.00 0.01
26441CAS4 DUKE Energy Corp DUK 2.65 09/01/2026 145,000.00 143,241.00 0.01
26441CAY1 DUKE Energy Corp DUK 3.95 08/15/2047 185,000.00 143,971.00 0.01
29379VBY8 Enterprise Products Operating Llc EPD 3.7 01/31/2051 445,000.00 331,044.00 0.01
29364WBA5 Entergy Louisiana Llc ETR 4.0 03/15/2033 170,000.00 163,207.00 0.01
20030NDM0 Comcast Corp CMCSA 1.95 01/15/2031 275,000.00 244,197.00 0.01
233331AY3 DTE Energy Co DTE 2.85 10/01/2026 350,000.00 345,629.00 0.01
23338VAH9 DTE Electric Co DTE 4.05 05/15/2048 370,000.00 305,101.00 0.01
225401AP3 UBS Group Ag UBS 4.19 04/01/2031 250,000.00 246,942.00 0.01
212015AU5 Continental Resources Inc/ok CLR 2.27 11/15/2026 330,000.00 321,611.00 0.01
18551PAE9 Cleco Corporate Holdings Llc CNL 3.38 09/15/2029 305,000.00 285,070.00 0.01
15135UAR0 Cenovus Energy Inc CVECN 5.4 06/15/2047 229,000.00 211,433.00 0.01
161175CE2 Charter Communications Operating Llc / C CHTR 3.5 03/01/2042 440,000.00 316,932.00 0.01
161175BA1 Charter Communications Operating Llc / C CHTR 6.48 10/23/2045 275,000.00 271,641.00 0.01
15189XAQ1 Centerpoint Energy Houston Electric Llc CNP 2.4 09/01/2026 190,000.00 187,271.00 0.01
136385AL5 Canadian Natural Resources Ltd CNQCN 6.25 03/15/2038 175,000.00 186,294.00 0.01
125523CB4 Cigna Group/the CI 3.4 03/01/2027 325,000.00 321,971.00 0.01
126650CD0 CVS Health Corp CVS 5.3 12/05/2043 155,000.00 145,024.00 0.01
11135FBP5 Broadcom Inc AVGO 3.14 11/15/2035 287,000.00 248,464.00 0.01
3132WK6Q6 Freddie Mac Gold Pool FG 3.5 02/01/2047 210,595.00 196,672.00 0.01
3132WPRQ2 Freddie Mac Gold Pool FG 4.5 07/01/2047 157,955.00 156,183.00 0.01
3132Y0CA6 Freddie Mac Gold Pool FG 4.0 05/01/2048 123,489.00 118,805.00 0.01
31335AYG7 Freddie Mac Gold Pool FG 4.5 07/01/2045 153,243.00 153,843.00 0.01
31335BU38 Freddie Mac Gold Pool FG 5.0 02/01/2048 170,621.00 172,840.00 0.01
31335BZB5 Freddie Mac Gold Pool FG 4.0 07/01/2048 237,602.00 228,577.00 0.01
3132GS4K2 Freddie Mac Gold Pool FG 4.0 04/01/2042 126,192.00 122,880.00 0.01
3132HMK75 Freddie Mac Gold Pool FG 3.5 09/01/2042 187,230.00 177,053.00 0.01
3132HNH51 Freddie Mac Gold Pool FG 3.5 10/01/2042 230,524.00 217,849.00 0.01
3133KMSU0 Freddie Mac Pool FR 2.0 09/01/2051 399,421.00 326,551.00 0.01
3135G05Q2 Federal National Mortgage Association FNMA 0.88 08/05/2030 235,000.00 205,296.00 0.01
3133AUTM0 Freddie Mac Pool FR 2.5 10/01/2051 263,664.00 225,507.00 0.01
3133KYUA5 Freddie Mac Pool FR 2.0 10/01/2040 327,465.00 287,623.00 0.01
3136B9GC5 Fannie Mae Remics FNR 1.58 04/25/2050 1,047,432.00 140,656.00 0.01
3137FT6T9 Freddie Mac Remics FHR 4.0 05/01/2040 1,590,484.00 239,499.00 0.01
3137FXHY7 Freddie Mac Remics FHR 3.0 10/01/2050 738,368.00 133,153.00 0.01
3138A5BP6 Fannie Mae Pool FN 4.0 02/01/2041 264,664.00 257,792.00 0.01
3138A7H76 Fannie Mae Pool FN 4.0 02/01/2041 162,960.00 158,795.00 0.01
3138A9Y65 Fannie Mae Pool FN 4.5 08/01/2041 156,452.00 156,443.00 0.01
3138EENK1 Fannie Mae Pool FN 3.5 04/01/2042 123,846.00 117,509.00 0.01
3132DWBZ5 Freddie Mac Pool FR 2.5 07/01/2051 397,120.00 337,206.00 0.01
3132DVKN4 Freddie Mac Pool FR 4.0 07/01/2049 312,512.00 301,037.00 0.01
3132A8XR5 Freddie Mac Pool FR 2.5 10/01/2032 222,396.00 213,688.00 0.01
3132ACYG9 Freddie Mac Pool FR 3.5 10/01/2048 212,350.00 196,559.00 0.01
3128MJZF0 Freddie Mac Gold Pool FG 3.0 01/01/2047 343,487.00 310,790.00 0.01
3131XJS60 Freddie Mac Pool FR 3.5 06/01/2042 148,731.00 140,844.00 0.01
31329JPT8 Freddie Mac Pool FR 3.5 07/01/2042 148,184.00 140,142.00 0.01
3128MFCN6 Freddie Mac Gold Pool FG 2.0 01/01/2032 188,996.00 180,099.00 0.01
3128MJ2W9 Freddie Mac Gold Pool FG 3.5 11/01/2047 139,435.00 130,097.00 0.01
3128MJ2Y5 Freddie Mac Gold Pool FG 4.5 11/01/2047 268,763.00 265,749.00 0.01
30040WAE8 Eversource Energy ES 3.3 01/15/2028 335,000.00 327,784.00 0.01
30216JAC9 Export-import Bank Of India EXIMBK 3.88 02/01/2028 290,000.00 287,100.00 0.01
3128M9X64 Freddie Mac Gold Pool FG 3.0 07/01/2043 196,332.00 180,651.00 0.01
3128MJYG9 Freddie Mac Gold Pool FG 3.0 06/01/2046 326,909.00 295,994.00 0.01
3128MJWB2 Freddie Mac Gold Pool FG 3.5 05/01/2045 125,530.00 118,155.00 0.01
3128MJ4M9 Freddie Mac Gold Pool FG 4.5 07/01/2048 171,220.00 168,993.00 0.01
31292R7M8 Freddie Mac Gold Pool FG 3.5 06/01/2042 142,483.00 135,090.00 0.01
312942AZ8 Freddie Mac Gold Pool FG 5.0 08/01/2040 154,695.00 158,613.00 0.01
3129442R1 Freddie Mac Gold Pool FG 4.0 01/01/2041 149,397.00 144,895.00 0.01
3138WJYT9 Fannie Mae Pool FN 4.0 02/01/2047 273,339.00 262,878.00 0.01
3138WH6K3 Fannie Mae Pool FN 2.5 10/01/2046 154,853.00 133,661.00 0.01
3138WFPH3 Fannie Mae Pool FN 3.5 09/01/2045 178,052.00 167,387.00 0.01
3138WHXF4 Fannie Mae Pool FN 2.5 09/01/2046 140,844.00 122,138.00 0.01
3138YWJV0 Fannie Mae Pool FN 3.5 10/01/2045 192,201.00 180,176.00 0.01
3140FPC98 Fannie Mae Pool FN 3.5 06/01/2047 280,659.00 262,196.00 0.01
3140FPDG1 Fannie Mae Pool FN 4.0 06/01/2047 221,329.00 212,790.00 0.01
3140FPFH7 Fannie Mae Pool FN 3.5 07/01/2047 178,909.00 167,140.00 0.01
3138WEV30 Fannie Mae Pool FN 3.5 06/01/2045 126,200.00 118,642.00 0.01
3138WEZ51 Fannie Mae Pool FN 3.5 06/01/2045 209,050.00 196,443.00 0.01
3138W4CS8 Fannie Mae Pool FN 3.0 02/01/2043 146,547.00 134,957.00 0.01
3138WDBG5 Fannie Mae Pool FN 4.0 10/01/2044 161,576.00 155,711.00 0.01
3138LTKF4 Fannie Mae Pool FN 3.5 05/01/2042 124,107.00 117,756.00 0.01
3138LTN46 Fannie Mae Pool FN 3.5 06/01/2042 322,369.00 304,676.00 0.01
3138M7CD5 Fannie Mae Pool FN 3.5 10/01/2042 189,087.00 180,271.00 0.01
3138MDTS1 Fannie Mae Pool FN 3.5 10/01/2042 213,111.00 201,106.00 0.01
3138EKBW4 Fannie Mae Pool FN 5.0 03/01/2042 156,911.00 160,695.00 0.01
3138ENJU4 Fannie Mae Pool FN 4.5 08/01/2044 163,551.00 162,379.00 0.01
3138ER3T5 Fannie Mae Pool FN 3.5 07/01/2031 145,429.00 143,957.00 0.01
3138ERK82 Fannie Mae Pool FN 4.0 10/01/2043 127,988.00 125,404.00 0.01
3140KVKL3 Fannie Mae Pool FN 2.5 12/01/2050 239,139.00 204,916.00 0.01
3140Q7TU1 Fannie Mae Pool FN 5.0 10/01/2047 130,953.00 132,496.00 0.01
3140GWPE7 Fannie Mae Pool FN 3.5 08/01/2047 136,850.00 127,128.00 0.01
3140GYGZ6 Fannie Mae Pool FN 3.5 01/01/2048 132,285.00 123,098.00 0.01
3140H1RJ1 Fannie Mae Pool FN 3.5 01/01/2048 188,464.00 175,754.00 0.01
3140JAT99 Fannie Mae Pool FN 3.0 12/01/2045 340,103.00 312,541.00 0.01
3140J9FS5 Fannie Mae Pool FN 4.0 10/01/2048 194,875.00 187,536.00 0.01
3140X7VJ5 Fannie Mae Pool FN 3.5 06/01/2049 266,980.00 248,444.00 0.01
3140X86B8 Fannie Mae Pool FN 2.5 06/01/2046 276,707.00 245,410.00 0.01
3140X4DF0 Fannie Mae Pool FN 3.5 11/01/2048 140,212.00 130,761.00 0.01
3140XBEN6 Fannie Mae Pool FN 4.0 07/01/2049 184,222.00 175,097.00 0.01
31418CR97 Fannie Mae Pool FN 4.0 12/01/2047 142,997.00 137,774.00 0.01
31418CXP4 Fannie Mae Pool FN 4.5 06/01/2048 135,960.00 134,215.00 0.01
31418CZG2 Fannie Mae Pool FN 3.5 08/01/2048 289,653.00 268,174.00 0.01
31418DMJ8 Fannie Mae Pool FN 3.0 03/01/2050 341,566.00 302,867.00 0.01
31418DTP7 Fannie Mae Pool FN 1.5 10/01/2050 335,328.00 257,818.00 0.01
31418DUG5 Fannie Mae Pool FN 2.0 11/01/2050 329,542.00 268,312.00 0.01
31418D3Y6 Fannie Mae Pool FN 2.5 09/01/2051 412,895.00 350,428.00 0.01
31418CG65 Fannie Mae Pool FN 3.0 03/01/2047 373,097.00 337,166.00 0.01
31418CPE8 Fannie Mae Pool FN 3.5 09/01/2047 222,288.00 207,249.00 0.01
31418CRD8 Fannie Mae Pool FN 4.0 11/01/2047 135,452.00 130,191.00 0.01
31418CUB8 Fannie Mae Pool FN 4.0 02/01/2048 133,305.00 128,099.00 0.01
31418CV27 Fannie Mae Pool FN 3.5 04/01/2048 361,774.00 335,921.00 0.01
31417AQL6 Fannie Mae Pool FN 4.0 12/01/2041 166,363.00 161,801.00 0.01
31418CBX1 Fannie Mae Pool FN 3.5 08/01/2031 166,761.00 164,850.00 0.01
31418AKW7 Fannie Mae Pool FN 3.0 10/01/2042 154,356.00 142,049.00 0.01
31418BXZ4 Fannie Mae Pool FN 3.5 01/01/2046 157,260.00 147,516.00 0.01
31418C3C6 Fannie Mae Pool FN 3.5 10/01/2048 195,052.00 180,567.00 0.01
31417F3F3 Fannie Mae Pool FN 3.0 04/01/2043 183,364.00 168,592.00 0.01
31417GZP4 Fannie Mae Pool FN 3.0 06/01/2043 240,703.00 221,236.00 0.01
912834LR7 United States Treasury Strip Coupon S 08/15/2042 415,000.00 183,117.00 0.01
912834PT9 United States Treasury Strip Coupon S 11/15/2045 865,000.00 319,888.00 0.01
912834PZ5 United States Treasury Strip Coupon S 02/15/2046 415,000.00 151,777.00 0.01
914748AA6 University Of Notre Dame Du Lac UNIVND 3.39 02/15/2048 365,000.00 275,328.00 0.01
92343VHA5 Verizon Communications Inc VZ 5.4 07/02/2037 147,000.00 149,343.00 0.01
958254AJ3 Western Midstream Operating Lp WES 5.3 03/01/2048 320,000.00 279,054.00 0.01
92922F4M7 WAMU Mortgage Pass-through Certificates WAMU 4.13 10/25/2045 125,256.00 123,914.00 0.01
927804FX7 Virginia Electric And Power Co D 3.5 03/15/2027 185,000.00 183,588.00 0.01
927804FZ2 Virginia Electric And Power Co D 3.8 04/01/2028 290,000.00 288,743.00 0.01
92915CAQ7 VOYA Clo 2016-1 Ltd VOYA 5.66 01/20/2031 191,335.00 191,487.00 0.01
98163HAE9 World Omni Select Auto Trust 2021-a WOSAT 1.09 11/15/2027 197,318.00 196,996.00 0.01
SWB8ADUF5X Trswap: Tbond 2.25 15-aug-49 10/27/2025 10/27/2025 40,665,000.00 154,775.00 0.01
SWB8ADVBCQ Trswap: Tbond 3.000 15-feb-2049 11/06/20 11/06/2025 19,925,000.00 285,080.00 0.01
SWTRE8ADUF TRS On Fi Credit Bond Leg Accrual 2.25 10/27/2025 40,665,000.00 119,453.00 0.01
SWB8AEG3V8 Trswap: Trsbench7 Index 3/17/2026 Jpm_r 03/17/2026 -99,986.00 122,893.00 0.01
SWB8AEH816 Scds: (frtr) 0.25 06/21/2027 1,075,000.00 1,945.00 0.00
SWB8AEH8AS Scds: (c) 1.0 12/21/2026 4,835,000.00 41,219.00 0.00
TUZ5 COMDT US 2yr Note (cbt) Dec25 TUZ5 12/31/2025 67,312,695.00 57,917.00 0.00
TYZ5 COMDT US 10yr Note (cbt)dec25 TYZ5 12/19/2025 76,837,500.00 101,812.00 0.00
SWTRE8ADVB TRS On Fi Credit Bond Leg Accrual 3.0 11/06/2025 19,925,000.00 78,039.00 0.00
SWTRE8AEEJ TRS On Fi Credit Bond Leg Accrual 3.38 03/11/2026 29,165,000.00 54,684.00 0.00
SWB8AD3GPB Morgan Stanley Cds 20251220 1.0 12/20/2025 2,470,000.00 4,869.00 0.00
SWB8AD3GPH Citigroup Inc Cds 20251220 1.0 12/20/2025 2,470,000.00 4,737.00 0.00
SWB8AD3GPM BANK Of America Corp Cds 20251220 1.0 12/20/2025 2,470,000.00 4,896.00 0.00
SWB8ADBQBM Norway Kingdom Of (government) Cds 20251 12/20/2025 5,500,000.00 -403.00 0.00
SWB8ADGPJ3 Scds: (greece) 1.00000 20 Dec 2027 1.0 12/20/2027 410,000.00 7,477.00 0.00
SWB8ADGPJR Scds: (greece) 1.00000 20 Jun 2027 1.0 06/20/2027 545,000.00 8,051.00 0.00
SWB8ADXF40 Scds: (unh) 1.0 06/22/2026 1,140,000.00 7,293.00 0.00
SWB8AE8KGV Scds: (usa) 0.25 12/22/2025 4,780,000.00 1,600.00 0.00
SWB8AE9YD2 CMS 2y 30y Single Look 05/13/2026 3,455,000.00 44.00 0.00
SWB8AE9ZK0 CMS 2y 30y Single Look 05/13/2026 1,727,000.00 22.00 0.00
SWB8AECA4K Scds: (frtr) 0.25 06/20/2035 780,000.00 -28,175.00 0.00
SWB8AECAQY Scds: (bac) 1.0 12/22/2025 775,000.00 1,536.00 0.00
SWB8AECX55 Scds: (frtr) 0.25 06/20/2035 505,000.00 -18,241.00 0.00
SWB8AED3NP Scds: (googl) 1.0 06/20/2030 2,815,000.00 83,150.00 0.00
SWB8AEDA0E Scds: (ksa) 1.0 03/20/2026 120,000.00 450.00 0.00
SWB8AEDA0Z Scds: (ksa) 1.0 06/22/2026 120,000.00 665.00 0.00
SWB8AEEJF9 Trswap: Tbond 3.375 15-nov-48 03/11/2026 03/11/2026 29,165,000.00 7,073.00 0.00
BBG014163P Sfrz5c 99.25 Pit SFRZ5C 99. 12/12/2025 -17,500.00 -43.00 0.00
BBG014163P Sfrz5c 99.75 Pit SFRZ5C 99. 12/12/2025 40,000.00 100.00 0.00
FVZ5 COMDT US 5yr Note (cbt) Dec25 FVZ5 12/31/2025 69,775,805.00 39,362.00 0.00
SWB8ABWYG5 SWP: Ois Sofr 4.699000 25-sep-2026 09/25/2026 -2,245,000.00 -22,835.00 0.00
92917CAE2 VOYA Clo 2013-1 Ltd INGIM 5.79 10/15/2030 53,357.00 53,361.00 0.00
929227QB5 WAMU Mortgage Pass-through Certificates WAMU 4.11 06/01/2042 15,640.00 14,674.00 0.00
9393357P4 WAMU Mortgage Pass-through Certificates WAMU 4.11 08/01/2042 1,052.00 1,024.00 0.00
91412GXE0 University Of California UNVHGR 3.93 05/15/2045 30,000.00 27,407.00 0.00
91412GXY6 University Of California UNVHGR 4.13 05/15/2045 30,000.00 27,291.00 0.00
915217WX7 University Of Virginia UNIHGR 4.18 09/01/2117 130,000.00 98,974.00 0.00
912834UB2 United States Treasury Strip Coupon S 11/15/2048 95,000.00 30,345.00 0.00
912834UH9 United States Treasury Strip Coupon S 02/15/2049 280,000.00 88,320.00 0.00
912834MZ8 United States Treasury Strip Coupon S 11/15/2043 2,000.00 821.00 0.00
31417GZX7 Fannie Mae Pool FN 3.5 06/01/2043 112,580.00 106,121.00 0.00
31417VQ71 Fannie Mae Pool FN 5.5 01/01/2040 74,256.00 76,702.00 0.00
31417YTR8 Fannie Mae Pool FN 5.0 09/01/2030 5,521.00 5,573.00 0.00
31416YYR3 Fannie Mae Pool FN 4.5 08/01/2041 64,250.00 64,279.00 0.00
31417AEL9 Fannie Mae Pool FN 3.5 10/01/2041 57,485.00 54,685.00 0.00
31418C4X9 Fannie Mae Pool FN 4.5 12/01/2048 107,907.00 106,389.00 0.00
31418C7F5 Fannie Mae Pool FN 4.5 02/01/2049 34,785.00 34,268.00 0.00
31417DNB5 Fannie Mae Pool FN 3.0 10/01/2042 96,147.00 88,420.00 0.00
31418CW26 Fannie Mae Pool FN 3.5 05/01/2033 27,600.00 27,219.00 0.00
31418CUJ1 Fannie Mae Pool FN 3.5 02/01/2033 67,446.00 66,595.00 0.00
31418CRE6 Fannie Mae Pool FN 4.5 11/01/2047 101,146.00 99,520.00 0.00
31418CPK4 Fannie Mae Pool FN 3.0 09/01/2032 32,670.00 31,801.00 0.00
31418CQB3 Fannie Mae Pool FN 4.0 10/01/2047 69,929.00 67,213.00 0.00
31418CDM3 Fannie Mae Pool FN 3.5 11/01/2046 77,758.00 72,691.00 0.00
31418CCT9 Fannie Mae Pool FN 2.5 10/01/2046 86,008.00 74,656.00 0.00
31418DVA7 Fannie Mae Pool FN 2.0 12/01/2050 35,089.00 28,562.00 0.00
31418D3K6 Fannie Mae Pool FN 3.5 08/01/2051 33,771.00 31,085.00 0.00
3140J9G21 Fannie Mae Pool FN 3.5 12/01/2030 35,639.00 35,272.00 0.00
3140Q8XE0 Fannie Mae Pool FN 5.0 01/01/2048 31,263.00 31,590.00 0.00
3138ETQL3 Fannie Mae Pool FN 6.0 07/01/2041 43,428.00 45,764.00 0.00
3138EPAG9 Fannie Mae Pool FN 4.5 01/01/2045 84,959.00 84,744.00 0.00
3138NY4L6 Fannie Mae Pool FN 2.5 02/01/2043 55,334.00 49,632.00 0.00
3138WENL9 Fannie Mae Pool FN 2.5 05/01/2030 111,480.00 108,227.00 0.00
3138WEU49 Fannie Mae Pool FN 3.0 06/01/2030 61,849.00 60,652.00 0.00
3138WCUT8 Fannie Mae Pool FN 4.0 09/01/2044 73,987.00 71,546.00 0.00
3138WF6Y7 Fannie Mae Pool FN 4.0 12/01/2045 57,933.00 55,722.00 0.00
3138WGHL1 Fannie Mae Pool FN 3.5 01/01/2046 62,504.00 58,683.00 0.00
3138WGXY5 Fannie Mae Pool FN 4.0 04/01/2046 55,954.00 53,813.00 0.00
3140GQT48 Fannie Mae Pool FN 3.0 05/01/2032 89,938.00 87,513.00 0.00
31394PPR8 Freddie Mac Structured Pass-through Cert FSPC 7.0 10/01/2043 49,879.00 52,293.00 0.00
31403DUJ6 Fannie Mae Pool FN 6.0 10/01/2036 40,194.00 42,355.00 0.00
3140F9U45 Fannie Mae Pool FN 3.0 12/01/2031 77,194.00 75,296.00 0.00
3138WHJH6 Fannie Mae Pool FN 3.0 05/01/2031 27,748.00 27,105.00 0.00
3138WHUV2 Fannie Mae Pool FN 4.0 08/01/2046 88,625.00 85,234.00 0.00
3138YCB26 Fannie Mae Pool FN 3.5 12/01/2029 26,855.00 26,579.00 0.00
3138WJEX2 Fannie Mae Pool FN 3.0 11/01/2036 72,895.00 69,006.00 0.00
312944QN4 Freddie Mac Gold Pool FG 4.0 12/01/2040 41,916.00 40,893.00 0.00
3128MMRQ8 Freddie Mac Gold Pool FG 2.5 01/01/2029 77,370.00 75,845.00 0.00
3128P8DM0 Freddie Mac Gold Pool FG 3.0 01/01/2037 105,877.00 100,352.00 0.00
3128P8E98 Freddie Mac Gold Pool FG 3.5 11/01/2037 97,108.00 93,704.00 0.00
3128P8FG1 Freddie Mac Gold Pool FG 3.0 12/01/2037 42,058.00 39,718.00 0.00
3128MJ4Q0 Freddie Mac Gold Pool FG 3.5 08/01/2048 55,866.00 51,787.00 0.00
3128MJYD6 Freddie Mac Gold Pool FG 4.0 05/01/2046 70,335.00 67,711.00 0.00
3128MAA58 Freddie Mac Gold Pool FG 4.5 09/01/2044 63,513.00 63,246.00 0.00
3128MABL2 Freddie Mac Gold Pool FG 4.5 06/01/2042 49,218.00 49,190.00 0.00
3128MJ3T5 Freddie Mac Gold Pool FG 4.0 04/01/2048 110,831.00 106,626.00 0.00
3128MJ2X7 Freddie Mac Gold Pool FG 4.0 11/01/2047 70,337.00 67,872.00 0.00
3128MJ2E9 Freddie Mac Gold Pool FG 4.5 07/01/2047 68,597.00 67,428.00 0.00
3132A5FV2 Freddie Mac Pool FR 2.5 09/01/2046 133,109.00 115,540.00 0.00
3128MJZG8 Freddie Mac Gold Pool FG 3.5 01/01/2047 92,784.00 86,845.00 0.00
3132DWBH5 Freddie Mac Pool FR 2.0 04/01/2051 89,947.00 73,074.00 0.00
3132DWC43 Freddie Mac Pool FR 3.5 01/01/2052 125,045.00 114,674.00 0.00
3138EGCB8 Fannie Mae Pool FN 4.5 04/01/2041 55,394.00 55,436.00 0.00
3138EGZW7 Fannie Mae Pool FN 4.5 06/01/2041 113,592.00 113,853.00 0.00
3137H7BF9 Freddie Mac Remics FHR 05/25/2052 408,774.00 10,833.00 0.00
3137FWN22 Freddie Mac Remics FHR 10/25/2050 3,262,028.00 98,476.00 0.00
31369XHL4 Fannie Mae Pool FN 5.75 12/01/2030 118 119.00 0.00
31359MFJ7 Federal National Mortgage Association FNMA 7.13 01/15/2030 80,000.00 90,585.00 0.00
3133KMY58 Freddie Mac Pool FR 2.5 10/01/2051 64,129.00 54,387.00 0.00
3132JBMB6 Freddie Mac Gold Pool FG 3.5 06/01/2043 98,549.00 93,111.00 0.00
3132L9MD4 Freddie Mac Gold Pool FG 4.5 02/01/2048 76,254.00 75,398.00 0.00
3132QTW85 Freddie Mac Gold Pool FG 4.0 10/01/2045 79,310.00 76,425.00 0.00
31335BZW9 Freddie Mac Gold Pool FG 5.0 12/01/2047 96,484.00 96,976.00 0.00
3132WKB49 Freddie Mac Gold Pool FG 4.0 08/01/2046 115,360.00 110,772.00 0.00
12669FFD0 Alternative Loan Trust 2003-j3 CWALT 6.25 12/01/2033 1,445.00 1,543.00 0.00
15135UAF6 Cenovus Energy Inc CVECN 6.75 11/15/2039 45,000.00 49,703.00 0.00
22541NX20 Credit Suisse First Boston Mortgage Secu CSFB 6.5 04/01/2033 561 576.00 0.00
202795JM3 Commonwealth Edison Co EXC 4.0 03/01/2048 115,000.00 93,136.00 0.00
202795JT8 Commonwealth Edison Co EXC 3.13 03/15/2051 95,000.00 64,170.00 0.00
202795JF8 Commonwealth Edison Co EXC 3.7 03/01/2045 40,000.00 31,607.00 0.00
209111FK4 Consolidated Edison Co Of New York Inc ED 4.3 12/01/2056 40,000.00 32,284.00 0.00
26442UAC8 DUKE Energy Progress Llc DUK 3.7 10/15/2046 75,000.00 58,203.00 0.00
25746UCK3 Dominion Energy Inc D 2.85 08/15/2026 55,000.00 54,406.00 0.00
247109BT7 Delmarva Power & Light Co EXC 4.15 05/15/2045 60,000.00 50,810.00 0.00
03938JAA7 ARCH Capital Group Us Inc ACGL 5.14 11/01/2043 100,000.00 95,420.00 0.00
03939CAB9 ARCH Capital Finance Llc ACGL 5.03 12/15/2046 95,000.00 88,481.00 0.00
00206RMM1 AT&T Inc T 2.55 12/01/2033 58,000.00 49,406.00 0.00
01026CAD3 Alabama Economic Settlement Authority ABMGEN 4.26 09/15/2032 40,000.00 39,802.00 0.00
013051EA1 Province Of Alberta Canada ALTA 3.3 03/15/2028 110,000.00 108,545.00 0.00
023770AA8 American Airlines 2015-1 Class A Pass Th AAL 3.38 05/01/2027 52,450.00 51,584.00 0.00
05533XAA0 BCAP Llc 2011-rr4-i Trust BCAP 5.25 04/02/2037 100,248.00 54,860.00 0.00
06051GJQ3 BANK Of America Corp BAC 1.66 03/11/2027 105,000.00 103,779.00 0.00
83401BAB2 SOFI Professional Loan Program 2017-f Ll SOFI 2.84 01/25/2041 17,959.00 17,919.00 0.00
81743VAB9 Sequoia Mortgage Trust 10 SEMT 4.13 10/20/2027 3,535.00 3,488.00 0.00
82481LAD1 Shire Acquisitions Investments Ireland D TACHEM 3.2 09/23/2026 28,000.00 27,781.00 0.00
83404RAB4 SOFI Professional Loan Program 2018-b Tr SOFI 3.34 08/25/2047 13,097.00 13,074.00 0.00
74456QBT2 Public Service Electric And Gas Co PEG 3.6 12/01/2047 95,000.00 72,517.00 0.00
74743LAB6 Qnity Electronics Inc QNTELE 6.25 08/15/2033 80,000.00 81,782.00 0.00
74815HCB6 Province Of Quebec Canada Q 7.14 02/27/2026 45,000.00 45,513.00 0.00
88339WAC0 Williams Cos Inc/the WMB 5.15 03/15/2034 90,000.00 91,460.00 0.00
880591300 Tennessee Valley Authority TVA 2.13 06/01/2028 1,400.00 33,404.00 0.00
880591409 Tennessee Valley Authority TVA 2.22 05/01/2029 4,345.00 102,368.00 0.00
88059EPB4 Tennessee Valley Authority Generic Strip TVAS 07/15/2034 155,000.00 105,951.00 0.00
89177XAA5 TOWD Point Mortgage Trust 2019-hy3 TPMT 5.27 10/25/2059 76,684.00 76,745.00 0.00
86359LPD5 Structured Asset Mortgage Investments Ii SAMI 4.13 07/19/2035 12,429.00 11,965.00 0.00
878091BD8 Teachers Insurance & Annuity Association TIAAGL 4.9 09/15/2044 120,000.00 110,760.00 0.00
906548CL4 Union Electric Co AEE 3.65 04/15/2045 50,000.00 39,104.00 0.00
91282CNZ0 United States Treasury Note/bond T 3.88 09/30/2032 35,000.00 34,885.00 0.00
64828FCQ3 NEW Residential Mortgage Loan Trust 2018 NRZT 5.02 01/25/2048 37,011.00 36,356.00 0.00
63940YAB2 Navient Private Education Refi Loan Trus NAVSL 3.13 02/15/2068 100,701.00 99,470.00 0.00
59980VAA9 MILL City Mortgage Loan Trust 2018-1 MCMLT 3.25 05/01/2062 30,710.00 30,475.00 0.00
55336VAL4 MPLX Lp MPLX 5.2 03/01/2047 5,000.00 4,495.00 0.00
563469UL7 Province Of Manitoba Canada MP 2.13 06/22/2026 100,000.00 98,504.00 0.00
55316AAE0 MMAF Equipment Finance Llc 2017-b MMAF 2.72 06/15/2040 11,992.00 11,983.00 0.00
586054AC2 Memorial Sloan-kettering Cancer Center MSKCC 4.2 07/01/2055 75,000.00 61,247.00 0.00
67112FAD2 OBX 2018-1 Trust OBX 4.92 06/25/2057 83,003.00 81,361.00 0.00
674599DD4 Occidental Petroleum Corp OXY 7.5 05/01/2031 100,000.00 112,185.00 0.00
682680BC6 Oneok Inc OKE 4.5 03/15/2050 55,000.00 44,923.00 0.00
706451BR1 Petroleos Mexicanos PEMEX 6.63 06/15/2038 46,000.00 41,647.00 0.00
709223VZ1 Pennsylvania Turnpike Commission PASTRN 6.11 12/01/2039 70,000.00 75,797.00 0.00
743756AB4 Providence St Joseph Health Obligated Gr PSJHOG 2.75 10/01/2026 40,000.00 39,357.00 0.00
740816AN3 President And Fellows Of Harvard College HARVRD 3.3 07/15/2056 160,000.00 111,967.00 0.00
74251VAJ1 Principal Financial Group Inc PFG 4.35 05/15/2043 20,000.00 17,606.00 0.00
74251VAM4 Principal Financial Group Inc PFG 3.1 11/15/2026 105,000.00 103,834.00 0.00
36179SGN1 Ginnie Mae Ii Pool G2 4.5 07/01/2046 76,470.00 75,791.00 0.00
36179SJS7 Ginnie Mae Ii Pool G2 3.0 08/01/2046 39,056.00 35,415.00 0.00
36179SJV0 Ginnie Mae Ii Pool G2 4.5 08/01/2046 68,050.00 67,529.00 0.00
36179SQX8 Ginnie Mae Ii Pool G2 4.0 11/01/2046 93,981.00 90,061.00 0.00
36179SQY6 Ginnie Mae Ii Pool G2 4.5 11/01/2046 59,911.00 59,465.00 0.00
36179T4Q5 Ginnie Mae Ii Pool G2 4.5 07/01/2048 52,518.00 51,924.00 0.00
36179SYT8 Ginnie Mae Ii Pool G2 4.0 03/01/2047 82,084.00 78,558.00 0.00
36179NX45 Ginnie Mae Ii Pool G2 3.0 01/01/2044 72,387.00 66,445.00 0.00
36179NX78 Ginnie Mae Ii Pool G2 4.5 01/01/2044 47,528.00 47,237.00 0.00
36179Q6P1 Ginnie Mae Ii Pool G2 3.5 03/01/2045 47,667.00 44,497.00 0.00
36179Q6R7 Ginnie Mae Ii Pool G2 4.5 03/01/2045 37,857.00 37,606.00 0.00
36179QPH8 Ginnie Mae Ii Pool G2 4.0 09/01/2044 84,239.00 81,046.00 0.00
36179NQ50 Ginnie Mae Ii Pool G2 4.0 10/01/2043 65,171.00 62,942.00 0.00
36179NQ68 Ginnie Mae Ii Pool G2 4.5 10/01/2043 35,031.00 34,806.00 0.00
36179RD63 Ginnie Mae Ii Pool G2 3.0 05/01/2045 71,711.00 65,134.00 0.00
36179RB24 Ginnie Mae Ii Pool G2 5.0 04/01/2045 23,388.00 23,849.00 0.00
36179RLS6 Ginnie Mae Ii Pool G2 5.0 08/01/2045 95,968.00 98,040.00 0.00
36179RQ36 Ginnie Mae Ii Pool G2 4.0 10/01/2045 65,282.00 62,982.00 0.00
36179UPA4 Ginnie Mae Ii Pool G2 4.0 03/01/2049 87,297.00 83,321.00 0.00
36179UD82 Ginnie Mae Ii Pool G2 3.5 10/01/2048 98,233.00 91,009.00 0.00
36179VDQ0 Ginnie Mae Ii Pool G2 4.0 01/20/2050 47,602.00 45,315.00 0.00
36179VFR6 Ginnie Mae Ii Pool G2 4.0 02/01/2050 69,278.00 66,081.00 0.00
36179VQV5 Ginnie Mae Ii Pool G2 4.0 07/01/2050 104,714.00 99,643.00 0.00
36179TUC7 Ginnie Mae Ii Pool G2 4.5 03/01/2048 32,729.00 32,478.00 0.00
36179TV69 Ginnie Mae Ii Pool G2 4.0 04/01/2048 59,117.00 56,412.00 0.00
36179TQR9 Ginnie Mae Ii Pool G2 4.5 01/01/2048 48,175.00 47,806.00 0.00
36179UGC0 Ginnie Mae Ii Pool G2 4.0 11/01/2048 58,204.00 55,600.00 0.00
36179UH39 Ginnie Mae Ii Pool G2 3.5 12/01/2048 70,853.00 65,771.00 0.00
36179UH54 Ginnie Mae Ii Pool G2 4.5 12/01/2048 99,154.00 97,904.00 0.00
36179UKX9 Ginnie Mae Ii Pool G2 4.0 01/01/2049 70,097.00 66,872.00 0.00
36179TNS0 Ginnie Mae Ii Pool G2 4.0 12/01/2047 81,895.00 78,352.00 0.00
36179TQN8 Ginnie Mae Ii Pool G2 3.0 01/01/2048 59,117.00 53,531.00 0.00
36179TJX4 Ginnie Mae Ii Pool G2 3.5 10/01/2047 117,353.00 108,935.00 0.00
36179T7L3 Ginnie Mae Ii Pool G2 4.5 08/01/2048 20,070.00 19,854.00 0.00
36179NM96 Ginnie Mae Ii Pool G2 3.0 09/01/2043 75,729.00 69,448.00 0.00
36179NBC1 Ginnie Mae Ii Pool G2 4.0 04/01/2043 77,696.00 74,723.00 0.00
36179NLC0 Ginnie Mae Ii Pool G2 3.0 08/01/2043 38,371.00 35,205.00 0.00
36179MVT4 Ginnie Mae Ii Pool G2 4.0 12/01/2042 117,160.00 113,396.00 0.00
35564KHE2 Freddie Mac Stacr Remic Trust 2021-dna5 STACR 6.01 01/25/2034 87,302.00 87,573.00 0.00
36176W7E5 Ginnie Mae I Pool GN 3.5 01/01/2042 49,330.00 46,284.00 0.00
36176WYH8 Ginnie Mae I Pool GN 4.0 11/01/2041 63,952.00 61,769.00 0.00
36179M2Q2 Ginnie Mae Ii Pool G2 3.5 02/01/2043 98,263.00 92,266.00 0.00
31419AG43 Fannie Mae Pool FN 4.5 08/01/2040 45,578.00 45,715.00 0.00
31419B5X9 Fannie Mae Pool FN 4.0 09/01/2040 96,644.00 94,354.00 0.00
31419EJE0 Fannie Mae Pool FN 5.0 10/01/2040 73,968.00 75,751.00 0.00
36179XHZ2 Ginnie Mae Ii Pool G2 5.0 10/01/2052 110,074.00 110,147.00 0.00
36184FSP4 Ginnie Mae I Pool GN 3.0 08/01/2045 79,503.00 71,548.00 0.00
38379WAW2 Government National Mortgage Association GNR 2.5 11/01/2045 110,454.00 102,369.00 0.00
38380YH24 Government National Mortgage Association GNR 09/20/2048 1,458,802.00 41,283.00 0.00
38381AE85 Government National Mortgage Association GNR 11/20/2048 1,701,435.00 47,517.00 0.00
38381AHP4 Government National Mortgage Association GNR 10/20/2048 1,898,162.00 58,419.00 0.00
36241LEC6 Ginnie Mae I Pool GN 6.0 12/01/2039 60,370.00 63,570.00 0.00
36202EPW3 Ginnie Mae Ii Pool G2 5.0 10/01/2037 4,250.00 4,356.00 0.00
36202FKP0 Ginnie Mae Ii Pool G2 5.0 09/01/2040 45,541.00 46,719.00 0.00
36202FM78 Ginnie Mae Ii Pool G2 4.0 12/01/2040 111,060.00 107,495.00 0.00
36202FUE4 Ginnie Mae Ii Pool G2 4.0 06/01/2041 47,629.00 46,099.00 0.00
46647TAR9 Jpmcc Commercial Mortgage Securities Tru JPMCC 3.46 03/01/2050 102,355.00 101,437.00 0.00
47233JGT9 Jefferies Financial Group Inc JEF 2.63 10/15/2031 95,000.00 84,482.00 0.00
501044DF5 Kroger Co/the KR 3.88 10/15/2046 65,000.00 50,825.00 0.00
38383YAV4 Government National Mortgage Association GNR 08/20/2052 2,101,915.00 39,904.00 0.00
38381WV62 Government National Mortgage Association GNR 07/20/2049 6,070,132.00 71,192.00 0.00
38381XUA2 Government National Mortgage Association GNR 08/20/2049 3,020,413.00 65,532.00 0.00
38383RFV4 Government National Mortgage Association GNR 04/20/2052 105,218.00 2,941.00 0.00
38383T2H5 Government National Mortgage Association GNR 07/20/2052 5,486,334.00 114,001.00 0.00
38383ABJ2 Government National Mortgage Association GNR 01/20/2050 662,182.00 317.00 0.00
38383P5X5 Government National Mortgage Association GNR 04/20/2052 2,658,528.00 60,073.00 0.00
38383PNA5 Government National Mortgage Association GNR 03/20/2052 4,638,011.00 110,455.00 0.00
39809GAA3 Greywolf Clo Vi Ltd GWOLF 5.61 04/26/2031 110,643.00 110,647.00 0.00
SWB8ACMZRB SWP: Ois Sofr 4.669000 17-may-2026 05/17/2026 -26,965,000.00 -138,268.00 -0.01
SWB8ACMDF1 SWP: Ois Sofr 4.253000 13-may-2029 05/13/2029 -30,400,000.00 -938,717.00 -0.04
21H0306A7 Ginnie Mae G2SF 3.0 10/20/2055 -1,000,000.00 -892,576.00 -0.04
SWZ978T5JT ICE: (cdx.na.ig.45.v1) 1.0 12/20/2030 -50,476,000.00 -1,158,688.00 -0.05
21H0406A6 Ginnie Mae G2SF 4.0 10/20/2055 -1,500,000.00 -1,410,148.00 -0.06
01F0526A5 Fannie Mae Or Freddie Mac FNCL 5.5 10/01/2055 -9,000,000.00 -9,074,141.00 -0.39

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ABOUT

PGIM Fixed Income, with $862 billion in assets under management as of March 31, 2025, is a global asset manager offering active solutions across all fixed income markets. The company has offices in Newark, N.J., London, Tokyo and Singapore. At PGIM Fixed Income we believe that research-driven security selection is the most consistent strategy for adding value to client portfolios. The firm complements that base strategy with active sector rotation, duration management, and superior trade execution. Risk budgeting is central to this approach. PGIM Limited is also a subadvisor on this fund. PGIM Limited is an indirect, wholly-owned subsidiary of PGIM, Inc. (“PGIM”), the principal asset management business of Prudential Financial, Inc. (“PFI”), a company incorporated and with its principal place of business in the United States.

Gregory Peters, Richard Piccirillo, Matthew Angelucci and Tyler Thorn of PGIM Fixed Income are primarily responsible for management of the PGIM Core Bond Fund.

Gregory Peters
Gregory Peters

Co-Chief Investment Officer

Gregory Peters' Biography

Richard Piccirillo
Richard Piccirillo

Co-Head of Multi-Sector Fixed Income Strategies

Richard Piccirillo's Biography

Matthew Angelucci, CFA
Matthew Angelucci, CFA

Co-Senior Portfolio Manager, Global Bonds

Matthew Angelucci, CFA's Biography

Tyler Thorn
Tyler Thorn

Portfolio Manager, Multi-Sector Strategies

Tyler Thorn's Biography

Average Maturity is the average time to maturity for a bond. Credit quality is calculated using the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s, S&P, or Fitch. The Not Rated category consists of securities that have not been rated by an NRSRO. Duration measures investment risk that takes into account both a bond's interest payments and its value to maturity. Standard deviation depicts how widely returns vary around its average and is used to understand the range of returns most likely for a given fund. A higher standard deviation generally implies greater volatility. Overweight/Underweights are benchmarked against the Bloomberg US Aggregate Bond Index, which covers the USD-denominated, investment-grade, fixed-rate or step up, taxable bond market of SEC-registered securities and includes bonds from Treasury, Government- Related, Corporate, MBS (agency fixed-rate & hybrid ARM passthroughs), ABS, & CMBS sectors. Securities included in the index must have at least 1 year until final maturity & be rated investment-grade (Baa3/ BBB-/BBB-) or better using middle rating of Moody’s, S&P, & Fitch. All indexes and averages are unmanaged. Due to data availability, statistics may not be as of the current reporting period.

Enhanced cash strategies are variations on traditional money market vehicles. They are designed to provide liquidity and principal preservation, but with more of an emphasis on seeking returns that are superior to those of traditional money market offerings.

Source: Benchmarks - Lipper Inc.; Statistics - Morningstar Inc.; All other data from PGIM, Inc.

© 2025 Morningstar, Inc. All rights reserved. The information contained herein (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance does not guarantee future results.

BLOOMBERG® is a trademark and service mark of Bloomberg Finance L.P. and its affiliates (collectively “Bloomberg”). Bloomberg or Bloomberg’s licensors own all proprietary rights in the Bloomberg Indices. Bloomberg neither approves nor endorses this material, or guarantees the accuracy or completeness of any information herein, or makes any warranty, express or implied, as to the results obtained therefrom and, to the maximum extend allowed by law, neither shall have any liability or responsibility for injury or damages arising in connection therewith.

Class R shares are closed to new investors. Class R6 and Z shares may be available to group retirement plans and institutional investors through certain retirement, mutual fund wrap and asset allocation programs. They may also be available to institutional investors. Class Z shares may be available through fee- or commission-based retail brokerage programs of certain financial intermediaries. Class A, C, and Z shares are generally closed to new retirement plans. Please see the prospectus for additional information about fees, expenses, and investor eligibility.

Consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus and summary prospectus contain this and other information about the fund. For more information about a fund, click on the prospectus or summary prospectus link above. Read them carefully before investing.

Investment products are distributed by Prudential Investment Management Services LLC, member FINRA and SIPC. PGIM Investments is a registered investment advisor and investment manager to PGIM registered investment companies. PGIM Fixed Income is a unit of PGIM, a registered investment advisor. PGIM Limited acts as a subadvisor to all fixed income funds. PGIM Limited is an indirect, wholly owned subsidiary of PGIM, Inc. (PGIM), the principal asset management business of Prudential Financial, Inc. (PFI), a company incorporated and with its principal place of business in the United States. All are Prudential Financial affiliates. © 2025 Prudential Financial, Inc. and its related entities. PGIM, PGIM Investments, PGIM Fixed Income, PGIM Limited, and the PGIM logo are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.

This material is being provided for informational or educational purposes only and does not take into account the investment objectives or financial situation of any client or prospective clients. The information is not intended as investment advice and is not a recommendation. Clients seeking information regarding their particular investment needs should contact their financial professional.

INVESTMENT PRODUCTS | Are not insured by the FDIC or any federal government agency | May lose value | Are not a deposit of or guaranteed by any bank or any bank affiliate. 

Prudential Financial, Inc. of the United States is not affiliated in any manner with Prudential plc, incorporated in the United Kingdom or with Prudential Assurance Company, a subsidiary of M&G plc, incorporated in the United Kingdom.

4364467    Ed. 04/2025

Fund Literature

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