star star star star Morningstar Tooltip Icon
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.

MorningStar Rankings

AS OF 06/30/2025
1-Year
44%
231/575
3-Year
21%
94/541
5-Year
46%
196/480
10-Year
19%
56/353
15-Year
11%
20/269

Source: Morningstar. All rights reserved. Used with permission. Class Z shares inception: 3/14/2012. Morningstar rankings are based on total return, do not include the effects of sales charges, and are calculated against all funds in the Morningstar Global Large-Stock Growth category.

Past performance does not guarantee future results.

Objective

Seeks total return by investing in a diversified portfolio of bonds from multiple fixed income sectors. The Fund may be appropriate for investors seeking current income and capital appreciation in a diversified core fixed income fund. 

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 Plus Bond
Total Net Assets: $49.212 Billion
Dividends (Paid): Monthly
Dividends (Accrued): Daily
Capital Gains: Annually
Fund Statistics
AS OF 06/30/2025
Name
Weight
Average Maturity (years) 7.60
Duration (years) 5.90
Standard Deviation (3 year) 7.36

Morningstar Ratings

AS OF 06/30/2025
Class A Shares
Overall (Out of 541 Funds)
star-icon star-icon star-icon
3-Year (Out of 541 Funds)
star-icon star-icon star-icon star-icon
5-Year (Out of 480 Funds)
star-icon star-icon star-icon
10-Year (Out of 353 Funds)
star-icon star-icon star-icon
Class C Shares
Overall (Out of 541 Funds)
star-icon star-icon
3-Year (Out of 541 Funds)
star-icon star-icon
5-Year (Out of 480 Funds)
star-icon star-icon
10-Year (Out of 353 Funds)
star-icon star-icon
Class R Shares
Overall (Out of 541 Funds)
star-icon star-icon star-icon
3-Year (Out of 541 Funds)
star-icon star-icon star-icon
5-Year (Out of 480 Funds)
star-icon star-icon
10-Year (Out of 353 Funds)
star-icon star-icon star-icon
Class R2 Shares
Overall (Out of 541 Funds)
star-icon star-icon
3-Year (Out of 541 Funds)
star-icon star-icon star-icon
5-Year (Out of 480 Funds)
star-icon star-icon
10-Year (Out of 353 Funds)
star-icon star-icon star-icon
Class R4 Shares
Overall (Out of 541 Funds)
star-icon star-icon star-icon
3-Year (Out of 541 Funds)
star-icon star-icon star-icon star-icon
5-Year (Out of 480 Funds)
star-icon star-icon star-icon
10-Year (Out of 353 Funds)
star-icon star-icon star-icon
Class R6 Shares
Overall (Out of 541 Funds)
star-icon star-icon star-icon star-icon
3-Year (Out of 541 Funds)
star-icon star-icon star-icon star-icon
5-Year (Out of 480 Funds)
star-icon star-icon star-icon
10-Year (Out of 353 Funds)
star-icon star-icon star-icon star-icon
Class Z Shares
Overall (Out of 541 Funds)
star-icon star-icon star-icon star-icon
3-Year (Out of 541 Funds)
star-icon star-icon star-icon star-icon
5-Year (Out of 480 Funds)
star-icon star-icon star-icon
10-Year (Out of 353 Funds)
star-icon star-icon star-icon star-icon

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 Total Return 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 Plus Bond category were: 82/323, 120/302, 152/273, and 32/172, 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: 118/319, 53/300, 113/276, and 30/179, 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.

The Morningstar Medalist RatingTM is the summary expression of Morningstar’s forward-looking investment strategies analysis offered via specific vehicles on a Gold, Silver, Bronze, Neutral, and Negative scale. These ratings indicate the investments Morningstar believes are likely to outperform a relevant index or peer group average on a risk-adjusted basis over time. Investments are evaluated on 3 pillars (People, Parent, and Process) which, when coupled with a fee assessment, form the basis for Morningstar’s conviction in those product’s investment merits and determine the assigned rating. Pillar ratings are Low, Below Average, Average, Above Average, and High, and are evaluated qualitatively (either directly to a covered vehicle or indirectly when a covered vehicle’s ratings are mapped to a related uncovered vehicle) or using algorithmic techniques. Vehicles are sorted by expected performance into rating groups defined by their Morningstar Category and active or passive status. Analysts who directly cover a vehicle assign the 3 pillar ratings based on their qualitative assessment, subject to Analyst Rating Committee oversight, and monitor and reevaluate them at least every 14 months. Vehicle ratings are assigned monthly when covered either indirectly by analysts or by algorithm. For more information, please visit www.global.morningstar.com/managerdisclosures/. Ratings are not statements of fact, nor are they credit or risk ratings. The Morningstar Medalist Rating (i) should not be used as the sole basis in evaluating an investment product, (ii) involves unknown risks and uncertainties which may cause expectations not to occur or to differ significantly from what was expected, (iii) are not guaranteed to be based on complete or accurate assumptions or models when determined algorithmically, (iv) involve the risk that the return target will not be met due to issues like unforeseen changes in management, technology, economic development, interest rate development, operating and/or material costs, competitive pressure, supervisory law, exchange rate, tax rates, exchange rate changes, and/or changes in political and social conditions, and (v) should not be considered an offer or solicitation to buy or sell the investment. Changes in underlying factors can mean the rating is subsequently no longer accurate. ‡Source: Morningstar.

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. High yield (“junk”) bonds are subject to greater credit and market risks. 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. Floating rate and other loans are subject to the risk that failure to receive scheduled interest or principal payments on a loan would adversely affect the income of the Fund and would likely reduce the value of its assets. Collateralized Loan Obligations are subject to credit, interest rate, valuation and prepayment and extension risks, as well as risk of default on the underlying asset. Foreign securities are subject to currency fluctuations and political uncertainty. Investments in currency may result in a decline in the fund’s net asset value due to changes in exchange rates. Holders of structured product securities bear the risks of the underlying investments, index or reference obligation. 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.

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

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

Fund Expenses
Maximum Sales Charge (%)
Class
Gross (%)
Net (%)
Date*
A 0.77 0.76 02/28/2026 3.25
C 1.51 1.50 02/28/2026 1.00
R 1.28 1.01 02/28/2026
R2 0.97 0.89 02/28/2026
R4 0.68 0.64 02/28/2026
R6 0.40 0.39 02/28/2026
Z 0.50 0.49 02/28/2026

*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.

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 08/11/2025
Class
NAV ($)
NAV Change ($)
NAV Change (%)
POP ($)
Total Net Assets ($)
A 12.08 Gain 0.01 0.08 12.49 2,271,753,898.81
C 12.06 No Change 0.00 0.00 275,261,433.33
R 12.10 Gain 0.01 0.08 277,290,581.87
R2 12.05 Gain 0.01 0.08 36,573,150.85
R4 12.05 Gain 0.01 0.08 46,643,087.83
R6 12.05 No Change 0.00 0.00 21,954,336,916.97
Z 12.03 No Change 0.00 0.00 25,071,781,448.55

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 08/11/2025
Class
52 Week High ($)
52 Week High Date
52 Week Low ($)
52 Week Low Date
A 12.43 09/16/2024 11.71 01/13/2025
C 12.42 09/16/2024 11.70 01/13/2025
R 12.46 09/16/2024 11.74 01/14/2025
R2 12.40 09/16/2024 11.68 01/13/2025
R4 12.40 09/16/2024 11.69 01/14/2025
R6 12.41 09/16/2024 11.69 01/13/2025
Z 12.39 09/16/2024 11.67 01/13/2025

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 07/31/2025
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 4.33 4.32 4.25 4.39
C - View Prospectus 3.73 3.72 3.65
R - View Prospectus 4.21 3.93 4.13
R2 - View Prospectus 4.34 4.25 4.25
R4 - View Prospectus 4.58 4.53 4.50
R6 - View Prospectus 4.84 4.83 4.75
Z - View Prospectus 4.74 4.73 4.65

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

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 06/30/2025

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.

Value ($): Cash securities are calculated using market value and derivative securities are calculated using notional value.

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
74440W862 (pipa070) Pgim Core Government Money Mar 4.42 12/01/2099 2,089,295,778.00 2,089,295,777.00 4.10
912810SS8 United States Treasury Note/bond T 1.63 11/15/2050 1,145,000,000.00 603,450,781.00 1.18
01F050676 Fannie Mae Or Freddie Mac FNCL 5.0 07/01/2055 470,500,000.00 461,043,025.00 0.90
01F052672 Fannie Mae Or Freddie Mac FNCL 5.5 07/01/2055 439,500,000.00 439,399,451.00 0.86
01F020679 Fannie Mae Or Freddie Mac FNCL 2.0 07/01/2055 471,500,000.00 373,139,253.00 0.73
01F022675 Fannie Mae Or Freddie Mac FNCL 2.5 07/01/2055 399,000,000.00 330,759,281.00 0.65
912810SP4 United States Treasury Note/bond T 1.38 08/15/2050 660,000,000.00 325,462,500.00 0.64
31418ECA6 Fannie Mae Pool FN 3.0 03/01/2052 364,562,212.00 316,079,170.00 0.62
3132DWFH1 Freddie Mac Pool FR 5.5 11/01/2052 312,516,679.00 313,541,093.00 0.61
3132DWBP7 Freddie Mac Pool FR 2.0 05/01/2051 348,365,651.00 277,145,700.00 0.54
B013VW6 Hellenic Republic Government Internation GREECE 5.2 07/17/2034 191,900,000.00 248,091,825.00 0.49
06051GJT7 BANK Of America Corp BAC 2.69 04/22/2032 267,035,000.00 239,771,511.00 0.47
SWZ9707Z0K ICE: (cdx.na.hy.44.v1) 5.0 06/20/2030 3,070,600,000.00 234,625,238.00 0.46
3132DVMD4 Freddie Mac Pool FR 3.0 08/01/2052 263,457,170.00 230,625,969.00 0.45
36179XDE3 Ginnie Mae Ii Pool G2 4.5 08/01/2052 212,358,416.00 204,979,710.00 0.40
XS23255817 CVC Cordatus Loan Fund Xii Dac CORDA 2.93 01/23/2032 174,772,502.00 205,467,615.00 0.40
3132DWNL3 Freddie Mac Pool FR 6.0 12/01/2054 194,314,826.00 197,509,604.00 0.39
06051GHZ5 BANK Of America Corp BAC 2.5 02/13/2031 219,885,000.00 200,876,896.00 0.39
31418EES5 Fannie Mae Pool FN 4.0 05/01/2052 202,455,779.00 188,642,326.00 0.37
XS30685614 Henley Clo Xiv Dac HNLY 03/25/2038 156,000,000.00 183,760,200.00 0.36
36179WT24 Ginnie Mae Ii Pool G2 3.5 12/01/2051 193,622,448.00 176,908,815.00 0.35
172967ML2 Citigroup Inc C 2.67 01/29/2031 195,755,000.00 179,349,727.00 0.35
95000U2J1 Wells Fargo & Co WFC 2.57 02/11/2031 189,245,000.00 173,276,106.00 0.34
39810DAA7 Greystone Commercial Capital Trust Serie GRYCCT 7.47 05/31/2026 196,471,029.00 174,859,215.00 0.34
465410BY3 Republic Of Italy Government Internation ITALY 2.88 10/17/2029 184,670,000.00 173,489,210.00 0.34
XS30040074 TORO European Clo 10 Dac TCLO 3.61 04/15/2038 149,000,000.00 174,373,529.00 0.34
097023DG7 Boeing Co/the BA 2.2 02/04/2026 169,261,000.00 166,648,739.00 0.33
04940QAA5 Atlas Senior Loan Fund Xxi Ltd ATCLO 6.47 07/20/2035 163,250,000.00 164,165,685.00 0.32
31418EDE7 Fannie Mae Pool FN 3.5 05/01/2052 173,642,288.00 156,625,362.00 0.31
3132DWDT7 Freddie Mac Pool FR 3.5 05/01/2052 176,553,816.00 159,251,771.00 0.31
XS29787834 Armada Euro Clo Vii Dac ARMDA 3.44 04/15/2039 135,850,000.00 160,394,196.00 0.31
XS30254325 Rockford Tower Europe Clo 2025-1 Dac RFTE 3.43 10/25/2027 133,615,000.00 157,672,591.00 0.31
XS23206962 Carlyle Euro Clo 2019-1 Dac CGMSE 2.73 03/15/2032 134,031,711.00 157,455,959.00 0.31
XS30063906 Ravensdale Park Clo Dac RAVPK 3.45 04/25/2038 131,500,000.00 154,780,175.00 0.30
11135FBQ3 Broadcom Inc AVGO 3.19 11/15/2036 184,190,000.00 152,676,270.00 0.30
06875RAA7 Barrow Hanley Clo Ii Ltd BARHN 6.32 10/20/2035 151,000,000.00 151,867,827.00 0.30
29004FAA9 Elmwood Clo 40 Ltd ELM40 5.52 03/22/2038 155,000,000.00 155,227,462.00 0.30
31418EBT6 Fannie Mae Pool FN 3.0 02/01/2052 170,530,529.00 147,851,834.00 0.29
362954AR0 GS Mortgage-backed Securities Trust 2025 GSMBS 3.51 01/01/2064 166,852,592.00 149,250,961.00 0.29
3137HMBM1 Freddie Mac Remics FHR 4.32 07/25/2055 141,625,777.00 141,826,503.00 0.28
17332HAA3 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.08 01/01/2064 149,544,954.00 141,181,891.00 0.28
XS29301141 Avoca Clo Xi Dac AVOCA 4.13 10/15/2038 116,000,000.00 136,653,131.00 0.27
XS23587191 TORO European Clo 3 Dac TCLO 3.27 07/15/2034 115,250,000.00 135,297,375.00 0.27
XS30140099 Contego Clo V Dac CONTE 3.51 10/15/2037 112,050,000.00 131,427,815.00 0.26
XS30851109 Monument Clo 3 Dac MNMNT 04/15/2038 110,650,000.00 130,340,167.00 0.26
14317YAA2 Carlyle Us Clo 2021-5 Ltd CGMS 5.65 07/20/2034 125,500,000.00 125,710,400.00 0.25
03331GAQ1 Anchorage Capital Clo 24 Ltd ANCHC 5.69 07/15/2037 124,500,000.00 125,006,814.00 0.25
55822EAJ8 Madison Park Funding Lix Ltd MDPK 5.77 04/18/2037 126,465,000.00 126,973,654.00 0.25
67707CBC1 OAK Hill Credit Partners X-r Ltd OAKC 5.4 04/20/2038 121,650,000.00 121,540,977.00 0.24
3132DWDU4 Freddie Mac Pool FR 4.0 05/01/2052 130,797,292.00 121,873,093.00 0.24
XS28110880 Monument Clo 1 Dac MNMNT 3.73 05/15/2037 102,500,000.00 121,146,526.00 0.24
XS27908641 Grosvenor Place Clo 2022-1 Dac GROSV 3.65 05/24/2038 103,000,000.00 121,602,325.00 0.24
XS27199835 ICG Euro Clo 2023-2 Dac ICGE 3.89 01/26/2038 99,750,000.00 117,738,333.00 0.23
XS27611866 TORO European Clo 9 Dac TCLO 3.93 04/15/2037 98,750,000.00 116,603,039.00 0.23
XS23370823 ST Paul's Clo V Dac SPAUL 2.81 02/20/2030 101,473,363.00 119,315,213.00 0.23
XS23458323 Northwoods Capital 21 Euro Dac NWDSE 3.11 07/22/2034 98,400,000.00 115,426,006.00 0.23
3136BWRC2 Fannie Mae Remics FNR 4.32 07/25/2055 117,419,925.00 117,586,943.00 0.23
36362MAA5 Gallatin Clo X 2023-1 Ltd GALL 6.34 10/14/2035 115,000,000.00 115,634,961.00 0.23
36179VZQ6 Ginnie Mae Ii Pool G2 2.0 12/01/2050 141,482,089.00 115,244,732.00 0.23
31418EAP5 Fannie Mae Pool FN 3.0 01/01/2052 137,532,117.00 119,071,164.00 0.23
08190AAC4 Benchmark 2024-v8 Mortgage Trust BMARK 6.19 07/01/2057 109,700,000.00 115,709,980.00 0.23
6174468L6 Morgan Stanley MS 2.7 01/22/2031 129,705,000.00 119,544,004.00 0.23
46647PBE5 Jpmorgan Chase & Co JPM 2.74 10/15/2030 127,835,000.00 119,164,709.00 0.23
07132LAL3 Battalion Clo Xi Ltd BATLN 5.69 04/24/2034 114,000,000.00 114,231,762.00 0.22
02315JAA2 Amazon Conservation Dac AMCSRV 6.03 01/16/2042 112,000,000.00 111,694,856.00 0.22
3140XF7L9 Fannie Mae Pool FN 3.0 02/01/2052 129,305,351.00 112,910,223.00 0.22
36179XDD5 Ginnie Mae Ii Pool G2 4.0 08/01/2052 122,156,496.00 114,140,893.00 0.22
XS24187629 Madison Park Euro Funding Xiv Dac MDPKE 3.08 07/15/2032 94,140,286.00 110,562,744.00 0.22
XS23453278 ST Paul's Clo Vii Dac SPAUL 3.13 07/18/2034 90,050,000.00 105,602,525.00 0.21
31418ED80 Fannie Mae Pool FN 4.0 06/01/2052 115,044,733.00 107,201,038.00 0.21
3132DWBC6 Freddie Mac Pool FR 2.5 03/01/2051 126,586,004.00 105,497,174.00 0.21
05377RHY3 AVIS Budget Rental Car Funding Aesop Llc AESOP 5.36 06/20/2030 105,243,000.00 107,983,538.00 0.21
62916TAA7 NLT 2025-inv1 Trust NLT 5.51 02/01/2070 105,004,284.00 105,553,035.00 0.21
73015AAA5 PMT Credit Risk Transfer Trust 2024-1r PMTCR 7.81 05/25/2033 106,982,994.00 109,595,015.00 0.21
912810RJ9 United States Treasury Note/bond T 3.0 11/15/2044 138,000,000.00 106,238,437.00 0.21
88676NAQ0 Tikehau Us Clo Iii Ltd TKO 6.14 01/20/2036 105,500,000.00 105,979,233.00 0.21
89640HAA9 Trinitas Clo Xxii Ltd TRNTS 6.12 07/20/2036 101,500,000.00 101,710,308.00 0.20
BNZHNG3 Bellis Acquisition Co Plc ASSDLN 8.13 05/14/2030 78,105,000.00 100,644,165.00 0.20
46647PBX3 Jpmorgan Chase & Co JPM 1.95 02/04/2032 115,410,000.00 100,121,283.00 0.20
534747AA8 Linct 2024-1 A1x 4.33 08/04/2025 102,618,129.00 102,618,129.00 0.20
3137HLZC9 Freddie Mac Remics FHR 4.32 06/25/2055 102,250,000.00 102,340,072.00 0.20
31418ECS7 Fannie Mae Pool FN 3.5 04/01/2052 113,878,571.00 102,718,359.00 0.20
31418DWS7 Fannie Mae Pool FN 2.5 02/01/2051 120,368,952.00 100,495,065.00 0.20
36362HAA6 Gallatin Clo Xi 2024-1 Ltd GALL 5.75 10/20/2037 102,500,000.00 102,850,785.00 0.20
XS26820686 Capital Four Clo Vi Dac CFOUR 3.89 10/25/2036 85,250,000.00 100,597,911.00 0.20
XS23664198 TORO European Clo 2 Dac TCLO 3.15 07/25/2034 83,050,000.00 97,699,320.00 0.19
36267QAA2 CLUE Opco Llc FWRD 9.5 10/15/2031 89,552,000.00 94,919,272.00 0.19
31418DYB2 Fannie Mae Pool FN 2.0 04/01/2051 122,749,437.00 97,668,316.00 0.19
31418D2N1 Fannie Mae Pool FN 3.0 07/01/2051 110,791,007.00 96,555,342.00 0.19
17328FAV7 Citigroup Commercial Mortgage Trust 2019 CGCMT 2.62 08/01/2056 105,000,000.00 97,757,173.00 0.19
758971AA3 Regatta Xxix Funding Ltd REG29 5.64 09/06/2037 96,500,000.00 96,894,810.00 0.19
87240NBG0 TCW Clo 2017-1a Ltd TCW 5.43 10/29/2034 95,255,000.00 95,249,808.00 0.19
92840MAB8 Vistra Corp VST 8.0 04/15/2174 92,575,000.00 94,763,860.00 0.19
89183QAA2 TOWD Point Mortgage Trust 2024-ces5 TPMT 5.17 09/01/2064 91,103,989.00 90,763,050.00 0.18
BMVMF92 Bellis Finco Plc ASSDLN 4.0 02/16/2027 66,355,000.00 90,590,346.00 0.18
B3QHNK6 Hellenic Republic Government Internation GREECE 6.14 04/14/2028 70,800,000.00 91,290,060.00 0.18
69344A834 PGIM Aaa Clo Etf PAAA 1,740,083.00 89,527,270.00 0.18
46647PCR5 Jpmorgan Chase & Co JPM 2.55 11/08/2032 105,105,000.00 92,522,624.00 0.18
48128BAH4 Jpmorgan Chase & Co JPM 7.04 10/01/2173 89,955,000.00 90,458,000.00 0.18
4075275 Albania Government International Bond ALBANI 08/31/2025 91,273,547.00 90,401,748.00 0.18
29005DAA3 Elmwood Clo 42 Ltd ELM42 5.63 03/31/2038 93,500,000.00 93,740,136.00 0.18
173106AA3 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 4.1 02/01/2063 93,696,310.00 89,536,962.00 0.18
31418DYC0 Fannie Mae Pool FN 2.5 04/01/2051 109,805,124.00 91,681,953.00 0.18
36179W2W7 Ginnie Mae Ii Pool G2 3.5 04/01/2052 102,755,508.00 93,748,000.00 0.18
3133USKS9 Freddie Mac Pool FR 2.5 05/01/2051 108,228,880.00 89,869,824.00 0.18
3132DWC84 Freddie Mac Pool FR 3.0 02/01/2052 104,931,298.00 90,976,980.00 0.18
XS23053697 CVC Cordatus Loan Fund Vii Dac CORDA 2.61 09/15/2031 77,703,848.00 91,348,139.00 0.18
USU5 COMDT US Long Bond(cbt) Sep25 USU5 09/19/2025 3,012,810,625.00 92,918,748.00 0.18
XS28930318 Henley Clo Xi Dac HNLY 3.56 04/25/2039 77,200,000.00 91,116,005.00 0.18
XS23480578 Vendome Funding Clo 2020-1 Dac VENDM 3.19 07/20/2034 73,900,000.00 86,834,907.00 0.17
3133USKU4 Freddie Mac Pool FR 2.5 07/01/2051 101,073,082.00 84,288,170.00 0.17
3133ANK78 Freddie Mac Pool FR 2.5 07/01/2051 106,361,697.00 88,607,218.00 0.17
36179WVW5 Ginnie Mae Ii Pool G2 3.5 01/01/2052 92,443,446.00 84,411,719.00 0.17
37186XAX3 Genesis Sales Finance Master Trust GSFMT 5.87 12/20/2032 87,700,000.00 88,197,662.00 0.17
31418DQH8 Fannie Mae Pool FN 2.5 06/01/2050 101,134,899.00 84,984,174.00 0.17
12649AAC3 CSMC 2014-usa Oa Llc CSMC 3.95 09/01/2037 94,640,000.00 87,305,400.00 0.17
001210AQ6 AGL Clo 19 Ltd AGL 07/21/2038 85,494,000.00 85,494,000.00 0.17
08162MAW8 Benchmark 2020-b17 Mortgage Trust BMARK 2.04 03/01/2053 95,550,000.00 84,261,560.00 0.17
12433CAA3 BX Commercial Mortgage Trust 2024-airc BX 6.0 08/15/2039 84,646,742.00 84,964,167.00 0.17
46647PBD7 Jpmorgan Chase & Co JPM 3.7 05/06/2030 91,135,000.00 88,725,533.00 0.17
45824TBC8 Intelsat Jackson Holdings Sa INTEL 6.5 03/15/2030 83,590,000.00 85,261,800.00 0.17
69391NAA9 PMT Credit Risk Transfer Trust 2024-2r PMTCR 7.66 03/29/2027 83,210,845.00 85,121,133.00 0.17
67443AAA9 OBRA Clo 1 Ltd OBRAC 5.9 01/20/2038 87,000,000.00 87,328,999.00 0.17
66860JAN8 Northwoods Capital Xi-b Ltd WOODS 5.72 07/19/2037 84,529,000.00 84,846,372.00 0.17
BMDHPV7 Serbia International Bond SERBIA 3.13 05/15/2027 71,822,000.00 84,206,149.00 0.17
87190CBG4 TCW Clo 2020-1 Ltd TCW 5.32 04/20/2034 87,500,000.00 87,464,081.00 0.17
92343VHA5 Verizon Communications Inc VZ 5.4 07/02/2037 85,257,041.00 85,748,055.00 0.17
95002MAW9 Wells Fargo Commercial Mortgage Trust 20 WFCM 2.64 08/01/2052 86,325,000.00 80,769,925.00 0.16
912810TW8 United States Treasury Note/bond T 4.75 11/15/2043 83,000,000.00 82,909,218.00 0.16
BL0HM90 Ivory Coast Government International Bon IVYCST 5.88 10/17/2031 72,132,000.00 80,268,103.00 0.16
BL4645844 Doncasters Finance Us Llc DONCAS 10.8 04/23/2030 81,523,063.00 80,504,024.00 0.16
67121QAA3 OFSI Bsl Xv Clo Ltd OFSBS 5.52 03/31/2038 80,000,000.00 80,010,224.00 0.16
38141GYC2 Goldman Sachs Group Inc/the GS 3.21 04/22/2042 110,085,000.00 82,283,997.00 0.16
05610WAA8 BPR Trust 2023-brk2 BPR 7.15 10/01/2038 78,109,000.00 81,843,820.00 0.16
12516WAA9 CENT Trust 2023-city CENT 6.93 09/15/2038 83,750,000.00 83,854,092.00 0.16
17328RAY5 Citigroup Commercial Mortgage Trust 2020 CGCMT 2.48 02/01/2053 90,000,000.00 81,920,898.00 0.16
337738BG2 Fiserv Inc FI 5.38 08/21/2028 78,385,000.00 80,631,408.00 0.16
XS24007575 ST Paul's Clo Iv Dac SPAUL 2.99 04/25/2030 68,783,534.00 80,819,392.00 0.16
XS27199998 EG Global Finance Plc EGBLFN 11.0 11/30/2028 64,400,000.00 83,486,183.00 0.16
36179VVX5 Ginnie Mae Ii Pool G2 2.0 10/01/2050 95,956,924.00 78,162,359.00 0.15
31418DZU9 Fannie Mae Pool FN 1.5 06/01/2051 103,529,423.00 77,872,640.00 0.15
3132DWPH0 Freddie Mac Pool FR 5.5 04/01/2055 74,019,908.00 74,033,824.00 0.15
125039AE7 CD 2017-cd6 Mortgage Trust CD 3.19 11/01/2050 81,000,000.00 79,011,984.00 0.15
05625BAA7 BLP Commercial Mortgage Trust 2025-ind BLP 5.51 03/15/2042 76,180,000.00 75,919,411.00 0.15
06051GGR4 BANK Of America Corp BAC 3.59 07/21/2028 77,865,000.00 76,661,666.00 0.15
06541DBB9 BANK 2023-bnk46 BANK 6.95 08/01/2056 74,030,000.00 76,600,254.00 0.15
08162FAD5 Benchmark 2019-b12 Mortgage Trust BMARK 2.86 08/01/2052 81,000,000.00 75,780,173.00 0.15
48129RAW5 Jpmdb Commercial Mortgage Securities Tru JPMDB 2.79 11/01/2052 80,750,000.00 74,149,446.00 0.15
527298BV4 Level 3 Financing Inc LVLT 11.0 11/15/2029 64,390,636.00 74,097,666.00 0.15
6174468X0 Morgan Stanley MS 1.93 04/28/2032 88,076,000.00 75,309,314.00 0.15
55822GAQ7 Madison Park Funding Lvii Ltd MDPK 5.56 07/27/2034 78,500,000.00 78,646,630.00 0.15
90278MAZ0 UBS Commercial Mortgage Trust UBSCM 2.67 10/01/2052 80,671,594.00 74,767,288.00 0.15
95003PAA9 Wells Fargo Commercial Mortgage Trust 20 WFCM 5.48 07/01/2035 75,100,000.00 75,550,194.00 0.15
912834KV9 United States Treasury Strip Coupon S 11/15/2041 160,330,000.00 71,541,984.00 0.14
912810RQ3 United States Treasury Note/bond T 2.5 02/15/2046 100,000,000.00 69,296,875.00 0.14
BSF1TT5 Digicel Intermediate Holdings Ltd / Digi DIINFL 11.25 05/25/2027 69,250,107.00 69,942,608.00 0.14
55955XAA4 Magnetite Xlii Ltd MAGNE 5.62 01/25/2038 70,000,000.00 70,195,580.00 0.14
62854AAP9 UTAH Acquisition Sub Inc VTRS 5.25 06/15/2046 88,726,000.00 71,806,120.00 0.14
69392AAA6 PMT Credit Risk Transfer Trust 2024-3r PMTCR 7.41 09/27/2028 72,453,226.00 72,434,837.00 0.14
682684AA3 Onemain Direct Auto Receivables Trust 20 ODART 5.36 04/16/2035 67,700,000.00 69,795,768.00 0.14
68269NAA0 Onemain Financial Issuance Trust 2024-1 OMFIT 5.79 05/14/2041 67,000,000.00 70,110,602.00 0.14
12433FAA6 BX Commercial Mortgage Trust 2025-spot BX 5.76 04/15/2040 72,720,000.00 72,697,275.00 0.14
097023CX1 Boeing Co/the BA 5.93 05/01/2060 72,825,000.00 69,187,575.00 0.14
05613QAA8 BX Commercial Mortgage Trust 2024-air2 BX 5.8 10/15/2041 70,643,617.00 70,775,784.00 0.14
05593RAC6 BMO 2024-5c5 Mortgage Trust BMO 5.86 02/01/2057 68,760,000.00 71,700,734.00 0.14
12595EAC9 COMM 2017-cor2 Mortgage Trust COMM 3.24 09/01/2050 74,026,784.00 72,177,150.00 0.14
147918AC0 Cassa Depositi E Prestiti Spa CDEP 5.88 04/30/2029 67,510,000.00 70,117,175.00 0.14
14051LAA0 Capital Street Master Trust CAPST 5.65 10/16/2028 71,000,000.00 70,961,936.00 0.14
31418DP97 Fannie Mae Pool FN 2.0 06/01/2050 87,094,619.00 69,628,644.00 0.14
31418DV82 Fannie Mae Pool FN 2.5 01/01/2051 84,932,605.00 70,987,014.00 0.14
36179XFJ0 Ginnie Mae Ii Pool G2 5.0 09/01/2052 73,121,927.00 72,221,326.00 0.14
37045XDE3 General Motors Financial Co Inc GM 2.35 01/08/2031 84,135,000.00 72,843,409.00 0.14
XS28097803 SONA Fios Clo Ii Dac FIOS 3.69 02/15/2037 61,750,000.00 72,915,152.00 0.14
XS28092182 Lorca Telecom Bondco Sa LORCAT 5.75 04/30/2029 53,875,000.00 66,093,669.00 0.13
XS30193018 NGC Euro Clo 5 Dac NGCE 3.38 01/15/2039 55,000,000.00 64,382,329.00 0.13
XS29938708 Penta Clo 3 Dac PENTA 3.51 10/17/2038 57,250,000.00 67,525,893.00 0.13
XS29055072 Monument Clo 2 Dac MNMNT 4.13 01/20/2039 57,000,000.00 67,109,578.00 0.13
36260JAC1 GS Mortgage Securities Trust 2019-gc39 GSMS 3.31 05/01/2052 68,448,226.00 65,440,994.00 0.13
36179WBY3 Ginnie Mae Ii Pool G2 2.5 03/01/2051 77,770,797.00 66,128,708.00 0.13
31418DYX4 Fannie Mae Pool FN 2.0 05/01/2051 82,933,450.00 65,978,958.00 0.13
29273VAM2 Energy Transfer Lp ET 7.13 05/15/2174 65,450,000.00 66,743,013.00 0.13
278768AC0 Echostar Corp SATS 10.75 11/30/2029 62,584,000.00 64,341,913.00 0.13
06540VAZ8 BANK 2019-bnk24 BANK 2.71 11/01/2062 69,300,000.00 64,421,778.00 0.13
001207AQ2 AGL Clo 9 Ltd AGL 5.8 04/20/2037 67,750,000.00 67,995,363.00 0.13
05555PAC6 Bbcms Mortgage Trust 2024-5c29 BBCMS 5.21 09/01/2057 64,600,000.00 65,881,405.00 0.13
682696AA7 Onemain Financial Issuance Trust 2020-2 OMFIT 1.75 09/14/2035 68,400,000.00 66,687,093.00 0.13
83012DAQ6 Sixth Street Clo Xvi Ltd SIXST 6.06 01/20/2037 65,000,000.00 65,258,615.00 0.13
55821KAC0 Madison Park Funding Xxxviii Ltd MDPK 5.66 07/17/2034 64,500,000.00 64,606,560.00 0.13
61771MAV2 Morgan Stanley Capital I Trust 2019-h7 MSC 3.01 07/01/2052 71,647,434.00 67,551,858.00 0.13
61778GAE6 Morgan Stanley Bank Of America Merrill L MSBAM 5.64 03/01/2058 64,330,000.00 66,838,947.00 0.13
46648KAT3 Jpmdb Commercial Mortgage Securities Tru JPMDB 3.15 10/01/2050 68,265,324.00 66,127,465.00 0.13
47214BAC2 JBS Usa Holding Lux Sarl/ Jbs Usa Food C JBSSBZ 6.75 03/15/2034 62,220,000.00 67,926,295.00 0.13
465968AD7 Jpmcc Commercial Mortgage Securities Tru JPMCC 3.19 09/01/2050 70,600,000.00 68,303,036.00 0.13
911365BG8 United Rentals North America Inc URI 4.88 01/15/2028 64,805,000.00 64,569,767.00 0.13
880349AU9 Tenneco Inc TEN 8.0 11/17/2028 69,143,000.00 68,370,505.00 0.13
86773AAB7 Sunrun Vesta Issuer 2024-3 Llc SUNRN 5.88 10/30/2059 65,766,756.00 62,287,154.00 0.12
831943AA3 SMB Private Education Loan Trust 2024-a SMB 5.24 03/15/2056 59,061,963.00 60,056,129.00 0.12
891946AA3 TOWD Point Mortgage Trust 2025-crm1 TPMT 5.8 01/25/2065 61,997,673.00 62,442,902.00 0.12
89183HAA2 TOWD Point Mortgage Trust 2025-ces1 TPMT 5.71 02/01/2055 59,162,680.00 59,427,255.00 0.12
90276FAV6 UBS Commercial Mortgage Trust 2018-c10 UBSCM 4.05 05/01/2051 64,571,832.00 63,746,475.00 0.12
92332YAF8 Venture Global Lng Inc VENLNG 9.0 03/30/2173 64,855,000.00 63,210,837.00 0.12
BL4811412 EG Finco Ltd OPTFIN 6.86 02/07/2028 51,829,303.00 61,166,800.00 0.12
6174468U6 Morgan Stanley MS 1.79 02/13/2032 69,925,000.00 59,808,458.00 0.12
749427AA8 RCKT Mortgage Trust 2025-ces1 RCKT 5.65 01/01/2045 60,298,642.00 60,656,869.00 0.12
78472UAL2 Sreit Trust 2021-mfp SREIT 7.05 11/15/2038 62,913,113.00 62,913,112.00 0.12
05493BAA6 Bbcms 2020-bid Mortgage Trust BBCMS 6.57 10/15/2037 59,000,000.00 59,000,000.00 0.12
08162BBD3 Benchmark 2019-b11 Mortgage Trust BMARK 3.28 05/01/2052 61,825,000.00 59,165,671.00 0.12
29002QAS8 Elmwood Clo Vii Ltd ELMW7 5.64 10/17/2037 59,650,000.00 59,866,756.00 0.12
17326FAC1 Citigroup Commercial Mortgage Trust 2017 CGCMT 3.21 10/01/2050 63,250,870.00 61,782,058.00 0.12
21H052686 Ginnie Mae G2SF 5.5 08/20/2055 61,000,000.00 61,030,010.00 0.12
22823RAJ8 Crown City Clo I CCITY 5.72 07/20/2034 59,500,000.00 59,531,957.00 0.12
172967NN7 Citigroup Inc C 3.79 03/17/2033 63,929,000.00 59,648,303.00 0.12
31418FMJ3 Fannie Mae Pool FN 5.5 07/01/2055 63,038,958.00 63,050,850.00 0.12
36179XLJ3 Ginnie Mae Ii Pool G2 5.5 11/01/2052 63,075,811.00 63,756,307.00 0.12
3132DVLY9 Freddie Mac Pool FR 2.5 08/01/2051 74,037,010.00 62,383,534.00 0.12
31359MGK3 Federal National Mortgage Association FNMA 6.63 11/15/2030 55,120,000.00 62,290,952.00 0.12
XS29305383 LUGO Funding Dac LUGO 3.05 05/26/2066 52,024,060.00 61,136,380.00 0.12
XS23494478 BAIN Capital Euro Clo 2021-1 Dac BCCE 3.16 07/15/2034 47,750,000.00 55,981,322.00 0.11
XS23069893 BNPP Am Euro Clo 2018 Dac BNPAM 2.88 04/15/2031 46,976,847.00 55,178,529.00 0.11
XS23207660 Anchorage Capital Europe Clo 2 Dac ANCHE 3.13 04/15/2034 47,000,000.00 55,357,587.00 0.11
TYU5 COMDT US 10yr Note (cbt)sep25 TYU5 09/19/2025 3,161,588,625.00 55,013,886.00 0.11
3134A4AA2 Federal Home Loan Mortgage Corp FHLMC 6.75 03/15/2031 47,678,000.00 54,473,072.00 0.11
36179WZB7 Ginnie Mae Ii Pool G2 3.5 03/01/2052 62,668,598.00 57,184,838.00 0.11
36179Y2N3 Ginnie Mae Ii Pool G2 6.5 07/01/2054 56,920,197.00 58,513,090.00 0.11
31418EF21 Fannie Mae Pool FN 4.5 06/01/2052 59,731,215.00 57,240,805.00 0.11
31418D2M3 Fannie Mae Pool FN 2.5 07/01/2051 65,592,362.00 54,673,606.00 0.11
146869AN2 Carvana Co CVNA 11.0 06/01/2030 53,422,392.00 56,180,314.00 0.11
12595VAC1 COMM 2018-cor3 Mortgage Trust COMM 3.96 05/01/2051 54,996,860.00 53,997,396.00 0.11
12510TAA2 CBAM 2019-11r Ltd CBAM 5.71 01/20/2035 57,678,000.00 57,776,427.00 0.11
12515DAQ7 CD 2017-cd4 Mortgage Trust CD 3.25 05/01/2050 55,314,050.00 54,173,629.00 0.11
289913AC9 Elmwood Clo 29 Ltd ELM29 5.79 04/20/2037 53,915,000.00 54,105,578.00 0.11
08162YAD4 Benchmark 2019-b14 Mortgage Trust BMARK 2.79 12/01/2062 57,600,000.00 53,710,680.00 0.11
05555FAC8 Bbcms Mortgage Trust 2024-5c27 BBCMS 6.01 07/01/2057 53,800,000.00 56,325,199.00 0.11
78398EAA3 SCG Commercial Mortgage Trust 2025-dlfn SCG 5.51 03/15/2035 55,990,000.00 55,570,864.00 0.11
77341RAA4 Rockford Tower Clo 2023-1 Ltd ROCKT 6.17 01/20/2036 53,500,000.00 53,679,620.00 0.11
718172DE6 Philip Morris International Inc PM 5.63 09/07/2033 52,304,000.00 54,803,908.00 0.11
74390WAA0 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 55,332,561.00 53,849,249.00 0.11
61747YED3 Morgan Stanley MS 2.24 07/21/2032 65,450,000.00 56,684,712.00 0.11
55819QBJ5 Madison Park Funding Xix Ltd MDPK 5.87 01/22/2037 57,750,000.00 58,027,084.00 0.11
56579UBE5 Marathon Clo 2020-15 Ltd MCLO 5.78 08/15/2037 55,000,000.00 55,239,838.00 0.11
59284MAD6 Mexico City Airport Trust MEXCAT 5.5 07/31/2047 68,904,000.00 56,788,954.00 0.11
46647PBL9 Jpmorgan Chase & Co JPM 2.52 04/22/2031 63,170,000.00 57,733,468.00 0.11
47048XBC5 Jamestown Clo Xiv Ltd JTWN 5.31 10/20/2034 54,500,000.00 54,500,234.00 0.11
BD35RT0 Ivory Coast Government International Bon IVYCST 5.25 03/22/2030 49,957,000.00 56,290,688.00 0.11
92331DBJ6 Venture 28a Clo Ltd VENTR 5.38 10/20/2034 57,450,000.00 57,466,373.00 0.11
88676PAA0 Tikehau Us Clo Vi Ltd TKO 5.72 07/18/2037 56,000,000.00 56,240,839.00 0.11
88339WAC0 Williams Cos Inc/the WMB 5.15 03/15/2034 54,459,000.00 54,395,450.00 0.11
891947AA1 TOWD Point Mortgage Trust 2024-ces6 TPMT 5.73 11/01/2064 49,982,515.00 50,224,840.00 0.10
912834NP9 United States Treasury Strip Coupon S 05/15/2044 128,320,000.00 49,695,347.00 0.10
912834NV6 United States Treasury Strip Coupon S 08/15/2044 132,650,000.00 50,701,971.00 0.10
91327TAA9 Uniti Group Lp / Uniti Group Finance 201 UNIT 10.5 02/15/2028 46,147,000.00 48,894,456.00 0.10
95000U2G7 Wells Fargo & Co WFC 2.88 10/30/2030 55,529,000.00 51,881,603.00 0.10
95002EBA4 Wells Fargo Commercial Mortgage Trust 20 WFCM 2.47 02/01/2053 58,725,000.00 53,549,248.00 0.10
95000U2Q5 Wells Fargo & Co WFC 3.07 04/30/2041 64,795,000.00 48,984,879.00 0.10
936557AA5 Warwick Capital Clo 2 Ltd WWICK 6.21 01/15/2037 50,000,000.00 50,276,125.00 0.10
B97PWJ3 Brazil Minas Spe Via State Of Minas Gera MINASG 5.33 02/15/2028 50,367,000.00 49,908,156.00 0.10
B8AC6L2G5 Hurricane Cleanco Limited 6.25 10/31/2029 36,845,633.00 52,093,442.00 0.10
B8ADAMRM6 International Park Hldgs Bv 8.1 12/31/2031 45,000,000.00 52,718,380.00 0.10
BL5023827 CD&R Firefly Bidco Plc MOTFUE 9.21 04/29/2029 35,950,000.00 49,032,181.00 0.10
46647PAR7 Jpmorgan Chase & Co JPM 4.01 04/23/2029 52,470,000.00 51,989,652.00 0.10
38141GYB4 Goldman Sachs Group Inc/the GS 2.62 04/22/2032 54,500,000.00 48,477,105.00 0.10
61744YAP3 Morgan Stanley MS 3.77 01/24/2029 50,085,000.00 49,317,229.00 0.10
61761J3R8 Morgan Stanley MS 3.13 07/27/2026 49,095,000.00 48,482,651.00 0.10
59803ABG6 Midocean Credit Clo X MIDO 5.59 10/23/2034 53,000,000.00 53,138,383.00 0.10
61691JAU8 Morgan Stanley Capital I Trust 2017-h1 MSC 3.26 06/01/2050 51,175,000.00 50,204,420.00 0.10
50077KAA6 KRE Commercial Mortgage Trust 2025-aip4 KRE 5.61 03/15/2042 51,150,000.00 51,022,125.00 0.10
749426AA0 RCKT Mortgage Trust 2024-ces9 RCKT 5.58 12/01/2044 51,787,260.00 52,007,863.00 0.10
73110MAC9 Polen Capital Clo 2025-1 Ltd POLEN 5.58 04/20/2038 49,800,000.00 49,999,200.00 0.10
82671XAQ6 Signal Peak Clo 12 Ltd SPEAK 5.67 07/18/2037 50,000,000.00 50,162,420.00 0.10
67120UAA5 NYC Commercial Mortgage Trust 2025-3bp NYC 5.52 02/15/2042 49,015,000.00 48,616,753.00 0.10
05526DBD6 BAT Capital Corp BATSLN 4.39 08/15/2037 59,596,000.00 53,026,887.00 0.10
05377RHM9 AVIS Budget Rental Car Funding Aesop Llc AESOP 6.02 02/20/2030 49,700,000.00 51,947,563.00 0.10
03522AAH3 Anheuser-busch Cos Llc / Anheuser-busch ABIBB 4.7 02/01/2036 52,960,000.00 51,660,520.00 0.10
06211CAG0 Bank5 2023-5yr2 BANK5 6.66 07/01/2056 46,500,000.00 49,047,502.00 0.10
07133PAL3 Battalion Clo 17 Ltd BATLN 5.57 03/09/2034 49,500,000.00 49,569,448.00 0.10
25278XAM1 Diamondback Energy Inc FANG 3.25 12/01/2026 51,435,000.00 50,696,359.00 0.10
25714PEP9 Dominican Republic International Bond DOMREP 5.5 02/22/2029 51,930,000.00 51,696,315.00 0.10
165167735 Expand Energy Corp EXE 450,899.00 52,728,129.00 0.10
3140XPKJ7 Fannie Mae Pool FN 2.5 03/01/2052 59,826,999.00 50,345,255.00 0.10
3140XJNF6 Fannie Mae Pool FN 4.5 12/01/2050 53,198,590.00 52,551,415.00 0.10
3140QPKN6 Fannie Mae Pool FN 3.5 06/01/2052 58,872,662.00 53,328,402.00 0.10
31418EL57 Fannie Mae Pool FN 6.0 11/01/2052 48,395,239.00 49,346,208.00 0.10
31418EHP8 Fannie Mae Pool FN 5.0 08/01/2052 51,373,703.00 50,601,313.00 0.10
31418DYY2 Fannie Mae Pool FN 2.5 05/01/2051 58,855,700.00 49,020,657.00 0.10
31418DYA4 Fannie Mae Pool FN 1.5 04/01/2051 66,408,020.00 49,951,079.00 0.10
31418DRS3 Fannie Mae Pool FN 2.5 08/01/2050 58,854,608.00 49,400,624.00 0.10
31418D6B3 Fannie Mae Pool FN 2.0 11/01/2051 62,349,683.00 49,508,145.00 0.10
36271AAA1 GS Mortgage-backed Securities Trust 2024 GSMBS 5.81 01/25/2055 52,523,832.00 52,569,910.00 0.10
31418FE45 Fannie Mae Pool FN 6.0 12/01/2054 50,664,549.00 51,521,132.00 0.10
35564KJP5 Freddie Mac Stacr Remic Trust 2021-hqa3 STACR 6.41 09/25/2041 51,600,000.00 52,016,768.00 0.10
3133AQXB8 Freddie Mac Pool FR 2.5 08/01/2051 63,799,556.00 53,208,611.00 0.10
3132E0M33 Freddie Mac Pool FR 3.0 06/01/2052 58,695,740.00 51,662,998.00 0.10
3132DWE82 Freddie Mac Pool FR 5.5 10/01/2052 51,589,784.00 51,715,049.00 0.10
3132DWDF7 Freddie Mac Pool FR 3.5 03/01/2052 58,935,476.00 53,414,067.00 0.10
XS27144422 SONA Fios Clo I Dac FIOS 4.13 07/15/2036 43,420,000.00 51,580,322.00 0.10
XS27937125 Harvest Clo Xxxii Dac HARVT 3.61 07/25/2037 39,750,000.00 47,118,519.00 0.09
XS28981597 Invesco Euro Clo Ix Dac INVSC 3.62 07/20/2038 40,000,000.00 47,127,423.00 0.09
XS29295027 Kinbane 2024-rpl 2 Dac KINBN 3.19 01/24/2063 36,917,450.00 43,501,608.00 0.09
UXYU5 COMD US 10yr Ultra Fut Sep25 UXYU5 09/19/2025 2,363,812,984.00 45,645,935.00 0.09
3132DWEB5 Freddie Mac Pool FR 4.5 06/01/2052 47,471,915.00 45,491,014.00 0.09
3132DSD74 Freddie Mac Pool FR 3.0 06/01/2052 52,378,859.00 45,876,374.00 0.09
3133USHT1 Freddie Mac Pool FR 2.5 12/01/2050 53,419,676.00 44,804,492.00 0.09
36179XBU9 Ginnie Mae Ii Pool G2 4.5 07/01/2052 45,694,843.00 44,069,731.00 0.09
36257HBN5 GS Mortgage Securities Trust 2019-gc40 GSMS 2.9 07/01/2052 50,000,000.00 47,162,114.00 0.09
31418DVB5 Fannie Mae Pool FN 1.5 12/01/2050 60,400,188.00 45,455,433.00 0.09
3140X9X34 Fannie Mae Pool FN 1.5 03/01/2051 64,038,459.00 48,180,199.00 0.09
31418D4X7 Fannie Mae Pool FN 2.0 10/01/2051 59,389,437.00 47,069,267.00 0.09
172967KY6 Citigroup Inc C 3.2 10/21/2026 45,302,000.00 44,679,569.00 0.09
29001LAW1 Elmwood Clo Ii Ltd ELMW2 5.62 10/20/2037 48,010,000.00 48,166,032.00 0.09
29001LBA8 Elmwood Clo Ii Ltd ELMW2 5.97 10/20/2037 47,450,000.00 47,542,646.00 0.09
23636ABH3 Danske Bank A/s DANBNK 5.71 03/01/2030 43,015,000.00 44,572,543.00 0.09
224044CU9 COX Communications Inc COXENT 5.45 09/01/2034 48,652,000.00 47,981,755.00 0.09
19828TAB2 Columbia Pipelines Operating Co Llc CPGX 6.04 11/15/2033 46,110,000.00 48,408,702.00 0.09
200447AL4 Comision Federal De Electricidad CFELEC 4.69 05/15/2029 45,602,000.00 44,416,348.00 0.09
06875VAA8 Barrow Hanley Clo Iii Ltd BARHN 5.89 04/20/2037 43,250,000.00 43,419,397.00 0.09
06540AAC5 BANK 2019-bnk20 BANK 2.76 09/01/2062 48,567,548.00 45,414,178.00 0.09
06051GFU8 BANK Of America Corp BAC 4.45 03/03/2026 45,640,000.00 45,577,940.00 0.09
08162YAC6 Benchmark 2019-b14 Mortgage Trust BMARK 3.09 12/01/2062 48,180,000.00 46,129,873.00 0.09
039955AA7 ARES Trust 2025-ind3 ARES1 5.81 04/15/2027 47,990,000.00 48,049,896.00 0.09
82811AAA2 Silver Rock Clo Iii SLVRK 6.15 01/20/2036 45,250,000.00 45,458,738.00 0.09
83368RAZ5 Societe Generale Sa SOCGEN 1.49 12/14/2026 47,800,000.00 47,104,510.00 0.09
83616KAA5 Sound Point Clo Xxxiii Ltd SNDPT 5.62 04/25/2035 45,000,000.00 45,119,619.00 0.09
62431UBC5 Mountain View Clo 2013-1 Ltd MVW 5.5 10/12/2030 47,486,485.00 47,521,045.00 0.09
44934XAA4 ICG Us Clo 2024-r1 Ltd ICG 5.7 01/25/2038 45,950,000.00 46,098,799.00 0.09
465410BG2 Republic Of Italy Government Internation ITALY 5.38 06/15/2033 46,180,000.00 47,769,520.00 0.09
BYWQJH3 Petroleos Mexicanos PEMEX 4.88 02/21/2028 41,240,000.00 47,394,796.00 0.09
FVU5 COMDT US 5yr Note (cbt) Sep25 FVU5 09/30/2025 4,120,200,000.00 46,596,356.00 0.09
B8AAE7AK3 Blackstone Private Cr Fund 5.61 05/03/2027 43,775,000.00 43,596,047.00 0.09
94949FAL7 Wellfleet Clo 2022-2 Ltd WELF 5.69 10/18/2037 47,690,000.00 47,916,632.00 0.09
96949LAD7 Williams Cos Inc/the WMB 3.75 06/15/2027 43,926,000.00 43,430,387.00 0.09
91324PDT6 Unitedhealth Group Inc UNH 3.5 08/15/2039 55,681,000.00 44,939,327.00 0.09
88675CAA0 Tikehau Us Clo Iv Ltd TKO 6.46 07/15/2034 47,250,000.00 47,514,061.00 0.09
90353TAP5 UBER Technologies Inc UBER 4.8 09/15/2034 44,900,000.00 44,203,117.00 0.09
90276XAU9 UBS Commercial Mortgage Trust 2018-c11 UBSCM 3.98 06/01/2051 40,000,000.00 39,634,188.00 0.08
844741BK3 Southwest Airlines Co LUV 5.13 06/15/2027 38,315,000.00 38,660,223.00 0.08
91324PEX6 Unitedhealth Group Inc UNH 5.2 04/15/2063 46,040,000.00 40,966,700.00 0.08
973142AQ5 THL Credit Wind River 2020-1 Clo Ltd WINDR 5.84 07/20/2037 43,000,000.00 43,180,462.00 0.08
97314HAQ2 WIND River 2021-1 Clo Ltd WINDR 5.7 07/20/2037 41,700,000.00 41,848,497.00 0.08
95001YAD6 Wells Fargo Commercial Mortgage Trust 20 WFCM 2.89 12/01/2052 42,491,722.00 39,862,614.00 0.08
95000U2U6 Wells Fargo & Co WFC 3.35 03/02/2033 41,995,000.00 38,367,379.00 0.08
B54YZN0 Repubic Of Italy Government Internationa ITALYS 02/20/2031 43,130,140.00 42,235,132.00 0.08
BF2D3D5 Eskom Holdings Soc Ltd ESKOM 8.45 08/10/2028 40,406,000.00 42,325,285.00 0.08
BK4K0P0 Serbia International Bond SERBIA 1.5 06/26/2029 37,883,000.00 40,642,455.00 0.08
BYZGYB9 Zimmer Biomet Holdings Inc ZBH 2.43 12/13/2026 35,000,000.00 41,114,872.00 0.08
BMDWSJ1 Serbia International Bond SERBIA 3.13 05/15/2027 33,806,000.00 39,635,113.00 0.08
38237BAA8 Goodleap Sustainable Home Solutions Trus GOOD 6.25 06/20/2057 42,732,521.00 41,628,782.00 0.08
55903VBE2 Warnermedia Holdings Inc WBD 5.14 03/15/2052 74,005,000.00 38,884,345.00 0.08
826937AA2 Signal Peak Clo 8 Ltd SPEAK 5.66 10/20/2037 40,000,000.00 40,182,856.00 0.08
75888ABE5 Regatta Vii Funding Ltd REGT7 5.73 06/20/2034 40,600,000.00 40,706,895.00 0.08
75009CAA4 RAD Clo 23 Ltd RAD 5.87 04/20/2037 42,200,000.00 42,357,372.00 0.08
69689ABU3 Palmer Square Clo 2015-1 Ltd PLMRS 5.37 05/21/2034 38,808,000.00 38,756,501.00 0.08
749421AA1 RCKT Mortgage Trust 2024-ces8 RCKT 5.49 11/01/2044 42,782,285.00 42,866,185.00 0.08
63942YAE4 Navesink Clo 2 Ltd NAVS 6.46 04/15/2036 40,000,000.00 40,269,452.00 0.08
68902VAP2 OTIS Worldwide Corp OTIS 5.25 08/16/2028 39,875,000.00 41,033,888.00 0.08
05526DBR5 BAT Capital Corp BATSLN 2.26 03/25/2028 41,745,000.00 39,455,161.00 0.08
05555HAA8 BFLD 2024-wrhs Mortgage Trust BFLD 5.8 08/15/2026 39,026,575.00 39,026,575.00 0.08
00287YAS8 Abbvie Inc ABBV 4.7 05/14/2045 43,711,000.00 39,146,718.00 0.08
02209SBM4 Altria Group Inc MO 3.4 02/04/2041 56,803,000.00 42,112,754.00 0.08
00973RAM5 AKER Bp Asa AKERBP 6.0 06/13/2033 37,300,000.00 38,322,579.00 0.08
097751BX8 Bombardier Inc BBDBCN 6.0 02/15/2028 42,750,000.00 42,921,855.00 0.08
10554TAH8 Braskem Netherlands Finance Bv BRASKM 8.5 01/12/2031 47,933,000.00 41,749,643.00 0.08
05964HBA2 Banco Santander Sa SANTAN 5.55 03/14/2028 40,600,000.00 41,260,245.00 0.08
06051GHV4 BANK Of America Corp BAC 3.19 07/23/2030 45,315,000.00 43,139,160.00 0.08
06051GJF7 BANK Of America Corp BAC 1.9 07/23/2031 48,286,000.00 42,409,528.00 0.08
223929AA8 CQS Us Clo 2023-3 Ltd CQS 6.17 01/25/2037 41,000,000.00 41,196,291.00 0.08
29004MAC0 Elmwood Clo 36 Ltd ELM36 5.97 10/20/2037 43,000,000.00 43,089,977.00 0.08
25470XAY1 DISH Dbs Corp DISH 7.75 07/01/2026 43,472,000.00 38,617,087.00 0.08
251526CX5 Deutsche Bank Ag/new York Ny DB 5.0 09/11/2030 42,157,000.00 42,413,141.00 0.08
17180WAJ4 CIFC Funding 2018-ii Ltd CIFC 5.64 10/20/2037 42,260,000.00 42,429,242.00 0.08
138616AM9 Cantor Fitzgerald Lp CANTOR 7.2 12/12/2028 37,660,000.00 39,993,847.00 0.08
31418DUG5 Fannie Mae Pool FN 2.0 11/01/2050 53,753,741.00 42,907,219.00 0.08
36261PAS1 GS Mortgage Securities Trust 2019-gsa1 GSMS 2.79 11/01/2052 42,000,000.00 39,661,125.00 0.08
37148EAN4 Generate Clo 8 Ltd GNRT 5.65 01/20/2038 39,700,000.00 39,875,593.00 0.08
38141GWB6 Goldman Sachs Group Inc/the GS 3.85 01/26/2027 41,450,000.00 41,179,236.00 0.08
38141GXR0 Goldman Sachs Group Inc/the GS 1.99 01/27/2032 48,415,000.00 41,912,538.00 0.08
345397A45 FORD Motor Credit Co Llc F 4.27 01/09/2027 44,065,000.00 43,339,057.00 0.08
3132DSZQ8 Freddie Mac Pool FR 2.5 04/01/2052 49,204,464.00 41,411,230.00 0.08
303901BR2 Fairfax Financial Holdings Ltd FFHCN 6.35 03/22/2054 38,720,000.00 39,153,683.00 0.08
3132DWPS6 Freddie Mac Pool FR 5.5 05/01/2055 39,536,020.00 39,543,454.00 0.08
3132DS2K7 Freddie Mac Pool FR 3.0 04/01/2052 43,990,667.00 38,475,881.00 0.08
3132DWBH5 Freddie Mac Pool FR 2.0 04/01/2051 53,745,685.00 42,763,803.00 0.08
SWZ96SC1NX Cdx.na.hy.43.v1 5.0 12/20/2029 520,000,000.00 38,944,204.00 0.08
XS27159509 Anchorage Capital Europe Clo 6 Dac ANCHE 3.99 01/22/2038 33,400,000.00 39,418,892.00 0.08
XS24149361 Henley Clo Iii Dac HNLY 3.13 12/25/2035 28,250,000.00 33,256,039.00 0.07
XS29541839 Avoca Clo Xviii Dac AVOCA 4.61 01/15/2038 31,700,000.00 37,434,740.00 0.07
XS30533989 Sound Point Euro Clo 15 Funding Dac SNDPE 07/20/2039 31,500,000.00 37,056,538.00 0.07
XS23322426 Jubilee Clo 2013-x Dac JUBIL 3.1 07/15/2034 30,000,000.00 35,233,717.00 0.07
3132DVL94 Freddie Mac Pool FR 2.5 01/01/2052 43,455,449.00 36,572,770.00 0.07
3132DWBZ5 Freddie Mac Pool FR 2.5 07/01/2051 39,987,406.00 33,378,546.00 0.07
3132DWBN2 Freddie Mac Pool FR 1.5 05/01/2051 45,831,863.00 34,473,377.00 0.07
3132DWAX1 Freddie Mac Pool FR 2.5 01/01/2051 41,960,975.00 35,098,869.00 0.07
3132DWB28 Freddie Mac Pool FR 3.0 07/01/2051 38,378,724.00 33,399,869.00 0.07
29279FAA7 Energy Transfer Lp ET 6.25 04/15/2049 37,960,000.00 37,487,090.00 0.07
29002UAJ9 Elmwood Clo 16 Ltd ELM16 5.8 04/20/2037 36,500,000.00 36,632,257.00 0.07
3133USJ69 Freddie Mac Pool FR 2.5 02/01/2051 40,577,002.00 33,959,168.00 0.07
3133ARR80 Freddie Mac Pool FR 2.5 09/01/2051 42,153,656.00 35,156,054.00 0.07
35564KNS4 Freddie Mac Stacr Remic Trust 2021-hqa4 STACR 6.66 12/25/2041 37,280,000.00 37,697,163.00 0.07
37149VAC9 Generate Clo 18 Ltd GNRT 6.22 01/20/2038 37,500,000.00 37,664,647.00 0.07
36179XTE6 Ginnie Mae Ii Pool G2 6.0 02/01/2053 34,178,196.00 34,927,997.00 0.07
31418EM23 Fannie Mae Pool FN 6.0 12/01/2052 35,576,146.00 36,328,980.00 0.07
3140XQTP2 Fannie Mae Pool FN 5.0 09/01/2044 33,627,726.00 34,007,084.00 0.07
3140XMRE8 Fannie Mae Pool FN 6.0 09/01/2053 34,249,512.00 35,234,996.00 0.07
3140XMUF1 Fannie Mae Pool FN 3.0 10/01/2044 37,773,785.00 34,145,776.00 0.07
161175BS2 Charter Communications Operating Llc / C CHTR 5.13 07/01/2049 40,050,000.00 33,264,512.00 0.07
172967KR1 Citigroup Inc C 4.75 05/18/2046 42,640,000.00 36,502,535.00 0.07
172967NF4 Citigroup Inc C 2.9 11/03/2042 53,586,000.00 37,997,503.00 0.07
12508GAT3 Ccubs Commercial Mortgage Trust 2017-c1 CCUBS 3.28 11/01/2050 36,347,439.00 35,465,290.00 0.07
12596WAB0 Csail 2019-c16 Commercial Mortgage Trust CSAIL 3.07 06/01/2052 37,128,801.00 35,091,506.00 0.07
12597BAT6 Csail 2019-c17 Commercial Mortgage Trust CSAIL 2.76 09/01/2052 37,150,000.00 34,553,359.00 0.07
131347CN4 Calpine Corp CPN 5.13 03/15/2028 36,666,000.00 36,631,816.00 0.07
25470MAG4 DISH Network Corp DISH 11.75 11/15/2027 32,376,000.00 33,334,179.00 0.07
233331AY3 DTE Energy Co DTE 2.85 10/01/2026 37,340,000.00 36,673,831.00 0.07
18914GAC5 Clover Clo 2018-1 Llc CLVR 5.8 04/20/2037 35,390,000.00 35,514,494.00 0.07
05594CAA2 BX Trust 2025-lunr BX 5.81 06/15/2040 35,000,000.00 35,043,687.00 0.07
06051GJP5 BANK Of America Corp BAC 2.65 03/11/2032 40,400,000.00 36,232,038.00 0.07
08162DAD0 Benchmark 2019-b13 Mortgage Trust BMARK 2.7 08/01/2057 38,700,000.00 36,143,822.00 0.07
08162VAD0 Benchmark 2019-b10 Mortgage Trust BMARK 3.46 03/01/2062 39,470,740.00 38,035,138.00 0.07
00287YCY3 Abbvie Inc ABBV 4.55 03/15/2035 38,439,000.00 37,325,488.00 0.07
00206RKH4 AT&T Inc T 2.25 02/01/2032 40,020,000.00 34,457,280.00 0.07
00206RLV2 AT&T Inc T 3.65 09/15/2059 51,611,000.00 34,609,968.00 0.07
05555VAA7 BFLD 2024-vict Mortgage Trust BFLD 6.2 07/15/2041 37,000,000.00 37,092,500.00 0.07
037989AL4 Apidos Clo Xliv Ltd APID 5.64 10/26/2037 35,350,000.00 35,479,663.00 0.07
682680CR2 Oneok Inc OKE 6.5 09/01/2030 32,345,000.00 34,565,825.00 0.07
682680AY9 Oneok Inc OKE 3.4 09/01/2029 35,605,000.00 33,997,913.00 0.07
67120UAE7 NYC Commercial Mortgage Trust 2025-3bp NYC 6.2 02/15/2042 35,410,000.00 35,055,900.00 0.07
67389JAB4 Oaktown Re Vii Ltd OMIR 7.21 04/25/2034 33,763,126.00 34,067,217.00 0.07
67591YAU3 Octagon Investment Partners 38 Ltd OCT38 6.07 10/20/2037 35,000,000.00 35,112,479.00 0.07
709599BW3 Penske Truck Leasing Co Lp / Ptl Finance PENSKE 6.05 08/01/2028 33,890,000.00 35,321,909.00 0.07
71654QCB6 Petroleos Mexicanos PEMEX 6.88 08/04/2026 36,550,000.00 36,532,821.00 0.07
571903AS2 Marriott International Inc/md MAR 3.13 06/15/2026 37,700,000.00 37,243,488.00 0.07
62482BAA0 Medline Borrower Lp MEDIND 3.88 04/01/2029 39,337,000.00 37,768,989.00 0.07
61768HAV8 Morgan Stanley Capital I Trust 2019-l2 MSC 3.81 03/01/2052 37,651,105.00 36,497,200.00 0.07
61769JAZ4 Morgan Stanley Capital I Trust 2019-h6 MSC 3.16 06/01/2052 37,750,000.00 36,526,020.00 0.07
61691UBD0 Morgan Stanley Capital I Trust 2019-l3 MSC 2.87 11/01/2052 35,695,479.00 33,469,844.00 0.07
38237EAA2 Goodleap Home Improvement Solutions Trus GDLP 5.38 02/20/2049 33,367,093.00 33,782,149.00 0.07
448814DL4 Hydro-quebec QHEL 9.5 11/15/2030 29,000,000.00 35,994,338.00 0.07
44107TAZ9 HOST Hotels & Resorts Lp HST 3.5 09/15/2030 36,393,000.00 33,830,583.00 0.07
BMHKDS5 TK Elevator Midco Gmbh THYELE 4.38 07/15/2027 29,035,000.00 34,114,563.00 0.07
BMYD8L5 Ivory Coast Government International Bon IVYCST 4.88 01/30/2032 34,367,000.00 36,269,987.00 0.07
BSF1TY0 Digicel Midco Ltd / Difl Us Ii Llc DIGMID 10.5 11/25/2028 36,959,922.00 36,705,822.00 0.07
BHZL0J5 Petrobras Global Finance Bv PETBRA 6.63 01/16/2034 27,600,000.00 37,392,633.00 0.07
BL4417558 CLUE Opco Llc FWRD 8.78 12/19/2030 35,104,506.00 34,806,117.00 0.07
BD8PFS0 American International Group Inc AIG 1.88 06/21/2027 29,631,000.00 34,408,201.00 0.07
B5BVX41 Hamburg Commercial Bank Ag HCOB 4.39 03/21/2031 40,000,000.00 38,110,344.00 0.07
95000XAE7 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.16 09/01/2050 37,000,000.00 36,060,977.00 0.07
92840VAF9 Vistra Operations Co Llc VST 5.0 07/31/2027 33,211,000.00 33,164,015.00 0.07
95001XBA3 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.47 05/01/2052 34,566,432.00 33,407,737.00 0.07
95002DBD0 Wells Fargo Commercial Mortgage Trust 20 WFCM 4.18 09/01/2061 37,617,344.00 37,306,173.00 0.07
92343VGY4 Verizon Communications Inc VZ 4.78 02/15/2035 36,212,000.00 35,294,107.00 0.07
852060AT9 Sprint Capital Corp S 8.75 03/15/2032 29,300,000.00 35,546,098.00 0.07
86271PAL9 Strata Clo Ii Ltd STRTA 5.65 10/20/2033 33,750,000.00 33,804,938.00 0.07
87264ABL8 T-mobile Usa Inc TMUS 3.0 02/15/2041 47,439,000.00 34,683,324.00 0.07
89832QAD1 Truist Financial Corp TFC 6.67 03/01/2172 34,643,000.00 34,779,561.00 0.07
90932LAG2 United Airlines Inc UAL 4.38 04/15/2026 34,860,000.00 34,612,191.00 0.07
904678AU3 Unicredit Spa UCGIM 2.57 09/22/2026 28,415,000.00 28,261,024.00 0.06
912810RK6 United States Treasury Note/bond T 2.5 02/15/2045 41,805,000.00 29,433,332.00 0.06
90137LAN0 20 Times Square Trust 2018-20ts TSQ 3.2 05/01/2035 39,245,000.00 30,807,325.00 0.06
90137LAQ3 20 Times Square Trust 2018-20ts TSQ 3.2 05/01/2035 40,252,500.00 29,585,587.00 0.06
90276YAD5 UBS Commercial Mortgage Trust 2019-c16 UBSCM 3.34 04/01/2052 31,500,000.00 30,027,623.00 0.06
90276TAF1 UBS Commercial Mortgage Trust 2017-c5 UBSCM 3.21 11/01/2050 32,275,000.00 31,384,174.00 0.06
90276UAW1 UBS Commercial Mortgage Trust 2017-c6 UBSCM 3.32 12/01/2050 29,784,874.00 29,084,750.00 0.06
89183EAA9 TOWD Point Mortgage Trust 2024-ces3 TPMT 6.29 05/01/2064 28,326,487.00 28,592,611.00 0.06
89182FAA7 TOWD Point Mortgage Trust TPMT 7.29 10/25/2063 28,959,553.00 29,430,771.00 0.06
924929AC6 Verus Securitization Trust 2025-inv1 VERUS 5.55 02/01/2070 30,737,625.00 30,855,835.00 0.06
92277GAL1 Ventas Realty Lp VTR 3.85 04/01/2027 31,660,000.00 31,385,490.00 0.06
91324PEK4 Unitedhealth Group Inc UNH 4.75 05/15/2052 34,401,000.00 29,331,776.00 0.06
91324PFD9 Unitedhealth Group Inc UNH 5.5 04/15/2064 30,370,000.00 28,371,203.00 0.06
912834MZ8 United States Treasury Strip Coupon S 11/15/2043 74,569,000.00 29,678,764.00 0.06
928668CP5 Volkswagen Group Of America Finance Llc VW 5.05 03/27/2028 32,852,000.00 32,996,381.00 0.06
B8A5CKF71 Tfs_l 8-3-al 2.90 16-mar-2023 Private Pl 2.9 03/15/2026 33,690,690.00 29,566,031.00 0.06
BL4579993 Digicel Intl Finance Ltd DLLTD 11.78 05/25/2027 32,307,313.00 32,085,200.00 0.06
SWB8A9KCBB SWP: Ois Sofr 1.350000 11-may-2054 05/11/2054 -72,870,000.00 32,409,643.00 0.06
404530AC1 Hackensack Meridian Health Inc HMHLTH 2.68 09/01/2041 40,545,000.00 28,347,349.00 0.06
444859CA8 Humana Inc HUM 5.38 04/15/2031 31,487,000.00 32,194,125.00 0.06
38143U8H7 Goldman Sachs Group Inc/the GS 3.75 02/25/2026 31,393,000.00 31,240,175.00 0.06
38238FAA8 Goodleap Home Improvement Solutions Trus GDLP 5.32 06/20/2049 28,600,000.00 28,988,473.00 0.06
47233JDX3 Jefferies Financial Group Inc JEF 2.75 10/15/2032 39,020,000.00 32,926,192.00 0.06
48128BAN1 Jpmorgan Chase & Co JPM 3.65 09/01/2173 28,750,000.00 28,302,040.00 0.06
48128YAU5 Jpmcc Commercial Mortgage Securities Tru JPMCC 3.76 03/01/2052 31,250,000.00 30,211,949.00 0.06
48128YAV3 Jpmcc Commercial Mortgage Securities Tru JPMCC 3.76 03/01/2052 31,675,000.00 30,075,333.00 0.06
628530BC0 Mylan Inc VTRS 5.4 11/29/2043 38,126,000.00 32,042,016.00 0.06
61744YAK4 Morgan Stanley MS 3.59 07/22/2028 29,190,000.00 28,676,383.00 0.06
49456BAR2 Kinder Morgan Inc KMI 2.0 02/15/2031 35,000,000.00 30,528,056.00 0.06
48128BAD3 Jpmorgan Chase & Co JPM 7.12 05/01/2170 30,100,000.00 30,210,986.00 0.06
50205PAA0 Lhome Mortgage Trust 2024-rtl4 LHOME 5.92 07/25/2039 28,250,000.00 28,398,174.00 0.06
527298CD3 Level 3 Financing Inc LVLT 4.5 04/01/2030 31,060,000.00 28,112,877.00 0.06
556227AG1 Eleven Madison Trust 2015-11md Mortgage MAD 3.67 09/01/2035 30,650,000.00 29,411,240.00 0.06
77587EAL2 Romark Clo Ii Ltd RMRK 5.42 07/25/2031 31,590,081.00 31,612,911.00 0.06
78430EAA3 SG Commercial Mortgage Securities Trust SGCMS 3.02 09/01/2039 35,000,000.00 32,068,050.00 0.06
78355HKZ1 Ryder System Inc R 5.38 03/15/2029 29,585,000.00 30,430,247.00 0.06
67448YAC8 OBX 2025-nqm3 Trust OBX 5.65 11/07/2064 30,139,318.00 30,302,073.00 0.06
67120UAG2 NYC Commercial Mortgage Trust 2025-3bp NYC 6.75 02/15/2042 32,870,000.00 32,297,503.00 0.06
67091TAF2 OCP Sa OCPMR 6.75 05/02/2034 28,050,000.00 29,018,847.00 0.06
64130HAU5 Neuberger Berman Loan Advisers Clo 24 Lt NEUB 5.63 10/19/2038 28,850,000.00 28,950,975.00 0.06
64132TAU7 Neuberger Berman Loan Advisers Clo 33 Lt NEUB 5.48 04/16/2039 30,000,000.00 30,015,000.00 0.06
693475BR5 PNC Financial Services Group Inc/the PNC 5.58 06/12/2029 30,325,000.00 31,411,038.00 0.06
03522AAJ9 Anheuser-busch Cos Llc / Anheuser-busch ABIBB 4.9 02/01/2046 31,653,000.00 28,805,917.00 0.06
00287YAM1 Abbvie Inc ABBV 4.4 11/06/2042 32,717,000.00 28,740,573.00 0.06
07336PAA2 Bayview Opportunity Master Fund Vii 2024 BVCLN 5.76 06/25/2047 30,548,362.00 30,651,725.00 0.06
08163LAE9 Benchmark 2020-b21 Mortgage Trust BMARK 1.7 12/03/2053 37,450,000.00 32,566,261.00 0.06
11135FCB5 Broadcom Inc AVGO 4.35 02/15/2030 33,095,000.00 32,973,392.00 0.06
097023CK9 Boeing Co/the BA 3.9 05/01/2049 44,475,000.00 31,937,543.00 0.06
09659W2M5 BNP Paribas Sa BNP 1.9 09/30/2028 32,200,000.00 30,342,675.00 0.06
06541TBA6 BANK 2020-bnk29 BANK 1.74 11/01/2053 37,295,938.00 32,348,217.00 0.06
06738EBK0 Barclays Plc BACR 5.09 06/20/2030 28,394,000.00 28,454,169.00 0.06
05583JAH5 BPCE Sa BPCEGP 1.65 10/06/2026 30,045,000.00 29,800,433.00 0.06
28623MAS8 Elevation Clo 2021-12 Ltd AWPT 5.89 04/20/2037 32,300,000.00 32,423,021.00 0.06
279158AT6 Ecopetrol Sa ECOPET 8.63 01/19/2029 30,525,000.00 32,245,999.00 0.06
279158AW9 Ecopetrol Sa ECOPET 7.75 02/01/2032 32,880,000.00 32,263,500.00 0.06
12654FAA8 COMM 2024-277p Mortgage Trust COMM 6.34 08/01/2044 29,200,000.00 30,777,457.00 0.06
12655TBL2 COMM 2019-gc44 Mortgage Trust COMM 2.7 08/01/2057 34,500,000.00 31,911,085.00 0.06
125523AH3 Cigna Group/the CI 4.38 10/15/2028 31,225,000.00 31,266,264.00 0.06
172967MU2 Citigroup Inc C 4.0 03/10/2173 31,420,000.00 31,191,213.00 0.06
17179VAA8 CIM Trust 2024-r1 CIM 4.75 06/01/2064 32,235,101.00 31,969,323.00 0.06
131347CQ7 Calpine Corp CPN 5.0 02/01/2031 31,865,000.00 31,509,190.00 0.06
3140XNFC3 Fannie Mae Pool FN 3.5 11/01/2042 33,654,706.00 31,628,290.00 0.06
3140XMP91 Fannie Mae Pool FN 2.5 11/01/2050 33,631,046.00 28,219,464.00 0.06
3140X4V45 Fannie Mae Pool FN 4.5 09/01/2049 29,475,160.00 28,656,063.00 0.06
31418EKV1 Fannie Mae Pool FN 5.5 11/01/2052 27,931,026.00 28,093,809.00 0.06
31418EDY3 Fannie Mae Pool FN 4.0 04/01/2052 30,784,113.00 28,636,060.00 0.06
31418EE63 Fannie Mae Pool FN 4.5 07/01/2052 29,698,971.00 28,459,646.00 0.06
36179V4V9 Ginnie Mae Ii Pool G2 2.5 01/01/2051 35,240,373.00 29,979,200.00 0.06
3134A4KX1 Federal Home Loan Mortgage Corp FHLMC 6.25 07/15/2032 25,297,000.00 28,681,720.00 0.06
3132DWAN3 Freddie Mac Pool FR 2.0 12/01/2050 37,821,608.00 30,142,647.00 0.06
XS23530708 Vendome Funding Clo 2020-1 Dac VENDM 3.4 07/20/2034 24,000,000.00 28,354,509.00 0.06
XS23300653 Albacore Euro Clo Ii Dac ALBAC 2.98 06/15/2034 24,500,000.00 28,843,203.00 0.06
XS22745292 CIFC European Funding Clo Iii Dac CIFCE 3.33 01/15/2034 28,000,000.00 32,982,616.00 0.06
XS29054369 Providus Clo Ii Dac PRVD 4.18 10/15/2038 27,915,000.00 32,901,677.00 0.06
XS28131675 Hayfin Emerald Clo X Dac HAYEM 4.34 07/18/2038 25,750,000.00 30,337,699.00 0.06
XS27989848 Nassau Euro Clo Iv Dac NGCE 4.39 07/20/2038 20,000,000.00 23,793,461.00 0.05
XS27199837 ICG Euro Clo 2023-2 Dac ICGE 4.91 01/26/2038 20,000,000.00 23,670,068.00 0.05
XS23322413 Jubilee Clo 2013-x Dac JUBIL 3.11 07/15/2034 21,317,000.00 25,062,610.00 0.05
XS23556057 Aurium Clo Ii Dac ACLO 3.19 06/22/2034 22,500,000.00 26,464,193.00 0.05
XS23881971 ST Pauls Clo SPAUL 3.11 01/17/2032 20,701,977.00 24,329,230.00 0.05
SWB8ACMDEY SWP: Ois Sofr 4.497000 13-may-2027 05/13/2027 1,458,020,000.00 25,415,548.00 0.05
3132DWBB8 Freddie Mac Pool FR 2.0 03/01/2051 30,128,328.00 23,973,767.00 0.05
3132DWG23 Freddie Mac Pool FR 6.0 04/01/2053 25,975,372.00 26,480,190.00 0.05
3132DWGS6 Freddie Mac Pool FR 6.0 03/01/2053 27,181,713.00 27,656,018.00 0.05
29364WBB3 Entergy Louisiana Llc ETR 4.2 09/01/2048 29,046,000.00 23,145,909.00 0.05
29379VCA9 Enterprise Products Operating Llc EPD 3.2 02/15/2052 42,775,000.00 27,924,389.00 0.05
3132DPQG6 Freddie Mac Pool FR 6.0 01/01/2053 27,132,342.00 27,633,230.00 0.05
36179XNH5 Ginnie Mae Ii Pool G2 6.0 12/01/2052 24,427,558.00 24,968,975.00 0.05
36179XH25 Ginnie Mae Ii Pool G2 5.5 10/01/2052 23,227,473.00 23,478,058.00 0.05
349553AM9 Fortis Inc/canada FTSCN 3.06 10/04/2026 25,625,000.00 25,171,824.00 0.05
335934AV7 First Quantum Minerals Ltd FMCN 9.38 03/01/2029 22,555,000.00 23,900,405.00 0.05
31418EHK9 Fannie Mae Pool FN 4.5 09/01/2052 29,006,146.00 27,797,761.00 0.05
31418ECQ1 Fannie Mae Pool FN 2.5 04/01/2052 31,053,256.00 25,814,646.00 0.05
31418ECR9 Fannie Mae Pool FN 3.0 04/01/2052 30,317,595.00 26,282,400.00 0.05
31418DYZ9 Fannie Mae Pool FN 3.0 05/01/2051 27,443,953.00 23,951,080.00 0.05
3140X7TX7 Fannie Mae Pool FN 3.0 09/01/2050 29,159,733.00 25,491,692.00 0.05
3140XGJ42 Fannie Mae Pool FN 3.5 03/01/2052 27,224,920.00 24,671,728.00 0.05
3140XGZY8 Fannie Mae Pool FN 4.0 04/01/2052 28,746,841.00 26,954,655.00 0.05
3140XPE62 Fannie Mae Pool FN 4.5 01/01/2050 23,362,046.00 23,308,939.00 0.05
3140XRYX7 Fannie Mae Pool FN 4.0 04/01/2053 29,423,874.00 27,534,746.00 0.05
31418D3G5 Fannie Mae Pool FN 2.0 08/01/2051 33,068,141.00 26,300,484.00 0.05
161175BV5 Charter Communications Operating Llc / C CHTR 3.7 04/01/2051 36,685,000.00 24,451,759.00 0.05
15189TAX5 Centerpoint Energy Inc CNP 2.95 03/01/2030 26,025,000.00 24,227,849.00 0.05
172967MV0 Citigroup Inc C 3.88 05/18/2174 26,270,000.00 25,927,765.00 0.05
12512JAV6 CD 2018-cd7 Mortgage Trust CD 4.01 08/01/2051 26,356,038.00 25,903,797.00 0.05
13034VAD6 California Institute Of Technology CALTEC 3.65 09/01/2119 39,775,000.00 25,197,642.00 0.05
28228PAC5 EG Global Finance Plc EGBLFN 12.0 11/30/2028 20,900,000.00 23,016,125.00 0.05
26982AAC8 Eagle Re 2021-2 Ltd EMIR 7.76 04/25/2034 27,199,424.00 27,416,496.00 0.05
279158AN9 Ecopetrol Sa ECOPET 6.88 04/29/2030 26,440,000.00 26,122,720.00 0.05
28624DAC2 Elevation Clo 2023-17 Ltd AWPT 6.14 10/20/2036 25,750,000.00 25,903,742.00 0.05
29002QAW9 Elmwood Clo Vii Ltd ELMW7 5.98 10/17/2037 23,500,000.00 23,547,077.00 0.05
251526CE7 Deutsche Bank Ag/new York Ny DB 2.13 11/24/2026 27,405,000.00 27,127,387.00 0.05
19767QAS4 HCA Inc HCA 7.75 07/15/2036 20,300,000.00 23,240,051.00 0.05
200340AW7 Comerica Inc CMA 5.98 01/30/2030 24,593,000.00 25,186,131.00 0.05
055988AB5 BMO 2023-c5 Mortgage Trust BMO 6.52 06/01/2056 25,000,000.00 25,671,530.00 0.05
05683VBA1 BAIN Capital Credit Clo 2019-1 BCC 5.5 04/19/2034 27,000,000.00 27,051,208.00 0.05
05685BAQ9 BAIN Capital Credit Clo 2022-4 Ltd BCC 5.64 10/16/2037 27,000,000.00 27,108,000.00 0.05
06051GKK4 BANK Of America Corp BAC 2.97 02/04/2033 26,185,000.00 23,443,622.00 0.05
06051GGF0 BANK Of America Corp BAC 3.82 01/20/2028 26,803,000.00 26,574,471.00 0.05
07135LAL0 Battalion Clo Xxiii Ltd BATLN 5.68 10/15/2037 27,500,000.00 27,612,109.00 0.05
09659W2P8 BNP Paribas Sa BNP 2.87 04/19/2032 27,265,000.00 24,407,172.00 0.05
09659W2K9 BNP Paribas Sa BNP 3.05 01/13/2031 28,300,000.00 26,231,448.00 0.05
08162LAB6 Benchmark 2020-ig1 Mortgage Trust BMARK 2.68 09/01/2043 28,000,000.00 25,362,624.00 0.05
07336HAA0 Bayview Financing Trust 2023-1f BVFT 8.31 07/01/2026 27,296,056.00 27,317,893.00 0.05
019576AC1 Allied Universal Holdco Llc / Allied Uni UNSEAM 6.0 06/01/2029 27,875,000.00 27,113,914.00 0.05
04352EAA3 Ascension Health ASCHEA 2.53 11/15/2029 29,625,000.00 27,626,283.00 0.05
04941TBG4 Atlas Senior Loan Fund Vii Ltd ATCLO 5.69 11/27/2031 25,492,031.00 25,513,987.00 0.05
05530QAQ3 BAT International Finance Plc BATSLN 5.93 02/02/2029 23,565,000.00 24,694,640.00 0.05
05550MAS3 Barclays Commercial Mortgage Trust 2019- BBCMS 3.32 05/01/2052 24,500,000.00 23,588,509.00 0.05
05377RDY7 AVIS Budget Rental Car Funding Aesop Llc AESOP 2.02 02/20/2027 25,700,000.00 25,403,984.00 0.05
694308JQ1 Pacific Gas And Electric Co PCG 4.5 07/01/2040 32,080,000.00 26,686,709.00 0.05
68267EAB0 Onemain Direct Auto Receivables Trust 20 ODART 3.95 11/14/2028 25,000,000.00 24,844,025.00 0.05
682680AT0 Oneok Inc OKE 4.95 07/13/2047 33,076,000.00 27,742,912.00 0.05
68269HAD7 Onemain Financial Issuance Trust 2023-2 OMFIT 7.52 09/15/2036 25,130,000.00 25,867,658.00 0.05
63171LAJ3 Nassau 2022-i Ltd NCC 5.91 01/15/2031 24,500,000.00 24,511,365.00 0.05
67115PAY1 OFSI Bsl X Ltd OFSBS 6.1 04/20/2034 25,650,000.00 25,691,581.00 0.05
808513BJ3 Charles Schwab Corp/the SCHW 4.0 03/01/2172 28,365,000.00 26,277,301.00 0.05
71654QCG5 Petroleos Mexicanos PEMEX 6.5 03/13/2027 24,211,000.00 24,041,523.00 0.05
70932MAB3 Pennymac Financial Services Inc PFSI 4.25 02/15/2029 26,225,000.00 25,168,407.00 0.05
718172DJ5 Philip Morris International Inc PM 5.25 02/13/2034 24,078,000.00 24,550,306.00 0.05
71654QDC3 Petroleos Mexicanos PEMEX 6.84 01/23/2030 24,478,000.00 23,618,822.00 0.05
718172CP2 Philip Morris International Inc PM 2.1 05/01/2030 30,645,000.00 27,602,275.00 0.05
749414AA6 RCKT Mortgage Trust 2024-ces7 RCKT 5.16 10/01/2044 26,754,283.00 26,677,536.00 0.05
50204NAU2 LCM 39 Ltd LCM 6.01 10/15/2034 25,000,000.00 25,036,335.00 0.05
6174468Y8 Morgan Stanley MS 2.8 01/25/2052 38,692,000.00 23,921,923.00 0.05
55903VBD4 Warnermedia Holdings Inc WBD 5.05 03/15/2042 43,285,000.00 25,553,511.00 0.05
465077AL9 Israel Electric Corp Ltd ISRELE 4.25 08/14/2028 26,410,000.00 25,624,038.00 0.05
46590TAD7 Jpmdb Commercial Mortgage Securities Tru JPMDB 3.41 03/01/2050 24,248,018.00 23,716,639.00 0.05
38237YAA8 Goodleap Sustainable Home Solutions Trus GOOD 6.48 03/20/2057 24,015,518.00 23,821,902.00 0.05
404119AJ8 HCA Inc HCA 7.5 11/06/2033 20,412,000.00 23,283,872.00 0.05
446150BD5 Huntington Bancshares Inc/oh HBAN 5.71 02/02/2035 26,415,000.00 26,988,892.00 0.05
44891ADW4 Hyundai Capital America HYNMTR 5.1 06/24/2030 25,370,000.00 25,643,354.00 0.05
BL4045797 Tenneco Inc TEN 9.42 11/17/2028 27,178,256.00 26,532,772.00 0.05
BGR32B8 DP World Ltd/united Arab Emirates DPWDU 2.38 09/25/2026 22,944,000.00 26,874,858.00 0.05
B8ACXJ742 Dukes Education Group Ltd 9.96 11/25/2028 20,110,704.00 27,604,957.00 0.05
BPTKDV7 Serbia International Bond SERBIA 6.25 05/26/2028 23,345,000.00 24,103,712.00 0.05
BQHN9P1 Gabon Blue Bond Master Trust Series 2 GABBMT 6.1 08/01/2038 23,006,000.00 22,960,448.00 0.05
BL4806396 OCS Group Holdings Ltd OCSGRP 9.96 11/27/2031 17,275,000.00 23,582,109.00 0.05
BL5016946 Zegona Holdco Ltd ZEGLN 5.66 07/17/2029 20,675,000.00 24,245,399.00 0.05
92840VAH5 Vistra Operations Co Llc VST 4.38 05/01/2029 26,000,000.00 25,334,600.00 0.05
928668CG5 Volkswagen Group Of America Finance Llc VW 5.25 03/22/2029 23,837,000.00 24,096,954.00 0.05
92840MAC6 Vistra Corp VST 7.0 06/15/2174 25,875,000.00 26,186,443.00 0.05
95000MBN0 Wells Fargo Commercial Mortgage Trust 20 WFCM 2.81 11/01/2059 26,739,157.00 26,225,024.00 0.05
951913AE2 Wcore Commercial Mortgage Trust 2024-cor WCORE 6.55 11/15/2041 25,200,000.00 25,207,875.00 0.05
912834MT2 United States Treasury Strip Coupon S 08/15/2043 65,550,000.00 26,426,966.00 0.05
912834PT9 United States Treasury Strip Coupon S 11/15/2045 76,475,000.00 27,487,671.00 0.05
912834LR7 United States Treasury Strip Coupon S 08/15/2042 63,055,000.00 26,910,365.00 0.05
92330EAP2 Venture Xix Clo Ltd VENTR 5.78 01/15/2032 23,590,638.00 23,637,450.00 0.05
88675YAA2 Tikehau Us Clo V Ltd TKO 6.21 01/15/2036 27,500,000.00 27,648,964.00 0.05
898813AW0 Tucson Electric Power Co FTSCN 5.2 09/15/2034 24,470,000.00 24,575,366.00 0.05
87264ACB9 T-mobile Usa Inc TMUS 2.55 02/15/2031 28,800,000.00 25,800,991.00 0.05
854938AA5 STAR Leasing Co Llc TRAILR 7.63 02/15/2030 23,441,000.00 23,239,049.00 0.05
857477CM3 State Street Corp STT 6.7 12/15/2173 24,000,000.00 25,013,394.00 0.05
86771BAA9 Sunrun Artemis Issuer 2024-2 Llc SUNRN 6.25 07/30/2059 25,576,413.00 25,261,495.00 0.05
83207QAA7 SMB Private Education Loan Trust 2024-d SMB 5.38 07/15/2053 24,880,219.00 25,368,065.00 0.05
87162WAF7 TD Synnex Corp SNX 1.75 08/09/2026 20,000,000.00 19,346,587.00 0.04
87240NBL9 TCW Clo 2017-1a Ltd TCW 5.83 10/29/2034 22,125,000.00 22,081,077.00 0.04
88033GDR8 Tenet Healthcare Corp THC 4.38 01/15/2030 18,829,000.00 18,244,697.00 0.04
902613AK4 UBS Group Ag UBS 2.75 02/11/2033 22,794,000.00 19,829,175.00 0.04
89788MAQ5 Truist Financial Corp TFC 7.16 10/30/2029 20,905,000.00 22,616,827.00 0.04
912810UK2 United States Treasury Note/bond T 4.75 05/15/2055 20,850,000.00 20,735,976.00 0.04
912834JP4 United States Treasury Strip Coupon S 02/15/2041 39,240,000.00 18,317,662.00 0.04
90278PAZ3 UBS Commercial Mortgage Trust 2019-c18 UBSCM 2.78 12/01/2052 22,850,000.00 21,072,539.00 0.04
92343VGN8 Verizon Communications Inc VZ 2.36 03/15/2032 21,369,000.00 18,414,385.00 0.04
92212WAD2 VAR Energi Asa VARNO 7.5 01/15/2028 17,688,000.00 18,722,300.00 0.04
92325QAA5 Venture 32 Clo Ltd VENTR 5.63 07/18/2031 18,935,743.00 18,954,536.00 0.04
912834PB8 United States Treasury Strip Coupon S 11/15/2044 49,085,000.00 18,532,142.00 0.04
95001NAX6 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.92 06/01/2051 23,153,893.00 22,871,563.00 0.04
95000U2L6 Wells Fargo & Co WFC 4.48 04/04/2031 20,974,000.00 20,868,494.00 0.04
95001JAW7 Wells Fargo Commercial Mortgage Trust 20 WFCM 3.95 05/01/2051 20,000,000.00 19,674,986.00 0.04
95000U3W1 Wells Fargo & Co WFC 5.15 04/23/2031 19,465,000.00 19,937,934.00 0.04
92840MAD4 Vistra Corp VST 8.88 07/15/2173 18,275,000.00 19,817,362.00 0.04
92921EAA0 Voyager Parent Llc EVRI 9.25 07/01/2032 17,830,000.00 18,583,420.00 0.04
BL4883627 Mcafee Corp MCFE 7.32 03/01/2029 20,596,165.00 19,875,299.00 0.04
BF2F610 Eskom Holdings Soc Ltd ESKOM 6.35 08/10/2028 22,062,000.00 22,310,197.00 0.04
BH0NC12 Stryker Corp SYK 2.13 11/30/2027 16,050,000.00 18,749,744.00 0.04
BL4047090 Tenneco Inc TEN 9.17 11/17/2028 22,896,894.00 22,290,126.00 0.04
448814DB6 Hydro-quebec QHEL 8.63 06/15/2029 18,767,000.00 21,617,776.00 0.04
431318AZ7 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.25 04/15/2032 19,100,000.00 18,260,525.00 0.04
39729RAB4 Greenwood Park Clo Ltd GRNPK 5.53 04/15/2031 18,222,603.00 18,215,472.00 0.04
45905UR71 International Bank For Reconstruction & IBRD 2.7 12/28/2037 28,208,000.00 22,649,134.00 0.04
46591EAS6 Jpmcc Commercial Mortgage Securities Tru JPMCC 3.12 06/01/2052 22,100,000.00 21,131,275.00 0.04
591539AA9 Methodist Hospital/the MEHMED 2.71 12/01/2050 32,095,000.00 19,572,195.00 0.04
61767EAD6 Morgan Stanley Bank Of America Merrill L MSBAM 3.28 11/01/2052 18,615,000.00 18,155,900.00 0.04
74938KAA5 RCKT Mortgage Trust 2024-ces5 RCKT 5.85 08/01/2044 20,341,169.00 20,440,307.00 0.04
80286YAF9 Santander Drive Auto Receivables Trust 2 SDART 6.28 08/15/2031 18,820,000.00 19,429,768.00 0.04
82811RAY3 Silver Rock Clo I Ltd SLVRK 5.69 10/20/2037 22,600,000.00 22,707,505.00 0.04
817477AJ1 Serbia International Bond SERBIA 6.0 06/12/2034 20,207,000.00 20,366,130.00 0.04
82510WAA8 Shops At Crystals Trust 2016-cstl SHOPS 3.13 07/01/2036 20,955,000.00 20,488,164.00 0.04
77341NAL9 Rockford Tower Clo 2021-3 Ltd ROCKT 5.66 01/15/2038 20,500,000.00 20,586,284.00 0.04
77341RAC0 Rockford Tower Clo 2023-1 Ltd ROCKT 7.02 01/20/2036 20,000,000.00 20,128,574.00 0.04
75049GAB5 Radnor Re 2021-2 Ltd RMIR 8.01 11/25/2031 21,959,486.00 22,297,444.00 0.04
655663AC6 Nordson Corp NDSN 4.5 12/15/2029 17,995,000.00 18,002,374.00 0.04
646139X83 NEW Jersey Turnpike Authority NJSTRN 7.1 01/01/2041 15,953,000.00 18,252,202.00 0.04
62916TAC3 NLT 2025-inv1 Trust NLT 5.86 02/01/2070 20,204,558.00 20,308,953.00 0.04
68269HAC9 Onemain Financial Issuance Trust 2023-2 OMFIT 6.74 09/15/2036 20,700,000.00 21,332,995.00 0.04
67573CAW9 Octagon Investment Partners 32 Ltd OCT32 6.06 10/31/2037 18,750,000.00 18,802,552.00 0.04
694308JN8 Pacific Gas And Electric Co PCG 4.95 07/01/2050 23,061,000.00 18,582,919.00 0.04
693968AA7 PMT Issuer Trust - Fmsr PNMSR 7.07 12/25/2027 20,000,000.00 20,135,666.00 0.04
694308HY6 Pacific Gas And Electric Co PCG 3.95 12/01/2047 30,960,000.00 21,797,652.00 0.04
05491LAG3 Bbcms 2016-etc Mortgage Trust BBCMS 3.73 08/05/2036 21,720,000.00 19,933,410.00 0.04
05351WAB9 Avangrid Inc AGR 3.8 06/01/2029 21,920,000.00 21,404,117.00 0.04
04364VAK9 Ascent Resources Utica Holdings Llc / Ar ASCRES 9.0 11/01/2027 15,981,000.00 19,513,596.00 0.04
031162DT4 Amgen Inc AMGN 5.65 03/02/2053 18,280,000.00 17,854,671.00 0.04
031162DU1 Amgen Inc AMGN 5.75 03/02/2063 21,500,000.00 20,902,328.00 0.04
03329WAA5 Anchorage Capital Clo 25 Ltd ANCHC 5.66 04/20/2035 21,000,000.00 21,064,680.00 0.04
019579AA9 Allied Universal Holdco Llc/allied Unive UNSEAM 4.63 06/01/2028 21,390,000.00 20,750,652.00 0.04
013051EM5 Province Of Alberta Canada ALTA 1.3 07/22/2030 21,630,000.00 18,908,303.00 0.04
008685AB5 Ahold Finance Usa Llc ADNA 6.88 05/01/2029 17,470,000.00 18,826,610.00 0.04
02406PAU4 American Axle & Manufacturing Inc AXL 6.5 04/01/2027 17,897,000.00 17,873,481.00 0.04
00287YAR0 Abbvie Inc ABBV 4.5 05/14/2035 20,670,000.00 19,969,488.00 0.04
00121MAA3 AGL Clo 37 Ltd AGL 5.54 04/22/2038 20,000,000.00 20,020,000.00 0.04
08163VAC1 Benchmark 2023-v3 Mortgage Trust BMARK 6.36 07/01/2056 20,000,000.00 20,962,192.00 0.04
09659W2T0 BNP Paribas Sa BNP 2.59 01/20/2028 19,375,000.00 18,791,299.00 0.04
097023CV5 Boeing Co/the BA 5.71 05/01/2040 22,420,000.00 22,112,699.00 0.04
110709EC2 Province Of British Columbia Canada BRCOL 7.25 09/01/2036 17,530,000.00 21,177,121.00 0.04
11120VAH6 Brixmor Operating Partnership Lp BRX 4.13 05/15/2029 22,019,000.00 21,660,446.00 0.04
11124TAJ3 Broad River Bsl Funding Clo Ltd 2020-1 BDRVR 5.7 07/20/2034 19,410,000.00 19,439,986.00 0.04
11135FBP5 Broadcom Inc AVGO 3.14 11/15/2035 26,909,000.00 22,698,119.00 0.04
06738ECU7 Barclays Plc BACR 4.94 09/10/2030 22,690,000.00 22,847,890.00 0.04
05625BAE9 BLP Commercial Mortgage Trust 2025-ind BLP 6.11 03/15/2042 18,890,000.00 18,701,449.00 0.04
05609QAC0 BX Commercial Mortgage Trust 2021-acnt BX 5.68 11/15/2038 19,021,739.00 18,998,195.00 0.04
05565QDW5 BP Capital Markets Plc BPLN 6.45 09/01/2173 21,295,000.00 21,763,032.00 0.04
23307CAJ4 DBWF 2016-85t Mortgage Trust DBWF 3.94 12/01/2036 23,960,000.00 22,266,538.00 0.04
233104AA6 DCLI Bidco Llc DIRCHA 7.75 11/15/2029 19,711,000.00 19,960,991.00 0.04
247361ZV3 Delta Air Lines 2020-1 Class Aa Pass Thr DAL 2.0 06/10/2028 21,493,590.00 20,349,633.00 0.04
23636ABJ9 Danske Bank A/s DANBNK 4.61 10/02/2030 19,490,000.00 19,386,211.00 0.04
22535WAL1 Credit Agricole Sa ACAFP 4.63 09/11/2028 19,955,000.00 19,961,160.00 0.04
207942AB9 Connecticut Avenue Securities Trust 2023 CAS 7.41 06/25/2043 20,500,000.00 21,388,418.00 0.04
19828TAA4 Columbia Pipelines Operating Co Llc CPGX 5.93 08/15/2030 19,146,000.00 20,211,692.00 0.04
20030NCU3 Comcast Corp CMCSA 4.25 10/15/2030 21,595,000.00 21,486,116.00 0.04
17327CAQ6 Citigroup Inc C 3.06 01/25/2033 23,165,000.00 20,711,181.00 0.04
17327CAT0 Citigroup Inc C 4.54 09/19/2030 21,090,000.00 20,985,907.00 0.04
17326CAY0 CGMS Commercial Mortgage Trust 2017-b1 CGCMT 3.2 08/01/2050 19,042,307.00 18,588,349.00 0.04
25278XAZ2 Diamondback Energy Inc FANG 5.4 04/18/2034 22,885,000.00 22,942,385.00 0.04
26078JAD2 Dupont De Nemours Inc DD 4.73 11/15/2028 21,220,000.00 21,553,842.00 0.04
29005BAA7 Elmwood Clo 41 Ltd ELM41 5.64 07/17/2038 20,000,000.00 20,050,290.00 0.04
29273VAN0 Energy Transfer Lp ET 6.5 11/15/2173 19,835,000.00 19,933,316.00 0.04
26442CBJ2 DUKE Energy Carolinas Llc DUK 4.95 01/15/2033 19,765,000.00 20,098,807.00 0.04
12803RAC8 Caixabank Sa CABKSM 6.84 09/13/2034 18,150,000.00 19,888,987.00 0.04
126650DQ0 CVS Health Corp CVS 1.88 02/28/2031 24,845,000.00 21,277,456.00 0.04
12528XAE5 CFK Trust 2019-fax CFK 4.36 01/01/2039 21,052,000.00 20,361,618.00 0.04
12529WAN6 CF 2020-p1 Mortgage Trust CF 2.84 04/01/2052 22,759,830.00 22,608,335.00 0.04
125896BU3 CMS Energy Corp CMS 4.75 06/01/2050 23,485,000.00 22,706,517.00 0.04
172967KG5 Citigroup Inc C 3.7 01/12/2026 21,145,000.00 21,045,887.00 0.04
172967KN0 Citigroup Inc C 3.4 05/01/2026 19,755,000.00 19,602,451.00 0.04
146869AM4 Carvana Co CVNA 14.0 06/01/2031 19,073,339.00 22,584,580.00 0.04
3140XMD78 Fannie Mae Pool FN 4.0 03/01/2048 22,369,699.00 21,553,595.00 0.04
3140XJ7B3 Fannie Mae Pool FN 4.5 01/01/2050 18,453,200.00 18,226,900.00 0.04
3140QLJG2 Fannie Mae Pool FN 3.5 07/01/2051 20,849,537.00 18,915,133.00 0.04
31418DXL1 Fannie Mae Pool FN 2.5 03/01/2051 25,070,426.00 20,909,496.00 0.04
31418DXJ6 Fannie Mae Pool FN 1.5 03/01/2051 29,567,412.00 22,254,896.00 0.04
31418EGT1 Fannie Mae Pool FN 5.0 07/01/2052 20,570,338.00 20,261,071.00 0.04
31418ERA0 Fannie Mae Pool FN 6.0 04/01/2053 19,395,682.00 19,777,593.00 0.04
35564KLU1 Freddie Mac Stacr Remic Trust 2021-dna6 STACR 7.71 10/25/2041 20,695,000.00 21,252,608.00 0.04
345397E58 FORD Motor Credit Co Llc F 5.8 03/08/2029 18,085,000.00 18,126,995.00 0.04
36179W7M4 Ginnie Mae Ii Pool G2 4.0 06/01/2052 21,702,442.00 20,277,303.00 0.04
37045XCG9 General Motors Financial Co Inc GM 3.85 01/05/2028 20,453,000.00 20,021,770.00 0.04
3132DSX31 Freddie Mac Pool FR 5.0 08/01/2050 18,857,257.00 18,781,389.00 0.04
3130ACUP7 Federal Home Loan Banks FHLB 3.2 11/29/2032 22,500,000.00 20,557,498.00 0.04
29646AAC0 Eskom Holdings Soc Ltd ESKOM 6.35 08/10/2028 22,487,000.00 22,739,978.00 0.04
299808AH8 Everest Reinsurance Holdings Inc RE 3.5 10/15/2050 27,295,000.00 18,646,667.00 0.04
3132DWEL3 Freddie Mac Pool FR 5.0 08/01/2052 22,250,635.00 21,879,708.00 0.04
3132DV7L3 Freddie Mac Pool FR 2.5 10/01/2050 22,137,669.00 18,561,203.00 0.04
3132DWE66 Freddie Mac Pool FR 4.5 10/01/2052 21,395,302.00 20,503,985.00 0.04
3137FTBP1 Freddie Mac Multifamily Structured Pass FHMS 1.81 03/01/2030 325,114,177.00 21,220,494.00 0.04
3138E6V78 Fannie Mae Pool FN 4.0 02/01/2042 21,207,609.00 20,461,036.00 0.04
3137FNX70 Freddie Mac Multifamily Structured Pass FHMS 1.21 07/01/2029 516,045,370.00 19,174,646.00 0.04
SWB8ADC07S SWP: Ois Sofr 3.135500 14-dec-2054_c 12/14/2054 -938,170,000.00 21,678,179.00 0.04
XS23556051 Aurium Clo Ii Dac ACLO 2.94 06/22/2034 17,000,000.00 19,965,076.00 0.04
XS23487316 Northwoods Capital 21 Euro Dac NWDSE 3.2 07/22/2034 19,000,000.00 22,324,911.00 0.04
XS17514829 Carlyle Global Market Strategies Euro Cl CGMSE 2.89 01/25/2032 19,172,601.00 22,526,545.00 0.04
XS27199989 EG Global Finance Plc EGBLFN 11.0 11/30/2028 15,000,000.00 19,419,565.00 0.04
XS26820690 Capital Four Clo Vi Dac CFOUR 4.61 10/25/2036 19,000,000.00 22,452,837.00 0.04
XS29553232 Anchorage Capital Europe Clo 8 Dac ANCHE 4.26 10/25/2038 18,400,000.00 21,743,377.00 0.04
XS24451688 Barings Euro Clo 2019-1 Dac BABSE 3.24 04/15/2036 13,600,000.00 15,958,583.00 0.03
XS18502778 Tikehau Clo Iv Dac TIKEH 3.18 10/15/2031 14,486,613.00 17,055,975.00 0.03
XS23255838 CVC Cordatus Loan Fund Xii Dac CORDA 2.1 01/23/2032 15,000,000.00 16,845,580.00 0.03
XS23667189 Henley Clo V Dac HNLY 2.1 10/25/2034 15,000,000.00 16,505,427.00 0.03
3137FPJA4 Freddie Mac Multifamily Structured Pass FHMS 0.99 08/01/2034 330,486,993.00 17,299,374.00 0.03
3137FQ4B6 Freddie Mac Multifamily Structured Pass FHMS 0.94 10/01/2029 458,973,372.00 13,870,083.00 0.03
3137FNAG5 Freddie Mac Multifamily Structured Pass FHMS 1.08 06/01/2029 506,985,725.00 15,878,438.00 0.03
3137FLBW3 Freddie Mac Remics FHR 4.0 04/01/2049 14,644,676.00 13,848,078.00 0.03
3132DWB51 Freddie Mac Pool FR 2.0 08/01/2051 19,085,639.00 15,179,600.00 0.03
3132DVLZ6 Freddie Mac Pool FR 3.0 07/01/2051 16,088,693.00 14,193,643.00 0.03
3132DWAW3 Freddie Mac Pool FR 2.0 01/01/2051 20,145,339.00 16,067,795.00 0.03
3132DWBG7 Freddie Mac Pool FR 1.5 04/01/2051 17,228,225.00 12,961,701.00 0.03
3132DWBK8 Freddie Mac Pool FR 3.0 04/01/2051 15,730,401.00 13,755,887.00 0.03
3132DWDE0 Freddie Mac Pool FR 3.0 03/01/2052 17,327,916.00 15,021,672.00 0.03
3132DPL63 Freddie Mac Pool FR 2.5 02/01/2052 15,443,090.00 12,957,781.00 0.03
29446MAH5 Equinor Asa EQNR 3.7 04/06/2050 20,155,000.00 15,158,351.00 0.03
29379VBJ1 Enterprise Products Operating Llc EPD 4.9 05/15/2046 18,296,000.00 16,442,923.00 0.03
29273VAU4 Energy Transfer Lp ET 6.55 12/01/2033 14,895,000.00 16,160,306.00 0.03
29278GAF5 ENEL Finance International Nv ENELIM 3.5 04/06/2028 13,415,000.00 13,079,532.00 0.03
29278GAN8 ENEL Finance International Nv ENELIM 2.13 07/12/2028 16,155,000.00 15,061,796.00 0.03
38141GYA6 Goldman Sachs Group Inc/the GS 1.43 03/09/2027 15,995,000.00 15,651,226.00 0.03
38141GWV2 Goldman Sachs Group Inc/the GS 3.81 04/23/2029 16,800,000.00 16,524,421.00 0.03
362930AA7 Galaxy 35 Clo Ltd GALXY 5.46 04/20/2038 16,000,000.00 15,976,520.00 0.03
36179YRG1 Ginnie Mae Ii Pool G2 5.0 02/01/2054 15,468,040.00 15,239,311.00 0.03
36179V4U1 Ginnie Mae Ii Pool G2 2.0 01/01/2051 17,716,071.00 14,431,373.00 0.03
35906ABF4 Frontier Communications Holdings Llc FYBR 5.0 05/01/2028 13,999,000.00 13,990,438.00 0.03
345397E74 FORD Motor Credit Co Llc F 5.85 05/17/2027 12,674,000.00 12,773,802.00 0.03
34532JAC8 FORD Credit Auto Owner Trust 2020-rev2 FORDR 1.74 04/15/2033 17,892,000.00 17,719,379.00 0.03
345397B51 FORD Motor Credit Co Llc F 2.9 02/16/2028 16,452,000.00 15,428,715.00 0.03
345397B77 FORD Motor Credit Co Llc F 2.7 08/10/2026 17,254,000.00 16,800,345.00 0.03
31418EQ94 Fannie Mae Pool FN 5.5 04/01/2053 14,188,361.00 14,211,123.00 0.03
31418EAN0 Fannie Mae Pool FN 2.5 01/01/2052 18,375,912.00 15,290,755.00 0.03
31418DWR9 Fannie Mae Pool FN 2.0 02/01/2051 18,115,446.00 14,426,170.00 0.03
31418DV66 Fannie Mae Pool FN 1.5 01/01/2051 22,188,424.00 16,703,610.00 0.03
3140XGPS2 Fannie Mae Pool FN 3.5 03/01/2052 18,020,733.00 16,288,009.00 0.03
3140XFSW2 Fannie Mae Pool FN 3.5 01/01/2052 16,321,942.00 14,788,132.00 0.03
3140XMNM4 Fannie Mae Pool FN 4.5 04/01/2048 14,652,165.00 14,440,771.00 0.03
3140XKEA4 Fannie Mae Pool FN 3.5 01/01/2050 15,977,915.00 14,977,251.00 0.03
3140XPJU4 Fannie Mae Pool FN 4.5 01/01/2050 14,278,199.00 14,223,700.00 0.03
3140XNY81 Fannie Mae Pool FN 4.5 05/01/2049 13,625,473.00 13,206,653.00 0.03
31418D4Y5 Fannie Mae Pool FN 2.5 10/01/2051 21,396,591.00 17,789,181.00 0.03
3140XPNV7 Fannie Mae Pool FN 5.0 10/01/2050 15,698,940.00 15,643,029.00 0.03
161175BL7 Charter Communications Operating Llc / C CHTR 5.38 05/01/2047 18,064,000.00 15,665,090.00 0.03
161930AB8 Chase Home Lending Mortgage Trust Series CHASE 3.25 08/01/2064 15,023,258.00 13,302,545.00 0.03
147918AB2 Cassa Depositi E Prestiti Spa CDEP 5.75 05/05/2026 15,200,000.00 15,344,241.00 0.03
14314FAY4 Carlyle Us Clo 2017-3 Ltd CGMS 5.67 10/21/2037 16,250,000.00 16,315,000.00 0.03
143658BY7 Carnival Corp CCL 5.75 03/15/2030 15,609,000.00 15,862,646.00 0.03
126117AV2 CNA Financial Corp CNA 3.9 05/01/2029 16,610,000.00 16,279,253.00 0.03
12513GBG3 CDW Llc / Cdw Finance Corp CDW 2.67 12/01/2026 15,000,000.00 14,627,002.00 0.03
12511GAC5 CBAM 2021-14 Ltd CBAM 6.03 04/20/2034 13,000,000.00 13,000,958.00 0.03
12656WAA9 Csmcm 2018-rpl9 Trust CSMCM 4.16 09/01/2057 15,993,501.00 13,127,576.00 0.03
12528XAA3 CFK Trust 2019-fax CFK 4.08 01/01/2039 14,250,000.00 13,898,925.00 0.03
131347CP9 Calpine Corp CPN 4.63 02/01/2029 16,692,000.00 16,471,390.00 0.03
12769GAA8 Caesars Entertainment Inc CZR 4.63 10/15/2029 14,595,000.00 13,930,453.00 0.03
26884TAP7 ERAC Usa Finance Llc ENTERP 3.8 11/01/2025 17,535,000.00 17,479,434.00 0.03
254845JZ4 District Of Columbia Water & Sewer Autho DISUTL 4.81 10/01/2114 15,765,000.00 13,453,888.00 0.03
251526CF4 Deutsche Bank Ag/new York Ny DB 3.73 01/14/2032 15,400,000.00 14,071,141.00 0.03
17325HBN3 Citigroup Commercial Mortgage Trust 2017 CGCMT 3.44 04/01/2050 15,579,629.00 15,339,201.00 0.03
195325ER2 Colombia Government International Bond COLOM 7.38 04/25/2030 16,684,000.00 17,259,598.00 0.03
20753XAF1 Connecticut Avenue Securities Trust 2022 CAS 10.56 03/25/2042 14,390,000.00 15,576,884.00 0.03
20754KAB7 Fannie Mae Connecticut Avenue Securities CAS 6.31 11/25/2041 12,850,235.00 12,937,962.00 0.03
21873SAB4 Coreweave Inc CRWV 9.25 06/01/2030 15,000,000.00 15,335,653.00 0.03
224044CG0 COX Communications Inc COXENT 3.35 09/15/2026 15,505,000.00 15,262,722.00 0.03
06051GJA8 BANK Of America Corp BAC 4.08 03/20/2051 21,644,000.00 17,205,271.00 0.03
06738EBY0 Barclays Plc BACR 5.5 08/09/2028 12,710,000.00 12,948,312.00 0.03
071734AJ6 Bausch Health Cos Inc BHCCN 5.25 01/30/2030 21,122,000.00 13,267,573.00 0.03
071734AN7 Bausch Health Cos Inc BHCCN 4.88 06/01/2028 15,450,000.00 13,088,004.00 0.03
072024ND0 BAY Area Toll Authority BAYTRN 6.26 04/01/2049 12,630,000.00 13,277,484.00 0.03
06849RAK8 Barrick North America Finance Llc ABXCN 5.75 05/01/2043 14,510,000.00 14,615,178.00 0.03
1248EPBR3 CCO Holdings Llc / Cco Holdings Capital CHTR 5.5 05/01/2026 14,056,000.00 14,058,718.00 0.03
097023CJ2 Boeing Co/the BA 3.6 05/01/2034 14,772,000.00 13,021,973.00 0.03
09659W2R4 BNP Paribas Sa BNP 2.16 09/15/2029 19,050,000.00 17,651,232.00 0.03
097023DB8 Boeing Co/the BA 3.25 02/01/2028 14,855,000.00 14,408,481.00 0.03
10554TAB1 Braskem Netherlands Finance Bv BRASKM 4.5 01/10/2028 15,682,000.00 13,466,133.00 0.03
09659W2U7 BNP Paribas Sa BNP 3.13 01/20/2033 15,150,000.00 13,453,487.00 0.03
08161CAC5 Benchmark 2018-b2 Mortgage Trust BMARK 3.54 02/01/2051 16,250,000.00 15,708,013.00 0.03
09659W2C7 BNP Paribas Sa BNP 3.5 11/16/2027 17,175,000.00 16,782,894.00 0.03
00206RMM1 AT&T Inc T 2.55 12/01/2033 20,703,000.00 17,330,452.00 0.03
00206RLJ9 AT&T Inc T 3.55 09/15/2055 19,994,000.00 13,486,695.00 0.03
007589AE4 Advocate Health & Hospitals Corp ADVHEA 3.01 06/15/2050 23,620,000.00 15,436,527.00 0.03
00440KAC7 Accenture Capital Inc ACN 4.25 10/04/2031 13,380,000.00 13,242,121.00 0.03
00973RAF0 AKER Bp Asa AKERBP 3.75 01/15/2030 13,765,000.00 13,085,549.00 0.03
00973RAN3 AKER Bp Asa AKERBP 5.13 10/01/2034 17,100,000.00 16,401,507.00 0.03
009920AA7 ALA Trust 2025-oana ALA 6.04 07/15/2040 16,110,000.00 16,195,606.00 0.03
009920AE9 ALA Trust 2025-oana ALA 6.39 07/15/2040 13,300,000.00 13,304,156.00 0.03
05491VAJ5 Bbcms 2018-chrs Mortgage Trust BBCMS 4.41 08/01/2038 19,295,000.00 16,713,878.00 0.03
05494JAA8 BFLD Trust 2025-ewest BFLD 5.85 06/15/2042 15,800,000.00 15,809,875.00 0.03
05377RGY4 AVIS Budget Rental Car Funding Aesop Llc AESOP 5.49 06/20/2029 13,963,000.00 14,336,842.00 0.03
049362AA4 Allied Universal Holdco Llc/allied Unive UNSEAM 4.63 06/01/2028 14,970,000.00 14,469,403.00 0.03
05490TAA0 Bbccre Trust 2015-gtp BBCCR 3.97 08/06/2033 14,600,000.00 13,433,460.00 0.03
05491LAA6 Bbcms 2016-etc Mortgage Trust BBCMS 2.94 08/05/2036 17,450,000.00 16,825,951.00 0.03
05523RAD9 BAE Systems Plc BALN 3.4 04/15/2030 17,620,000.00 16,808,602.00 0.03
69355DAA5 PPM Clo 2018-1 Ltd PPMC 5.67 07/15/2031 15,088,232.00 15,092,784.00 0.03
69381DAA3 PRPM 2024-rpl2 Llc PRPM 3.5 05/25/2054 16,860,476.00 16,281,979.00 0.03
68267EAA2 Onemain Direct Auto Receivables Trust 20 ODART 3.63 09/14/2027 16,716,959.00 16,660,743.00 0.03
682680CE1 Oneok Inc OKE 5.05 11/01/2034 15,916,000.00 15,490,943.00 0.03
68389XCA1 Oracle Corp ORCL 3.95 03/25/2051 21,875,000.00 16,139,489.00 0.03
68327LAB2 Ontario Teachers' Cadillac Fairview Prop CFPTCN 3.88 03/20/2027 14,600,000.00 14,434,895.00 0.03
68389XBP9 Oracle Corp ORCL 3.8 11/15/2037 18,135,000.00 15,512,002.00 0.03
620076BN8 Motorola Solutions Inc MSI 4.6 05/23/2029 16,480,000.00 16,568,705.00 0.03
629377CE0 NRG Energy Inc NRG 5.75 01/15/2028 12,825,000.00 12,890,400.00 0.03
646139W35 NEW Jersey Turnpike Authority NJSTRN 7.41 01/01/2040 12,865,000.00 15,358,749.00 0.03
63861CAA7 Nationstar Mortgage Holdings Inc COOP 6.0 01/15/2027 15,935,000.00 15,952,376.00 0.03
650035TD0 Empire State Development Corp NYSDEV 5.77 03/15/2039 14,730,000.00 15,209,752.00 0.03
756109BL7 Realty Income Corp O 2.85 12/15/2032 19,830,000.00 17,362,060.00 0.03
76116EHP8 Resolution Funding Corp Interest Strip RFCS 04/15/2030 18,610,000.00 15,314,418.00 0.03
771367CD9 Rochester Gas And Electric Corp AGR 3.1 06/01/2027 17,545,000.00 17,222,481.00 0.03
74834LBG4 Quest Diagnostics Inc DGX 5.0 12/15/2034 14,710,000.00 14,640,629.00 0.03
74843PAA8 Quikrete Holdings Inc QUIKHO 6.38 03/01/2032 16,435,000.00 16,910,436.00 0.03
71654QCP5 Petroleos Mexicanos PEMEX 6.5 01/23/2029 16,725,000.00 16,371,935.00 0.03
720186AL9 Piedmont Natural Gas Co Inc DUK 3.5 06/01/2029 15,235,000.00 14,762,699.00 0.03
61761JZN2 Morgan Stanley MS 3.95 04/23/2027 16,325,000.00 16,221,139.00 0.03
61747YFE0 Morgan Stanley MS 5.25 04/21/2034 14,145,000.00 14,392,269.00 0.03
6174467Y9 Morgan Stanley MS 4.35 09/08/2026 14,335,000.00 14,314,905.00 0.03
61691RAD8 Morgan Stanley Capital I Trust 2018-h4 MSC 4.04 12/01/2051 16,355,757.00 16,169,783.00 0.03
61691ABL6 Morgan Stanley Capital I Trust 2015-ubs8 MSC 3.81 12/15/2048 13,800,000.00 13,715,160.00 0.03
59284MAA2 Mexico City Airport Trust MEXCAT 4.25 10/31/2026 16,218,000.00 16,096,365.00 0.03
59284MAC8 Mexico City Airport Trust MEXCAT 3.88 04/30/2028 17,976,000.00 17,427,732.00 0.03
59802UAN9 Midocean Credit Clo Iii MIDO 6.33 04/21/2031 14,250,642.00 14,292,886.00 0.03
571903BF9 Marriott International Inc/md MAR 3.5 10/15/2032 17,030,000.00 15,485,214.00 0.03
502431AS8 L3harris Technologies Inc LHX 5.05 06/01/2029 15,850,000.00 16,215,226.00 0.03
52532XAH8 Leidos Inc LDOS 2.3 02/15/2031 20,140,000.00 17,630,683.00 0.03
51507KAA4 Lending Funding Trust 2020-2 LFT 2.32 04/21/2031 15,900,000.00 15,489,042.00 0.03
49326EEJ8 Keycorp KEY 2.55 10/01/2029 13,917,000.00 12,846,665.00 0.03
48254QAB0 KKR Clo 33 Ltd KKR 5.7 07/20/2034 14,750,000.00 14,775,722.00 0.03
48305QAE3 Kaiser Foundation Hospitals KPERM 3.27 11/01/2049 21,296,000.00 14,737,097.00 0.03
552953CK5 MGM Resorts International MGM 6.13 09/15/2029 16,695,000.00 16,980,765.00 0.03
55316VAL8 MHC Commercial Mortgage Trust 2021-mhc MHC 7.03 04/15/2038 14,565,600.00 14,565,600.00 0.03
55336VAM2 MPLX Lp MPLX 4.5 04/15/2038 15,767,000.00 13,959,409.00 0.03
53079EBK9 Liberty Mutual Group Inc LIBMUT 3.95 05/15/2060 26,250,000.00 17,591,867.00 0.03
53944YAD5 Lloyds Banking Group Plc LLOYDS 3.75 01/11/2027 14,595,000.00 14,465,095.00 0.03
46625HQW3 Jpmorgan Chase & Co JPM 3.3 04/01/2026 15,205,000.00 15,102,380.00 0.03
46647PDF0 Jpmorgan Chase & Co JPM 4.57 06/14/2030 14,310,000.00 14,368,044.00 0.03
46647PCC8 Jpmorgan Chase & Co JPM 2.58 04/22/2032 19,240,000.00 17,183,150.00 0.03
46115HCB1 Intesa Sanpaolo Spa ISPIM 7.78 06/20/2054 14,870,000.00 16,650,242.00 0.03
45818QAD1 Inter-american Development Bank IADB 6.75 07/15/2027 13,630,000.00 14,282,222.00 0.03
46590RAD1 JP Morgan Chase Commercial Mortgage Secu JPMCC 2.63 08/01/2049 17,436,432.00 17,083,322.00 0.03
452151LF8 State Of Illinois ILS 5.1 06/01/2033 16,617,696.00 16,656,088.00 0.03
45262BAK9 Imperial Brands Finance Plc IMBLN 5.63 07/01/2035 17,675,000.00 17,701,662.00 0.03
39571XAD6 Greensky Home Improvement Issuer Trust 2 GSKY 5.15 10/27/2059 13,548,094.00 13,661,751.00 0.03
381935AA3 Goodleap Home Improvement Solutions Trus GDLP 5.35 10/20/2046 14,538,078.00 14,703,515.00 0.03
40440XAA9 HPS Loan Management 2021-16 Ltd HLM 5.68 01/23/2035 15,448,000.00 15,486,385.00 0.03
42704LAF1 HERC Holdings Inc HRI 7.0 06/15/2030 12,960,000.00 13,569,078.00 0.03
448814DC4 Hydro-quebec QHEL 8.5 12/01/2029 15,025,000.00 17,486,871.00 0.03
444859BR2 Humana Inc HUM 2.15 02/03/2032 20,000,000.00 16,766,220.00 0.03
BL4070472 CSC Holdings Llc CSCHLD 8.83 01/18/2028 16,983,337.00 16,715,849.00 0.03
BKLXG54 Virgin Media Secured Finance Plc VMED 4.25 01/15/2030 13,400,000.00 16,734,415.00 0.03
BL4790764 WSH Services Holding Ltd WESTBU 8.71 05/16/2031 10,550,000.00 14,493,520.00 0.03
BL5042512 Level 3 Financing Inc LVLT 8.58 03/27/2032 14,675,000.00 14,803,406.00 0.03
BL9Z8T7 Virgin Media Secured Finance Plc VMED 4.13 08/15/2030 11,600,000.00 14,298,620.00 0.03
BMXWTJ8 Bluemountain Fuji Eur Clo V Dac BLUME 3.83 01/15/2033 13,200,000.00 15,526,299.00 0.03
BNRKHP7 Serbia International Bond SERBIA 1.65 03/03/2033 16,252,000.00 15,692,180.00 0.03
P_51888JAA Laurel Road Prime Student Loan Trust 201 3.58 08/25/2043 13,922,012.00 13,415,599.00 0.03
P_51889BAA Laurel Road Prime Student Loan Trust 201 4.12 11/25/2043 16,905,228.00 16,090,614.00 0.03
983130AX3 WYNN Las Vegas Llc / Wynn Las Vegas Capi WYNNLV 5.25 05/15/2027 13,502,000.00 13,510,762.00 0.03
912834PH5 United States Treasury Strip Coupon S 02/15/2045 38,745,000.00 14,442,969.00 0.03
912834PM4 United States Treasury Strip Coupon S 08/15/2045 42,525,000.00 15,456,960.00 0.03
912834LB2 United States Treasury Strip Coupon S 02/15/2042 36,390,000.00 15,988,803.00 0.03
91324PFK3 Unitedhealth Group Inc UNH 5.5 07/15/2044 15,095,000.00 14,707,182.00 0.03
91335VKQ8 University Of Pittsburgh-of The Commonwe UVPHGR 3.56 09/15/2119 20,900,000.00 13,220,998.00 0.03
91324PDY5 Unitedhealth Group Inc UNH 2.75 05/15/2040 18,130,000.00 13,145,146.00 0.03
912834XG8 United States Treasury Strip Coupon S 08/15/2051 50,000,000.00 13,596,401.00 0.03
92343VFT6 Verizon Communications Inc VZ 2.65 11/20/2040 24,032,000.00 16,951,897.00 0.03
92564RAA3 VICI Properties Lp / Vici Note Co Inc VICI 4.25 12/01/2026 13,075,000.00 12,994,218.00 0.03
912834KH0 United States Treasury Strip Coupon S 05/15/2041 36,415,000.00 16,760,853.00 0.03
912834KP2 United States Treasury Strip Coupon S 08/15/2041 33,805,000.00 15,338,036.00 0.03
90278LAX7 UBS Commercial Mortgage Trust 2018-c15 UBSCM 4.07 12/01/2051 16,997,732.00 16,657,740.00 0.03
893574AM5 Transcontinental Gas Pipe Line Co Llc WMB 4.6 03/15/2048 20,328,000.00 17,061,649.00 0.03
902613AA6 UBS Group Ag UBS 3.13 08/13/2030 14,130,000.00 13,307,160.00 0.03
902613AC2 UBS Group Ag UBS 1.36 01/30/2027 17,775,000.00 17,444,223.00 0.03
90276GAR3 UBS Commercial Mortgage Trust 2017-c3 UBSCM 3.17 08/01/2050 13,800,000.00 13,505,255.00 0.03
882667AZ1 Texas Private Activity Bond Surface Tran TXSTRN 3.92 12/31/2049 16,510,000.00 12,831,276.00 0.03
88033GDM9 Tenet Healthcare Corp THC 4.25 06/01/2029 14,900,000.00 14,461,607.00 0.03
878091BD8 Teachers Insurance & Annuity Association TIAAGL 4.9 09/15/2044 16,598,000.00 14,937,114.00 0.03
88033GAV2 Tenet Healthcare Corp THC 6.88 11/15/2031 14,600,000.00 15,688,014.00 0.03
87241EAW5 TCW Clo 2019-1 Amr Ltd TCW 6.28 08/16/2034 16,600,000.00 16,666,137.00 0.03
86765BAV1 Energy Transfer Lp ET 5.4 10/01/2047 15,294,000.00 13,636,283.00 0.03
87470LAD3 Tallgrass Energy Partners Lp / Tallgrass TEP 5.5 01/15/2028 12,867,000.00 12,792,046.00 0.03
87264ABS3 T-mobile Usa Inc TMUS 2.63 02/15/2029 14,375,000.00 13,498,717.00 0.03
87612GAE1 Targa Resources Corp TRGP 6.15 03/01/2029 13,000,000.00 13,676,211.00 0.03
86773AAA9 Sunrun Vesta Issuer 2024-3 Llc SUNRN 5.49 10/30/2059 15,659,321.00 15,107,602.00 0.03
857477CH4 State Street Corp STT 6.7 06/15/2174 15,415,000.00 16,063,438.00 0.03
853496AH0 Standard Industries Inc/ny BMCAUS 3.38 01/15/2031 15,125,000.00 13,583,809.00 0.03
832248BC1 Smithfield Foods Inc SFD 3.0 10/15/2030 8,931,000.00 8,128,953.00 0.02
85771PAE2 Equinor Asa EQNR 4.25 11/23/2041 9,026,000.00 7,920,151.00 0.02
866677AE7 SUN Communities Operating Lp SUI 2.7 07/15/2031 12,359,000.00 10,948,366.00 0.02
87190GAE1 Symphony Clo Xxvi Ltd SYMP 6.03 04/20/2033 10,000,000.00 9,989,061.00 0.02
87264ABF1 T-mobile Usa Inc TMUS 3.88 04/15/2030 13,050,000.00 12,670,930.00 0.02
87264AAX3 T-mobile Usa Inc TMUS 4.38 04/15/2040 13,276,000.00 11,743,967.00 0.02
87724RAA0 Taylor Morrison Communities Inc TMHC 5.88 06/15/2027 8,150,000.00 8,280,341.00 0.02
88059EPD0 Tennessee Valley Authority Generic Strip TVAS 07/15/2035 13,972,000.00 8,397,493.00 0.02
89788MAP7 Truist Financial Corp TFC 5.87 06/08/2034 11,290,000.00 11,788,452.00 0.02
89182JAA9 TOWD Point Mortgage Trust 2024-ces2 TPMT 6.13 02/01/2064 9,137,910.00 9,216,187.00 0.02
89183CAA3 TOWD Point Mortgage Trust 2024-ces1 TPMT 5.85 01/01/2064 9,444,390.00 9,479,032.00 0.02
912834KB3 United States Treasury Strip Coupon S 05/15/2045 32,250,000.00 11,874,550.00 0.02
90351DAB3 UBS Group Ag UBS 4.13 09/24/2025 10,582,000.00 10,555,422.00 0.02
909318AA5 United Airlines 2018-1 Class Aa Pass Thr UAL 3.5 03/01/2030 8,381,167.00 7,896,053.00 0.02
90932EAA1 United Airlines 2016-2 Class Aa Pass Thr UAL 2.88 10/07/2028 10,308,486.00 9,732,437.00 0.02
90932LAH0 United Airlines Inc UAL 4.63 04/15/2029 9,665,000.00 9,384,265.00 0.02
92330YAU7 Venture 33 Clo Ltd VENTR 6.07 07/15/2031 8,000,000.00 8,035,209.00 0.02
92343VFR0 Verizon Communications Inc VZ 1.75 01/20/2031 8,900,000.00 7,682,191.00 0.02
922966AB2 Venture Global Plaquemines Lng Llc VEGLPL 7.75 05/01/2035 7,598,000.00 8,231,478.00 0.02
923260AC7 Venture 42 Clo Ltd VENTR 5.65 04/15/2034 10,000,000.00 10,016,350.00 0.02
92328MAA1 Venture Global Calcasieu Pass Llc VENTGL 3.88 08/15/2029 9,205,000.00 8,685,503.00 0.02
91324PEJ7 Unitedhealth Group Inc UNH 4.2 05/15/2032 13,000,000.00 12,579,245.00 0.02
91914JAB8 Valero Energy Partners Lp VLO 4.5 03/15/2028 7,970,000.00 7,986,947.00 0.02
914906AY8 Univision Communications Inc UVN 8.0 08/15/2028 9,355,000.00 9,493,868.00 0.02
91324PFQ0 Unitedhealth Group Inc UNH 5.3 06/15/2035 8,940,000.00 9,110,959.00 0.02
912834LK2 United States Treasury Strip Coupon S 05/15/2042 18,020,000.00 7,806,734.00 0.02
912834QH4 United States Treasury Strip Coupon S 05/15/2046 23,485,000.00 8,232,722.00 0.02
912834TV0 United States Treasury Strip Coupon S 08/15/2048 25,990,000.00 8,156,978.00 0.02
96949LAB1 Williams Cos Inc/the WMB 4.0 09/15/2025 8,625,000.00 8,608,362.00 0.02
958667AF4 Western Midstream Operating Lp WES 6.35 01/15/2029 11,115,000.00 11,639,982.00 0.02
960386AM2 Westinghouse Air Brake Technologies Corp WAB 4.7 09/15/2028 11,817,000.00 11,884,005.00 0.02
95081QAQ7 Wesco Distribution Inc WCC 6.38 03/15/2029 9,075,000.00 9,343,827.00 0.02
92676XAD9 Viking Cruises Ltd VIKCRU 5.88 09/15/2027 11,572,000.00 11,534,391.00 0.02
92936UAM1 WP Carey Inc WPC 5.38 06/30/2034 9,697,000.00 9,789,494.00 0.02
92840VAB8 Vistra Operations Co Llc VST 5.63 02/15/2027 11,464,000.00 11,459,888.00 0.02
G2770C100 Digicel Intl Fin Ltd Common Equity 1,695,385.00 11,867,695.00 0.02
BWWD237 Petroleos Mexicanos PEMEX 2.75 04/21/2027 8,800,000.00 9,867,150.00 0.02
BYYLZ01 Romanian Government International Bond ROMANI 2.38 04/19/2027 6,600,000.00 7,679,699.00 0.02
BNYNN06 Freeport Indonesia Pt FRIDPT 5.32 04/14/2032 10,370,000.00 10,366,214.00 0.02
BPP2FT9 Dominican Republic International Bond DOMREP 5.5 02/22/2029 10,291,000.00 10,244,690.00 0.02
BKVF4G7 Perusahaan Perseroan Persero Pt Perusaha PLNIJ 1.88 11/05/2031 10,974,000.00 11,226,170.00 0.02
BMG92X1 Serbia International Bond SERBIA 2.13 12/01/2030 12,350,000.00 10,411,436.00 0.02
BK4Q2J6 Serbia International Bond SERBIA 1.5 06/26/2029 9,990,000.00 10,717,686.00 0.02
BKLMSQ6 DH Europe Finance Ii Sarl DHR 1.35 09/18/2039 13,421,000.00 11,644,157.00 0.02
BFB5ML3 Mexico City Airport Trust MEXCAT 5.5 07/31/2047 13,000,000.00 10,714,275.00 0.02
B8FQRK7 Petrobras Global Finance Bv PETBRA 5.38 10/01/2029 9,150,000.00 12,308,552.00 0.02
BG87FH6 Perusahaan Perseroan Persero Pt Perusaha PLNIJ 2.88 10/25/2025 7,000,000.00 8,246,886.00 0.02
B8AB393F8 TPC Group Rights 353,022.00 8,406,336.00 0.02
B8AC5MQN3 Diamond Sports Grp Llc- Cs 791,890.00 10,888,487.00 0.02
B8ADGKST8 NEW Generation Gas Gathering Llc 4.34 09/30/2029 8,189,189.00 8,066,351.00 0.02
B8ADQ6J27 Doncasters Us Fin Llc 04/01/2030 10,590,000.00 10,629,712.00 0.02
449691AC8 Iliad Holding Sasu ILDFP 7.0 10/15/2028 9,175,000.00 9,342,819.00 0.02
448814DF7 Hydro-quebec QHEL 9.38 04/15/2030 7,750,000.00 9,749,355.00 0.02
446150BC7 Huntington Bancshares Inc/oh HBAN 6.21 08/21/2029 9,560,000.00 10,028,880.00 0.02
422806AA7 Heico Corp HEI 5.25 08/01/2028 9,750,000.00 10,004,438.00 0.02
431318AY0 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.0 04/15/2030 11,855,000.00 11,546,659.00 0.02
43730VAC2 HOME Re 2021-2 Ltd HMIR 7.11 01/25/2034 9,025,682.00 9,074,878.00 0.02
38379WM25 Government National Mortgage Association GNR 3.0 05/01/2046 10,020,837.00 8,941,603.00 0.02
39571MAD0 Greensky Home Improvement Trust 2024-1 GSKY 5.67 07/25/2059 9,758,212.00 9,950,286.00 0.02
39729RAC2 Greenwood Park Clo Ltd GRNPK 5.92 04/15/2031 10,000,000.00 10,022,056.00 0.02
402479CF4 Florida Power & Light Co NEE 3.3 05/30/2027 9,415,000.00 9,270,485.00 0.02
404280CL1 HSBC Holdings Plc HSBC 2.01 09/22/2028 9,365,000.00 8,867,590.00 0.02
45344LAG8 Crescent Energy Finance Llc CRGYFN 8.38 01/15/2034 9,175,000.00 9,178,681.00 0.02
455170AA8 Indiana University Health Inc Obligated INUHLT 3.97 11/01/2048 10,475,000.00 8,300,436.00 0.02
455780AM8 Indonesia Government Aid Bond AID 6.65 07/15/2029 8,736,294.00 9,162,472.00 0.02
458182BW1 Inter-american Development Bank IADB 6.8 10/15/2025 10,000,000.00 10,032,514.00 0.02
46590XAZ9 JBS Usa Holding Lux Sarl/ Jbs Usa Food C JBSSBZ 5.13 02/01/2028 12,454,000.00 12,647,831.00 0.02
45262BAG8 Imperial Brands Finance Plc IMBLN 5.5 02/01/2030 11,154,000.00 11,490,196.00 0.02
46647PEJ1 Jpmorgan Chase & Co JPM 5.0 07/22/2030 8,490,000.00 8,643,891.00 0.02
46593HAA6 JP Morgan Mortgage Trust 2024-he2 JPMMT 5.5 10/20/2054 8,529,852.00 8,521,503.00 0.02
54910TAG7 Lstar Commercial Mortgage Trust 2017-5 LNSTR 3.39 03/01/2050 8,500,000.00 8,411,880.00 0.02
55037AAB4 AKER Bp Asa AKERBP 3.1 07/15/2031 9,800,000.00 8,735,475.00 0.02
534187BJ7 Lincoln National Corp LNC 3.05 01/15/2030 8,918,000.00 8,382,659.00 0.02
527298CK7 Level 3 Financing Inc LVLT 10.0 10/15/2032 8,633,380.00 8,728,526.00 0.02
55336VBQ2 MPLX Lp MPLX 2.65 08/15/2030 10,000,000.00 9,052,846.00 0.02
55336VBR0 MPLX Lp MPLX 1.75 03/01/2026 10,440,000.00 10,235,298.00 0.02
53079EBJ2 Liberty Mutual Group Inc LIBMUT 3.95 10/15/2050 13,748,000.00 10,067,597.00 0.02
552953CF6 MGM Resorts International MGM 5.5 04/15/2027 9,882,000.00 9,922,840.00 0.02
552953CH2 MGM Resorts International MGM 4.75 10/15/2028 7,900,000.00 7,802,321.00 0.02
55336VBX7 MPLX Lp MPLX 5.5 06/01/2034 10,044,000.00 10,092,350.00 0.02
48662LAC5 RAD Clo 10 Ltd RAD 5.94 04/23/2034 12,000,000.00 11,991,892.00 0.02
48305QAD5 Kaiser Foundation Hospitals KPERM 4.15 05/01/2047 15,275,000.00 12,514,549.00 0.02
496902AT4 Kinross Gold Corp KCN 6.25 07/15/2033 9,209,000.00 9,889,066.00 0.02
50077LAD8 Kraft Heinz Foods Co KHC 3.0 06/01/2026 12,845,000.00 12,677,123.00 0.02
514887AB4 Rheinland-pfalz Bank LBBW 6.88 02/23/2028 10,500,000.00 11,072,527.00 0.02
51889RAD1 Laurel Road Prime Student Loan Trust 201 LRK 10/25/2048 25,328,534.00 8,754,467.00 0.02
575718AF8 Massachusetts Institute Of Technology MASSIN 3.89 07/01/2116 18,113,000.00 12,514,857.00 0.02
570535AT1 Markel Group Inc MKL 5.0 05/20/2049 14,057,000.00 12,296,302.00 0.02
571676BA2 MARS Inc MARS 5.2 03/01/2035 7,605,000.00 7,694,527.00 0.02
597861AA1 Mymichigan Health MIHLTH 3.41 06/01/2050 17,745,000.00 12,436,917.00 0.02
59447TXW8 Michigan Finance Authority MISFIN 3.08 12/01/2034 10,720,000.00 9,565,053.00 0.02
59447TXX6 Michigan Finance Authority MISFIN 3.38 12/01/2040 13,895,000.00 11,412,915.00 0.02
57779EAA6 Maxim Crane Works Holdings Capital Llc CLDCRN 11.5 09/01/2028 11,660,000.00 12,308,001.00 0.02
60687YAM1 Mizuho Financial Group Inc MIZUHO 3.17 09/11/2027 9,800,000.00 9,578,852.00 0.02
6174468G7 Morgan Stanley MS 4.43 01/23/2030 10,525,000.00 10,500,882.00 0.02
61766RAZ9 Morgan Stanley Bank Of America Merrill L MSBAM 3.1 11/01/2049 11,509,000.00 11,200,691.00 0.02
62854AAN4 UTAH Acquisition Sub Inc VTRS 3.95 06/15/2026 9,792,000.00 9,697,832.00 0.02
72650RBM3 Plains All American Pipeline Lp / Paa Fi PAA 3.55 12/15/2029 9,275,000.00 8,863,096.00 0.02
71643VAB1 Petroleos Mexicanos PEMEX 6.7 02/16/2032 9,449,000.00 8,772,451.00 0.02
70462GAC2 Peacehealth Obligated Group PEAHEA 3.22 11/15/2050 14,445,000.00 8,999,726.00 0.02
74843PAB6 Quikrete Holdings Inc QUIKHO 6.75 03/01/2033 7,610,000.00 7,849,937.00 0.02
74834LBB5 Quest Diagnostics Inc DGX 2.95 06/30/2030 13,180,000.00 12,262,794.00 0.02
749424AA5 RCKT Mortgage Trust 2024-ces1 RCKT 6.03 02/01/2044 8,381,589.00 8,429,548.00 0.02
745332CH7 Puget Sound Energy Inc PSD 4.22 06/15/2048 11,280,000.00 9,004,305.00 0.02
74390WAB8 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 10,215,000.00 9,568,860.00 0.02
73358WXQ2 PORT Authority Of New York & New Jersey PORTRN 4.81 10/15/2065 8,650,000.00 7,733,320.00 0.02
830867AB3 Delta Air Lines Inc / Skymiles Ip Ltd DAL 4.75 10/20/2028 10,110,000.00 10,091,195.00 0.02
836205AR5 Republic Of South Africa Government Inte SOAF 5.88 09/16/2025 10,510,000.00 10,501,697.00 0.02
81881JAC6 Shackleton 2014-v-r Clo Ltd SHACK 5.66 05/07/2031 12,040,013.00 12,040,318.00 0.02
80287DAE7 Santander Drive Auto Receivables Trust 2 SDART 6.4 03/17/2031 7,800,000.00 8,073,493.00 0.02
797440BL7 SAN Diego Gas & Electric Co SRE 5.35 05/15/2040 9,512,000.00 9,307,564.00 0.02
81721MAM1 Diversified Healthcare Trust DHC 4.75 02/15/2028 12,085,000.00 11,189,560.00 0.02
817477AG7 Serbia International Bond SERBIA 6.25 05/26/2028 8,350,000.00 8,621,375.00 0.02
65339KAV2 Nextera Energy Capital Holdings Inc NEE 4.8 12/01/2077 12,235,000.00 11,694,176.00 0.02
65473PAJ4 Nisource Inc NI 3.6 05/01/2030 11,180,000.00 10,738,653.00 0.02
67108LBK8 OZLM Vi Ltd OZLM 5.41 04/17/2031 9,367,189.00 9,369,257.00 0.02
67112MAA3 OZLM Xx Ltd OZLM 5.58 04/20/2031 10,589,271.00 10,588,488.00 0.02
670001AL0 Novelis Corp HNDLIN 6.88 01/30/2030 10,375,000.00 10,727,498.00 0.02
674599DF9 Occidental Petroleum Corp OXY 6.45 09/15/2036 10,532,000.00 10,783,065.00 0.02
63861CAC3 Nationstar Mortgage Holdings Inc COOP 5.5 08/15/2028 12,330,000.00 12,315,806.00 0.02
638962AA8 NCR Atleos Corp NCRATL 9.5 04/01/2029 10,758,000.00 11,775,643.00 0.02
62886HBR1 NCL Corp Ltd NCLH 6.75 02/01/2032 10,285,000.00 10,503,556.00 0.02
62954HAY4 NXP Bv / Nxp Funding Llc / Nxp Usa Inc NXPI 3.4 05/01/2030 9,130,000.00 8,640,997.00 0.02
649322AF1 NEW York And Presbyterian Hospital/the NYPRES 3.95 08/01/2119 14,835,000.00 10,148,939.00 0.02
62916TAB5 NLT 2025-inv1 Trust NLT 5.71 02/01/2070 11,774,080.00 11,835,143.00 0.02
629377CR1 NRG Energy Inc NRG 3.63 02/15/2031 9,900,000.00 9,114,656.00 0.02
629377CS9 NRG Energy Inc NRG 3.88 02/15/2032 8,600,000.00 7,910,504.00 0.02
629377CU4 NRG Energy Inc NRG 10.25 09/15/2173 8,650,000.00 9,582,650.00 0.02
62916TAD1 NLT 2025-inv1 Trust NLT 6.31 02/01/2070 8,617,089.00 8,693,251.00 0.02
68269DAE4 Onemain Direct Auto Receivables Trust 20 ODART 5.9 12/16/2030 8,465,000.00 8,497,470.00 0.02
68268NAD5 Oneok Partners Lp OKE 6.85 10/15/2037 10,910,000.00 11,913,114.00 0.02
682691AC4 Onemain Finance Corp OMF 3.88 09/15/2028 10,325,000.00 9,892,692.00 0.02
682680BV4 Oneok Inc OKE 5.15 10/15/2043 9,557,000.00 8,483,208.00 0.02
682680BJ1 Oneok Inc OKE 5.65 11/01/2028 9,955,000.00 10,314,612.00 0.02
694308KM8 Pacific Gas And Electric Co PCG 6.4 06/15/2033 10,600,000.00 11,072,759.00 0.02
695114CS5 Pacificorp BRKHEC 3.35 07/01/2025 9,960,000.00 9,960,000.00 0.02
695114CW6 Pacificorp BRKHEC 2.7 09/15/2030 10,355,000.00 9,457,550.00 0.02
693656AE0 PVH Corp PVH 5.5 06/13/2030 8,200,000.00 8,258,296.00 0.02
690742AG6 Owens Corning OC 4.3 07/15/2047 14,585,000.00 11,757,146.00 0.02
05526DBB0 BAT Capital Corp BATSLN 3.56 08/15/2027 12,287,000.00 12,078,138.00 0.02
05530QAN0 BAT International Finance Plc BATSLN 1.67 03/25/2026 9,736,000.00 9,533,600.00 0.02
054989AA6 BAT Capital Corp BATSLN 6.34 08/02/2030 10,195,000.00 10,956,556.00 0.02
05508WAB1 B&G Foods Inc BGS 5.25 09/15/2027 12,428,000.00 11,309,391.00 0.02
05491VAG1 Bbcms 2018-chrs Mortgage Trust BBCMS 4.41 08/01/2038 10,055,000.00 9,016,427.00 0.02
05491LAJ7 Bbcms 2016-etc Mortgage Trust BBCMS 3.73 08/05/2036 13,900,000.00 12,508,115.00 0.02
036752AG8 Elevance Health Inc ELV 4.1 03/01/2028 7,840,000.00 7,817,766.00 0.02
036752AL7 Elevance Health Inc ELV 2.88 09/15/2029 10,600,000.00 9,984,382.00 0.02
044209AM6 Ashland Inc ASH 6.88 05/15/2043 11,140,000.00 11,526,768.00 0.02
04288BAC4 Arsenal Aic Parent Llc ARNC 11.5 10/01/2031 11,177,000.00 12,547,602.00 0.02
03969AAN0 Ardagh Packaging Finance Plc / Ardagh Ho ARGID 4.13 08/15/2026 8,800,000.00 8,261,000.00 0.02
00973RAJ2 AKER Bp Asa AKERBP 4.0 01/15/2031 12,010,000.00 11,391,468.00 0.02
00973RAL7 AKER Bp Asa AKERBP 5.6 06/13/2028 8,500,000.00 8,719,070.00 0.02
007589AD6 Advocate Health & Hospitals Corp ADVHEA 2.21 06/15/2030 14,025,000.00 12,697,168.00 0.02
015271AV1 Alexandria Real Estate Equities Inc ARE 1.88 02/01/2033 9,640,000.00 7,715,582.00 0.02
02154CAH6 Altice Financing Sa ALTICE 5.75 08/15/2029 17,439,000.00 12,726,650.00 0.02
00287YDA4 Abbvie Inc ABBV 4.85 06/15/2044 9,795,000.00 9,019,397.00 0.02
00287YDB2 Abbvie Inc ABBV 4.75 03/15/2045 10,308,000.00 9,291,988.00 0.02
007589AB0 Advocate Health & Hospitals Corp ADVHEA 4.27 08/15/2048 12,775,000.00 10,511,474.00 0.02
00175PAB9 AMN Healthcare Inc AMN 4.63 10/01/2027 11,055,000.00 10,786,807.00 0.02
097023BY0 Boeing Co/the BA 3.55 03/01/2038 15,098,000.00 12,118,678.00 0.02
08186RAN9 Benefit Street Partners Clo Xxi Ltd BSP 5.69 10/15/2034 11,525,000.00 11,543,752.00 0.02
08162XBE3 Benchmark 2020-b20 Mortgage Trust BMARK 1.95 10/01/2053 13,000,000.00 11,933,707.00 0.02
10554TAD7 Braskem Netherlands Finance Bv BRASKM 4.5 01/31/2030 11,857,000.00 9,129,890.00 0.02
097023CR4 Boeing Co/the BA 3.95 08/01/2059 14,670,000.00 10,016,833.00 0.02
109641AK6 Brinker International Inc EAT 8.25 07/15/2030 7,472,000.00 7,966,623.00 0.02
072722AE1 Baycare Health System Inc BAYCAR 3.83 11/15/2050 14,365,000.00 11,001,833.00 0.02
071734AK3 Bausch Health Cos Inc BHCCN 6.25 02/15/2029 18,020,000.00 12,714,191.00 0.02
071734AL1 Bausch Health Cos Inc BHCCN 5.25 02/15/2031 20,329,000.00 11,968,698.00 0.02
06650AAD9 BANK 2017-bnk8 BANK 3.23 11/01/2050 8,519,996.00 8,352,476.00 0.02
06738EAW5 Barclays Plc BACR 4.84 05/09/2028 7,715,000.00 7,713,728.00 0.02
06051GJL4 BANK Of America Corp BAC 1.92 10/24/2031 14,481,000.00 12,622,738.00 0.02
05594CAD6 BX Trust 2025-lunr BX 6.16 06/15/2040 12,000,000.00 12,014,978.00 0.02
058498AZ9 BALL Corp BALL 6.0 06/15/2029 12,025,000.00 12,347,043.00 0.02
23918KAW8 Davita Inc DVA 6.88 09/01/2032 9,425,000.00 9,773,408.00 0.02
23311RAA4 DCP Midstream Operating Lp DCP 6.75 09/15/2037 10,000,000.00 10,519,131.00 0.02
225401AF5 UBS Group Ag UBS 3.87 01/12/2029 8,734,000.00 8,592,072.00 0.02
196500AA0 Colorado Interstate Gas Co Llc / Colorad KMI 4.15 08/15/2026 8,794,000.00 8,740,395.00 0.02
18972EAD7 Clydesdale Acquisition Holdings Inc NOVHOL 6.75 04/15/2032 10,850,000.00 11,119,885.00 0.02
185899AQ4 Cleveland-cliffs Inc CLF 6.88 11/01/2029 12,710,000.00 12,515,719.00 0.02
185899AR2 Cleveland-cliffs Inc CLF 7.38 05/01/2033 9,245,000.00 8,676,445.00 0.02
17888HAA1 Civitas Resources Inc CIVI 8.38 07/01/2028 9,200,000.00 9,431,367.00 0.02
25160PAN7 Deutsche Bank Ag/new York Ny DB 7.15 07/13/2027 8,015,000.00 8,217,676.00 0.02
25179MAN3 Devon Energy Corp DVN 4.75 05/15/2042 10,544,000.00 8,825,600.00 0.02
251526CV9 Deutsche Bank Ag/new York Ny DB 5.71 02/08/2028 12,325,000.00 12,527,212.00 0.02
25525PAB3 Diversified Healthcare Trust DHC 4.38 03/01/2031 11,278,000.00 9,518,243.00 0.02
25714PDZ8 Dominican Republic International Bond DOMREP 6.0 07/19/2028 10,493,000.00 10,660,888.00 0.02
25470XBD6 DISH Dbs Corp DISH 5.13 06/01/2029 17,000,000.00 11,329,559.00 0.02
260543CV3 DOW Chemical Co/the DOW 4.8 05/15/2049 10,718,000.00 8,758,187.00 0.02
26441CAS4 DUKE Energy Corp DUK 2.65 09/01/2026 12,485,000.00 12,251,280.00 0.02
26884TAR3 ERAC Usa Finance Llc ENTERP 3.3 12/01/2026 10,390,000.00 10,243,172.00 0.02
279158AP4 Ecopetrol Sa ECOPET 4.63 11/02/2031 11,365,000.00 9,563,647.00 0.02
279158AS8 Ecopetrol Sa ECOPET 8.88 01/13/2033 11,613,000.00 11,961,390.00 0.02
29273VAT7 Energy Transfer Lp ET 6.4 12/01/2030 11,235,000.00 12,118,044.00 0.02
29273RBJ7 Energy Transfer Lp ET 6.13 12/15/2045 9,720,000.00 9,554,693.00 0.02
129268AB4 Caledonia Generating Llc NEWCAL 1.95 02/28/2034 12,304,481.00 10,785,428.00 0.02
12655RAA1 Csmcm_18-rpl4 07/25/2050 3.72 07/25/2050 13,919,217.00 12,610,793.00 0.02
1248EPCB7 CCO Holdings Llc / Cco Holdings Capital CHTR 5.38 06/01/2029 8,332,000.00 8,300,247.00 0.02
1248EPCD3 CCO Holdings Llc / Cco Holdings Capital CHTR 4.75 03/01/2030 8,925,000.00 8,650,640.00 0.02
126117AT7 CNA Financial Corp CNA 4.5 03/01/2026 12,000,000.00 11,980,003.00 0.02
143658BN1 Carnival Corp CCL 5.75 03/01/2027 11,955,000.00 12,048,966.00 0.02
15135UAP4 Cenovus Energy Inc CVECN 5.25 06/15/2037 11,044,000.00 10,381,743.00 0.02
15135UAR0 Cenovus Energy Inc CVECN 5.4 06/15/2047 8,720,000.00 7,723,242.00 0.02
161175BA1 Charter Communications Operating Llc / C CHTR 6.48 10/23/2045 8,186,000.00 8,110,384.00 0.02
172967LP4 Citigroup Inc C 3.67 07/24/2028 12,612,000.00 12,415,088.00 0.02
31410LNV0 Fannie Mae Pool FN 4.5 10/01/2044 10,868,107.00 10,736,086.00 0.02
31418D3X8 Fannie Mae Pool FN 2.0 09/01/2051 10,483,194.00 8,337,180.00 0.02
31418D2L5 Fannie Mae Pool FN 2.0 07/01/2051 14,095,557.00 11,212,318.00 0.02
3140XPJE0 Fannie Mae Pool FN 4.5 03/01/2050 12,061,437.00 12,021,608.00 0.02
3140XDLR5 Fannie Mae Pool FN 2.5 10/01/2051 9,819,463.00 8,191,064.00 0.02
3140XG7B9 Fannie Mae Pool FN 3.5 07/01/2047 11,605,440.00 10,889,638.00 0.02
3140W1KJ1 Fannie Mae Pool FN 4.0 05/01/2053 11,835,975.00 11,021,416.00 0.02
31418DV74 Fannie Mae Pool FN 2.0 01/01/2051 13,171,281.00 10,501,223.00 0.02
31418DXK3 Fannie Mae Pool FN 2.0 03/01/2051 10,698,792.00 8,513,282.00 0.02
31418DFR8 Fannie Mae Pool FN 3.5 09/01/2049 8,809,368.00 8,024,815.00 0.02
31418DPD8 Fannie Mae Pool FN 2.5 05/01/2050 11,271,724.00 9,472,794.00 0.02
31418DKU5 Fannie Mae Pool FN 3.5 01/01/2050 11,089,274.00 10,095,912.00 0.02
31418DZV7 Fannie Mae Pool FN 2.0 06/01/2051 10,439,790.00 8,276,916.00 0.02
31418DZW5 Fannie Mae Pool FN 2.5 06/01/2051 12,374,957.00 10,328,302.00 0.02
31418EVA5 Fannie Mae Pool FN 6.0 08/01/2053 7,805,037.00 7,945,333.00 0.02
345370CQ1 FORD Motor Co F 4.75 01/15/2043 13,282,000.00 10,217,009.00 0.02
345397A86 FORD Motor Credit Co Llc F 4.13 08/17/2027 11,147,000.00 10,891,715.00 0.02
33834YAB4 FIVE Point Operating Co Lp / Five Point FPH 10.5 01/15/2028 8,802,412.00 8,957,419.00 0.02
341081FP7 Florida Power & Light Co NEE 3.7 12/01/2047 10,130,000.00 7,681,193.00 0.02
345397G49 FORD Motor Credit Co Llc F 5.88 11/07/2029 12,500,000.00 12,539,163.00 0.02
345397C43 FORD Motor Credit Co Llc F 6.95 03/06/2026 8,988,000.00 9,060,280.00 0.02
35908MAA8 Frontier Communications Holdings Llc FYBR 5.88 11/01/2029 8,614,448.00 8,709,731.00 0.02
35564KUX5 Freddie Mac Stacr Remic Trust 2022-dna3 STACR 7.21 04/25/2042 7,600,000.00 7,828,000.00 0.02
36179TCX1 Ginnie Mae Ii Pool G2 3.5 07/01/2047 11,978,049.00 11,069,098.00 0.02
36179TJX4 Ginnie Mae Ii Pool G2 3.5 10/01/2047 8,595,192.00 7,940,266.00 0.02
36179XQY5 Ginnie Mae Ii Pool G2 6.0 01/01/2053 9,323,738.00 9,471,297.00 0.02
36250VAD4 GS Mortgage Securities Trust 2015-gc34 GSMS 3.51 10/01/2048 11,245,000.00 11,186,197.00 0.02
36253PAB8 GS Mortgage Securities Trust 2017-gs6 GSMS 3.16 05/01/2050 12,934,186.00 12,675,488.00 0.02
36255NAS4 GS Mortgage Securities Trust 2018-gs9 GSMS 3.73 03/01/2051 10,441,230.00 10,218,875.00 0.02
361841AL3 GLP Capital Lp / Glp Financing Ii Inc GLPI 5.3 01/15/2029 12,461,000.00 12,596,937.00 0.02
364760AQ1 GAP Inc/the GAP 3.88 10/01/2031 9,325,000.00 8,351,090.00 0.02
37045VAK6 General Motors Co GM 6.6 04/01/2036 7,295,000.00 7,712,905.00 0.02
37045XBQ8 General Motors Financial Co Inc GM 4.0 10/06/2026 7,785,000.00 7,729,907.00 0.02
38141GWZ3 Goldman Sachs Group Inc/the GS 4.22 05/01/2029 10,000,000.00 9,943,923.00 0.02
37940XAP7 Global Payments Inc GPN 4.95 08/15/2027 10,005,000.00 10,121,390.00 0.02
38141EC31 Goldman Sachs Group Inc/the GS 4.8 07/08/2044 12,700,000.00 11,414,084.00 0.02
29379VBM4 Enterprise Products Operating Llc EPD 7.57 08/16/2077 9,502,000.00 9,495,354.00 0.02
29379VBC6 Enterprise Products Operating Llc EPD 5.1 02/15/2045 8,450,000.00 7,854,063.00 0.02
29379VBW2 Enterprise Products Operating Llc EPD 4.2 01/31/2050 12,270,000.00 9,736,881.00 0.02
29364WAZ1 Entergy Louisiana Llc ETR 3.12 09/01/2027 12,955,000.00 12,668,518.00 0.02
3131XH2L9 Freddie Mac Pool FR 4.0 01/01/2042 9,396,343.00 9,061,641.00 0.02
30216JAA3 Export-import Bank Of India EXIMBK 3.38 08/05/2026 8,420,000.00 8,308,519.00 0.02
30216JAC9 Export-import Bank Of India EXIMBK 3.88 02/01/2028 11,845,000.00 11,631,908.00 0.02
302491AV7 FMC Corp FMC 4.5 10/01/2049 12,925,000.00 9,551,906.00 0.02
3131XHUN4 Freddie Mac Pool FR 4.0 11/01/2041 9,050,363.00 8,728,936.00 0.02
3132DWBV4 Freddie Mac Pool FR 3.0 06/01/2051 11,517,863.00 10,031,704.00 0.02
3132DWDL4 Freddie Mac Pool FR 3.5 04/01/2052 10,604,263.00 9,551,356.00 0.02
3132DWCD3 Freddie Mac Pool FR 3.0 09/01/2051 11,891,155.00 10,336,803.00 0.02
3132DWCU5 Freddie Mac Pool FR 2.5 12/01/2051 13,847,894.00 11,513,861.00 0.02
3132DWEE9 Freddie Mac Pool FR 5.0 07/01/2052 9,283,922.00 9,154,396.00 0.02
3132DWHA4 Freddie Mac Pool FR 6.0 05/01/2053 8,657,456.00 8,815,068.00 0.02
31335CBL7 Freddie Mac Gold Pool FG 5.0 02/01/2042 7,627,563.00 7,731,740.00 0.02
3133A9UL7 Freddie Mac Pool FR 2.5 08/01/2050 11,467,060.00 9,612,590.00 0.02
3132FCHL2 Freddie Mac Gold Pool FG 3.0 04/01/2045 13,023,133.00 11,762,564.00 0.02
3132DWC43 Freddie Mac Pool FR 3.5 01/01/2052 9,668,919.00 8,738,864.00 0.02
3137FLMX9 Freddie Mac Multifamily Structured Pass FHMS 0.85 02/01/2029 450,526,265.00 10,493,072.00 0.02
3137FLNB6 Freddie Mac Multifamily Structured Pass FHMS 0.7 03/01/2029 540,953,302.00 10,057,674.00 0.02
3136B4GZ5 Fannie Mae Remics FNR 4.0 04/01/2049 10,442,399.00 9,926,921.00 0.02
31359MFJ7 Federal National Mortgage Association FNMA 7.13 01/15/2030 7,255,000.00 8,243,147.00 0.02
3134A4AB0 Freddie Mac Strips FRESTP 03/15/2031 10,264,000.00 8,158,091.00 0.02
3133KKHY8 Freddie Mac Pool FR 2.5 10/01/2050 11,707,064.00 9,822,277.00 0.02
3137FVNJ7 Freddie Mac Multifamily Structured Pass FHMS 1.21 06/01/2030 255,441,294.00 11,753,390.00 0.02
3138E2LA1 Fannie Mae Pool FN 4.0 01/01/2042 10,256,229.00 9,895,130.00 0.02
3138EPX33 Fannie Mae Pool FN 4.5 11/01/2042 10,929,305.00 10,880,869.00 0.02
3137FQGJ6 Freddie Mac Remics FHR 3.0 07/01/2048 13,038,467.00 11,668,725.00 0.02
3137FMCT7 Freddie Mac Multifamily Structured Pass FHMS 1.08 05/01/2029 377,106,169.00 11,486,691.00 0.02
3138ETV60 Fannie Mae Pool FN 4.5 01/01/2045 11,120,139.00 10,916,470.00 0.02
3138LUTT2 Fannie Mae Pool FN 4.0 06/01/2042 8,558,006.00 8,250,494.00 0.02
XS23578149 Palmer Square European Clo 2021-2 Dac PLMER 3.4 04/15/2035 10,500,000.00 12,406,060.00 0.02
XS20565580 Kasikornbank Pcl/hong Kong KBANK 3.34 10/02/2031 8,650,000.00 8,414,460.00 0.02
XS21149418 Invesco Euro Clo Iv Dac INVSC 1.95 04/15/2033 10,000,000.00 11,237,906.00 0.02
TUU5 COMDT US 2yr Note (cbt) Sep25 TUU5 09/30/2025 2,576,370,280.00 10,243,042.00 0.02
P_51888810 Laurel Road Prime Student Loan Trust 201 02/25/2043 82,210,000.00 11,953,807.00 0.02
SWB8ADTZ4X SWP: Brl Di Ois Jan 31 14.34_c 01/02/2031 961,568,701.00 10,215,605.00 0.02
XS28131677 Hayfin Emerald Clo X Dac HAYEM 5.8 07/18/2038 7,500,000.00 8,834,659.00 0.02
SWB8ADC3D1 SWP: Ois Sofr 3.719000 16-dec-2054_c 12/16/2054 -224,000,000.00 7,772,274.00 0.02
SWB8ADCX6K SWP: Ois Sofr 3.825010 20-dec-2054_c 12/20/2054 -352,385,000.00 5,693,338.00 0.01
SWB8ACGVQE CDS: (cdx.sanjose.1-5%) 0.5 12/20/2025 -48,000,000.00 3,823,624.00 0.01
SWB8ADPA0J Scds: (spain) 1.0 12/20/2031 75,000,000.00 2,630,938.00 0.01
L5217E120 Intelsat Emergence Sa 66,981.00 2,906,975.00 0.01
SWB8ACGQ8Y CDS: (cdx.sanjose.0-1%) 0.5 12/20/2025 -8,835,168.00 5,845,717.00 0.01
XS29055077 Monument Clo 2 Dac MNMNT 4.33 01/20/2039 6,000,000.00 7,119,383.00 0.01
XS24186943 Lsf11 Boson Investments Sarl Compartment ERLS 4.05 11/25/2060 5,640,727.00 6,455,186.00 0.01
SWB8ADUTEY SWP: Brl Di Ois Jan 31 13.94_c 01/02/2031 474,011,297.00 4,239,026.00 0.01
SWTRE8ADGR TRS On Fi Credit Bond Leg Accrual 4.25 07/24/2025 245,800,000.00 3,859,401.00 0.01
WNU5 COMDT US Ultra Bond Cbt Sep25 WNU5 09/19/2025 438,856,500.00 6,723,954.00 0.01
XS23030893 Ecuador Social Bond Sarl ECUASO 0.35 01/30/2035 146,880,000.00 2,555,712.00 0.01
3137FN4A5 Freddie Mac Remics FHR 2.75 09/01/2048 3,430,574.00 3,120,495.00 0.01
3137FQQ63 Freddie Mac Remics FHR 3.0 12/01/2048 6,049,049.00 5,444,313.00 0.01
3138EJX37 Fannie Mae Pool FN 4.0 04/01/2042 5,378,665.00 5,193,203.00 0.01
3138EKGB5 Fannie Mae Pool FN 3.5 12/01/2042 3,572,150.00 3,352,877.00 0.01
3140J9NP2 Fannie Mae Pool FN 3.5 12/01/2046 3,306,833.00 3,102,105.00 0.01
3140KP3U5 Fannie Mae Pool FN 2.5 01/01/2051 5,159,535.00 4,302,845.00 0.01
3138AUV20 Fannie Mae Pool FN 4.0 11/01/2041 4,097,837.00 3,953,575.00 0.01
3137FNBC3 Freddie Mac Multifamily Structured Pass FHMS 1.52 07/01/2029 56,489,000.00 2,767,011.00 0.01
3133KL2H9 Freddie Mac Pool FR 2.5 05/01/2051 5,717,244.00 4,782,598.00 0.01
3133KMXX8 Freddie Mac Pool FR 2.5 10/01/2051 3,496,732.00 2,934,971.00 0.01
3133AWML5 Freddie Mac Pool FR 3.0 11/01/2051 7,390,860.00 6,408,758.00 0.01
3133B4ZX6 Freddie Mac Pool FR 3.0 02/01/2052 3,251,651.00 2,819,223.00 0.01
3133B9Z98 Freddie Mac Pool FR 3.5 04/01/2052 4,440,713.00 4,000,025.00 0.01
3133KG4K1 Freddie Mac Pool FR 2.5 11/01/2049 4,777,058.00 4,016,812.00 0.01
3133KKAL3 Freddie Mac Pool FR 2.5 09/01/2050 6,178,200.00 5,130,487.00 0.01
3136ATG24 Fannie Mae Remics FNR 2.5 09/01/2043 6,259,107.00 6,034,349.00 0.01
3134A4KY9 Freddie Mac Strips FRESTP 07/15/2032 4,621,000.00 3,425,245.00 0.01
3134A4NV2 Freddie Mac Coupon Strips FRESTP 07/15/2032 8,525,000.00 6,213,395.00 0.01
31358DJP0 Fannie Mae Principal Strip FNMAP 07/15/2037 5,105,000.00 2,884,172.00 0.01
3137FKUR5 Freddie Mac Multifamily Structured Pass FHMS 0.5 12/01/2028 404,043,367.00 4,595,750.00 0.01
3137FG2C8 Freddie Mac Remics FHR 4.0 06/01/2048 3,539,327.00 3,349,927.00 0.01
3137FG3N3 Freddie Mac Remics FHR 4.0 06/01/2048 5,307,689.00 5,022,869.00 0.01
3136B1MK7 Fannie Mae Remics FNR 3.5 04/01/2048 3,532,025.00 3,228,181.00 0.01
3137FBU95 Freddie Mac Multifamily Structured Pass FHMS 0.47 09/01/2027 499,577,505.00 3,387,335.00 0.01
3136F7NM5 Federal National Mortgage Association FNMA 11/15/2030 5,420,000.00 4,325,366.00 0.01
3132DWC92 Freddie Mac Pool FR 3.5 02/01/2052 6,837,273.00 6,185,972.00 0.01
3132DWCB7 Freddie Mac Pool FR 2.0 09/01/2051 5,184,780.00 4,119,796.00 0.01
3132DWBR3 Freddie Mac Pool FR 3.0 05/01/2051 5,322,386.00 4,637,174.00 0.01
3132DWBS1 Freddie Mac Pool FR 1.5 06/01/2051 7,538,243.00 5,672,847.00 0.01
3132DWBJ1 Freddie Mac Pool FR 2.5 04/01/2051 7,719,988.00 6,448,016.00 0.01
3132DWAF0 Freddie Mac Pool FR 2.0 11/01/2050 8,797,963.00 7,017,197.00 0.01
3132DV7C3 Freddie Mac Pool FR 2.5 09/01/2050 5,879,151.00 4,924,680.00 0.01
3132DWA45 Freddie Mac Pool FR 1.5 02/01/2051 7,161,194.00 5,386,500.00 0.01
3132DWA52 Freddie Mac Pool FR 2.0 02/01/2051 3,533,784.00 2,814,112.00 0.01
3132DWFU2 Freddie Mac Pool FR 6.0 11/01/2052 6,383,304.00 6,507,313.00 0.01
3132DWDY6 Freddie Mac Pool FR 2.5 06/01/2052 3,360,291.00 2,793,436.00 0.01
3132DWES8 Freddie Mac Pool FR 4.5 09/01/2052 6,088,107.00 5,834,478.00 0.01
3132DWET6 Freddie Mac Pool FR 5.0 09/01/2052 4,043,940.00 3,982,931.00 0.01
3132DWF73 Freddie Mac Pool FR 6.0 01/01/2053 5,379,535.00 5,484,974.00 0.01
3131XHZP4 Freddie Mac Pool FR 4.0 01/01/2042 5,575,747.00 5,378,299.00 0.01
3131Y7S65 Freddie Mac Pool FR 4.5 11/01/2048 3,080,292.00 2,995,147.00 0.01
30231GAW2 Exxon Mobil Corp XOM 4.11 03/01/2046 5,335,000.00 4,381,123.00 0.01
3130AFAU1 Federal Home Loan Banks FHLB 4.25 11/02/2038 4,340,000.00 3,949,430.00 0.01
3132DQC53 Freddie Mac Pool FR 4.5 03/01/2047 5,113,841.00 5,058,503.00 0.01
3132DTMV9 Freddie Mac Pool FR 5.0 07/01/2050 5,828,925.00 5,802,205.00 0.01
29379VBF9 Enterprise Products Operating Llc EPD 4.95 10/15/2054 3,084,000.00 2,697,023.00 0.01
29379VBQ5 Enterprise Products Operating Llc EPD 4.25 02/15/2048 5,593,000.00 4,536,766.00 0.01
29364WAW8 Entergy Louisiana Llc ETR 3.25 04/01/2028 5,000,000.00 4,879,222.00 0.01
37576GAQ3 Gillette Co/the PG 4.29 04/02/2043 6,519,000.00 6,458,647.00 0.01
37045XCS3 General Motors Financial Co Inc GM 5.65 01/17/2029 2,775,000.00 2,835,578.00 0.01
373298BN7 Georgia-pacific Llc GP 7.38 12/01/2025 3,697,000.00 3,737,199.00 0.01
37045XBT2 General Motors Financial Co Inc GM 4.35 01/17/2027 4,416,000.00 4,390,381.00 0.01
37045VAL4 General Motors Co GM 6.75 04/01/2046 5,987,000.00 6,125,331.00 0.01
37045VAF7 General Motors Co GM 6.25 10/02/2043 5,906,000.00 5,790,493.00 0.01
361841AH2 GLP Capital Lp / Glp Financing Ii Inc GLPI 5.38 04/15/2026 6,722,000.00 6,727,994.00 0.01
36261PAR3 GS Mortgage Securities Trust 2019-gsa1 GSMS 2.61 11/01/2052 4,941,349.00 4,794,474.00 0.01
36262MAA6 GS Mortgage Securities Corportation Trus GSMS 5.38 10/15/2036 6,770,000.00 6,744,766.00 0.01
36179XFH4 Ginnie Mae Ii Pool G2 4.5 09/01/2052 7,188,296.00 6,940,005.00 0.01
36179WNF1 Ginnie Mae Ii Pool G2 3.0 09/01/2051 8,544,174.00 7,566,787.00 0.01
36179WZC5 Ginnie Mae Ii Pool G2 4.0 03/01/2052 7,450,993.00 6,960,970.00 0.01
36179X5J1 Ginnie Mae Ii Pool G2 6.0 06/01/2053 5,643,649.00 5,760,967.00 0.01
36179XBT2 Ginnie Mae Ii Pool G2 4.0 07/01/2052 4,819,116.00 4,502,657.00 0.01
36179TNR2 Ginnie Mae Ii Pool G2 3.5 12/01/2047 3,213,411.00 2,980,478.00 0.01
35564KKY4 Freddie Mac Stacr Remic Trust 2021-dna6 STACR 5.81 10/25/2041 2,915,554.00 2,926,579.00 0.01
35640YAK3 Freedom Mortgage Corp FREMOR 12.0 10/01/2028 4,625,000.00 4,973,414.00 0.01
35906ABE7 Frontier Communications Holdings Llc FYBR 5.88 10/15/2027 3,945,000.00 3,946,532.00 0.01
36179SYS0 Ginnie Mae Ii Pool G2 3.5 03/01/2047 3,675,281.00 3,405,114.00 0.01
345397D83 FORD Motor Credit Co Llc F 5.8 03/05/2027 4,115,000.00 4,145,701.00 0.01
345397XL2 FORD Motor Credit Co Llc F 4.13 08/04/2025 2,600,000.00 2,594,869.00 0.01
345397ZR7 FORD Motor Credit Co Llc F 5.11 05/03/2029 3,250,000.00 3,178,145.00 0.01
35564KMH9 Freddie Mac Stacr Remic Trust 2021-dna7 STACR 6.11 11/25/2041 6,495,000.00 6,541,393.00 0.01
35564KHE2 Freddie Mac Stacr Remic Trust 2021-dna5 STACR 5.96 01/25/2034 6,072,854.00 6,099,738.00 0.01
341081FQ5 Florida Power & Light Co NEE 3.95 03/01/2048 8,210,000.00 6,537,171.00 0.01
335934AW5 First Quantum Minerals Ltd FMCN 8.0 03/01/2033 4,800,000.00 4,921,488.00 0.01
335934AT2 First Quantum Minerals Ltd FMCN 6.88 10/15/2027 6,841,000.00 6,816,030.00 0.01
335934AU9 First Quantum Minerals Ltd FMCN 8.63 06/01/2031 5,600,000.00 5,798,912.00 0.01
345397B93 FORD Motor Credit Co Llc F 2.9 02/10/2029 3,279,000.00 2,981,361.00 0.01
31418V4W9 Fannie Mae Pool FN 4.5 08/01/2040 3,207,513.00 3,197,253.00 0.01
31418EQS2 Fannie Mae Pool FN 7.0 03/01/2053 2,776,837.00 2,927,641.00 0.01
31418EJ76 Fannie Mae Pool FN 5.0 10/01/2052 7,701,435.00 7,584,850.00 0.01
31418EJF8 Fannie Mae Pool FN 5.0 09/01/2052 4,586,596.00 4,517,400.00 0.01
31418DZX3 Fannie Mae Pool FN 3.0 06/01/2051 3,383,071.00 2,945,849.00 0.01
31418DQ88 Fannie Mae Pool FN 2.5 07/01/2050 5,010,925.00 4,201,868.00 0.01
31418DSJ2 Fannie Mae Pool FN 2.5 09/01/2050 3,809,895.00 3,192,622.00 0.01
31418DTP7 Fannie Mae Pool FN 1.5 10/01/2050 3,959,215.00 2,979,548.00 0.01
31418DTR3 Fannie Mae Pool FN 2.5 10/01/2050 4,468,152.00 3,725,072.00 0.01
31418DGM8 Fannie Mae Pool FN 3.5 10/01/2049 4,479,863.00 4,080,424.00 0.01
31418D7E6 Fannie Mae Pool FN 2.0 12/01/2051 5,162,507.00 4,098,954.00 0.01
31418D7G1 Fannie Mae Pool FN 3.0 12/01/2051 4,347,613.00 3,789,066.00 0.01
31418DVA7 Fannie Mae Pool FN 2.0 12/01/2050 9,216,178.00 7,350,761.00 0.01
3140QRAL7 Fannie Mae Pool FN 6.0 01/01/2053 7,458,379.00 7,626,533.00 0.01
3140J5JN0 Fannie Mae Pool FN 4.5 09/01/2046 4,573,148.00 4,500,690.00 0.01
3140MHSH3 Fannie Mae Pool FN 2.5 03/01/2052 3,561,228.00 2,967,913.00 0.01
3140Q9HZ9 Fannie Mae Pool FN 4.5 07/01/2048 3,488,967.00 3,392,705.00 0.01
3140X4TF3 Fannie Mae Pool FN 3.5 09/01/2049 7,414,971.00 6,755,380.00 0.01
3140X8H59 Fannie Mae Pool FN 3.5 03/01/2050 6,708,921.00 6,109,871.00 0.01
3140X8RX7 Fannie Mae Pool FN 3.5 04/01/2050 4,351,994.00 3,956,111.00 0.01
3140XGJR1 Fannie Mae Pool FN 3.0 01/01/2052 7,322,706.00 6,354,759.00 0.01
3140XJCC5 Fannie Mae Pool FN 1.5 09/01/2051 5,361,698.00 4,035,448.00 0.01
3140XBYN4 Fannie Mae Pool FN 2.5 06/01/2051 6,468,380.00 5,435,768.00 0.01
3140XDDC7 Fannie Mae Pool FN 3.0 10/01/2051 5,087,506.00 4,404,603.00 0.01
3140XKAX8 Fannie Mae Pool FN 2.5 11/01/2051 5,219,092.00 4,375,495.00 0.01
3140XLDF2 Fannie Mae Pool FN 2.5 05/01/2051 5,518,139.00 4,603,582.00 0.01
31418D2K7 Fannie Mae Pool FN 1.5 07/01/2051 5,780,263.00 4,348,675.00 0.01
31418D3J9 Fannie Mae Pool FN 3.0 08/01/2051 8,657,938.00 7,532,668.00 0.01
3140XPQK8 Fannie Mae Pool FN 3.0 07/01/2052 5,684,851.00 4,947,363.00 0.01
3140XPTC3 Fannie Mae Pool FN 2.5 02/01/2052 6,795,605.00 5,730,143.00 0.01
3140XQAK3 Fannie Mae Pool FN 3.0 04/01/2048 7,193,519.00 6,499,602.00 0.01
3140XQKD8 Fannie Mae Pool FN 5.0 08/01/2050 6,792,115.00 6,769,550.00 0.01
165167DG9 Expand Energy Corp EXE 5.88 02/01/2029 4,900,000.00 4,921,322.00 0.01
173106AB1 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 4.23 02/01/2063 8,814,670.00 7,612,881.00 0.01
173106AC9 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 4.23 02/01/2063 5,925,619.00 4,947,776.00 0.01
173106AD7 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 4.23 02/01/2063 4,518,428.00 3,598,455.00 0.01
17332HAD7 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 6,684,082.00 5,046,318.00 0.01
17332HAE5 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 5,703,938.00 4,068,579.00 0.01
161175BM5 Charter Communications Operating Llc / C CHTR 5.38 04/01/2038 6,070,000.00 5,719,553.00 0.01
161175BN3 Charter Communications Operating Llc / C CHTR 5.75 04/01/2048 8,123,000.00 7,391,462.00 0.01
15189XAS7 Centerpoint Energy Houston Electric Llc CNP 3.95 03/01/2048 6,685,000.00 5,209,396.00 0.01
156504AL6 Century Communities Inc CCS 6.75 06/01/2027 4,356,000.00 4,366,825.00 0.01
16115QAF7 Chart Industries Inc GTLS 7.5 01/01/2030 5,375,000.00 5,629,805.00 0.01
15089QAW4 Celanese Us Holdings Llc CE 6.85 11/15/2028 4,475,000.00 4,701,534.00 0.01
15089QAX2 Celanese Us Holdings Llc CE 7.05 11/15/2030 4,375,000.00 4,603,752.00 0.01
15132HAH4 Cencosud Sa CENSUD 4.38 07/17/2027 3,835,000.00 3,799,066.00 0.01
15135UAF6 Cenovus Energy Inc CVECN 6.75 11/15/2039 3,008,000.00 3,232,586.00 0.01
14071LAA6 Capstone Copper Corp CAPCOP 6.75 03/31/2033 6,290,000.00 6,415,856.00 0.01
13342BAF2 Cameron International Corp SLB 5.95 06/01/2041 2,775,000.00 2,662,430.00 0.01
126307AQ0 CSC Holdings Llc CSCHLD 5.5 04/15/2027 6,800,000.00 6,491,086.00 0.01
126307AY3 CSC Holdings Llc CSCHLD 7.5 04/01/2028 6,465,000.00 4,829,988.00 0.01
12592BAS3 CNH Industrial Capital Llc CNHI 5.1 04/20/2029 6,300,000.00 6,430,103.00 0.01
12594MBC1 COMM 2016-cor1 Mortgage Trust COMM 3.09 10/01/2049 6,400,000.00 6,270,800.00 0.01
125523BZ2 Cigna Group/the CI 4.5 02/25/2026 3,916,000.00 3,912,955.00 0.01
11283YAG5 Brookfield Residential Properties Inc / BRPCN 5.0 06/15/2029 6,025,000.00 5,464,012.00 0.01
120568BC3 Bunge Ltd Finance Corp BG 2.75 05/14/2031 6,500,000.00 5,881,888.00 0.01
12189LAX9 Burlington Northern Santa Fe Llc BNSF 4.7 09/01/2045 3,400,000.00 3,061,977.00 0.01
12527GAD5 CF Industries Inc CF 4.95 06/01/2043 8,565,000.00 7,617,666.00 0.01
12527GAE3 CF Industries Inc CF 5.38 03/15/2044 2,751,000.00 2,555,410.00 0.01
12654FAC4 COMM 2024-277p Mortgage Trust COMM 0.89 08/01/2044 97,400,000.00 2,650,789.00 0.01
126307BA4 CSC Holdings Llc CSCHLD 5.75 01/15/2030 11,500,000.00 5,692,469.00 0.01
126307BB2 CSC Holdings Llc CSCHLD 4.13 12/01/2030 6,275,000.00 4,452,578.00 0.01
126307BD8 CSC Holdings Llc CSCHLD 4.63 12/01/2030 8,450,000.00 3,930,069.00 0.01
126307BF3 CSC Holdings Llc CSCHLD 3.38 02/15/2031 6,510,000.00 4,501,730.00 0.01
126650CD0 CVS Health Corp CVS 5.3 12/05/2043 7,175,000.00 6,522,912.00 0.01
126650CN8 CVS Health Corp CVS 5.13 07/20/2045 5,000,000.00 4,422,279.00 0.01
126650DV9 CVS Health Corp CVS 5.63 02/21/2053 4,580,000.00 4,232,770.00 0.01
12769GAB6 Caesars Entertainment Inc CZR 7.0 02/15/2030 2,650,000.00 2,745,657.00 0.01
12769GAD2 Caesars Entertainment Inc CZR 6.0 10/15/2032 7,500,000.00 7,350,803.00 0.01
12669E5R3 CHL Mortgage Pass-through Trust 2003-53 CWHL 6.8 02/01/2034 3,246,658.00 3,264,483.00 0.01
1266715E2 Cwabs Inc Asset-backed Certificates Trus CWL 4.85 08/25/2034 2,726,354.00 2,671,746.00 0.01
29273RBL2 Energy Transfer Lp ET 5.3 04/15/2047 6,095,000.00 5,368,838.00 0.01
29103DAJ5 Emera Us Finance Lp EMACN 3.55 06/15/2026 4,959,000.00 4,901,280.00 0.01
26982EAA4 Eagle Re 2023-1 Ltd EMIR 6.31 09/26/2033 7,345,504.00 7,363,725.00 0.01
26882PBE1 ERAC Usa Finance Llc ENTERP 7.0 10/15/2037 4,090,000.00 4,691,421.00 0.01
28370TAF6 Kinder Morgan Energy Partners Lp KMI 4.7 11/01/2042 8,000,000.00 6,935,918.00 0.01
26442CAB0 DUKE Energy Carolinas Llc DUK 6.0 01/15/2038 3,675,000.00 3,915,418.00 0.01
26442CAM6 DUKE Energy Carolinas Llc DUK 4.25 12/15/2041 6,000,000.00 5,139,154.00 0.01
26442CAU8 DUKE Energy Carolinas Llc DUK 3.95 03/15/2048 6,745,000.00 5,269,159.00 0.01
25746UCK3 Dominion Energy Inc D 2.85 08/15/2026 5,685,000.00 5,585,849.00 0.01
25466AAJ0 Capital One Na COF 3.45 07/27/2026 6,525,000.00 6,451,749.00 0.01
25160PAQ0 Deutsche Bank Ag/new York Ny DB 5.37 01/10/2029 7,070,000.00 7,185,769.00 0.01
25179MAL7 Devon Energy Corp DVN 5.6 07/15/2041 4,047,000.00 3,739,645.00 0.01
251526CP2 Deutsche Bank Ag/new York Ny DB 2.31 11/16/2027 2,985,000.00 2,896,554.00 0.01
251526DA4 Deutsche Bank Ag/new York Ny DB 5.3 05/09/2031 7,220,000.00 7,327,107.00 0.01
17888HAC7 Civitas Resources Inc CIVI 8.63 11/01/2030 2,850,000.00 2,892,687.00 0.01
186108CK0 Cleveland Electric Illuminating Co/the FE 3.5 04/01/2028 4,415,000.00 4,293,369.00 0.01
20753YCK6 Connecticut Avenue Securities Trust 2022 CAS 7.41 03/25/2042 6,300,000.00 6,489,403.00 0.01
1PGNTNML1J Eur/usd Fwd 20250722 Citius33 EUR 07/22/2025 78,197,429.00 2,978,545.00 0.01
225401AT5 UBS Group Ag UBS 1.31 02/02/2027 4,900,000.00 4,808,880.00 0.01
23312JAE3 Dbjpm 2017-c6 Mortgage Trust DBJPM 3.07 06/01/2050 6,850,000.00 6,674,255.00 0.01
23918KAS7 Davita Inc DVA 4.63 06/01/2030 5,545,000.00 5,313,862.00 0.01
225401AC2 UBS Group Ag UBS 4.28 01/09/2028 3,541,000.00 3,520,255.00 0.01
219868CJ3 CORP Andina De Fomento CAF 5.0 01/24/2029 4,843,000.00 4,955,648.00 0.01
209111FH1 Consolidated Edison Co Of New York Inc ED 3.85 06/15/2046 7,580,000.00 5,852,849.00 0.01
20754LAF6 Connecticut Avenue Securities Trust 2022 CAS 7.46 12/25/2041 2,652,000.00 2,722,437.00 0.01
20754RAB2 Connecticut Avenue Securities Trust 2021 CAS 5.86 10/25/2041 5,037,630.00 5,050,058.00 0.01
20754RAF3 Connecticut Avenue Securities Trust 2021 CAS 7.41 10/25/2041 3,600,000.00 3,687,244.00 0.01
20754XAC7 Connecticut Avenue Securities Trust 2024 CAS 6.01 07/25/2044 6,500,000.00 6,523,794.00 0.01
05578AAJ7 BPCE Sa BPCEGP 3.25 01/11/2028 6,850,000.00 6,657,678.00 0.01
05592VAE4 BPR Trust 2024-pmdw BPR 5.85 11/01/2041 5,600,000.00 5,684,373.00 0.01
05583JAC6 BPCE Sa BPCEGP 3.5 10/23/2027 4,330,000.00 4,231,769.00 0.01
05971KAG4 Banco Santander Sa SANTAN 2.75 12/03/2030 6,400,000.00 5,698,232.00 0.01
060505FL3 BANK Of America Corp BAC 5.88 09/15/2170 5,595,000.00 5,679,432.00 0.01
06540BBF5 BANK 2019-bnk21 BANK 0.47 10/03/2052 206,158,000.00 2,839,331.00 0.01
06738ECE3 Barclays Plc BACR 7.44 11/02/2033 4,130,000.00 4,671,580.00 0.01
06738EBR5 Barclays Plc BACR 2.67 03/10/2032 7,000,000.00 6,200,272.00 0.01
06738EBV6 Barclays Plc BACR 2.89 11/24/2032 3,745,000.00 3,311,927.00 0.01
06738ECV5 Barclays Plc BACR 5.34 09/10/2035 4,100,000.00 4,051,761.00 0.01
06738ECY9 Barclays Plc BACR 5.37 02/25/2031 6,000,000.00 6,115,717.00 0.01
06738ECZ6 Barclays Plc BACR 5.79 02/25/2036 6,035,000.00 6,144,693.00 0.01
067901AA6 Barrick Mining Corp ABXCN 5.8 11/15/2034 7,300,000.00 7,594,802.00 0.01
071734AQ0 Bausch Health Cos Inc BHCCN 11.0 09/30/2028 2,650,000.00 2,627,978.00 0.01
10570NAA6 Bravo Residential Funding Trust 2024-ces BRAVO 6.38 04/01/2054 3,394,088.00 3,426,760.00 0.01
11120VAE3 Brixmor Operating Partnership Lp BRX 3.9 03/15/2027 4,300,000.00 4,261,739.00 0.01
1248EPBT9 CCO Holdings Llc / Cco Holdings Capital CHTR 5.13 05/01/2027 2,775,000.00 2,765,520.00 0.01
097751BT7 Bombardier Inc BBDBCN 7.88 04/15/2027 6,181,000.00 6,219,878.00 0.01
097751BV2 Bombardier Inc BBDBCN 7.13 06/15/2026 4,294,000.00 4,291,208.00 0.01
097751BZ3 Bombardier Inc BBDBCN 7.5 02/01/2029 3,675,000.00 3,850,959.00 0.01
097751CD1 Bombardier Inc BBDBCN 6.75 06/15/2033 5,715,000.00 5,922,168.00 0.01
07336MAA9 Bayview Opportunity Master Fund Vii Trus BVABS 6.97 07/29/2032 3,790,448.00 3,789,457.00 0.01
07336PAC8 Bayview Opportunity Master Fund Vii 2024 BVCLN 6.11 06/25/2047 2,695,593.00 2,686,438.00 0.01
084664BV2 Berkshire Hathaway Finance Corp BRK 4.3 05/15/2043 4,365,000.00 3,848,099.00 0.01
084664CV1 Berkshire Hathaway Finance Corp BRK 2.85 10/15/2050 9,400,000.00 6,069,875.00 0.01
09659W2F0 BNP Paribas Sa BNP 4.4 08/14/2028 4,458,000.00 4,437,656.00 0.01
00206RMN9 AT&T Inc T 3.8 12/01/2057 7,661,000.00 5,360,030.00 0.01
00119YAC7 AGL Clo 10 Ltd AGL 6.02 04/15/2034 6,500,000.00 6,506,649.00 0.01
00115AAH2 AEP Transmission Co Llc AEP 3.75 12/01/2047 5,595,000.00 4,238,314.00 0.01
00115AAK5 AEP Transmission Co Llc AEP 3.8 06/15/2049 7,345,000.00 5,474,248.00 0.01
00115AAM1 AEP Transmission Co Llc AEP 3.65 04/01/2050 7,206,000.00 5,293,210.00 0.01
007589AC8 Advocate Health & Hospitals Corp ADVHEA 3.39 10/15/2049 8,685,000.00 6,177,103.00 0.01
00817YAG3 Aetna Inc AET 6.75 12/15/2037 5,365,000.00 5,798,209.00 0.01
00817YAJ7 Aetna Inc AET 4.5 05/15/2042 4,540,000.00 3,740,869.00 0.01
00834BAG2 Affirm Asset Securitization Trust 2024-a AFFRM 5.93 02/15/2029 3,000,000.00 3,015,016.00 0.01
00834BAH0 Affirm Asset Securitization Trust 2024-a AFFRM 6.16 02/15/2029 3,000,000.00 3,016,539.00 0.01
023770AA8 American Airlines 2015-1 Class A Pass Th AAL 3.38 05/01/2027 5,904,327.00 5,753,729.00 0.01
02007G4E0 ALLY Bank Auto Credit-linked Notes Serie ABCLN 5.41 09/15/2032 3,497,065.00 3,493,388.00 0.01
01626PAU0 Alimentation Couche-tard Inc ATDBCN 5.27 02/12/2034 7,193,000.00 7,201,944.00 0.01
00206RJX1 AT&T Inc T 2.3 06/01/2027 3,300,000.00 3,180,652.00 0.01
013092AC5 Albertsons Cos Inc / Safeway Inc / New A ACI 4.63 01/15/2027 3,935,000.00 3,907,743.00 0.01
01309QAA6 Albertsons Cos Inc / Safeway Inc / New A ACI 6.5 02/15/2028 5,050,000.00 5,170,258.00 0.01
03939CAB9 ARCH Capital Finance Llc ACGL 5.03 12/15/2046 6,475,000.00 5,860,237.00 0.01
04352EAB1 Ascension Health ASCHEA 3.11 11/15/2039 4,680,000.00 3,656,789.00 0.01
045086AM7 Ashton Woods Usa Llc / Ashton Woods Fina ASHWOO 4.63 08/01/2029 4,675,000.00 4,465,018.00 0.01
04364VAX1 Ascent Resources Utica Holdings Llc / Ar ASCRES 6.63 10/15/2032 5,325,000.00 5,417,664.00 0.01
03690AAD8 Antero Midstream Partners Lp / Antero Mi AM 5.75 03/01/2027 3,230,000.00 3,227,282.00 0.01
03690AAH9 Antero Midstream Partners Lp / Antero Mi AM 5.38 06/15/2029 6,275,000.00 6,231,517.00 0.01
03331AAE1 Anchorage Capital Clo 18 Ltd ANCHC 6.02 04/15/2034 6,000,000.00 6,009,614.00 0.01
03837AAD2 Aptiv Swiss Holdings Ltd APTV 6.88 12/15/2054 4,965,000.00 4,958,793.00 0.01
02377BAB2 American Airlines 2015-2 Class Aa Pass T AAL 3.6 09/22/2027 7,184,523.00 6,989,775.00 0.01
030981AL8 Amerigas Partners Lp / Amerigas Finance APU 5.75 05/20/2027 7,284,000.00 7,227,263.00 0.01
05491VAE6 Bbcms 2018-chrs Mortgage Trust BBCMS 4.41 08/01/2038 7,345,000.00 6,754,450.00 0.01
05508WAC9 B&G Foods Inc BGS 8.0 09/15/2028 2,850,000.00 2,747,522.00 0.01
05491LAC2 Bbcms 2016-etc Mortgage Trust BBCMS 3.19 08/05/2036 6,970,000.00 6,641,116.00 0.01
05491LAE8 Bbcms 2016-etc Mortgage Trust BBCMS 3.39 08/05/2036 5,770,000.00 5,395,076.00 0.01
05523RAE7 BAE Systems Plc BALN 3.0 09/15/2050 10,325,000.00 6,718,082.00 0.01
05526DBX2 BAT Capital Corp BATSLN 7.75 10/19/2032 5,000,000.00 5,770,525.00 0.01
05526DBY0 BAT Capital Corp BATSLN 5.83 02/20/2031 4,000,000.00 4,205,102.00 0.01
05552ABH0 Bbcms Mortgage Trust 2020-c8 BBCMS 1.14 10/01/2053 119,592,000.00 5,983,965.00 0.01
05531GAB7 Truist Financial Corp TFC 3.88 03/19/2029 7,090,000.00 6,926,505.00 0.01
05555VAC3 BFLD 2024-vict Mortgage Trust BFLD 6.9 07/15/2041 7,500,000.00 7,481,250.00 0.01
693304AR8 PECO Energy Co EXC 4.8 10/15/2043 6,449,000.00 5,759,710.00 0.01
693304BE6 PECO Energy Co EXC 4.38 08/15/2052 4,050,000.00 3,355,854.00 0.01
69331CAM0 PG&E Corp PCG 7.38 03/15/2055 4,375,000.00 4,149,571.00 0.01
6903532V8 United States International Development DFC 3.37 10/05/2034 5,410,036.00 5,137,545.00 0.01
690742AF8 Owens Corning OC 3.4 08/15/2026 3,315,000.00 3,278,968.00 0.01
69351UAV5 PPL Electric Utilities Corp PPL 4.15 06/15/2048 8,855,000.00 7,188,937.00 0.01
693475AW5 PNC Financial Services Group Inc/the PNC 3.45 04/23/2029 4,815,000.00 4,686,252.00 0.01
690353X85 United States International Development DFC 3.0 10/05/2034 5,320,350.00 4,955,149.00 0.01
694308HH3 Pacific Gas And Electric Co PCG 4.75 02/15/2044 5,535,000.00 4,483,446.00 0.01
695114CX4 Pacificorp BRKHEC 3.3 03/15/2051 4,510,000.00 2,917,224.00 0.01
694308KG1 Pacific Gas And Electric Co PCG 5.9 06/15/2032 7,000,000.00 7,150,841.00 0.01
682680AZ6 Oneok Inc OKE 4.45 09/01/2049 8,512,000.00 6,543,833.00 0.01
682680CF8 Oneok Inc OKE 5.7 11/01/2054 4,710,000.00 4,344,673.00 0.01
68245XAR0 1011778 Bc Ulc / New Red Finance Inc BCULC 6.13 06/15/2029 3,070,000.00 3,150,587.00 0.01
68245XAT6 1011778 Bc Ulc / New Red Finance Inc BCULC 5.63 09/15/2029 4,460,000.00 4,524,893.00 0.01
682680AU7 Oneok Inc OKE 4.55 07/15/2028 2,790,000.00 2,799,094.00 0.01
682680AN3 Oneok Inc OKE 6.0 06/15/2035 4,200,000.00 4,362,352.00 0.01
68389XBV6 Oracle Corp ORCL 2.95 04/01/2030 5,925,000.00 5,529,588.00 0.01
686514AH3 Orlando Health Obligated Group ORHLTH 3.33 10/01/2050 9,850,000.00 6,899,898.00 0.01
62916TAE9 NLT 2025-inv1 Trust NLT 6.6 02/01/2070 6,037,471.00 5,924,585.00 0.01
62916TAF6 NLT 2025-inv1 Trust NLT 6.6 02/01/2070 4,751,062.00 4,520,073.00 0.01
62916TAG4 NLT 2025-inv1 Trust NLT 6.6 02/01/2070 2,979,124.00 2,698,503.00 0.01
62916TAH2 NLT 2025-inv1 Trust NLT 0.9 02/01/2070 159,367,656.00 5,338,816.00 0.01
620076BT5 Motorola Solutions Inc MSI 2.3 11/15/2030 6,271,000.00 5,573,386.00 0.01
62952EAC1 NYU Langone Hospitals NYUHOS 4.78 07/01/2044 6,375,000.00 5,762,111.00 0.01
62954HAX6 NXP Bv / Nxp Funding Llc / Nxp Usa Inc NXPI 3.15 05/01/2027 7,190,000.00 7,036,042.00 0.01
629377CH3 NRG Energy Inc NRG 5.25 06/15/2029 7,560,000.00 7,522,308.00 0.01
64828FCQ3 NEW Residential Mortgage Loan Trust 2018 NRZT 5.18 01/25/2048 7,155,002.00 7,002,439.00 0.01
63861CAD1 Nationstar Mortgage Holdings Inc COOP 5.13 12/15/2030 2,725,000.00 2,742,014.00 0.01
677050AS5 Oglethorpe Power Corp OGLETH 4.5 04/01/2047 8,000,000.00 6,549,056.00 0.01
677632PA3 OHIO State University/the OHSHGR 4.8 06/01/2111 7,815,000.00 6,560,420.00 0.01
68236JAA9 ONE Bryant Park Trust 2019-obp OBP 2.52 09/01/2054 7,000,000.00 6,372,810.00 0.01
66775VAB1 Northwest Pipeline Llc WMB 4.0 04/01/2027 4,110,000.00 4,081,775.00 0.01
67077MAR9 Nutrien Ltd NTRCN 4.9 06/01/2043 3,370,000.00 3,005,654.00 0.01
67077MAS7 Nutrien Ltd NTRCN 5.25 01/15/2045 8,000,000.00 7,371,797.00 0.01
67080LAD7 Nuveen Llc TIAAGL 5.85 04/15/2034 4,510,000.00 4,693,741.00 0.01
67091TAD7 OCP Sa OCPMR 3.75 06/23/2031 4,572,000.00 4,101,084.00 0.01
668771AM0 GEN Digital Inc GEN 6.25 04/01/2033 3,762,000.00 3,867,357.00 0.01
65473QBC6 Nisource Inc NI 4.8 02/15/2044 3,815,000.00 3,372,526.00 0.01
651229BE5 Newell Brands Inc NWL 6.63 05/15/2032 3,560,000.00 3,405,357.00 0.01
651229BF2 Newell Brands Inc NWL 6.38 05/15/2030 6,035,000.00 5,868,866.00 0.01
651229BG0 Newell Brands Inc NWL 8.5 06/01/2028 4,400,000.00 4,633,475.00 0.01
65163LAR0 Newmont Corp / Newcrest Finance Pty Ltd NEM 5.35 03/15/2034 2,500,000.00 2,566,028.00 0.01
816196AV1 Select Medical Corp SEM 6.25 12/01/2032 3,145,000.00 3,163,989.00 0.01
816851BG3 Sempra SRE 3.4 02/01/2028 7,758,000.00 7,573,922.00 0.01
816851BH1 Sempra SRE 3.8 02/01/2038 5,485,000.00 4,545,245.00 0.01
816851BJ7 Sempra SRE 4.0 02/01/2048 8,300,000.00 6,127,961.00 0.01
80007RAE5 Sands China Ltd SANLTD 5.4 08/08/2028 3,263,000.00 3,278,172.00 0.01
80290CAL8 Santander Bank Na - Sbcln SBCLN 6.17 12/15/2031 2,922,346.00 2,912,646.00 0.01
803014AB5 Santos Finance Ltd STOAU 6.88 09/19/2033 4,600,000.00 5,016,418.00 0.01
80386WAB1 Sasol Financing Usa Llc SASOL 6.5 09/27/2028 7,510,000.00 7,126,990.00 0.01
83012FAN8 Sixth Street Clo Xvii Ltd SIXST 5.73 04/17/2038 3,250,000.00 3,252,057.00 0.01
77340RAM9 Rockies Express Pipeline Llc ROCKIE 6.88 04/15/2040 4,500,000.00 4,493,638.00 0.01
77340RAT4 Rockies Express Pipeline Llc ROCKIE 4.8 05/15/2030 3,015,000.00 2,922,203.00 0.01
77340RAU1 Rockies Express Pipeline Llc ROCKIE 6.75 03/15/2033 3,970,000.00 4,145,905.00 0.01
76116FAB3 Resolution Funding Corp Principal Strip RFCSP 01/15/2030 6,873,000.00 5,733,314.00 0.01
75050KAA4 Radnor Re 2023-1 Ltd RMIR 7.01 07/25/2033 4,265,895.00 4,287,113.00 0.01
74942AAA1 RCKT Mortgage Trust 2024-ces3 RCKT 6.59 05/01/2044 4,259,433.00 4,314,495.00 0.01
759136QP2 Regional Transportation District Sales T REGTRN 5.84 11/01/2050 3,320,000.00 3,378,562.00 0.01
780153BJ0 Royal Caribbean Cruises Ltd RCL 5.5 08/31/2026 3,000,000.00 3,010,650.00 0.01
780153BW1 Royal Caribbean Cruises Ltd RCL 5.63 09/30/2031 3,130,000.00 3,148,780.00 0.01
796253Z21 CITY Of San Antonio Tx Electric & Gas Sy SANUTL 4.43 02/01/2042 6,480,000.00 6,098,958.00 0.01
79546VAQ9 Sally Holdings Llc / Sally Capital Inc SBH 6.75 03/01/2032 3,170,000.00 3,255,213.00 0.01
74251VAN2 Principal Financial Group Inc PFG 4.3 11/15/2046 7,190,000.00 5,996,514.00 0.01
74390WAC6 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 6,023,000.00 5,538,743.00 0.01
74390WAD4 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 5,879,000.00 5,316,586.00 0.01
737446AV6 POST Holdings Inc POST 6.38 03/01/2033 4,905,000.00 4,951,116.00 0.01
740816AL7 President And Fellows Of Harvard College HARVRD 3.62 10/01/2037 3,710,000.00 3,255,340.00 0.01
740816AM5 President And Fellows Of Harvard College HARVRD 3.15 07/15/2046 9,930,000.00 7,114,711.00 0.01
740816AN3 President And Fellows Of Harvard College HARVRD 3.3 07/15/2056 5,630,000.00 3,847,652.00 0.01
740816AP8 President And Fellows Of Harvard College HARVRD 2.52 10/15/2050 8,950,000.00 5,436,316.00 0.01
74730DAB9 Qatarenergy QPETRO 1.38 09/12/2026 4,400,000.00 4,231,524.00 0.01
709223A27 Pennsylvania Turnpike Commission PASTRN 5.51 12/01/2045 5,370,000.00 5,317,189.00 0.01
70082LAA5 PARK River Holdings Inc PRIMBP 5.63 02/01/2029 5,500,000.00 4,454,008.00 0.01
70137WAN8 Parkland Corp PKICN 6.63 08/15/2032 2,520,000.00 2,576,347.00 0.01
709599BU7 Penske Truck Leasing Co Lp / Ptl Finance PENSKE 5.75 05/24/2026 5,000,000.00 5,043,643.00 0.01
71654QCK6 Petroleos Mexicanos PEMEX 5.35 02/12/2028 5,513,000.00 5,297,166.00 0.01
73358WX90 PORT Authority Of New York & New Jersey PORTRN 4.03 09/01/2048 4,000,000.00 3,272,482.00 0.01
720916AA3 Pikes Peak Clo 18 PIPK 5.51 04/20/2038 4,900,000.00 4,898,363.00 0.01
72147KAH1 Pilgrim's Pride Corp PPC 3.5 03/01/2032 4,000,000.00 3,602,798.00 0.01
72147KAJ7 Pilgrim's Pride Corp PPC 4.25 04/15/2031 4,375,000.00 4,220,110.00 0.01
72147KAL2 Pilgrim's Pride Corp PPC 6.88 05/15/2034 5,000,000.00 5,488,381.00 0.01
723787AQ0 Pioneer Natural Resources Co PXD 1.9 08/15/2030 6,410,000.00 5,683,259.00 0.01
72650RBJ0 Plains All American Pipeline Lp / Paa Fi PAA 4.65 10/15/2025 5,190,000.00 5,186,208.00 0.01
718286AY3 Philippine Government International Bond PHILIP 9.5 02/02/2030 3,500,000.00 4,218,046.00 0.01
61945CAE3 Mosaic Co/the MOS 5.63 11/15/2043 3,376,000.00 3,236,799.00 0.01
61767YAY6 Morgan Stanley Capital I Trust 2018-h3 MSC 3.91 07/01/2051 7,230,036.00 7,089,284.00 0.01
59833CAC6 Midwest Connector Capital Co Llc MWXCAP 4.63 04/01/2029 4,413,000.00 4,379,243.00 0.01
578454AD2 MAYO Clinic MAYOCL 4.13 11/15/2052 8,312,000.00 6,636,283.00 0.01
59284MAB0 Mexico City Airport Trust MEXCAT 5.5 10/31/2046 3,377,000.00 2,788,979.00 0.01
570535AQ7 Markel Group Inc MKL 5.0 04/05/2046 7,530,000.00 6,685,716.00 0.01
571676BC8 MARS Inc MARS 5.7 05/01/2055 6,575,000.00 6,558,495.00 0.01
571676AD7 MARS Inc MARS 3.88 04/01/2039 8,185,000.00 7,048,408.00 0.01
55903VBF9 Warnermedia Holdings Inc WBD 5.39 03/15/2062 11,094,000.00 5,374,140.00 0.01
559222AR5 Magna International Inc MGCN 4.15 10/01/2025 3,900,000.00 3,894,407.00 0.01
527298CB7 Level 3 Financing Inc LVLT 4.88 06/15/2029 4,190,000.00 3,913,556.00 0.01
50249AAD5 LYB International Finance Iii Llc LYB 4.2 05/01/2050 6,465,000.00 4,780,532.00 0.01
50249AAH6 LYB International Finance Iii Llc LYB 3.38 10/01/2040 3,785,000.00 2,797,858.00 0.01
50249AAJ2 LYB International Finance Iii Llc LYB 3.63 04/01/2051 8,825,000.00 5,895,579.00 0.01
513272AE4 LAMB Weston Holdings Inc LW 4.38 01/31/2032 6,325,000.00 5,920,156.00 0.01
50077LAX4 Kraft Heinz Foods Co KHC 4.63 10/01/2039 4,231,000.00 3,798,487.00 0.01
50203CAA1 LCM 34 Ltd LCM 5.7 10/20/2034 5,750,000.00 5,760,793.00 0.01
48666KAZ2 KB Home KBH 4.0 06/15/2031 3,200,000.00 2,964,941.00 0.01
48667QAN5 Kazmunaygas National Co Jsc KZOKZ 4.75 04/19/2027 3,000,000.00 2,990,460.00 0.01
55336VBY5 MPLX Lp MPLX 5.4 04/01/2035 3,120,000.00 3,096,496.00 0.01
55336VAR1 MPLX Lp MPLX 4.0 03/15/2028 6,490,000.00 6,424,365.00 0.01
527298CM3 Level 3 Financing Inc LVLT 6.88 06/30/2033 4,800,000.00 4,883,760.00 0.01
527298CF8 Level 3 Financing Inc LVLT 3.88 10/15/2030 8,548,000.00 7,434,023.00 0.01
527298CH4 Level 3 Financing Inc LVLT 4.0 04/15/2031 4,100,000.00 3,535,832.00 0.01
534187AW9 Lincoln National Corp LNC 6.3 10/09/2037 3,930,000.00 4,108,520.00 0.01
534187BA6 Lincoln National Corp LNC 7.0 06/15/2040 5,490,000.00 6,086,093.00 0.01
544435C32 CITY Of Los Angeles Department Of Airpor LOSAPT 6.58 05/15/2039 4,175,000.00 4,480,538.00 0.01
54473ENS9 LOS Angeles County Public Works Financin LOSFAC 7.62 08/01/2040 4,300,000.00 5,051,937.00 0.01
46647PAL0 Jpmorgan Chase & Co JPM 3.96 11/15/2048 7,285,000.00 5,827,047.00 0.01
465985AA7 JP Morgan Mortgage Trust 2023-he3 JPMMT 5.9 05/20/2054 3,974,810.00 3,994,133.00 0.01
46647PBA3 Jpmorgan Chase & Co JPM 3.96 01/29/2027 7,250,000.00 7,229,717.00 0.01
46591HBW9 Jpmorgan Chase Bank Na - Cacln CACLN 28.35 09/25/2028 2,586,789.00 2,594,420.00 0.01
46657FAA3 JP Morgan Mortgage Trust 2023-he2 JPMMT 6.0 03/20/2054 6,297,692.00 6,323,323.00 0.01
48128YAW1 Jpmcc Commercial Mortgage Securities Tru JPMCC 4.03 03/01/2052 4,797,000.00 4,553,957.00 0.01
478115AF5 Johns Hopkins University JHUNIV 2.81 01/01/2060 8,040,000.00 4,743,538.00 0.01
48125LRU8 Jpmorgan Chase Bank Na JPM 5.11 12/08/2026 2,835,000.00 2,871,245.00 0.01
45818QAC3 Inter-american Development Bank IADB 6.29 07/16/2027 2,756,000.00 2,847,171.00 0.01
460599AD5 International Game Technology Plc IGT 6.25 01/15/2027 5,650,000.00 5,713,280.00 0.01
461070AP9 Interstate Power And Light Co LNT 4.1 09/26/2028 3,260,000.00 3,233,369.00 0.01
462613AP5 Ipalco Enterprises Inc AES 4.25 05/01/2030 6,350,000.00 6,102,878.00 0.01
458140CJ7 Intel Corp INTC 5.7 02/10/2053 5,505,000.00 5,118,308.00 0.01
458140CM0 Intel Corp INTC 5.6 02/21/2054 3,835,000.00 3,513,807.00 0.01
45905AQD3 International Bank For Reconstruction & IBRD 10/31/2030 5,239,000.00 4,117,492.00 0.01
45905UPL2 International Bank For Reconstruction & IBRD 06/30/2034 8,591,000.00 5,751,047.00 0.01
45905UPQ1 International Bank For Reconstruction & IBRD 07/31/2034 4,605,000.00 3,121,724.00 0.01
45434L2H6 Indian Railway Finance Corp Ltd INRCIN 3.57 01/21/2032 7,820,000.00 7,202,298.00 0.01
452252FH7 Illinois State Toll Highway Authority ILSTRN 6.18 01/01/2034 5,000,000.00 5,356,049.00 0.01
404119BS7 HCA Inc HCA 5.88 02/15/2026 6,403,000.00 6,408,751.00 0.01
39809GAA3 Greywolf Clo Vi Ltd GWOLF 5.57 04/26/2031 6,297,859.00 6,300,271.00 0.01
38379TZS1 Government National Mortgage Association GNR 3.0 01/01/2046 7,252,934.00 5,827,007.00 0.01
39571MAC2 Greensky Home Improvement Trust 2024-1 GSKY 5.55 07/25/2059 6,300,000.00 6,447,708.00 0.01
38380GG81 Government National Mortgage Association GNR 3.0 08/01/2047 6,631,926.00 5,210,871.00 0.01
38380WKZ1 Government National Mortgage Association GNR 3.0 09/01/2046 6,943,843.00 6,446,000.00 0.01
38144GAG6 Goldman Sachs Group Inc/the GS 3.65 02/10/2173 5,965,000.00 5,841,338.00 0.01
432833AN1 Hilton Domestic Operating Co Inc HLT 3.63 02/15/2032 4,000,000.00 3,621,413.00 0.01
44267DAE7 Howard Hughes Corp/the HHH 4.13 02/01/2029 3,517,000.00 3,347,393.00 0.01
42704LAG9 HERC Holdings Inc HRI 7.25 06/15/2033 6,000,000.00 6,288,151.00 0.01
431282AP7 Highwoods Realty Lp HIW 3.88 03/01/2027 5,885,000.00 5,779,621.00 0.01
431318AS3 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.25 11/01/2028 4,320,000.00 4,342,175.00 0.01
431318AU8 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 5.75 02/01/2029 6,066,000.00 5,988,429.00 0.01
431318AV6 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 6.0 02/01/2031 3,200,000.00 3,095,398.00 0.01
44891ACY1 Hyundai Capital America HYNMTR 5.35 03/19/2029 7,175,000.00 7,301,844.00 0.01
44891ADG9 Hyundai Capital America HYNMTR 4.55 09/26/2029 4,000,000.00 3,965,856.00 0.01
B8ADVAEX9 NEW Generation Gas Gathering Llc 4.34 09/30/2029 6,824,324.00 6,721,959.00 0.01
B8ADX0WW1 Doncasters Us Finance Llc 10.8 04/23/2030 7,042,350.00 6,954,320.00 0.01
B8AD38TW1 NEW Generation Gas - Unfunded 09/30/2029 3,412,162.00 3,360,979.00 0.01
B8ACXD562 NEW Generation Gas Gathering Llc 4.39 09/30/2029 6,824,324.00 6,721,959.00 0.01
B8ACYS1X3 Dukes Education Group Ltd 9.85 11/25/2028 2,253,798.00 3,093,676.00 0.01
B8ACYS253 Dukes Education Group Ltd 9.92 11/25/2028 2,499,772.00 3,431,312.00 0.01
983133AD1 WYNN Resorts Finance Llc / Wynn Resorts WYNFIN 6.25 03/15/2033 5,530,000.00 5,566,471.00 0.01
98313RAG1 WYNN Macau Ltd WYNMAC 5.5 01/15/2026 7,567,000.00 7,549,501.00 0.01
98927UAA5 Zegona Finance Plc ZEGLN 8.63 07/15/2029 7,075,000.00 7,536,926.00 0.01
BF02KV1 European Investment Bank EIB 2.59 12/29/2026 3,500,000.00 3,405,654.00 0.01
BL4124436 Asurion Llc ASUCOR 8.68 08/19/2028 3,351,071.00 3,313,370.00 0.01
BL4756492 Asurion Llc ASUCOR 8.58 09/19/2030 5,547,950.00 5,402,316.00 0.01
BMGB6F7 Ardagh Packaging Finance Plc / Ardagh Ho ARGID 2.13 08/15/2026 3,100,000.00 3,464,279.00 0.01
BMHTF86 Power Finance Corp Ltd POWFIN 1.84 09/21/2028 3,060,000.00 3,421,777.00 0.01
BL4938314 MAIN Street Sports Group DSPORT 12.0 01/02/2028 5,250,663.00 4,712,470.00 0.01
BLFDXP6 Central Nippon Expressway Co Ltd CENEXP 0.89 09/29/2025 7,500,000.00 7,433,533.00 0.01
BM9BWQ7 VMED O2 Uk Financing I Plc VMED 4.0 01/31/2029 5,100,000.00 6,487,377.00 0.01
BNRQ409 Comision Federal De Electricidad CFELEC 4.69 05/15/2029 5,000,000.00 4,870,000.00 0.01
BNRK9M8 Serbia International Bond SERBIA 1.65 03/03/2033 3,888,000.00 3,754,073.00 0.01
BYVTQD8 Gazprom Pjsc Via Gaz Capital Sa GAZPRU 2.5 03/21/2026 3,000,000.00 2,915,426.00 0.01
BZ0W0D3 LIMA Metro Line 2 Finance Ltd LIMAMT 5.88 07/05/2034 3,966,654.00 4,022,186.00 0.01
I1KBV7T62F Brl/usd Fwd 20250702 Deutgb22 BRL 07/02/2025 756,583,815.00 6,405,939.00 0.01
SWB8A5Z0AY SWP: Ois 1.000000 08-may-2026 05/08/2026 -230,000,000.00 7,440,386.00 0.01
SWB8A5Z43S SWP: Ois 1.100000 08-may-2030 - Payfix 05/08/2030 -35,000,000.00 5,366,675.00 0.01
SWB8A5Z48U SWP: Ois Gbp 1.150000 08-may-2031 - Payf 05/08/2031 -35,625,000.00 6,487,865.00 0.01
92936UAG4 WP Carey Inc WPC 2.4 02/01/2031 5,790,000.00 5,094,256.00 0.01
927804FE9 Virginia Electric And Power Co D 6.35 11/30/2037 6,000,000.00 6,457,640.00 0.01
95081QAR5 Wesco Distribution Inc WCC 6.63 03/15/2032 6,770,000.00 7,036,194.00 0.01
958254AK0 Western Midstream Operating Lp WES 4.75 08/15/2028 3,250,000.00 3,251,401.00 0.01
95081QAP9 Wesco Distribution Inc WCC 7.25 06/15/2028 3,595,000.00 3,637,605.00 0.01
95002BAD5 Wells Fargo Commercial Mortgage Trust 20 WFCM 2.79 10/01/2052 6,100,000.00 5,702,273.00 0.01
969457CA6 Williams Cos Inc/the WMB 5.3 08/15/2052 7,580,000.00 6,924,094.00 0.01
960386AL4 Westinghouse Air Brake Technologies Corp WAB 3.45 11/15/2026 5,000,000.00 4,937,796.00 0.01
96949LAE5 Williams Cos Inc/the WMB 4.85 03/01/2048 3,274,000.00 2,835,805.00 0.01
96950FAP9 Williams Cos Inc/the WMB 4.9 01/15/2045 5,902,000.00 5,182,356.00 0.01
97381AAA0 Windstream Services Llc / Windstream Esc WIN 8.25 10/01/2031 4,690,000.00 4,912,022.00 0.01
912834MM7 United States Treasury Strip Coupon S 05/15/2043 13,155,000.00 5,381,182.00 0.01
912834UH9 United States Treasury Strip Coupon S 02/15/2049 19,925,000.00 6,108,214.00 0.01
912834LX4 United States Treasury Strip Coupon S 11/15/2042 17,285,000.00 7,280,596.00 0.01
91412GC86 University Of California UNVHGR 4.77 05/15/2115 4,900,000.00 4,005,941.00 0.01
91324PED0 Unitedhealth Group Inc UNH 2.3 05/15/2031 8,240,000.00 7,273,955.00 0.01
91324PDV1 Unitedhealth Group Inc UNH 3.88 08/15/2059 10,656,000.00 7,513,148.00 0.01
915217WX7 University Of Virginia UNIHGR 4.18 09/01/2117 8,135,000.00 6,074,460.00 0.01
914886AC0 University Of Southern California USCTRJ 3.84 10/01/2047 9,375,000.00 7,392,651.00 0.01
914886AD8 University Of Southern California USCTRJ 3.23 10/01/2120 5,210,000.00 2,984,425.00 0.01
91412NBD1 University Of Chicago/the UNICHI 2.76 04/01/2045 6,560,000.00 5,080,348.00 0.01
92212WAE0 VAR Energi Asa VARNO 8.0 11/15/2032 4,662,000.00 5,271,425.00 0.01
92328MAE3 Venture Global Calcasieu Pass Llc VENTGL 6.25 01/15/2030 5,250,000.00 5,414,553.00 0.01
922966AA4 Venture Global Plaquemines Lng Llc VEGLPL 7.5 05/01/2033 6,804,000.00 7,289,026.00 0.01
92539UAA8 Verus Securitization Trust 2024-2 VERUS 6.1 02/01/2069 6,712,847.00 6,759,017.00 0.01
906548CM2 Union Electric Co AEE 2.95 06/15/2027 6,045,000.00 5,925,815.00 0.01
911365BL7 United Rentals North America Inc URI 5.25 01/15/2030 6,492,000.00 6,510,375.00 0.01
911365BP8 United Rentals North America Inc URI 3.75 01/15/2032 5,275,000.00 4,845,772.00 0.01
90932JAA0 United Airlines 2019-2 Class Aa Pass Thr UAL 2.7 05/01/2032 7,523,483.00 6,736,814.00 0.01
90932LAA5 United Airlines 2015-1 Class Aa Pass Thr UAL 3.45 12/01/2027 6,280,835.00 6,091,059.00 0.01
91282CNJ6 United States Treasury Note/bond T 4.0 06/30/2032 5,170,000.00 5,174,039.00 0.01
91282CNK3 United States Treasury Note/bond T 3.88 06/30/2030 3,390,000.00 3,403,242.00 0.01
912834JB5 United States Treasury Strip Coupon S 08/15/2040 10,470,000.00 5,018,277.00 0.01
88732JAJ7 TIME Warner Cable Llc CHTR 6.55 05/01/2037 3,690,000.00 3,811,944.00 0.01
90276EAD9 UBS Commercial Mortgage Trust 2017-c1 UBSCM 3.2 06/01/2050 6,835,073.00 6,651,119.00 0.01
90276YAG8 UBS Commercial Mortgage Trust 2019-c16 UBSCM 1.02 04/01/2052 96,253,000.00 2,815,554.00 0.01
902613BB3 UBS Group Ag UBS 4.55 04/17/2026 4,065,000.00 4,065,415.00 0.01
89837LAG0 Trustees Of Princeton University/the PRNCTN 2.52 07/01/2050 6,310,000.00 3,884,033.00 0.01
88059FBG5 Tennessee Valley Authority Principal Str TVASP 05/01/2030 6,423,000.00 5,232,806.00 0.01
880591EU2 Tennessee Valley Authority TVA 2.88 02/01/2027 4,560,000.00 4,490,958.00 0.01
87724RAB8 Taylor Morrison Communities Inc TMHC 5.75 01/15/2028 6,683,000.00 6,773,489.00 0.01
88033GDH0 Tenet Healthcare Corp THC 4.63 06/15/2028 5,625,000.00 5,552,059.00 0.01
87264ABN4 T-mobile Usa Inc TMUS 3.3 02/15/2051 9,414,000.00 6,237,737.00 0.01
87612KAA0 Targa Resources Corp TRGP 5.2 07/01/2027 5,510,000.00 5,583,238.00 0.01
87612GAA9 Targa Resources Corp TRGP 4.2 02/01/2033 6,795,000.00 6,367,082.00 0.01
86765BAP4 Energy Transfer Lp ET 5.3 04/01/2044 4,150,000.00 3,711,133.00 0.01
863579FU7 Structured Adjustable Rate Mortgage Loan SARM 5.1 12/01/2034 3,133,734.00 2,929,195.00 0.01
842434CR1 Southern California Gas Co SRE 4.13 06/01/2048 5,260,000.00 4,087,139.00 0.01
842434CS9 Southern California Gas Co SRE 4.3 01/15/2049 7,470,000.00 6,002,682.00 0.01
85440KAA2 Leland Stanford Junior University/the STNFRD 3.65 05/01/2048 5,345,000.00 4,108,564.00 0.01
84762LAX3 Spectrum Brands Inc SPB 3.88 03/15/2031 4,657,000.00 3,753,249.00 0.01
85207UAK1 Sprint Llc S 7.63 03/01/2026 6,532,000.00 6,588,510.00 0.01
85236FAA1 Smyrna Ready Mix Concrete Llc SMYREA 6.0 11/01/2028 2,709,000.00 2,702,780.00 0.01
853496AD9 Standard Industries Inc/ny BMCAUS 4.75 01/15/2028 1,325,000.00 1,311,069.00 0.00
853496AG2 Standard Industries Inc/ny BMCAUS 4.38 07/15/2030 50,000.00 47,323.00 0.00
85205TAG5 Spirit Aerosystems Inc SPR 3.85 06/15/2026 1,660,000.00 1,625,211.00 0.00
843646AH3 Southern Power Co SO 5.15 09/15/2041 725,000.00 684,329.00 0.00
845467AR0 Expand Energy Corp EXE 5.38 02/01/2029 1,000,000.00 1,001,316.00 0.00
845467AT6 Expand Energy Corp EXE 4.75 02/01/2032 2,000,000.00 1,942,084.00 0.00
84751PAN9 Specialty Underwriting & Residential Fin SURF 4.33 06/25/2034 314,756.00 310,095.00 0.00
86358ECW4 Structured Asset Investment Loan Trust 2 SAIL 4.33 07/25/2033 401,523.00 395,285.00 0.00
86358EKV7 Structured Asset Investment Loan Trust 2 SAIL 4.33 09/25/2034 606,851.00 622,687.00 0.00
86358EKX3 Structured Asset Investment Loan Trust 2 SAIL 4.33 09/25/2034 420,674.00 438,056.00 0.00
86358HNX3 Structured Asset Mortgage Investments Tr SAMI 4.33 09/19/2032 1,826.00 1,765.00 0.00
86359BGH8 Structured Adjustable Rate Mortgage Loan SARM 6.52 02/01/2034 25,869.00 25,190.00 0.00
86765BAQ2 Energy Transfer Lp ET 5.35 05/15/2045 2,240,000.00 2,020,618.00 0.00
87470LAG6 Tallgrass Energy Partners Lp / Tallgrass TEP 6.0 03/01/2027 1,173,000.00 1,175,477.00 0.00
87470LAJ0 Tallgrass Energy Partners Lp / Tallgrass TEP 6.0 12/31/2030 1,975,000.00 1,939,273.00 0.00
87612BBG6 Targa Resources Partners Lp / Targa Reso TRGP 5.0 01/15/2028 50,000.00 50,035.00 0.00
87264AAZ8 T-mobile Usa Inc TMUS 4.5 04/15/2050 1,975,000.00 1,631,688.00 0.00
880591CK6 Tennessee Valley Authority TVA 5.98 04/01/2036 790,000.00 870,042.00 0.00
878091BC0 Teachers Insurance & Annuity Association TIAAGL 6.85 12/16/2039 325,000.00 366,467.00 0.00
88033GDB3 Tenet Healthcare Corp THC 5.13 11/01/2027 1,105,000.00 1,102,804.00 0.00
88059E4Z4 Tennessee Valley Authority Generic Strip TVAS 09/15/2027 1,878,000.00 1,712,311.00 0.00
88059E5Z3 Tennessee Valley Authority Generic Strip TVAS 09/15/2039 555,000.00 255,365.00 0.00
88059FBM2 Tennessee Valley Authority Principal Str TVASP 06/15/2035 1,300,000.00 800,631.00 0.00
882484AA6 Texas Health Resources TXHLTH 4.33 11/15/2055 2,677,000.00 2,186,690.00 0.00
882484AB4 Texas Health Resources TXHLTH 3.37 11/15/2051 2,250,000.00 1,554,136.00 0.00
90270YAE9 Ubs-barclays Commercial Mortgage Trust 2 UBSBB 0.2 03/01/2046 41,314,082.00 78.00 0.00
89788MAL6 Truist Financial Corp TFC 4.87 01/26/2029 555,000.00 561,293.00 0.00
893830BL2 Transocean Inc RIG 8.0 02/01/2027 1,864,000.00 1,836,226.00 0.00
893830BY4 Transocean Inc RIG 8.25 05/15/2029 2,365,000.00 2,179,844.00 0.00
91282CNC1 United States Treasury Note/bond T 4.25 05/15/2035 17,000.00 17,029.00 0.00
912810SF6 United States Treasury Note/bond T 3.0 02/15/2049 1,000,000.00 737,031.00 0.00
90351DAF4 UBS Group Ag UBS 4.13 04/15/2026 2,440,000.00 2,432,811.00 0.00
91159HJN1 US Bancorp USB 5.84 06/12/2034 2,155,000.00 2,263,143.00 0.00
911363AM1 United Rentals North America Inc URI 3.88 02/15/2031 1,200,000.00 1,128,101.00 0.00
92564RAE5 VICI Properties Lp / Vici Note Co Inc VICI 4.13 08/15/2030 25,000.00 23,969.00 0.00
92262BAF2 Vendee Mortgage Trust 2011-2 VENDE 3.75 10/01/2041 1,963,293.00 1,845,820.00 0.00
92328MAB9 Venture Global Calcasieu Pass Llc VENTGL 4.13 08/15/2031 2,380,000.00 2,204,527.00 0.00
91481CAC4 Trustees Of The University Of Pennsylvan UPENN 3.61 02/15/2119 1,065,000.00 676,609.00 0.00
91324PEW8 Unitedhealth Group Inc UNH 5.05 04/15/2053 2,800,000.00 2,498,377.00 0.00
91324PAR3 Unitedhealth Group Inc UNH 5.8 03/15/2036 669,000.00 702,505.00 0.00
91324PBN1 Unitedhealth Group Inc UNH 5.7 10/15/2040 185,000.00 188,940.00 0.00
91324PBU5 Unitedhealth Group Inc UNH 4.63 11/15/2041 1,336,000.00 1,196,692.00 0.00
91324PBW1 Unitedhealth Group Inc UNH 4.38 03/15/2042 615,000.00 528,587.00 0.00
91412GXE0 University Of California UNVHGR 3.93 05/15/2045 2,050,000.00 1,855,311.00 0.00
91412GXY6 University Of California UNVHGR 4.13 05/15/2045 2,250,000.00 2,031,997.00 0.00
912834MD7 United States Treasury Strip Coupon S 02/15/2043 2,100,000.00 872,405.00 0.00
912834UB2 United States Treasury Strip Coupon S 11/15/2048 6,925,000.00 2,148,861.00 0.00
98163HAF6 World Omni Select Auto Trust 2021-a WOSAT 1.44 11/15/2027 2,150,000.00 2,127,900.00 0.00
97068LAA6 Willis-knighton Medical Center KNIGHT 4.81 09/01/2048 1,560,000.00 1,349,706.00 0.00
983133AC3 WYNN Resorts Finance Llc / Wynn Resorts WYNFIN 7.13 02/15/2031 1,200,000.00 1,278,609.00 0.00
96950FAF1 Williams Cos Inc/the WMB 6.3 04/15/2040 1,930,000.00 2,051,268.00 0.00
96949LAC9 Williams Cos Inc/the WMB 5.1 09/15/2045 1,130,000.00 1,024,700.00 0.00
95040QAK0 Welltower Op Llc WELL 2.7 02/15/2027 1,605,000.00 1,569,050.00 0.00
95040QAL8 Welltower Op Llc WELL 2.75 01/15/2031 2,250,000.00 2,056,406.00 0.00
958667AC1 Western Midstream Operating Lp WES 4.05 02/01/2030 50,000.00 48,110.00 0.00
92840JAB5 Vistajet Malta Finance Plc / Vista Manag VSTJET 6.38 02/01/2030 1,925,000.00 1,804,687.00 0.00
92840VAG7 Vistra Operations Co Llc VST 3.7 01/30/2027 1,800,000.00 1,776,518.00 0.00
92840VAA0 Vistra Operations Co Llc VST 5.5 09/01/2026 400,000.00 400,192.00 0.00
92922FM21 WAMU Mortgage Pass-through Certificates WAMU 5.37 05/01/2035 289,647.00 286,950.00 0.00
92922FTJ7 WAMU Mortgage Pass-through Certificates WAMU 4.33 06/25/2044 480,922.00 476,945.00 0.00
92922FWZ7 WAMU Mortgage Pass-through Certificates WAMU 4.33 07/25/2044 693,544.00 669,673.00 0.00
928668CM2 Volkswagen Group Of America Finance Llc VW 4.95 08/15/2029 1,490,000.00 1,491,126.00 0.00
92840VAR3 Vistra Operations Co Llc VST 6.88 04/15/2032 2,095,000.00 2,190,431.00 0.00
939336PM9 Washington Mutual Msc Mortgage Pass-thro WAMMS 4.71 02/01/2033 124 121.00 0.00
94973VBB2 Elevance Health Inc ELV 4.65 01/15/2043 1,650,000.00 1,445,257.00 0.00
95000DBH3 Wells Fargo Commercial Mortgage Trust 20 WFCM 1.13 06/01/2049 36,018,000.00 215,873.00 0.00
95000FAX4 Wells Fargo Commercial Mortgage Trust 20 WFCM 1.07 07/01/2048 55,952,000.00 381,357.00 0.00
95001LAU6 Wells Fargo Commercial Mortgage Trust 20 WFCM 4.01 03/01/2051 1,000,000.00 984,209.00 0.00
SWB8A8VG71 Serbia (republic Of) Cds 20251220 1.0 12/20/2025 5,700,000.00 18,939.00 0.00
SWB8A92USZ Catalonia Autonomous Community Of Cds 20 1.0 12/20/2025 29,800,000.00 109,836.00 0.00
SWB8A95AQK ABU Dhabi (emirate Of) Cds 20251220 1.0 12/20/2025 1,940,000.00 8,582.00 0.00
SWB8A95AQP Argentina Republic Of Government Cds 202 1.0 12/20/2025 4,850,000.00 -118,524.00 0.00
SWB8A95AQS Brazil Federative Republic Of (governmen 1.0 12/20/2025 11,640,000.00 36,428.00 0.00
SWB8A95AQX Saudi Arabia (kingdom Of) Cds 20251220 1.0 12/20/2025 1,940,000.00 7,670.00 0.00
SWB8A95AR0 Malaysia (government) Cds 20251220 1.0 12/20/2025 2,910,000.00 12,536.00 0.00
SWB8A95AR3 China Peoples Republic Of (government) C 1.0 12/20/2025 11,640,000.00 44,991.00 0.00
SWB8A95AR6 Chile (republic Of) Cds 20251220 1.0 12/20/2025 1,940,000.00 8,371.00 0.00
SWB8A95AR9 Colombia (republic Of) Cds 20251220 1.0 12/20/2025 4,850,000.00 8,765.00 0.00
SWB8A95ARE Indonesia (republic Of) Cds 20251220 1.0 12/20/2025 7,760,000.00 29,895.00 0.00
SWB8A95ARH Panama Republic Of (government) Cds 2025 1.0 12/20/2025 1,940,000.00 3,712.00 0.00
SWB8A95ARL PERU (republic Of) Cds 20251220 1.0 12/20/2025 1,940,000.00 7,317.00 0.00
SWB8A95ARS South Africa (republic Of) Cds 20251220 1.0 12/20/2025 8,730,000.00 29,212.00 0.00
SWB8A95ARW Philippines (republic Of) Cds 20251220 1.0 12/20/2025 1,940,000.00 8,078.00 0.00
SWB8A95ARZ Turkey (republic Of) Cds 20251220 1.0 12/20/2025 11,640,000.00 3,994.00 0.00
SWB8A95ASS Qatar (state Of) Cds 20251220 1.0 12/20/2025 1,940,000.00 8,970.00 0.00
SWB8A95AT9 Mexico (united Mexican States) (governme 1.0 12/20/2025 11,640,000.00 42,542.00 0.00
SWB8A95ATC Cdx.em.34.v1 1.0 12/20/2025 -89,240,000.00 -299,226.00 0.00
SWB8A975C2 ABU Dhabi (emirate Of) Cds 20251220 1.0 12/20/2025 2,000,000.00 8,847.00 0.00
SWB8A975C6 Argentina Republic Of Government Cds 202 1.0 12/20/2025 5,000,000.00 -122,190.00 0.00
SWB8A975C9 Brazil Federative Republic Of (governmen 1.0 12/20/2025 12,000,000.00 37,555.00 0.00
SWB8A975CD Chile (republic Of) Cds 20251220 1.0 12/20/2025 2,000,000.00 8,630.00 0.00
SWB8A975CL China Peoples Republic Of (government) C 1.0 12/20/2025 12,000,000.00 46,383.00 0.00
SWB8A975CQ Colombia (republic Of) Cds 20251220 1.0 12/20/2025 5,000,000.00 9,036.00 0.00
SWB8A975CT Indonesia (republic Of) Cds 20251220 1.0 12/20/2025 8,000,000.00 30,819.00 0.00
SWB8A975CW Saudi Arabia (kingdom Of) Cds 20251220 1.0 12/20/2025 2,000,000.00 7,908.00 0.00
SWB8A975CZ Malaysia (government) Cds 20251220 1.0 12/20/2025 3,000,000.00 12,923.00 0.00
SWB8A975D3 Mexico (united Mexican States) (governme 1.0 12/20/2025 12,000,000.00 43,857.00 0.00
SWB8A975D6 Panama Republic Of (government) Cds 2025 1.0 12/20/2025 2,000,000.00 3,827.00 0.00
SWB8A975D9 PERU (republic Of) Cds 20251220 1.0 12/20/2025 2,000,000.00 7,543.00 0.00
SWB8A975DC Philippines (republic Of) Cds 20251220 1.0 12/20/2025 2,000,000.00 8,328.00 0.00
SWB8A975DF Qatar (state Of) Cds 20251220 1.0 12/20/2025 2,000,000.00 9,247.00 0.00
SWB8A975DL South Africa (republic Of) Cds 20251220 1.0 12/20/2025 9,000,000.00 30,115.00 0.00
SWB8A975E8 Cdx.em.34.v1 1.0 12/20/2025 -92,000,000.00 -308,481.00 0.00
SWB8A975HL ABU Dhabi (emirate Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 17,695.00 0.00
SWB8A975HP Argentina Republic Of Government Cds 202 1.0 12/20/2025 10,000,000.00 -244,381.00 0.00
SWB8A975HS Brazil Federative Republic Of (governmen 1.0 12/20/2025 24,000,000.00 75,111.00 0.00
SWB8A975HV Saudi Arabia (kingdom Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 15,816.00 0.00
SWB8A975J2 Malaysia (government) Cds 20251220 1.0 12/20/2025 6,000,000.00 25,847.00 0.00
SWB8A975J5 China Peoples Republic Of (government) C 1.0 12/20/2025 24,000,000.00 92,766.00 0.00
SWB8A975J8 Chile (republic Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 17,260.00 0.00
SWB8A975M3 Colombia (republic Of) Cds 20251220 1.0 12/20/2025 10,000,000.00 18,073.00 0.00
SWB8A975M6 Indonesia (republic Of) Cds 20251220 1.0 12/20/2025 16,000,000.00 61,639.00 0.00
SWB8A975M9 Panama Republic Of (government) Cds 2025 1.0 12/20/2025 4,000,000.00 7,655.00 0.00
SWB8A975MD PERU (republic Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 15,086.00 0.00
SWB8A975MG South Africa (republic Of) Cds 20251220 1.0 12/20/2025 18,000,000.00 60,231.00 0.00
SWB8A975MK Philippines (republic Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 16,656.00 0.00
SWB8A975MN Turkey (republic Of) Cds 20251220 1.0 12/20/2025 24,000,000.00 8,236.00 0.00
SWB8A975N9 Qatar (state Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 18,495.00 0.00
SWB8A975P2 Mexico (united Mexican States) (governme 1.0 12/20/2025 24,000,000.00 87,715.00 0.00
SWB8A975P5 Cdx.em.34.v1 1.0 12/20/2025 -184,000,000.00 -616,962.00 0.00
SWB8A975Z8 Turkey (republic Of) Cds 20251220 1.0 12/20/2025 12,000,000.00 4,118.00 0.00
SWB8A977VV ABU Dhabi (emirate Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 17,695.00 0.00
SWB8A977VY Argentina Republic Of Government Cds 202 1.0 12/20/2025 10,000,000.00 -244,381.00 0.00
SWB8A977W3 Brazil Federative Republic Of (governmen 1.0 12/20/2025 24,000,000.00 75,111.00 0.00
SWB8A977W6 Saudi Arabia (kingdom Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 15,816.00 0.00
SWB8A977W9 Malaysia (government) Cds 20251220 1.0 12/20/2025 6,000,000.00 25,847.00 0.00
SWB8A977WD China Peoples Republic Of (government) C 1.0 12/20/2025 24,000,000.00 92,766.00 0.00
SWB8A977WG Chile (republic Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 17,260.00 0.00
SWB8A977WM Colombia (republic Of) Cds 20251220 1.0 12/20/2025 10,000,000.00 18,073.00 0.00
SWB8A977WQ Indonesia (republic Of) Cds 20251220 1.0 12/20/2025 16,000,000.00 61,639.00 0.00
SWB8A977WU Panama Republic Of (government) Cds 2025 1.0 12/20/2025 4,000,000.00 7,655.00 0.00
SWB8A977WX PERU (republic Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 15,086.00 0.00
SWB8A977X3 South Africa (republic Of) Cds 20251220 1.0 12/20/2025 18,000,000.00 60,231.00 0.00
SWB8A977X6 Philippines (republic Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 16,656.00 0.00
SWB8A977X9 Turkey (republic Of) Cds 20251220 1.0 12/20/2025 24,000,000.00 8,236.00 0.00
SWB8A977XF Qatar (state Of) Cds 20251220 1.0 12/20/2025 4,000,000.00 18,495.00 0.00
SWB8A977XU Mexico (united Mexican States) (governme 1.0 12/20/2025 24,000,000.00 87,715.00 0.00
SWB8A977XY Cdx.em.34.v1 1.0 12/20/2025 -184,000,000.00 -616,962.00 0.00
SWB8A9BSFK Simon Property Group Lp Cds 20260620 1.0 06/20/2026 68,920,000.00 566,245.00 0.00
SWB8A9BXVF Verizon Communications Inc Cds 20260620 1.0 06/20/2026 40,810,000.00 295,709.00 0.00
SWB8A9BXVL General Motors Co Cds 20260620 5.0 06/20/2026 14,920,000.00 686,339.00 0.00
SWB8A9FGHQ Japan (government Of) Cds 20280620 1.0 06/20/2028 35,000,000.00 895,171.00 0.00
SWB8A9T2SV Halliburton Company Cds 20261220 1.0 12/20/2026 27,820,000.00 288,350.00 0.00
SWB8AA15X2 Scds: (tigo) 1.0 12/20/2025 5,060,000.00 -2,577.00 0.00
SWB8AA5S6X ABU Dhabi (emirate Of) Cds 20260620 1.0 06/20/2026 -800,000.00 -6,877.00 0.00
SWB8AA5S70 Argentina Republic Of Government Cds 202 1.0 06/20/2026 -800,000.00 41,460.00 0.00
SWB8AA5S78 Brazil Federative Republic Of (governmen 1.0 06/20/2026 -4,800,000.00 -24,109.00 0.00
SWB8AA5S7B Chile (republic Of) Cds 20260620 1.0 06/20/2026 -800,000.00 -6,480.00 0.00
SWB8AA5S7F China Peoples Republic Of (government) C 1.0 06/20/2026 -4,800,000.00 -34,980.00 0.00
SWB8AA5S7L Colombia (republic Of) Cds 20260620 1.0 06/20/2026 -2,000,000.00 -4,086.00 0.00
SWB8AA5S7P Indonesia (republic Of) Cds 20260620 1.0 06/20/2026 -3,600,000.00 -26,235.00 0.00
SWB8AA5S7S Saudi Arabia (kingdom Of) Cds 20260620 1.0 06/20/2026 -800,000.00 -5,668.00 0.00
SWB8AA5S7X Malaysia (government) Cds 20260620 1.0 06/20/2026 -1,600,000.00 -13,396.00 0.00
SWB8AA5S80 Mexico (united Mexican States) (governme 1.0 06/20/2026 -4,800,000.00 -29,054.00 0.00
SWB8AA5S8C Panama Republic Of (government) Cds 2026 1.0 06/20/2026 -800,000.00 -1,788.00 0.00
SWB8AA5S8F PERU (republic Of) Cds 20260620 1.0 06/20/2026 -800,000.00 -5,456.00 0.00
SWB8AA5S8N Philippines (republic Of) Cds 20260620 1.0 06/20/2026 -800,000.00 -6,322.00 0.00
SWB8AA5S8R Qatar (state Of) Cds 20260620 1.0 06/20/2026 -800,000.00 -7,024.00 0.00
SWB8AA5S8U South Africa (republic Of) Cds 20260620 1.0 06/20/2026 -4,000,000.00 -19,711.00 0.00
SWB8AA5S90 Turkey (republic Of) Cds 20260620 1.0 06/20/2026 -4,800,000.00 16,964.00 0.00
SWB8AA5S96 Cdx.em.35.v1 1.0 06/20/2026 36,800,000.00 194,668.00 0.00
SWB8AA6PDK ABU Dhabi (emirate Of) Cds 20260620 1.0 06/20/2026 -100,000.00 -859.00 0.00
SWB8AA6PDP Argentina Republic Of Government Cds 202 1.0 06/20/2026 -100,000.00 5,182.00 0.00
SWB8AA6PDS Brazil Federative Republic Of (governmen 1.0 06/20/2026 -600,000.00 -3,013.00 0.00
SWB8AA6PDW Chile (republic Of) Cds 20260620 1.0 06/20/2026 -100,000.00 -810.00 0.00
SWB8AA6PDZ China Peoples Republic Of (government) C 1.0 06/20/2026 -600,000.00 -4,372.00 0.00
SWB8AA6PE2 Colombia (republic Of) Cds 20260620 1.0 06/20/2026 -250,000.00 -510.00 0.00
SWB8AA6PE5 Indonesia (republic Of) Cds 20260620 1.0 06/20/2026 -450,000.00 -3,279.00 0.00
SWB8AA6PE8 Saudi Arabia (kingdom Of) Cds 20260620 1.0 06/20/2026 -100,000.00 -708.00 0.00
SWB8AA6PEB Malaysia (government) Cds 20260620 1.0 06/20/2026 -200,000.00 -1,674.00 0.00
SWB8AA6PEE Mexico (united Mexican States) (governme 1.0 06/20/2026 -600,000.00 -3,631.00 0.00
SWB8AA6PEH Panama Republic Of (government) Cds 2026 1.0 06/20/2026 -100,000.00 -223.00 0.00
SWB8AA6PEL PERU (republic Of) Cds 20260620 1.0 06/20/2026 -100,000.00 -682.00 0.00
SWB8AA6PEP Philippines (republic Of) Cds 20260620 1.0 06/20/2026 -100,000.00 -790.00 0.00
SWB8AA6PES Qatar (state Of) Cds 20260620 1.0 06/20/2026 -100,000.00 -878.00 0.00
SWB8AA6PEV South Africa (republic Of) Cds 20260620 1.0 06/20/2026 -500,000.00 -2,463.00 0.00
SWB8AA6PF1 Turkey (republic Of) Cds 20260620 1.0 06/20/2026 -600,000.00 2,120.00 0.00
SWB8AA6PF8 Cdx.em.35.v1 1.0 06/20/2026 4,600,000.00 24,333.00 0.00
SWB8AA902G ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 500,000.00 6,190.00 0.00
SWB8AA902N Argentina Republic Of Government Cds 202 1.0 12/20/2026 500,000.00 -40,781.00 0.00
SWB8AA902R Brazil Federative Republic Of (governmen 1.0 12/20/2026 3,000,000.00 17,722.00 0.00
SWB8AA902U Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 500,000.00 4,777.00 0.00
SWB8AA902X Malaysia (government) Cds 20261220 1.0 12/20/2026 1,000,000.00 11,823.00 0.00
SWB8AA9033 China Peoples Republic Of (government) C 1.0 12/20/2026 3,000,000.00 31,120.00 0.00
SWB8AA9036 Chile (republic Of) Cds 20261220 1.0 12/20/2026 500,000.00 5,744.00 0.00
SWB8AA9039 Colombia (republic Of) Cds 20261220 1.0 12/20/2026 1,250,000.00 -507.00 0.00
SWB8AA903C Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 2,250,000.00 21,670.00 0.00
SWB8AA903F Panama Republic Of (government) Cds 2026 1.0 12/20/2026 500,000.00 480.00 0.00
SWB8AA903L PERU (republic Of) Cds 20261220 1.0 12/20/2026 500,000.00 4,720.00 0.00
SWB8AA903P South Africa (republic Of) Cds 20261220 1.0 12/20/2026 2,750,000.00 10,713.00 0.00
SWB8AA903S Philippines (republic Of) Cds 20261220 1.0 12/20/2026 500,000.00 5,425.00 0.00
SWB8AA903V Turkey (republic Of) Cds 20261220 1.0 12/20/2026 3,000,000.00 -29,452.00 0.00
SWB8AA9041 Qatar (state Of) Cds 20261220 1.0 12/20/2026 500,000.00 6,257.00 0.00
SWB8AA9048 Mexico (united Mexican States) (governme 1.0 12/20/2026 2,750,000.00 20,930.00 0.00
SWB8AA904B Cdx.em.36.v1 1.0 12/20/2026 -23,000,000.00 -130,872.00 0.00
SWB8AA9Z3K ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 49,526.00 0.00
SWB8AA9Z3N Argentina Republic Of Government Cds 202 1.0 12/20/2026 4,000,000.00 -326,251.00 0.00
SWB8AA9Z3R Brazil Federative Republic Of (governmen 1.0 12/20/2026 24,000,000.00 141,782.00 0.00
SWB8AA9Z3U Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 38,223.00 0.00
SWB8AA9Z3Y Malaysia (government) Cds 20261220 1.0 12/20/2026 8,000,000.00 94,588.00 0.00
SWB8AA9Z55 China Peoples Republic Of (government) C 1.0 12/20/2026 24,000,000.00 248,961.00 0.00
SWB8AA9Z59 Chile (republic Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 45,955.00 0.00
SWB8AA9Z5G Colombia (republic Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 -4,057.00 0.00
SWB8AA9Z5K Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 18,000,000.00 173,363.00 0.00
SWB8AA9Z5P Panama Republic Of (government) Cds 2026 1.0 12/20/2026 4,000,000.00 3,843.00 0.00
SWB8AA9Z6X PERU (republic Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 37,762.00 0.00
SWB8AA9Z78 South Africa (republic Of) Cds 20261220 1.0 12/20/2026 22,000,000.00 85,711.00 0.00
SWB8AA9Z7F Philippines (republic Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 43,404.00 0.00
SWB8AA9Z7J ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 24,763.00 0.00
SWB8AA9Z7M Turkey (republic Of) Cds 20261220 1.0 12/20/2026 24,000,000.00 -235,617.00 0.00
SWB8AA9Z7W Argentina Republic Of Government Cds 202 1.0 12/20/2026 2,000,000.00 -163,125.00 0.00
SWB8AA9Z80 Qatar (state Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 50,058.00 0.00
SWB8AA9Z83 Brazil Federative Republic Of (governmen 1.0 12/20/2026 12,000,000.00 70,891.00 0.00
SWB8AA9Z8C Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 19,111.00 0.00
SWB8AA9Z8F Mexico (united Mexican States) (governme 1.0 12/20/2026 22,000,000.00 167,441.00 0.00
SWB8AA9Z8J Cdx.em.36.v1 1.0 12/20/2026 -184,000,000.00 -1,046,976.00 0.00
SWB8AA9Z8M Malaysia (government) Cds 20261220 1.0 12/20/2026 4,000,000.00 47,294.00 0.00
SWB8AA9Z8Q China Peoples Republic Of (government) C 1.0 12/20/2026 12,000,000.00 124,480.00 0.00
SWB8AA9Z8T Chile (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 22,977.00 0.00
SWB8AA9Z8X Colombia (republic Of) Cds 20261220 1.0 12/20/2026 5,000,000.00 -2,028.00 0.00
SWB8AA9Z90 Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 9,000,000.00 86,681.00 0.00
SWB8AA9Z93 Panama Republic Of (government) Cds 2026 1.0 12/20/2026 2,000,000.00 1,921.00 0.00
SWB8AA9Z96 PERU (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 18,881.00 0.00
SWB8AA9Z99 South Africa (republic Of) Cds 20261220 1.0 12/20/2026 11,000,000.00 42,855.00 0.00
SWB8AA9Z9H Philippines (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 21,702.00 0.00
SWB8AA9Z9M Turkey (republic Of) Cds 20261220 1.0 12/20/2026 12,000,000.00 -117,808.00 0.00
SWB8AA9Z9T Qatar (state Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 25,029.00 0.00
SWB8AA9Z9Z Mexico (united Mexican States) (governme 1.0 12/20/2026 11,000,000.00 83,720.00 0.00
SWB8AA9ZA2 Cdx.em.36.v1 1.0 12/20/2026 -92,000,000.00 -523,488.00 0.00
SWB8AA9ZM8 ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 123,817.00 0.00
SWB8AA9ZP7 Argentina Republic Of Government Cds 202 1.0 12/20/2026 10,000,000.00 -815,628.00 0.00
SWB8AA9ZPA Brazil Federative Republic Of (governmen 1.0 12/20/2026 60,000,000.00 354,456.00 0.00
SWB8AA9ZPF Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 95,557.00 0.00
SWB8AA9ZPJ Malaysia (government) Cds 20261220 1.0 12/20/2026 20,000,000.00 236,471.00 0.00
SWB8AA9ZPM China Peoples Republic Of (government) C 1.0 12/20/2026 60,000,000.00 622,404.00 0.00
SWB8AA9ZPQ Chile (republic Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 114,888.00 0.00
SWB8AA9ZPT Colombia (republic Of) Cds 20261220 1.0 12/20/2026 25,000,000.00 -10,143.00 0.00
SWB8AA9ZPW Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 45,000,000.00 433,409.00 0.00
SWB8AA9ZPZ Panama Republic Of (government) Cds 2026 1.0 12/20/2026 10,000,000.00 9,609.00 0.00
SWB8AA9ZQ2 PERU (republic Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 94,407.00 0.00
SWB8AA9ZQK South Africa (republic Of) Cds 20261220 1.0 12/20/2026 55,000,000.00 214,278.00 0.00
SWB8AA9ZQN Philippines (republic Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 108,510.00 0.00
SWB8AA9ZQR Turkey (republic Of) Cds 20261220 1.0 12/20/2026 60,000,000.00 -589,044.00 0.00
SWB8AA9ZQX Qatar (state Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 125,146.00 0.00
SWB8AA9ZUC Mexico (united Mexican States) (governme 1.0 12/20/2026 55,000,000.00 418,603.00 0.00
JEBTIPE3FN Zar/usd Fwd 20250917 5 ZAR 09/17/2025 -369,116,940.00 -348,571.00 0.00
JV3P0RP724 Try/usd Fwd 20250723 221 TRY 07/23/2025 1,087,314,948.00 219,340.00 0.00
JYPQ5 COMD 30Y Umbs Tba 5.0 Aug25 JYPQ5 08/06/2025 9,793,750.00 66,679.00 0.00
JYWQ5 COMD 30Y Umbs Tba 6.0 Aug25 JYWQ5 08/06/2025 10,150,000.00 30,351.00 0.00
G6FF7OF3FF Jpy/usd Fwd 20250722 5 JPY 07/22/2025 1,585,709,454.00 221,115.00 0.00
G94TKJ5LDD Gbp/usd Fwd 20250722 Midlgb22 GBP 07/22/2025 15,972,880.00 -155,256.00 0.00
GLDJ73N9JE Sgd/usd Fwd 20250917 955 SGD 09/17/2025 -154,194,791.00 -1,145,737.00 0.00
HVUMFAJJ2G Gbp/usd Fwd 20250722 00187 GBP 07/22/2025 31,775,916.00 1,461,552.00 0.00
P699NNF7HC Czk/usd Fwd 20250722 Mslngb2x CZK 07/22/2025 -690,474,948.00 -2,142,035.00 0.00
P9MJDM23U4 Jpy/usd Fwd 20250722 Deutgb22 JPY 07/22/2025 -1,825,551,885.00 190,039.00 0.00
PR3JL1MGV5 Krw/usd Fwd 20250917 Mslngb2x KRW 09/17/2025 -248,228,000,000.00 232,133.00 0.00
Q2IB279M7C Brl/usd Fwd 20250804 57918 BRL 08/04/2025 756,583,815.00 1,400,407.00 0.00
QAFPAAF1BR Jpy/usd Fwd 20250722 Citius33 JPY 07/22/2025 -1,839,745,228.00 105,221.00 0.00
RO3DECTC9V Idr/usd Fwd 20250917 Citius33 IDR 09/17/2025 96,053,298,000.00 127,022.00 0.00
RXU5 COMDT Euro-bund Future Sep25 RXU5 09/08/2025 -376,836,453.00 1,863,886.00 0.00
SB31ONQNTV Pen/usd Fwd 20250917 Citius33 PEN 09/17/2025 185,861,126.00 483,608.00 0.00
SFRM5 COMD 3 MOnth Sofr Fut Jun25 SFRM5 09/16/2025 248,968,163.00 -34,436.00 0.00
SMVGEAFO5Q Inr/usd Fwd 20250917 00187 INR 09/17/2025 -6,696,983,244.00 -965,038.00 0.00
SWB8A5LMK4 Azerbj Cap 6.86 12/22/32 - Db 12/22/2032 -280,187,500.00 -69,119.00 0.00
SWB8A5QLY3 Scds: (pemex) Usd 1% 1.0 12/20/2028 10,000,000.00 -852,794.00 0.00
CCGJO09O6L Zar/usd Fwd 20250917 Barcus33 ZAR 09/17/2025 597,363,312.00 42,838.00 0.00
G0LD63UB6C Try/usd Fwd 20250709 Midlgb22 TRY 07/09/2025 4,973,682,733.00 1,905,673.00 0.00
D7HH4OFINK Jpy/usd Fwd 20250722 Scseus31 JPY 07/22/2025 5,673,906,296.00 -647,580.00 0.00
DAJ94LF8OI Mxn/usd Fwd 20250917 Midlgb22 MXN 09/17/2025 1,275,172,129.00 1,766,327.00 0.00
DUU5 COMDT Euro-schatz Fut Sep25 DUU5 09/08/2025 -70,242,336.00 101,037.00 0.00
E8LVH0D2GV Cnh/usd Fwd 20250917 Midlgb22 CNH 09/17/2025 -2,611,123,142.00 -911,863.00 0.00
EAT0N5GQKV Eur/usd Spot 20250701 00187 EUR 07/01/2025 62,114,155.00 308,769.00 0.00
EM89CS4T2L Jpy/eur Fwd 20250722 Mslngb2x JPY 07/22/2025 3,152,808,813.00 -482,389.00 0.00
BMYGPJ1 Preem Holdings Ab PREEM 12.0 06/30/2027 664,000.00 806,953.00 0.00
BN6SHR4 Sinochem Offshore Capital Co Ltd SINOCH 0.75 11/25/2025 2,000,000.00 2,332,953.00 0.00
BMVMNC1 Gazprom Pjsc Via Gaz Finance Plc GAZPRU 1.5 02/17/2027 1,367,000.00 1,207,693.00 0.00
BP8XNQ2 Republic Of South Africa Government Inte SOAF 3.75 07/24/2026 600,000.00 710,127.00 0.00
BRJG676 Aircraft Finance Co Ltd EXIMCH 4.1 03/29/2026 508,877.00 504,513.00 0.00
BSBNFR5 Cemex Materials Llc CEMEX 7.7 07/21/2025 2,250,000.00 2,256,367.00 0.00
BL4622678 Lumen Technologies Inc LUMN 6.79 04/15/2029 2,007,132.00 1,982,042.00 0.00
BKP8KT7 Energean Israel Finance Ltd ENOIGA 5.88 03/30/2031 140,000.00 129,283.00 0.00
BJMTK63 Cemex Sab De Cv CEMEX 3.13 03/19/2026 750,000.00 882,579.00 0.00
BJV2X64 Dominican Republic International Bond DOMREP 4.5 01/30/2030 2,544,000.00 2,416,800.00 0.00
BF8F6P8 Braskem Netherlands Finance Bv BRASKM 4.5 01/10/2028 2,600,000.00 2,232,620.00 0.00
BFM0YB1 Toyota Motor Credit Corp TOYOTA 4.05 10/24/2025 1,980,000.00 1,972,931.00 0.00
B8ACYP7L9 Dukes Education Group Ltd 9.71 11/25/2028 931,570.00 1,278,719.00 0.00
BD878G5 Mexico City Airport Trust MEXCAT 4.25 10/31/2026 1,000,000.00 992,500.00 0.00
B99BSP7 Pertamina Persero Pt PERTIJ 5.63 05/20/2043 2,155,000.00 2,033,576.00 0.00
BBG014163M Sfrz5c 96.25 Pit SFRZ5C 96. 12/12/2025 -2,415,000.00 -603,750.00 0.00
BBG014163P Sfrz5c 99.75 Pit SFRZ5C 99. 12/12/2025 4,460,000.00 11,150.00 0.00
BBG014163V Sfrz5p 96.25 Pit SFRZ5P 96. 12/12/2025 -2,415,000.00 -410,550.00 0.00
A3155ORS3R Clp/usd Fwd 20250917 Deutgb22 CLP 09/17/2025 16,578,934,000.00 -53,269.00 0.00
A7H7PAE1GR Jpy/eur Fwd 20250722 Citius33 JPY 07/22/2025 1,570,037,158.00 -558,996.00 0.00
ALJFEVTCSJ Cop/usd Fwd 20250917 Citius33 COP 09/17/2025 176,651,000,000.00 144,281.00 0.00
AO5H22TB1V Sgd/usd Fwd 20250917 Mslngb2x SGD 09/17/2025 -66,953,128.00 -909,397.00 0.00
APVKP2L48R Pen/usd Fwd 20250917 Scseus31 PEN 09/17/2025 96,024,491.00 394,993.00 0.00
98313RAH9 WYNN Macau Ltd WYNMAC 5.63 08/26/2028 500,000.00 490,375.00 0.00
B0S5Z56 Argentine Republic Government Internatio ARGENT 0.67 12/31/2038 402,629,000.00 503,268.00 0.00
B1Z7R67 DP World Ltd/united Arab Emirates DPWDU 6.85 07/02/2037 2,000,000.00 2,181,875.00 0.00
B4K5CK6 CDP Financial Inc CADEPO 5.6 11/25/2039 700,000.00 714,692.00 0.00
B8AA7A6S2 Tfs_18-3 04/16/2040 1 1.00 0.00
B8ACYS2F1 Dukes Education Group Ltd 8.54 11/25/2028 273,846.00 375,895.00 0.00
B8AD2HEC2 Codere Group Topco S.a. A1 Equity 58,748.00 1,384,044.00 0.00
B8AD2HEJ7 Codere Group Topco S.a. A2 Equity 82,700.00 1,948,329.00 0.00
B8AD2JA99 Codere Group Topco S.a. Warrants 200 1,884.00 0.00
AVKR2MH70K Twd/usd Fwd 20250917 Mslngb2x TWD 09/17/2025 1,045,788,338.00 399,266.00 0.00
B8ACA1AA8 Digicel Intl Fin Ltd 110,440.00 1,299,149.00 0.00
B8AD39VG1 Dukes Education Grp Ltd 11/27/2028 1,273,772.00 1,500,439.00 0.00
B8AD3A2S4 Dukes Education Grp Ltd 11/27/2028 672,485.00 792,153.00 0.00
B8AD9KJQ2 Diamond Sports Grp Llc- Warrants 1,481,098.00 328,803.00 0.00
448814CS0 Hydro-quebec QHEL 8.25 04/15/2026 304,000.00 312,435.00 0.00
448814EL3 Hydro-quebec QHEL 8.25 04/15/2026 50,000.00 51,387.00 0.00
448814EX7 Hydro-quebec QHEL 8.63 06/15/2029 130,000.00 149,747.00 0.00
448814FN8 Hydro-quebec QHEL 8.25 04/15/2026 25,000.00 25,693.00 0.00
44267DAF4 Howard Hughes Corp/the HHH 4.38 02/01/2031 2,500,000.00 2,308,678.00 0.00
44330BAM6 HPC Investment Partners Clo HLM 6.16 10/20/2029 628,618.00 628,793.00 0.00
44267DAD9 Howard Hughes Corp/the HHH 5.38 08/01/2028 500,000.00 496,652.00 0.00
431318BC7 Hilcorp Energy I Lp / Hilcorp Finance Co HILCRP 8.38 11/01/2033 2,183,000.00 2,266,592.00 0.00
38378VPP4 Government National Mortgage Association GNR 3.0 07/01/2043 983,353.00 891,826.00 0.00
38379FE39 Government National Mortgage Association GNR 3.5 11/01/2042 2,428,138.00 225,635.00 0.00
38379PE37 Government National Mortgage Association GNR 4.0 05/01/2045 7,005,954.00 1,246,987.00 0.00
38382BLB7 Government National Mortgage Association GNR 3.5 12/01/2049 8,678,024.00 1,435,928.00 0.00
384701AA6 Graham Packaging Co Inc GRMPAC 7.13 08/15/2028 120,000.00 119,441.00 0.00
38380K3T0 Government National Mortgage Association GNR 4.5 02/01/2048 2,737,838.00 651,113.00 0.00
38380UA29 Government National Mortgage Association GNR 4.0 01/01/2048 8,214,798.00 1,573,027.00 0.00
38380BZJ7 Government National Mortgage Association GNR 3.5 06/01/2046 15,153,386.00 2,363,162.00 0.00
40414LAR0 Healthpeak Op Llc DOC 3.5 07/15/2029 1,490,000.00 1,438,472.00 0.00
404280DZ9 HSBC Holdings Plc HSBC 5.89 08/14/2027 1,625,000.00 1,647,016.00 0.00
416515AP9 Hartford Insurance Group Inc/the HIG 6.1 10/01/2041 995,000.00 1,031,283.00 0.00
416515AS3 Hartford Insurance Group Inc/the HIG 5.95 10/15/2036 755,000.00 788,729.00 0.00
416515BB9 Hartford Insurance Group Inc/the HIG 4.3 04/15/2043 480,000.00 404,250.00 0.00
45254NML8 Impac Cmb Trust Series 2005-1 IMM 4.33 04/25/2035 434,407.00 418,839.00 0.00
45660UAQ2 Indymac Arm Trust 2001-h2 INARM 6.62 01/01/2032 911 889.00 0.00
456687AC6 Indymac Indx Mortgage Loan Trust 2007-fl INDX 4.33 07/25/2037 1,635,306.00 1,499,427.00 0.00
45905UPV0 International Bank For Reconstruction & IBRD 08/28/2034 853,000.00 597,794.00 0.00
45905UQU1 International Bank For Reconstruction & IBRD 11/28/2034 273,000.00 198,991.00 0.00
458182BY7 Inter-american Development Bank IADB 6.95 08/01/2026 1,938,000.00 1,983,778.00 0.00
46115HCF2 Intesa Sanpaolo Spa ISPIM 7.8 11/28/2053 1,820,000.00 2,121,006.00 0.00
46188BAG7 Invitation Homes Operating Partnership L INVH 4.88 02/01/2035 1,000,000.00 968,968.00 0.00
46590XAM8 JBS Usa Holding Lux Sarl/ Jbs Usa Food C JBSSBZ 3.75 12/01/2031 600,000.00 558,392.00 0.00
465410CC0 Republic Of Italy Government Internation ITALY 3.88 05/06/2051 700,000.00 475,058.00 0.00
478045AA5 JOHN Sevier Combined Cycle Generation Ll JSCCGL 4.63 01/15/2042 1,382,899.00 1,325,793.00 0.00
48128U2S7 Jpmorgan Chase Bank Na - Cacln CACLN 8.48 12/26/2028 2,310,620.00 2,318,017.00 0.00
46591HCH1 Jpmorgan Chase Bank Na - Cacln CACLN 3.69 02/26/2029 1,340,027.00 1,338,643.00 0.00
46591EAZ0 Jpmcc Commercial Mortgage Securities Tru JPMCC 1.1 06/01/2052 65,497,000.00 2,195,289.00 0.00
46627MDA2 JP Morgan Alternative Loan Trust 2006-a1 JPALT 4.65 03/01/2036 59,946.00 44,468.00 0.00
46643ABG7 Jpmbb Commercial Mortgage Securities Tru JPMBB 0.51 09/01/2047 6,680,798.00 60.00 0.00
46643GAE0 Jpmbb Commercial Mortgage Securities Tru JPMBB 3.64 11/01/2047 586,162.00 576,430.00 0.00
552704AF5 MEG Energy Corp MEGCN 5.88 02/01/2029 1,350,000.00 1,348,650.00 0.00
552953CD1 MGM Resorts International MGM 4.63 09/01/2026 500,000.00 498,892.00 0.00
534187BT5 Lincoln National Corp LNC 5.85 03/15/2034 1,790,000.00 1,842,176.00 0.00
53079EBG8 Liberty Mutual Group Inc LIBMUT 4.57 02/01/2029 1,675,000.00 1,676,845.00 0.00
55336VBP4 MPLX Lp MPLX 5.2 12/01/2047 2,060,000.00 1,795,829.00 0.00
55336VBT6 MPLX Lp MPLX 4.95 03/14/2052 1,560,000.00 1,292,355.00 0.00
55336VBV1 MPLX Lp MPLX 5.0 03/01/2033 685,000.00 675,625.00 0.00
55342UAM6 MPT Operating Partnership Lp / Mpt Finan MPW 3.5 03/15/2031 900,000.00 637,676.00 0.00
55342UAQ7 MPT Operating Partnership Lp / Mpt Finan MPW 8.5 02/15/2032 1,225,000.00 1,282,747.00 0.00
48666KAY5 KB Home KBH 4.8 11/15/2029 50,000.00 49,154.00 0.00
48250MAK3 KKR Clo 11 Ltd KKR 5.7 01/15/2031 400,391.00 400,928.00 0.00
50076QAE6 Kraft Heinz Foods Co KHC 5.0 06/04/2042 2,237,000.00 2,017,188.00 0.00
494550BD7 Kinder Morgan Energy Partners Lp KMI 6.5 09/01/2039 1,260,000.00 1,337,151.00 0.00
494550BP0 Kinder Morgan Energy Partners Lp KMI 5.0 03/01/2043 1,958,000.00 1,743,238.00 0.00
50249AAA1 LYB International Finance Iii Llc LYB 4.2 10/15/2049 770,000.00 571,174.00 0.00
526057CT9 Lennar Corp LEN 5.25 06/01/2026 50,000.00 50,101.00 0.00
517834AF4 LAS Vegas Sands Corp LVS 3.9 08/08/2029 2,250,000.00 2,140,621.00 0.00
570535AP9 Markel Group Inc MKL 5.0 03/30/2043 300,000.00 268,089.00 0.00
57701RAM4 Mattamy Group Corp MATHOM 4.63 03/01/2030 50,000.00 48,062.00 0.00
575718AB7 Massachusetts Institute Of Technology MASSIN 4.68 07/01/2114 3,000,000.00 2,489,089.00 0.00
595620AU9 Midamerican Energy Co BRKHEC 4.25 07/15/2049 1,865,000.00 1,515,747.00 0.00
59259YDC0 Metropolitan Transportation Authority MTATRN 6.69 11/15/2040 700,000.00 756,117.00 0.00
5899295H7 Merrill Lynch Mortgage Investors Trust S MLMI 4.33 07/25/2034 45,091.00 44,749.00 0.00
58CJ12TL3B Php/usd Fwd 20250917 955 PHP 09/17/2025 3,195,819,076.00 958,409.00 0.00
59020UCP8 Merrill Lynch Mortgage Investors Trust S MLMI 4.33 01/25/2035 956,470.00 932,495.00 0.00
59020UPR0 Credit-based Asset Servicing And Securit CBASS 3.65 12/25/2035 193,359.00 191,753.00 0.00
5GMN9MBDAJ Jpy/usd Fwd 20250722 Midlgb22 JPY 07/22/2025 2,692,415,369.00 -133,713.00 0.00
5HDP098RP5 Czk/usd Fwd 20250722 Citius33 CZK 07/22/2025 -978,385,073.00 -2,100,581.00 0.00
5MRU8IRFQJ Pln/usd Fwd 20250722 Midlgb22 PLN 07/22/2025 48,213,590.00 653,567.00 0.00
603051AA1 Mineral Resources Ltd MINAU 8.13 05/01/2027 2,000,000.00 1,992,420.00 0.00
603051AC7 Mineral Resources Ltd MINAU 8.0 11/01/2027 1,500,000.00 1,495,980.00 0.00
61744CDG8 Morgan Stanley Abs Capital I Inc Trust 2 MSAC 4.33 03/25/2034 483,058.00 476,084.00 0.00
61744CGZ3 Morgan Stanley Abs Capital I Inc Trust 2 MSAC 4.33 09/25/2034 662,894.00 686,471.00 0.00
718546AW4 Phillips 66 PSX 2.15 12/15/2030 2,150,000.00 1,894,089.00 0.00
718172DG1 Philip Morris International Inc PM 4.88 02/13/2029 1,198,000.00 1,218,775.00 0.00
71654QDL3 Petroleos Mexicanos PEMEX 8.75 06/02/2029 2,101,000.00 2,171,551.00 0.00
718172CE7 Philip Morris International Inc PM 3.13 03/02/2028 1,802,000.00 1,756,151.00 0.00
73358WJA3 PORT Authority Of New York & New Jersey PORTRN 4.46 10/01/2062 2,600,000.00 2,165,221.00 0.00
70932MAD9 Pennymac Financial Services Inc PFSI 7.88 12/15/2029 1,295,000.00 1,376,743.00 0.00
709629AR0 Pentair Finance Sarl PNR 4.5 07/01/2029 1,300,000.00 1,296,822.00 0.00
6OO9R72I4J Thb/usd Fwd 20250917 Midlgb22 THB 09/17/2025 -5,450,745,112.00 1,304.00 0.00
709223VZ1 Pennsylvania Turnpike Commission PASTRN 6.11 12/01/2039 400,000.00 423,326.00 0.00
706451BD2 Petroleos Mexicanos PEMEX 9.5 09/15/2027 1,590,000.00 1,646,731.00 0.00
706451BG5 Petroleos Mexicanos PEMEX 6.63 06/15/2035 2,920,000.00 2,450,026.00 0.00
74815HCC4 Province Of Quebec Canada Q 7.37 03/06/2026 91,000.00 92,619.00 0.00
74815HCE0 Province Of Quebec Canada Q 7.38 04/09/2026 100,000.00 102,487.00 0.00
74815HCJ9 Province Of Quebec Canada Q 7.3 07/22/2026 474,000.00 487,311.00 0.00
744448CQ2 Public Service Co Of Colorado XEL 4.1 06/15/2048 2,945,000.00 2,287,921.00 0.00
74456QBA3 Public Service Electric And Gas Co PEG 3.65 09/01/2042 1,990,000.00 1,566,756.00 0.00
745332CE4 Puget Sound Energy Inc PSD 4.43 11/15/2041 2,550,000.00 2,154,372.00 0.00
74160MDL3 Prime Mortgage Trust 2004-cl1 PRIME 4.33 02/25/2034 2,512.00 2,387.00 0.00
74251VAF9 Principal Financial Group Inc PFG 4.63 09/15/2042 275,000.00 244,205.00 0.00
74251VAJ1 Principal Financial Group Inc PFG 4.35 05/15/2043 760,000.00 646,689.00 0.00
74390WAE2 PRPM 2025-rpl1 Llc PRPM 4.0 03/25/2055 2,072,000.00 1,836,656.00 0.00
743756AC2 Providence St Joseph Health Obligated Gr PSJHOG 3.74 10/01/2047 2,900,000.00 2,116,850.00 0.00
737446AQ7 POST Holdings Inc POST 4.63 04/15/2030 1,025,000.00 985,917.00 0.00
737446AR5 POST Holdings Inc POST 4.5 09/15/2031 1,420,000.00 1,319,261.00 0.00
796253T93 CITY Of San Antonio Tx Electric & Gas Sy SANUTL 5.99 02/01/2039 1,000,000.00 1,053,949.00 0.00
78433LAH9 SCE Recovery Funding Llc EIX 5.11 12/15/2047 1,100,000.00 1,027,722.00 0.00
78500AAA6 SWF Holdings I Corp SPRIND 6.5 10/01/2029 4,548,000.00 1,787,318.00 0.00
783186NH8 Rutgers The State University Of New Jers RUTHGR 5.67 05/01/2040 1,350,000.00 1,362,719.00 0.00
780097BL4 Natwest Group Plc NWG 4.45 05/08/2030 874,000.00 866,599.00 0.00
76111JZ72 Rfmsi Series 2003-s9 Trust RFMSI 6.5 03/01/2032 3,515.00 3,549.00 0.00
761157AB2 Resolution Funding Corp RFCO 8.63 01/15/2030 429,000.00 507,375.00 0.00
76116EGR5 Resolution Funding Corp Interest Strip RFCS 01/15/2030 1,519,000.00 1,262,230.00 0.00
76116FAC1 Resolution Funding Corp Principal Strip RFCSP 04/15/2030 700,000.00 577,168.00 0.00
758842AA6 Regal Trust Iv REGAL 4.44 09/02/2031 3,688.00 3,438.00 0.00
840RJC39CS Krw/usd Fwd 20250917 Scseus31 KRW 09/17/2025 134,065,866,820.00 950,416.00 0.00
824348AR7 Sherwin-williams Co/the SHW 3.45 08/01/2025 1,240,000.00 1,238,156.00 0.00
82481LAD1 Shire Acquisitions Investments Ireland D TACHEM 3.2 09/23/2026 1,587,000.00 1,565,470.00 0.00
80282Y205 Santander Consumer Auto Receivables Trus SCART 08/15/2028 27,250.00 1,654,582.00 0.00
797440BV5 SAN Diego Gas & Electric Co SRE 3.75 06/01/2047 1,665,000.00 1,229,020.00 0.00
810186AP1 Scotts Miracle-gro Co/the SMG 5.25 12/15/2026 52,000.00 51,946.00 0.00
810186AW6 Scotts Miracle-gro Co/the SMG 4.38 02/01/2032 1,800,000.00 1,652,411.00 0.00
65MR6A510A Php/usd Fwd 20250917 Midlgb22 PHP 09/17/2025 6,899,010,295.00 340,016.00 0.00
674599DD4 Occidental Petroleum Corp OXY 7.5 05/01/2031 43,000.00 47,355.00 0.00
68245XAM1 1011778 Bc Ulc / New Red Finance Inc BCULC 4.0 10/15/2030 2,200,000.00 2,049,278.00 0.00
677632MV0 OHIO State University/the OHSHGR 4.91 06/01/2040 295,000.00 287,623.00 0.00
674599DH5 Occidental Petroleum Corp OXY 7.95 06/15/2039 1,600,000.00 1,804,338.00 0.00
641423BZ0 Nevada Power Co BRKHEC 5.38 09/15/2040 500,000.00 499,989.00 0.00
64352VDR9 NEW Century Home Equity Loan Trust NCHET 3.62 10/25/2033 808,932.00 816,743.00 0.00
644535AJ5 NEW Gold Inc NGDCN 6.88 04/01/2032 1,075,000.00 1,104,401.00 0.00
649322AE4 NEW York And Presbyterian Hospital/the NYPRES 4.76 08/01/2116 2,660,000.00 2,132,554.00 0.00
64972FY34 NEW York City Municipal Water Finance Au NYCUTL 5.88 06/15/2044 920,000.00 929,716.00 0.00
629377CQ3 NRG Energy Inc NRG 3.38 02/15/2029 875,000.00 825,689.00 0.00
62886HBA8 NCL Corp Ltd NCLH 5.88 03/15/2026 2,263,000.00 2,265,828.00 0.00
62886HBP5 NCL Corp Ltd NCLH 6.25 03/01/2030 1,100,000.00 1,105,500.00 0.00
62916TAK5 NLT 2025-inv1 Trust NLT 0.4 02/01/2070 159,367,656.00 1,323,930.00 0.00
68269JAH4 Onemain Financial Issuance Trust 2023-1 OMFIT 7.49 06/14/2038 1,300,000.00 1,350,403.00 0.00
68389XBX2 Oracle Corp ORCL 3.6 04/01/2050 1,420,000.00 992,390.00 0.00
682691AH3 Onemain Finance Corp OMF 6.63 05/15/2029 2,005,000.00 2,061,902.00 0.00
682680AV5 Oneok Inc OKE 5.2 07/15/2048 1,290,000.00 1,122,625.00 0.00
682680BW2 Oneok Inc OKE 4.2 03/15/2045 2,830,000.00 2,132,133.00 0.00
682680BN2 Oneok Inc OKE 6.63 09/01/2053 400,000.00 415,930.00 0.00
682680BU6 Oneok Inc OKE 4.2 12/01/2042 1,600,000.00 1,234,059.00 0.00
694308HR1 Pacific Gas And Electric Co PCG 4.0 12/01/2046 785,000.00 561,482.00 0.00
694308JH1 Pacific Gas And Electric Co PCG 3.3 08/01/2040 1,970,000.00 1,411,911.00 0.00
69073TAT0 Owens-brockway Glass Container Inc OI 6.63 05/13/2027 375,000.00 375,625.00 0.00
69349LAR9 PNC Bank Na PNC 4.05 07/26/2028 1,200,000.00 1,190,766.00 0.00
6903534Z7 United States International Development DFC 3.25 10/15/2030 1,271,111.00 1,239,604.00 0.00
690353T64 United States International Development DFC 3.19 10/05/2034 2,280,150.00 2,145,290.00 0.00
05526DCC7 BAT Capital Corp BATSLN 5.63 08/15/2035 1,960,000.00 1,992,234.00 0.00
032177AJ6 Amsted Industries Inc AMSIND 4.63 05/15/2030 347,000.00 333,691.00 0.00
03523TBF4 Anheuser-busch Inbev Worldwide Inc ABIBB 8.2 01/15/2039 445,000.00 563,610.00 0.00
03523TBJ6 Anheuser-busch Inbev Worldwide Inc ABIBB 8.0 11/15/2039 1,880,000.00 2,379,822.00 0.00
03523TBT4 Anheuser-busch Inbev Worldwide Inc ABIBB 4.44 10/06/2048 2,330,000.00 1,974,042.00 0.00
03938JAA7 ARCH Capital Group Us Inc ACGL 5.14 11/01/2043 2,250,000.00 2,095,210.00 0.00
045086AP0 Ashton Woods Usa Llc / Ashton Woods Fina ASHWOO 4.63 04/01/2030 1,775,000.00 1,687,513.00 0.00
04541GNA6 Asset Backed Securities Corp Home Equity ABSHE 4.33 12/25/2034 992,522.00 928,163.00 0.00
04542BDD1 ABFC 2003-opt1 Trust ABFC 4.33 04/25/2033 1,169,749.00 1,166,782.00 0.00
04624UAJ0 Assurant Commercial Mortgage Trust 2016- ACM 4.32 05/01/2049 2,441,088.00 2,403,938.00 0.00
04351LAB6 Ascension Health ASCHEA 3.95 11/15/2046 2,565,000.00 2,052,992.00 0.00
040104EP2 Argent Securities Inc Asset-backed Pass- ARSI 4.33 01/25/2034 2,066.00 2,389.00 0.00
02007GZ63 ALLY Bank Auto Credit-linked Notes Serie ABCLN 6.02 05/17/2032 2,462,881.00 2,494,038.00 0.00
02007GZ71 ALLY Bank Auto Credit-linked Notes Serie ABCLN 6.32 05/17/2032 1,231,440.00 1,243,900.00 0.00
02154CAF0 Altice Financing Sa ALTICE 5.0 01/15/2028 730,000.00 549,325.00 0.00
023772AB2 American Airlines 2013-1 Class A Pass Th AAL 4.0 07/15/2025 2,538,499.00 2,535,795.00 0.00
02377AAA6 American Airlines 2014-1 Class A Pass Th AAL 3.7 10/01/2026 1,427,910.00 1,402,275.00 0.00
03072SBE4 Floating Rate Mortgage Pass-through Cert AMSI 4.33 10/25/2031 29,712.00 30,858.00 0.00
00834BAJ6 Affirm Asset Securitization Trust 2024-a AFFRM 6.89 02/15/2029 2,000,000.00 2,018,502.00 0.00
004421DA8 ACE Securities Corp Home Equity Loan Tru ACE 4.33 11/25/2033 280,030.00 281,572.00 0.00
00653VAC5 Adapthealth Llc ADAHEA 4.63 08/01/2029 1,000,000.00 942,853.00 0.00
00737WAA7 Adtalem Global Education Inc ATGE 5.5 03/01/2028 1,714,000.00 1,700,879.00 0.00
001192AK9 Southern Co Gas Capital Corp SO 4.4 06/01/2043 2,700,000.00 2,267,686.00 0.00
001084AR3 AGCO Corp AGCO 5.45 03/21/2027 2,140,000.00 2,170,263.00 0.00
00115AAE9 AEP Transmission Co Llc AEP 3.1 12/01/2026 1,300,000.00 1,280,320.00 0.00
00175PAC7 AMN Healthcare Inc AMN 4.0 04/15/2029 2,656,000.00 2,464,272.00 0.00
00191AAD8 ARD Finance Sa ARDFIN 6.5 06/30/2027 644,288.00 23,355.00 0.00
097023BZ7 Boeing Co/the BA 3.63 03/01/2048 2,130,000.00 1,468,410.00 0.00
097023CB9 Boeing Co/the BA 3.85 11/01/2048 990,000.00 710,137.00 0.00
08949LAB6 BIG River Steel Llc / Brs Finance Corp BIGBRS 6.63 01/31/2029 40,000.00 40,302.00 0.00
07336QAC6 Bayview Opportunity Master Fund Vii 2024 BVCLN 5.81 12/26/2031 1,892,251.00 1,899,738.00 0.00
07384MSH6 BEAR Stearns Arm Trust 2002-11 BSARM 6.25 02/01/2033 125 130.00 0.00
07386HSY8 BEAR Stearns Alt-a Trust 2005-4 BALTA 5.47 05/01/2035 35,169.00 33,540.00 0.00
07386HSZ5 BEAR Stearns Alt-a Trust 2005-4 BALTA 5.47 05/01/2035 11,723.00 11,206.00 0.00
073879HE1 BEAR Stearns Asset Backed Securities I T BSABS 5.41 09/25/2034 205,897.00 206,272.00 0.00
07387ABR5 BEAR Stearns Arm Trust 2005-4 BSARM 5.4 08/01/2035 49,958.00 46,592.00 0.00
073881AA2 BEAR Stearns Arm Trust 2007-3 BSARM 4.25 05/01/2047 98,929.00 89,061.00 0.00
07556QBR5 Beazer Homes Usa Inc BZH 5.88 10/15/2027 50,000.00 50,088.00 0.00
07556QBT1 Beazer Homes Usa Inc BZH 7.25 10/15/2029 1,350,000.00 1,359,979.00 0.00
080782AA3 Belron Uk Finance Plc BELRON 5.75 10/15/2029 1,445,000.00 1,455,837.00 0.00
0DOTQIRJ97 Huf/usd Fwd 20250722 Barcus33 HUF 07/22/2025 6,882,790,808.00 1,181,341.00 0.00
11283YAB6 Brookfield Residential Properties Inc / BRPCN 6.25 09/15/2027 1,525,000.00 1,516,704.00 0.00
11283YAD2 Brookfield Residential Properties Inc / BRPCN 4.88 02/15/2030 1,000,000.00 896,610.00 0.00
072024PY2 BAY Area Toll Authority BAYTRN 6.91 10/01/2050 525,000.00 590,832.00 0.00
071734AM9 Bausch Health Cos Inc BHCCN 5.0 02/15/2029 1,000,000.00 700,000.00 0.00
071734AD9 Bausch Health Cos Inc BHCCN 7.0 01/15/2028 2,750,000.00 2,307,250.00 0.00
071734AH0 Bausch Health Cos Inc BHCCN 5.0 01/30/2028 2,050,000.00 1,687,406.00 0.00
06051GDM8 BANC Of America Funding 2005-d Trust BAFC 5.49 05/01/2035 13,601.00 12,670.00 0.00
06051GHM4 BANK Of America Corp BAC 4.27 07/23/2029 1,030,000.00 1,027,146.00 0.00
06054MAD5 BANK Of America Merrill Lynch Commercial BACM 2.9 07/01/2049 2,095,790.00 2,076,249.00 0.00
05578QAE3 BPCE Sa BPCEGP 4.88 04/01/2026 1,015,000.00 1,014,644.00 0.00
05949AHA1 BANC Of America Mortgage 2004-e Trust BOAMS 5.75 06/01/2034 86,695.00 83,049.00 0.00
05951VAH2 BANC Of America Funding 2006-i Trust BAFC 4.62 10/01/2046 20,618.00 17,430.00 0.00
209111FK4 Consolidated Edison Co Of New York Inc ED 4.3 12/01/2056 2,920,000.00 2,296,367.00 0.00
219868CH7 CORP Andina De Fomento CAF 6.0 04/26/2027 2,000,000.00 2,062,535.00 0.00
224044CN5 COX Communications Inc COXENT 2.6 06/15/2031 1,804,000.00 1,579,764.00 0.00
23918KAT5 Davita Inc DVA 3.75 02/15/2031 350,000.00 318,300.00 0.00
2350367A2 Dallas Fort Worth International Airport DALAPT 2.92 11/01/2050 2,035,000.00 1,392,098.00 0.00
235825AG1 DANA Inc DAN 5.63 06/15/2028 50,000.00 50,125.00 0.00
23311VAH0 DCP Midstream Operating Lp DCP 5.13 05/15/2029 50,000.00 50,770.00 0.00
23311VAJ6 DCP Midstream Operating Lp DCP 5.63 07/15/2027 50,000.00 51,082.00 0.00
20030NCC3 Comcast Corp CMCSA 3.97 11/01/2047 16,000.00 12,296.00 0.00
1MH3IMPQO2 Mxn/usd Fwd 20250917 955 MXN 09/17/2025 -440,124,591.00 -607,709.00 0.00
20754LAB5 Connecticut Avenue Securities Trust 2022 CAS 6.21 12/25/2041 2,400,000.00 2,419,395.00 0.00
202795HT0 Commonwealth Edison Co EXC 6.45 01/15/2038 690,000.00 761,497.00 0.00
202795JF8 Commonwealth Edison Co EXC 3.7 03/01/2045 2,665,000.00 2,057,042.00 0.00
202795JG6 Commonwealth Edison Co EXC 4.35 11/15/2045 2,780,000.00 2,352,903.00 0.00
195325AL9 Colombia Government International Bond COLOM 8.38 02/15/2027 900,000.00 916,182.00 0.00
18600TAA0 Cleveland Clinic Foundation/the CLECLI 4.86 01/01/2114 2,815,000.00 2,367,724.00 0.00
18060TAD7 Clarios Global Lp / Clarios Us Finance C POWSOL 6.75 02/15/2030 2,150,000.00 2,231,012.00 0.00
25179MBD4 Devon Energy Corp DVN 5.25 10/15/2027 113,000.00 113,213.00 0.00
25470XBB0 DISH Dbs Corp DISH 7.38 07/01/2028 1,345,000.00 971,297.00 0.00
25381HAD0 Digicel Group Holdings Ltd DLLTD 12/31/2030 322,555.00 32.00 0.00
25381HAM0 Digicel Group Holdings Ltd DLLTD 12/31/2030 111,153.00 0.00 0.00
25466AAE1 Capital One Na COF 4.25 03/13/2026 675,000.00 673,316.00 0.00
25746UDG1 Dominion Energy Inc D 3.38 04/01/2030 665,000.00 632,311.00 0.00
260543BY8 DOW Chemical Co/the DOW 9.4 05/15/2039 125,000.00 163,767.00 0.00
260543CE1 DOW Chemical Co/the DOW 5.25 11/15/2041 2,101,000.00 1,919,640.00 0.00
260543CG6 DOW Chemical Co/the DOW 4.38 11/15/2042 75,000.00 61,060.00 0.00
260543CR2 DOW Chemical Co/the DOW 5.55 11/30/2048 504,000.00 462,479.00 0.00
26078JAF7 Dupont De Nemours Inc DD 5.42 11/15/2048 1,960,000.00 1,975,553.00 0.00
26442CAN4 DUKE Energy Carolinas Llc DUK 4.0 09/30/2042 1,025,000.00 846,375.00 0.00
26442CAP9 DUKE Energy Carolinas Llc DUK 3.75 06/01/2045 3,045,000.00 2,367,417.00 0.00
276480AD2 Eastern Gas Transmission & Storage Inc BRKHEC 4.6 12/15/2044 245,000.00 207,151.00 0.00
283677AW2 EL Paso Electric Co EE 6.0 05/15/2035 750,000.00 774,508.00 0.00
26882PAR3 ERAC Usa Finance Llc ENTERP 6.7 06/01/2034 1,840,000.00 2,056,655.00 0.00
29266MAE9 Iberdrola International Bv IBESM 6.75 09/15/2033 15,000.00 16,485.00 0.00
29267HAA7 Sompo International Holdings Ltd ENH 7.0 07/15/2034 525,000.00 583,328.00 0.00
29273RAP4 Energy Transfer Lp ET 6.05 06/01/2041 2,500,000.00 2,497,004.00 0.00
29273RBF5 Energy Transfer Lp ET 5.15 03/15/2045 1,222,000.00 1,077,208.00 0.00
126671K62 Countrywide Asset-backed Certificates CWL 4.33 12/25/2033 232,244.00 230,816.00 0.00
126673BR2 Cwabs Inc Asset-backed Certificates Trus CWL 5.21 11/25/2034 246,714.00 237,434.00 0.00
126673KY7 Cwabs Asset-backed Certificates Trust 20 CWL 5.48 11/25/2034 14,964.00 17,584.00 0.00
126694TD0 CHL Mortgage Pass-through Trust 2005-29 CWHL 5.75 12/01/2035 331,547.00 155,907.00 0.00
12687GAA7 Cablevision Lightpath Llc CVLGHT 3.88 09/15/2027 400,000.00 385,625.00 0.00
12687GAB5 Cablevision Lightpath Llc CVLGHT 5.63 09/15/2028 200,000.00 193,757.00 0.00
13034VAA2 California Institute Of Technology CALTEC 4.7 11/01/2111 2,105,000.00 1,717,921.00 0.00
13063A5G5 State Of California CAS 7.55 04/01/2039 1,600,000.00 1,918,072.00 0.00
13063A7D0 State Of California CAS 7.3 10/01/2039 835,000.00 965,574.00 0.00
13063BFR8 State Of California CAS 7.63 03/01/2040 275,000.00 329,500.00 0.00
126650DW7 CVS Health Corp CVS 5.0 01/30/2029 2,062,000.00 2,093,348.00 0.00
126670JY5 CHL Mortgage Pass-through Trust 2005-hyb CWHL 3.88 02/01/2036 5,516.00 4,786.00 0.00
126650CX6 CVS Health Corp CVS 4.3 03/25/2028 406,000.00 404,284.00 0.00
126307BH9 CSC Holdings Llc CSCHLD 4.5 11/15/2031 2,500,000.00 1,759,705.00 0.00
12635FAW4 Csail 2015-c3 Commercial Mortgage Trust CSAIL 0.25 08/01/2048 86,961,000.00 157,869.00 0.00
12513GBK4 CDW Llc / Cdw Finance Corp CDW 5.1 03/01/2030 1,146,000.00 1,156,109.00 0.00
12513GBF5 CDW Llc / Cdw Finance Corp CDW 3.25 02/15/2029 50,000.00 47,395.00 0.00
12189LAK7 Burlington Northern Santa Fe Llc BNSF 4.38 09/01/2042 2,850,000.00 2,496,696.00 0.00
125094AC6 CDP Financial Inc CADEPO 5.6 11/25/2039 2,195,000.00 2,241,070.00 0.00
125523CB4 Cigna Group/the CI 3.4 03/01/2027 2,035,000.00 2,006,094.00 0.00
12591QAR3 COMM 2014-ubs4 Mortgage Trust COMM 3.69 08/01/2047 115,325.00 114,055.00 0.00
12592BAR5 CNH Industrial Capital Llc CNHI 5.5 01/12/2029 2,130,000.00 2,200,302.00 0.00
126307AZ0 CSC Holdings Llc CSCHLD 6.5 02/01/2029 700,000.00 568,860.00 0.00
126307AS6 CSC Holdings Llc CSCHLD 5.38 02/01/2028 208,000.00 190,474.00 0.00
13323NAA0 Camelot Return Merger Sub Inc CNR 8.75 08/01/2028 1,900,000.00 1,752,375.00 0.00
14315LAA2 Carlyle Global Market Strategies Clo 201 CGMS 5.59 07/27/2031 428,209.00 428,171.00 0.00
144141DD7 DUKE Energy Progress Llc DUK 4.1 03/15/2043 2,410,000.00 1,991,030.00 0.00
15189WAH3 Centerpoint Energy Resources Corp CNP 5.85 01/15/2041 1,130,000.00 1,140,763.00 0.00
16411RAK5 Cheniere Energy Inc LNG 4.63 10/15/2028 50,000.00 49,926.00 0.00
17332HAF2 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 3,564,466.00 2,338,897.00 0.00
17332HAG0 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 2,673,633.00 1,600,896.00 0.00
17332HAH8 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 1,693,489.00 853,163.00 0.00
17332HAJ4 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 2,138,906.00 851,390.00 0.00
17332HAK1 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 4.03 01/01/2064 2,033,263.00 767,906.00 0.00
17332HAL9 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 01/01/2064 175,069,639.00 17,506.00 0.00
17332HAM7 Citigroup Mortgage Loan Trust 2025-rp1 CMLTI 01/01/2064 311,614.00 275,776.00 0.00
173106AE5 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 4.23 02/01/2063 2,666,865.00 1,992,617.00 0.00
173106AF2 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 962,812.00 675,126.00 0.00
173106AG0 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 2,444,065.00 295,457.00 0.00
173106AH8 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 4,429,226.00 357,632.00 0.00
173106AJ4 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 134,059,007.00 13,405.00 0.00
173106AK1 Citigroup Mortgage Loan Trust 2024-rp2 CMLTI 02/01/2063 191,290.00 164,747.00 0.00
17318WAJ9 Citigroup Mortgage Loan Trust 2011-12 CMLTI 4.86 09/01/2047 2,511,488.00 2,327,747.00 0.00
17324DBB9 Citigroup Commercial Mortgage Trust 2015 CGCMT 0.05 09/01/2048 58,898,000.00 82.00 0.00
172967KA8 Citigroup Inc C 4.45 09/29/2027 470,000.00 470,300.00 0.00
17302XAM8 Citgo Petroleum Corp CITPET 6.38 06/15/2026 239,000.00 238,865.00 0.00
173080201 Citigroup Capital Xiii C 10.91 10/30/2040 22,000.00 647,240.00 0.00
172967LD1 Citigroup Inc C 3.89 01/10/2028 1,700,000.00 1,684,607.00 0.00
31412P6A4 Fannie Mae Pool FN 5.0 07/01/2039 1,567,617.00 1,587,582.00 0.00
31412VE38 Fannie Mae Pool FN 4.5 02/01/2033 1,756.00 1,732.00 0.00
31412XNQ3 Fannie Mae Pool FN 6.0 06/01/2037 4,303.00 4,478.00 0.00
31417AJQ3 Fannie Mae Pool FN 4.0 11/01/2041 1,234,907.00 1,193,096.00 0.00
31418D4Z2 Fannie Mae Pool FN 3.0 10/01/2051 1,296,726.00 1,126,586.00 0.00
3140XM7B6 Fannie Mae Pool FN 3.0 03/01/2045 2,815,681.00 2,547,008.00 0.00
3140XKPC8 Fannie Mae Pool FN 3.0 07/01/2052 1,396,656.00 1,214,098.00 0.00
3140XFWK3 Fannie Mae Pool FN 2.5 12/01/2051 2,300,134.00 1,919,983.00 0.00
3140XEAC8 Fannie Mae Pool FN 3.0 12/01/2051 290,586.00 252,317.00 0.00
3140XF4X6 Fannie Mae Pool FN 3.0 01/01/2052 400,752.00 347,539.00 0.00
3140XF7F2 Fannie Mae Pool FN 3.0 02/01/2052 622,247.00 539,494.00 0.00
3140XJDK6 Fannie Mae Pool FN 2.5 09/01/2052 847,631.00 704,028.00 0.00
3140XHCP0 Fannie Mae Pool FN 3.0 05/01/2052 930,793.00 806,179.00 0.00
3140XGJS9 Fannie Mae Pool FN 3.0 11/01/2051 696,686.00 606,306.00 0.00
3140X8VV6 Fannie Mae Pool FN 3.5 09/01/2050 358,641.00 326,467.00 0.00
3140XBNJ5 Fannie Mae Pool FN 3.5 03/01/2050 1,914,445.00 1,743,198.00 0.00
3140X8FW2 Fannie Mae Pool FN 3.5 06/01/2050 2,198,474.00 1,998,452.00 0.00
3140QBQ43 Fannie Mae Pool FN 3.5 08/01/2049 904,963.00 822,493.00 0.00
3140J6DF1 Fannie Mae Pool FN 3.0 06/01/2045 1,950,392.00 1,761,991.00 0.00
3140X3AW8 Fannie Mae Pool FN 3.5 07/01/2049 907,781.00 827,313.00 0.00
31418DYD8 Fannie Mae Pool FN 3.0 04/01/2051 672,574.00 586,649.00 0.00
31418DZH8 Fannie Mae Pool FN 1.5 05/01/2051 1,030,187.00 774,897.00 0.00
31418D7H9 Fannie Mae Pool FN 3.5 12/01/2051 1,554,559.00 1,409,403.00 0.00
31418DB92 Fannie Mae Pool FN 3.5 05/01/2049 1,984,277.00 1,808,790.00 0.00
31418DC67 Fannie Mae Pool FN 3.5 07/01/2049 458,754.00 418,088.00 0.00
31418DHM7 Fannie Mae Pool FN 3.5 11/01/2049 1,942,287.00 1,760,836.00 0.00
31418D6D9 Fannie Mae Pool FN 3.0 11/01/2051 2,496,137.00 2,171,533.00 0.00
31418DLV2 Fannie Mae Pool FN 3.5 02/01/2050 38,765.00 35,191.00 0.00
31418ENL0 Fannie Mae Pool FN 6.0 01/01/2053 1,398,833.00 1,425,692.00 0.00
31418ENS5 Fannie Mae Pool FN 7.0 01/01/2053 789,959.00 832,860.00 0.00
31418EPP9 Fannie Mae Pool FN 7.0 02/01/2053 648,655.00 683,882.00 0.00
31419BK20 Fannie Mae Pool FN 4.0 12/01/2040 105,164.00 101,450.00 0.00
31556TAA7 Fertitta Entertainment Llc / Fertitta En FRTITA 4.63 01/15/2029 2,189,000.00 2,098,562.00 0.00
31418U4U5 Fannie Mae Pool FN 5.0 07/01/2040 404,937.00 409,971.00 0.00
31418ETQ3 Fannie Mae Pool FN 7.0 06/01/2053 584,854.00 616,660.00 0.00
345397C27 FORD Motor Credit Co Llc F 4.95 05/28/2027 2,000,000.00 1,987,206.00 0.00
345370DA5 FORD Motor Co F 3.25 02/12/2032 1,055,000.00 889,580.00 0.00
33767BAA7 Firstenergy Transmission Llc FE 5.45 07/15/2044 815,000.00 779,399.00 0.00
35564KKK4 Freddie Mac Stacr Remic Trust 2021-hqa3 STACR 7.66 09/25/2041 1,792,675.00 1,832,531.00 0.00
35564KPN3 Freddie Mac Stacr Remic Trust 2021-hqa4 STACR 8.06 12/25/2041 571,500.00 588,202.00 0.00
35564KQC6 Freddie Mac Stacr Remic Trust 2022-dna1 STACR 6.81 01/25/2042 1,770,000.00 1,802,090.00 0.00
345397F81 FORD Motor Credit Co Llc F 5.13 11/05/2026 864,000.00 862,253.00 0.00
345397C68 FORD Motor Credit Co Llc F 7.35 03/06/2030 1,815,000.00 1,915,374.00 0.00
35906ABG2 Frontier Communications Holdings Llc FYBR 6.75 05/01/2029 1,948,000.00 1,973,918.00 0.00
35564KWT2 Freddie Mac Stacr Remic Trust 2022-dna4 STACR 7.66 05/25/2042 800,000.00 831,300.00 0.00
35566CBD6 Freddie Mac Stacr Remic Trust 2020-dna6 STACR 7.31 12/25/2050 400,000.00 426,907.00 0.00
36179UGC0 Ginnie Mae Ii Pool G2 4.0 11/01/2048 280,778.00 264,662.00 0.00
36179WR42 Ginnie Mae Ii Pool G2 3.5 11/01/2051 2,545,355.00 2,325,638.00 0.00
36268NAA8 Boost Newco Borrower Llc WRLDPY 7.5 01/15/2031 950,000.00 1,008,998.00 0.00
36179YFP4 Ginnie Mae Ii Pool G2 7.0 09/01/2053 2,004,572.00 2,073,278.00 0.00
36179YHV9 Ginnie Mae Ii Pool G2 7.0 10/01/2053 2,323,687.00 2,407,196.00 0.00
36256WAA2 GMR Hyderabad International Airport Ltd GMRLIN 4.25 10/27/2027 2,275,000.00 2,197,945.00 0.00
36253BAX1 GS Mortgage Securities Trust 2014-gc22 GSMS 0.33 06/01/2047 37,110,000.00 66,701.00 0.00
36253GAE2 GS Mortgage Securities Trust 2014-gc24 GSMS 3.93 09/01/2047 98,677.00 98,445.00 0.00
36184BDM6 Ginnie Mae I Pool GN 3.0 03/01/2045 11,506.00 10,260.00 0.00
36184BTZ0 Ginnie Mae I Pool GN 3.0 03/01/2045 113,228.00 101,673.00 0.00
36198TUD2 Ginnie Mae I Pool GN 3.0 01/01/2045 53,945.00 48,104.00 0.00
36200FSF6 Ginnie Mae I Pool GN 6.0 01/01/2033 9,069.00 9,184.00 0.00
36200GK21 Ginnie Mae I Pool GN 6.0 12/01/2033 10,447.00 10,666.00 0.00
36200KT72 Ginnie Mae I Pool GN 6.0 05/01/2033 3,437.00 3,512.00 0.00
36201YYZ3 Ginnie Mae I Pool GN 6.5 11/01/2033 41,914.00 44,111.00 0.00
36202DJC6 Ginnie Mae Ii Pool G2 8.5 08/01/2030 563 591.00 0.00
36202DPG0 Ginnie Mae Ii Pool G2 8.0 08/01/2031 113 112.00 0.00
36202FAV8 Ginnie Mae Ii Pool G2 5.0 08/01/2039 228,325.00 231,130.00 0.00
36202FP75 Ginnie Mae Ii Pool G2 4.5 02/01/2041 752,657.00 746,815.00 0.00
36202T6G6 Ginnie Mae I Pool GN 6.0 03/01/2033 2,149.00 2,206.00 0.00
36202XZJ9 Ginnie Mae I Pool GN 6.0 06/01/2033 1,481.00 1,500.00 0.00
36206YD57 Ginnie Mae I Pool GN 6.5 11/01/2033 14,580.00 14,965.00 0.00
3620C4XB1 Ginnie Mae I Pool GN 3.5 10/01/2040 57,256.00 53,570.00 0.00
36211BWM2 Ginnie Mae I Pool GN 8.5 06/01/2030 84 84.00 0.00
36213FB51 Ginnie Mae I Pool GN 6.5 09/01/2032 14,640.00 15,116.00 0.00
36213TEP4 Ginnie Mae I Pool GN 6.5 09/01/2032 24,239.00 25,014.00 0.00
36228F6P6 Gsamp Trust 2004-ar1 GSAMP 4.33 06/25/2034 918,104.00 971,481.00 0.00
362334NB6 GSAA Trust GSAA 5.99 03/01/2046 555,927.00 198,722.00 0.00
36250PAG0 GS Mortgage Securities Trust 2015-gc32 GSMS 0.01 07/01/2048 60,188,000.00 18.00 0.00
37045VAJ9 General Motors Co GM 5.2 04/01/2045 2,660,000.00 2,280,335.00 0.00
362954AH2 GS Mortgage-backed Securities Trust 2025 GSMBS 01/01/2064 338,683.00 324,410.00 0.00
36295QGR5 Ginnie Mae I Pool GN 6.5 07/01/2038 393 411.00 0.00
37045XDP8 General Motors Financial Co Inc GM 2.4 10/15/2028 1,680,000.00 1,562,242.00 0.00
37045XEH5 General Motors Financial Co Inc GM 5.8 06/23/2028 1,370,000.00 1,411,491.00 0.00
37045XEU6 General Motors Financial Co Inc GM 5.55 07/15/2029 720,000.00 735,380.00 0.00
373334JS1 Georgia Power Co SO 4.75 09/01/2040 1,050,000.00 978,683.00 0.00
375558AS2 Gilead Sciences Inc GILD 5.65 12/01/2041 1,200,000.00 1,222,228.00 0.00
37045XDA1 General Motors Financial Co Inc GM 2.7 08/20/2027 2,435,000.00 2,338,338.00 0.00
38141GFD1 Goldman Sachs Group Inc/the GS 6.75 10/01/2037 216,000.00 237,014.00 0.00
29281F105 ENDO Guc Trust Units Cl A-1 148 0.00 0.00
29290D117 ENDO Inc NDOI 2 41.00 0.00
29278NAR4 Energy Transfer Lp ET 5.0 05/15/2050 1,915,000.00 1,602,313.00 0.00
29379VBY8 Enterprise Products Operating Llc EPD 3.7 01/31/2051 2,665,000.00 1,928,832.00 0.00
31283HUA1 Freddie Mac Gold Pool FG 6.0 12/01/2032 2,906.00 3,017.00 0.00
31283HVL6 Freddie Mac Gold Pool FG 6.0 02/01/2033 2,678.00 2,778.00 0.00
31283HZ40 Freddie Mac Gold Pool FG 6.0 01/01/2034 14,198.00 14,542.00 0.00
31287V2S8 Freddie Mac Gold Pool FG 6.5 07/01/2032 324 334.00 0.00
31287V6T2 Freddie Mac Gold Pool FG 6.5 08/01/2032 708 732.00 0.00
31287V6U9 Freddie Mac Gold Pool FG 6.5 08/01/2032 1,149.00 1,188.00 0.00
31287WCH9 Freddie Mac Gold Pool FG 6.5 08/01/2032 1,731.00 1,789.00 0.00
31287WCJ5 Freddie Mac Gold Pool FG 6.5 08/01/2032 1,163.00 1,202.00 0.00
31287YAD6 Freddie Mac Gold Pool FG 6.5 09/01/2032 8,896.00 9,197.00 0.00
31287YV43 Freddie Mac Gold Pool FG 6.0 10/01/2032 1,415.00 1,439.00 0.00
31288AD69 Freddie Mac Gold Pool FG 7.0 09/01/2032 18,418.00 19,437.00 0.00
3128KHWU6 Freddie Mac Gold Pool FG 6.0 12/01/2036 716 751.00 0.00
3128M6NQ7 Freddie Mac Gold Pool FG 5.5 06/01/2031 291 294.00 0.00
3128M7DJ2 Freddie Mac Gold Pool FG 5.0 01/01/2039 27,026.00 27,444.00 0.00
3128MJMN7 Freddie Mac Gold Pool FG 4.5 09/01/2039 233,735.00 233,489.00 0.00
3128X75U4 Federal Home Loan Mortgage Corp FHLMC 11/15/2038 1,565,000.00 847,009.00 0.00
31296PU67 Freddie Mac Gold Pool FG 5.5 10/01/2033 134,121.00 137,362.00 0.00
31296RQS0 Freddie Mac Gold Pool FG 6.5 11/01/2033 16,223.00 16,899.00 0.00
31296RVU9 Freddie Mac Gold Pool FG 6.0 11/01/2033 13,063.00 13,362.00 0.00
31297B4V1 Freddie Mac Gold Pool FG 5.5 07/01/2034 1,489.00 1,507.00 0.00
3132DV3N3 Freddie Mac Pool FR 3.5 08/01/2049 215,524.00 196,397.00 0.00
3132DV7A7 Freddie Mac Pool FR 2.5 07/01/2050 2,148,049.00 1,803,780.00 0.00
3131XHBX3 Freddie Mac Pool FR 4.0 08/01/2041 302,233.00 292,251.00 0.00
3131XHE85 Freddie Mac Pool FR 4.0 08/01/2041 256,244.00 247,062.00 0.00
3131XHFP6 Freddie Mac Pool FR 4.0 09/01/2041 605,643.00 584,573.00 0.00
302491AX3 FMC Corp FMC 5.65 05/18/2033 1,600,000.00 1,582,303.00 0.00
2EBRE3NO9T Pen/usd Fwd 20250917 Mslngb2x PEN 09/17/2025 106,382,374.00 799,441.00 0.00
31325UQB5 Freddie Mac Strips FHS 4.0 12/15/2032 1,324,201.00 124,184.00 0.00
31329JKV8 Freddie Mac Pool FR 4.0 06/01/2042 982,070.00 947,497.00 0.00
3132A5AX3 Freddie Mac Pool FR 3.0 07/01/2043 1,320,833.00 1,192,396.00 0.00
3132AAM76 Freddie Mac Pool FR 3.0 09/01/2043 1,105,564.00 1,000,142.00 0.00
3132AEEY8 Freddie Mac Pool FR 3.5 05/01/2049 718,571.00 653,040.00 0.00
3132DNBC6 Freddie Mac Pool FR 3.0 04/01/2052 2,200,217.00 1,908,230.00 0.00
3132DNDQ3 Freddie Mac Pool FR 2.5 04/01/2052 2,571,142.00 2,141,766.00 0.00
3132DPKP2 Freddie Mac Pool FR 2.5 07/01/2051 1,063,488.00 891,972.00 0.00
3132DWCV3 Freddie Mac Pool FR 3.0 12/01/2051 2,194,722.00 1,916,449.00 0.00
3132DWCY7 Freddie Mac Pool FR 4.0 10/01/2051 2,135,610.00 1,992,328.00 0.00
3132DWCQ4 Freddie Mac Pool FR 3.0 11/01/2051 1,647,112.00 1,433,093.00 0.00
3132DWGA5 Freddie Mac Pool FR 7.0 01/01/2053 629,493.00 663,679.00 0.00
3132DWHN6 Freddie Mac Pool FR 7.0 05/01/2053 785,691.00 828,511.00 0.00
3132DWHQ9 Freddie Mac Pool FR 7.0 06/01/2053 703,368.00 741,566.00 0.00
3132GLSG0 Freddie Mac Gold Pool FG 4.0 12/01/2041 434,956.00 420,342.00 0.00
3132GRA43 Freddie Mac Gold Pool FG 4.0 02/01/2042 693,788.00 669,972.00 0.00
3132WLBV7 Freddie Mac Gold Pool FG 3.5 02/01/2047 630,301.00 580,790.00 0.00
3132DWA60 Freddie Mac Pool FR 2.5 02/01/2051 2,136,547.00 1,786,254.00 0.00
3132DV7K5 Freddie Mac Pool FR 2.0 10/01/2050 2,184,443.00 1,742,978.00 0.00
3132DWAM5 Freddie Mac Pool FR 1.5 12/01/2050 3,373,099.00 2,538,465.00 0.00
3132DWB77 Freddie Mac Pool FR 3.0 08/01/2051 1,224,879.00 1,061,325.00 0.00
31371KVG3 Fannie Mae Pool FN 6.0 11/01/2032 1,301.00 1,354.00 0.00
31374GRC3 Fannie Mae Pool FN 4.4 05/01/2036 2,580.00 2,548.00 0.00
31376KEX0 Fannie Mae Pool FN 5.5 04/01/2034 7,658.00 7,831.00 0.00
3137A5P24 Freddie Mac Remics FHR 4.0 01/01/2041 1,763,582.00 1,723,212.00 0.00
3137ADSL2 Freddie Mac Remics FHR 4.0 01/01/2041 1,856,328.00 1,813,267.00 0.00
3137AWAJ4 Freddie Mac Remics FHR 3.5 11/01/2042 5,619,989.00 712,644.00 0.00
3137BD7E0 Freddie Mac Remics FHR 4.5 08/01/2044 3,065,122.00 453,626.00 0.00
3137BEWS9 Freddie Mac Multifamily Structured Pass FHMS 2.08 02/01/2032 22,802,596.00 1,413,275.00 0.00
3137BJLC5 Freddie Mac Remics FHR 4.5 05/01/2045 3,566,180.00 491,696.00 0.00
3137BKH29 Freddie Mac Multifamily Structured Pass FHMS 0.93 07/01/2033 28,305,150.00 1,010,728.00 0.00
3137BL4V7 Freddie Mac Remics FHR 4.0 07/01/2045 1,802,511.00 1,746,792.00 0.00
3137BMTY2 Freddie Mac Multifamily Structured Pass FHMS 0.75 11/01/2025 119,403,062.00 172,191.00 0.00
3137BN6H2 Freddie Mac Multifamily Structured Pass FHMS 1.02 12/01/2025 112,747,319.00 321,296.00 0.00
3137BPW39 Freddie Mac Multifamily Structured Pass FHMS 1.46 03/01/2026 240,437,419.00 1,684,456.00 0.00
3137BSPB3 Freddie Mac Multifamily Structured Pass FHMS 0.94 08/01/2026 59,334,000.00 552,411.00 0.00
3137F5S59 Freddie Mac Remics FHR 4.0 07/01/2046 326,734.00 324,189.00 0.00
3137FCA79 Freddie Mac Remics FHR 4.0 12/01/2047 5,483,306.00 1,008,699.00 0.00
3137FCHS6 Freddie Mac Remics FHR 4.0 08/01/2047 1,433,970.00 252,005.00 0.00
3137FDB27 Freddie Mac Remics FHR 4.0 11/01/2047 1,013,625.00 178,759.00 0.00
3136B2XJ6 Fannie Mae Remics FNR 4.0 08/01/2048 1,435,735.00 265,479.00 0.00
3136B3W22 Fannie Mae Remics FNR 3.5 03/01/2049 2,844,876.00 2,434,513.00 0.00
3136F1EQ9 Federal National Mortgage Association FNMA 03/17/2031 794,000.00 623,974.00 0.00
3137FHQF3 Freddie Mac Remics FHR 3.5 10/01/2044 131,119.00 130,749.00 0.00
3137FLYZ1 Freddie Mac Multifamily Structured Pass FHMS 1.13 04/01/2029 53,046,000.00 1,845,947.00 0.00
31358SNY3 Fannie Mae Remics FNR 4.32 10/18/2030 247 246.00 0.00
31358C5U6 Fannie Mae Interest Strip FNMASC 08/06/2038 386,000.00 192,790.00 0.00
31358DDG6 Fannie Mae Principal Strip FNMAP 01/15/2030 925,000.00 773,926.00 0.00
3134A4NT7 Freddie Mac Coupon Strips FRESTP 07/15/2031 504,000.00 389,575.00 0.00
3136AYEQ2 Fannie Mae Remics FNR 4.0 10/01/2047 2,041,621.00 365,954.00 0.00
3136B1BV5 Fannie Mae Remics FNR 3.5 07/01/2046 1,711,254.00 1,694,456.00 0.00
31362GM40 Fannie Mae Pool FN 4.39 01/01/2028 378 374.00 0.00
3136AAPN9 Fannie Mae Remics FNR 3.0 12/01/2032 3,393,652.00 250,136.00 0.00
3136AEHT7 Fannie Mae Remics FNR 3.0 06/01/2028 443,971.00 10,637.00 0.00
3136AH5A4 Fannie Mae Remics FNR 4.5 04/01/2043 1,502,891.00 221,184.00 0.00
3136APJF0 Fannie Mae Remics FNR 4.0 07/01/2045 2,623,213.00 425,592.00 0.00
3136ARZ92 Fannie Mae Remics FNR 3.0 05/01/2036 1,700,089.00 126,919.00 0.00
3133B3VE4 Freddie Mac Pool FR 3.0 02/01/2052 1,781,099.00 1,544,068.00 0.00
3133B42H7 Freddie Mac Pool FR 2.5 02/01/2052 458,628.00 385,129.00 0.00
3133KPTD0 Freddie Mac Pool FR 3.0 08/01/2052 774,431.00 672,651.00 0.00
3133T8ZJ9 Freddie Mac Remics FHR 7.0 02/01/2027 4,492.00 4,504.00 0.00
3133TPF87 Freddie Mac Remics FHR 7.5 07/01/2030 7,602.00 7,938.00 0.00
3134A4CP7 Freddie Mac Coupon Strips FRESTP 03/15/2031 1,670,000.00 1,321,066.00 0.00
3138E4XN6 Fannie Mae Pool FN 4.0 01/01/2042 1,748,097.00 1,686,371.00 0.00
3140KTTY1 Fannie Mae Pool FN 2.0 03/01/2051 1,780,360.00 1,416,487.00 0.00
3140LYNG4 Fannie Mae Pool FN 3.0 11/01/2051 719,823.00 628,128.00 0.00
3138ETH66 Fannie Mae Pool FN 3.0 10/01/2044 2,755,102.00 2,487,833.00 0.00
3137FN4X5 Freddie Mac Remics FHR 4.5 07/01/2049 6,680,948.00 1,553,039.00 0.00
3137FMU83 Freddie Mac Multifamily Structured Pass FHMS 1.1 05/01/2026 248,906,728.00 1,444,903.00 0.00
31385HU59 Fannie Mae Pool FN 4.43 05/01/2036 668 659.00 0.00
31385W2N8 Fannie Mae Pool FN 6.0 03/01/2033 718 745.00 0.00
3138A4YT6 Fannie Mae Pool FN 4.0 01/01/2041 2,521,540.00 2,434,857.00 0.00
3138A5FG2 Fannie Mae Pool FN 4.0 02/01/2041 1,904,413.00 1,841,912.00 0.00
3138A6U32 Fannie Mae Pool FN 4.0 12/01/2040 225,204.00 213,619.00 0.00
3138A7GN2 Fannie Mae Pool FN 4.0 02/01/2041 337,334.00 326,157.00 0.00
3138AKFY0 Fannie Mae Pool FN 4.5 07/01/2041 2,090,934.00 2,083,815.00 0.00
31390CTC0 Fannie Mae Pool FN 7.0 05/01/2032 5,021.00 5,294.00 0.00
31390GHF7 Fannie Mae Pool FN 7.0 06/01/2032 3,029.00 3,193.00 0.00
31390TKJ7 Fannie Mae Pool FN 6.5 08/01/2032 4,284.00 4,424.00 0.00
31390TY52 Fannie Mae Pool FN 6.0 09/01/2032 42 44.00 0.00
31390UYD2 Fannie Mae Pool FN 6.5 09/01/2032 18,336.00 18,938.00 0.00
31390VPW8 Fannie Mae Pool FN 6.5 09/01/2032 14,898.00 15,387.00 0.00
31390YJD1 Fannie Mae Pool FN 6.5 09/01/2032 17,812.00 18,397.00 0.00
31391AVP1 Fannie Mae Pool FN 6.5 09/01/2032 626 646.00 0.00
31391F5M6 Fannie Mae Pool FN 6.5 10/01/2032 10,526.00 10,871.00 0.00
31391LYA7 Fannie Mae Pool FN 6.5 07/01/2032 3,037.00 3,138.00 0.00
313920GP9 Fannie Mae Remics FNR 6.5 07/01/2031 7,063.00 7,239.00 0.00
31395A3J2 Freddie Mac Structured Pass-through Cert FSPC 3.97 07/01/2044 42,559.00 41,118.00 0.00
31395M2F5 Freddie Mac Structured Pass-through Cert FSPC 3.97 02/01/2045 4,836.00 4,672.00 0.00
31400DWE8 Fannie Mae Pool FN 6.5 04/01/2033 14,418.00 15,037.00 0.00
31400WLV0 Fannie Mae Pool FN 5.5 07/01/2033 9,517.00 9,517.00 0.00
31402CTT9 Fannie Mae Pool FN 6.0 02/01/2034 47,532.00 49,402.00 0.00
31402CU67 Fannie Mae Pool FN 5.0 03/01/2034 213,150.00 215,555.00 0.00
31402ES33 Fannie Mae Pool FN 4.5 08/01/2033 1,921.00 1,915.00 0.00
31402K6W9 Fannie Mae Pool FN 5.5 08/01/2033 116 115.00 0.00
31402QTR2 Fannie Mae Pool FN 6.0 11/01/2034 15,778.00 16,402.00 0.00
31402RJP5 Fannie Mae Pool FN 5.5 03/01/2035 359,657.00 367,578.00 0.00
31402WA57 Fannie Mae Pool FN 5.5 10/01/2033 16,014.00 16,198.00 0.00
31403AS22 Fannie Mae Pool FN 6.0 10/01/2033 1,832.00 1,893.00 0.00
31403FUM4 Fannie Mae Pool FN 5.5 11/01/2033 2,926.00 2,990.00 0.00
31404HUK3 Fannie Mae Pool FN 6.0 11/01/2033 41,877.00 42,548.00 0.00
31404P5N7 Fannie Mae Pool FN 5.5 04/01/2034 47,583.00 48,010.00 0.00
31404P7L9 Fannie Mae Pool FN 5.5 04/01/2034 1,541.00 1,582.00 0.00
31404QFH7 Fannie Mae Pool FN 5.5 05/01/2034 1,248.00 1,248.00 0.00
31404TBH5 Fannie Mae Pool FN 5.5 05/01/2034 12,682.00 12,784.00 0.00
31405ULZ0 Fannie Mae Pool FN 6.0 11/01/2034 12,487.00 13,050.00 0.00
31407HTZ9 Fannie Mae Pool FN 6.0 04/01/2036 1,407.00 1,469.00 0.00
31408GT80 Fannie Mae Pool FN 6.0 04/01/2036 919 934.00 0.00
31409D3J0 Fannie Mae Pool FN 6.0 04/01/2036 3,818.00 3,989.00 0.00
VUSOKUFA91 Brl/usd Fwd 20250702 57918 BRL 07/02/2025 -756,583,815.00 -1,499,503.00 0.00
UT0DUI9LE7 Mxn/usd Fwd 20250917 Deutgb22 MXN 09/17/2025 -812,710,239.00 -882,109.00 0.00
UVMV81J3L6 Jpy/usd Fwd 20250722 955 JPY 07/22/2025 1,445,436,594.00 67,500.00 0.00
SWTRE8AE2D TRS On Fi Credit Bond Leg Accrual 3.63 01/26/2026 200,000,000.00 140,972.00 0.00
SWZ92RX2U4 ICE: (soaf) 1.00000 20 Dec, 2028 1.0 12/20/2028 -20,000,000.00 230,668.00 0.00
UGH9C1OUNB Thb/usd Fwd 20250917 221 THB 09/17/2025 544,789,278.00 182,059.00 0.00
TLFFEUA51B Inr/usd Fwd 20250917 221 INR 09/17/2025 11,171,322,596.00 -203,880.00 0.00
TN8JAH8D6B Eur/usd Fwd 20250722 955 EUR 07/22/2025 12,960,305.00 480,032.00 0.00
SWB8AE1NJ0 Cdx.na.hy.43.v1 5yr Rtp @ 99.00000 07/16/2025 520,000,000.00 165,987.00 0.00
SWB8AE1XSF Cdx.na.hy.44.v1 5yr Rtp @ 99.00000 08/20/2025 2,500,000,000.00 2,140,064.00 0.00
SWB8AE2DBH FWD: Tbond 3.625 15-feb-44 01/06/2026 Ci 01/26/2026 200,000,000.00 1,250,000.00 0.00
SWB8ADU3SU Israel Gap Option 04/24/2026 04/26/2026 -20,000,000.00 -37,908.00 0.00
SWB8ADUGYA 3Y Rtr 3.046000 25-jul-2025 07/25/2025 -165,980,000.00 -77,800.00 0.00
SWB8ADUGYD 3Y Rtr 2.896000 25-jul-2025 07/25/2025 165,980,000.00 30,686.00 0.00
SWB8ADGRUU Trswap: Tbond 4.250 15-aug-54 07/24/2025 07/24/2025 245,800,000.00 -1,401,428.00 0.00
SWB8ADH8XR Scds: (pemex) 1.00000 20 Dec, 2025 1.0 12/20/2025 -15,000,000.00 142,878.00 0.00
SWB8ADH9P7 Scds: (pemex) 1.00000 20 Dec, 2025 1.0 12/20/2025 -10,000,000.00 95,252.00 0.00
SWB8ADJ71C Scds: (pemex) 4.75.00000 07 May, 2026 4.75 05/07/2026 80,486,400.00 1,220,022.00 0.00
SWB8ADJCRS Scds: (paclif) 2.5 08/20/2035 22,200,000.00 -61,320.00 0.00
SWB8ADLRF1 SWP: Ois Eur 2.191620 15-feb-2034_c 02/15/2034 -74,922,500.00 1,171,605.00 0.00
SWB8ADP9ZP Scds: (greece) 1.0 12/20/2030 50,000,000.00 1,074,818.00 0.00
SWB8ADUTGK Cdx.na.hy.44.v1 5yr Rtp @ 99.0000 07/16/2025 564,640,000.00 206,069.00 0.00
SWB8ADV1SG 10Y Rtr 0.400000 25-sep-2025 09/25/2025 49,940,000.00 29.00 0.00
SWB8ADWQY1 Cdx.na.ig.44.v1 5yr Rtp @ 87.50000 09/17/2025 -500,000,000.00 -160,838.00 0.00
SWB8ADWQZL Cdx.na.ig.44.v1 5yr Rtp @ 62.50000 09/17/2025 500,000,000.00 463,769.00 0.00
SWB8ADWQZM Cdx.na.ig.44.v1 5yr Rtr @ 55.00000 09/17/2025 -500,000,000.00 -1,128,509.00 0.00
SWB8ADXF40 Scds: (unh) 1.0 06/22/2026 25,055,000.00 194,578.00 0.00
SWB8ADXSKG Cdx.na.ig.44.v1 5yr Rtp @ 80.00000 07/16/2025 -421,600,000.00 -32,414.00 0.00
SWB8ADZZ0Z Cdx.na.ig.44.v1 5yr Rtr @ 52.50000 09/17/2025 -658,000,000.00 -1,029,414.00 0.00
SWB8ADZZ10 Cdx.na.ig.44.v1 5yr Rtp @ 60.00000 09/17/2025 658,000,000.00 722,620.00 0.00
SWB8ADZZ11 Cdx.na.ig.44.v1 5yr Rtp @ 80.00000 09/17/2025 -658,000,000.00 -267,336.00 0.00
SWB8AE1MSJ Trswap: Trswap: Trsbench2 Index 12/19/20 12/19/2025 -481,570.00 -519,183.00 0.00
XS29662403 Talktalk Telecom Group Ltd TALKLN 11.75 03/01/2028 11,811,865.00 1,702,423.00 0.00
SWB8ADSAD6 Scds: (adgb) 1.0 06/20/2030 -2,000,000.00 -59,781.00 0.00
SWB8ADSADH Scds: (egypt) 1.0 06/20/2030 -2,000,000.00 319,176.00 0.00
SWB8ADSADN Scds: (argent) 1.0 06/20/2030 -2,000,000.00 515,215.00 0.00
SWB8ADSADU Scds: (domrep) 1.0 06/20/2030 -2,000,000.00 70,787.00 0.00
SWB8ADSAE2 Scds: (ngeria) 1.0 06/20/2030 -2,000,000.00 320,325.00 0.00
SWB8ADSAEC Scds: (brazil) 1.0 06/20/2030 -9,000,000.00 187,418.00 0.00
SWB8ADSAFF Scds: (bhrain) 1.0 06/20/2030 -2,000,000.00 89,631.00 0.00
SWB8ADSAFJ Scds: (moroc) 1.0 06/20/2030 -2,000,000.00 -3,279.00 0.00
SWB8ADSAFM Scds: (ksa) 1.0 06/20/2030 -5,000,000.00 -73,241.00 0.00
SWB8ADSAFQ Scds: (malays) 1.0 06/20/2030 -3,000,000.00 -74,567.00 0.00
SWB8ADSAGB Scds: (china) 1.0 06/20/2030 -9,000,000.00 -203,774.00 0.00
SWB8ADSAGE Scds: (chile) 1.0 06/20/2030 -6,000,000.00 -129,603.00 0.00
SWB8ADSAGH Scds: (colom) 1.0 06/20/2030 -7,000,000.00 359,157.00 0.00
SWB8ADSAJ0 Scds: (ivycst) 1.0 06/20/2030 -2,000,000.00 239,292.00 0.00
SWB8ADSAJN Scds: (indon) 1.0 06/20/2030 -8,000,000.00 -82,670.00 0.00
SWB8ADSAK5 Scds: (panama) 1.0 06/20/2030 -2,000,000.00 77,004.00 0.00
SWB8ADSAK8 Scds: (peru) 1.0 06/20/2030 -3,000,000.00 -25,735.00 0.00
SWB8ADSAKB Scds: (soaf) 1.0 06/20/2030 -9,000,000.00 339,383.00 0.00
SWB8ADSAKE Scds: (philip) 1.0 06/20/2030 -3,000,000.00 -50,228.00 0.00
SWB8ADSAKV Scds: (turkey) 1.0 06/20/2030 -9,000,000.00 715,509.00 0.00
SWB8ADSAL7 Scds: (oman) 1.0 06/20/2030 -2,000,000.00 -1,603.00 0.00
SWB8ADSALA Scds: (mex) 1.0 06/20/2030 -9,000,000.00 26,864.00 0.00
SWB8ADSALX CDS: (cdx.em.43.v1) 1.0 06/20/2030 100,000,000.00 -2,448,278.00 0.00
SWB8ADSCB1 Scds: (adgb) 607-skew 1.0 06/20/2030 -2,000,000.00 -59,781.00 0.00
SWB8ADSCBF Scds: (egypt) 607-skew 1.0 06/20/2030 -2,000,000.00 319,176.00 0.00
SWB8ADSCDE Scds: (argent) 607-skew 1.0 06/20/2030 -2,000,000.00 515,215.00 0.00
SWB8ADSCDH Scds: (domrep) 607-skew 1.0 06/20/2030 -2,000,000.00 70,787.00 0.00
SWB8ADSCDP Scds: (ngeria) 607-skew 1.0 06/20/2030 -2,000,000.00 320,325.00 0.00
SWB8ADSCDS Scds: (brazil) 607-skew 1.0 06/20/2030 -9,000,000.00 187,418.00 0.00
SWB8ADSCDV Scds: (bhrain) 607-skew 1.0 06/20/2030 -2,000,000.00 89,631.00 0.00
SWB8ADSCDY Scds: (moroc) 607-skew 1.0 06/20/2030 -2,000,000.00 -3,279.00 0.00
SWB8ADSCE1 Scds: (ksa) 607-skew 1.0 06/20/2030 -5,000,000.00 -73,241.00 0.00
SWB8ADSCF6 Scds: (malays) 607-skew 1.0 06/20/2030 -3,000,000.00 -74,567.00 0.00
SWB8ADSCF9 Scds: (china) 607-skew 1.0 06/20/2030 -9,000,000.00 -203,774.00 0.00
SWB8ADSCFC Scds: (chile) 607-skew 1.0 06/20/2030 -6,000,000.00 -129,603.00 0.00
SWB8ADSCHD Scds: (colom) 607-skew 1.0 06/20/2030 -7,000,000.00 359,157.00 0.00
SWB8ADSCHG Scds: (ivycst) 607-skew 1.0 06/20/2030 -2,000,000.00 239,292.00 0.00
SWB8ADSCHK Scds: (indon) 607-skew 1.0 06/20/2030 -8,000,000.00 -82,670.00 0.00
SWB8ADSCHN Scds: (panama) 607-skew 1.0 06/20/2030 -2,000,000.00 77,004.00 0.00
SWB8ADSCLG Scds: (peru) 607-skew 1.0 06/20/2030 -3,000,000.00 -25,735.00 0.00
SWB8ADSCLK Scds: (soaf) 607-skew 1.0 06/20/2030 -9,000,000.00 339,383.00 0.00
SWB8ADSCLN Scds: (philip) 607-skew 1.0 06/20/2030 -3,000,000.00 -50,228.00 0.00
SWB8ADSCLZ Scds: (turkey) 607-skew 1.0 06/20/2030 -9,000,000.00 715,509.00 0.00
SWB8ADSCM5 Scds: (oman) 607-skew 1.0 06/20/2030 -2,000,000.00 -1,603.00 0.00
SWB8ADSCMF Scds: (mex) 607-skew 1.0 06/20/2030 -9,000,000.00 26,864.00 0.00
SWB8ADSCMJ CDS: (cdx.em.43.v1) 607-skew 1.0 06/20/2030 100,000,000.00 -2,448,278.00 0.00
SWB8ADSHJC Scds: (adgb) 713-skew 1.0 06/20/2030 -4,000,000.00 -119,563.00 0.00
SWB8ADSHJF Scds: (egypt) 713-skew 1.0 06/20/2030 -4,000,000.00 638,352.00 0.00
SWB8ADSHJU Scds: (argent) 713-skew 1.0 06/20/2030 -4,000,000.00 1,030,430.00 0.00
SWB8ADSHJX Scds: (domrep) 713-skew 1.0 06/20/2030 -4,000,000.00 141,575.00 0.00
SWB8ADSHK0 Scds: (ngeria) 713-skew 1.0 06/20/2030 -4,000,000.00 640,650.00 0.00
SWB8ADSHKQ Scds: (brazil) 713-skew 1.0 06/20/2030 -18,000,000.00 374,837.00 0.00
SWB8ADSHL9 Scds: (bhrain) 713-skew 1.0 06/20/2030 -4,000,000.00 179,262.00 0.00
SWB8ADSHMB Scds: (moroc) 713-skew 1.0 06/20/2030 -4,000,000.00 -6,558.00 0.00
SWB8ADSHMJ Scds: (ksa) 713-skew 1.0 06/20/2030 -10,000,000.00 -146,482.00 0.00
SWB8ADSHMS Scds: (malays) 713-skew 1.0 06/20/2030 -6,000,000.00 -149,134.00 0.00
SWB8ADSHMZ Scds: (china) 713-skew 1.0 06/20/2030 -18,000,000.00 -407,548.00 0.00
SWB8ADSHN2 Scds: (chile) 713-skew 1.0 06/20/2030 -12,000,000.00 -259,207.00 0.00
SWB8ADSHNL Scds: (colom) 713-skew 1.0 06/20/2030 -14,000,000.00 718,315.00 0.00
SWB8ADSHNP Scds: (ivycst) 713-skew 1.0 06/20/2030 -4,000,000.00 478,584.00 0.00
SWB8ADSHNZ Scds: (indon) 713-skew 1.0 06/20/2030 -16,000,000.00 -165,340.00 0.00
SWB8ADSHP6 Scds: (panama) 713-skew 1.0 06/20/2030 -4,000,000.00 154,008.00 0.00
SWB8ADSHP9 Scds: (peru) 713-skew 1.0 06/20/2030 -6,000,000.00 -51,470.00 0.00
SWB8ADSHPC Scds: (soaf) 713-skew 1.0 06/20/2030 -18,000,000.00 678,766.00 0.00
SWB8ADSHPH Scds: (philip) 713-skew 1.0 06/20/2030 -6,000,000.00 -100,457.00 0.00
SWB8ADSHPM Scds: (turkey) 713-skew 1.0 06/20/2030 -18,000,000.00 1,431,019.00 0.00
SWB8ADSHPS Scds: (oman) 713-skew 1.0 06/20/2030 -4,000,000.00 -3,206.00 0.00
SWB8ADSHPY Scds: (mex) 713-skew 1.0 06/20/2030 -18,000,000.00 53,729.00 0.00
SWB8ADQ7VA Scds: (adgb) 1.0 06/20/2030 -4,000,000.00 -119,563.00 0.00
SWB8ADQ7VD Scds: (egypt) 1.0 06/20/2030 -4,000,000.00 638,352.00 0.00
SWB8ADQ7VX Scds: (argent) 1.0 06/20/2030 -4,000,000.00 1,030,430.00 0.00
SWB8ADQ7W0 Scds: (domrep) 1.0 06/20/2030 -4,000,000.00 141,575.00 0.00
SWB8ADQ7W3 Scds: (ngeria) 1.0 06/20/2030 -4,000,000.00 640,650.00 0.00
SWB8ADQ7W6 Scds: (brazil) 1.0 06/20/2030 -18,000,000.00 374,837.00 0.00
SWB8ADQ7WJ Scds: (bhrain) 1.0 06/20/2030 -4,000,000.00 179,262.00 0.00
SWB8ADQ7WM Scds: (moroc) 1.0 06/20/2030 -4,000,000.00 -6,558.00 0.00
SWB8ADQ7WR Scds: (ksa) 1.0 06/20/2030 -10,000,000.00 -146,482.00 0.00
SWB8ADQ7WU Scds: (malays) 1.0 06/20/2030 -6,000,000.00 -149,134.00 0.00
SWB8ADQ7WX Scds: (china) 1.0 06/20/2030 -18,000,000.00 -407,548.00 0.00
SWB8ADQ7X0 Scds: (chile) 1.0 06/20/2030 -12,000,000.00 -259,207.00 0.00
SWB8ADQ7X3 Scds: (colom) 1.0 06/20/2030 -14,000,000.00 718,315.00 0.00
SWB8ADQ7X6 Scds: (ivycst) 1.0 06/20/2030 -4,000,000.00 478,584.00 0.00
SWB8ADQ7X9 Scds: (indon) 1.0 06/20/2030 -16,000,000.00 -165,340.00 0.00
SWB8ADQ7XC Scds: (panama) 1.0 06/20/2030 -4,000,000.00 154,008.00 0.00
SWB8ADQ7XF Scds: (peru) 1.0 06/20/2030 -6,000,000.00 -51,470.00 0.00
SWB8ADQ7XJ Scds: (soaf) 1.0 06/20/2030 -18,000,000.00 678,766.00 0.00
SWB8ADQ7XM Scds: (philip) 1.0 06/20/2030 -6,000,000.00 -100,457.00 0.00
SWB8ADQ7XQ Scds: (turkey) 1.0 06/20/2030 -18,000,000.00 1,431,019.00 0.00
SWB8ADQ7XT Scds: (oman) 1.0 06/20/2030 -4,000,000.00 -3,206.00 0.00
SWB8ADQ7XX Scds: (mex) 1.0 06/20/2030 -18,000,000.00 53,729.00 0.00
SWB8ADS5J2 Scds: (adgb) 1.0 06/20/2030 -4,000,000.00 -119,563.00 0.00
SWB8ADS5J5 Scds: (egypt) 1.0 06/20/2030 -4,000,000.00 638,352.00 0.00
SWB8ADS5JB Scds: (argent) 1.0 06/20/2030 -4,000,000.00 1,030,430.00 0.00
SWB8ADS5JE Scds: (domrep) 1.0 06/20/2030 -4,000,000.00 141,575.00 0.00
SWB8ADS5JH Scds: (ngeria) 1.0 06/20/2030 -4,000,000.00 640,650.00 0.00
SWB8ADS5JL Scds: (brazil) 1.0 06/20/2030 -18,000,000.00 374,837.00 0.00
SWB8ADS5JP Scds: (bhrain) 1.0 06/20/2030 -4,000,000.00 179,262.00 0.00
SWB8ADS5JS Scds: (moroc) 1.0 06/20/2030 -4,000,000.00 -6,558.00 0.00
SWB8ADS5JV Scds: (ksa) 1.0 06/20/2030 -10,000,000.00 -146,482.00 0.00
SWB8ADS5JY Scds: (malays) 1.0 06/20/2030 -6,000,000.00 -149,134.00 0.00
SWB8ADS5K2 Scds: (china) 1.0 06/20/2030 -18,000,000.00 -407,548.00 0.00
SWB8ADS5K6 Scds: (chile) 1.0 06/20/2030 -12,000,000.00 -259,207.00 0.00
SWB8ADS5K9 Scds: (colom) 1.0 06/20/2030 -14,000,000.00 718,315.00 0.00
SWB8ADS5KC Scds: (ivycst) 1.0 06/20/2030 -4,000,000.00 478,584.00 0.00
SWB8ADS5KM Scds: (indon) 1.0 06/20/2030 -16,000,000.00 -165,340.00 0.00
SWB8ADS5KS Scds: (panama) 1.0 06/20/2030 -4,000,000.00 154,008.00 0.00
SWB8ADS5KY Scds: (peru) 1.0 06/20/2030 -6,000,000.00 -51,470.00 0.00
SWB8ADS5L2 Scds: (soaf) 1.0 06/20/2030 -18,000,000.00 678,766.00 0.00
SWB8ADS5L5 Scds: (philip) 1.0 06/20/2030 -6,000,000.00 -100,457.00 0.00
SWB8ADS5LU Scds: (turkey) 1.0 06/20/2030 -18,000,000.00 1,431,019.00 0.00
SWB8ADS5LX Scds: (oman) 1.0 06/20/2030 -4,000,000.00 -3,206.00 0.00
SWB8ADS5M1 Scds: (mex) 1.0 06/20/2030 -18,000,000.00 53,729.00 0.00
SWB8ADSQVT Scds: (adgb) 720-skew 1.0 06/20/2030 -2,000,000.00 -59,781.00 0.00
SWB8ADSQVX Scds: (egypt) 720-skew 1.0 06/20/2030 -2,000,000.00 319,176.00 0.00
SWB8ADSQW1 Scds: (argent) 720-skew 1.0 06/20/2030 -2,000,000.00 515,215.00 0.00
SWB8ADSQWD Scds: (domrep) 720-skew 1.0 06/20/2030 -2,000,000.00 70,787.00 0.00
SWB8ADSQWH Scds: (ngeria) 720-skew 1.0 06/20/2030 -2,000,000.00 320,325.00 0.00
SWB8ADSQWP Scds: (brazil) 720-skew 1.0 06/20/2030 -9,000,000.00 187,418.00 0.00
SWB8ADSQWY Scds: (bhrain) 720-skew 1.0 06/20/2030 -2,000,000.00 89,631.00 0.00
SWB8ADSQX3 Scds: (moroc) 720-skew 1.0 06/20/2030 -2,000,000.00 -3,279.00 0.00
SWB8ADSQX6 Scds: (ksa) 720-skew 1.0 06/20/2030 -5,000,000.00 -73,241.00 0.00
SWB8ADSQX9 Scds: (malays) 720-skew 1.0 06/20/2030 -3,000,000.00 -74,567.00 0.00
SWB8ADSQXC Scds: (china) 720-skew 1.0 06/20/2030 -9,000,000.00 -203,774.00 0.00
SWB8ADSQXG Scds: (chile) 720-skew 1.0 06/20/2030 -6,000,000.00 -129,603.00 0.00
SWB8ADSQXK Scds: (colom) 720-skew 1.0 06/20/2030 -7,000,000.00 359,157.00 0.00
SWB8ADSQXP Scds: (ivycst) 720-skew 1.0 06/20/2030 -2,000,000.00 239,292.00 0.00
SWB8ADSQXS Scds: (indon) 720-skew 1.0 06/20/2030 -8,000,000.00 -82,670.00 0.00
SWB8ADSQXV Scds: (panama) 720-skew 1.0 06/20/2030 -2,000,000.00 77,004.00 0.00
SWB8ADSQY6 Scds: (peru) 720-skew 1.0 06/20/2030 -3,000,000.00 -25,735.00 0.00
SWB8ADSQY9 Scds: (soaf) 720-skew 1.0 06/20/2030 -9,000,000.00 339,383.00 0.00
SWB8ADSQYG Scds: (philip) 720-skew 1.0 06/20/2030 -3,000,000.00 -50,228.00 0.00
SWB8ADSQYN Scds: (turkey) 720-skew 1.0 06/20/2030 -9,000,000.00 715,509.00 0.00
SWB8ADSQYT Scds: (oman) 720-skew 1.0 06/20/2030 -2,000,000.00 -1,603.00 0.00
SWB8ADSQYW Scds: (mex) 720-skew 1.0 06/20/2030 -9,000,000.00 26,864.00 0.00
SWB8ADSQYZ CDS: (cdx.em.43.v1) 720-skew 1.0 06/20/2030 100,000,000.00 -2,448,278.00 0.00
SWB8ADTLRY Scds: (adgb) 714-skew 1.0 06/20/2030 -2,000,000.00 -59,781.00 0.00
SWB8ADTLS1 Scds: (egypt) 714-skew 1.0 06/20/2030 -2,000,000.00 319,176.00 0.00
SWB8ADTLS4 Scds: (argent) 714-skew 1.0 06/20/2030 -2,000,000.00 515,215.00 0.00
SWB8ADTLS7 Scds: (domrep) 714-skew 1.0 06/20/2030 -2,000,000.00 70,787.00 0.00
SWB8ADTLSA Scds: (ngeria) 714-skew 1.0 06/20/2030 -2,000,000.00 320,325.00 0.00
SWB8ADTLSD Scds: (brazil) 714-skew 1.0 06/20/2030 -9,000,000.00 187,418.00 0.00
SWB8ADTLSJ Scds: (bhrain) 714-skew 1.0 06/20/2030 -2,000,000.00 89,631.00 0.00
SWB8ADTLSM Scds: (moroc) 714-skew 1.0 06/20/2030 -2,000,000.00 -3,279.00 0.00
SWB8ADTLST Scds: (ksa) 714-skew 1.0 06/20/2030 -5,000,000.00 -73,241.00 0.00
SWB8ADTLSW Scds: (malays) 714-skew 1.0 06/20/2030 -3,000,000.00 -74,567.00 0.00
SWB8ADTLSZ Scds: (china) 714-skew 1.0 06/20/2030 -9,000,000.00 -203,774.00 0.00
SWB8ADTLT5 Scds: (chile) 714-skew 1.0 06/20/2030 -6,000,000.00 -129,603.00 0.00
SWB8ADTLTA Scds: (colom) 714-skew 1.0 06/20/2030 -7,000,000.00 359,157.00 0.00
SWB8ADTLTD Scds: (ivycst) 714-skew 1.0 06/20/2030 -2,000,000.00 239,292.00 0.00
SWB8ADTLTG Scds: (indon) 714-skew 1.0 06/20/2030 -8,000,000.00 -82,670.00 0.00
SWB8ADTLTK Scds: (panama) 714-skew 1.0 06/20/2030 -2,000,000.00 77,004.00 0.00
SWB8ADTLTN Scds: (peru) 714-skew 1.0 06/20/2030 -3,000,000.00 -25,735.00 0.00
SWB8ADTLTR Scds: (soaf) 714-skew 1.0 06/20/2030 -9,000,000.00 339,383.00 0.00
SWB8ADTLTU Scds: (philip) 714-skew 1.0 06/20/2030 -3,000,000.00 -50,228.00 0.00
SWB8ADTLTX Scds: (turkey) 714-skew 1.0 06/20/2030 -9,000,000.00 715,509.00 0.00
SWB8ADTLU0 Scds: (oman) 714-skew 1.0 06/20/2030 -2,000,000.00 -1,603.00 0.00
SWB8ADTLU3 Scds: (mex) 714-skew 1.0 06/20/2030 -9,000,000.00 26,864.00 0.00
SWB8ADTLU7 CDS: (cdx.em.43.v1) 714-skew 1.0 06/20/2030 100,000,000.00 -2,448,278.00 0.00
SWB8ACGQEN CDS: (cdx.sanjose.5-10%) 0.5 12/20/2025 -60,000,000.00 -34,156.00 0.00
SWB8ACGQES CDS: (cdx.sanjose.10-15%) 0.5 12/20/2025 -60,000,000.00 -118,226.00 0.00
SWB8ACGQEV CDS: (cdx.sanjose.15-100%) 0.5 12/20/2025 -1,009,978,500.00 -2,435,562.00 0.00
LI41Q981GS Eur/usd Fwd 20250722 Deutgb22 EUR 07/22/2025 25,821,067.00 869,628.00 0.00
NLMRN39UIG Gbp/usd Fwd 20250722 5 GBP 07/22/2025 38,503,403.00 1,788,526.00 0.00
NMLBK7K9GC Sgd/usd Fwd 20250917 5 SGD 09/17/2025 -135,009,425.00 -1,114,134.00 0.00
OEU5 COMDT Euro-bobl Future Sep25 OEU5 09/08/2025 -349,048,071.00 972,814.00 0.00
SWB8AD3GPB Morgan Stanley Cds 20251220 1.0 12/20/2025 63,080,000.00 245,386.00 0.00
SWB8AD3GPH Citigroup Inc Cds 20251220 1.0 12/20/2025 63,080,000.00 242,226.00 0.00
SWB8AD3GPM BANK Of America Corp Cds 20251220 1.0 12/20/2025 63,080,000.00 246,072.00 0.00
SWB8AD6FD6 Petroleos Mexicanos Cds 20270320 1.0 03/20/2027 -20,000,000.00 756,312.00 0.00
SWB8AD6Y25 Optics Bidco Spa Cds 20251220 0.5 12/20/2025 6,593,407.00 -1,319.00 0.00
SWB8AD72YT Scds: (petbra) 1.00000 20 Jun, 2029 1.0 06/20/2029 -5,000,000.00 41,302.00 0.00
SWB8AD9FST Petroleos Mexicanos Cds 20250920 2.01 09/20/2025 70,000,000.00 -139,680.00 0.00
SWB8ADBQBM Norway Kingdom Of (government) Cds 20251 12/20/2025 34,920,000.00 -6,903.00 0.00
SWB8ACMVUZ ABU Dhabi (emirate Of) Cds 20270620 1.0 06/20/2027 1,000,000.00 16,082.00 0.00
SWB8ACMVV3 Egypt (arab Republic Of) Cds 20270620 1.0 06/20/2027 1,000,000.00 -49,312.00 0.00
SWB8ACMVV9 Argentina Republic Of Government Cds 202 1.0 06/20/2027 1,000,000.00 -109,256.00 0.00
SWB8ACMVVF Brazil Federative Republic Of (governmen 1.0 06/20/2027 6,000,000.00 40,618.00 0.00
SWB8ACMVVJ Saudi Arabia (kingdom Of) Cds 20270620 1.0 06/20/2027 1,000,000.00 11,967.00 0.00
SWB8ACMVVR Malaysia (government) Cds 20270620 1.0 06/20/2027 1,500,000.00 22,792.00 0.00
SWB8ACMVVY China Peoples Republic Of (government) C 1.0 06/20/2027 6,000,000.00 80,320.00 0.00
SWB8ACMVW1 Chile (republic Of) Cds 20270620 1.0 06/20/2027 1,500,000.00 22,201.00 0.00
SWB8ACMVW4 Colombia (republic Of) Cds 20270620 1.0 06/20/2027 3,000,000.00 -8,338.00 0.00
SWB8ACMVW7 Indonesia (republic Of) Cds 20270620 1.0 06/20/2027 4,500,000.00 53,627.00 0.00
SWB8ACMVWA Panama Republic Of (government) Cds 2027 1.0 06/20/2027 1,000,000.00 -276.00 0.00
SWB8ACMVWD PERU (republic Of) Cds 20270620 1.0 06/20/2027 1,500,000.00 17,999.00 0.00
SWB8ACMVWG South Africa (republic Of) Cds 20270620 1.0 06/20/2027 6,000,000.00 17,363.00 0.00
SWB8ACMVWK Philippines (republic Of) Cds 20270620 1.0 06/20/2027 1,000,000.00 13,728.00 0.00
SWB8ACMVWN Turkey (republic Of) Cds 20270620 1.0 06/20/2027 6,000,000.00 -95,251.00 0.00
SWB8ACMVWR Qatar (state Of) Cds 20270620 1.0 06/20/2027 1,000,000.00 16,166.00 0.00
SWB8ACMW7A Mexico (united Mexican States) (governme 1.0 06/20/2027 6,000,000.00 54,781.00 0.00
SWB8ACMW7D Cdx.em.37.v2 1.0 06/20/2027 -49,000,000.00 -198,032.00 0.00
SWB8ACX1VG CDS: (gs_24-pc-a Jul 24) 1.65 08/02/2027 99,727,948.00 133,217.00 0.00
SWB8ACYEX4 SWP: Ois Sofr 4.395000 19-aug-2025 08/19/2025 1,952,755,000.00 -270,146.00 0.00
SWB8ADPA48 Scds: (greece) 1.0 12/20/2029 -50,000,000.00 -1,143,443.00 0.00
SWB8ADPA4T Scds: (spain) 1.0 12/20/2029 -75,000,000.00 -2,268,441.00 0.00
SWB8ADPMK7 Trswap: Trsbench20 Index 09/19/2025 Gsis 09/19/2025 -1,926,610.00 -1,122,517.00 0.00
SWB8ADPW5S Scds: (bmo) 1.25 11/20/2029 18,495,000.00 -46,252.00 0.00
SWB8ADPW5V Scds: (cm) 1.1 06/20/2028 14,805,000.00 46,555.00 0.00
SWB8ADQ1J2 Scds: (softbk) 1.0 06/22/2026 43,535,000.00 -190,156.00 0.00
SWB8ADQ5Y5 Scds: (adgb) 1.0 06/20/2030 -4,000,000.00 -119,563.00 0.00
SWB8ADQ5Y8 Scds: (egypt) 1.0 06/20/2030 -4,000,000.00 638,352.00 0.00
SWB8ADQ5YB Scds: (argent) 1.0 06/20/2030 -4,000,000.00 1,030,430.00 0.00
SWB8ADQ5YK Scds: (domrep) 1.0 06/20/2030 -4,000,000.00 141,575.00 0.00
SWB8ADQ5YN Scds: (ngeria) 1.0 06/20/2030 -4,000,000.00 640,650.00 0.00
SWB8ADQ5YR Scds: (brazil) 1.0 06/20/2030 -18,000,000.00 374,837.00 0.00
SWB8ADQ5YU Scds: (bhrain) 1.0 06/20/2030 -4,000,000.00 179,262.00 0.00
SWB8ADQ5YX Scds: (moroc) 1.0 06/20/2030 -4,000,000.00 -6,558.00 0.00
SWB8ADQ606 Scds: (ksa) 1.0 06/20/2030 -10,000,000.00 -146,482.00 0.00
SWB8ADQ60D Scds: (malays) 1.0 06/20/2030 -6,000,000.00 -149,134.00 0.00
SWB8ADQ611 Scds: (chile) 1.0 06/20/2030 -12,000,000.00 -259,207.00 0.00
SWB8ADQ61H Scds: (china) 1.0 06/20/2030 -18,000,000.00 -407,548.00 0.00
SWB8ADQ64Q Scds: (colom) 1.0 06/20/2030 -14,000,000.00 718,315.00 0.00
SWB8ADQ657 Scds: (ivycst) 1.0 06/20/2030 -4,000,000.00 478,584.00 0.00
SWB8ADQ664 Scds: (indon) 1.0 06/20/2030 -16,000,000.00 -165,340.00 0.00
SWB8ADQ668 Scds: (panama) 1.0 06/20/2030 -4,000,000.00 154,008.00 0.00
SWB8ADQ66B Scds: (peru) 1.0 06/20/2030 -6,000,000.00 -51,470.00 0.00
SWB8ADQ66E Scds: (soaf) 1.0 06/20/2030 -18,000,000.00 678,766.00 0.00
SWB8ADQ66L Scds: (philip) 1.0 06/20/2030 -6,000,000.00 -100,457.00 0.00
SWB8ADQ66P Scds: (turkey) 1.0 06/20/2030 -18,000,000.00 1,431,019.00 0.00
SWB8ADQ67C Scds: (oman) 1.0 06/20/2030 -4,000,000.00 -3,206.00 0.00
SWB8ADQ67F Scds: (mex) 1.0 06/20/2030 -18,000,000.00 53,729.00 0.00
SWB8ACKGLK China Peoples Republic Of (government) C 1.0 06/20/2029 69,450,000.00 1,503,626.00 0.00
SWB8ACKGLN Scds: (icbc) 1.0 06/29/2029 -34,725,000.00 -787,089.00 0.00
SWB8ACKGLR China Development Bank Cds 20290620 1.0 06/20/2029 -34,725,000.00 -801,035.00 0.00
SWB8ADCX6N SWP: Ois Sofr 3.994870 20-dec-2044_c 12/20/2044 462,295,000.00 1,899,000.00 0.00
SWB8ADD5V2 Petroleos Mexicanos Cds 20251224 3.75 12/24/2025 37,274,904.00 142,613.00 0.00
SWB8ADG4K3 Scds: (pemex) 4.10000 Mar 23, 2026 4.1 03/23/2026 47,330,000.00 323,718.00 0.00
SWB8ADGPJ3 Scds: (greece) 1.00000 20 Dec, 2027 1.0 12/20/2027 9,275,000.00 168,242.00 0.00
SWB8ADGPJR Scds: (greece) 1.00000 20 Jun, 2027 1.0 06/20/2027 12,360,000.00 195,117.00 0.00
SWB8ADGPTU Scds: (frtr) 0.25.00000 20 Dec, 2034 0.25 12/20/2034 300,000.00 -8,979.00 0.00
SWB8ADQPLJ Scds: (adgb) 1.0 06/20/2030 -2,000,000.00 -59,781.00 0.00
SWB8ADQPLV Scds: (egypt) 1.0 06/20/2030 -2,000,000.00 319,176.00 0.00
SWB8ADQPM0 Scds: (argent) 1.0 06/20/2030 -2,000,000.00 515,215.00 0.00
SWB8ADQPM5 Scds: (domrep) 1.0 06/20/2030 -2,000,000.00 70,787.00 0.00
SWB8ADQPM8 Scds: (ngeria) 1.0 06/20/2030 -2,000,000.00 320,325.00 0.00
SWB8ADQPME Scds: (brazil) 1.0 06/20/2030 -9,000,000.00 187,418.00 0.00
SWB8ADQPMH Scds: (bhrain) 1.0 06/20/2030 -2,000,000.00 89,631.00 0.00
SWB8ADQPMU Scds: (moroc) 1.0 06/20/2030 -2,000,000.00 -3,279.00 0.00
SWB8ADQPN5 Scds: (ksa) 1.0 06/20/2030 -5,000,000.00 -73,241.00 0.00
SWB8ADQPN9 Scds: (malays) 1.0 06/20/2030 -3,000,000.00 -74,567.00 0.00
SWB8ADQPNC Scds: (china) 1.0 06/20/2030 -9,000,000.00 -203,774.00 0.00
SWB8ADQPNF Scds: (chile) 1.0 06/20/2030 -6,000,000.00 -129,603.00 0.00
SWB8ADQPNJ Scds: (colom) 1.0 06/20/2030 -7,000,000.00 359,157.00 0.00
SWB8ADQPP6 Scds: (ivycst) 1.0 06/20/2030 -2,000,000.00 239,292.00 0.00
SWB8ADQPPG Scds: (indon) 1.0 06/20/2030 -8,000,000.00 -82,670.00 0.00
SWB8ADQPQ4 Scds: (panama) 1.0 06/20/2030 -2,000,000.00 77,004.00 0.00
SWB8ADQPQ8 Scds: (peru) 1.0 06/20/2030 -3,000,000.00 -25,735.00 0.00
SWB8ADQPQB Scds: (soaf) 1.0 06/20/2030 -9,000,000.00 339,383.00 0.00
SWB8ADQPQE Scds: (philip) 1.0 06/20/2030 -3,000,000.00 -50,228.00 0.00
SWB8ADQPQH Scds: (turkey) 1.0 06/20/2030 -9,000,000.00 715,509.00 0.00
SWB8ADQPQS Scds: (oman) 1.0 06/20/2030 -2,000,000.00 -1,603.00 0.00
SWB8ADQPR1 Scds: (mex) 1.0 06/20/2030 -9,000,000.00 26,864.00 0.00
SWB8ADQPRN CDS: (cdx.em.43.v1) 1.0 06/20/2030 100,000,000.00 -2,448,278.00 0.00
SWB8ADQQGT Scds: (adgb) 1.0 06/20/2030 -5,000,000.00 -149,454.00 0.00
SWB8ADQQGX Scds: (egypt) 1.0 06/20/2030 -5,000,000.00 797,941.00 0.00
SWB8ADQQH9 Scds: (argent) 1.0 06/20/2030 -5,000,000.00 1,288,038.00 0.00
SWB8ADQQHL Scds: (domrep) 1.0 06/20/2030 -5,000,000.00 176,969.00 0.00
SWB8ADQQHP Scds: (ngeria) 1.0 06/20/2030 -5,000,000.00 800,812.00 0.00
SWB8ADQQJ7 Scds: (brazil) 1.0 06/20/2030 -22,500,000.00 468,547.00 0.00
SWB8ADQQJG Scds: (bhrain) 1.0 06/20/2030 -5,000,000.00 224,078.00 0.00
SWB8ADQQJK Scds: (moroc) 1.0 06/20/2030 -5,000,000.00 -8,198.00 0.00
SWB8ADQQJN Scds: (ksa) 1.0 06/20/2030 -12,500,000.00 -183,102.00 0.00
SWB8ADQQK3 Scds: (malays) 1.0 06/20/2030 -7,500,000.00 -186,417.00 0.00
SWB8ADQQKN Scds: (china) 1.0 06/20/2030 -22,500,000.00 -509,435.00 0.00
SWB8ADQQKR Scds: (chile) 1.0 06/20/2030 -15,000,000.00 -324,008.00 0.00
SWB8ADQQKU Scds: (colom) 1.0 06/20/2030 -17,500,000.00 897,894.00 0.00
SWB8ADQQKX Scds: (ivycst) 1.0 06/20/2030 -5,000,000.00 598,230.00 0.00
SWB8ADQQL1 Scds: (indon) 1.0 06/20/2030 -20,000,000.00 -206,675.00 0.00
SWB8ADQQL4 Scds: (panama) 1.0 06/20/2030 -5,000,000.00 192,510.00 0.00
SWB8ADQQLA Scds: (peru) 1.0 06/20/2030 -7,500,000.00 -64,338.00 0.00
SWB8ADQQLG Scds: (soaf) 1.0 06/20/2030 -22,500,000.00 848,457.00 0.00
SWB8ADQQLM Scds: (philip) 1.0 06/20/2030 -7,500,000.00 -125,571.00 0.00
SWB8ADQQLR Scds: (turkey) 1.0 06/20/2030 -22,500,000.00 1,788,774.00 0.00
SWB8ADQQLU Scds: (oman) 1.0 06/20/2030 -5,000,000.00 -4,007.00 0.00
SWB8ADQQLX Scds: (mex) 1.0 06/20/2030 -22,500,000.00 67,161.00 0.00
SWB8ADQQNQ 10Y Rtr 3.207500 25-sep-2025 09/25/2025 -99,880,000.00 -314,076.00 0.00
SWB8ADQQR4 10Y Rtr 3.532500 25-sep-2025 09/25/2025 49,940,000.00 472,427.00 0.00
SWB8ADQXVH Scds: (pemex) 3.8 12/22/2025 53,000,000.00 1,024,519.00 0.00
SWB8ADQXWN Scds: (pemex) 2.8 12/22/2025 -53,000,000.00 30,203.00 0.00
SWB8ADQY3V Scds: (adgb) 1.0 06/20/2030 -2,000,000.00 -59,781.00 0.00
SWB8ADQY3Y Scds: (egypt) 1.0 06/20/2030 -2,000,000.00 319,176.00 0.00
SWB8ADQY43 Scds: (argent) 1.0 06/20/2030 -2,000,000.00 515,215.00 0.00
SWB8ADQY48 Scds: (domrep) 1.0 06/20/2030 -2,000,000.00 70,787.00 0.00
SWB8ADQY4B Scds: (ngeria) 1.0 06/20/2030 -2,000,000.00 320,325.00 0.00
SWB8ADQY4G Scds: (brazil) 1.0 06/20/2030 -9,000,000.00 187,418.00 0.00
SWB8ADQY4K Scds: (bhrain) 1.0 06/20/2030 -2,000,000.00 89,631.00 0.00
SWB8ADQY4N Scds: (moroc) 1.0 06/20/2030 -2,000,000.00 -3,279.00 0.00
SWB8ADQY4T Scds: (ksa) 1.0 06/20/2030 -5,000,000.00 -73,241.00 0.00
SWB8ADQY4Y Scds: (malays) 1.0 06/20/2030 -3,000,000.00 -74,567.00 0.00
SWB8ADQY5C Scds: (china) 1.0 06/20/2030 -9,000,000.00 -203,774.00 0.00
SWB8ADQY5G Scds: (chile) 1.0 06/20/2030 -6,000,000.00 -129,603.00 0.00
SWB8ADQY5K Scds: (colom) 1.0 06/20/2030 -7,000,000.00 359,157.00 0.00
SWB8ADQY5Q Scds: (ivycst) 1.0 06/20/2030 -2,000,000.00 239,292.00 0.00
SWB8ADQY5X Scds: (panama) 1.0 06/20/2030 -2,000,000.00 77,004.00 0.00
SWB8ADQY63 Scds: (peru) 1.0 06/20/2030 -3,000,000.00 -25,735.00 0.00
SWB8ADQY67 Scds: (soaf) 1.0 06/20/2030 -9,000,000.00 339,383.00 0.00
SWB8ADQY6A Scds: (philip) 1.0 06/20/2030 -3,000,000.00 -50,228.00 0.00
SWB8ADQY6E Scds: (turkey) 1.0 06/20/2030 -9,000,000.00 715,509.00 0.00
SWB8ADQY6H Scds: (oman) 1.0 06/20/2030 -2,000,000.00 -1,603.00 0.00
SWB8ADQY6M Scds: (mex) 1.0 06/20/2030 -9,000,000.00 26,864.00 0.00
SWB8ADQY6Q CDS: (cdx.em.43.v1) 1.0 06/20/2030 100,000,000.00 -2,448,278.00 0.00
SWB8ADQY71 Scds: (indon) 1.0 06/20/2030 -8,000,000.00 -82,670.00 0.00
SWB8ADR2N2 Scds: (egypt) 1.0 06/20/2030 -2,000,000.00 318,620.00 0.00
SWB8ADR2NF Scds: (argent) 1.0 06/20/2030 -2,000,000.00 514,659.00 0.00
SWB8ADR2NL Scds: (domrep) 1.0 06/20/2030 -2,000,000.00 70,232.00 0.00
SWB8ADR2NT Scds: (ngeria) 1.0 06/20/2030 -2,000,000.00 319,769.00 0.00
SWB8ADR2P1 Scds: (brazil) 1.0 06/20/2030 -9,000,000.00 184,918.00 0.00
SWB8ADR2PD Scds: (bhrain) 1.0 06/20/2030 -2,000,000.00 89,075.00 0.00
SWB8ADR2PN Scds: (moroc) 1.0 06/20/2030 -2,000,000.00 -3,834.00 0.00
SWB8ADR2PR Scds: (colom) 1.0 06/20/2030 -7,000,000.00 357,213.00 0.00
SWB8ADR2PU Scds: (ivycst) 1.0 06/20/2030 -2,000,000.00 238,736.00 0.00
SWB8ADR2PY Scds: (soaf) 1.0 06/20/2030 -9,000,000.00 336,883.00 0.00
SWB8ADR2Q2 Scds: (turkey) 1.0 06/20/2030 -9,000,000.00 713,009.00 0.00
SWB8ADR2Q8 Scds: (oman) 1.0 06/20/2030 -2,000,000.00 -2,158.00 0.00
SWB8AABA56 ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 24,763.00 0.00
SWB8AABACE Argentina Republic Of Government Cds 202 1.0 12/20/2026 2,000,000.00 -163,125.00 0.00
SWB8AABAD4 Brazil Federative Republic Of (governmen 1.0 12/20/2026 12,000,000.00 70,891.00 0.00
SWB8AABAD7 Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 19,111.00 0.00
SWB8AABADA Malaysia (government) Cds 20261220 1.0 12/20/2026 4,000,000.00 47,294.00 0.00
SWB8AABADD China Peoples Republic Of (government) C 1.0 12/20/2026 12,000,000.00 124,480.00 0.00
SWB8AABADG Chile (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 22,977.00 0.00
SWB8AABADK Colombia (republic Of) Cds 20261220 1.0 12/20/2026 5,000,000.00 -2,028.00 0.00
SWB8AABADN Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 9,000,000.00 86,681.00 0.00
SWB8AABADR Panama Republic Of (government) Cds 2026 1.0 12/20/2026 2,000,000.00 1,921.00 0.00
SWB8AABADV PERU (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 18,881.00 0.00
SWB8AABADY South Africa (republic Of) Cds 20261220 1.0 12/20/2026 11,000,000.00 42,855.00 0.00
SWB8AABAE1 Philippines (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 21,702.00 0.00
SWB8AABAE4 Turkey (republic Of) Cds 20261220 1.0 12/20/2026 12,000,000.00 -117,808.00 0.00
SWB8AABAEA Qatar (state Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 25,029.00 0.00
SWB8AABAEG Mexico (united Mexican States) (governme 1.0 12/20/2026 11,000,000.00 83,720.00 0.00
SWB8AABAEK Cdx.em.36.v1 1.0 12/20/2026 -92,000,000.00 -523,488.00 0.00
SWB8AACW61 ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 24,763.00 0.00
SWB8AACW6G Argentina Republic Of Government Cds 202 1.0 12/20/2026 2,000,000.00 -163,125.00 0.00
SWB8AACW6K Brazil Federative Republic Of (governmen 1.0 12/20/2026 12,000,000.00 70,891.00 0.00
SWB8AACW6N Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 19,111.00 0.00
SWB8AACW6R Malaysia (government) Cds 20261220 1.0 12/20/2026 4,000,000.00 47,294.00 0.00
SWB8AACW6U China Peoples Republic Of (government) C 1.0 12/20/2026 12,000,000.00 124,480.00 0.00
SWB8AACW6X Chile (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 22,977.00 0.00
SWB8AACW70 Colombia (republic Of) Cds 20261220 1.0 12/20/2026 5,000,000.00 -2,028.00 0.00
SWB8AACW73 Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 9,000,000.00 86,681.00 0.00
SWB8AACW76 Panama Republic Of (government) Cds 2026 1.0 12/20/2026 2,000,000.00 1,921.00 0.00
SWB8AACW79 PERU (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 18,881.00 0.00
SWB8AACW7C South Africa (republic Of) Cds 20261220 1.0 12/20/2026 11,000,000.00 42,855.00 0.00
SWB8AACW7F Philippines (republic Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 21,702.00 0.00
SWB8AACW7J Turkey (republic Of) Cds 20261220 1.0 12/20/2026 12,000,000.00 -117,808.00 0.00
SWB8AACW7Q Qatar (state Of) Cds 20261220 1.0 12/20/2026 2,000,000.00 25,029.00 0.00
SWB8AACW7W Mexico (united Mexican States) (governme 1.0 12/20/2026 11,000,000.00 83,720.00 0.00
SWB8AACW7Z Cdx.em.36.v1 1.0 12/20/2026 -92,000,000.00 -523,488.00 0.00
SWB8AACW94 ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 49,526.00 0.00
SWB8AACW97 Argentina Republic Of Government Cds 202 1.0 12/20/2026 4,000,000.00 -326,251.00 0.00
SWB8AACW9C Brazil Federative Republic Of (governmen 1.0 12/20/2026 24,000,000.00 141,782.00 0.00
SWB8AACW9F Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 38,223.00 0.00
SWB8AACW9J Malaysia (government) Cds 20261220 1.0 12/20/2026 8,000,000.00 94,588.00 0.00
SWB8AACW9M China Peoples Republic Of (government) C 1.0 12/20/2026 24,000,000.00 248,961.00 0.00
SWB8AACW9Q Chile (republic Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 45,955.00 0.00
SWB8AACW9T Colombia (republic Of) Cds 20261220 1.0 12/20/2026 10,000,000.00 -4,057.00 0.00
SWB8AACW9W Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 18,000,000.00 173,363.00 0.00
SWB8AACW9Z Panama Republic Of (government) Cds 2026 1.0 12/20/2026 4,000,000.00 3,843.00 0.00
SWB8AACWA2 PERU (republic Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 37,762.00 0.00
SWB8AACWA5 South Africa (republic Of) Cds 20261220 1.0 12/20/2026 22,000,000.00 85,711.00 0.00
SWB8AACWA8 Philippines (republic Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 43,404.00 0.00
SWB8AACWAB Turkey (republic Of) Cds 20261220 1.0 12/20/2026 24,000,000.00 -235,617.00 0.00
SWB8AACWAH Qatar (state Of) Cds 20261220 1.0 12/20/2026 4,000,000.00 50,058.00 0.00
SWB8AACWAX Mexico (united Mexican States) (governme 1.0 12/20/2026 22,000,000.00 167,441.00 0.00
SWB8AACWB0 Cdx.em.36.v1 1.0 12/20/2026 -184,000,000.00 -1,046,976.00 0.00
SWB8AAD0JX ABU Dhabi (emirate Of) Cds 20260620 1.0 06/20/2026 1,500,000.00 12,896.00 0.00
SWB8AAD0K0 Argentina Republic Of Government Cds 202 1.0 06/20/2026 1,500,000.00 -77,737.00 0.00
SWB8AAD0K4 Brazil Federative Republic Of (governmen 1.0 06/20/2026 9,000,000.00 45,204.00 0.00
SWB8AAD0K7 Chile (republic Of) Cds 20260620 1.0 06/20/2026 1,500,000.00 12,150.00 0.00
SWB8AAD0KD China Peoples Republic Of (government) C 1.0 06/20/2026 9,000,000.00 65,588.00 0.00
SWB8AAD0KG Colombia (republic Of) Cds 20260620 1.0 06/20/2026 3,750,000.00 7,662.00 0.00
SWB8AAD0KK Indonesia (republic Of) Cds 20260620 1.0 06/20/2026 6,750,000.00 49,190.00 0.00
SWB8AAD0KN Saudi Arabia (kingdom Of) Cds 20260620 1.0 06/20/2026 1,500,000.00 10,627.00 0.00
SWB8AAD0LK Malaysia (government) Cds 20260620 1.0 06/20/2026 3,000,000.00 25,118.00 0.00
SWB8AAD0N3 Panama Republic Of (government) Cds 2026 1.0 06/20/2026 1,500,000.00 3,352.00 0.00
SWB8AAD0NG PERU (republic Of) Cds 20260620 1.0 06/20/2026 1,500,000.00 10,230.00 0.00
SWB8AAD0NR Philippines (republic Of) Cds 20260620 1.0 06/20/2026 1,500,000.00 11,855.00 0.00
SWB8AAD0NX Qatar (state Of) Cds 20260620 1.0 06/20/2026 1,500,000.00 13,170.00 0.00
SWB8AAD0PJ South Africa (republic Of) Cds 20260620 1.0 06/20/2026 7,500,000.00 36,959.00 0.00
SWB8AAD0PV Turkey (republic Of) Cds 20260620 1.0 06/20/2026 9,000,000.00 -31,808.00 0.00
SWB8AAD0QP Cdx.em.35.v1 1.0 06/20/2026 -69,000,000.00 -365,003.00 0.00
SWB8AAD0R5 Mexico (united Mexican States) (governme 1.0 06/20/2026 9,000,000.00 54,476.00 0.00
SWB8AAD88U ABU Dhabi (emirate Of) Cds 20261220 1.0 12/20/2026 300,000.00 3,714.00 0.00
SWB8AAD88X Argentina Republic Of Government Cds 202 1.0 12/20/2026 300,000.00 -24,468.00 0.00
SWB8AAD890 Brazil Federative Republic Of (governmen 1.0 12/20/2026 1,800,000.00 10,633.00 0.00
SWB8AAD893 Saudi Arabia (kingdom Of) Cds 20261220 1.0 12/20/2026 300,000.00 2,866.00 0.00
SWB8AAD896 Malaysia (government) Cds 20261220 1.0 12/20/2026 600,000.00 7,094.00 0.00
SWB8AAD89A China Peoples Republic Of (government) C 1.0 12/20/2026 1,800,000.00 18,672.00 0.00
SWB8AAD89D Chile (republic Of) Cds 20261220 1.0 12/20/2026 300,000.00 3,446.00 0.00
SWB8AAD89G Colombia (republic Of) Cds 20261220 1.0 12/20/2026 750,000.00 -304.00 0.00
SWB8AAD89Q Indonesia (republic Of) Cds 20261220 1.0 12/20/2026 1,350,000.00 13,002.00 0.00
SWB8AAD89T Panama Republic Of (government) Cds 2026 1.0 12/20/2026 300,000.00 288.00 0.00
SWB8AAD89W PERU (republic Of) Cds 20261220 1.0 12/20/2026 300,000.00 2,832.00 0.00
SWB8AAD89Z South Africa (republic Of) Cds 20261220 1.0 12/20/2026 1,650,000.00 6,428.00 0.00
SWB8AAD8A2 Philippines (republic Of) Cds 20261220 1.0 12/20/2026 300,000.00 3,255.00 0.00
SWB8AAD8A6 Turkey (republic Of) Cds 20261220 1.0 12/20/2026 1,800,000.00 -17,671.00 0.00
SWB8AAD8AG Qatar (state Of) Cds 20261220 1.0 12/20/2026 300,000.00 3,754.00 0.00
SWB8AAD8AN Mexico (united Mexican States) (governme 1.0 12/20/2026 1,650,000.00 12,558.00 0.00
SWB8AAD8AR Cdx.em.36.v1 1.0 12/20/2026 -13,800,000.00 -78,523.00 0.00
SWB8AAFW51 Gazprom Pao Cds 20270620 1.0 06/20/2027 -4,600,000.00 977,384.00 0.00
SWB8ABB7K4 Italy (republic Of) Cds 20271220 1.0 12/20/2027 -89,075,000.00 -2,452,964.00 0.00
SWB8ABB7KN Italy (republic Of) Cds 20271220 1.0 12/20/2027 -40,000,000.00 -977,166.00 0.00
SWB8AC8KAM Israel Electric Corp Ltd Cds 20280920 1.0 09/20/2028 -3,000,000.00 -8,747.00 0.00
SWB8ACFR5E AIR France-klm Cds 20251220 0.5 12/20/2025 13,186,813.00 10,760.00 0.00
SWB8ACFR9N Altice Finco Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 -1,154,082.00 0.00
SWB8ACFRCG Altice France Sa (france) Cds 20251220 0.5 12/20/2025 13,186,813.00 -2,102,658.00 0.00
SWB8ACFRCY Anglo American Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 22,525.00 0.00
SWB8ACFRD2 Arcelormittal Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 19,106.00 0.00
SWB8ACFRFC AT&T Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 18,157.00 0.00
SWB8ACFRFH Avient Corp Cds 20251220 0.5 12/20/2025 13,186,813.00 17,752.00 0.00
SWB8ACFRG6 AVIS Budget Group Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 -12,070.00 0.00
SWB8ACFRG9 BALL Corporation Cds 20251220 0.5 12/20/2025 13,186,813.00 19,539.00 0.00
SWB8ACFRGC BANK Of America Corp Cds 20251220 0.5 12/20/2025 13,186,813.00 18,269.00 0.00
SWB8ACFRGJ Barclays Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 18,845.00 0.00
SWB8ACFRGT Beazer Homes Usa Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 5,452.00 0.00
SWB8ACFRGY BNP Paribas Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 19,853.00 0.00
SWB8ACFRHE British American Tobacco Plc Cds 2025122 0.5 12/20/2025 13,186,813.00 26,300.00 0.00
SWB8ACFRHH CCO Holdings Llc Cds 20251220 0.5 12/20/2025 13,186,813.00 13,754.00 0.00
SWB8ACFRHL Ceconomy Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 445.00 0.00
SWB8ACFRHP Cellnex Telecom Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 23,751.00 0.00
SWB8ACFRHT Clariant Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 18,771.00 0.00
SWB8ACFRHW Commerzbank Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 21,378.00 0.00
SWB8ACFRJ0 Constellium Se(pre-reincorporation) Cds 0.5 12/20/2025 13,186,813.00 -20,069.00 0.00
SWB8ACFRKT Continental Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 24,270.00 0.00
SWB8ACFRND Davita Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 17,124.00 0.00
SWB8ACFRNS DELL Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 26,926.00 0.00
SWB8ACFRQ7 Deutsche Lufthansa Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 13,450.00 0.00
SWB8ACFRQT Devon Energy Corporation Cds 20251220 0.5 12/20/2025 13,186,813.00 17,081.00 0.00
SWB8ACFRR8 EG Global Finance Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 2,869.00 0.00
SWB8ACFRRC ELIS Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 22,876.00 0.00
SWB8ACFRRG ELO Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 -76,880.00 0.00
SWB8ACFRRL Expedia Group Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 26,651.00 0.00
SWB8ACFRSJ FORD Motor Company Cds 20251220 0.5 12/20/2025 13,186,813.00 -5,160.00 0.00
SWB8ACFRSW FORD Motor Credit Company Llc Cds 202512 0.5 12/20/2025 13,186,813.00 1,622.00 0.00
SWB8ACFRUW Forvia Se Cds 20251220 0.5 12/20/2025 13,186,813.00 -33,966.00 0.00
SWB8ACFRWU General Electric Co Cds 20251220 0.5 12/20/2025 13,186,813.00 29,018.00 0.00
SWB8ACFSCX MGIC Investment Corporation Cds 20251220 0.5 12/20/2025 13,186,813.00 24,385.00 0.00
SWB8ACFSPW Morgan Stanley Cds 20251220 0.5 12/20/2025 13,186,813.00 18,125.00 0.00
SWB8ACFTDM Jaguar Land Rover Automotive Plc Cds 202 0.5 12/20/2025 13,186,813.00 7,278.00 0.00
SWB8ACFTDZ Radian Group Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 23,319.00 0.00
SWB8ACFTF1 Renault Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 17,326.00 0.00
SWB8ACFTFG Rolls-royce Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 26,619.00 0.00
SWB8ACFTFK Naturgy Energy Group Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 23,366.00 0.00
SWB8ACFTFN Jpmorgan Chase & Co Cds 20251220 0.5 12/20/2025 13,186,813.00 21,814.00 0.00
SWB8ACFTG6 Paramount Global Cds 20251220 0.5 12/20/2025 13,186,813.00 22,029.00 0.00
SWB8ACFTGG OLIN Corp Cds 20251220 0.5 12/20/2025 13,186,813.00 10,409.00 0.00
SWB8ACFTGK KB Home Cds 20251220 0.5 12/20/2025 13,186,813.00 13,114.00 0.00
SWB8ACFTGN Schaeffler Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 2,726.00 0.00
SWB8ACFTH8 Novafives Sas Cds 20251220 0.5 12/20/2025 13,186,813.00 15,117.00 0.00
SWB8ACFTMH Nokia Oyj Cds 20251220 0.5 12/20/2025 13,186,813.00 25,108.00 0.00
SWB8ACFTML Kraft Heinz Foods Co Cds 20251220 0.5 12/20/2025 13,186,813.00 25,712.00 0.00
SWB8ACFTMP Sealed Air Corporation Cds 20251220 0.5 12/20/2025 13,186,813.00 21,000.00 0.00
SWB8ACFTMW Natwest Group Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 16,281.00 0.00
SWB8ACFTNL Sprint Communications Llc Cds 20251220 0.5 12/20/2025 13,186,813.00 19,671.00 0.00
SWB8ACFTQP Loxam Sas Cds 20251220 0.5 12/20/2025 13,186,813.00 -13,636.00 0.00
SWB8ACFTRU Macys Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 -16,585.00 0.00
SWB8ACFTSH Stellantis Nv Cds 20251220 0.5 12/20/2025 13,186,813.00 10,811.00 0.00
SWB8ACFTY4 Societe Generale Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 15,700.00 0.00
SWB8ACFTYW Marks And Spencer Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 22,796.00 0.00
SWB8ACFU5P Marriott International Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 25,558.00 0.00
SWB8ACFUDS United Group Bv Cds 20251220 0.5 12/20/2025 13,186,813.00 -23,433.00 0.00
SWB8ACFUTW Valeo Se Cds 20251220 0.5 12/20/2025 13,186,813.00 -5,525.00 0.00
SWB8ACFV2S Verizon Communications Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 20,621.00 0.00
SWB8ACFV9S Virgin Media Finance Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 -26,767.00 0.00
SWB8ACFVLK Volkswagen Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 11,237.00 0.00
SWB8ACFW1S Wells Fargo & Company Cds 20251220 0.5 12/20/2025 13,186,813.00 20,568.00 0.00
SWB8ACFW2G YUM! Brands Inc. Cds 20251220 0.5 12/20/2025 13,186,813.00 24,771.00 0.00
SWB8ACFW2L Ziggo Bond Company Bv Cds 20251220 0.5 12/20/2025 13,186,813.00 -28,006.00 0.00
SWB8ACFW2P Stena Ab Cds 20251220 0.5 12/20/2025 13,186,813.00 -9,176.00 0.00
SWB8ACFW3B Stonegate Pub Company Financing Ltd Cds 0.5 12/20/2025 13,186,813.00 -1,306.00 0.00
SWB8ACFWTL Sunrise Holdco Iv Bv Cds 20251220 0.5 12/20/2025 13,186,813.00 7,500.00 0.00
SWB8ACFWU1 Telecom Italia Spa Cds 20251220 0.5 12/20/2025 6,593,407.00 6,775.00 0.00
SWB8ACFWWZ Telefonaktiebolaget Lm Ericsson Cds 2025 0.5 12/20/2025 13,186,813.00 25,586.00 0.00
SWB8ACFWYA Tenet Healthcare Corporation Cds 2025122 0.5 12/20/2025 13,186,813.00 20,184.00 0.00
SWB8ACFWZG Tesla Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 19,241.00 0.00
SWB8ACFX0G TEVA Pharmaceutical Industries Ltd Cds 2 0.5 12/20/2025 13,186,813.00 19,290.00 0.00
SWB8ACFXFQ General Motors Co Cds 20251220 0.5 12/20/2025 13,186,813.00 14,865.00 0.00
SWB8ACFXFV Genworth Holdings Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 15,018.00 0.00
SWB8ACFXFY Glencore International Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 16,851.00 0.00
SWB8ACFXG1 Grifols Sa Cds 20251220 0.5 12/20/2025 13,186,813.00 -36,830.00 0.00
SWB8ACFXG5 HCA Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 25,116.00 0.00
SWB8ACFXG9 Heidelberg Materials Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 24,366.00 0.00
SWB8ACFXGD HP Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 26,156.00 0.00
SWB8ACFXGG Iceland Bondco Plc Cds 20251220 0.5 12/20/2025 13,186,813.00 -49,089.00 0.00
SWB8ACFXS6 Goldman Sachs Group Inc/the Cds 20251220 0.5 12/20/2025 13,186,813.00 16,915.00 0.00
SWB8ACFXSH Goodyear Tire & Rubber Company (the) Cds 0.5 12/20/2025 13,186,813.00 2,946.00 0.00
SWB8ACFXSV WALT Disney Co Cds 20251220 0.5 12/20/2025 13,186,813.00 27,138.00 0.00
SWB8ACFXT4 Thyssenkrupp Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 22,622.00 0.00
SWB8ACFXTD T-mobile Usa Inc Cds 20251220 0.5 12/20/2025 13,186,813.00 25,848.00 0.00
SWB8ACFXU5 TUI Ag Cds 20251220 0.5 12/20/2025 13,186,813.00 16,848.00 0.00
SWB8ACFXUQ Unibail-rodamco-westfield Se Cds 2025122 0.5 12/20/2025 13,186,813.00 22,305.00 0.00
SWB8ACFXWT Unicredit Spa Cds 20251220 0.5 12/20/2025 13,186,813.00 15,161.00 0.00
SWB8ACFREM Ardagh Packaging Finance Plc Cds 2025122 0.5 12/20/2025 13,186,813.00 -4,600,782.00 -0.01
SWB8ADR2QJ CDS: (cdx.em.hy.43.v1) 1.0 06/20/2030 50,000,000.00 -3,112,005.00 -0.01
SWB8ADQQM5 CDS: (cdx.em.43.v1) 1.0 06/20/2030 250,000,000.00 -6,120,696.00 -0.01
SWB8ADC3CY SWP: Ois Sofr 3.805000 16-dec-2049_c 12/16/2049 252,990,000.00 -6,218,488.00 -0.01
SWB8ADQ68K CDS: (cdx.em.43.v1) 1.0 06/20/2030 200,000,000.00 -4,896,556.00 -0.01
SWB8AD1RAP Italy (republic Of) Cds 20291220 1.0 12/20/2029 -125,000,000.00 -5,662,478.00 -0.01
LL91MK690Q Eur/usd Fwd 20250722 5 EUR 07/22/2025 -69,580,661.00 -3,946,472.00 -0.01
SWB8ADS5M6 CDS: (cdx.em.43.v1) 1.0 06/20/2030 200,000,000.00 -4,896,556.00 -0.01
SWB8ADQ7Y0 CDS: (cdx.em.43.v1) 1.0 06/20/2030 200,000,000.00 -4,896,556.00 -0.01
SWB8ADSHQ1 CDS: (cdx.em.43.v1) 713-skew 1.0 06/20/2030 200,000,000.00 -4,896,556.00 -0.01
SWB8ADUTF3 SWP: Brl Di Ois Jan 31 13.7875_c 01/02/2031 -474,011,297.00 -3,489,831.00 -0.01
2U9JC57NO7 Eur/usd Fwd 20250722 Mslngb2x EUR 07/22/2025 -129,072,693.00 -5,687,419.00 -0.01
21H040673 Ginnie Mae G2SF 4.0 07/20/2055 -7,500,000.00 -6,972,152.00 -0.01
AR1FN0T2MS Twd/usd Fwd 20250917 Citius33 TWD 09/17/2025 -5,112,624,962.00 -4,895,132.00 -0.01
JTCLDOSH95 Eur/usd Fwd 20250722 00187 EUR 07/22/2025 -145,377,720.00 -4,465,584.00 -0.01
SWB8AA9ZUF Cdx.em.36.v1 1.0 12/20/2026 -460,000,000.00 -2,617,441.00 -0.01
1427LQILKI Eur/usd Fwd 20250722 Scseus31 EUR 07/22/2025 -113,159,764.00 -9,213,468.00 -0.02
SWB8ADTZ51 SWP: Brl Di Ois Jan 31 14.19_c 01/02/2031 -961,568,701.00 -11,141,825.00 -0.02
SWB8ADGRRA Trswap: Trsbench1 Index 07/23/2025 Gs_r 07/23/2025 -3,076,789.00 -9,006,315.00 -0.02
01F042681 Fannie Mae Or Freddie Mac FNCL 4.5 08/01/2055 -14,000,000.00 -13,385,525.00 -0.03
SWB8ACMDF1 SWP: Ois Sofr 4.253000 13-may-2029 05/13/2029 -607,365,000.00 -18,744,061.00 -0.04
CNANV3Q25D Gbp/usd Fwd 20250722 Deutgb22 GBP 07/22/2025 -519,962,118.00 -25,854,139.00 -0.05
01F040685 Fannie Mae Or Freddie Mac FNCL 4.0 08/01/2054 -44,000,000.00 -40,902,823.00 -0.08
SWB8AE1NHZ Cdx.na.hy.43.v1 5yr Rtr @ 99.00000 07/16/2025 -520,000,000.00 -42,408,326.00 -0.08
SWZ96ZAV0E ICE: (cdx.na.ig.44.v1) 1.0 06/20/2030 -1,775,634,000.00 -39,868,579.00 -0.08
SWB8AE1NHS Cdx.na.hy.44.v1 5yr Rtr @ 99.00000 07/16/2025 -650,000,000.00 -54,251,568.00 -0.11
01F040677 Fannie Mae Or Freddie Mac FNCL 4.0 07/01/2055 -58,500,000.00 -54,389,018.00 -0.11
1929VP4CO5 Eur/usd Fwd 20250722 0997 EUR 07/22/2025 -1,579,775,855.00 -54,724,513.00 -0.11
1HEH8B2ERD Eur/usd Fwd 20250722 2568 EUR 07/22/2025 -1,563,610,230.00 -57,714,702.00 -0.11
1LGV9C2S3T Eur/usd Fwd 20250722 Midlgb22 EUR 07/22/2025 -1,467,684,151.00 -110,955,607.00 -0.22
SWB8AE1XP4 Cdx.na.hy.44.v1 5yr Rtr @ 99.00000 08/20/2025 -2,500,000,000.00 -198,229,705.00 -0.39
CURRENCY Currency -463,428,709.00 -479,841,189.00 -0.94

The CUSIP information contained in pgimfunds.com and/or prudential.com consists of security identifiers and related descriptive information (“the CUSIP Database”) and is protected under the copyright laws and is licensed with permission from CUSIP Global Services (“CGS”), on behalf of the American Bankers Association (“ABA”).

VISITOR agrees and acknowledges that the CUSIP Database and the information contained therein is and shall remain valuable intellectual property owned by, or licensed to, CGS and ABA, and that no proprietary rights are being transferred to VISITOR in such materials or in any of the information contained therein by virtue of VISITOR’s use of Subscriber’s Web Site. Any use of the CUSIP Database by VISITOR outside of the clearing and settlement of transactions may require a license from CGS, along with an associated fee based on usage.

VISITOR agrees that misappropriation or misuse of such materials will cause serious damage to CGS and ABA, and that in such event, money damages may not constitute sufficient compensation to CGS and ABA; consequently, VISITOR agrees that in the event of any misappropriation or misuse, CGS and ABA shall have the right to obtain injunctive relief in addition to any other legal or financial remedies to which CGS and ABA may be entitled.

VISITOR agrees that VISITOR shall not publish or distribute in any medium the CUSIP Database or any substantial portion of the information contained therein or summaries or subsets thereof to any person or entity unless permitted by a direct agreement with CGS. VISITOR may not create or maintain a master file or database of CUSIP identifiers or descriptions for itself or any third party recipient that is intended to serve as a substitute for any CUSIP service.

VISITOR agrees not to:

(a) Violate the restrictions in any robot inclusion headers on the Subscriber Web Site or in any way bypass or circumvent any other measure employed to limit or prevent access to the CUSIP Database on the Subscriber Web Site;

(b) Violate the security of the Subscriber Web Site or attempt to gain unauthorized access to the Web Site, CUSIP Database, materials, information, computer systems or networks connected to Subscriber server, through hacking, password mining or any other means; or

(c) Interfere or attempt to interfere with the proper working of the Subscriber Web Site or any activities conducted on or through the Subscriber Web Site, including accessing any CUSIP Database, content or other information prior to the time that is intended to be available to the public on the Subscriber Web Site;

NEITHER CGS, ABA NOR ANY OF THEIR AFFILIATES MAKE ANY WARRANTIES, EXPRESS OR IMPLIED, AS TO THE ACCURACY, ADEQUACY OR COMPLETENESS OF ANY OF THE INFORMATION CONTAINED IN THE CUSIP DATABASE. ALL SUCH MATERIALS ARE PROVIDED TO VISITOR ON AN “AS IS” BASIS, WITHOUT ANY WARRANTIES AS TO MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE NOR WITH RESPECT TO THE RESULTS WHICH MAY BE OBTAINED FROM THE USE OF SUCH MATERIALS. NEITHER CGS, ABA NOR THEIR AFFILIATES SHALL HAVE ANY RESPONSIBILITY OR LIABILITY FOR ANY ERRORS OR OMISSIONS NOR SHALL THEY BE LIABLE FOR ANY DAMAGES, WHETHER DIRECT OR INDIRECT, SPECIAL OR CONSEQUENTIAL, EVEN IF THEY HAVE BEEN ADVISED OF THE POSSIBILITY OF SUCH DAMAGES. IN NO EVENT SHALL THE LIABILITY OF CGS, ABA OR ANY OF THEIR AFFILIATES PURSUANT TO ANY CAUSE OF ACTION, WHETHER IN CONTRACT, TORT, OR OTHERWISE, EXCEED THE FEE PAID BY VISITOR FOR ACCESS TO SUCH MATERIALS IN THE MONTH IN WHICH SUCH CAUSE OF ACTION IS ALLEGED TO HAVE ARISEN. FURTHERMORE, CGS AND ABA SHALL HAVE NO RESPONSIBILITY OR LIABILITY FOR DELAYS OR FAILURES DUE TO CIRCUMSTANCES BEYOND THEIR CONTROL.

VISITOR agrees that the foregoing terms and conditions shall survive any termination of its right of access to the materials identified above.

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, Robert Tipp, Richard Piccirillo, Matthew Angelucci and Tyler Thorn of PGIM Fixed Income are primarily responsible for management of the PGIM Total Return Bond Fund.

Gregory Peters
Gregory Peters

Managing Director and Co-Chief Investment Officer of PGIM Fixed Income

Gregory Peters is a Managing Director and Co-Chief Investment Officer of PGIM Fixed Income.

Robert Tipp, CFA
Robert Tipp, CFA

Managing Director, Chief Investment Strategist, and Head of Global Bonds at PGIM Fixed Income

Robert Tipp, CFA, is a Managing Director, Chief Investment Strategist, and Head of Global Bonds at PGIM Fixed Income.

Richard Piccirillo
Richard Piccirillo

Managing Director and Co-head on PGIM Fixed Income's Multi-Sector Team

Richard Piccirillo is a Managing Director and one of the co-heads on the Multi-Sector Team at PGIM Fixed Income.

Matthew Angelucci, CFA
Matthew Angelucci, CFA

Principal and Portfolio Manager on the Multi-Sector Team at PGIM Fixed Income

|

PGIM Fixed Income

Matthew Angelucci, CFA, is a Principal and portfolio manager on the Multi-Sector Team at PGIM Fixed Income.

Tyler Thorn
Tyler Thorn

Principal and Portfolio Manager for PGIM Fixed Income's Multi-Sector Team

|

PGIM Fixed Income

Tyler Thorn is a Principal and a portfolio manager on the Multi-Sector Team at PGIM Fixed Income.

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. Due to data availability, statistics may not be as of the current reporting period.

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 R2 shares and Class R4 shares are only offered for sale to group retirement plans available through a retirement recordkeeper or third party administrator. 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.

4273271    Ed. 04/2025

Fund Literature

Displaying - of
document name audience updated order code